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Public Act 102-0004 |
HB0158 Enrolled | LRB102 10244 CPF 15570 b |
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AN ACT concerning health.
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Be it enacted by the People of the State of Illinois,
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represented in the General Assembly:
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Title I. General Provisions |
Article 1. |
Section 1-1. This Act may be referred to as the Illinois |
Health Care and Human Service Reform Act. |
Section 1-5. Findings. |
"We, the People of the State of Illinois in order to |
provide for the health, safety and welfare of the people; |
maintain a representative and orderly government; eliminate |
poverty and inequality; assure legal, social and economic |
justice; provide opportunity for the fullest development of |
the individual; insure domestic tranquility; provide for the |
common defense; and secure the blessings of freedom and |
liberty to ourselves and our posterity - do ordain and |
establish this Constitution for the State of Illinois." |
The Illinois Legislative Black Caucus finds that, in order |
to improve the health outcomes of Black residents in the State |
of Illinois, it is essential to dramatically reform the |
State's health and human service system. For over 3 decades, |
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multiple health studies have found that health inequities at |
their very core are due to racism. As early as 1998 research |
demonstrated that Black Americans received less health care |
than white Americans because doctors treated patients |
differently on the basis of race. Yet, Illinois' health and |
human service system disappointingly continues to perpetuate |
health disparities among Black Illinoisans of all ages, |
genders, and socioeconomic status. |
In July 2020, Trinity Health announced its plans to close |
Mercy Hospital, an essential resource serving the Chicago |
South Side's predominantly Black residents. Trinity Health |
argued that this closure would have no impact on health access |
but failed to understand the community's needs. Closure of |
Mercy Hospital would only serve to create a health access |
desert and exacerbate existing health disparities. On December |
15, 2020, after hearing from community members and advocates, |
the Health Facilities and Services Review Board unanimously |
voted to deny closure efforts, yet Trinity still seeks to |
cease Mercy's operations. |
Prior to COVID-19, much of the social and political |
attention surrounding the nationwide opioid epidemic focused |
on the increase in overdose deaths among white, middle-class, |
suburban and rural users; the impact of the epidemic in Black |
communities was largely unrecognized. Research has shown rates |
of opioid use at the national scale are higher for whites than |
they are for Blacks, yet rates of opioid deaths are higher |
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among Blacks (43%) than whites (22%). The COVID-19 pandemic |
will likely exacerbate this situation due to job loss, |
stay-at-home orders, and ongoing mitigation efforts creating a |
lack of physical access to addiction support and harm |
reduction groups. |
In 2018, the Illinois Department of Public Health reported |
that Black women were about 6 times as likely to die from a |
pregnancy-related cause as white women. Of those, 72% of |
pregnancy-related deaths and 93% of violent |
pregnancy-associated deaths were deemed preventable. Between |
2016 and 2017, Black women had the highest rate of severe |
maternal morbidity with a rate of 101.5 per 10,000 deliveries, |
which is almost 3 times as high as the rate for white women. |
In the City of Chicago, African American and Latinx |
populations are suffering from higher rates of AIDS/HIV |
compared to the general population. Recent data places HIV as |
one of the top 5 leading causes of death in African American |
women between the ages of 35 to 44 and the seventh ranking |
cause in African American women between the ages of 20 to 34. |
Among the Latinx population, nearly 20% with HIV exclusively |
depend on indigenous-led and staffed organizations for |
services. |
Cardiovascular disease (CVD) accounts for more deaths in |
Illinois than any other cause of death, according to the |
Illinois Department of Public Health; CVD is the leading cause |
of death among Black residents. According to the Kaiser Family |
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Foundation (KFF), for every 100,000 people, 224 Black |
Illinoisans die of CVD compared to 158 white Illinoisans. |
Cancer, the second leading cause of death in Illinois, too is |
pervasive among African Americans. In 2019, an estimated |
606,880 Americans, or 1,660 people a day, died of cancer; the |
American Cancer Society estimated 24,410 deaths occurred in |
Illinois. KFF estimates that, out of every 100,000 people, 191 |
Black Illinoisans die of cancer compared to 152 white |
Illinoisans. |
Black Americans suffer at much higher rates from chronic |
diseases, including diabetes, hypertension, heart disease, |
asthma, and many cancers. Utilizing community health workers |
in patient education and chronic disease management is needed |
to close these health disparities. Studies have shown that |
diabetes patients in the care of a community health worker |
demonstrate improved knowledge and lifestyle and |
self-management behaviors, as well as decreases in the use of |
the emergency department. A study of asthma control among |
Black adolescents concluded that asthma control was reduced by |
35% among adolescents working with community health workers, |
resulting in a savings of $5.58 per dollar spent on the |
intervention. A study of the return on investment for |
community health workers employed in Colorado showed that, |
after a 9-month period, patients working with community health |
workers had an increased number of primary care visits and a |
decrease in urgent and inpatient care. Utilization of |
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community health workers led to a $2.38 return on investment |
for every dollar invested in community health workers. |
Adverse childhood experiences (ACEs) are traumatic |
experiences occurring during childhood that have been found to |
have a profound effect on a child's developing brain structure |
and body which may result in poor health during a person's |
adulthood. ACEs studies have found a strong correlation |
between the number of ACEs and a person's risk for disease and |
negative health behaviors, including suicide, depression, |
cancer, stroke, ischemic heart disease, diabetes, autoimmune |
disease, smoking, substance abuse, interpersonal violence, |
obesity, unplanned pregnancies, lower educational achievement, |
workplace absenteeism, and lower wages. Data also shows that |
approximately 20% of African American and Hispanic adults in |
Illinois reported 4 or more ACEs, compared to 13% of |
non-Hispanic whites. Long-standing ACE interventions include |
tools such as trauma-informed care. Trauma-informed care has |
been promoted and established in communities across the |
country on a bipartisan basis, including in the states of |
California, Florida, Massachusetts, Missouri, Oregon, |
Pennsylvania, Washington, and Wisconsin. Several federal |
agencies have integrated trauma-informed approaches in their |
programs and grants which should be leveraged by the State. |
According to a 2019 Rush University report, a Black |
person's life expectancy on average is less when compared to a |
white person's life expectancy. For instance, when comparing |
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life expectancy in Chicago's Austin neighborhood to the |
Chicago Loop, there is a difference of 11 years between Black |
life expectancy (71 years) and white life expectancy (82 |
years).
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In a 2015 literature review of implicit racial and ethnic |
bias among medical professionals, it was concluded that there |
is a moderate level of implicit bias in most medical |
professionals. Further, the literature review showed that |
implicit bias has negative consequences for patients, |
including strained patient relationships and negative health |
outcomes. It is critical for medical professionals to be aware |
of implicit racial and ethnic bias and work to eliminate bias |
through training. |
In the field of medicine, a historically racist |
profession, Black medical professionals have commonly been |
ostracized. In 1934, Dr. Roland B. Scott was the first African |
American to pass the pediatric board exam, yet when he applied |
for membership with the American Academy of Pediatrics he was |
rejected multiple times. Few medical organizations have |
confronted the roles they played in blocking opportunities for |
Black advancement in the medical profession until the formal |
apologies of the American Medical Association in 2008. For |
decades, organizations like the AMA predicated their |
membership on joining a local state medical society, several |
of which excluded Black physicians. |
In 2010, the General Assembly, in partnership with |
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Treatment Alternatives for Safe Communities, published the |
Disproportionate Justice Impact Study. The study examined the |
impact of Illinois drug laws on racial and ethnic groups and |
the resulting over-representation of racial and ethic minority |
groups in the Illinois criminal justice system. Unsurprisingly |
and disappointingly, the study confirmed decades long |
injustices, such as nonwhites being arrested at a higher rate |
than whites relative to their representation in the general |
population throughout Illinois. |
All together, the above mentioned only begins to capture a |
part of a larger system of racial injustices and inequities. |
The General Assembly and the people of Illinois are urged to |
recognize while racism is a core fault of the current health |
and human service system, that it is a pervasive disease |
affecting a multiplitude of institutions which truly drive |
systematic health inequities: education, child care, criminal |
justice, affordable housing, environmental justice, and job |
security and so forth. For persons to live up to their full |
human potential, their rights to quality of life, health care, |
a quality job, a fair wage, housing, and education must not be |
inhibited. |
Therefore, the Illinois Legislative Black Caucus, as |
informed by the Senate's Health and Human Service Pillar |
subject matter hearings, seeks to remedy a fraction of a much |
larger broken system by addressing access to health care, |
hospital closures, managed care organization reform, community |
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health worker certification, maternal and infant mortality, |
mental and substance abuse treatment, hospital reform, and |
medical implicit bias in the Illinois Health Care and Human |
Service Reform Act. This Act shall achieve needed change |
through the use of, but not limited to, the Medicaid Managed |
Care Oversight Commission, the Health and Human Services Task |
Force, and a hospital closure moratorium, in order to address |
Illinois' long-standing health inequities.
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Title II. Community Health Workers |
Article 5. |
Section 5-1. Short title. This Article may be cited as the |
Community Health Worker Certification and Reimbursement Act. |
References in this Article to "this Act" mean this Article. |
Section 5-5. Definition. In this Act, "community health |
worker" means a frontline public health worker who is a |
trusted member or has an unusually close understanding of the |
community served. This trusting relationship enables the |
community health worker to serve as a liaison, link, and |
intermediary between health and social services and the |
community to facilitate access to services and improve the |
quality and cultural competence of service delivery. A |
community health worker also builds individual and community |
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capacity by increasing health knowledge and self-sufficiency |
through a range of activities, including outreach, community |
education, informal counseling, social support, and advocacy. |
A community health worker shall have the following core |
competencies: |
(1) communication; |
(2) interpersonal skills and relationship building; |
(3) service coordination and navigation skills; |
(4) capacity-building; |
(5) advocacy; |
(6) presentation and facilitation skills; |
(7) organizational skills; cultural competency; |
(8) public health knowledge; |
(9) understanding of health systems and basic |
diseases; |
(10) behavioral health issues; and |
(11) field experience. |
Nothing in this definition shall be construed to authorize |
a community health worker to provide direct care or treatment |
to any person or to perform any act or service for which a |
license issued by a professional licensing board is required. |
Section 5-10. Community health worker training. |
(a) Community health workers shall be provided with |
multi-tiered academic and community-based training |
opportunities that lead to the mastery of community health |
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worker core competencies. |
(b) For academic-based training programs, the Department |
of Public Health shall collaborate with the Illinois State |
Board of Education, the Illinois Community College Board, and |
the Illinois Board of Higher Education to adopt a process to |
certify academic-based training programs that students can |
attend to obtain individual community health worker |
certification. Certified training programs shall reflect the |
approved core competencies and roles for community health |
workers. |
(c) For community-based training programs, the Department |
of Public Health shall collaborate with a statewide |
association representing community health workers to adopt a |
process to certify community-based programs that students can |
attend to obtain individual community health worker |
certification. |
(d) Community health workers may need to undergo |
additional training, including, but not limited to, asthma, |
diabetes, maternal child health, behavioral health, and social |
determinants of health training. Multi-tiered training |
approaches shall provide opportunities that build on each |
other and prepare community health workers for career pathways |
both within the community health worker profession and within |
allied professions. |
Section 5-15. Illinois Community Health Worker |
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Certification Board. |
(a) There is created within the Department of Public |
Health, in shared leadership with a statewide association |
representing community health workers, the Illinois Community |
Health Worker Certification Board. The Board shall serve as |
the regulatory body that develops and has oversight of initial |
community health workers certification and certification |
renewals for both individuals and academic and community-based |
training programs. |
(b) A representative from the Department of Public Health, |
the Department of Financial and Professional Regulation, the |
Department of Healthcare and Family Services, and the |
Department of Human Services shall serve on the Board. At |
least one full-time professional shall be assigned to staff |
the Board with additional administrative support available as |
needed. The Board shall have balanced representation from the |
community health worker workforce, community health worker |
employers, community health worker training and educational |
organizations, and other engaged stakeholders. |
(c) The Board shall propose a certification process for |
and be authorized to approve training from community-based |
organizations, in conjunction with a statewide organization |
representing community health workers, and academic |
institutions, in consultation with the Illinois State Board of |
Education, the Illinois Community College Board and the |
Illinois Board of Higher Education. The Board shall base |
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training approval on core competencies, best practices, and |
affordability. In addition, the Board shall maintain a |
registry of certification records for individually certified |
community health workers. |
(d) All training programs that are deemed certifiable by |
the Board shall go through a renewal process, which will be |
determined by the Board once established. The Board shall |
establish criteria to grandfather in any community health |
workers who were practicing prior to the establishment of a |
certification program. |
(e) To ensure high-quality service, the Illinois Community |
Health Worker Certification Board shall examine and consider |
for adoption best practices from other states that have |
implemented policies to allow for alternative opportunities to |
demonstrate competency in core skills and knowledge in |
addition to certification. |
(f) The Department of Public Health shall explore ways to |
compensate members of the Board. |
Section 5-20. Reimbursement. Community health worker |
services shall be covered under the medical assistance |
program, subject to appropriation, for persons who are |
otherwise eligible for medical assistance. The Department of |
Healthcare and Family Services shall develop services, |
including, but not limited to, care coordination and |
diagnosis-related patient services, for which community health |
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workers will be eligible for reimbursement and shall request |
approval from the federal Centers for Medicare and Medicaid |
Services to reimburse community health worker services under |
the medical assistance program. For reimbursement under the |
medical assistance program, a community health worker must |
work under the supervision of an enrolled medical program |
provider, as specified by the Department, and certification |
shall be required for reimbursement. The supervision of |
enrolled medical program providers and certification are not |
required for community health workers who receive |
reimbursement through managed care administrative moneys. |
Noncertified community health workers are reimbursable at the |
discretion of managed care entities following availability of |
community health worker certification. In addition, the |
Department of Healthcare and Family Services shall amend its |
contracts with managed care entities to allow managed care |
entities to employ community health workers or subcontract |
with community-based organizations that employ community |
health workers. |
Section 5-23. Certification. Certification shall not be |
required for employment of community health workers. |
Noncertified community health workers may be employed through |
funding sources outside of the medical assistance program. |
Section 5-25. Rules. The Department of Public Health and |
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the Department of Healthcare and Family Services may adopt |
rules for the implementation and administration of this Act. |
Title III. Hospital Reform |
Article 10. |
Section 10-5. The Hospital Licensing Act is amended by |
changing Section 10.4 as follows:
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(210 ILCS 85/10.4) (from Ch. 111 1/2, par. 151.4)
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Sec. 10.4. Medical staff privileges.
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(a) Any hospital licensed under this Act or any hospital |
organized under the
University of Illinois Hospital Act shall, |
prior to the granting of any medical
staff privileges to an |
applicant, or renewing a current medical staff member's
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privileges, request of the Director of Professional Regulation |
information
concerning the licensure status , proper |
credentials, required certificates, and any disciplinary |
action taken against the
applicant's or medical staff member's |
license, except: (1) for medical personnel who
enter a |
hospital to obtain organs and tissues for transplant from a |
donor in accordance with the Illinois Anatomical Gift Act; or |
(2) for medical personnel who have been granted disaster |
privileges pursuant to the procedures and requirements |
established by rules adopted by the Department. Any hospital |
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and any employees of the hospital or others involved in |
granting privileges who, in good faith, grant disaster |
privileges pursuant to this Section to respond to an emergency |
shall not, as a result of their acts or omissions, be liable |
for civil damages for granting or denying disaster privileges |
except in the event of willful and wanton misconduct, as that |
term is defined in Section 10.2 of this Act. Individuals |
granted privileges who provide care in an emergency situation, |
in good faith and without direct compensation, shall not, as a |
result of their acts or omissions, except for acts or |
omissions involving willful and wanton misconduct, as that |
term is defined in Section 10.2 of this Act, on the part of the |
person, be liable for civil damages. The Director of
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Professional Regulation shall transmit, in writing and in a |
timely fashion,
such information regarding the license of the |
applicant or the medical staff
member, including the record of |
imposition of any periods of
supervision or monitoring as a |
result of alcohol or
substance abuse, as provided by Section |
23 of the Medical
Practice Act of 1987, and such information as |
may have been
submitted to the Department indicating that the |
application
or medical staff member has been denied, or has |
surrendered,
medical staff privileges at a hospital licensed |
under this
Act, or any equivalent facility in another state or
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territory of the United States. The Director of Professional |
Regulation
shall define by rule the period for timely response |
to such requests.
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No transmittal of information by the Director of |
Professional Regulation,
under this Section shall be to other |
than the president, chief
operating officer, chief |
administrative officer, or chief of
the medical staff of a |
hospital licensed under this Act, a
hospital organized under |
the University of Illinois Hospital Act, or a hospital
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operated by the United States, or any of its |
instrumentalities. The
information so transmitted shall be |
afforded the same status
as is information concerning medical |
studies by Part 21 of Article VIII of the
Code of Civil |
Procedure, as now or hereafter amended.
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(b) All hospitals licensed under this Act, except county |
hospitals as
defined in subsection (c) of Section 15-1 of the |
Illinois Public Aid Code,
shall comply with, and the medical |
staff bylaws of these hospitals shall
include rules consistent |
with, the provisions of this Section in granting,
limiting, |
renewing, or denying medical staff membership and
clinical |
staff privileges. Hospitals that require medical staff members |
to
possess
faculty status with a specific institution of |
higher education are not required
to comply with subsection |
(1) below when the physician does not possess faculty
status.
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(1) Minimum procedures for
pre-applicants and |
applicants for medical staff
membership shall include the |
following:
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(A) Written procedures relating to the acceptance |
and processing of
pre-applicants or applicants for |
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medical staff membership, which should be
contained in
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medical staff bylaws.
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(B) Written procedures to be followed in |
determining
a pre-applicant's or
an applicant's
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qualifications for being granted medical staff |
membership and privileges.
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(C) Written criteria to be followed in evaluating
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a pre-applicant's or
an applicant's
qualifications.
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(D) An evaluation of
a pre-applicant's or
an |
applicant's current health status and current
license |
status in Illinois.
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(E) A written response to each
pre-applicant or
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applicant that explains the reason or
reasons for any |
adverse decision (including all reasons based in whole |
or
in part on the applicant's medical qualifications |
or any other basis,
including economic factors).
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(2) Minimum procedures with respect to medical staff |
and clinical
privilege determinations concerning current |
members of the medical staff shall
include the following:
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(A) A written notice of an adverse decision.
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(B) An explanation of the reasons for an adverse |
decision including all
reasons based on the quality of |
medical care or any other basis, including
economic |
factors.
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(C) A statement of the medical staff member's |
right to request a fair
hearing on the adverse |
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decision before a hearing panel whose membership is
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mutually agreed upon by the medical staff and the |
hospital governing board. The
hearing panel shall have |
independent authority to recommend action to the
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hospital governing board. Upon the request of the |
medical staff member or the
hospital governing board, |
the hearing panel shall make findings concerning the
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nature of each basis for any adverse decision |
recommended to and accepted by
the hospital governing |
board.
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(i) Nothing in this subparagraph (C) limits a |
hospital's or medical
staff's right to summarily |
suspend, without a prior hearing, a person's |
medical
staff membership or clinical privileges if |
the continuation of practice of a
medical staff |
member constitutes an immediate danger to the |
public, including
patients, visitors, and hospital |
employees and staff. In the event that a hospital |
or the medical staff imposes a summary suspension, |
the Medical Executive Committee, or other |
comparable governance committee of the medical |
staff as specified in the bylaws, must meet as |
soon as is reasonably possible to review the |
suspension and to recommend whether it should be |
affirmed, lifted, expunged, or modified if the |
suspended physician requests such review. A |
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summary suspension may not be implemented unless |
there is actual documentation or other reliable |
information that an immediate danger exists. This |
documentation or information must be available at |
the time the summary suspension decision is made |
and when the decision is reviewed by the Medical |
Executive Committee. If the Medical Executive |
Committee recommends that the summary suspension |
should be lifted, expunged, or modified, this |
recommendation must be reviewed and considered by |
the hospital governing board, or a committee of |
the board, on an expedited basis. Nothing in this |
subparagraph (C) shall affect the requirement that |
any requested hearing must be commenced within 15 |
days after the summary suspension and completed |
without delay unless otherwise agreed to by the |
parties. A fair hearing shall be
commenced within |
15 days after the suspension and completed without |
delay, except that when the medical staff member's |
license to practice has been suspended or revoked |
by the State's licensing authority, no hearing |
shall be necessary.
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(ii) Nothing in this subparagraph (C) limits a |
medical staff's right
to permit, in the medical |
staff bylaws, summary suspension of membership or
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clinical privileges in designated administrative |
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circumstances as specifically
approved by the |
medical staff. This bylaw provision must |
specifically describe
both the administrative |
circumstance that can result in a summary |
suspension
and the length of the summary |
suspension. The opportunity for a fair hearing is
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required for any administrative summary |
suspension. Any requested hearing must
be |
commenced within 15 days after the summary |
suspension and completed without
delay. Adverse |
decisions other than suspension or other |
restrictions on the
treatment or admission of |
patients may be imposed summarily and without a
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hearing under designated administrative |
circumstances as specifically provided
for in the |
medical staff bylaws as approved by the medical |
staff.
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(iii) If a hospital exercises its option to |
enter into an exclusive
contract and that contract |
results in the total or partial termination or
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reduction of medical staff membership or clinical |
privileges of a current
medical staff member, the |
hospital shall provide the affected medical staff
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member 60 days prior notice of the effect on his or |
her medical staff
membership or privileges. An |
affected medical staff member desiring a hearing
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under subparagraph (C) of this paragraph (2) must |
request the hearing within 14
days after the date |
he or she is so notified. The requested hearing |
shall be
commenced and completed (with a report |
and recommendation to the affected
medical staff |
member, hospital governing board, and medical |
staff) within 30
days after the date of the |
medical staff member's request. If agreed upon by
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both the medical staff and the hospital governing |
board, the medical staff
bylaws may provide for |
longer time periods.
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(C-5) All peer review used for the purpose of |
credentialing, privileging, disciplinary action, or |
other recommendations affecting medical staff |
membership or exercise of clinical privileges, whether |
relying in whole or in part on internal or external |
reviews, shall be conducted in accordance with the |
medical staff bylaws and applicable rules, |
regulations, or policies of the medical staff. If |
external review is obtained, any adverse report |
utilized shall be in writing and shall be made part of |
the internal peer review process under the bylaws. The |
report shall also be shared with a medical staff peer |
review committee and the individual under review. If |
the medical staff peer review committee or the |
individual under review prepares a written response to |
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the report of the external peer review within 30 days |
after receiving such report, the governing board shall |
consider the response prior to the implementation of |
any final actions by the governing board which may |
affect the individual's medical staff membership or |
clinical privileges. Any peer review that involves |
willful or wanton misconduct shall be subject to civil |
damages as provided for under Section 10.2 of this |
Act.
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(D) A statement of the member's right to inspect |
all pertinent
information in the hospital's possession |
with respect to the decision.
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(E) A statement of the member's right to present |
witnesses and other
evidence at the hearing on the |
decision.
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(E-5) The right to be represented by a personal |
attorney.
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(F) A written notice and written explanation of |
the decision resulting
from the hearing.
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(F-5) A written notice of a final adverse decision |
by a hospital
governing board.
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(G) Notice given 15 days before implementation of |
an adverse medical
staff membership or clinical |
privileges decision based substantially on
economic |
factors. This notice shall be given after the medical |
staff member
exhausts all applicable procedures under |
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this Section, including item (iii) of
subparagraph (C) |
of this paragraph (2), and under the medical staff |
bylaws in
order to allow sufficient time for the |
orderly provision of patient care.
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(H) Nothing in this paragraph (2) of this |
subsection (b) limits a
medical staff member's right |
to waive, in writing, the rights provided in
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subparagraphs (A) through (G) of this paragraph (2) of |
this subsection (b) upon
being granted the written |
exclusive right to provide particular services at a
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hospital, either individually or as a member of a |
group. If an exclusive
contract is signed by a |
representative of a group of physicians, a waiver
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contained in the contract shall apply to all members |
of the group unless stated
otherwise in the contract.
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(3) Every adverse medical staff membership and |
clinical privilege decision
based substantially on |
economic factors shall be reported to the Hospital
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Licensing Board before the decision takes effect. These |
reports shall not be
disclosed in any form that reveals |
the identity of any hospital or physician.
These reports |
shall be utilized to study the effects that hospital |
medical
staff membership and clinical privilege decisions |
based upon economic factors
have on access to care and the |
availability of physician services. The
Hospital Licensing |
Board shall submit an initial study to the Governor and |
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the
General Assembly by January 1, 1996, and subsequent |
reports shall be submitted
periodically thereafter.
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(4) As used in this Section:
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"Adverse decision" means a decision reducing, |
restricting, suspending,
revoking, denying, or not |
renewing medical staff membership or clinical
privileges.
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"Economic factor" means any information or reasons for |
decisions unrelated
to quality of care or professional |
competency.
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"Pre-applicant" means a physician licensed to practice |
medicine in all
its
branches who requests an application |
for medical staff membership or
privileges.
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"Privilege" means permission to provide
medical or |
other patient care services and permission to use hospital
|
resources, including equipment, facilities and personnel |
that are necessary to
effectively provide medical or other |
patient care services. This definition
shall not be |
construed to
require a hospital to acquire additional |
equipment, facilities, or personnel to
accommodate the |
granting of privileges.
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(5) Any amendment to medical staff bylaws required |
because of
this amendatory Act of the 91st General |
Assembly shall be adopted on or
before July 1, 2001.
|
(c) All hospitals shall consult with the medical staff |
prior to closing
membership in the entire or any portion of the |
medical staff or a department.
If
the hospital closes |
|
membership in the medical staff, any portion of the medical
|
staff, or the department over the objections of the medical |
staff, then the
hospital
shall provide a detailed written |
explanation for the decision to the medical
staff
10 days |
prior to the effective date of any closure. No applications |
need to be
provided when membership in the medical staff or any |
relevant portion of the
medical staff is closed.
|
(Source: P.A. 96-445, eff. 8-14-09; 97-1006, eff. 8-17-12.)
|
Article 15. |
Section 15-3. The Illinois Health Finance Reform Act is |
amended by changing Section 4-4 as follows:
|
(20 ILCS 2215/4-4) (from Ch. 111 1/2, par. 6504-4)
|
Sec. 4-4.
(a) Hospitals shall make available to |
prospective patients
information on the normal charge incurred |
for any procedure or operation
the prospective patient is |
considering.
|
(b) The Department of Public Health shall require |
hospitals
to post , either by physical or electronic means, in |
prominent letters, in letters no more than one inch in height |
the established charges for
services, where applicable, |
including but not limited to the hospital's private
room |
charge, semi-private room charge, charge for a room with 3 or |
more beds,
intensive care room charges, emergency room charge, |
|
operating room charge,
electrocardiogram charge, anesthesia |
charge, chest x-ray charge, blood sugar
charge, blood |
chemistry charge, tissue exam charge, blood typing charge and |
Rh
factor charge. The definitions of each charge to be posted |
shall be determined
by the Department.
|
(Source: P.A. 92-597, eff. 7-1-02.)
|
Section 15-5. The Hospital Licensing Act is amended by |
changing Sections 6, 6.14c, 10.10, and 11.5 as follows:
|
(210 ILCS 85/6) (from Ch. 111 1/2, par. 147)
|
Sec. 6.
(a) Upon receipt of an application for a permit to |
establish
a hospital the Director shall issue a permit if he |
finds (1) that the
applicant is fit, willing, and able to |
provide a proper standard of
hospital service for the |
community with particular regard to the
qualification, |
background, and character of the applicant, (2) that the
|
financial resources available to the applicant demonstrate an |
ability to
construct, maintain, and operate a hospital in |
accordance with the
standards, rules, and regulations adopted |
pursuant to this Act, and (3)
that safeguards are provided |
which assure hospital operation and
maintenance consistent |
with the public interest having particular regard
to safe, |
adequate, and efficient hospital facilities and services.
|
The Director may request the cooperation of county and
|
multiple-county health departments, municipal boards of |
|
health, and
other governmental and non-governmental agencies |
in obtaining
information and in conducting investigations |
relating to such
applications.
|
A permit to establish a hospital shall be valid only for |
the premises
and person named in the application for such |
permit and shall not be
transferable or assignable.
|
In the event the Director issues a permit to establish a |
hospital the
applicant shall thereafter submit plans and |
specifications to the
Department in accordance with Section 8 |
of this Act.
|
(b) Upon receipt of an application for license to open, |
conduct,
operate, and maintain a hospital, the Director shall |
issue a license if
he finds the applicant and the hospital |
facilities comply with
standards, rules, and regulations |
promulgated under this Act. A license,
unless sooner suspended |
or revoked, shall be renewable annually upon
approval by the |
Department and payment of a license fee as established |
pursuant to Section 5 of this Act. Each license shall be issued |
only for the
premises and persons named in the application and |
shall not be
transferable or assignable. Licenses shall be |
posted , either by physical or electronic means, in a |
conspicuous
place on the licensed premises. The Department |
may, either before or
after the issuance of a license, request |
the cooperation of the State Fire
Marshal, county
and multiple |
county health departments, or municipal boards of health to
|
make investigations to determine if the applicant or licensee |
|
is
complying with the minimum standards prescribed by the |
Department. The
report and recommendations of any such agency |
shall be in writing and
shall state with particularity its |
findings with respect to compliance
or noncompliance with such |
minimum standards, rules, and regulations.
|
The Director may issue a provisional license to any |
hospital which
does not substantially comply with the |
provisions of this Act and the
standards, rules, and |
regulations promulgated by virtue thereof provided
that he |
finds that such hospital has undertaken changes and |
corrections
which upon completion will render the hospital in |
substantial compliance
with the provisions of this Act, and |
the standards, rules, and
regulations adopted hereunder, and |
provided that the health and safety
of the patients of the |
hospital will be protected during the period for
which such |
provisional license is issued. The Director shall advise the
|
licensee of the conditions under which such provisional |
license is
issued, including the manner in which the hospital |
facilities fail to
comply with the provisions of the Act, |
standards, rules, and
regulations, and the time within which |
the changes and corrections
necessary for such hospital |
facilities to substantially comply with this
Act, and the |
standards, rules, and regulations of the Department
relating |
thereto shall be completed.
|
(Source: P.A. 98-683, eff. 6-30-14.)
|
|
(210 ILCS 85/6.14c)
|
Sec. 6.14c. Posting of information. Every hospital shall |
conspicuously post , either by physical or electronic means,
|
for display in an
area of its offices accessible to patients, |
employees, and visitors the
following:
|
(1) its current license;
|
(2) a description, provided by the Department, of |
complaint
procedures established under this Act and the |
name, address, and
telephone number of a person authorized |
by the Department to receive
complaints;
|
(3) a list of any orders pertaining to the hospital |
issued by the
Department during the past year and any |
court orders reviewing such Department
orders issued |
during the past year; and
|
(4) a list of the material available for public |
inspection under
Section 6.14d.
|
Each hospital shall post, either by physical or electronic |
means, in each facility that has an emergency room, a notice in |
a conspicuous location in the emergency room with information |
about how to enroll in health insurance through the Illinois |
health insurance marketplace in accordance with Sections 1311 |
and 1321 of the federal Patient Protection and Affordable Care |
Act. |
(Source: P.A. 101-117, eff. 1-1-20 .)
|
(210 ILCS 85/10.10) |
|
Sec. 10.10. Nurse Staffing by Patient Acuity.
|
(a) Findings. The Legislature finds and declares all of |
the following: |
(1) The State of Illinois has a substantial interest |
in promoting quality care and improving the delivery of |
health care services. |
(2) Evidence-based studies have shown that the basic |
principles of staffing in the acute care setting should be |
based on the complexity of patients' care needs aligned |
with available nursing skills to promote quality patient |
care consistent with professional nursing standards. |
(3) Compliance with this Section promotes an |
organizational climate that values registered nurses' |
input in meeting the health care needs of hospital |
patients. |
(b) Definitions. As used in this Section: |
"Acuity model" means an assessment tool selected and |
implemented by a hospital, as recommended by a nursing care |
committee, that assesses the complexity of patient care needs |
requiring professional nursing care and skills and aligns |
patient care needs and nursing skills consistent with |
professional nursing standards. |
"Department" means the Department of Public Health. |
"Direct patient care" means care provided by a registered |
professional nurse with direct responsibility to oversee or |
carry out medical regimens or nursing care for one or more |
|
patients. |
"Nursing care committee" means an existing or newly |
created hospital-wide committee or committees of nurses whose |
functions, in part or in whole, contribute to the development, |
recommendation, and review of the hospital's nurse staffing |
plan established pursuant to subsection (d). |
"Registered professional nurse" means a person licensed as |
a Registered Nurse under the Nurse
Practice Act. |
"Written staffing plan for nursing care services" means a |
written plan for guiding the assignment of patient care |
nursing staff based on multiple nurse and patient |
considerations that yield minimum staffing levels for |
inpatient care units and the adopted acuity model aligning |
patient care needs with nursing skills required for quality |
patient care consistent with professional nursing standards. |
(c) Written staffing plan. |
(1) Every hospital shall implement a written |
hospital-wide staffing plan, recommended by a nursing care |
committee or committees, that provides for minimum direct |
care professional registered nurse-to-patient staffing |
needs for each inpatient care unit. The written |
hospital-wide staffing plan shall include, but need not be |
limited to, the following considerations: |
(A) The complexity of complete care, assessment on |
patient admission, volume of patient admissions, |
discharges and transfers, evaluation of the progress |
|
of a patient's problems, ongoing physical assessments, |
planning for a patient's discharge, assessment after a |
change in patient condition, and assessment of the |
need for patient referrals. |
(B) The complexity of clinical professional |
nursing judgment needed to design and implement a |
patient's nursing care plan, the need for specialized |
equipment and technology, the skill mix of other |
personnel providing or supporting direct patient care, |
and involvement in quality improvement activities, |
professional preparation, and experience. |
(C) Patient acuity and the number of patients for |
whom care is being provided. |
(D) The ongoing assessments of a unit's patient |
acuity levels and nursing staff needed shall be |
routinely made by the unit nurse manager or his or her |
designee. |
(E) The identification of additional registered |
nurses available for direct patient care when |
patients' unexpected needs exceed the planned workload |
for direct care staff. |
(2) In order to provide staffing flexibility to meet |
patient needs, every hospital shall identify an acuity |
model for adjusting the staffing plan for each inpatient |
care unit. |
(3) The written staffing plan shall be posted , either |
|
by physical or electronic means, in a conspicuous and |
accessible location for both patients and direct care |
staff, as required under the Hospital Report Card Act. A |
copy of the written staffing plan shall be provided to any |
member of the general public upon request. |
(d) Nursing care committee. |
(1) Every hospital shall have a nursing care |
committee. A hospital shall appoint members of a committee |
whereby at least 50% of the members are registered |
professional nurses providing direct patient care. |
(2) A nursing care committee's recommendations must be |
given significant regard and weight in the hospital's |
adoption and implementation of a written staffing plan.
|
(3) A nursing care committee or committees shall |
recommend a written staffing plan for the hospital based |
on the principles from the staffing components set forth |
in subsection (c). In particular, a committee or |
committees shall provide input and feedback on the |
following: |
(A) Selection, implementation, and evaluation of |
minimum staffing levels for inpatient care units. |
(B) Selection, implementation, and evaluation of |
an acuity model to provide staffing flexibility that |
aligns changing patient acuity with nursing skills |
required. |
(C) Selection, implementation, and evaluation of a |
|
written staffing plan incorporating the items |
described in subdivisions (c)(1) and (c)(2) of this |
Section. |
(D) Review the following: nurse-to-patient |
staffing guidelines for all inpatient areas; and |
current acuity tools and measures in use. |
(4) A nursing care committee must address the items |
described in subparagraphs (A) through (D) of paragraph |
(3) semi-annually. |
(e) Nothing in this Section 10.10 shall be construed to |
limit, alter, or modify any of the terms, conditions, or |
provisions of a collective bargaining agreement entered into |
by the hospital.
|
(Source: P.A. 96-328, eff. 8-11-09; 97-423, eff. 1-1-12; |
97-813, eff. 7-13-12.) |
(210 ILCS 85/11.5)
|
Sec. 11.5. Uniform standards of obstetrical care |
regardless of
ability to pay. |
(a) No hospital may promulgate policies or implement |
practices that determine
differing standards of obstetrical |
care based upon a patient's source of
payment or ability
to pay |
for medical services.
|
(b) Each hospital shall develop a written policy statement |
reflecting the
requirements of subsection (a) and shall post , |
either by physical or electronic means, written notices of |
|
this policy in
the obstetrical admitting areas of the hospital |
by July 1, 2004. Notices
posted pursuant to this Section shall |
be posted in the predominant language or
languages spoken in |
the hospital's service area.
|
(Source: P.A. 93-981, eff. 8-23-04.) |
Section 15-10. The Language Assistance Services Act is |
amended by changing Section 15 as follows:
|
(210 ILCS 87/15)
|
Sec. 15. Language assistance services. |
(a) To ensure access to
health care information and |
services for
limited-English-speaking or non-English-speaking |
residents and deaf residents,
a health facility must do the |
following:
|
(1) Adopt and review annually a policy for providing |
language assistance
services to patients with language or |
communication barriers. The policy shall
include |
procedures for providing, to the extent possible as |
determined by the
facility, the use of an interpreter |
whenever a language or communication
barrier
exists, |
except where the patient, after being informed of the |
availability of
the interpreter service, chooses to use a |
family member or friend who
volunteers to interpret. The |
procedures shall be designed to maximize
efficient use of |
interpreters and minimize delays in providing interpreters |
|
to
patients. The procedures shall insure, to the extent |
possible as determined
by the facility, that
interpreters |
are available, either on the premises or accessible by |
telephone,
24 hours a day. The facility shall annually |
transmit to the Department of
Public Health a
copy of the |
updated policy and shall include a description of the |
facility's
efforts to
insure adequate and speedy |
communication between patients with language or
|
communication barriers and staff.
|
(2) Develop, and post , either by physical or |
electronic means, in conspicuous locations, notices that |
advise patients
and their families of the availability of |
interpreters, the procedure for
obtaining an interpreter, |
and the telephone numbers to call for filing
complaints |
concerning interpreter service problems, including, but |
not limited
to, a
TTY number for persons who are deaf or |
hard of hearing. The notices shall be posted, at a
|
minimum, in the emergency room, the admitting area, the |
facility entrance, and
the
outpatient area. Notices shall |
inform patients that interpreter services are
available on |
request, shall list the languages most commonly |
encountered at the facility for which interpreter services
|
are available, and shall instruct patients to direct |
complaints regarding
interpreter services to the |
Department of Public Health, including the
telephone
|
numbers to call for that purpose.
|
|
(3) Notify the facility's employees of the language |
services available at the facility and train them on how |
to make those language services available to patients.
|
(b) In addition, a health facility may do one or more of |
the following: |
(1) Identify and record a patient's primary language |
and dialect on one or more of the following: a patient |
medical chart, hospital bracelet, bedside notice, or |
nursing card. |
(2) Prepare and maintain, as needed, a list of |
interpreters who have been identified as proficient in |
sign language according to the Interpreter for the Deaf |
Licensure Act of 2007 and a list of the languages of the |
population of the geographical area served by the |
facility.
|
(3) Review all standardized written forms, waivers, |
documents, and
informational materials available to |
patients on admission to determine which
to translate into |
languages other than English.
|
(4) Consider providing its nonbilingual staff with |
standardized picture and
phrase sheets for use in routine |
communications with patients who have language
or |
communication barriers.
|
(5) Develop community liaison groups to enable the |
facility and the
limited-English-speaking, |
non-English-speaking, and deaf communities to ensure
the |
|
adequacy of the
interpreter services.
|
(Source: P.A. 98-756, eff. 7-16-14.)
|
Section 15-15. The Fair Patient Billing Act is amended by |
changing Section 15 as follows: |
(210 ILCS 88/15)
|
Sec. 15. Patient notification. |
(a) Each hospital shall post a sign with the following |
notice: |
"You may be eligible for financial assistance under |
the terms and conditions the hospital offers to qualified |
patients. For more information contact [hospital financial |
assistance representative]". |
(b) The sign under subsection (a) shall be posted , either |
by physical or electronic means, conspicuously in the |
admission and registration areas of the hospital. |
(c) The sign shall be in English, and in any other language |
that is the primary language of at least 5% of the patients |
served by the hospital annually. |
(d) Each hospital that has a website must post a notice in |
a prominent place on its website that financial assistance is |
available at the hospital, a description of the financial |
assistance application process, and a copy of the financial |
assistance application. |
(e) Within 180 days after the effective date of this |
|
amendatory Act of the 102nd General Assembly, each Each |
hospital must make available information regarding financial |
assistance from the hospital in the form of either a brochure, |
an application for financial assistance, or other written or |
electronic material in the emergency room, material in the |
hospital admission , or registration area.
|
(Source: P.A. 94-885, eff. 1-1-07.) |
Section 15-16. The Health Care Violence Prevention Act is |
amended by changing Section 15 as follows: |
(210 ILCS 160/15)
|
Sec. 15. Workplace safety. |
(a) A health care worker who contacts law enforcement or |
files a report with law enforcement against a patient or |
individual because of workplace violence shall provide notice |
to management of the health care provider by which he or she is |
employed within 3 days after contacting law enforcement or |
filing the report. |
(b) No management of a health care provider may discourage |
a health care worker from exercising his or her right to |
contact law enforcement or file a report with law enforcement |
because of workplace violence. |
(c) A health care provider that employs a health care |
worker shall display a notice , either by physical or |
electronic means, stating that verbal aggression will not be |
|
tolerated and physical assault will be reported to law |
enforcement. |
(d) The health care provider shall offer immediate |
post-incident services for a health care worker directly |
involved in a workplace violence incident caused by patients |
or their visitors, including acute treatment and access to |
psychological evaluation.
|
(Source: P.A. 100-1051, eff. 1-1-19 .) |
Section 15-17. The Medical Patient Rights Act is amended |
by changing Sections 3.4 and 5.2 as follows: |
(410 ILCS 50/3.4) |
Sec. 3.4. Rights of women; pregnancy and childbirth. |
(a) In addition to any other right provided under this |
Act, every woman has the following rights with regard to |
pregnancy and childbirth: |
(1) The right to receive health care before, during, |
and after pregnancy and childbirth. |
(2) The right to receive care for her and her infant |
that is consistent with generally accepted medical |
standards. |
(3) The right to choose a certified nurse midwife or |
physician as her maternity care professional. |
(4) The right to choose her birth setting from the |
full range of birthing options available in her community. |
|
(5) The right to leave her maternity care professional |
and select another if she becomes dissatisfied with her |
care, except as otherwise provided by law. |
(6) The right to receive information about the names |
of those health care professionals involved in her care. |
(7) The right to privacy and confidentiality of |
records, except as provided by law. |
(8) The right to receive information concerning her |
condition and proposed treatment, including methods of |
relieving pain. |
(9) The right to accept or refuse any treatment, to |
the extent medically possible. |
(10) The right to be informed if her caregivers wish |
to enroll her or her infant in a research study in |
accordance with Section 3.1 of this Act. |
(11) The right to access her medical records in |
accordance with Section 8-2001 of the Code of Civil |
Procedure. |
(12) The right to receive information in a language in |
which she can communicate in accordance with federal law. |
(13) The right to receive emotional and physical |
support during labor and birth. |
(14) The right to freedom of movement during labor and |
to give birth in the position of her choice, within |
generally accepted medical standards. |
(15) The right to contact with her newborn, except |
|
where necessary care must be provided to the mother or |
infant. |
(16) The right to receive information about |
breastfeeding. |
(17) The right to decide collaboratively with |
caregivers when she and her baby will leave the birth site |
for home, based on their conditions and circumstances. |
(18) The right to be treated with respect at all times |
before, during, and after pregnancy by her health care |
professionals. |
(19) The right of each patient, regardless of source |
of payment, to examine and receive a reasonable |
explanation of her total bill for services rendered by her |
maternity care professional or health care provider, |
including itemized charges for specific services received. |
Each maternity care professional or health care provider |
shall be responsible only for a reasonable explanation of |
those specific services provided by the maternity care |
professional or health care provider. |
(b) The Department of Public Health, Department of |
Healthcare and Family Services, Department of Children and |
Family Services, and Department of Human Services shall post , |
either by physical or electronic means, information about |
these rights on their publicly available websites. Every |
health care provider, day care center licensed under the Child |
Care Act of 1969, Head Start, and community center shall post |
|
information about these rights in a prominent place and on |
their websites, if applicable. |
(c) The Department of Public Health shall adopt rules to |
implement this Section. |
(d) Nothing in this Section or any rules adopted under |
subsection (c) shall be construed to require a physician, |
health care professional, hospital, hospital affiliate, or |
health care provider to provide care inconsistent with |
generally accepted medical standards or available capabilities |
or resources.
|
(Source: P.A. 101-445, eff. 1-1-20 .) |
(410 ILCS 50/5.2)
|
Sec. 5.2. Emergency room anti-discrimination notice. Every |
hospital shall post , either by physical or electronic means, a |
sign next to or in close proximity of its sign required by |
Section 489.20 (q)(1) of Title 42 of the Code of Federal |
Regulations stating the following: |
"You have the right not to be discriminated against by the |
hospital due to your race, color, or national origin if these |
characteristics are unrelated to your diagnosis or treatment. |
If you believe this right has been violated, please call |
(insert number for hospital grievance officer).".
|
(Source: P.A. 97-485, eff. 8-22-11.) |
Section 15-25. The Abandoned Newborn Infant Protection Act |
|
is amended by changing Section 22 as follows: |
(325 ILCS 2/22) |
Sec. 22. Signs. Every hospital, fire station, emergency |
medical facility, and police station that is required to |
accept a relinquished newborn infant in accordance with this |
Act must post , either by physical or electronic means, a sign |
in a conspicuous place on the exterior of the building housing |
the facility informing persons that a newborn infant may be |
relinquished at the facility in accordance with this Act. The |
Department shall prescribe specifications for the signs and |
for their placement that will ensure statewide uniformity. |
This Section does not apply to a hospital, fire station, |
emergency medical facility, or police station that has a sign |
that is consistent with the requirements of this Section that |
is posted on the effective date of this amendatory Act of the |
95th General Assembly.
|
(Source: P.A. 95-275, eff. 8-17-07.) |
Section 15-30. The Crime Victims Compensation Act is |
amended by changing Section 5.1 as follows:
|
(740 ILCS 45/5.1) (from Ch. 70, par. 75.1)
|
Sec. 5.1.
(a) Every hospital licensed under the laws of |
this State shall
display prominently in its emergency room |
posters giving notification of
the existence and general |
|
provisions of this Act. The posters may be displayed by |
physical or electronic means. Such posters shall be
provided |
by the Attorney General.
|
(b) Any law enforcement agency that investigates an |
offense committed
in this State shall inform the victim of the |
offense or his dependents concerning
the availability of an |
award of compensation and advise such persons that
any |
information concerning this Act and the filing of a claim may |
be obtained
from the office of the Attorney General.
|
(Source: P.A. 81-1013.)
|
Section 15-35. The Human Trafficking Resource Center |
Notice Act is amended by changing Sections 5 and 10 as follows: |
(775 ILCS 50/5) |
Sec. 5. Posted notice required. |
(a) Each of the following businesses and other |
establishments shall, upon the availability of the model |
notice described in Section 15 of this Act, post a notice that |
complies with the requirements of this Act in a conspicuous |
place near the public entrance of the establishment or in |
another conspicuous location in clear view of the public and |
employees where similar notices are customarily posted: |
(1) On premise consumption retailer licensees under |
the Liquor Control Act of 1934 where the sale of alcoholic |
liquor is the principal
business carried on by the |
|
licensee at the premises and primary to the
sale of food. |
(2) Adult entertainment facilities, as defined in |
Section 5-1097.5 of the Counties Code. |
(3) Primary airports, as defined in Section 47102(16) |
of Title 49 of the United States Code. |
(4) Intercity passenger rail or light rail stations. |
(5) Bus stations. |
(6) Truck stops. For purposes of this Act, "truck |
stop" means a privately-owned and operated facility that |
provides food, fuel, shower or other sanitary facilities, |
and lawful overnight truck parking. |
(7) Emergency rooms within general acute care |
hospitals , in which case the notice may be posted by |
electronic means . |
(8) Urgent care centers , in which case the notice may |
be posted by electronic means . |
(9) Farm labor contractors. For purposes of this Act, |
"farm labor contractor" means: (i) any person who for a |
fee or other valuable consideration recruits, supplies, or |
hires, or transports in connection therewith, into or |
within the State, any farmworker not of the contractor's |
immediate family to work for, or under the direction, |
supervision, or control of, a third person; or (ii) any |
person who for a fee or other valuable consideration |
recruits, supplies, or hires, or transports in connection |
therewith, into or within the State, any farmworker not of |
|
the contractor's immediate family, and who for a fee or |
other valuable consideration directs, supervises, or |
controls all or any part of the work of the farmworker or |
who disburses wages to the farmworker. However, "farm |
labor contractor" does not include full-time regular |
employees of food processing companies when the employees |
are engaged in recruiting for the companies if those |
employees are not compensated according to the number of |
farmworkers they recruit. |
(10) Privately-operated job recruitment centers. |
(11) Massage establishments. As used in this Act, |
"massage establishment" means a place of business in which |
any method of massage therapy is administered or practiced |
for compensation. "Massage establishment" does not |
include: an establishment at which persons licensed under |
the Medical Practice Act of 1987, the Illinois Physical |
Therapy Act, or the Naprapathic Practice Act engage in |
practice under one of those Acts; a business owned by a |
sole licensed massage therapist; or a cosmetology or |
esthetics salon registered under the Barber, Cosmetology, |
Esthetics, Hair Braiding, and Nail Technology Act of 1985. |
(b) The Department of Transportation shall, upon the |
availability of the model notice described in Section 15 of |
this Act, post a notice that complies with the requirements of |
this Act in a conspicuous place near the public entrance of |
each roadside rest area or in another conspicuous location in |
|
clear view of the public and employees where similar notices |
are customarily posted.
|
(c) The owner of a hotel or motel shall, upon the |
availability of the model notice described in Section 15 of |
this Act, post a notice that complies with the requirements of |
this Act in a conspicuous and accessible place in or about the |
premises in clear view of the employees where similar notices |
are customarily posted. |
(d) The organizer of a public gathering or special event |
that is conducted on property open to the public and requires |
the issuance of a permit from the unit of local government |
shall post a notice that complies with the requirements of |
this Act in a conspicuous and accessible place in or about the |
premises in clear view of the public and employees where |
similar notices are customarily posted. |
(e) The administrator of a public or private elementary |
school or public or private secondary school shall post a |
printout of the downloadable notice provided by the Department |
of Human Services under Section 15 that complies with the |
requirements of this Act in a conspicuous and accessible place |
chosen by the administrator in the administrative office or |
another location in view of school employees. School districts |
and personnel are not subject to the penalties provided under |
subsection (a) of Section 20. |
(f) The owner of an establishment registered under the |
Tattoo and Body Piercing Establishment Registration Act shall |
|
post a notice that complies with the requirements of this Act |
in a conspicuous and accessible place in clear view of |
establishment employees. |
(Source: P.A. 99-99, eff. 1-1-16; 99-565, eff. 7-1-17; |
100-671, eff. 1-1-19 .) |
(775 ILCS 50/10)
|
Sec. 10. Form of posted notice. |
(a) The notice required under this Act shall be at least 8 |
1/2 inches by 11 inches in size, written in a 16-point font , |
except that when the notice is provided by electronic means |
the size of the notice and font shall not be required to comply |
with these specifications , and shall state the following: |
"If you or someone you know is being forced to engage in any |
activity and cannot leave, whether it is commercial sex, |
housework, farm work, construction, factory, retail, or |
restaurant work, or any other activity, call the National |
Human Trafficking Resource Center at 1-888-373-7888 to access |
help and services. |
Victims of slavery and human trafficking are protected under |
United States and Illinois law.
The hotline is: |
* Available 24 hours a day, 7 days a week. |
* Toll-free. |
* Operated by nonprofit nongovernmental organizations. |
|
* Anonymous and confidential. |
* Accessible in more than 160 languages. |
* Able to provide help, referral to services, |
training, and general information.". |
(b) The notice shall be printed in English, Spanish, and |
in one other language that is the most widely spoken language |
in the county where the establishment is located and for which |
translation is mandated by the federal Voting Rights Act, as |
applicable. This subsection does not require a business or |
other establishment in a county where a language other than |
English or Spanish is the most widely spoken language to print |
the notice in more than one language in addition to English and |
Spanish.
|
(Source: P.A. 99-99, eff. 1-1-16 .) |
Article 20. |
Section 20-5. The University of Illinois Hospital Act is |
amended by adding Section 8d as follows: |
(110 ILCS 330/8d new) |
Sec. 8d. N95 masks. Pursuant to and in accordance with |
applicable local, State, and federal policies, guidance and |
recommendations of public health and infection control |
authorities, and taking into consideration the limitations on |
|
access to N95 masks caused by disruptions in local, State, |
national, and international supply chains, the University of |
Illinois Hospital shall provide N95 masks to physicians |
licensed under the Medical Practice Act of 1987, registered |
nurses and advanced practice registered nurses licensed under |
the Nurse Licensing Act, and any other employees or |
contractual workers who provide direct patient care and who, |
pursuant to such policies, guidance, and recommendations, are |
recommended to have such a mask to safely provide such direct |
patient care within a hospital setting. Nothing in this |
Section shall be construed to impose any new duty or |
obligation on the University of Illinois Hospital or employee |
that is greater than that imposed under State and federal laws |
in effect on the effective date of this amendatory Act of the |
102nd General Assembly. This Section is repealed on December |
31, 2021. |
Section 20-10. The Hospital Licensing Act is amended by |
adding Section 6.28 as follows: |
(210 ILCS 85/6.28 new) |
Sec. 6.28. N95 masks. Pursuant to and in accordance with |
applicable local, State, and federal policies, guidance and |
recommendations of public health and infection control |
authorities, and taking into consideration the limitations on |
access to N95 masks caused by disruptions in local, State, |
|
national, and international supply chains, a hospital licensed |
under this Act shall provide N95 masks to physicians licensed |
under the Medical Practice Act of 1987, registered nurses and |
advanced practice registered nurses licensed under the Nurse |
Licensing Act, and any other employees or contractual workers |
who provide direct patient care and who, pursuant to such |
policies, guidance, and recommendations, are recommended to |
have such a mask to safely provide such direct patient care |
within a hospital setting. Nothing in this Section shall be |
construed to impose any new duty or obligation on the hospital |
or employee that is greater than that imposed under State and |
federal laws in effect on the effective date of this |
amendatory Act of the 102nd General Assembly. This Section is |
repealed on December 31, 2021. |
Article 35. |
Section 35-5. The Illinois Public Aid Code is amended by |
changing Section 5-5.05 as follows: |
(305 ILCS 5/5-5.05) |
Sec. 5-5.05. Hospitals; psychiatric services. |
(a) On and after July 1, 2008, the inpatient, per diem rate |
to be paid to a hospital for inpatient psychiatric services |
shall be $363.77. |
(b) For purposes of this Section, "hospital" means the |
|
following: |
(1) Advocate Christ Hospital, Oak Lawn, Illinois. |
(2) Barnes-Jewish Hospital, St. Louis, Missouri. |
(3) BroMenn Healthcare, Bloomington, Illinois. |
(4) Jackson Park Hospital, Chicago, Illinois. |
(5) Katherine Shaw Bethea Hospital, Dixon, Illinois. |
(6) Lawrence County Memorial Hospital, Lawrenceville, |
Illinois. |
(7) Advocate Lutheran General Hospital, Park Ridge, |
Illinois. |
(8) Mercy Hospital and Medical Center, Chicago, |
Illinois. |
(9) Methodist Medical Center of Illinois, Peoria, |
Illinois. |
(10) Provena United Samaritans Medical Center, |
Danville, Illinois. |
(11) Rockford Memorial Hospital, Rockford, Illinois. |
(12) Sarah Bush Lincoln Health Center, Mattoon, |
Illinois. |
(13) Provena Covenant Medical Center, Urbana, |
Illinois. |
(14) Rush-Presbyterian-St. Luke's Medical Center, |
Chicago, Illinois. |
(15) Mt. Sinai Hospital, Chicago, Illinois. |
(16) Gateway Regional Medical Center, Granite City, |
Illinois. |
|
(17) St. Mary of Nazareth Hospital, Chicago, Illinois. |
(18) Provena St. Mary's Hospital, Kankakee, Illinois. |
(19) St. Mary's Hospital, Decatur, Illinois. |
(20) Memorial Hospital, Belleville, Illinois. |
(21) Swedish Covenant Hospital, Chicago, Illinois. |
(22) Trinity Medical Center, Rock Island, Illinois. |
(23) St. Elizabeth Hospital, Chicago, Illinois. |
(24) Richland Memorial Hospital, Olney, Illinois. |
(25) St. Elizabeth's Hospital, Belleville, Illinois. |
(26) Samaritan Health System, Clinton, Iowa. |
(27) St. John's Hospital, Springfield, Illinois. |
(28) St. Mary's Hospital, Centralia, Illinois. |
(29) Loretto Hospital, Chicago, Illinois. |
(30) Kenneth Hall Regional Hospital, East St. Louis, |
Illinois. |
(31) Hinsdale Hospital, Hinsdale, Illinois. |
(32) Pekin Hospital, Pekin, Illinois. |
(33) University of Chicago Medical Center, Chicago, |
Illinois. |
(34) St. Anthony's Health Center, Alton, Illinois. |
(35) OSF St. Francis Medical Center, Peoria, Illinois. |
(36) Memorial Medical Center, Springfield, Illinois. |
(37) A hospital with a distinct part unit for |
psychiatric services that begins operating on or after |
July 1, 2008. |
For purposes of this Section, "inpatient psychiatric |
|
services" means those services provided to patients who are in |
need of short-term acute inpatient hospitalization for active |
treatment of an emotional or mental disorder. |
(b-5) Notwithstanding any other provision of this Section, |
and subject to appropriation, the inpatient, per diem rate to |
be paid to all safety-net hospitals for inpatient psychiatric |
services on and after January 1, 2021 shall be at least $630. |
(c) No rules shall be promulgated to implement this |
Section. For purposes of this Section, "rules" is given the |
meaning contained in Section 1-70 of the Illinois |
Administrative Procedure Act. |
(d) This Section shall not be in effect during any period |
of time that the State has in place a fully operational |
hospital assessment plan that has been approved by the Centers |
for Medicare and Medicaid Services of the U.S. Department of |
Health and Human Services.
|
(e) On and after July 1, 2012, the Department shall reduce |
any rate of reimbursement for services or other payments or |
alter any methodologies authorized by this Code to reduce any |
rate of reimbursement for services or other payments in |
accordance with Section 5-5e. |
(Source: P.A. 97-689, eff. 6-14-12.) |
Title IV. Medical Implicit Bias |
Article 45. |
|
Section 45-5. The Department of Professional Regulation |
Law of the
Civil Administrative Code of Illinois is amended by |
adding Section 2105-15.7 as follows: |
(20 ILCS 2105/2105-15.7 new) |
Sec. 2105-15.7. Implicit bias awareness training. |
(a) As used in this Section, "health care professional" |
means a person licensed or registered by the Department of |
Financial and Professional Regulation under the following |
Acts: Medical Practice Act of 1987, Nurse Practice Act, |
Clinical Psychologist Licensing Act, Illinois Dental Practice |
Act, Illinois Optometric Practice Act of 1987, Pharmacy |
Practice Act, Illinois Physical Therapy Act, Physician |
Assistant Practice Act of 1987, Acupuncture Practice Act, |
Illinois Athletic Trainers Practice Act, Clinical Social Work |
and Social Work Practice Act, Dietitian Nutritionist Practice |
Act, Home Medical Equipment and Services Provider License Act, |
Naprapathic Practice Act, Nursing Home Administrators |
Licensing and Disciplinary Act, Illinois Occupational Therapy |
Practice Act, Illinois Optometric Practice Act of 1987, |
Podiatric Medical Practice Act of 1987, Respiratory Care |
Practice Act, Professional Counselor and Clinical Professional |
Counselor Licensing and Practice Act, Sex Offender Evaluation |
and Treatment Provider Act, Illinois Speech-Language Pathology |
and Audiology Practice Act, Perfusionist Practice Act, |
|
Registered Surgical Assistant and Registered Surgical |
Technologist Title Protection Act, and Genetic Counselor |
Licensing Act. |
(b) For license or registration renewals occurring on or |
after January 1, 2022, a health care professional who has |
continuing education requirements must complete at least a |
one-hour course in training on implicit bias awareness per |
renewal period. A health care professional may count this one |
hour for completion of this course toward meeting the minimum |
credit hours required for continuing education. Any training |
on implicit bias awareness applied to meet any other State |
licensure requirement, professional accreditation or |
certification requirement, or health care institutional |
practice agreement may count toward the one-hour requirement |
under this Section. |
(c) The Department may adopt rules for the implementation |
of this Section. |
Title V. Substance Abuse and Mental Health Treatment |
Article 50. |
Section 50-5. The Illinois Controlled Substances Act is |
amended by changing Section 414 as follows: |
(720 ILCS 570/414) |
|
Sec. 414. Overdose; limited immunity from prosecution . |
(a) For the purposes of this Section, "overdose" means a |
controlled substance-induced physiological event that results |
in a life-threatening emergency to the individual who |
ingested, inhaled, injected or otherwise bodily absorbed a |
controlled, counterfeit, or look-alike substance or a |
controlled substance analog. |
(b) A person who, in good faith, seeks or obtains |
emergency medical assistance for someone experiencing an |
overdose shall not be arrested, charged , or prosecuted for a |
violation of Section 401 or 402 of the Illinois Controlled |
Substances Act, Section 3.5 of the Drug Paraphernalia Control |
Act, Section 55 or 60 of the Methamphetamine Control and |
Community Protection Act, Section 9-3.3 of the Criminal Code |
of 2012, or paragraph (1) of subsection (g) of Section 12-3.05 |
of the Criminal Code of 2012 Class 4 felony possession of a |
controlled, counterfeit, or look-alike substance or a |
controlled substance analog if evidence for the violation |
Class 4 felony possession charge was acquired as a result of |
the person seeking or obtaining emergency medical assistance |
and providing the amount of substance recovered is within the |
amount identified in subsection (d) of this Section. The |
violations listed in this subsection (b) must not serve as the |
sole basis of a violation of parole, mandatory supervised |
release, probation, or conditional discharge, or any seizure |
of property under any State law authorizing civil forfeiture |
|
so long as the evidence for the violation was acquired as a |
result of the person seeking or obtaining emergency medical |
assistance in the event of an overdose. |
(c) A person who is experiencing an overdose shall not be |
arrested, charged , or prosecuted for a violation of Section |
401 or 402 of the Illinois Controlled Substances Act, Section |
3.5 of the Drug Paraphernalia Control Act, Section 9-3.3 of |
the Criminal Code of 2012, or paragraph (1) of subsection (g) |
of Section 12-3.05 of the Criminal Code of 2012 Class 4 felony |
possession of a controlled, counterfeit, or look-alike |
substance or a controlled substance analog if evidence for the |
violation Class 4 felony possession charge was acquired as a |
result of the person seeking or obtaining emergency medical |
assistance and providing the amount of substance recovered is |
within the amount identified in subsection (d) of this |
Section. The violations listed in this subsection (c) must not |
serve as the sole basis of a violation of parole, mandatory |
supervised release, probation, or conditional discharge, or |
any seizure of property under any State law authorizing civil |
forfeiture so long as the evidence for the violation was |
acquired as a result of the person seeking or obtaining |
emergency medical assistance in the event of an overdose. |
(d) For the purposes of subsections (b) and (c), the |
limited immunity shall only apply to a person possessing the |
following amount: |
(1) less than 3 grams of a substance containing |
|
heroin; |
(2) less than 3 grams of a substance containing |
cocaine; |
(3) less than 3 grams of a substance containing |
morphine; |
(4) less than 40 grams of a substance containing |
peyote; |
(5) less than 40 grams of a substance containing a |
derivative of barbituric acid or any of the salts of a |
derivative of barbituric acid; |
(6) less than 40 grams of a substance containing |
amphetamine or any salt of an optical isomer of |
amphetamine; |
(7) less than 3 grams of a substance containing |
lysergic acid diethylamide (LSD), or an analog thereof; |
(8) less than 6 grams of a substance containing |
pentazocine or any of the salts, isomers and salts of |
isomers of pentazocine, or an analog thereof; |
(9) less than 6 grams of a substance containing |
methaqualone or any of the salts, isomers and salts of |
isomers of methaqualone; |
(10) less than 6 grams of a substance containing |
phencyclidine or any of the salts, isomers and salts of |
isomers of phencyclidine (PCP); |
(11) less than 6 grams of a substance containing |
ketamine or any of the salts, isomers and salts of isomers |
|
of ketamine; |
(12) less than 40 grams of a substance containing a |
substance classified as a narcotic drug in Schedules I or |
II, or an analog thereof, which is not otherwise included |
in this subsection. |
(e) The limited immunity described in subsections (b) and |
(c) of this Section shall not be extended if law enforcement |
has reasonable suspicion or probable cause to detain, arrest, |
or search the person described in subsection (b) or (c) of this |
Section for criminal activity and the reasonable suspicion or |
probable cause is based on information obtained prior to or |
independent of the individual described in subsection (b) or |
(c) taking action to seek or obtain emergency medical |
assistance and not obtained as a direct result of the action of |
seeking or obtaining emergency medical assistance. Nothing in |
this Section is intended to interfere with or prevent the |
investigation, arrest, or prosecution of any person for the |
delivery or distribution of cannabis, methamphetamine or other |
controlled substances, drug-induced homicide, or any other |
crime if the evidence of the violation is not acquired as a |
result of the person seeking or obtaining emergency medical |
assistance in the event of an overdose .
|
(Source: P.A. 97-678, eff. 6-1-12 .)
|
Section 50-10. The Methamphetamine Control and Community |
Protection Act is amended by changing Section 115 as follows: |
|
(720 ILCS 646/115) |
Sec. 115. Overdose; limited immunity from prosecution . |
(a) For the purposes of this Section, "overdose" means a |
methamphetamine-induced physiological event that results in a |
life-threatening emergency to the individual who ingested, |
inhaled, injected, or otherwise bodily absorbed |
methamphetamine. |
(b) A person who, in good faith, seeks emergency medical |
assistance for someone experiencing an overdose shall not be |
arrested, charged or prosecuted for a violation of Section 55 |
or 60 of this Act or Section 3.5 of the Drug Paraphernalia |
Control Act, Section 9-3.3 of the Criminal Code of 2012, or |
paragraph (1) of subsection (g) of Section 12-3.05 of the |
Criminal Code of 2012 Class 3 felony possession of |
methamphetamine if evidence for the violation Class 3 felony |
possession charge was acquired as a result of the person |
seeking or obtaining emergency medical assistance and |
providing the amount of substance recovered is less than 3 |
grams one gram of methamphetamine or a substance containing |
methamphetamine. The violations listed in this subsection (b) |
must not serve as the sole basis of a violation of parole, |
mandatory supervised release, probation, or conditional |
discharge, or any seizure of property under any State law |
authorizing civil forfeiture so long as the evidence for the |
violation was acquired as a result of the person seeking or |
|
obtaining emergency medical assistance in the event of an |
overdose. |
(c) A person who is experiencing an overdose shall not be |
arrested, charged , or prosecuted for a violation of Section 55 |
or 60 of this Act or Section 3.5 of the Drug Paraphernalia |
Control Act, Section 9-3.3 of the Criminal Code of 2012, or |
paragraph (1) of subsection (g) of Section 12-3.05 of the |
Criminal Code of 2012 Class 3 felony possession of |
methamphetamine if evidence for the Class 3 felony possession |
charge was acquired as a result of the person seeking or |
obtaining emergency medical assistance and providing the |
amount of substance recovered is less than one gram of |
methamphetamine or a substance containing methamphetamine. The |
violations listed in this subsection (c) must not serve as the |
sole basis of a violation of parole, mandatory supervised |
release, probation, or conditional discharge, or any seizure |
of property under any State law authorizing civil forfeiture |
so long as the evidence for the violation was acquired as a |
result of the person seeking or obtaining emergency medical |
assistance in the event of an overdose. |
(d) The limited immunity described in subsections (b) and |
(c) of this Section shall not be extended if law enforcement |
has reasonable suspicion or probable cause to detain, arrest, |
or search the person described in subsection (b) or (c) of this |
Section for criminal activity and the reasonable suspicion or |
probable cause is based on information obtained prior to or |
|
independent of the individual described in subsection (b) or |
(c) taking action to seek or obtain emergency medical |
assistance and not obtained as a direct result of the action of |
seeking or obtaining emergency medical assistance. Nothing in |
this Section is intended to interfere with or prevent the |
investigation, arrest, or prosecution of any person for the |
delivery or distribution of cannabis, methamphetamine or other |
controlled substances, drug-induced homicide, or any other |
crime if the evidence of the violation is not acquired as a |
result of the person seeking or obtaining emergency medical |
assistance in the event of an overdose .
|
(Source: P.A. 97-678, eff. 6-1-12 .) |
Article 60. |
Section 60-5. The Adult Protective Services Act is amended |
by adding Section 3.1 as follows: |
(320 ILCS 20/3.1 new) |
Sec. 3.1. Adult protective services dementia training. |
(a) This Section shall apply to any person who is employed |
by the Department in the Adult Protective Services division, |
or is contracted with the
Department, and works on the |
development or implementation of
social services to respond to |
and prevent adult abuse, neglect, or exploitation. |
(b) The Department shall implement a dementia training |
|
program that must include instruction on the identification of |
people with dementia, risks such as wandering, communication |
impairments, and elder abuse, and the best practices for |
interacting with people with dementia. |
(c) Training of at least 2 hours shall be completed at the |
start of employment with the Adult Protective Services |
division. Persons who are employees of the Adult Protective |
Services division on the effective date of this amendatory Act |
of the 102nd General Assembly shall complete this training |
within 6 months after the effective date of this amendatory |
Act of the 102nd General Assembly. The training shall cover |
the following subjects: |
(1) Alzheimer's disease and dementia. |
(2) Safety risks. |
(3) Communication and behavior. |
(d) Annual continuing education shall include at least 2 |
hours of dementia training covering the subjects described in |
subsection (c). |
(e) This Section is designed to address gaps in current |
dementia training requirements for Adult Protective Services |
officials and improve the quality of training. If laws or |
rules existing on the effective date of this amendatory Act of |
the 102nd General Assembly contain more rigorous training |
requirements for Adult Protective Service officials, those |
laws or rules shall apply. Where there is overlap between this |
Section and other laws and rules, the Department shall |
|
interpret this Section to avoid duplication of requirements |
while ensuring that the minimum requirements set in this |
Section are met. |
(f) The Department may adopt rules for the administration |
of this Section. |
Article 65. |
Section 65-1. Short title. This Article may be cited as |
the Behavioral Health Workforce Education Center of Illinois |
Act. References in this Article to "this Act" mean this |
Article. |
Section 65-5. Findings. The General Assembly finds as |
follows:
|
(1) There are insufficient behavioral health |
professionals in this State's behavioral health workforce |
and further that there are insufficient behavioral health |
professionals trained in evidence-based practices.
|
(2) The Illinois behavioral health workforce situation |
is at a crisis state and the lack of a behavioral health |
strategy is exacerbating the problem.
|
(3) In 2019, the Journal of Community Health found |
that suicide rates are disproportionately higher among |
African American adolescents. From 2001 to 2017, the rate |
for African American teen boys rose 60%, according to the |
|
study. Among African American teen girls, rates nearly |
tripled, rising by an astounding 182%. Illinois was among |
the 10 states with the greatest number of African American |
adolescent suicides (2015-2017).
|
(4) Workforce shortages are evident in all behavioral |
health professions, including, but not limited to, |
psychiatry, psychiatric nursing, psychiatric physician |
assistant, social work (licensed social work, licensed |
clinical social work), counseling (licensed professional |
counseling, licensed clinical professional counseling), |
marriage and family therapy, licensed clinical psychology, |
occupational therapy, prevention, substance use disorder |
counseling, and peer support.
|
(5) The shortage of behavioral health practitioners |
affects every Illinois county, every group of people with |
behavioral health needs, including children and |
adolescents, justice-involved populations, working |
adults, people experiencing homelessness, veterans, and |
older adults, and every health care and social service |
setting, from residential facilities and hospitals to |
community-based organizations and primary care clinics.
|
(6) Estimates of unmet needs consistently highlight |
the dire situation in Illinois. Mental Health America |
ranks Illinois 29th in the country in mental health |
workforce availability based on its 480-to-1 ratio of |
population to mental health professionals, and the Kaiser |
|
Family Foundation estimates that only 23.3% of |
Illinoisans' mental health needs can be met with its |
current workforce.
|
(7) Shortages are especially acute in rural areas and |
among low-income and under-insured individuals and |
families. 30.3% of Illinois' rural hospitals are in |
designated primary care shortage areas and 93.7% are in |
designated mental health shortage areas. Nationally, 40% |
of psychiatrists work in cash-only practices, limiting |
access for those who cannot afford high out-of-pocket |
costs, especially Medicaid eligible individuals and |
families.
|
(8) Spanish-speaking therapists in suburban Cook |
County, as well as in immigrant new growth communities |
throughout the State, for example, and master's-prepared |
social workers in rural communities are especially |
difficult to recruit and retain.
|
(9) Illinois' shortage of psychiatrists specializing |
in serving children and adolescents is also severe. |
Eighty-one out of 102 Illinois counties have no child and |
adolescent psychiatrists, and the remaining 21 counties |
have only 310 child and adolescent psychiatrists for a |
population of 2,450,000 children.
|
(10) Only 38.9% of the 121,000 Illinois youth aged 12 |
through 17 who experienced a major depressive episode |
received care.
|
|
(11) An annual average of 799,000 people in Illinois |
aged 12 and older need but do not receive substance use |
disorder treatment at specialty facilities.
|
(12) According to the Statewide Semiannual Opioid |
Report,
Illinois Department of Public Health,
September |
2020, the number of opioid deaths in Illinois has |
increased 3% from 2,167 deaths in 2018 to 2,233
deaths in |
2019.
|
(13) Behavioral health workforce shortages have led to |
well-documented problems of long wait times for |
appointments with psychiatrists (4 to 6 months in some |
cases), high turnover, and unfilled vacancies for social |
workers and other behavioral health professionals that |
have eroded the gains in insurance coverage for mental |
illness and substance use disorder under the federal |
Affordable Care Act and parity laws.
|
(14) As a result, individuals with mental illness or |
substance use disorders end up in hospital emergency |
rooms, which are the most expensive level of care, or are |
incarcerated and do not receive adequate care, if any.
|
(15) There are many organizations and institutions |
that are affected by behavioral health workforce |
shortages, but no one entity is responsible for monitoring |
the workforce supply and intervening to ensure it can |
effectively meet behavioral health needs throughout the |
State.
|
|
(16) Workforce shortages are more complex than simple |
numerical shortfalls. Identifying the optimal number, |
type, and location of behavioral health professionals to |
meet the differing needs of Illinois' diverse regions and |
populations across the lifespan is a difficult logistical |
problem at the system and practice level that requires |
coordinated efforts in research, education, service |
delivery, and policy.
|
(17) This State has a compelling and substantial |
interest in building a pipeline for behavioral health |
professionals and to anchor research and education for |
behavioral health workforce development. Beginning with |
the proposed Behavioral Health Workforce Education Center |
of Illinois, Illinois has the chance to develop a |
blueprint to be a national leader in behavioral health |
workforce development.
|
(18) The State must act now to improve the ability of |
its residents to achieve their human potential and to live |
healthy, productive lives by reducing the misery and |
suffering with unmet behavioral health needs.
|
Section 65-10. Behavioral Health Workforce Education |
Center of Illinois.
|
(a) The Behavioral Health Workforce Education Center of |
Illinois is created and shall be administered by a teaching, |
research, or both teaching and research public institution of |
|
higher education in this State. Subject to appropriation, the |
Center shall be operational on or before July 1, 2022.
|
(b) The Behavioral Health Workforce Education Center of |
Illinois shall leverage workforce and behavioral health |
resources, including, but not limited to, State, federal, and |
foundation grant funding, federal Workforce Investment Act of |
1998 programs, the National Health Service Corps and other |
nongraduate medical education physician workforce training |
programs, and existing behavioral health partnerships, and |
align with reforms in Illinois.
|
Section 65-15. Structure.
|
(a) The Behavioral Health Workforce Education Center of |
Illinois shall be structured as a multisite model, and the |
administering public institution of higher education shall |
serve as the hub institution, complemented by secondary |
regional hubs, namely academic institutions, that serve rural |
and small urban areas and at least one academic institution |
serving a densely urban municipality with more than 1,000,000 |
inhabitants.
|
(b) The Behavioral Health Workforce Education Center of |
Illinois shall be located within one academic institution and |
shall be tasked with a convening and coordinating role for |
workforce research and planning, including monitoring progress |
toward Center goals.
|
(c) The Behavioral Health Workforce Education Center of |
|
Illinois shall also coordinate with key State agencies |
involved in behavioral health, workforce development, and |
higher education in order to leverage disparate resources from |
health care, workforce, and economic development programs in |
Illinois government.
|
Section 65-20. Duties. The Behavioral Health Workforce |
Education Center of Illinois shall perform the following |
duties:
|
(1) Organize a consortium of universities in |
partnerships with providers, school districts, law |
enforcement, consumers and their families, State agencies, |
and other stakeholders to implement workforce development |
concepts and strategies in every region of this State.
|
(2) Be responsible for developing and implementing a |
strategic plan for the recruitment, education, and |
retention of a qualified, diverse, and evolving behavioral |
health workforce in this State. Its planning and |
activities shall include:
|
(A) convening and organizing vested stakeholders |
spanning government agencies, clinics, behavioral |
health facilities, prevention programs, hospitals, |
schools, jails, prisons and juvenile justice, police |
and emergency medical services, consumers and their |
families, and other stakeholders;
|
(B) collecting and analyzing data on the |
|
behavioral health workforce in Illinois, with detailed |
information on specialties, credentials, additional |
qualifications (such as training or experience in |
particular models of care), location of practice, and |
demographic characteristics, including age, gender, |
race and ethnicity, and languages spoken;
|
(C) building partnerships with school districts, |
public institutions of higher education, and workforce |
investment agencies to create pipelines to behavioral |
health careers from high schools and colleges, |
pathways to behavioral health specialization among |
health professional students, and expanded behavioral |
health residency and internship opportunities for |
graduates;
|
(D) evaluating and disseminating information about |
evidence-based practices emerging from research |
regarding promising modalities of treatment, care |
coordination models, and medications;
|
(E) developing systems for tracking the |
utilization of evidence-based practices that most |
effectively meet behavioral health needs; and
|
(F) providing technical assistance to support |
professional training and continuing education |
programs that provide effective training in |
evidence-based behavioral health practices.
|
(3) Coordinate data collection and analysis, including |
|
systematic tracking of the behavioral health workforce and |
datasets that support workforce planning for an |
accessible, high-quality behavioral health system. In the |
medium to long-term, the Center shall develop Illinois |
behavioral workforce data capacity by:
|
(A) filling gaps in workforce data by collecting |
information on specialty, training, and qualifications |
for specific models of care, demographic |
characteristics, including gender, race, ethnicity, |
and languages spoken, and participation in public and |
private insurance networks;
|
(B) identifying the highest priority geographies, |
populations, and occupations for recruitment and |
training;
|
(C) monitoring the incidence of behavioral health |
conditions to improve estimates of unmet need; and
|
(D) compiling up-to-date, evidence-based |
practices, monitoring utilization, and aligning |
training resources to improve the uptake of the most |
effective practices.
|
(4) Work to grow and advance peer and parent-peer |
workforce development by:
|
(A) assessing the credentialing and reimbursement |
processes and recommending reforms;
|
(B) evaluating available peer-parent training |
models, choosing a model that meets Illinois' needs, |
|
and working with partners to implement it universally |
in child-serving programs throughout this State; and
|
(C) including peer recovery specialists and |
parent-peer support professionals in interdisciplinary |
training programs.
|
(5) Focus on the training of behavioral health |
professionals in telehealth techniques, including taking |
advantage of a telehealth network that exists, and other |
innovative means of care delivery in order to increase |
access to behavioral health services for all persons |
within this State.
|
(6) No later than December 1 of every odd-numbered |
year, prepare a report of its activities under this Act. |
The report shall be filed electronically with the General |
Assembly, as provided under Section 3.1 of the General |
Assembly Organization Act, and shall be provided |
electronically to any member of the General Assembly upon |
request.
|
Section 65-25. Selection process.
|
(a) No later than 90 days after the effective date of this |
Act, the Board of Higher Education shall select a public |
institution of higher education, with input and assistance |
from the Division of Mental Health of the Department of Human |
Services, to administer the Behavioral Health Workforce |
Education Center of Illinois.
|
|
(b) The selection process shall articulate the principles |
of the Behavioral Health Workforce Education Center of |
Illinois, not inconsistent with this Act.
|
(c) The Board of Higher Education, with input and |
assistance from the Division of Mental Health of the |
Department of Human Services, shall make its selection of a |
public institution of higher education based on its ability |
and willingness to execute the following tasks:
|
(1) Convening academic institutions providing |
behavioral health education to:
|
(A) develop curricula to train future behavioral |
health professionals in evidence-based practices that |
meet the most urgent needs of Illinois' residents;
|
(B) build capacity to provide clinical training |
and supervision; and
|
(C) facilitate telehealth services to every region |
of the State.
|
(2) Functioning as a clearinghouse for research, |
education, and training efforts to identify and |
disseminate evidence-based practices across the State.
|
(3) Leveraging financial support from grants and |
social impact loan funds.
|
(4) Providing infrastructure to organize regional |
behavioral health education and outreach. As budgets |
allow, this shall include conference and training space, |
research and faculty staff time, telehealth, and distance |
|
learning equipment.
|
(5) Working with regional hubs that assess and serve |
the workforce needs of specific, well-defined regions and |
specialize in specific research and training areas, such |
as telehealth or mental health-criminal justice |
partnerships, for which the regional hub can serve as a |
statewide leader.
|
(d) The Board of Higher Education may adopt such rules as |
may be necessary to implement and administer this Section.
|
Title VI. Access to Health Care |
Article 70. |
Section 70-5. The Use Tax Act is amended by changing |
Section 3-10 as follows:
|
(35 ILCS 105/3-10)
|
Sec. 3-10. Rate of tax. Unless otherwise provided in this |
Section, the tax
imposed by this Act is at the rate of 6.25% of |
either the selling price or the
fair market value, if any, of |
the tangible personal property. In all cases
where property |
functionally used or consumed is the same as the property that
|
was purchased at retail, then the tax is imposed on the selling |
price of the
property. In all cases where property |
functionally used or consumed is a
by-product or waste product |
|
that has been refined, manufactured, or produced
from property |
purchased at retail, then the tax is imposed on the lower of |
the
fair market value, if any, of the specific property so used |
in this State or on
the selling price of the property purchased |
at retail. For purposes of this
Section "fair market value" |
means the price at which property would change
hands between a |
willing buyer and a willing seller, neither being under any
|
compulsion to buy or sell and both having reasonable knowledge |
of the
relevant facts. The fair market value shall be |
established by Illinois sales by
the taxpayer of the same |
property as that functionally used or consumed, or if
there |
are no such sales by the taxpayer, then comparable sales or |
purchases of
property of like kind and character in Illinois.
|
Beginning on July 1, 2000 and through December 31, 2000, |
with respect to
motor fuel, as defined in Section 1.1 of the |
Motor Fuel Tax
Law, and gasohol, as defined in Section 3-40 of |
the Use Tax Act, the tax is
imposed at the rate of 1.25%.
|
Beginning on August 6, 2010 through August 15, 2010, with |
respect to sales tax holiday items as defined in Section 3-6 of |
this Act, the
tax is imposed at the rate of 1.25%. |
With respect to gasohol, the tax imposed by this Act |
applies to (i) 70%
of the proceeds of sales made on or after |
January 1, 1990, and before
July 1, 2003, (ii) 80% of the |
proceeds of sales made
on or after July 1, 2003 and on or |
before July 1, 2017, and (iii) 100% of the proceeds of sales |
made
thereafter.
If, at any time, however, the tax under this |
|
Act on sales of gasohol is
imposed at the
rate of 1.25%, then |
the tax imposed by this Act applies to 100% of the proceeds
of |
sales of gasohol made during that time.
|
With respect to majority blended ethanol fuel, the tax |
imposed by this Act
does
not apply
to the proceeds of sales |
made on or after July 1, 2003 and on or before
December 31, |
2023 but applies to 100% of the proceeds of sales made |
thereafter.
|
With respect to biodiesel blends with no less than 1% and |
no more than 10%
biodiesel, the tax imposed by this Act applies |
to (i) 80% of the
proceeds of sales made on or after July 1, |
2003 and on or before December 31, 2018
and (ii) 100% of the |
proceeds of sales made
thereafter.
If, at any time, however, |
the tax under this Act on sales of biodiesel blends
with no |
less than 1% and no more than 10% biodiesel
is imposed at the |
rate of
1.25%, then the
tax imposed by this Act applies to 100% |
of the proceeds of sales of biodiesel
blends with no less than |
1% and no more than 10% biodiesel
made
during that time.
|
With respect to 100% biodiesel and biodiesel blends with |
more than 10%
but no more than 99% biodiesel, the tax imposed |
by this Act does not apply to
the
proceeds of sales made on or |
after July 1, 2003 and on or before
December 31, 2023 but |
applies to 100% of the proceeds of sales made
thereafter.
|
With respect to food for human consumption that is to be |
consumed off the
premises where it is sold (other than |
alcoholic beverages, food consisting of or infused with adult |
|
use cannabis, soft drinks, and
food that has been prepared for |
immediate consumption) and prescription and
nonprescription |
medicines, drugs, medical appliances, products classified as |
Class III medical devices by the United States Food and Drug |
Administration that are used for cancer treatment pursuant to |
a prescription, as well as any accessories and components |
related to those devices, modifications to a motor
vehicle for |
the purpose of rendering it usable by a person with a |
disability, and
insulin, blood sugar urine testing materials, |
syringes, and needles used by human diabetics, for
human use, |
the tax is imposed at the rate of 1%. For the purposes of this
|
Section, until September 1, 2009: the term "soft drinks" means |
any complete, finished, ready-to-use,
non-alcoholic drink, |
whether carbonated or not, including but not limited to
soda |
water, cola, fruit juice, vegetable juice, carbonated water, |
and all other
preparations commonly known as soft drinks of |
whatever kind or description that
are contained in any closed |
or sealed bottle, can, carton, or container,
regardless of |
size; but "soft drinks" does not include coffee, tea, |
non-carbonated
water, infant formula, milk or milk products as |
defined in the Grade A
Pasteurized Milk and Milk Products Act, |
or drinks containing 50% or more
natural fruit or vegetable |
juice.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "soft drinks" means non-alcoholic |
beverages that contain natural or artificial sweeteners. "Soft |
|
drinks" do not include beverages that contain milk or milk |
products, soy, rice or similar milk substitutes, or greater |
than 50% of vegetable or fruit juice by volume. |
Until August 1, 2009, and notwithstanding any other |
provisions of this
Act, "food for human consumption that is to |
be consumed off the premises where
it is sold" includes all |
food sold through a vending machine, except soft
drinks and |
food products that are dispensed hot from a vending machine,
|
regardless of the location of the vending machine. Beginning |
August 1, 2009, and notwithstanding any other provisions of |
this Act, "food for human consumption that is to be consumed |
off the premises where it is sold" includes all food sold |
through a vending machine, except soft drinks, candy, and food |
products that are dispensed hot from a vending machine, |
regardless of the location of the vending machine.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "food for human consumption that |
is to be consumed off the premises where
it is sold" does not |
include candy. For purposes of this Section, "candy" means a |
preparation of sugar, honey, or other natural or artificial |
sweeteners in combination with chocolate, fruits, nuts or |
other ingredients or flavorings in the form of bars, drops, or |
pieces. "Candy" does not include any preparation that contains |
flour or requires refrigeration. |
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "nonprescription medicines and |
|
drugs" does not include grooming and hygiene products. For |
purposes of this Section, "grooming and hygiene products" |
includes, but is not limited to, soaps and cleaning solutions, |
shampoo, toothpaste, mouthwash, antiperspirants, and sun tan |
lotions and screens, unless those products are available by |
prescription only, regardless of whether the products meet the |
definition of "over-the-counter-drugs". For the purposes of |
this paragraph, "over-the-counter-drug" means a drug for human |
use that contains a label that identifies the product as a drug |
as required by 21 C.F.R. § 201.66. The "over-the-counter-drug" |
label includes: |
(A) A "Drug Facts" panel; or |
(B) A statement of the "active ingredient(s)" with a |
list of those ingredients contained in the compound, |
substance or preparation. |
Beginning on the effective date of this amendatory Act of |
the 98th General Assembly, "prescription and nonprescription |
medicines and drugs" includes medical cannabis purchased from |
a registered dispensing organization under the Compassionate |
Use of Medical Cannabis Program Act. |
As used in this Section, "adult use cannabis" means |
cannabis subject to tax under the Cannabis Cultivation |
Privilege Tax Law and the Cannabis Purchaser Excise Tax Law |
and does not include cannabis subject to tax under the |
Compassionate Use of Medical Cannabis Program Act. |
If the property that is purchased at retail from a |
|
retailer is acquired
outside Illinois and used outside |
Illinois before being brought to Illinois
for use here and is |
taxable under this Act, the "selling price" on which
the tax is |
computed shall be reduced by an amount that represents a
|
reasonable allowance for depreciation for the period of prior |
out-of-state use.
|
(Source: P.A. 100-22, eff. 7-6-17; 101-363, eff. 8-9-19; |
101-593, eff. 12-4-19.)
|
Section 70-10. The Service Use Tax Act is amended by |
changing Section 3-10 as follows:
|
(35 ILCS 110/3-10) (from Ch. 120, par. 439.33-10)
|
Sec. 3-10. Rate of tax. Unless otherwise provided in this |
Section,
the tax imposed by this Act is at the rate of 6.25% of |
the selling
price of tangible personal property transferred as |
an incident to the sale
of service, but, for the purpose of |
computing this tax, in no event shall
the selling price be less |
than the cost price of the property to the
serviceman.
|
Beginning on July 1, 2000 and through December 31, 2000, |
with respect to
motor fuel, as defined in Section 1.1 of the |
Motor Fuel Tax
Law, and gasohol, as defined in Section 3-40 of |
the Use Tax Act, the tax is
imposed at
the rate of 1.25%.
|
With respect to gasohol, as defined in the Use Tax Act, the |
tax imposed
by this Act applies to (i) 70% of the selling price |
of property transferred
as an incident to the sale of service |
|
on or after January 1, 1990,
and before July 1, 2003, (ii) 80% |
of the selling price of
property transferred as an incident to |
the sale of service on or after July
1, 2003 and on or before |
July 1, 2017, and (iii)
100% of the selling price thereafter.
|
If, at any time, however, the tax under this Act on sales of |
gasohol, as
defined in
the Use Tax Act, is imposed at the rate |
of 1.25%, then the
tax imposed by this Act applies to 100% of |
the proceeds of sales of gasohol
made during that time.
|
With respect to majority blended ethanol fuel, as defined |
in the Use Tax Act,
the
tax
imposed by this Act does not apply |
to the selling price of property transferred
as an incident to |
the sale of service on or after July 1, 2003 and on or before
|
December 31, 2023 but applies to 100% of the selling price |
thereafter.
|
With respect to biodiesel blends, as defined in the Use |
Tax Act, with no less
than 1% and no
more than 10% biodiesel, |
the tax imposed by this Act
applies to (i) 80% of the selling |
price of property transferred as an incident
to the sale of |
service on or after July 1, 2003 and on or before December 31, |
2018
and (ii) 100% of the proceeds of the selling price
|
thereafter.
If, at any time, however, the tax under this Act on |
sales of biodiesel blends,
as
defined in the Use Tax Act, with |
no less than 1% and no more than 10% biodiesel
is imposed at |
the rate of 1.25%, then the
tax imposed by this Act applies to |
100% of the proceeds of sales of biodiesel
blends with no less |
than 1% and no more than 10% biodiesel
made
during that time.
|
|
With respect to 100% biodiesel, as defined in the Use Tax |
Act, and biodiesel
blends, as defined in the Use Tax Act, with
|
more than 10% but no more than 99% biodiesel, the tax imposed |
by this Act
does not apply to the proceeds of the selling price |
of property transferred
as an incident to the sale of service |
on or after July 1, 2003 and on or before
December 31, 2023 but |
applies to 100% of the selling price thereafter.
|
At the election of any registered serviceman made for each |
fiscal year,
sales of service in which the aggregate annual |
cost price of tangible
personal property transferred as an |
incident to the sales of service is
less than 35%, or 75% in |
the case of servicemen transferring prescription
drugs or |
servicemen engaged in graphic arts production, of the |
aggregate
annual total gross receipts from all sales of |
service, the tax imposed by
this Act shall be based on the |
serviceman's cost price of the tangible
personal property |
transferred as an incident to the sale of those services.
|
The tax shall be imposed at the rate of 1% on food prepared |
for
immediate consumption and transferred incident to a sale |
of service subject
to this Act or the Service Occupation Tax |
Act by an entity licensed under
the Hospital Licensing Act, |
the Nursing Home Care Act, the ID/DD Community Care Act, the |
MC/DD Act, the Specialized Mental Health Rehabilitation Act of |
2013, or the
Child Care
Act of 1969. The tax shall
also be |
imposed at the rate of 1% on food for human consumption that is |
to be
consumed off the premises where it is sold (other than |
|
alcoholic beverages, food consisting of or infused with adult |
use cannabis,
soft drinks, and food that has been prepared for |
immediate consumption and is
not otherwise included in this |
paragraph) and prescription and nonprescription
medicines, |
drugs, medical appliances, products classified as Class III |
medical devices by the United States Food and Drug |
Administration that are used for cancer treatment pursuant to |
a prescription, as well as any accessories and components |
related to those devices, modifications to a motor vehicle for |
the
purpose of rendering it usable by a person with a |
disability, and insulin, blood sugar urine testing
materials,
|
syringes, and needles used by human diabetics , for
human use . |
For the purposes of this Section, until September 1, 2009: the |
term "soft drinks" means any
complete, finished, ready-to-use, |
non-alcoholic drink, whether carbonated or
not, including but |
not limited to soda water, cola, fruit juice, vegetable
juice, |
carbonated water, and all other preparations commonly known as |
soft
drinks of whatever kind or description that are contained |
in any closed or
sealed bottle, can, carton, or container, |
regardless of size; but "soft drinks"
does not include coffee, |
tea, non-carbonated water, infant formula, milk or
milk |
products as defined in the Grade A Pasteurized Milk and Milk |
Products Act,
or drinks containing 50% or more natural fruit |
or vegetable juice.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "soft drinks" means non-alcoholic |
|
beverages that contain natural or artificial sweeteners. "Soft |
drinks" do not include beverages that contain milk or milk |
products, soy, rice or similar milk substitutes, or greater |
than 50% of vegetable or fruit juice by volume. |
Until August 1, 2009, and notwithstanding any other |
provisions of this Act, "food for human
consumption that is to |
be consumed off the premises where it is sold" includes
all |
food sold through a vending machine, except soft drinks and |
food products
that are dispensed hot from a vending machine, |
regardless of the location of
the vending machine. Beginning |
August 1, 2009, and notwithstanding any other provisions of |
this Act, "food for human consumption that is to be consumed |
off the premises where it is sold" includes all food sold |
through a vending machine, except soft drinks, candy, and food |
products that are dispensed hot from a vending machine, |
regardless of the location of the vending machine.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "food for human consumption that |
is to be consumed off the premises where
it is sold" does not |
include candy. For purposes of this Section, "candy" means a |
preparation of sugar, honey, or other natural or artificial |
sweeteners in combination with chocolate, fruits, nuts or |
other ingredients or flavorings in the form of bars, drops, or |
pieces. "Candy" does not include any preparation that contains |
flour or requires refrigeration. |
Notwithstanding any other provisions of this
Act, |
|
beginning September 1, 2009, "nonprescription medicines and |
drugs" does not include grooming and hygiene products. For |
purposes of this Section, "grooming and hygiene products" |
includes, but is not limited to, soaps and cleaning solutions, |
shampoo, toothpaste, mouthwash, antiperspirants, and sun tan |
lotions and screens, unless those products are available by |
prescription only, regardless of whether the products meet the |
definition of "over-the-counter-drugs". For the purposes of |
this paragraph, "over-the-counter-drug" means a drug for human |
use that contains a label that identifies the product as a drug |
as required by 21 C.F.R. § 201.66. The "over-the-counter-drug" |
label includes: |
(A) A "Drug Facts" panel; or |
(B) A statement of the "active ingredient(s)" with a |
list of those ingredients contained in the compound, |
substance or preparation. |
Beginning on January 1, 2014 (the effective date of Public |
Act 98-122), "prescription and nonprescription medicines and |
drugs" includes medical cannabis purchased from a registered |
dispensing organization under the Compassionate Use of Medical |
Cannabis Program Act. |
As used in this Section, "adult use cannabis" means |
cannabis subject to tax under the Cannabis Cultivation |
Privilege Tax Law and the Cannabis Purchaser Excise Tax Law |
and does not include cannabis subject to tax under the |
Compassionate Use of Medical Cannabis Program Act. |
|
If the property that is acquired from a serviceman is |
acquired outside
Illinois and used outside Illinois before |
being brought to Illinois for use
here and is taxable under |
this Act, the "selling price" on which the tax
is computed |
shall be reduced by an amount that represents a reasonable
|
allowance for depreciation for the period of prior |
out-of-state use.
|
(Source: P.A. 100-22, eff. 7-6-17; 101-363, eff. 8-9-19; |
101-593, eff. 12-4-19.) |
Section 70-15. The Service Occupation Tax Act is amended |
by changing Section 3-10 as follows:
|
(35 ILCS 115/3-10) (from Ch. 120, par. 439.103-10)
|
Sec. 3-10. Rate of tax. Unless otherwise provided in this |
Section,
the tax imposed by this Act is at the rate of 6.25% of |
the "selling price",
as defined in Section 2 of the Service Use |
Tax Act, of the tangible
personal property. For the purpose of |
computing this tax, in no event
shall the "selling price" be |
less than the cost price to the serviceman of
the tangible |
personal property transferred. The selling price of each item
|
of tangible personal property transferred as an incident of a |
sale of
service may be shown as a distinct and separate item on |
the serviceman's
billing to the service customer. If the |
selling price is not so shown, the
selling price of the |
tangible personal property is deemed to be 50% of the
|
|
serviceman's entire billing to the service customer. When, |
however, a
serviceman contracts to design, develop, and |
produce special order machinery or
equipment, the tax imposed |
by this Act shall be based on the serviceman's
cost price of |
the tangible personal property transferred incident to the
|
completion of the contract.
|
Beginning on July 1, 2000 and through December 31, 2000, |
with respect to
motor fuel, as defined in Section 1.1 of the |
Motor Fuel Tax
Law, and gasohol, as defined in Section 3-40 of |
the Use Tax Act, the tax is
imposed at
the rate of 1.25%.
|
With respect to gasohol, as defined in the Use Tax Act, the |
tax imposed
by this Act shall apply to (i) 70% of the cost |
price of property
transferred as
an incident to the sale of |
service on or after January 1, 1990, and before
July 1, 2003, |
(ii) 80% of the selling price of property transferred as an
|
incident to the sale of service on or after July
1, 2003 and on |
or before July 1, 2017, and (iii) 100%
of
the cost price
|
thereafter.
If, at any time, however, the tax under this Act on |
sales of gasohol, as
defined in
the Use Tax Act, is imposed at |
the rate of 1.25%, then the
tax imposed by this Act applies to |
100% of the proceeds of sales of gasohol
made during that time.
|
With respect to majority blended ethanol fuel, as defined |
in the Use Tax Act,
the
tax
imposed by this Act does not apply |
to the selling price of property transferred
as an incident to |
the sale of service on or after July 1, 2003 and on or before
|
December 31, 2023 but applies to 100% of the selling price |
|
thereafter.
|
With respect to biodiesel blends, as defined in the Use |
Tax Act, with no less
than 1% and no
more than 10% biodiesel, |
the tax imposed by this Act
applies to (i) 80% of the selling |
price of property transferred as an incident
to the sale of |
service on or after July 1, 2003 and on or before December 31, |
2018
and (ii) 100% of the proceeds of the selling price
|
thereafter.
If, at any time, however, the tax under this Act on |
sales of biodiesel blends,
as
defined in the Use Tax Act, with |
no less than 1% and no more than 10% biodiesel
is imposed at |
the rate of 1.25%, then the
tax imposed by this Act applies to |
100% of the proceeds of sales of biodiesel
blends with no less |
than 1% and no more than 10% biodiesel
made
during that time.
|
With respect to 100% biodiesel, as defined in the Use Tax |
Act, and biodiesel
blends, as defined in the Use Tax Act, with
|
more than 10% but no more than 99% biodiesel material, the tax |
imposed by this
Act
does not apply to the proceeds of the |
selling price of property transferred
as an incident to the |
sale of service on or after July 1, 2003 and on or before
|
December 31, 2023 but applies to 100% of the selling price |
thereafter.
|
At the election of any registered serviceman made for each |
fiscal year,
sales of service in which the aggregate annual |
cost price of tangible
personal property transferred as an |
incident to the sales of service is
less than 35%, or 75% in |
the case of servicemen transferring prescription
drugs or |
|
servicemen engaged in graphic arts production, of the |
aggregate
annual total gross receipts from all sales of |
service, the tax imposed by
this Act shall be based on the |
serviceman's cost price of the tangible
personal property |
transferred incident to the sale of those services.
|
The tax shall be imposed at the rate of 1% on food prepared |
for
immediate consumption and transferred incident to a sale |
of service subject
to this Act or the Service Occupation Tax |
Act by an entity licensed under
the Hospital Licensing Act, |
the Nursing Home Care Act, the ID/DD Community Care Act, the |
MC/DD Act, the Specialized Mental Health Rehabilitation Act of |
2013, or the
Child Care Act of 1969. The tax shall
also be |
imposed at the rate of 1% on food for human consumption that is
|
to be consumed off the
premises where it is sold (other than |
alcoholic beverages, food consisting of or infused with adult |
use cannabis, soft drinks, and
food that has been prepared for |
immediate consumption and is not
otherwise included in this |
paragraph) and prescription and
nonprescription medicines, |
drugs, medical appliances, products classified as Class III |
medical devices by the United States Food and Drug |
Administration that are used for cancer treatment pursuant to |
a prescription, as well as any accessories and components |
related to those devices, modifications to a motor
vehicle for |
the purpose of rendering it usable by a person with a |
disability, and
insulin, blood sugar urine testing materials, |
syringes, and needles used by human diabetics , for
human use . |
|
For the purposes of this Section, until September 1, 2009: the |
term "soft drinks" means any
complete, finished, ready-to-use, |
non-alcoholic drink, whether carbonated or
not, including but |
not limited to soda water, cola, fruit juice, vegetable
juice, |
carbonated water, and all other preparations commonly known as |
soft
drinks of whatever kind or description that are contained |
in any closed or
sealed can, carton, or container, regardless |
of size; but "soft drinks" does not
include coffee, tea, |
non-carbonated water, infant formula, milk or milk
products as |
defined in the Grade A Pasteurized Milk and Milk Products Act, |
or
drinks containing 50% or more natural fruit or vegetable |
juice.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "soft drinks" means non-alcoholic |
beverages that contain natural or artificial sweeteners. "Soft |
drinks" do not include beverages that contain milk or milk |
products, soy, rice or similar milk substitutes, or greater |
than 50% of vegetable or fruit juice by volume. |
Until August 1, 2009, and notwithstanding any other |
provisions of this Act, "food for human consumption
that is to |
be consumed off the premises where it is sold" includes all |
food
sold through a vending machine, except soft drinks and |
food products that are
dispensed hot from a vending machine, |
regardless of the location of the vending
machine. Beginning |
August 1, 2009, and notwithstanding any other provisions of |
this Act, "food for human consumption that is to be consumed |
|
off the premises where it is sold" includes all food sold |
through a vending machine, except soft drinks, candy, and food |
products that are dispensed hot from a vending machine, |
regardless of the location of the vending machine.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "food for human consumption that |
is to be consumed off the premises where
it is sold" does not |
include candy. For purposes of this Section, "candy" means a |
preparation of sugar, honey, or other natural or artificial |
sweeteners in combination with chocolate, fruits, nuts or |
other ingredients or flavorings in the form of bars, drops, or |
pieces. "Candy" does not include any preparation that contains |
flour or requires refrigeration. |
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "nonprescription medicines and |
drugs" does not include grooming and hygiene products. For |
purposes of this Section, "grooming and hygiene products" |
includes, but is not limited to, soaps and cleaning solutions, |
shampoo, toothpaste, mouthwash, antiperspirants, and sun tan |
lotions and screens, unless those products are available by |
prescription only, regardless of whether the products meet the |
definition of "over-the-counter-drugs". For the purposes of |
this paragraph, "over-the-counter-drug" means a drug for human |
use that contains a label that identifies the product as a drug |
as required by 21 C.F.R. § 201.66. The "over-the-counter-drug" |
label includes: |
|
(A) A "Drug Facts" panel; or |
(B) A statement of the "active ingredient(s)" with a |
list of those ingredients contained in the compound, |
substance or preparation. |
Beginning on January 1, 2014 (the effective date of Public |
Act 98-122), "prescription and nonprescription medicines and |
drugs" includes medical cannabis purchased from a registered |
dispensing organization under the Compassionate Use of Medical |
Cannabis Program Act. |
As used in this Section, "adult use cannabis" means |
cannabis subject to tax under the Cannabis Cultivation |
Privilege Tax Law and the Cannabis Purchaser Excise Tax Law |
and does not include cannabis subject to tax under the |
Compassionate Use of Medical Cannabis Program Act. |
(Source: P.A. 100-22, eff. 7-6-17; 101-363, eff. 8-9-19; |
101-593, eff. 12-4-19.) |
Section 70-20. The Retailers' Occupation Tax Act is |
amended by changing Section 2-10 as follows:
|
(35 ILCS 120/2-10)
|
Sec. 2-10. Rate of tax. Unless otherwise provided in this |
Section,
the tax imposed by this Act is at the rate of 6.25% of |
gross receipts
from sales of tangible personal property made |
in the course of business.
|
Beginning on July 1, 2000 and through December 31, 2000, |
|
with respect to
motor fuel, as defined in Section 1.1 of the |
Motor Fuel Tax
Law, and gasohol, as defined in Section 3-40 of |
the Use Tax Act, the tax is
imposed at the rate of 1.25%.
|
Beginning on August 6, 2010 through August 15, 2010, with |
respect to sales tax holiday items as defined in Section 2-8 of |
this Act, the
tax is imposed at the rate of 1.25%. |
Within 14 days after the effective date of this amendatory |
Act of the 91st
General Assembly, each retailer of motor fuel |
and gasohol shall cause the
following notice to be posted in a |
prominently visible place on each retail
dispensing device |
that is used to dispense motor
fuel or gasohol in the State of |
Illinois: "As of July 1, 2000, the State of
Illinois has |
eliminated the State's share of sales tax on motor fuel and
|
gasohol through December 31, 2000. The price on this pump |
should reflect the
elimination of the tax." The notice shall |
be printed in bold print on a sign
that is no smaller than 4 |
inches by 8 inches. The sign shall be clearly
visible to |
customers. Any retailer who fails to post or maintain a |
required
sign through December 31, 2000 is guilty of a petty |
offense for which the fine
shall be $500 per day per each |
retail premises where a violation occurs.
|
With respect to gasohol, as defined in the Use Tax Act, the |
tax imposed
by this Act applies to (i) 70% of the proceeds of |
sales made on or after
January 1, 1990, and before July 1, |
2003, (ii) 80% of the proceeds of
sales made on or after July |
1, 2003 and on or before July 1, 2017, and (iii) 100% of the |
|
proceeds of sales
made thereafter.
If, at any time, however, |
the tax under this Act on sales of gasohol, as
defined in
the |
Use Tax Act, is imposed at the rate of 1.25%, then the
tax |
imposed by this Act applies to 100% of the proceeds of sales of |
gasohol
made during that time.
|
With respect to majority blended ethanol fuel, as defined |
in the Use Tax Act,
the
tax
imposed by this Act does not apply |
to the proceeds of sales made on or after
July 1, 2003 and on |
or before December 31, 2023 but applies to 100% of the
proceeds |
of sales made thereafter.
|
With respect to biodiesel blends, as defined in the Use |
Tax Act, with no less
than 1% and no
more than 10% biodiesel, |
the tax imposed by this Act
applies to (i) 80% of the proceeds |
of sales made on or after July 1, 2003
and on or before |
December 31, 2018 and (ii) 100% of the
proceeds of sales made |
thereafter.
If, at any time, however, the tax under this Act on |
sales of biodiesel blends,
as
defined in the Use Tax Act, with |
no less than 1% and no more than 10% biodiesel
is imposed at |
the rate of 1.25%, then the
tax imposed by this Act applies to |
100% of the proceeds of sales of biodiesel
blends with no less |
than 1% and no more than 10% biodiesel
made
during that time.
|
With respect to 100% biodiesel, as defined in the Use Tax |
Act, and biodiesel
blends, as defined in the Use Tax Act, with
|
more than 10% but no more than 99% biodiesel, the tax imposed |
by this Act
does not apply to the proceeds of sales made on or |
after July 1, 2003
and on or before December 31, 2023 but |
|
applies to 100% of the
proceeds of sales made thereafter.
|
With respect to food for human consumption that is to be |
consumed off the
premises where it is sold (other than |
alcoholic beverages, food consisting of or infused with adult |
use cannabis, soft drinks, and
food that has been prepared for |
immediate consumption) and prescription and
nonprescription |
medicines, drugs, medical appliances, products classified as |
Class III medical devices by the United States Food and Drug |
Administration that are used for cancer treatment pursuant to |
a prescription, as well as any accessories and components |
related to those devices, modifications to a motor
vehicle for |
the purpose of rendering it usable by a person with a |
disability, and
insulin, blood sugar urine testing materials, |
syringes, and needles used by human diabetics, for
human use, |
the tax is imposed at the rate of 1%. For the purposes of this
|
Section, until September 1, 2009: the term "soft drinks" means |
any complete, finished, ready-to-use,
non-alcoholic drink, |
whether carbonated or not, including but not limited to
soda |
water, cola, fruit juice, vegetable juice, carbonated water, |
and all other
preparations commonly known as soft drinks of |
whatever kind or description that
are contained in any closed |
or sealed bottle, can, carton, or container,
regardless of |
size; but "soft drinks" does not include coffee, tea, |
non-carbonated
water, infant formula, milk or milk products as |
defined in the Grade A
Pasteurized Milk and Milk Products Act, |
or drinks containing 50% or more
natural fruit or vegetable |
|
juice.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "soft drinks" means non-alcoholic |
beverages that contain natural or artificial sweeteners. "Soft |
drinks" do not include beverages that contain milk or milk |
products, soy, rice or similar milk substitutes, or greater |
than 50% of vegetable or fruit juice by volume. |
Until August 1, 2009, and notwithstanding any other |
provisions of this
Act, "food for human consumption that is to |
be consumed off the premises where
it is sold" includes all |
food sold through a vending machine, except soft
drinks and |
food products that are dispensed hot from a vending machine,
|
regardless of the location of the vending machine. Beginning |
August 1, 2009, and notwithstanding any other provisions of |
this Act, "food for human consumption that is to be consumed |
off the premises where it is sold" includes all food sold |
through a vending machine, except soft drinks, candy, and food |
products that are dispensed hot from a vending machine, |
regardless of the location of the vending machine.
|
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "food for human consumption that |
is to be consumed off the premises where
it is sold" does not |
include candy. For purposes of this Section, "candy" means a |
preparation of sugar, honey, or other natural or artificial |
sweeteners in combination with chocolate, fruits, nuts or |
other ingredients or flavorings in the form of bars, drops, or |
|
pieces. "Candy" does not include any preparation that contains |
flour or requires refrigeration. |
Notwithstanding any other provisions of this
Act, |
beginning September 1, 2009, "nonprescription medicines and |
drugs" does not include grooming and hygiene products. For |
purposes of this Section, "grooming and hygiene products" |
includes, but is not limited to, soaps and cleaning solutions, |
shampoo, toothpaste, mouthwash, antiperspirants, and sun tan |
lotions and screens, unless those products are available by |
prescription only, regardless of whether the products meet the |
definition of "over-the-counter-drugs". For the purposes of |
this paragraph, "over-the-counter-drug" means a drug for human |
use that contains a label that identifies the product as a drug |
as required by 21 C.F.R. § 201.66. The "over-the-counter-drug" |
label includes: |
(A) A "Drug Facts" panel; or |
(B) A statement of the "active ingredient(s)" with a |
list of those ingredients contained in the compound, |
substance or preparation.
|
Beginning on the effective date of this amendatory Act of |
the 98th General Assembly, "prescription and nonprescription |
medicines and drugs" includes medical cannabis purchased from |
a registered dispensing organization under the Compassionate |
Use of Medical Cannabis Program Act. |
As used in this Section, "adult use cannabis" means |
cannabis subject to tax under the Cannabis Cultivation |
|
Privilege Tax Law and the Cannabis Purchaser Excise Tax Law |
and does not include cannabis subject to tax under the |
Compassionate Use of Medical Cannabis Program Act. |
(Source: P.A. 100-22, eff. 7-6-17; 101-363, eff. 8-9-19; |
101-593, eff. 12-4-19.)
|
Article 72. |
Section 72-1. Short title. This Article may be cited as |
the Underlying Causes of Crime and Violence Study Act. |
Section 72-5. Legislative findings. In the State of |
Illinois, two-thirds of gun violence is related to suicide, |
and one-third is related to homicide, claiming approximately |
12,000 lives a year. Violence has plagued communities, |
predominantly poor and distressed communities in urban |
settings, which have always treated violence as a criminal |
justice issue, instead of a public health issue. On February |
21, 2018, Pastor Anthony Williams was informed that his son, |
Nehemiah William, had been shot to death. Due to this |
disheartening event, Pastor Anthony Williams reached out to |
State Representative Elizabeth "Lisa" Hernandez, urging that |
the issue of violence be treated as a public health crisis. In |
2018, elected officials from all levels of government started |
a coalition to address violence as a public health crisis, |
with the assistance of faith-based organizations, advocates, |
|
and community members and held a statewide listening tour from |
August 2018 to April 2019. The listening tour consisted of |
stops on the South Side and West Side of Chicago, Maywood, |
Springfield, and East St. Louis, with a future scheduled visit |
in Danville. During the statewide listening sessions, |
community members actively discussed neighborhood safety, |
defining violence and how and why violence occurs in their |
communities. The listening sessions provided different |
solutions to address violence, however, all sessions confirmed |
a disconnect from the priorities of government and the needs |
of these communities.
|
Section 72-10. Study. The Department of Public Health and |
the Department of Human Services shall study how to create a |
process to identify high violence communities, also known as |
R3 (Restore, Reinvest, and Renew) areas, and prioritize State |
dollars to go to these communities to fund programs as well as |
community and economic development projects that would address |
the underlying causes of crime and violence.
|
Due to a variety of reasons, including in particular the |
State's budget impasse, funds from multiple sources to |
establish such a comprehensive policy are subject to |
appropriation. Private philanthropic efforts will also be |
considered. Policies like R3 are needed in order to provide |
communities that have historically suffered from divestment, |
poverty, and incarceration with smart solutions that can solve |
|
the plague of structural violence that includes collective, |
interpersonal, and self-directed violence. Understanding |
structural violence helps explain the multiple and often |
intersecting forces that create and perpetuate these |
conditions on multiple levels. It is clear that violence is a |
public health problem that needs to be treated as such. |
Research has shown that when violence is treated in such a way |
that educates, fosters collaboration, and redirects the |
funding on a governmental level, its effects can be slowed or |
even halted, resulting in civility being brought to our |
communities in the State of Illinois. Research has shown that |
when violence is treated in such a way, then its effects can be |
slowed or even halted. |
Section 72-15. Report.
The Department of Public Health |
and the Department of Human Services are required to report |
their findings to the General Assembly by December 31, 2021. |
Article 80. |
Section 80-5. The Employee Sick Leave Act is amended by |
changing Sections 5 and 10 as follows: |
(820 ILCS 191/5)
|
Sec. 5. Definitions. In this Act: |
"Covered family member" means an employee's child, |
|
stepchild, spouse, domestic partner, sibling, parent, |
mother-in-law, father-in-law, grandchild, grandparent, or |
stepparent. |
"Department" means the Department of Labor. |
"Personal care" means activities to ensure that a covered |
family member's basic medical, hygiene, nutritional, or safety |
needs are met, or to provide transportation to medical |
appointments, for a covered family member who is unable to |
meet those needs himself or herself. "Personal care" also |
means being physically present to provide emotional support to |
a covered family member with a serious health condition who is |
receiving inpatient or home care. |
"Personal sick leave benefits" means any paid or unpaid |
time available to an employee as provided through an |
employment benefit plan or paid time off policy to be used as a |
result of absence from work due to personal illness, injury, |
or medical appointment , or for personal care of a covered |
family member . An employment benefit plan or paid time off |
policy does not include long term disability, short term |
disability, an insurance policy, or other comparable benefit |
plan or policy.
|
(Source: P.A. 99-841, eff. 1-1-17; 99-921, eff. 1-13-17.) |
(820 ILCS 191/10)
|
Sec. 10. Use of leave; limitations. |
(a) An employee may use personal sick leave benefits |
|
provided by the employer for absences due to an illness, |
injury, or medical appointment of the employee's child, |
stepchild, spouse, domestic partner, sibling, parent, |
mother-in-law, father-in-law, grandchild, grandparent, or |
stepparent, or for personal care of a covered family member on |
the same terms upon which the employee is able to use personal |
sick leave benefits for the employee's own illness or injury. |
An employer may request written verification of the employee's |
absence from a health care professional if such verification |
is required under the employer's employment benefit plan or |
paid time off policy. |
(b) An employer may limit the use of personal sick leave |
benefits provided by the employer for absences due to an |
illness, injury, or medical appointment , or personal care of |
the employee's covered family member of the employee's child, |
stepchild, spouse, domestic partner, sibling, parent, |
mother-in-law, father-in-law, grandchild, grandparent, or |
stepparent to an amount not less than the personal sick leave |
that would be earned or accrued during 6 months at the |
employee's then current rate of entitlement. For employers who |
base personal sick leave benefits on an employee's years of |
service instead of annual or monthly accrual, such employer |
may limit the amount of sick leave to be used under this Act to |
half of the employee's maximum annual grant. |
(c) An employer who provides personal sick leave benefits |
or a paid time off policy that would otherwise provide |
|
benefits as required under subsections (a) and (b) shall not |
be required to modify such benefits.
|
(Source: P.A. 99-841, eff. 1-1-17; 99-921, eff. 1-13-17.) |
Article 90. |
Section 90-5. The Nursing Home Care Act is amended by |
adding Section 3-206.06 as follows: |
(210 ILCS 45/3-206.06 new) |
Sec. 3-206.06. Testing for Legionella bacteria. A facility |
shall develop a policy for testing its water supply for |
Legionella bacteria. The policy shall include the frequency |
with which testing is conducted. The policy and the results of |
any tests shall be made available to the Department upon |
request. |
Section 90-10. The Hospital Licensing Act is amended by |
adding Section 6.29 as follows: |
(210 ILCS 85/6.29 new) |
Sec. 6.29. Testing for Legionella bacteria. A hospital |
shall develop a policy for testing its water supply for |
Legionella bacteria. The policy shall include the frequency |
with which testing is conducted. The policy and the results of |
any tests shall be made available to the Department upon |
|
request. |
Article 95. |
Section 95-5. The Child Care Act of 1969 is amended by |
changing Section 7 as follows:
|
(225 ILCS 10/7) (from Ch. 23, par. 2217)
|
Sec. 7. (a) The Department must prescribe and publish |
minimum standards
for licensing that apply to the various |
types of facilities for child care
defined in this Act and that |
are equally applicable to like institutions
under the control |
of the Department and to foster family homes used by and
under |
the direct supervision of the Department. The Department shall |
seek
the advice and assistance of persons representative of |
the various types of
child care facilities in establishing |
such standards. The standards
prescribed and published under |
this Act take effect as provided in the
Illinois |
Administrative Procedure Act, and are restricted to
|
regulations pertaining to the following matters and to any |
rules and regulations required or permitted by any other |
Section of this Act:
|
(1) The operation and conduct of the facility and |
responsibility it
assumes for child care;
|
(2) The character, suitability and qualifications of |
the applicant and
other persons directly responsible for |
|
the care and welfare of children
served. All child day |
care center licensees and employees who are required
to
|
report child abuse or neglect under the Abused and |
Neglected Child Reporting
Act shall be required to attend |
training on recognizing child abuse and
neglect, as |
prescribed by Department rules;
|
(3) The general financial ability and competence of |
the applicant to
provide necessary care for children and |
to maintain prescribed standards;
|
(4) The number of individuals or staff required to |
insure adequate
supervision and care of the children |
received. The standards shall provide
that each child care |
institution, maternity center, day care center,
group |
home, day care home, and group day care home shall have on |
its
premises during its hours of operation at
least one |
staff member certified in first aid, in the Heimlich |
maneuver and
in cardiopulmonary resuscitation by the |
American Red Cross or other
organization approved by rule |
of the Department. Child welfare agencies
shall not be |
subject to such a staffing requirement. The Department may
|
offer, or arrange for the offering, on a periodic basis in |
each community
in this State in cooperation with the |
American Red Cross, the American
Heart Association or |
other appropriate organization, voluntary programs to
|
train operators of foster family homes and day care homes |
in first aid and
cardiopulmonary resuscitation;
|
|
(5) The appropriateness, safety, cleanliness, and |
general adequacy of the
premises, including maintenance of |
adequate fire prevention and health
standards conforming |
to State laws and municipal codes to provide for the
|
physical comfort, care, and well-being of children |
received;
|
(6) Provisions for food, clothing, educational |
opportunities, program,
equipment and individual supplies |
to assure the healthy physical, mental,
and spiritual |
development of children served;
|
(7) Provisions to safeguard the legal rights of |
children served;
|
(8) Maintenance of records pertaining to the |
admission, progress, health,
and discharge of children, |
including, for day care centers and day care
homes, |
records indicating each child has been immunized as |
required by State
regulations. The Department shall |
require proof that children enrolled in
a facility have |
been immunized against Haemophilus Influenzae B (HIB);
|
(9) Filing of reports with the Department;
|
(10) Discipline of children;
|
(11) Protection and fostering of the particular
|
religious faith of the children served;
|
(12) Provisions prohibiting firearms on day care |
center premises
except in the possession of peace |
officers;
|
|
(13) Provisions prohibiting handguns on day care home |
premises except in
the possession of peace officers or |
other adults who must possess a handgun
as a condition of |
employment and who reside on the premises of a day care |
home;
|
(14) Provisions requiring that any firearm permitted |
on day care home
premises, except handguns in the |
possession of peace officers, shall be
kept in a |
disassembled state, without ammunition, in locked storage,
|
inaccessible to children and that ammunition permitted on |
day care home
premises shall be kept in locked storage |
separate from that of disassembled
firearms, inaccessible |
to children;
|
(15) Provisions requiring notification of parents or |
guardians enrolling
children at a day care home of the |
presence in the day care home of any
firearms and |
ammunition and of the arrangements for the separate, |
locked
storage of such firearms and ammunition;
|
(16) Provisions requiring all licensed child care |
facility employees who care for newborns and infants to |
complete training every 3 years on the nature of sudden |
unexpected infant death (SUID), sudden infant death |
syndrome (SIDS), and the safe sleep recommendations of the |
American Academy of Pediatrics; and |
(17) With respect to foster family homes, provisions |
requiring the Department to review quality of care |
|
concerns and to consider those concerns in determining |
whether a foster family home is qualified to care for |
children. |
By July 1, 2022, all licensed day care home providers, |
licensed group day care home providers, and licensed day care |
center directors and classroom staff shall participate in at |
least one training that includes the topics of early childhood |
social emotional learning, infant and early childhood mental |
health, early childhood trauma, or adverse childhood |
experiences. Current licensed providers, directors, and |
classroom staff shall complete training by July 1, 2022 and |
shall participate in training that includes the above topics |
at least once every 3 years. |
(b) If, in a facility for general child care, there are |
children
diagnosed as mentally ill or children diagnosed as |
having an intellectual or physical disability, who
are |
determined to be in need of special mental treatment or of |
nursing
care, or both mental treatment and nursing care, the |
Department shall seek
the advice and recommendation of the |
Department of Human Services,
the Department of Public Health, |
or both
Departments regarding the residential treatment and |
nursing care provided
by the institution.
|
(c) The Department shall investigate any person applying |
to be
licensed as a foster parent to determine whether there is |
any evidence of
current drug or alcohol abuse in the |
prospective foster family. The
Department shall not license a |
|
person as a foster parent if drug or alcohol
abuse has been |
identified in the foster family or if a reasonable suspicion
|
of such abuse exists, except that the Department may grant a |
foster parent
license to an applicant identified with an |
alcohol or drug problem if the
applicant has successfully |
participated in an alcohol or drug treatment
program, |
self-help group, or other suitable activities and if the |
Department determines that the foster family home can provide |
a safe, appropriate environment and meet the physical and |
emotional needs of children.
|
(d) The Department, in applying standards prescribed and |
published, as
herein provided, shall offer consultation |
through employed staff or other
qualified persons to assist |
applicants and licensees in meeting and
maintaining minimum |
requirements for a license and to help them otherwise
to |
achieve programs of excellence related to the care of children |
served.
Such consultation shall include providing information |
concerning education
and training in early childhood |
development to providers of day care home
services. The |
Department may provide or arrange for such education and
|
training for those providers who request such assistance.
|
(e) The Department shall distribute copies of licensing
|
standards to all licensees and applicants for a license. Each |
licensee or
holder of a permit shall distribute copies of the |
appropriate licensing
standards and any other information |
required by the Department to child
care facilities under its |
|
supervision. Each licensee or holder of a permit
shall |
maintain appropriate documentation of the distribution of the
|
standards. Such documentation shall be part of the records of |
the facility
and subject to inspection by authorized |
representatives of the Department.
|
(f) The Department shall prepare summaries of day care |
licensing
standards. Each licensee or holder of a permit for a |
day care facility
shall distribute a copy of the appropriate |
summary and any other
information required by the Department, |
to the legal guardian of each child
cared for in that facility |
at the time when the child is enrolled or
initially placed in |
the facility. The licensee or holder of a permit for a
day care |
facility shall secure appropriate documentation of the
|
distribution of the summary and brochure. Such documentation |
shall be a
part of the records of the facility and subject to |
inspection by an
authorized representative of the Department.
|
(g) The Department shall distribute to each licensee and
|
holder of a permit copies of the licensing or permit standards |
applicable
to such person's facility. Each licensee or holder |
of a permit shall make
available by posting at all times in a |
common or otherwise accessible area
a complete and current set |
of licensing standards in order that all
employees of the |
facility may have unrestricted access to such standards.
All |
employees of the facility shall have reviewed the standards |
and any
subsequent changes. Each licensee or holder of a |
permit shall maintain
appropriate documentation of the current |
|
review of licensing standards by
all employees. Such records |
shall be part of the records of the facility
and subject to |
inspection by authorized representatives of the Department.
|
(h) Any standards involving physical examinations, |
immunization,
or medical treatment shall include appropriate |
exemptions for children
whose parents object thereto on the |
grounds that they conflict with the
tenets and practices of a |
recognized church or religious organization, of
which the |
parent is an adherent or member, and for children who should |
not
be subjected to immunization for clinical reasons.
|
(i) The Department, in cooperation with the Department of |
Public Health, shall work to increase immunization awareness |
and participation among parents of children enrolled in day |
care centers and day care homes by publishing on the |
Department's website information about the benefits of |
immunization against vaccine preventable diseases, including |
influenza and pertussis. The information for vaccine |
preventable diseases shall include the incidence and severity |
of the diseases, the availability of vaccines, and the |
importance of immunizing children and persons who frequently |
have close contact with children. The website content shall be |
reviewed annually in collaboration with the Department of |
Public Health to reflect the most current recommendations of |
the Advisory Committee on Immunization Practices (ACIP). The |
Department shall work with day care centers and day care homes |
licensed under this Act to ensure that the information is |
|
annually distributed to parents in August or September. |
(j) Any standard adopted by the Department that requires |
an applicant for a license to operate a day care home to |
include a copy of a high school diploma or equivalent |
certificate with his or her application shall be deemed to be |
satisfied if the applicant includes a copy of a high school |
diploma or equivalent certificate or a copy of a degree from an |
accredited institution of higher education or vocational |
institution or equivalent certificate. |
(Source: P.A. 99-143, eff. 7-27-15; 99-779, eff. 1-1-17; |
100-201, eff. 8-18-17.)
|
Article 100. |
Section 100-1. Short title. This Article may be cited as |
the Special Commission on Gynecologic Cancers Act. |
Section 100-5. Creation; members; duties; report. |
(a) The Special Commission on Gynecologic Cancers is |
created. Membership of the Commission shall be as follows: |
(1) A representative of the Illinois Comprehensive |
Cancer Control Program, appointed by the Director of |
Public Health; |
(2) The Director of Insurance, or his or her designee; |
and |
(3) 20 members who shall be appointed as follows: |
|
(A) three members appointed by the Speaker of |
the House of Representatives, one of whom shall be a |
survivor of ovarian cancer, one of whom shall be a |
survivor of cervical, vaginal, vulvar, or uterine |
cancer, and one of whom shall be a medical specialist |
in gynecologic cancers; |
(B) three members appointed by the Senate |
President, one of whom shall be a survivor of ovarian |
cancer, one of whom shall be a survivor of cervical, |
vaginal, vulvar, or uterine cancer, and one of whom |
shall be a medical specialist in gynecologic cancers; |
(C) three members appointed by the House |
Minority Leader, one of whom shall be a survivor of |
ovarian cancer, one of whom shall be a survivor of |
cervical, vaginal, vulvar, or uterine cancer, and one |
of whom shall be a medical specialist in gynecologic |
cancers; |
(D) three members appointed by the Senate |
Minority Leader, one of whom shall be a survivor of |
ovarian cancer, one of whom shall be a survivor of |
cervical, vaginal, vulvar, or uterine cancer, and one |
of whom shall be a medical specialist in gynecologic |
cancers; and |
(E) eight members appointed by the Governor, |
one of whom shall be a caregiver of a woman diagnosed |
with a gynecologic cancer, one of whom shall be a |
|
medical specialist in gynecologic cancers, one of whom |
shall be an individual with expertise in community |
based health care and issues affecting underserved and |
vulnerable populations, 2 of whom shall be individuals |
representing gynecologic cancer awareness and support |
groups in the State, one of whom shall be a researcher |
specializing in gynecologic cancers, and 2 of whom |
shall be members of the public with demonstrated |
expertise in issues relating to the work of the |
Commission. |
(b) Members of the Commission shall serve without |
compensation or reimbursement from the Commission. Members |
shall select a Chair from among themselves and the Chair shall |
set the meeting schedule. |
(c) The Illinois Department of Public Health shall provide |
administrative support to the Commission. |
(d) The Commission is charged with the study of the |
following: |
(1) establishing a mechanism to ascertain the |
prevalence of gynecologic cancers in the State and, to the |
extent possible, to collect statistics relative to the |
timing of diagnosis and risk factors associated with |
gynecologic cancers; |
(2) determining how to best effectuate early diagnosis |
and treatment for gynecologic cancer patients; |
(3) determining best practices for closing disparities |
|
in outcomes for gynecologic cancer patients and innovative |
approaches to reaching underserved and vulnerable |
populations; |
(4) determining any unmet needs of persons with |
gynecologic cancers and those of their families; and |
(5) providing recommendations for additional |
legislation, support programs, and resources to meet the |
unmet needs of persons with gynecologic cancers and their |
families. |
(e) The Commission shall file its final report with the |
General Assembly no later than December 31, 2021 and, upon the |
filing of its report, is dissolved. |
Section 100-90. Repeal. This Article is repealed on |
January 1, 2023.
|
Article 105. |
Section 105-5. The Illinois Public Aid Code is amended by |
changing Section 5A-12.7 as follows: |
(305 ILCS 5/5A-12.7) |
(Section scheduled to be repealed on December 31, 2022) |
Sec. 5A-12.7. Continuation of hospital access payments on |
and after July 1, 2020. |
(a) To preserve and improve access to hospital services, |
|
for hospital services rendered on and after July 1, 2020, the |
Department shall, except for hospitals described in subsection |
(b) of Section 5A-3, make payments to hospitals or require |
capitated managed care organizations to make payments as set |
forth in this Section. Payments under this Section are not due |
and payable, however, until: (i) the methodologies described |
in this Section are approved by the federal government in an |
appropriate State Plan amendment or directed payment preprint; |
and (ii) the assessment imposed under this Article is |
determined to be a permissible tax under Title XIX of the |
Social Security Act. In determining the hospital access |
payments authorized under subsection (g) of this Section, if a |
hospital ceases to qualify for payments from the pool, the |
payments for all hospitals continuing to qualify for payments |
from such pool shall be uniformly adjusted to fully expend the |
aggregate net amount of the pool, with such adjustment being |
effective on the first day of the second month following the |
date the hospital ceases to receive payments from such pool. |
(b) Amounts moved into claims-based rates and distributed |
in accordance with Section 14-12 shall remain in those |
claims-based rates. |
(c) Graduate medical education. |
(1) The calculation of graduate medical education |
payments shall be based on the hospital's Medicare cost |
report ending in Calendar Year 2018, as reported in the |
Healthcare Cost Report Information System file, release |
|
date September 30, 2019. An Illinois hospital reporting |
intern and resident cost on its Medicare cost report shall |
be eligible for graduate medical education payments. |
(2) Each hospital's annualized Medicaid Intern |
Resident Cost is calculated using annualized intern and |
resident total costs obtained from Worksheet B Part I, |
Columns 21 and 22 the sum of Lines 30-43, 50-76, 90-93, |
96-98, and 105-112 multiplied by the percentage that the |
hospital's Medicaid days (Worksheet S3 Part I, Column 7, |
Lines 2, 3, 4, 14, 16-18, and 32) comprise of the |
hospital's total days (Worksheet S3 Part I, Column 8, |
Lines 14, 16-18, and 32). |
(3) An annualized Medicaid indirect medical education |
(IME) payment is calculated for each hospital using its |
IME payments (Worksheet E Part A, Line 29, Column 1) |
multiplied by the percentage that its Medicaid days |
(Worksheet S3 Part I, Column 7, Lines 2, 3, 4, 14, 16-18, |
and 32) comprise of its Medicare days (Worksheet S3 Part |
I, Column 6, Lines 2, 3, 4, 14, and 16-18). |
(4) For each hospital, its annualized Medicaid Intern |
Resident Cost and its annualized Medicaid IME payment are |
summed, and, except as capped at 120% of the average cost |
per intern and resident for all qualifying hospitals as |
calculated under this paragraph, is multiplied by 22.6% to |
determine the hospital's final graduate medical education |
payment. Each hospital's average cost per intern and |
|
resident shall be calculated by summing its total |
annualized Medicaid Intern Resident Cost plus its |
annualized Medicaid IME payment and dividing that amount |
by the hospital's total Full Time Equivalent Residents and |
Interns. If the hospital's average per intern and resident |
cost is greater than 120% of the same calculation for all |
qualifying hospitals, the hospital's per intern and |
resident cost shall be capped at 120% of the average cost |
for all qualifying hospitals. |
(d) Fee-for-service supplemental payments. Each Illinois |
hospital shall receive an annual payment equal to the amounts |
below, to be paid in 12 equal installments on or before the |
seventh State business day of each month, except that no |
payment shall be due within 30 days after the later of the date |
of notification of federal approval of the payment |
methodologies required under this Section or any waiver |
required under 42 CFR 433.68, at which time the sum of amounts |
required under this Section prior to the date of notification |
is due and payable. |
(1) For critical access hospitals, $385 per covered |
inpatient day contained in paid fee-for-service claims and |
$530 per paid fee-for-service outpatient claim for dates |
of service in Calendar Year 2019 in the Department's |
Enterprise Data Warehouse as of May 11, 2020. |
(2) For safety-net hospitals, $960 per covered |
inpatient day contained in paid fee-for-service claims and |
|
$625 per paid fee-for-service outpatient claim for dates |
of service in Calendar Year 2019 in the Department's |
Enterprise Data Warehouse as of May 11, 2020. |
(3) For long term acute care hospitals, $295 per |
covered inpatient day contained in paid fee-for-service |
claims for dates of service in Calendar Year 2019 in the |
Department's Enterprise Data Warehouse as of May 11, 2020. |
(4) For freestanding psychiatric hospitals, $125 per |
covered inpatient day contained in paid fee-for-service |
claims and $130 per paid fee-for-service outpatient claim |
for dates of service in Calendar Year 2019 in the |
Department's Enterprise Data Warehouse as of May 11, 2020. |
(5) For freestanding rehabilitation hospitals, $355 |
per covered inpatient day contained in paid |
fee-for-service claims for dates of service in Calendar |
Year 2019 in the Department's Enterprise Data Warehouse as |
of May 11, 2020. |
(6) For all general acute care hospitals and high |
Medicaid hospitals as defined in subsection (f), $350 per |
covered inpatient day for dates of service in Calendar |
Year 2019 contained in paid fee-for-service claims and |
$620 per paid fee-for-service outpatient claim in the |
Department's Enterprise Data Warehouse as of May 11, 2020. |
(7) Alzheimer's treatment access payment. Each |
Illinois academic medical center or teaching hospital, as |
defined in Section 5-5e.2 of this Code, that is identified |
|
as the primary hospital affiliate of one of the Regional |
Alzheimer's Disease Assistance Centers, as designated by |
the Alzheimer's Disease Assistance Act and identified in |
the Department of Public Health's Alzheimer's Disease |
State Plan dated December 2016, shall be paid an |
Alzheimer's treatment access payment equal to the product |
of the qualifying hospital's State Fiscal Year 2018 total |
inpatient fee-for-service days multiplied by the |
applicable Alzheimer's treatment rate of $226.30 for |
hospitals located in Cook County and $116.21 for hospitals |
located outside Cook County. |
(e) The Department shall require managed care |
organizations (MCOs) to make directed payments and |
pass-through payments according to this Section. Each calendar |
year, the Department shall require MCOs to pay the maximum |
amount out of these funds as allowed as pass-through payments |
under federal regulations. The Department shall require MCOs |
to make such pass-through payments as specified in this |
Section. The Department shall require the MCOs to pay the |
remaining amounts as directed Payments as specified in this |
Section. The Department shall issue payments to the |
Comptroller by the seventh business day of each month for all |
MCOs that are sufficient for MCOs to make the directed |
payments and pass-through payments according to this Section. |
The Department shall require the MCOs to make pass-through |
payments and directed payments using electronic funds |
|
transfers (EFT), if the hospital provides the information |
necessary to process such EFTs, in accordance with directions |
provided monthly by the Department, within 7 business days of |
the date the funds are paid to the MCOs, as indicated by the |
"Paid Date" on the website of the Office of the Comptroller if |
the funds are paid by EFT and the MCOs have received directed |
payment instructions. If funds are not paid through the |
Comptroller by EFT, payment must be made within 7 business |
days of the date actually received by the MCO. The MCO will be |
considered to have paid the pass-through payments when the |
payment remittance number is generated or the date the MCO |
sends the check to the hospital, if EFT information is not |
supplied. If an MCO is late in paying a pass-through payment or |
directed payment as required under this Section (including any |
extensions granted by the Department), it shall pay a penalty, |
unless waived by the Department for reasonable cause, to the |
Department equal to 5% of the amount of the pass-through |
payment or directed payment not paid on or before the due date |
plus 5% of the portion thereof remaining unpaid on the last day |
of each 30-day period thereafter. Payments to MCOs that would |
be paid consistent with actuarial certification and enrollment |
in the absence of the increased capitation payments under this |
Section shall not be reduced as a consequence of payments made |
under this subsection. The Department shall publish and |
maintain on its website for a period of no less than 8 calendar |
quarters, the quarterly calculation of directed payments and |
|
pass-through payments owed to each hospital from each MCO. All |
calculations and reports shall be posted no later than the |
first day of the quarter for which the payments are to be |
issued. |
(f)(1) For purposes of allocating the funds included in |
capitation payments to MCOs, Illinois hospitals shall be |
divided into the following classes as defined in |
administrative rules: |
(A) Critical access hospitals. |
(B) Safety-net hospitals, except that stand-alone |
children's hospitals that are not specialty children's |
hospitals will not be included. |
(C) Long term acute care hospitals. |
(D) Freestanding psychiatric hospitals. |
(E) Freestanding rehabilitation hospitals. |
(F) High Medicaid hospitals. As used in this Section, |
"high Medicaid hospital" means a general acute care |
hospital that is not a safety-net hospital or critical |
access hospital and that has a Medicaid Inpatient |
Utilization Rate above 30% or a hospital that had over |
35,000 inpatient Medicaid days during the applicable |
period. For the period July 1, 2020 through December 31, |
2020, the applicable period for the Medicaid Inpatient |
Utilization Rate (MIUR) is the rate year 2020 MIUR and for |
the number of inpatient days it is State fiscal year 2018. |
Beginning in calendar year 2021, the Department shall use |
|
the most recently determined MIUR, as defined in |
subsection (h) of Section 5-5.02, and for the inpatient |
day threshold, the State fiscal year ending 18 months |
prior to the beginning of the calendar year. For purposes |
of calculating MIUR under this Section, children's |
hospitals and affiliated general acute care hospitals |
shall be considered a single hospital. |
(G) General acute care hospitals. As used under this |
Section, "general acute care hospitals" means all other |
Illinois hospitals not identified in subparagraphs (A) |
through (F). |
(2) Hospitals' qualification for each class shall be |
assessed prior to the beginning of each calendar year and the |
new class designation shall be effective January 1 of the next |
year. The Department shall publish by rule the process for |
establishing class determination. |
(g) Fixed pool directed payments. Beginning July 1, 2020, |
the Department shall issue payments to MCOs which shall be |
used to issue directed payments to qualified Illinois |
safety-net hospitals and critical access hospitals on a |
monthly basis in accordance with this subsection. Prior to the |
beginning of each Payout Quarter beginning July 1, 2020, the |
Department shall use encounter claims data from the |
Determination Quarter, accepted by the Department's Medicaid |
Management Information System for inpatient and outpatient |
services rendered by safety-net hospitals and critical access |
|
hospitals to determine a quarterly uniform per unit add-on for |
each hospital class. |
(1) Inpatient per unit add-on. A quarterly uniform per |
diem add-on shall be derived by dividing the quarterly |
Inpatient Directed Payments Pool amount allocated to the |
applicable hospital class by the total inpatient days |
contained on all encounter claims received during the |
Determination Quarter, for all hospitals in the class. |
(A) Each hospital in the class shall have a |
quarterly inpatient directed payment calculated that |
is equal to the product of the number of inpatient days |
attributable to the hospital used in the calculation |
of the quarterly uniform class per diem add-on, |
multiplied by the calculated applicable quarterly |
uniform class per diem add-on of the hospital class. |
(B) Each hospital shall be paid 1/3 of its |
quarterly inpatient directed payment in each of the 3 |
months of the Payout Quarter, in accordance with |
directions provided to each MCO by the Department. |
(2) Outpatient per unit add-on. A quarterly uniform |
per claim add-on shall be derived by dividing the |
quarterly Outpatient Directed Payments Pool amount |
allocated to the applicable hospital class by the total |
outpatient encounter claims received during the |
Determination Quarter, for all hospitals in the class. |
(A) Each hospital in the class shall have a |
|
quarterly outpatient directed payment calculated that |
is equal to the product of the number of outpatient |
encounter claims attributable to the hospital used in |
the calculation of the quarterly uniform class per |
claim add-on, multiplied by the calculated applicable |
quarterly uniform class per claim add-on of the |
hospital class. |
(B) Each hospital shall be paid 1/3 of its |
quarterly outpatient directed payment in each of the 3 |
months of the Payout Quarter, in accordance with |
directions provided to each MCO by the Department. |
(3) Each MCO shall pay each hospital the Monthly |
Directed Payment as identified by the Department on its |
quarterly determination report. |
(4) Definitions. As used in this subsection: |
(A) "Payout Quarter" means each 3 month calendar |
quarter, beginning July 1, 2020. |
(B) "Determination Quarter" means each 3 month |
calendar quarter, which ends 3 months prior to the |
first day of each Payout Quarter. |
(5) For the period July 1, 2020 through December 2020, |
the following amounts shall be allocated to the following |
hospital class directed payment pools for the quarterly |
development of a uniform per unit add-on: |
(A) $2,894,500 for hospital inpatient services for |
critical access hospitals. |
|
(B) $4,294,374 for hospital outpatient services |
for critical access hospitals. |
(C) $29,109,330 for hospital inpatient services |
for safety-net hospitals. |
(D) $35,041,218 for hospital outpatient services |
for safety-net hospitals. |
(h) Fixed rate directed payments. Effective July 1, 2020, |
the Department shall issue payments to MCOs which shall be |
used to issue directed payments to Illinois hospitals not |
identified in paragraph (g) on a monthly basis. Prior to the |
beginning of each Payout Quarter beginning July 1, 2020, the |
Department shall use encounter claims data from the |
Determination Quarter, accepted by the Department's Medicaid |
Management Information System for inpatient and outpatient |
services rendered by hospitals in each hospital class |
identified in paragraph (f) and not identified in paragraph |
(g). For the period July 1, 2020 through December 2020, the |
Department shall direct MCOs to make payments as follows: |
(1) For general acute care hospitals an amount equal |
to $1,750 multiplied by the hospital's category of service |
20 case mix index for the determination quarter multiplied |
by the hospital's total number of inpatient admissions for |
category of service 20 for the determination quarter. |
(2) For general acute care hospitals an amount equal |
to $160 multiplied by the hospital's category of service |
21 case mix index for the determination quarter multiplied |
|
by the hospital's total number of inpatient admissions for |
category of service 21 for the determination quarter. |
(3) For general acute care hospitals an amount equal |
to $80 multiplied by the hospital's category of service 22 |
case mix index for the determination quarter multiplied by |
the hospital's total number of inpatient admissions for |
category of service 22 for the determination quarter. |
(4) For general acute care hospitals an amount equal |
to $375 multiplied by the hospital's category of service |
24 case mix index for the determination quarter multiplied |
by the hospital's total number of category of service 24 |
paid EAPG (EAPGs) for the determination quarter. |
(5) For general acute care hospitals an amount equal |
to $240 multiplied by the hospital's category of service |
27 and 28 case mix index for the determination quarter |
multiplied by the hospital's total number of category of |
service 27 and 28 paid EAPGs for the determination |
quarter. |
(6) For general acute care hospitals an amount equal |
to $290 multiplied by the hospital's category of service |
29 case mix index for the determination quarter multiplied |
by the hospital's total number of category of service 29 |
paid EAPGs for the determination quarter. |
(7) For high Medicaid hospitals an amount equal to |
$1,800 multiplied by the hospital's category of service 20 |
case mix index for the determination quarter multiplied by |
|
the hospital's total number of inpatient admissions for |
category of service 20 for the determination quarter. |
(8) For high Medicaid hospitals an amount equal to |
$160 multiplied by the hospital's category of service 21 |
case mix index for the determination quarter multiplied by |
the hospital's total number of inpatient admissions for |
category of service 21 for the determination quarter. |
(9) For high Medicaid hospitals an amount equal to $80 |
multiplied by the hospital's category of service 22 case |
mix index for the determination quarter multiplied by the |
hospital's total number of inpatient admissions for |
category of service 22 for the determination quarter. |
(10) For high Medicaid hospitals an amount equal to |
$400 multiplied by the hospital's category of service 24 |
case mix index for the determination quarter multiplied by |
the hospital's total number of category of service 24 paid |
EAPG outpatient claims for the determination quarter. |
(11) For high Medicaid hospitals an amount equal to |
$240 multiplied by the hospital's category of service 27 |
and 28 case mix index for the determination quarter |
multiplied by the hospital's total number of category of |
service 27 and 28 paid EAPGs for the determination |
quarter. |
(12) For high Medicaid hospitals an amount equal to |
$290 multiplied by the hospital's category of service 29 |
case mix index for the determination quarter multiplied by |
|
the hospital's total number of category of service 29 paid |
EAPGs for the determination quarter. |
(13) For long term acute care hospitals the amount of |
$495 multiplied by the hospital's total number of |
inpatient days for the determination quarter. |
(14) For psychiatric hospitals the amount of $210 |
multiplied by the hospital's total number of inpatient |
days for category of service 21 for the determination |
quarter. |
(15) For psychiatric hospitals the amount of $250 |
multiplied by the hospital's total number of outpatient |
claims for category of service 27 and 28 for the |
determination quarter. |
(16) For rehabilitation hospitals the amount of $410 |
multiplied by the hospital's total number of inpatient |
days for category of service 22 for the determination |
quarter. |
(17) For rehabilitation hospitals the amount of $100 |
multiplied by the hospital's total number of outpatient |
claims for category of service 29 for the determination |
quarter. |
(18) Each hospital shall be paid 1/3 of their |
quarterly inpatient and outpatient directed payment in |
each of the 3 months of the Payout Quarter, in accordance |
with directions provided to each MCO by the Department. |
(19) Each MCO shall pay each hospital the Monthly |
|
Directed Payment amount as identified by the Department on |
its quarterly determination report. |
Notwithstanding any other provision of this subsection, if |
the Department determines that the actual total hospital |
utilization data that is used to calculate the fixed rate |
directed payments is substantially different than anticipated |
when the rates in this subsection were initially determined |
(for unforeseeable circumstances such as the COVID-19 |
pandemic), the Department may adjust the rates specified in |
this subsection so that the total directed payments |
approximate the total spending amount anticipated when the |
rates were initially established. |
Definitions. As used in this subsection: |
(A) "Payout Quarter" means each calendar quarter, |
beginning July 1, 2020. |
(B) "Determination Quarter" means each calendar |
quarter which ends 3 months prior to the first day of |
each Payout Quarter. |
(C) "Case mix index" means a hospital specific |
calculation. For inpatient claims the case mix index |
is calculated each quarter by summing the relative |
weight of all inpatient Diagnosis-Related Group (DRG) |
claims for a category of service in the applicable |
Determination Quarter and dividing the sum by the |
number of sum total of all inpatient DRG admissions |
for the category of service for the associated claims. |
|
The case mix index for outpatient claims is calculated |
each quarter by summing the relative weight of all |
paid EAPGs in the applicable Determination Quarter and |
dividing the sum by the sum total of paid EAPGs for the |
associated claims. |
(i) Beginning January 1, 2021, the rates for directed |
payments shall be recalculated in order to spend the |
additional funds for directed payments that result from |
reduction in the amount of pass-through payments allowed under |
federal regulations. The additional funds for directed |
payments shall be allocated proportionally to each class of |
hospitals based on that class' proportion of services. |
(j) Pass-through payments. |
(1) For the period July 1, 2020 through December 31, |
2020, the Department shall assign quarterly pass-through |
payments to each class of hospitals equal to one-fourth of |
the following annual allocations: |
(A) $390,487,095 to safety-net hospitals. |
(B) $62,553,886 to critical access hospitals. |
(C) $345,021,438 to high Medicaid hospitals. |
(D) $551,429,071 to general acute care hospitals. |
(E) $27,283,870 to long term acute care hospitals. |
(F) $40,825,444 to freestanding psychiatric |
hospitals. |
(G) $9,652,108 to freestanding rehabilitation |
hospitals. |
|
(2) The pass-through payments shall at a minimum |
ensure hospitals receive a total amount of monthly |
payments under this Section as received in calendar year |
2019 in accordance with this Article and paragraph (1) of |
subsection (d-5) of Section 14-12, exclusive of amounts |
received through payments referenced in subsection (b). |
(3) For the calendar year beginning January 1, 2021, |
and each calendar year thereafter, each hospital's |
pass-through payment amount shall be reduced |
proportionally to the reduction of all pass-through |
payments required by federal regulations. |
(k) At least 30 days prior to each calendar year, the |
Department shall notify each hospital of changes to the |
payment methodologies in this Section, including, but not |
limited to, changes in the fixed rate directed payment rates, |
the aggregate pass-through payment amount for all hospitals, |
and the hospital's pass-through payment amount for the |
upcoming calendar year. |
(l) Notwithstanding any other provisions of this Section, |
the Department may adopt rules to change the methodology for |
directed and pass-through payments as set forth in this |
Section, but only to the extent necessary to obtain federal |
approval of a necessary State Plan amendment or Directed |
Payment Preprint or to otherwise conform to federal law or |
federal regulation. |
(m) As used in this subsection, "managed care |
|
organization" or "MCO" means an entity which contracts with |
the Department to provide services where payment for medical |
services is made on a capitated basis, excluding contracted |
entities for dual eligible or Department of Children and |
Family Services youth populations.
|
(n) In order to address the escalating infant mortality |
rates among minority communities in Illinois, the State shall, |
subject to appropriation, create a pool of funding of at least |
$50,000,000 annually to be disbursed among safety-net |
hospitals that maintain perinatal designation from the |
Department of Public Health. The funding shall be used to |
preserve or enhance OB/GYN services or other specialty |
services at the receiving hospital, with the distribution of |
funding to be established by rule and with consideration to |
perinatal hospitals with safe birthing levels and quality |
metrics for healthy mothers and babies. |
(Source: P.A. 101-650, eff. 7-7-20.)
|
Article 110. |
Section 110-1. Short title. This Article may be cited as |
the Racial Impact Note Act. |
Section 110-5. Racial impact note. |
(a) Every bill which has or could have a disparate impact |
on racial and ethnic minorities, upon the request of any |
|
member, shall have prepared for it, before second reading in |
the house of introduction, a brief explanatory statement or |
note that shall include a reliable estimate of the anticipated |
impact on those racial and ethnic minorities likely to be |
impacted by the bill. Each racial impact note must include, |
for racial and ethnic minorities for which data are available: |
(i) an estimate of how the proposed legislation would impact |
racial and ethnic minorities; (ii) a statement of the |
methodologies and assumptions used in preparing the estimate; |
(iii) an estimate of the racial and ethnic composition of the |
population who may be impacted by the proposed legislation, |
including those persons who may be negatively impacted and |
those persons who may benefit from the proposed legislation; |
and (iv) any other matter that a responding agency considers |
appropriate in relation to the racial and ethnic minorities |
likely to be affected by the bill. |
Section 110-10. Preparation. |
(a) The sponsor of each bill for which a request under |
Section 110-5 has been made shall present a copy of the bill |
with the request for a racial impact note to the appropriate |
responding agency or agencies under subsection (b). The |
responding agency or agencies shall prepare and submit the |
note to the sponsor of the bill within 5 calendar days, except |
that whenever, because of the complexity of the measure, |
additional time is required for the preparation of the racial |
|
impact note, the responding agency or agencies may inform the |
sponsor of the bill, and the sponsor may approve an extension |
of the time within which the note is to be submitted, not to |
extend, however, beyond June 15, following the date of the |
request. If, in the opinion of the responding agency or |
agencies, there is insufficient information to prepare a |
reliable estimate of the anticipated impact, a statement to |
that effect can be filed and shall meet the requirements of |
this Act. |
(b) If a bill concerns arrests, convictions, or law |
enforcement, a statement shall be prepared by the Illinois |
Criminal Justice Information Authority specifying the impact |
on racial and ethnic minorities. If a bill concerns |
corrections, sentencing, or the placement of individuals |
within the Department of Corrections, a statement shall be |
prepared by the Department of Corrections specifying the |
impact on racial and ethnic minorities. If a bill concerns |
local government, a statement shall be prepared by the |
Department of Commerce and Economic Opportunity specifying the |
impact on racial and ethnic minorities. If a bill concerns |
education, one of the following agencies shall prepare a |
statement specifying the impact on racial and ethnic |
minorities: (i) the Illinois Community College Board, if the |
bill affects community colleges; (ii) the Illinois State Board |
of Education, if the bill affects primary and secondary |
education; or (iii) the Illinois Board of Higher Education, if |
|
the bill affects State universities. Any other State agency |
impacted or responsible for implementing all or part of this |
bill shall prepare a statement of the racial and ethnic impact |
of the bill as it relates to that agency. |
Section 110-15. Requisites and contents. The note shall be |
factual in nature, as brief and concise as may be, and, in |
addition, it shall include both the immediate effect and, if |
determinable or reasonably foreseeable, the long range effect |
of the measure on racial and ethnic minorities. If, after |
careful investigation, it is determined that such an effect is |
not ascertainable, the note shall contain a statement to that |
effect, setting forth the reasons why no ascertainable effect |
can be given. |
Section 110-20. Comment or opinion; technical or |
mechanical defects. No comment or opinion shall be included |
in the racial impact note with regard to the merits of the |
measure for which the racial impact note is prepared; however, |
technical or mechanical defects may be noted.
|
Section 110-25. Appearance of State officials and |
employees in support or opposition of measure. The fact that a |
racial impact note is prepared for any bill shall not preclude |
or restrict the appearance before any committee of the General |
Assembly of any official or authorized employee of the |
|
responding agency or agencies, or any other impacted State |
agency, who desires to be heard in support of or in opposition |
to the measure. |
Article 115. |
Section 115-5. The Illinois Public Aid Code is amended by |
adding Section 14-14 as follows: |
(305 ILCS 5/14-14 new) |
Sec. 14-14. Increasing access to primary care in |
hospitals. The Department of Healthcare and Family Services |
shall develop a program to facilitate coordination between |
Federally Qualified Health Centers (FQHCs) and safety net |
hospitals, with the goal of increasing care coordination, |
managing chronic diseases, and addressing the social |
determinants of health on or before December 31, 2021. |
Coordination between FQHCs and safety hospitals may include, |
but is not limited to, embedding FQHC staff in hospitals, |
utilizing health information technology for care coordination, |
and enabling FQHCs to connect hospital patients to |
community-based resources when needed to provide whole-person |
care. In addition, the Department shall develop a payment |
methodology to allow FQHCs to provide care coordination |
services, including, but not limited to, chronic disease |
management and behavioral health services. The Department of |
|
Healthcare and Family Services shall develop a payment |
methodology to allow for FQHC care coordination services by no |
later than December 31, 2021. |
Article 120. |
Section 120-5. The Civil Administrative Code of Illinois |
is amended by changing Section 5-565 as follows:
|
(20 ILCS 5/5-565) (was 20 ILCS 5/6.06)
|
Sec. 5-565. In the Department of Public Health.
|
(a) The General Assembly declares it to be the public |
policy of this
State that all residents citizens of Illinois |
are entitled to lead healthy lives.
Governmental public health |
has a specific responsibility to ensure that a
public health |
system is in place to allow the public health mission to be |
achieved. The public health system is the collection of |
public, private, and voluntary entities as well as individuals |
and informal associations that contribute to the public's |
health within the State. To
develop a public health system |
requires certain core functions to be performed by
government. |
The State Board of Health is to assume the leadership role in
|
advising the Director in meeting the following functions:
|
(1) Needs assessment.
|
(2) Statewide health objectives.
|
(3) Policy development.
|
|
(4) Assurance of access to necessary services.
|
There shall be a State Board of Health composed of 20 |
persons,
all of
whom shall be appointed by the Governor, with |
the advice and consent of the
Senate for those appointed by the |
Governor on and after June 30, 1998,
and one of whom shall be a
|
senior citizen age 60 or over. Five members shall be |
physicians licensed
to practice medicine in all its branches, |
one representing a medical school
faculty, one who is board |
certified in preventive medicine, and one who is
engaged in |
private practice. One member shall be a chiropractic |
physician. One member shall be a dentist; one an
environmental |
health practitioner; one a local public health administrator;
|
one a local board of health member; one a registered nurse; one |
a physical therapist; one an optometrist; one a
veterinarian; |
one a public health academician; one a health care industry
|
representative; one a representative of the business |
community; one a representative of the non-profit public |
interest community; and 2 shall be citizens at large.
|
The terms of Board of Health members shall be 3 years, |
except that members shall continue to serve on the Board of |
Health until a replacement is appointed. Upon the effective |
date of Public Act 93-975 (January 1, 2005) this amendatory |
Act of the 93rd General Assembly , in the appointment of the |
Board of Health members appointed to vacancies or positions |
with terms expiring on or before December 31, 2004, the |
Governor shall appoint up to 6 members to serve for terms of 3 |
|
years; up to 6 members to serve for terms of 2 years; and up to |
5 members to serve for a term of one year, so that the term of |
no more than 6 members expire in the same year.
All members |
shall
be legal residents of the State of Illinois. The duties |
of the Board shall
include, but not be limited to, the |
following:
|
(1) To advise the Department of ways to encourage |
public understanding
and support of the Department's |
programs.
|
(2) To evaluate all boards, councils, committees, |
authorities, and
bodies
advisory to, or an adjunct of, the |
Department of Public Health or its
Director for the |
purpose of recommending to the Director one or
more of the |
following:
|
(i) The elimination of bodies whose activities
are |
not consistent with goals and objectives of the |
Department.
|
(ii) The consolidation of bodies whose activities |
encompass
compatible programmatic subjects.
|
(iii) The restructuring of the relationship |
between the various
bodies and their integration |
within the organizational structure of the
Department.
|
(iv) The establishment of new bodies deemed |
essential to the
functioning of the Department.
|
(3) To serve as an advisory group to the Director for
|
public health emergencies and
control of health hazards.
|
|
(4) To advise the Director regarding public health |
policy,
and to make health policy recommendations |
regarding priorities to the
Governor through the Director.
|
(5) To present public health issues to the Director |
and to make
recommendations for the resolution of those |
issues.
|
(6) To recommend studies to delineate public health |
problems.
|
(7) To make recommendations to the Governor through |
the Director
regarding the coordination of State public |
health activities with other
State and local public health |
agencies and organizations.
|
(8) To report on or before February 1 of each year on |
the health of the
residents of Illinois to the Governor, |
the General Assembly, and the
public.
|
(9) To review the final draft of all proposed |
administrative rules,
other than emergency or peremptory |
preemptory rules and those rules that another
advisory |
body must approve or review within a statutorily defined |
time
period, of the Department after September 19, 1991 |
(the effective date of
Public Act
87-633). The Board shall |
review the proposed rules within 90
days of
submission by |
the Department. The Department shall take into |
consideration
any comments and recommendations of the |
Board regarding the proposed rules
prior to submission to |
the Secretary of State for initial publication. If
the |
|
Department disagrees with the recommendations of the |
Board, it shall
submit a written response outlining the |
reasons for not accepting the
recommendations.
|
In the case of proposed administrative rules or |
amendments to
administrative
rules regarding immunization |
of children against preventable communicable
diseases |
designated by the Director under the Communicable Disease |
Prevention
Act, after the Immunization Advisory Committee |
has made its
recommendations, the Board shall conduct 3 |
public hearings, geographically
distributed
throughout the |
State. At the conclusion of the hearings, the State Board |
of
Health shall issue a report, including its |
recommendations, to the Director.
The Director shall take |
into consideration any comments or recommendations made
by |
the Board based on these hearings.
|
(10) To deliver to the Governor for presentation to |
the General Assembly a State Health Assessment (SHA) and a |
State Health Improvement Plan (SHIP) . The first 5 3 such |
plans shall be delivered to the Governor on January 1, |
2006, January 1, 2009, and January 1, 2016 , January 1, |
2021, and June 30, 2022, and then every 5 years |
thereafter. |
The State Health Assessment and State Health |
Improvement Plan Plan shall assess and recommend |
priorities and strategies to improve the public health |
system , and the health status of Illinois residents, |
|
reduce health disparities and inequities, and promote |
health equity. The State Health Assessment and State |
Health Improvement Plan development and implementation |
shall conform to national Public Health Accreditation |
Board Standards. The State Health Assessment and State |
Health Improvement Plan development and implementation |
process shall be carried out with the administrative and |
operational support of the Department of Public Health |
taking into consideration national health objectives and |
system standards as frameworks for assessment . |
The State Health Assessment shall include |
comprehensive, broad-based data and information from a |
variety of sources on health status and the public health |
system including: |
(i) quantitative data, if it is available, on the |
demographics and health status of the population, |
including data over time on health by gender identity, |
sexual orientation, race, ethnicity, age, |
socio-economic factors, geographic region, disability |
status, and other indicators of disparity; |
(ii) quantitative data on social and structural |
issues affecting health (social and structural |
determinants of health), including, but not limited |
to, housing, transportation, educational attainment, |
employment, and income inequality; |
(iii) priorities and strategies developed at the |
|
community level through the Illinois Project for Local |
Assessment of Needs (IPLAN) and other local and |
regional community health needs assessments; |
(iv) qualitative data representing the |
population's input on health concerns and well-being, |
including the perceptions of people experiencing |
disparities and health inequities; |
(v) information on health disparities and health |
inequities; and |
(vi) information on public health system strengths |
and areas for improvement. |
The Plan shall also take into consideration priorities |
and strategies developed at the community level through |
the Illinois Project for Local Assessment of Needs (IPLAN) |
and any regional health improvement plans that may be |
developed.
|
The State Health Improvement Plan Plan shall focus on |
prevention , social determinants of health, and promoting |
health equity as key strategies as a key strategy for |
long-term health improvement in Illinois. |
The State Health Improvement Plan Plan shall identify |
priority State health issues and social issues affecting |
health, and shall examine and make recommendations on the |
contributions and strategies of the public and private |
sectors for improving health status and the public health |
system in the State. In addition to recommendations on |
|
health status improvement priorities and strategies for |
the population of the State as a whole, the State Health |
Improvement Plan Plan shall make recommendations , provided |
that data exists to support such recommendations, |
regarding priorities and strategies for reducing and |
eliminating health disparities and health inequities in |
Illinois; including racial, ethnic, gender identification , |
sexual orientation, age, disability, socio-economic , and |
geographic disparities. The State Health Improvement Plan |
shall make recommendations regarding social determinants |
of health, such as housing, transportation, educational |
attainment, employment, and income inequality. |
The development and implementation of the State Health |
Assessment and State Health Improvement Plan shall be a |
collaborative public-private cross-agency effort overseen |
by the SHA and SHIP Partnership. The Director of Public |
Health shall consult with the Governor to ensure |
participation by the head of State agencies with public |
health responsibilities (or their designees) in the SHA |
and SHIP Partnership, including, but not limited to, the |
Department of Public Health, the Department of Human |
Services, the Department of Healthcare and Family |
Services, the Department of Children and Family Services, |
the Environmental Protection Agency, the Illinois State |
Board of Education, the Department on Aging, the Illinois |
Housing Development Authority, the Illinois Criminal |
|
Justice Information Authority, the Department of |
Agriculture, the Department of Transportation, the |
Department of Corrections, the Department of Commerce and |
Economic Opportunity, and the Chair of the State Board of |
Health to also serve on the Partnership. A member of the |
Governor's staff shall participate in the Partnership and |
serve as a liaison to the Governor's office. |
The Director of the Illinois Department of Public |
Health shall appoint a minimum of 15 other members of the |
SHA and SHIP Partnership representing a Planning Team that |
includes a range of public, private, and voluntary sector |
stakeholders and participants in the public health system. |
For the first SHA and SHIP Partnership after the effective |
date of this amendatory Act of the 102nd General Assembly, |
one-half of the members shall be appointed for a 3-year |
term, and one-half of the members shall be appointed for a |
5-year term. Subsequently, members shall be appointed to |
5-year terms. Should any member not be able to fulfill his |
or her term, the Director may appoint a replacement to |
complete that term. The Director, in consultation with the |
SHA and SHIP Partnership, may engage additional |
individuals and organizations to serve on subcommittees |
and ad hoc efforts to conduct the State Health Assessment |
and develop and implement the State Health Improvement |
Plan. Members of the SHA and SHIP Partnership shall |
receive no compensation for serving as members, but may be |
|
reimbursed for their necessary expenses if departmental |
resources allow. |
The SHA and SHIP Partnership This Team shall include: |
the directors of State agencies with public health |
responsibilities (or their designees), including but not |
limited to the Illinois Departments of Public Health and |
Department of Human Services, representatives of local |
health departments , representatives of local community |
health partnerships, and individuals with expertise who |
represent an array of organizations and constituencies |
engaged in public health improvement and prevention , such |
as non-profit public interest groups, groups serving |
populations that experience health disparities and health |
inequities, groups addressing social determinants of |
health, health issue groups, faith community groups, |
health care providers, businesses and employers, academic |
institutions, and community-based organizations . |
The Director shall endeavor to make the membership of |
the Partnership diverse and inclusive of the racial, |
ethnic, gender, socio-economic, and geographic diversity |
of the State. The SHA and SHIP Partnership shall be |
chaired by the Director of Public Health or his or her |
designee. |
The SHA and SHIP Partnership shall develop and |
implement a community engagement process that facilitates |
input into the development of the State Health Assessment |
|
and State Health Improvement Plan. This engagement process |
shall ensure that individuals with lived experience in the |
issues addressed in the State Health Assessment and State |
Health Improvement Plan are meaningfully engaged in the |
development and implementation of the State Health |
Assessment and State Health Improvement Plan. |
The State Board of Health shall hold at least 3 public |
hearings addressing a draft of the State Health |
Improvement Plan drafts of the Plan in representative |
geographic areas of the State.
Members of the Planning |
Team shall receive no compensation for their services, but |
may be reimbursed for their necessary expenses.
|
Upon the delivery of each State Health Improvement |
Plan, the Governor shall appoint a SHIP Implementation |
Coordination Council that includes a range of public, |
private, and voluntary sector stakeholders and |
participants in the public health system. The Council |
shall include the directors of State agencies and entities |
with public health system responsibilities (or their |
designees), including but not limited to the Department of |
Public Health, Department of Human Services, Department of |
Healthcare and Family Services, Environmental Protection |
Agency, Illinois State Board of Education, Department on |
Aging, Illinois Violence Prevention Authority, Department |
of Agriculture, Department of Insurance, Department of |
Financial and Professional Regulation, Department of |
|
Transportation, and Department of Commerce and Economic |
Opportunity and the Chair of the State Board of Health. |
The Council shall include representatives of local health |
departments and individuals with expertise who represent |
an array of organizations and constituencies engaged in |
public health improvement and prevention, including |
non-profit public interest groups, health issue groups, |
faith community groups, health care providers, businesses |
and employers, academic institutions, and community-based |
organizations. The Governor shall endeavor to make the |
membership of the Council representative of the racial, |
ethnic, gender, socio-economic, and geographic diversity |
of the State. The Governor shall designate one State |
agency representative and one other non-governmental |
member as co-chairs of the Council. The Governor shall |
designate a member of the Governor's office to serve as |
liaison to the Council and one or more State agencies to |
provide or arrange for support to the Council. The members |
of the SHIP Implementation Coordination Council for each |
State Health Improvement Plan shall serve until the |
delivery of the subsequent State Health Improvement Plan, |
whereupon a new Council shall be appointed. Members of the |
SHIP Planning Team may serve on the SHIP Implementation |
Coordination Council if so appointed by the Governor. |
Upon the delivery of each State Health Assessment and |
State Health Improvement Plan, the SHA and SHIP |
|
Partnership The SHIP Implementation Coordination Council |
shall coordinate the efforts and engagement of the public, |
private, and voluntary sector stakeholders and |
participants in the public health system to implement each |
SHIP. The Partnership Council shall serve as a forum for |
collaborative action; coordinate existing and new |
initiatives; develop detailed implementation steps, with |
mechanisms for action; implement specific projects; |
identify public and private funding sources at the local, |
State and federal level; promote public awareness of the |
SHIP; and advocate for the implementation of the SHIP . The |
SHA and SHIP Partnership shall implement strategies to |
ensure that individuals and communities affected by health |
disparities and health inequities are engaged in the |
process throughout the 5-year cycle. The SHA and SHIP |
Partnership shall regularly evaluate and update the State |
Health Assessment and track implementation of the State |
Health Improvement Plan with revisions as necessary. The |
SHA and SHIP Partnership shall not have the authority to |
direct any public or private entity to take specific |
action to implement the SHIP. ; and develop an annual |
report to the Governor, General Assembly, and public |
regarding the status of implementation of the SHIP. The |
Council shall not, however, have the authority to direct |
any public or private entity to take specific action to |
implement the SHIP. |
|
The State Board of Health shall submit a report by |
January 31 of each year on the status of State Health |
Improvement Plan implementation and community engagement |
activities to the Governor, General Assembly, and public. |
In the fifth year, the report may be consolidated into the |
new State Health Assessment and State Health Improvement |
Plan. |
(11) Upon the request of the Governor, to recommend to |
the Governor
candidates for Director of Public Health when |
vacancies occur in the position.
|
(12) To adopt bylaws for the conduct of its own |
business, including the
authority to establish ad hoc |
committees to address specific public health
programs |
requiring resolution.
|
(13) (Blank). |
Upon appointment, the Board shall elect a chairperson from |
among its
members.
|
Members of the Board shall receive compensation for their |
services at the
rate of $150 per day, not to exceed $10,000 per |
year, as designated by the
Director for each day required for |
transacting the business of the Board
and shall be reimbursed |
for necessary expenses incurred in the performance
of their |
duties. The Board shall meet from time to time at the call of |
the
Department, at the call of the chairperson, or upon the |
request of 3 of its
members, but shall not meet less than 4 |
times per year.
|
|
(b) (Blank).
|
(c) An Advisory Board on Necropsy Service to Coroners, |
which shall
counsel and advise with the Director on the |
administration of the Autopsy
Act. The Advisory Board shall |
consist of 11 members, including
a senior citizen age 60 or |
over, appointed by the Governor, one of
whom shall be |
designated as chairman by a majority of the members of the
|
Board. In the appointment of the first Board the Governor |
shall appoint 3
members to serve for terms of 1 year, 3 for |
terms of 2 years, and 3 for
terms of 3 years. The members first |
appointed under Public Act 83-1538 shall serve for a term of 3 |
years. All members appointed thereafter
shall be appointed for |
terms of 3 years, except that when an
appointment is made
to |
fill a vacancy, the appointment shall be for the remaining
|
term of the position vacant. The members of the Board shall be |
citizens of
the State of Illinois. In the appointment of |
members of the Advisory Board
the Governor shall appoint 3 |
members who shall be persons licensed to
practice medicine and |
surgery in the State of Illinois, at least 2 of whom
shall have |
received post-graduate training in the field of pathology; 3
|
members who are duly elected coroners in this State; and 5 |
members who
shall have interest and abilities in the field of |
forensic medicine but who
shall be neither persons licensed to |
practice any branch of medicine in
this State nor coroners. In |
the appointment of medical and coroner members
of the Board, |
the Governor shall invite nominations from recognized medical
|
|
and coroners organizations in this State respectively. Board |
members, while
serving on business of the Board, shall receive |
actual necessary travel and
subsistence expenses while so |
serving away from their places of residence.
|
(Source: P.A. 98-463, eff. 8-16-13; 99-527, eff. 1-1-17; |
revised 7-17-19.)
|
Article 125. |
Section 125-1. Short title. This Article may be cited as |
the Health and Human Services Task Force and Study Act. |
References in this Article to "this Act" mean this Article. |
Section 125-5. Findings. The General Assembly finds that:
|
(1) The State is committed to improving the health and |
well-being of Illinois residents and families.
|
(2) According to data collected by the Kaiser |
Foundation, Illinois had over 905,000 uninsured residents |
in 2019, with a total uninsured rate of 7.3%. |
(3) Many Illinois residents and families who have |
health insurance cannot afford to use it due to high |
deductibles and cost sharing.
|
(4) Lack of access to affordable health care services |
disproportionately affects minority communities |
throughout the State, leading to poorer health outcomes |
among those populations.
|
|
(5) Illinois Medicaid beneficiaries are not receiving |
the coordinated and effective care they need to support |
their overall health and well-being.
|
(6) Illinois has an opportunity to improve the health |
and well-being of a historically underserved and |
vulnerable population by providing more coordinated and |
higher quality care to its Medicaid beneficiaries.
|
(7) The State of Illinois has a responsibility to help |
crime victims access justice, assistance, and the support |
they need to heal.
|
(8) Research has shown that people who are repeatedly |
victimized are more likely to face mental health problems |
such as depression, anxiety, and symptoms related to |
post-traumatic stress disorder and chronic trauma.
|
(9) Trauma-informed care has been promoted and |
established in communities across the country on a |
bipartisan basis, and numerous federal agencies have |
integrated trauma-informed approaches into their programs |
and grants, which should be leveraged by the State of |
Illinois.
|
(10) Infants, children, and youth and their families |
who have experienced or are at risk of experiencing |
trauma, including those who are low-income, homeless, |
involved with the child welfare system, involved in the |
juvenile or adult justice system, unemployed, or not |
enrolled in or at risk of dropping out of an educational |
|
institution and live in a community that has faced acute |
or long-term exposure to substantial discrimination, |
historical oppression, intergenerational poverty, a high |
rate of violence or drug overdose deaths, should have an |
opportunity for improved outcomes; this means increasing |
access to greater opportunities to meet educational, |
employment, health, developmental, community reentry, |
permanency from foster care, or other key goals.
|
Section 125-10. Health and Human Services Task Force. The |
Health and Human Services Task Force is created within the |
Department of Human Services to undertake a systematic review |
of health and human service departments and programs with the |
goal of improving health and human service outcomes for |
Illinois residents. |
Section 125-15. Study.
|
(1) The Task Force shall review all health and human |
service departments and programs and make recommendations for |
achieving a system that will improve interagency |
interoperability with respect to improving access to |
healthcare, healthcare disparities, workforce competency and |
diversity, social determinants of health, and data sharing and |
collection. These recommendations shall include, but are not |
limited to, the following elements: |
(i) impact on infant and maternal mortality;
|
|
(ii) impact of hospital closures, including safety-net |
hospitals, on local communities; and
|
(iii) impact on Medicaid Managed Care Organizations. |
(2) The Task Force shall review and make recommendations |
on ways the Medicaid program can partner and cooperate with |
other agencies, including but not limited to the Department of |
Agriculture, the Department of Insurance, the Department of |
Human Services, the Department of Labor, the Environmental |
Protection Agency, and the Department of Public Health, to |
better address social determinants of public health, |
including, but not limited to, food deserts, affordable |
housing, environmental pollutions, employment, education, and |
public support services. This shall include a review and |
recommendations on ways Medicaid and the agencies can share |
costs related to better health outcomes. |
(3) The Task Force shall review the current partnership, |
communication, and cooperation between Federally Qualified |
Health Centers (FQHCs) and safety-net hospitals in Illinois |
and make recommendations on public policies that will improve |
interoperability and cooperations between these entities in |
order to achieve improved coordinated care and better health |
outcomes for vulnerable populations in the State. |
(4) The Task Force shall review and examine public |
policies affecting trauma and social determinants of health, |
including trauma-informed care, and make recommendations on |
ways to improve and integrate trauma-informed approaches into |
|
programs and agencies in the State, including, but not limited |
to, Medicaid and other health care programs administered by |
the State, and increase awareness of trauma and its effects on |
communities across Illinois.
|
(5) The Task Force shall review and examine the connection |
between access to education and health outcomes particularly |
in African American and minority communities and make |
recommendations on public policies to address any gaps or |
deficiencies.
|
Section 125-20. Membership; appointments; meetings; |
support.
|
(1) The Task Force shall include representation from both |
public and private organizations, and its membership shall |
reflect regional, racial, and cultural diversity to ensure |
representation of the needs of all Illinois citizens. Task |
Force members shall include one member appointed by the |
President of the Senate, one member appointed by the Minority |
Leader of the Senate, one member appointed by the Speaker of |
the House of Representatives, one member appointed by the |
Minority Leader of the House of Representatives, and other |
members appointed by the Governor. The Governor's appointments |
shall include, without limitation, the following:
|
(A) One member of the Senate, appointed by the Senate |
President, who shall serve as Co-Chair; |
(B) One member of the House of Representatives, |
|
appointed by the Speaker of the House, who shall serve as |
Co-Chair; |
(C) Eight members of the General Assembly representing |
each of the majority and minority caucuses of each |
chamber. |
(D) The Directors or Secretaries of the following |
State agencies or their designees: |
(i) Department of Human Services. |
(ii) Department of Children and Family Services. |
(iii) Department of Healthcare and Family |
Services. |
(iv) State Board of Education. |
(v) Department on Aging. |
(vi) Department of Public Health. |
(vii) Department of Veterans' Affairs. |
(viii) Department of Insurance. |
(E) Local government stakeholders and nongovernmental |
stakeholders with an interest in human services, including |
representation among the following private-sector fields |
and constituencies: |
(i) Early childhood education and development. |
(ii) Child care. |
(iii) Child welfare. |
(iv) Youth services. |
(v) Developmental disabilities. |
(vi) Mental health. |
|
(vii) Employment and training. |
(viii) Sexual and domestic violence. |
(ix) Alcohol and substance abuse. |
(x) Local community collaborations among human |
services programs. |
(xi) Immigrant services. |
(xii) Affordable housing. |
(xiii) Food and nutrition. |
(xiv) Homelessness. |
(xv) Older adults. |
(xvi) Physical disabilities. |
(xvii) Maternal and child health. |
(xviii) Medicaid managed care organizations. |
(xix) Healthcare delivery. |
(xx) Health insurance. |
(2) Members shall serve without compensation for the |
duration of the Task Force. |
(3) In the event of a vacancy, the appointment to fill the |
vacancy shall be made in the same manner as the original |
appointment. |
(4) The Task Force shall convene within 60 days after the |
effective date of this Act. The initial meeting of the Task |
Force shall be convened by the co-chair selected by the |
Governor. Subsequent meetings shall convene at the call of the |
co-chairs. The Task Force shall meet on a quarterly basis, or |
more often if necessary. |
|
(5) The Department of Human Services shall provide |
administrative support to the Task Force. |
Section 125-25. Report. The Task Force shall report to the |
Governor and the General Assembly on the Task Force's progress |
toward its goals and objectives by June 30, 2021, and every |
June 30 thereafter. |
Section 125-30. Transparency. In addition to whatever |
policies or procedures it may adopt, all operations of the |
Task Force shall be subject to the provisions of the Freedom of |
Information Act and the Open Meetings Act. This Section shall |
not be construed so as to preclude other State laws from |
applying to the Task Force and its activities. |
Section 125-40. Repeal. This Article is repealed June 30, |
2023. |
Article 130. |
Section 130-1. Short title. This Article may be cited as |
the Anti-Racism Commission Act. References in this Article to |
"this Act" mean this Article. |
Section 130-5. Findings. The General Assembly finds and |
declares all of the following:
|
|
(1) Public health is the science and art of preventing |
disease, of protecting and improving the health of people, |
entire populations, and their communities; this work is |
achieved by promoting healthy lifestyles and choices, |
researching disease, and preventing injury.
|
(2) Public health professionals try to prevent |
problems from happening or recurring through implementing |
educational programs, recommending policies, |
administering services, and limiting health disparities |
through the promotion of equitable and accessible |
healthcare.
|
(3) According to the Centers for Disease Control and |
Prevention, racism and segregation in the State of |
Illinois have exacerbated a health divide, resulting in |
Black residents having lower life expectancies than white |
citizens of this State and being far more likely than |
other races to die prematurely (before the age of 75) and |
to die of heart disease or stroke; Black residents of |
Illinois have a higher level of infant mortality, lower |
birth weight babies, and are more likely to be overweight |
or obese as adults, have adult diabetes, and have |
long-term complications from diabetes that exacerbate |
other conditions, including the susceptibility to |
COVID-19.
|
(4) Black and Brown people are more likely to |
experience poor health outcomes as a consequence of their |
|
social determinants of health, health inequities stemming |
from economic instability, education, physical |
environment, food, and access to health care systems.
|
(5) Black residents in Illinois are more likely than |
white residents to experience violence-related trauma as a |
result of socioeconomic conditions resulting from systemic |
racism.
|
(6) Racism is a social system with multiple dimensions |
in which individual racism is internalized or |
interpersonal and systemic racism is institutional or |
structural and is a system of structuring opportunity and |
assigning value based on the social interpretation of how |
one looks; this unfairly disadvantages specific |
individuals and communities, while unfairly giving |
advantages to other individuals and communities; it saps |
the strength of the whole society through the waste of |
human resources.
|
(7) Racism causes persistent racial discrimination |
that influences many areas of life, including housing, |
education, employment, and criminal justice; an emerging |
body of research demonstrates that racism itself is a |
social determinant of health.
|
(8) More than 100 studies have linked racism to worse |
health outcomes.
|
(9) The American Public Health Association launched a |
National Campaign against Racism.
|
|
(10) Public health's responsibilities to address |
racism include reshaping our discourse and agenda so that |
we all actively engage in racial justice work.
|
Section 130-10. Anti-Racism Commission.
|
(a) The Anti-Racism Commission is hereby created to |
identify and propose statewide policies to eliminate systemic |
racism and advance equitable solutions for Black and Brown |
people in Illinois.
|
(b) The Anti-Racism Commission shall consist of the |
following members, who shall serve without compensation:
|
(1) one member of the House of Representatives, |
appointed by the Speaker of the House of Representatives, |
who shall serve as co-chair;
|
(2) one member of the Senate, appointed by the Senate |
President, who shall serve as co-chair;
|
(3) one member of the House of Representatives, |
appointed by the Minority Leader of the House of |
Representatives;
|
(4) one member of the Senate, appointed by the |
Minority Leader of the Senate;
|
(5) the Director of Public Health, or his or her |
designee;
|
(6) the Chair of the House Black Caucus;
|
(7) the Chair of the Senate Black Caucus;
|
(8) the Chair of the Joint Legislative Black Caucus;
|
|
(9) the director of a statewide association |
representing public health departments, appointed by the |
Speaker of the House of Representatives; |
(10) the Chair of the House Latino Caucus;
|
(11) the Chair of the Senate Latino Caucus;
|
(12) one community member appointed by the House Black |
Caucus Chair;
|
(13) one community member appointed by the Senate |
Black Caucus Chair;
|
(14) one community member appointed by the House |
Latino Caucus Chair; and
|
(15) one community member appointed by the Senate |
Latino Caucus Chair.
|
(c) The Department of Public Health shall provide |
administrative support for the Commission.
|
(d) The Commission is charged with, but not limited to, |
the following tasks:
|
(1) Working to create an equity and justice-oriented |
State government.
|
(2) Assessing the policy and procedures of all State |
agencies to ensure racial equity is a core element of |
State government.
|
(3) Developing and incorporating into the |
organizational structure of State government a plan for |
educational efforts to understand, address, and dismantle |
systemic racism in government actions.
|
|
(4) Recommending and advocating for policies that |
improve health in Black and Brown people and support |
local, State, regional, and federal initiatives that |
advance efforts to dismantle systemic racism.
|
(5) Working to build alliances and partnerships with |
organizations that are confronting racism and encouraging |
other local, State, regional, and national entities to |
recognize racism as a public health crisis.
|
(6) Promoting community engagement, actively engaging |
citizens on issues of racism and assisting in providing |
tools to engage actively and authentically with Black and |
Brown people.
|
(7) Reviewing all portions of codified State laws |
through the lens of racial equity.
|
(8) Working with the Department of Central Management |
Services to update policies that encourage diversity in |
human resources, including hiring, board appointments, and |
vendor selection by agencies, and to review all grant |
management activities with an eye toward equity and |
workforce development.
|
(9) Recommending policies that promote racially |
equitable economic and workforce development practices.
|
(10) Promoting and supporting all policies that |
prioritize the health of all people, especially people of |
color, by mitigating exposure to adverse childhood |
experiences and trauma in childhood and ensuring |
|
implementation of health and equity in all policies.
|
(11) Encouraging community partners and stakeholders |
in the education, employment, housing, criminal justice, |
and safety arenas to recognize racism as a public health |
crisis and to implement policy recommendations.
|
(12) Identifying clear goals and objectives, including |
specific benchmarks, to assess progress.
|
(13) Holding public hearings across Illinois to |
continue to explore and to recommend needed action by the |
General Assembly.
|
(14) Working with the Governor and the General |
Assembly to identify the necessary funds to support the |
Anti-Racism Commission and its endeavors.
|
(15) Identifying resources to allocate to Black and |
Brown communities on an annual basis.
|
(16) Encouraging corporate investment in anti-racism |
policies in Black and Brown communities.
|
(e) The Commission shall submit its final report to the |
Governor and the General Assembly no later than December 31, |
2021. The Commission is dissolved upon the filing of its |
report.
|
Section 130-15. Repeal. This Article is repealed on |
January 1, 2023. |
Article 131. |
|
Section 131-1. Short title. This Article may be cited as |
the Sickle Cell Prevention, Care, and Treatment Program Act. |
References in this Article to "this Act" mean this Article. |
Section 131-5. Definitions. As used in this Act: |
"Department" means the Department of Public Health. |
"Program" means the Sickle Cell Prevention, Care, and |
Treatment Program. |
Section 131-10. Sickle Cell Prevention, Care, and |
Treatment Program. The Department shall establish a grant |
program for the purpose of providing for the prevention, care, |
and treatment of sickle cell disease and for educational |
programs concerning the disease. |
Section 131-15. Grants; eligibility standards. |
(a) The Department shall do the following: |
(1)(A) Develop application criteria and standards of |
eligibility for groups
or organizations who apply for |
funds under the program. |
(B) Make available grants to groups and organizations |
who meet
the eligibility standards set by the Department. |
However: |
(i) the highest priority for grants shall be |
accorded to
established sickle cell disease
|
|
community-based organizations throughout Illinois; and |
(ii) priority shall also be given to ensuring the
|
establishment of sickle cell disease centers in |
underserved
areas that have a higher population of |
sickle cell disease
patients. |
(2) Determine the maximum amount available for each |
grant provided under subparagraph (B) of paragraph (1). |
(3) Determine policies for the expiration and renewal |
of grants provided under subparagraph (B) of paragraph |
(1). |
(4) Require that all grant funds be used for the |
purpose of
prevention, care, and treatment of sickle cell |
disease or
for educational programs concerning the |
disease.
Grant funds shall be used for one or more of the |
following purposes: |
(A) Assisting in the development and expansion of |
care for the
treatment of individuals with sickle cell |
disease, particularly
for adults, including the |
following types of care: |
(i) Self-administered care. |
(ii) Preventive care. |
(iii) Home care. |
(iv) Other evidence-based medical procedures |
and
techniques designed to provide maximum control |
over
sickling episodes typical of occurring to an |
individual with
the disease. |
|
(B) Increasing access to health care for |
individuals with sickle cell disease. |
(C) Establishing additional sickle cell disease |
infusion centers. |
(D) Increasing access to mental health resources |
and pain management therapies for individuals with |
sickle cell disease. |
(E) Providing counseling to any individual, at no |
cost, concerning sickle cell disease and sickle cell |
trait, and the characteristics, symptoms, and |
treatment of the disease. |
(i) The counseling described in this |
subparagraph (E) may consist of any of the |
following: |
(I) Genetic counseling for an individual |
who tests positive for the sickle cell trait. |
(II) Psychosocial counseling for an |
individual who tests positive for sickle cell |
disease, including any of the following: |
(aa) Social service counseling. |
(bb) Psychological counseling. |
(cc) Psychiatric counseling.
|
(5) Develop a sickle cell disease educational
outreach |
program that includes the dissemination of
educational |
materials to the following concerning sickle cell
disease |
and sickle cell trait:
|
|
(A) Medical residents. |
(B) Immigrants. |
(C) Schools and universities. |
(6) Adopt any rules necessary to implement the |
provisions of this Act. |
(b) The Department may contract with an entity to
|
implement the sickle cell disease educational outreach program
|
described in paragraph (5) of subsection (a).
|
Section 131-20. Sickle Cell Chronic Disease Fund. |
(a) The Sickle Cell Chronic Disease Fund is
created as a |
special fund in the State treasury for the purpose of carrying |
out the provisions of this
Act and for no other
purpose. The |
Fund shall be administered by the Department.
Expenditures |
from the Fund shall be subject to appropriation. |
(b) The Fund shall consist of: |
(1) Any moneys appropriated to the Department for the |
Sickle Cell Prevention, Care, and Treatment Program. |
(2) Gifts, bequests, and other sources of funding. |
(3) All interest earned on moneys in the Fund.
|
Section 131-25. Study. |
(a) Before July 1, 2022, and on a
biennial basis |
thereafter, the Department, with the assistance
of: |
(1) the Center for Minority Health Services; |
(2) health care providers that treat individuals with |
|
sickle cell
disease; |
(3) individuals diagnosed with sickle cell disease; |
(4) representatives of community-based organizations |
that
serve individuals with sickle cell disease; and |
(5) data collected via newborn screening for sickle |
cell disease;
|
shall perform a study to determine the prevalence, impact, and
|
needs of individuals with sickle cell disease and the sickle |
cell trait in
Illinois.
|
(b) The study must include the following: |
(1) The prevalence, by geographic location, of |
individuals
diagnosed with sickle cell disease in |
Illinois. |
(2) The prevalence, by geographic location, of |
individuals
diagnosed as sickle cell trait carriers in |
Illinois. |
(3) The availability and affordability of screening |
services in
Illinois for the sickle cell trait.
|
(4) The location and capacity of the following for the
|
treatment of sickle cell disease and sickle cell trait |
carriers:
|
(A) Treatment centers. |
(B) Clinics. |
(C) Community-based social service organizations. |
(D) Medical specialists.
|
(5) The unmet medical, psychological, and social needs
|
|
encountered by individuals in Illinois with sickle cell |
disease. |
(6) The underserved areas of Illinois for the |
treatment of
sickle cell disease.
|
(7) Recommendations for actions to address any |
shortcomings
in the State identified under this Section. |
(c) The Department shall submit a report on the study |
performed
under this Section to the General Assembly. |
Section 131-30. Implementation subject to appropriation. |
Implementation of this Act is subject to appropriation. |
Section 131-90. The State Finance Act is amended by adding |
Section 5.937 as follows: |
(30 ILCS 105/5.937 new) |
Sec. 5.937. The Sickle Cell Chronic Disease Fund. |
Title VII. Hospital Closure |
Article 135. |
Section 135-5. The Illinois Health Facilities Planning Act |
is amended by changing Sections 4, 5.4, and 8.7 as follows:
|
(20 ILCS 3960/4) (from Ch. 111 1/2, par. 1154)
|
|
(Section scheduled to be repealed on December 31, 2029)
|
Sec. 4. Health Facilities and Services Review Board; |
membership; appointment; term;
compensation; quorum. |
(a) There is created the Health
Facilities and Services |
Review Board, which
shall perform the functions described in |
this
Act. The Department shall provide operational support to |
the Board as necessary, including the provision of office |
space, supplies, and clerical, financial, and accounting |
services. The Board may contract for functions or operational |
support as needed. The Board may also contract with experts |
related to specific health services or facilities and create |
technical advisory panels to assist in the development of |
criteria, standards, and procedures used in the evaluation of |
applications for permit and exemption.
|
(b) The State Board shall consist of 11 9 voting members. |
All members shall be residents of Illinois and at least 4 shall |
reside outside the Chicago Metropolitan Statistical Area. |
Consideration shall be given to potential appointees who |
reflect the ethnic and cultural diversity of the State. |
Neither Board members nor Board staff shall be convicted |
felons or have pled guilty to a felony. |
Each member shall have a reasonable knowledge of the |
practice, procedures and principles of the health care |
delivery system in Illinois, including at least 5 members who |
shall be knowledgeable about health care delivery systems, |
health systems planning, finance, or the management of health |
|
care facilities currently regulated under the Act. One member |
shall be a representative of a non-profit health care consumer |
advocacy organization. One member shall be a representative |
from the community with experience on the effects of |
discontinuing health care services or the closure of health |
care facilities on the surrounding community; provided, |
however, that all other members of the Board shall be |
appointed before this member shall be appointed. A spouse, |
parent, sibling, or child of a Board member cannot be an |
employee, agent, or under contract with services or facilities |
subject to the Act. Prior to appointment and in the course of |
service on the Board, members of the Board shall disclose the |
employment or other financial interest of any other relative |
of the member, if known, in service or facilities subject to |
the Act. Members of the Board shall declare any conflict of |
interest that may exist with respect to the status of those |
relatives and recuse themselves from voting on any issue for |
which a conflict of interest is declared. No person shall be |
appointed or continue to serve as a member of the State Board |
who is, or whose spouse, parent, sibling, or child is, a member |
of the Board of Directors of, has a financial interest in, or |
has a business relationship with a health care facility. |
Notwithstanding any provision of this Section to the |
contrary, the term of
office of each member of the State Board |
serving on the day before the effective date of this |
amendatory Act of the 96th General Assembly is abolished on |
|
the date upon which members of the 9-member Board, as |
established by this amendatory Act of the 96th General |
Assembly, have been appointed and can begin to take action as a |
Board.
|
(c) The State Board shall be appointed by the Governor, |
with the advice
and consent of the Senate. Not more than 6 5 of |
the
appointments shall be of the same political party at the |
time of the appointment.
|
The Secretary of Human Services, the Director of |
Healthcare and Family Services, and
the Director of Public |
Health, or their designated representatives,
shall serve as |
ex-officio, non-voting members of the State Board.
|
(d) Of those 9 members initially appointed by the Governor |
following the effective date of this
amendatory Act of the |
96th General Assembly, 3 shall serve for terms expiring
July |
1, 2011, 3 shall serve for terms expiring July 1, 2012, and 3 |
shall serve
for terms expiring July 1, 2013. Thereafter, each
|
appointed member shall
hold office for a term of 3 years, |
provided that any member
appointed to fill a vacancy
occurring |
prior to the expiration of the
term for which his or her |
predecessor was appointed shall be appointed for the
remainder |
of such term and the term of office of each successor shall
|
commence on July 1 of the year in which his predecessor's term |
expires. Each
member shall hold office until his or her |
successor is appointed and qualified. The Governor may |
reappoint a member for additional terms, but no member shall |
|
serve more than 3 terms, subject to review and re-approval |
every 3 years.
|
(e) State Board members, while serving on business of the |
State Board,
shall receive actual and necessary travel and |
subsistence expenses while
so serving away from their places
|
of residence. Until March 1, 2010, a
member of the State Board |
who experiences a significant financial hardship
due to the |
loss of income on days of attendance at meetings or while |
otherwise
engaged in the business of the State Board may be |
paid a hardship allowance, as
determined by and subject to the |
approval of the Governor's Travel Control
Board.
|
(f) The Governor shall designate one of the members to |
serve as the Chairman of the Board, who shall be a person with |
expertise in health care delivery system planning, finance or |
management of health care facilities that are regulated under |
the Act. The Chairman shall annually review Board member |
performance and shall report the attendance record of each |
Board member to the General Assembly. |
(g) The State Board, through the Chairman, shall prepare a |
separate and distinct budget approved by the General Assembly |
and shall hire and supervise its own professional staff |
responsible for carrying out the responsibilities of the |
Board.
|
(h) The State Board shall meet at least every 45 days, or |
as often as
the Chairman of the State Board deems necessary, or |
upon the request of
a majority of the members.
|
|
(i) Six
Five members of the State Board shall constitute a |
quorum.
The affirmative vote of 6 5 of the members of the State |
Board shall be
necessary for
any action requiring a vote to be |
taken by the State
Board. A vacancy in the membership of the |
State Board shall not impair the
right of a quorum to exercise |
all the rights and perform all the duties of the
State Board as |
provided by this Act.
|
(j) A State Board member shall disqualify himself or |
herself from the
consideration of any application for a permit |
or
exemption in which the State Board member or the State Board |
member's spouse,
parent, sibling, or child: (i) has
an |
economic interest in the matter; or (ii) is employed by, |
serves as a
consultant for, or is a member of the
governing |
board of the applicant or a party opposing the application.
|
(k) The Chairman, Board members, and Board staff must |
comply with the Illinois Governmental Ethics Act. |
(Source: P.A. 99-527, eff. 1-1-17; 100-681, eff. 8-3-18 .)
|
(20 ILCS 3960/5.4) |
(Section scheduled to be repealed on December 31, 2029) |
Sec. 5.4. Safety Net Impact Statement. |
(a) General review criteria shall include a requirement |
that all health care facilities, with the exception of skilled |
and intermediate long-term care facilities licensed under the |
Nursing Home Care Act, provide a Safety Net Impact Statement, |
which shall be filed with an application for a substantive |
|
project or when the application proposes to discontinue a |
category of service. |
(b) For the purposes of this Section, "safety net |
services" are services provided by health care providers or |
organizations that deliver health care services to persons |
with barriers to mainstream health care due to lack of |
insurance, inability to pay, special needs, ethnic or cultural |
characteristics, or geographic isolation. Safety net service |
providers include, but are not limited to, hospitals and |
private practice physicians that provide charity care, |
school-based health centers, migrant health clinics, rural |
health clinics, federally qualified health centers, community |
health centers, public health departments, and community |
mental health centers. |
(c) As developed by the applicant, a Safety Net Impact |
Statement shall describe all of the following: |
(1) The project's material impact, if any, on |
essential safety net services in the community, including |
the impact on racial and health care disparities in the |
community, to the extent that it is feasible for an |
applicant to have such knowledge. |
(2) The project's impact on the ability of another |
provider or health care system to cross-subsidize safety |
net services, if reasonably known to the applicant. |
(3) How the discontinuation of a facility or service |
might impact the remaining safety net providers in a given |
|
community, if reasonably known by the applicant. |
(d) Safety Net Impact Statements shall also include all of |
the following: |
(1) For the 3 fiscal years prior to the application, a |
certification describing the amount of charity care |
provided by the applicant. The amount calculated by |
hospital applicants shall be in accordance with the |
reporting requirements for charity care reporting in the |
Illinois Community Benefits Act. Non-hospital applicants |
shall report charity care, at cost, in accordance with an |
appropriate methodology specified by the Board. |
(2) For the 3 fiscal years prior to the application, a |
certification of the amount of care provided to Medicaid |
patients. Hospital and non-hospital applicants shall |
provide Medicaid information in a manner consistent with |
the information reported each year to the State Board |
regarding "Inpatients and Outpatients Served by Payor |
Source" and "Inpatient and Outpatient Net Revenue by Payor |
Source" as required by the Board under Section 13 of this |
Act and published in the Annual Hospital Profile. |
(3) Any information the applicant believes is directly |
relevant to safety net services, including information |
regarding teaching, research, and any other service. |
(e) The Board staff shall publish a notice, that an |
application accompanied by a Safety Net Impact Statement has |
been filed, in a newspaper having general circulation within |
|
the area affected by the application. If no newspaper has a |
general circulation within the county, the Board shall post |
the notice in 5 conspicuous places within the proposed area. |
(f) Any person, community organization, provider, or |
health system or other entity wishing to comment upon or |
oppose the application may file a Safety Net Impact Statement |
Response with the Board, which shall provide additional |
information concerning a project's impact on safety net |
services in the community. |
(g) Applicants shall be provided an opportunity to submit |
a reply to any Safety Net Impact Statement Response. |
(h) The State Board Staff Report shall include a statement |
as to whether a Safety Net Impact Statement was filed by the |
applicant and whether it included information on charity care, |
the amount of care provided to Medicaid patients, and |
information on teaching, research, or any other service |
provided by the applicant directly relevant to safety net |
services. The report shall also indicate the names of the |
parties submitting responses and the number of responses and |
replies, if any, that were filed.
|
(Source: P.A. 100-518, eff. 6-1-18 .) |
(20 ILCS 3960/8.7) |
(Section scheduled to be repealed on December 31, 2029) |
Sec. 8.7. Application for permit for discontinuation of a |
health care facility or category of service; public notice and |
|
public hearing. |
(a) Upon a finding that an application to close a health |
care facility or discontinue a category of service is |
complete, the State Board shall publish a legal notice on 3 |
consecutive days in a newspaper of general circulation in the |
area or community to be affected and afford the public an |
opportunity to request a hearing. If the application is for a |
facility located in a Metropolitan Statistical Area, an |
additional legal notice shall be published in a newspaper of |
limited circulation, if one exists, in the area in which the |
facility is located. If the newspaper of limited circulation |
is published on a daily basis, the additional legal notice |
shall be published on 3 consecutive days. The legal notice |
shall also be posted on the Health Facilities and Services |
Review Board's website and sent to the State Representative |
and State Senator of the district in which the health care |
facility is located. In addition, the health care facility |
shall provide notice of closure to the local media that the |
health care facility would routinely notify about facility |
events. |
An application to close a health care facility shall only |
be deemed complete if it includes evidence that the health |
care facility provided written notice at least 30 days prior |
to filing the application of its intent to do so to the |
municipality in which it is located, the State Representative |
and State Senator of the district in which the health care |
|
facility is located, the State Board, the Director of Public |
Health, and the Director of Healthcare and Family Services. |
The changes made to this subsection by this amendatory Act of |
the 101st General Assembly shall apply to all applications |
submitted after the effective date of this amendatory Act of |
the 101st General Assembly. |
(b) No later than 30 days after issuance of a permit to |
close a health care facility or discontinue a category of |
service, the permit holder shall give written notice of the |
closure or discontinuation to the State Senator and State |
Representative serving the legislative district in which the |
health care facility is located. |
(c) (1) If there is a pending lawsuit that challenges an |
application to discontinue a health care facility that either |
names the Board as a party or alleges fraud in the filing of |
the application, the Board may defer action on the application |
for up to 6 months after the date of the initial deferral of |
the application. |
(2) The Board may defer action on an application to |
discontinue a hospital that is pending before the Board as of |
the effective date of this amendatory Act of the 102nd General |
Assembly for up to 60 days after the effective date of this |
amendatory Act of the 102nd General Assembly. |
(3) The Board may defer taking final action on an |
application to discontinue a hospital that is filed on or |
after January 12, 2021, until the earlier to occur of: (i) the |
|
expiration of the statewide disaster declaration proclaimed by |
the Governor of the State of Illinois due to the COVID-19 |
pandemic that is in effect on January 12, 2021, or any |
extension thereof, or July 1, 2021, whichever occurs later; or |
(ii) the expiration of the declaration of a public health |
emergency due to the COVID-19 pandemic as declared by the |
Secretary of the U.S. Department of Health and Human Services |
that is in effect on January 12, 2021, or any extension |
thereof, or July 1, 2021, whichever occurs later. This |
paragraph (3) is repealed as of the date of the expiration of |
the statewide disaster declaration proclaimed by the Governor |
of the State of Illinois due to the COVID-19 pandemic that is |
in effect on January 12, 2021, or any extension thereof, or |
July 1, 2021, whichever occurs later. |
(d) The changes made to this Section by this amendatory |
Act of the 101st General Assembly shall apply to all |
applications submitted after the effective date of this |
amendatory Act of the 101st General Assembly.
|
(Source: P.A. 101-83, eff. 7-15-19; 101-650, eff. 7-7-20.) |
Title VIII. Managed Care Organization Reform |
Article 150. |
Section 150-5. The Illinois Public Aid Code is amended by |
changing Section 5-30.1 as follows: |
|
(305 ILCS 5/5-30.1) |
Sec. 5-30.1. Managed care protections. |
(a) As used in this Section: |
"Managed care organization" or "MCO" means any entity |
which contracts with the Department to provide services where |
payment for medical services is made on a capitated basis. |
"Emergency services" include: |
(1) emergency services, as defined by Section 10 of |
the Managed Care Reform and Patient Rights Act; |
(2) emergency medical screening examinations, as |
defined by Section 10 of the Managed Care Reform and |
Patient Rights Act; |
(3) post-stabilization medical services, as defined by |
Section 10 of the Managed Care Reform and Patient Rights |
Act; and |
(4) emergency medical conditions, as defined by
|
Section 10 of the Managed Care Reform and Patient Rights
|
Act. |
(b) As provided by Section 5-16.12, managed care |
organizations are subject to the provisions of the Managed |
Care Reform and Patient Rights Act. |
(c) An MCO shall pay any provider of emergency services |
that does not have in effect a contract with the contracted |
Medicaid MCO. The default rate of reimbursement shall be the |
rate paid under Illinois Medicaid fee-for-service program |
|
methodology, including all policy adjusters, including but not |
limited to Medicaid High Volume Adjustments, Medicaid |
Percentage Adjustments, Outpatient High Volume Adjustments, |
and all outlier add-on adjustments to the extent such |
adjustments are incorporated in the development of the |
applicable MCO capitated rates. |
(d) An MCO shall pay for all post-stabilization services |
as a covered service in any of the following situations: |
(1) the MCO authorized such services; |
(2) such services were administered to maintain the |
enrollee's stabilized condition within one hour after a |
request to the MCO for authorization of further |
post-stabilization services; |
(3) the MCO did not respond to a request to authorize |
such services within one hour; |
(4) the MCO could not be contacted; or |
(5) the MCO and the treating provider, if the treating |
provider is a non-affiliated provider, could not reach an |
agreement concerning the enrollee's care and an affiliated |
provider was unavailable for a consultation, in which case |
the MCO
must pay for such services rendered by the |
treating non-affiliated provider until an affiliated |
provider was reached and either concurred with the |
treating non-affiliated provider's plan of care or assumed |
responsibility for the enrollee's care. Such payment shall |
be made at the default rate of reimbursement paid under |
|
Illinois Medicaid fee-for-service program methodology, |
including all policy adjusters, including but not limited |
to Medicaid High Volume Adjustments, Medicaid Percentage |
Adjustments, Outpatient High Volume Adjustments and all |
outlier add-on adjustments to the extent that such |
adjustments are incorporated in the development of the |
applicable MCO capitated rates. |
(e) The following requirements apply to MCOs in |
determining payment for all emergency services: |
(1) MCOs shall not impose any requirements for prior |
approval of emergency services. |
(2) The MCO shall cover emergency services provided to |
enrollees who are temporarily away from their residence |
and outside the contracting area to the extent that the |
enrollees would be entitled to the emergency services if |
they still were within the contracting area. |
(3) The MCO shall have no obligation to cover medical |
services provided on an emergency basis that are not |
covered services under the contract. |
(4) The MCO shall not condition coverage for emergency |
services on the treating provider notifying the MCO of the |
enrollee's screening and treatment within 10 days after |
presentation for emergency services. |
(5) The determination of the attending emergency |
physician, or the provider actually treating the enrollee, |
of whether an enrollee is sufficiently stabilized for |
|
discharge or transfer to another facility, shall be |
binding on the MCO. The MCO shall cover emergency services |
for all enrollees whether the emergency services are |
provided by an affiliated or non-affiliated provider. |
(6) The MCO's financial responsibility for |
post-stabilization care services it has not pre-approved |
ends when: |
(A) a plan physician with privileges at the |
treating hospital assumes responsibility for the |
enrollee's care; |
(B) a plan physician assumes responsibility for |
the enrollee's care through transfer; |
(C) a contracting entity representative and the |
treating physician reach an agreement concerning the |
enrollee's care; or |
(D) the enrollee is discharged. |
(f) Network adequacy and transparency. |
(1) The Department shall: |
(A) ensure that an adequate provider network is in |
place, taking into consideration health professional |
shortage areas and medically underserved areas; |
(B) publicly release an explanation of its process |
for analyzing network adequacy; |
(C) periodically ensure that an MCO continues to |
have an adequate network in place; and |
(D) require MCOs, including Medicaid Managed Care |
|
Entities as defined in Section 5-30.2, to meet |
provider directory requirements under Section 5-30.3 ; |
and . |
(E) require MCOs to ensure that any |
Medicaid-certified provider
under contract with an MCO |
and previously submitted on a roster on the date of |
service is
paid for any medically necessary, |
Medicaid-covered, and authorized service rendered to
|
any of the MCO's enrollees, regardless of inclusion on
|
the MCO's published and publicly available directory |
of
available providers. |
(2) Each MCO shall confirm its receipt of information |
submitted specific to physician or dentist additions or |
physician or dentist deletions from the MCO's provider |
network within 3 days after receiving all required |
information from contracted physicians or dentists, and |
electronic physician and dental directories must be |
updated consistent with current rules as published by the |
Centers for Medicare and Medicaid Services or its |
successor agency. |
(g) Timely payment of claims. |
(1) The MCO shall pay a claim within 30 days of |
receiving a claim that contains all the essential |
information needed to adjudicate the claim. |
(2) The MCO shall notify the billing party of its |
inability to adjudicate a claim within 30 days of |
|
receiving that claim. |
(3) The MCO shall pay a penalty that is at least equal |
to the timely payment interest penalty imposed under |
Section 368a of the Illinois Insurance Code for any claims |
not timely paid. |
(A) When an MCO is required to pay a timely payment |
interest penalty to a provider, the MCO must calculate |
and pay the timely payment interest penalty that is |
due to the provider within 30 days after the payment of |
the claim. In no event shall a provider be required to |
request or apply for payment of any owed timely |
payment interest penalties. |
(B) Such payments shall be reported separately |
from the claim payment for services rendered to the |
MCO's enrollee and clearly identified as interest |
payments. |
(4)(A) The Department shall require MCOs to expedite |
payments to providers identified on the Department's |
expedited provider list, determined in accordance with 89 |
Ill. Adm. Code 140.71(b), on a schedule at least as |
frequently as the providers are paid under the |
Department's fee-for-service expedited provider schedule. |
(B) Compliance with the expedited provider |
requirement may be satisfied by an MCO through the use |
of a Periodic Interim Payment (PIP) program that has |
been mutually agreed to and documented between the MCO |
|
and the provider, if and the PIP program ensures that |
any expedited provider receives regular and periodic |
payments based on prior period payment experience from |
that MCO. Total payments under the PIP program may be |
reconciled against future PIP payments on a schedule |
mutually agreed to between the MCO and the provider. |
(C) The Department shall share at least monthly |
its expedited provider list and the frequency with |
which it pays providers on the expedited list. |
(g-5) Recognizing that the rapid transformation of the |
Illinois Medicaid program may have unintended operational |
challenges for both payers and providers: |
(1) in no instance shall a medically necessary covered |
service rendered in good faith, based upon eligibility |
information documented by the provider, be denied coverage |
or diminished in payment amount if the eligibility or |
coverage information available at the time the service was |
rendered is later found to be inaccurate in the assignment |
of coverage responsibility between MCOs or the |
fee-for-service system, except for instances when an |
individual is deemed to have not been eligible for |
coverage under the Illinois Medicaid program; and |
(2) the Department shall, by December 31, 2016, adopt |
rules establishing policies that shall be included in the |
Medicaid managed care policy and procedures manual |
addressing payment resolutions in situations in which a |
|
provider renders services based upon information obtained |
after verifying a patient's eligibility and coverage plan |
through either the Department's current enrollment system |
or a system operated by the coverage plan identified by |
the patient presenting for services: |
(A) such medically necessary covered services |
shall be considered rendered in good faith; |
(B) such policies and procedures shall be |
developed in consultation with industry |
representatives of the Medicaid managed care health |
plans and representatives of provider associations |
representing the majority of providers within the |
identified provider industry; and |
(C) such rules shall be published for a review and |
comment period of no less than 30 days on the |
Department's website with final rules remaining |
available on the Department's website. |
The rules on payment resolutions shall include, but not be |
limited to: |
(A) the extension of the timely filing period; |
(B) retroactive prior authorizations; and |
(C) guaranteed minimum payment rate of no less than |
the current, as of the date of service, fee-for-service |
rate, plus all applicable add-ons, when the resulting |
service relationship is out of network. |
The rules shall be applicable for both MCO coverage and |
|
fee-for-service coverage. |
If the fee-for-service system is ultimately determined to |
have been responsible for coverage on the date of service, the |
Department shall provide for an extended period for claims |
submission outside the standard timely filing requirements. |
(g-6) MCO Performance Metrics Report. |
(1) The Department shall publish, on at least a |
quarterly basis, each MCO's operational performance, |
including, but not limited to, the following categories of |
metrics: |
(A) claims payment, including timeliness and |
accuracy; |
(B) prior authorizations; |
(C) grievance and appeals; |
(D) utilization statistics; |
(E) provider disputes; |
(F) provider credentialing; and |
(G) member and provider customer service. |
(2) The Department shall ensure that the metrics |
report is accessible to providers online by January 1, |
2017. |
(3) The metrics shall be developed in consultation |
with industry representatives of the Medicaid managed care |
health plans and representatives of associations |
representing the majority of providers within the |
identified industry. |
|
(4) Metrics shall be defined and incorporated into the |
applicable Managed Care Policy Manual issued by the |
Department. |
(g-7) MCO claims processing and performance analysis. In |
order to monitor MCO payments to hospital providers, pursuant |
to this amendatory Act of the 100th General Assembly, the |
Department shall post an analysis of MCO claims processing and |
payment performance on its website every 6 months. Such |
analysis shall include a review and evaluation of a |
representative sample of hospital claims that are rejected and |
denied for clean and unclean claims and the top 5 reasons for |
such actions and timeliness of claims adjudication, which |
identifies the percentage of claims adjudicated within 30, 60, |
90, and over 90 days, and the dollar amounts associated with |
those claims. The Department shall post the contracted claims |
report required by HealthChoice Illinois on its website every |
3 months. |
(g-8) Dispute resolution process. The Department shall |
maintain a provider complaint portal through which a provider |
can submit to the Department unresolved disputes with an MCO. |
An unresolved dispute means an MCO's decision that denies in |
whole or in part a claim for reimbursement to a provider for |
health care services rendered by the provider to an enrollee |
of the MCO with which the provider disagrees. Disputes shall |
not be submitted to the portal until the provider has availed |
itself of the MCO's internal dispute resolution process. |
|
Disputes that are submitted to the MCO internal dispute |
resolution process may be submitted to the Department of |
Healthcare and Family Services' complaint portal no sooner |
than 30 days after submitting to the MCO's internal process |
and not later than 30 days after the unsatisfactory resolution |
of the internal MCO process or 60 days after submitting the |
dispute to the MCO internal process. Multiple claim disputes |
involving the same MCO may be submitted in one complaint, |
regardless of whether the claims are for different enrollees, |
when the specific reason for non-payment of the claims |
involves a common question of fact or policy. Within 10 |
business days of receipt of a complaint, the Department shall |
present such disputes to the appropriate MCO, which shall then |
have 30 days to issue its written proposal to resolve the |
dispute. The Department may grant one 30-day extension of this |
time frame to one of the parties to resolve the dispute. If the |
dispute remains unresolved at the end of this time frame or the |
provider is not satisfied with the MCO's written proposal to |
resolve the dispute, the provider may, within 30 days, request |
the Department to review the dispute and make a final |
determination. Within 30 days of the request for Department |
review of the dispute, both the provider and the MCO shall |
present all relevant information to the Department for |
resolution and make individuals with knowledge of the issues |
available to the Department for further inquiry if needed. |
Within 30 days of receiving the relevant information on the |
|
dispute, or the lapse of the period for submitting such |
information, the Department shall issue a written decision on |
the dispute based on contractual terms between the provider |
and the MCO, contractual terms between the MCO and the |
Department of Healthcare and Family Services and applicable |
Medicaid policy. The decision of the Department shall be |
final. By January 1, 2020, the Department shall establish by |
rule further details of this dispute resolution process. |
Disputes between MCOs and providers presented to the |
Department for resolution are not contested cases, as defined |
in Section 1-30 of the Illinois Administrative Procedure Act, |
conferring any right to an administrative hearing. |
(g-9)(1) The Department shall publish annually on its |
website a report on the calculation of each managed care |
organization's medical loss ratio showing the following: |
(A) Premium revenue, with appropriate adjustments. |
(B) Benefit expense, setting forth the aggregate |
amount spent for the following: |
(i) Direct paid claims. |
(ii) Subcapitation payments. |
(iii)
Other claim payments. |
(iv)
Direct reserves. |
(v)
Gross recoveries. |
(vi)
Expenses for activities that improve health |
care quality as allowed by the Department. |
(2) The medical loss ratio shall be calculated consistent |
|
with federal law and regulation following a claims runout |
period determined by the Department. |
(g-10)(1) "Liability effective date" means the date on |
which an MCO becomes responsible for payment for medically |
necessary and covered services rendered by a provider to one |
of its enrollees in accordance with the contract terms between |
the MCO and the provider. The liability effective date shall |
be the later of: |
(A) The execution date of a network participation |
contract agreement. |
(B) The date the provider or its representative |
submits to the MCO the complete and accurate standardized |
roster form for the provider in the format approved by the |
Department. |
(C) The provider effective date contained within the |
Department's provider enrollment subsystem within the |
Illinois Medicaid Program Advanced Cloud Technology |
(IMPACT) System. |
(2) The standardized roster form may be submitted to the |
MCO at the same time that the provider submits an enrollment |
application to the Department through IMPACT. |
(3) By October 1, 2019, the Department shall require all |
MCOs to update their provider directory with information for |
new practitioners of existing contracted providers within 30 |
days of receipt of a complete and accurate standardized roster |
template in the format approved by the Department provided |
|
that the provider is effective in the Department's provider |
enrollment subsystem within the IMPACT system. Such provider |
directory shall be readily accessible for purposes of |
selecting an approved health care provider and comply with all |
other federal and State requirements. |
(g-11) The Department shall work with relevant |
stakeholders on the development of operational guidelines to |
enhance and improve operational performance of Illinois' |
Medicaid managed care program, including, but not limited to, |
improving provider billing practices, reducing claim |
rejections and inappropriate payment denials, and |
standardizing processes, procedures, definitions, and response |
timelines, with the goal of reducing provider and MCO |
administrative burdens and conflict. The Department shall |
include a report on the progress of these program improvements |
and other topics in its Fiscal Year 2020 annual report to the |
General Assembly. |
(g-12) Notwithstanding any other provision of law, if the
|
Department or an MCO requires submission of a claim for |
payment
in a non-electronic format, a provider shall always be |
afforded
a period of no less than 90 business days, as a |
correction
period, following any notification of rejection by |
either the
Department or the MCO to correct errors or |
omissions in the
original submission. |
Under no circumstances, either by an MCO or under the
|
State's fee-for-service system, shall a provider be denied
|
|
payment for failure to comply with any timely submission
|
requirements under this Code or under any existing contract,
|
unless the non-electronic format claim submission occurs after
|
the initial 180 days following the latest date of service on
|
the claim, or after the 90 business days correction period
|
following notification to the provider of rejection or denial
|
of payment. |
(h) The Department shall not expand mandatory MCO |
enrollment into new counties beyond those counties already |
designated by the Department as of June 1, 2014 for the |
individuals whose eligibility for medical assistance is not |
the seniors or people with disabilities population until the |
Department provides an opportunity for accountable care |
entities and MCOs to participate in such newly designated |
counties. |
(i) The requirements of this Section apply to contracts |
with accountable care entities and MCOs entered into, amended, |
or renewed after June 16, 2014 (the effective date of Public |
Act 98-651).
|
(j) Health care information released to managed care |
organizations. A health care provider shall release to a |
Medicaid managed care organization, upon request, and subject |
to the Health Insurance Portability and Accountability Act of |
1996 and any other law applicable to the release of health |
information, the health care information of the MCO's |
enrollee, if the enrollee has completed and signed a general |
|
release form that grants to the health care provider |
permission to release the recipient's health care information |
to the recipient's insurance carrier. |
(k) The Department of Healthcare and Family Services, |
managed care organizations, a statewide organization |
representing hospitals, and a statewide organization |
representing safety-net hospitals shall explore ways to |
support billing departments in safety-net hospitals. |
(l) The requirements of this Section added by this
|
amendatory Act of the 102nd General Assembly shall apply to
|
services provided on or after the first day of the month that
|
begins 60 days after the effective date of this amendatory Act
|
of the 102nd General Assembly. |
(Source: P.A. 100-201, eff. 8-18-17; 100-580, eff. 3-12-18; |
100-587, eff. 6-4-18; 101-209, eff. 8-5-19.) |
Article 155. |
Section 155-5. The Illinois Public Aid Code is amended by |
adding Section 5-30.17 as follows: |
(305 ILCS 5/5-30.17 new) |
Sec. 5-30.17. Medicaid Managed Care Oversight Commission. |
(a) The Medicaid Managed Care Oversight Commission is |
created within the Department of Healthcare and Family |
Services to evaluate the effectiveness of Illinois' managed |
|
care program. |
(b) The Commission shall consist of the following members: |
(1) One member of the Senate, appointed by the Senate |
President, who shall serve as co-chair. |
(2) One member of the House of Representatives, |
appointed by the Speaker of the House of Representatives, |
who shall serve as co-chair. |
(3) One member of the House of Representatives, |
appointed by the Minority Leader of the House of |
Representatives. |
(4) One member of the Senate, appointed by the Senate |
Minority Leader. |
(5) One member representing the Department of |
Healthcare and Family Services, appointed by the Governor. |
(6) One member representing the Department of Public |
Health, appointed by the Governor. |
(7) One member representing the Department of Human |
Services, appointed by the Governor. |
(8) One member representing the Department of Children |
and Family Services, appointed by the Governor. |
(9) One member of a statewide association representing |
Medicaid managed care plans, appointed by the Governor. |
(10) One member of a statewide association |
representing a majority of hospitals, appointed by the |
Governor. |
(11) Two academic experts on Medicaid managed care |
|
programs, appointed by the Governor. |
(12) One member of a statewide association |
representing primary care providers, appointed by the |
Governor. |
(13) One member of a statewide association |
representing behavioral health providers, appointed by the |
Governor. |
(14) Members representing Federally
Qualified Health |
Centers, a long-term care association, a dental |
association, pharmacies, pharmacists, a developmental |
disability association, a Medicaid consumer advocate, a |
Medicaid consumer, an association representing physicians, |
a behavioral health association, and an association |
representing pediatricians, appointed by the Governor. |
(15) A member of a statewide association representing |
only safety-net hospitals, appointed by the Governor. |
(c) The Director of Healthcare and Family Services and |
chief of staff, or their designees, shall serve as the |
Commission's executive administrators in providing |
administrative support, research support, and other |
administrative tasks requested by the Commission's co-chairs. |
Any expenses, including, but not limited to, travel and |
housing, shall be paid for by the Department's existing |
budget. |
(d) The members of the Commission shall receive no |
compensation for their services as members of the Commission. |
|
(e) The Commission shall meet quarterly beginning as soon |
as is practicable after the effective date of this amendatory |
Act of the 102nd General Assembly. |
(f) The Commission shall: |
(1) review data on health outcomes of Medicaid managed |
care members; |
(2) review current care coordination and case |
management efforts and make recommendations on expanding |
care coordination to additional populations with a focus |
on the social determinants of health; |
(3) review and assess the appropriateness of metrics |
used in the Pay-for-Performance programs; |
(4) review the Department's prior authorization and |
utilization management requirements and recommend |
adaptations for the Medicaid population; |
(5) review managed care performance in meeting |
diversity contracting goals and the use of funds dedicated |
to meeting such goals, including, but not limited to, |
contracting requirements set forth in the Business |
Enterprise for Minorities, Women, and Persons with |
Disabilities Act; recommend strategies to increase |
compliance with diversity contracting goals in |
collaboration with the Chief Procurement Officer for |
General Services and the Business Enterprise Council for |
Minorities, Women, and Persons with Disabilities; and |
recoup any misappropriated funds for diversity |
|
contracting; |
(6) review data on the effectiveness of processing to |
medical providers; |
(7) review member access to health care services in |
the Medicaid Program, including specialty care services; |
(8) review value-based and other alternative payment |
methodologies to make recommendations to enhance program |
efficiency and improve health outcomes; |
(9) review the compliance of all managed care entities |
in State contracts and recommend reasonable financial |
penalties for any noncompliance; |
(10) produce an annual report detailing the |
Commission's findings based upon its review of research |
conducted under this Section, including specific |
recommendations, if any, and any other information the |
Commission may deem proper in furtherance of its duties |
under this Section; |
(11) review provider availability and make |
recommendations to increase providers where needed, |
including reviewing the regulatory environment and making |
recommendations for reforms; |
(12) review capacity for culturally competent |
services, including translation services among providers; |
and |
(13) review and recommend changes to the safety-net |
hospital definition to create different classifications of |
|
safety-net hospitals. |
(f-5) The Department shall make available upon request the |
analytics of Medicaid managed care clearinghouse data |
regarding processing. |
(g) Beginning January 1, 2022, and for each year |
thereafter, the Commission shall submit a report of its |
findings and recommendations to the General Assembly. The |
report to the General Assembly shall be filed with the Clerk of |
the House of Representatives and the Secretary of the Senate |
in electronic form only, in the manner that the Clerk and the |
Secretary shall direct. |
Article 160. |
Section 160-5. The State Finance Act is amended by adding |
Sections 5.935 and 6z-124 as follows: |
(30 ILCS 105/5.935 new) |
Sec. 5.935. The Managed Care Oversight Fund. |
(30 ILCS 105/6z-124 new) |
Sec. 6z-124. Managed Care Oversight Fund. The Managed Care |
Oversight Fund is created as a special fund in the State |
treasury. Subject to appropriation, available annual moneys in |
the Fund shall be used by the Department of Healthcare and |
Family Services to support contracting with women and |
|
minority-owned businesses as part of the Department's Business |
Enterprise Program requirements. The Department shall |
prioritize contracts for care coordination services, workforce |
development, and other services that support the Department's |
mission to promote health equity. Funds may not be used for any |
administrative costs of the Department. |
Article 170. |
Section 170-5. The Illinois Public Aid Code is amended by |
adding Section 5-30.16 as follows: |
(305 ILCS 5/5-30.16 new) |
Sec. 5-30.16. Medicaid Business Opportunity Commission. |
(a) The Medicaid Business Opportunity Commission is
|
created within the Department of Healthcare and Family |
Services
to develop a program to support and grow minority, |
women, and persons with disability owned businesses. |
(b) The Commission shall consist of the following members: |
(1) Two members appointed by the Illinois Legislative |
Black Caucus. |
(2) Two members appointed by the Illinois Legislative |
Latino Caucus. |
(3) Two members appointed by the Conference of Women |
Legislators of the Illinois General Assembly. |
(4) Two members representing a statewide Medicaid |
|
health plan association, appointed by the Governor. |
(5) One member representing the Department of |
Healthcare and Family Services, appointed by the Governor. |
(6) Three members representing businesses currently |
registered with the Business Enterprise Program, appointed |
by the Governor. |
(7) One member representing the disability community, |
appointed by the Governor. |
(8) One member representing the Business Enterprise |
Council, appointed by the Governor. |
(c) The Director of Healthcare and Family Services and |
chief of staff, or their designees, shall serve as the |
Commission's executive administrators in providing |
administrative support, research support, and other |
administrative tasks requested by the Commission's co-chairs. |
Any expenses, including, but not limited to, travel and |
housing, shall be paid for by the Department's existing |
budget. |
(d) The members of the Commission shall receive no |
compensation for their services as members of the Commission. |
(e) The members of the Commission shall designate |
co-chairs of the Commission to lead their efforts at the first |
meeting of the Commission. |
(f) The Commission shall meet at least monthly beginning |
as soon as is practicable after the effective date of this |
amendatory Act of the 102nd General Assembly. |
|
(g) The Commission shall: |
(1) Develop a recommendation on a Medicaid Business |
Opportunity Program for Minority, Women, and Persons with |
Disability Owned business contracting requirements to be |
included in the contracts between the Department of |
Healthcare and Family Services and the Managed Care |
entities for the provision of Medicaid Services. |
(2) Make recommendations on the process by which |
vendors or providers would be certified as eligible to be |
included in the program and appropriate eligibility |
standards relative to the healthcare industry. |
(3) Make a recommendation on whether to include not |
for profit organizations, diversity councils, or diversity |
chambers as eligible for certification. |
(4) Make a recommendation on whether diverse staff |
shall be considered within the goals set for managed care |
entities. |
(5) Make a recommendation on whether a new platform |
for certification is necessary to administer this program |
or if the existing platform for the Business Enterprise |
Program is capable of including recommended changes coming |
from this Commission. |
(6) Make a recommendation on the ongoing activity of |
the Commission including structure, frequency of meetings, |
and agendas to ensure ongoing oversight of the program by |
the Commission. |
|
(h) The Commission shall provide recommendations to the |
Department and the General assembly by April 15, 2021 in order |
to ensure prompt implementation of the Medicaid Business |
Opportunity Program. |
(i) Beginning January 1, 2022, and for each year |
thereafter, the Commission shall submit a report of its |
findings and recommendations to the General Assembly. The |
report to the General Assembly shall be filed with the Clerk of |
the House of Representatives and the Secretary of the Senate |
in electronic form only, in the manner that the Clerk and the |
Secretary shall direct. |
Article 172. |
Section 172-5. The Illinois Public Aid Code is amended by |
changing Section 14-13 as follows: |
(305 ILCS 5/14-13) |
Sec. 14-13. Reimbursement for inpatient stays extended |
beyond medical necessity. |
(a) By October 1, 2019, the Department shall by rule |
implement a methodology effective for dates of service July 1, |
2019 and later to reimburse hospitals for inpatient stays |
extended beyond medical necessity due to the inability of the |
Department or the managed care organization in which a |
recipient is enrolled or the hospital discharge planner to |
|
find an appropriate placement after discharge from the |
hospital. The Department shall evaluate the effectiveness of |
the current reimbursement rate for inpatient hospital stays |
beyond medical necessity. |
(b) The methodology shall provide reasonable compensation |
for the services provided attributable to the days of the |
extended stay for which the prevailing rate methodology |
provides no reimbursement. The Department may use a day |
outlier program to satisfy this requirement. The reimbursement |
rate shall be set at a level so as not to act as an incentive |
to avoid transfer to the appropriate level of care needed or |
placement, after discharge. |
(c) The Department shall require managed care |
organizations to adopt this methodology or an alternative |
methodology that pays at least as much as the Department's |
adopted methodology unless otherwise mutually agreed upon |
contractual language is developed by the provider and the |
managed care organization for a risk-based or innovative |
payment methodology. |
(d) Days beyond medical necessity shall not be eligible |
for per diem add-on payments under the Medicaid High Volume |
Adjustment (MHVA) or the Medicaid Percentage Adjustment (MPA) |
programs. |
(e) For services covered by the fee-for-service program, |
reimbursement under this Section shall only be made for days |
beyond medical necessity that occur after the hospital has |
|
notified the Department of the need for post-discharge |
placement. For services covered by a managed care |
organization, hospitals shall notify the appropriate managed |
care organization of an admission within 24 hours of |
admission. For every 24-hour period beyond the initial 24 |
hours after admission that the hospital fails to notify the |
managed care organization of the admission, reimbursement |
under this subsection shall be reduced by one day.
|
(Source: P.A. 101-209, eff. 8-5-19.) |
Title IX. Maternal and Infant Mortality |
Article 175. |
Section 175-5. The Illinois Public Aid Code is amended by |
adding Section 5-18.5 as follows: |
(305 ILCS 5/5-18.5 new) |
Sec. 5-18.5. Perinatal doula and evidence-based home |
visiting services. |
(a) As used in this Section: |
"Home visiting" means a voluntary, evidence-based strategy |
used to support pregnant people, infants, and young children |
and their caregivers to promote infant, child, and maternal |
health, to foster educational development and school |
readiness, and to help prevent child abuse and neglect. Home |
|
visitors are trained professionals whose visits and activities |
focus on promoting strong parent-child attachment to foster |
healthy child development. |
"Perinatal doula" means a trained provider who provides |
regular, voluntary physical, emotional, and educational |
support, but not medical or midwife care, to pregnant and |
birthing persons before, during, and after childbirth, |
otherwise known as the perinatal period. |
"Perinatal doula training" means any doula training that |
focuses on providing support throughout the prenatal, labor |
and delivery, or postpartum period, and reflects the type of |
doula care that the doula seeks to provide. |
(b) Notwithstanding any other provision of this Article, |
perinatal doula services and evidence-based home visiting |
services shall be covered under the medical assistance |
program, subject to appropriation, for persons who are |
otherwise eligible for medical assistance under this Article. |
Perinatal doula services include regular visits beginning in |
the prenatal period and continuing into the postnatal period, |
inclusive of continuous support during labor and delivery, |
that support healthy pregnancies and positive birth outcomes. |
Perinatal doula services may be embedded in an existing |
program, such as evidence-based home visiting. Perinatal doula |
services provided during the prenatal period may be provided |
weekly, services provided during the labor and delivery period |
may be provided for the entire duration of labor and the time |
|
immediately following birth, and services provided during the |
postpartum period may be provided up to 12 months postpartum. |
(c) The Department of Healthcare and Family Services shall |
adopt rules to administer this Section. In this rulemaking, |
the Department shall consider the expertise of and consult |
with doula program experts, doula training providers, |
practicing doulas, and home visiting experts, along with State |
agencies implementing perinatal doula services and relevant |
bodies under the Illinois Early Learning Council. This body of |
experts shall inform the Department on the credentials |
necessary for perinatal doula and home visiting services to be |
eligible for Medicaid reimbursement and the rate of |
reimbursement for home visiting and perinatal doula services |
in the prenatal, labor and delivery, and postpartum periods. |
Every 2 years, the Department shall assess the rates of |
reimbursement for perinatal doula and home visiting services |
and adjust rates accordingly. |
(d) The Department shall seek such State plan amendments |
or waivers as may be necessary to implement this Section and |
shall secure federal financial participation for expenditures |
made by the Department in accordance with this Section. |
Title X. Medicaid Managed Care Reform |
Article 185. |
|
Section 185-1. Short title. This Article may be cited as |
the Medicaid Technical Assistance Act. References in this |
Article to "this Act" mean this Article. |
Section 185-3. Findings. The General Assembly finds as |
follows: |
(1) This Act seeks to remedy a fraction of a much |
larger broken system by addressing access to health care, |
managed care organization reform, mental and substance |
abuse treatment services, and services to address the |
social determinants of health. |
(2) Illinois transitioned Medicaid services to managed |
care with the goals of achieving better health outcomes |
for the Medicaid population and reducing the per capita |
costs of health care. |
(3) Illinois benefits when people have support |
constructing the sturdy foundation of health and |
well-being that we all need to reach our potential. |
Medicaid managed care can be a vital tool in ensuring that |
people have the full range of supports that form this |
foundation, including services from community providers |
that address behavioral health needs, as well as related |
services that help people access food, housing, and |
employment.
|
(4) However, there are barriers that prevent Illinois |
from fully realizing the benefits of Medicaid managed |
|
care. The 2 devastating years of the State budget impasse |
resulted in 2 years of lost opportunity for community |
providers to invest in the people, systems, and technology |
that are necessary for them to participate in Medicaid |
managed care. A recent survey by the Illinois |
Collaboration on Youth of more than 130 community |
providers revealed that the majority do not have contracts |
with managed care organizations, and most do not have |
adequate billing and technology infrastructure sufficient |
for Medicaid billing now or in the future. The survey also |
revealed that community-based providers primarily serving |
people of color are the least prepared to participate in |
Medicaid managed care. |
(5) The disparity in readiness between providers |
primarily serving people of color and those who serve a |
more mixed or white clientele is especially urgent because |
62% of Illinois' Medicaid recipients are people of color. |
Racial disparities in behavioral health care result in |
significant human and financial costs to both the |
individual and to the State.
|
(6) The COVID-19 pandemic has further exacerbated the |
health disparities experienced by communities of color. |
COVID-19 has increased both the Medicaid-eligible |
population in Illinois, and increased the demand for |
behavioral health services, as Illinois residents grapple |
with trauma, death, job loss, depression, suicide, |
|
addiction, and exposure to violence. In addition, COVID-19 |
threatens the stability and viability of community-based |
providers, further straining the health care safety net |
for people who depend on Medicaid for these essential |
services. |
(7) Lack of support for a diversity of providers |
reduces choice for Medicaid recipients and may incentivize |
managed care organizations to focus on a narrow selection |
of community partners. Having some choice in which |
providers people see for these essential services and |
having access to providers who understand their community, |
culture, and language has been demonstrated to reduce |
disparities in health outcomes and improve health and |
well-being across the life span.
|
(8) The Medicaid managed care system lacks consistent, |
statewide support for community providers, creating |
inefficiency and duplication. Providers need targeted |
trainings focused on their levels of readiness, learning |
collaboratives to provide group-level support for those |
experiencing similar challenges, and a mechanism to |
identify problems that need systemic solutions. Illinois |
could receive up to 70% in Medicaid matching funds from |
the federal government to supplement the costs of |
operating a Medicaid Technical Assistance Center. |
(9) When community-based health care providers are |
able to contract with managed care organizations to |
|
deliver Medicaid services, people can access the care they |
need, in their communities, from providers they trust.
|
Section 185-5. Definitions. As used in this Act: |
"Behavioral health providers" means mental health and |
substance use disorder providers. |
"Department" means the Department of Healthcare and Family |
Services. |
"Health care providers" means organizations who provide |
physical, mental, substance use disorder, or social |
determinant of health services. |
"Health equity" means providing care that does not vary in |
quality because of personal characteristics such as gender, |
ethnicity, geographic location, and socioeconomic status.
|
"Network adequacy" means a Medicaid beneficiaries' ability |
to access all necessary provider types within time and |
distance standards as defined in the Managed Care Organization |
model contract. |
"Service deserts" means geographic areas of the State with |
no or limited Medicaid providers that accept Medicaid. |
"Social determinants of health" means any conditions that |
impact an individual's health, including, but not limited to, |
access to healthy food, safety, education, and housing |
stability. |
"Stakeholders" means, but are not limited to, health care |
providers, advocacy organizations, managed care organizations, |
|
Medicaid beneficiaries, and State and city partners. |
Section 185-10. Medicaid Technical Assistance Center. The |
Department of Healthcare and Family Services shall establish a |
Medicaid Technical Assistance Center. The Medicaid Technical |
Assistance Center shall operate as a cross-system educational |
resource to strengthen the business infrastructure of health |
care provider organizations in Illinois to ultimately increase |
the capacity, access, health equity, and quality of Illinois' |
Medicaid managed care program, HealthChoice Illinois, and |
YouthCare, the Medicaid managed care program for children and |
youth who receive Medicaid health services through the |
Department of Children and Family Services. The Medicaid |
Technical Assistance Center shall be established within the |
Department's Office of Medicaid Innovation. |
Section 185-15. Collaboration. The Medicaid Technical |
Assistance Center shall collaborate with public and private |
partners throughout the State to identify, establish, and |
maintain best practices necessary for health providers to |
ensure their capacity to participate in HealthChoice Illinois |
or YouthCare. The Medicaid Technical Assistance Center shall |
administer the following: |
(1) Outreach and engagement: The Medicaid Technical |
Assistance Center shall undertake efforts to identify and |
engage community-based providers offering behavioral |
|
health services or services addressing the social |
determinants of health, especially those predominantly |
serving communities of color or those operating within or |
near service deserts, for the purpose of offering training |
and technical assistance to them through the Medicaid |
Technical Assistance Center. Outreach and engagement |
services may be subcontracted. |
(2) Trainings: The Medicaid Technical Assistance |
Center shall create and administer ongoing trainings for |
health care providers. Trainings may be subcontracted. The |
Medicaid Technical Assistance Center shall provide |
in-person and web-based trainings. In-person training |
shall be conducted throughout the State. All trainings |
must be free of charge. The Medicaid Technical Assistance |
Center shall administer post-training surveys and |
incorporate feedback. Training content and delivery must |
be reflective of Illinois providers' varying levels of |
readiness, resources, and client populations. |
(3) Web-based resources: The Medicaid Technical |
Assistance Center shall maintain an independent, easy to |
navigate, and up-to-date website that includes, but is not |
limited to: recorded training archives, a training |
calendar, provider resources and tools, up-to-date |
explanations of Department and managed care organization |
guidance, a running database of frequently asked questions |
and contact information for key staff members of the |
|
Department, managed care organizations, and the Medicaid |
Technical Assistance Center. |
(4) Learning collaboratives: The Medicaid Technical |
Assistance Center shall host regional learning |
collaboratives that will supplement the Medicaid Technical |
Assistance Center training curriculum to bring together |
groups of stakeholders to share issues and best practices, |
and to escalate issues. Leadership of the Department and |
managed care organizations shall attend learning |
collaboratives on a quarterly basis. |
(5) Network adequacy reports: The Medicaid Technical |
Assistance Center shall publicly release a report on |
Medicaid provider network adequacy within the first 3 |
years of implementation and annually thereafter. The |
reports shall identify provider service deserts and health |
care disparities by race and ethnicity. |
(6) Equitable delivery system: The Medicaid Technical |
Assistance Center is committed to the principle that all |
Medicaid recipients have accessible and equitable physical |
and mental health care services. All providers served |
through the Medicaid Technical Assistance Center shall |
deliver services notwithstanding the patient's race, |
color, gender, gender identity, age, ancestry, marital |
status, military status, religion, national origin, |
disability status, sexual orientation, order of protection |
status, as defined under Section 1-103 of the Illinois |
|
Human Rights Act, or immigration status. |
Section 185-20. Federal financial participation. The |
Department of Healthcare and Family Services, to the extent |
allowable under federal law, shall maximize federal financial |
participation for any moneys appropriated to the Department |
for the Medicaid Technical Assistance Center. Any federal |
financial participation funds obtained in accordance with this |
Section shall be used for the further development and |
expansion of the Medicaid Technical Assistance Center. All |
federal financial participation funds obtained under this |
subsection shall be deposited into the Medicaid Technical |
Assistance Center Fund created under Section 25. |
Section 185-25. Medicaid Technical Assistance Center Fund. |
The Medicaid Technical Assistance Center Fund is created as a |
special fund in the State treasury. The Fund shall consist of |
any moneys appropriated to the Department of Healthcare and |
Family Services for the purposes of this Act and any federal |
financial participation funds obtained as provided under |
Section 20. Subject to appropriation, moneys in the Fund shall |
be used for carrying out the purposes of this Act and for no |
other purpose. All interest earned on the moneys in the Fund |
shall be deposited into the Fund. |
Section 185-90. The State Finance Act is amended by adding |