|
by a State other than Illinois and approved by the Board of |
Higher Education to operate in this State; |
(3) is a non-public educational institution approved |
by the Board of Higher Education to operate in this State |
pursuant to the Private Business and Vocational Schools |
Act of 2012; |
(4) is a non-public institution authorized or approved |
by the Board of Higher Education to operate in this State |
pursuant to the Private College Act, the Academic Degree |
Act, or the Dual Credit Quality Act; or |
(5) is a non-public institution operating in this |
State that is exempt from authorization or approval by the |
Board of Higher Education pursuant to provisions of the |
Private College Act or Academic Degree Act, including such |
institutions authorized or approved by the Board of Higher |
Education pursuant to the Dual Credit Quality Act. |
"Longitudinal data system" means a student unit record |
data system that links student records from early learning |
through the postsecondary level, which may consist of separate |
student unit record systems integrated through agreement and |
data transfer mechanisms. |
"Privacy protection laws" means the federal Family |
Educational Rights and Privacy Act of 1974 (20 U.S.C. 1232g), |
the Illinois School Student Records Act, the Personal |
Information Protection Act, and any other State or federal law |
relating to the confidentiality and protection of personally |
|
identifiable information. |
"Research organization" means a governmental entity, |
institution of higher learning, public policy or advocacy |
organization, or other person or entity conducting educational |
research that (i) is qualified to perform educational research |
and protect the privacy of student data, (ii) is seeking to |
perform research for a non-commercial purpose authorized by |
privacy protection laws, and (iii) agrees to perform the |
research pursuant to a written agreement meeting the |
requirements of privacy protection laws and this Act.
|
"School" means any elementary or secondary educational |
institution, charter school, vocational school, special |
education facility, or any other elementary or secondary |
educational agency or institution, but does not include a |
non-public school.
|
"Secondary" means ninth through twelfth grade.
|
"State Board" means the State Board of Education.
|
"State Education Authorities" means the State Board, |
Community College Board, and Board of Higher Education.
|
(Source: P.A. 96-107, eff. 7-30-09.) |
(105 ILCS 13/20)
|
Sec. 20. Collection and maintenance of data. |
(a) The State Board is authorized to collect and maintain |
data from school districts, schools, and early learning |
programs and disclose this data to the longitudinal data |
|
system for the purposes set forth in this Act. The State Board |
shall collect data from charter schools with more than one |
campus in a manner that can be disaggregated by campus site. |
The State Board may also disclose data to the longitudinal |
data system that the State Board is otherwise authorized by |
law to collect and maintain. |
On or before July 1, 2010, the State Board shall establish |
procedures through which State-recognized, non-public schools |
may elect to participate in the longitudinal data system by |
disclosing data to the State Board for one or more of the |
purposes set forth in this Act. |
Subject to the availability of funding through |
appropriations made specifically for the purposes of this Act, |
the State Board shall establish or contract for the |
establishment of a technical support and training system to |
assist school districts, schools, and early learning programs |
with data submission, use, and analysis. |
(b) The Community College Board is authorized to collect |
and maintain data from community college districts and |
disclose this data to the longitudinal data system for the |
purposes set forth in this Act. The Community College Board |
may also disclose data to the longitudinal data system that |
the Community College Board is otherwise authorized by law to |
collect and maintain. |
Subject to the availability of funding through |
appropriations made specifically for the purposes of this Act, |
|
the Community College Board shall establish or contract for |
the establishment of a technical support and training system |
to assist community colleges with data submission, use, and |
analysis. |
(c) The Board of Higher Education is authorized to collect |
and maintain data from any public institution of higher |
learning, other than community colleges, and disclose this |
data to the longitudinal data system for the purposes set |
forth in this Act. The Board of Higher Education may also |
disclose data to the longitudinal data system that the Board |
of Higher Education is otherwise authorized by law to collect |
and maintain. |
The Beginning on July 1, 2012, the Board of Higher |
Education is authorized to collect and maintain data from any |
non-public institution of higher learning enrolling one or |
more students in this State. The Board of Higher Education is |
authorized to receiving Monetary Award Program grants and any |
non-public institution of higher learning that confers |
graduate and professional degrees, pursuant to Section 35 of |
the Higher Education Student Assistance Act, and disclose this |
data to the longitudinal data system for the purposes set |
forth in this Act. Prior to July 1, 2012, any non-public |
institution of higher learning may elect to participate in the |
longitudinal data system by disclosing data for one or more of |
the purposes set forth in this Act to the Board of Higher |
Education or to a consortium that has contracted with the |
|
Board of Higher Education pursuant to this subsection (c). |
The Board of Higher Education may contract with one or |
more voluntary consortiums of non-public institutions of |
higher learning established for the purpose of data sharing, |
research, and analysis. The contract may allow the consortium |
to collect data from participating institutions on behalf of |
the Board of Higher Education. The contract may provide for |
consultation with a representative committee of participating |
institutions and a representative of one or more organizations |
representing the participating institutions prior to the use |
of data from the consortium for a data sharing arrangement |
entered into with any party other than a State Education |
Authority pursuant to Section 25 of this Act. The contract may |
further provide that individual institutions of higher |
learning shall have the right to opt out of specific uses of |
their data or portions thereof for reasons specified in the |
contract. Student-level data submitted by each institution of |
higher learning participating in a consortium that has |
contracted with the Board of Higher Education pursuant to this |
paragraph shall remain the property of that institution. Upon |
notice to the consortium and the Board of Higher Education, |
any non-public institution of higher learning shall have the |
right to remove its data from the consortium if the |
institution has reasonable cause to believe that there is a |
threat to the security of its data or its data is used in a |
manner that violates the terms of the contract between the |
|
consortium and the Board of Higher Education. In the event |
data is removed from a consortium pursuant to the preceding |
sentence, the data must be returned by the institution to the |
consortium after the basis for removal has been corrected. The |
data submitted from the consortium to the Board of Higher |
Education must be used only for agreed-upon purposes, as |
stated in the terms of the contract between the consortium and |
the Board of Higher Education. Non-public institutions of |
higher learning submitting student-level data to a consortium |
that has contracted with the Board of Higher Education |
pursuant to this paragraph shall not be required to submit |
student-level data to the Board of Higher Education. |
Subject to the availability of funding through |
appropriations made specifically for the purposes of this Act, |
the Board of Higher Education shall establish or contract for |
the establishment of a technical support and training system |
to assist institutions of higher learning, other than |
community colleges, with data submission, use, and analysis. |
The Board of Higher Education shall seek and may make |
available grant funding to a consortium including non-public |
institutions of higher learning to provide assistance in the |
development of a data collection system. The Board of Higher |
Education shall engage in a cooperative planning process with |
public and non-public institutions of higher learning and |
statewide higher education associations in connection with all |
of the activities authorized by this subsection (c). |
|
(d) The State Education Authorities shall establish |
procedures and requirements relating to the submission of data |
authorized to be collected pursuant to this Section, including |
requirements for data specifications, quality, security, and |
timeliness. All early learning programs, schools, school |
districts, and institutions of higher learning subject to the |
data collection authority of a State Education Authority |
pursuant to this Section shall comply with the State Education |
Authority's procedures and requirements for data submissions. |
A State Education Authority may require that staff responsible |
for collecting, validating, and submitting data participate in |
training and technical assistance offered by this State if |
data is not submitted in accordance with applicable procedures |
and requirements.
|
(Source: P.A. 96-107, eff. 7-30-09; 96-1249, eff. 7-23-10.) |
Section 10. The Private Business and Vocational Schools |
Act of 2012 is amended by changing Sections 20, 30, 35, 37, 50, |
55, 70, and 75 as follows: |
(105 ILCS 426/20)
|
Sec. 20. Permit of approval. No person or group of persons |
subject to this Act may establish and operate or be permitted |
to become incorporated for the purpose of (1) operating a |
private business and vocational school or (2) creating or |
developing a course of instruction, non-degree program of |
|
study, or program of study curriculum in order to sell such |
courses of instruction or curriculum to a private business and |
vocational school, without obtaining from the Board a permit |
of approval, provided that a permit of approval is not |
required for a program that is devoted entirely to religion or |
theology or a program offered by an institution operating |
under the authority of the Private College Act, the Academic |
Degree Act, or the Board of Higher Education Act. Application |
for a permit must be made to the Board upon forms furnished by |
it. The Board may not approve any application for a permit of |
approval that has been plagiarized, in part or in whole. |
Additionally, the Board may not approve any application for a |
permit of approval that has not been completed in its |
entirety. Permits of approval are not transferable. Whenever a |
change of ownership of a school occurs, an application for a |
permit of approval for the school under the changed ownership |
must immediately be filed with the Board. Whenever an owner, |
partnership, or corporation operates a school at different |
locations, an application for a permit of approval must be |
filed for each location. A school must have approval prior to |
operating at a location and must make application to the Board |
for any change of location and for a classroom extension at a |
new or changed location. Each application required to be filed |
in accordance with the provisions of this Section must be |
accompanied by the required fee under the provisions of |
Sections 75 and 85 of this Act, and all such applications must |
|
be made on forms prepared and furnished by the Board. The |
permit of approval must be prominently displayed at some place |
on the premises of the school at each school location open to |
the inspection of all interested persons. The Board shall |
maintain, open to public inspection, a list of schools, their |
classroom extensions, and their courses of instruction |
approved under this Act and may annually publish such a list. |
Issuance of the permit of approval by the Board does not denote |
that the school or any program offered by the school is |
recommended, guaranteed, or endorsed by the Board or that the |
Board is responsible for the quality of the school or its |
programs, and no school may communicate this to be the case. No |
guarantee of employability of school graduates is made by the |
Board in its approval of programs or schools, and no school may |
communicate such information.
|
(Source: P.A. 97-650, eff. 2-1-12.) |
(105 ILCS 426/30) |
Sec. 30. Exemptions. For purposes of this Act, the |
following shall not be considered to be a private business and |
vocational school:
|
(1) Any institution devoted entirely to the teaching |
of religion or theology.
|
(2) Any in-service program of study and subject |
offered by an employer, provided that no tuition is |
charged and the instruction is offered only to employees |
|
of the employer.
|
(3) Any educational institution that (A) enrolls a |
majority of its students in degree programs and has |
maintained an accredited status with a regional |
accrediting agency that is recognized by the U.S. |
Department of Education or (B) enrolls students in one or |
more bachelor-level programs, enrolls a majority of its |
students in degree programs, and is accredited by a |
national or regional accrediting agency that is recognized |
by the U.S. Department of Education or that (i) is |
regulated by the Board under the Private College Act or |
the Academic Degree Act or is exempt from such regulation |
under either the Private College Act or the Academic |
Degree Act solely for the reason that the educational |
institution was in operation on the effective date of |
either the Private College Act or the Academic Degree Act |
or (ii) is regulated by the State Board of Education.
|
(4) Any institution and the franchisees of that |
institution that exclusively offer a program of study in |
income tax theory or return preparation at a total |
contract price of no more than $400, provided that the |
total annual enrollment of the institution for all such |
courses of instruction exceeds 500 students and further |
provided that the total contract price for all instruction |
offered to a student in any one calendar year does not |
exceed $3,000.
|
|
(5) Any person or organization selling mediated |
instruction products through a media, such as tapes, |
compact discs, digital video discs, or similar media, so |
long as the instruction is not intended to result in the |
acquisition of training for a specific employment field, |
is not intended to meet a qualification for licensure or |
certification in an employment field, or is not intended |
to provide credit that can be applied toward a certificate |
or degree program.
|
(6) Schools with no physical presence in this State. |
Schools offering instruction or programs of study, but |
that have no physical presence in this State, are not |
required to receive Board approval. Such an institution |
must not be considered not to have a physical presence in |
this State unless it has received a written finding from |
the Board that it has no a limited physical presence. In |
determining whether an institution has no physical |
presence, the Board shall require all of the following:
|
(A) Evidence of authorization to operate in at |
least one other state and that the school is in good |
standing with that state's authorizing agency.
|
(B) Evidence that the school has a means of |
receiving and addressing student complaints in |
compliance with any federal or state requirements.
|
(C) Evidence that the institution is providing no |
instruction in this State.
|
|
(D) Evidence that the institution is not providing |
core academic support services, including, but not |
limited to, admissions, evaluation, assessment, |
registration, financial aid, academic scheduling, and |
faculty hiring and support in this State.
|
(7) A school or program within a school that |
exclusively provides yoga instruction, yoga teacher |
training, or both. |
(Source: P.A. 99-705, eff. 1-1-17 .) |
(105 ILCS 426/35)
|
Sec. 35. Institution and program approval criteria. Each |
entity seeking a permit of approval is required to demonstrate |
that it satisfies institution-approval criteria and that each |
program of study offered meets the program-approval criteria |
in this Act and any applicable rules. The following standard |
criteria are intended to measure the appropriateness of the |
stated educational objectives of the educational programs of a |
given institution and the extent to which suitable and proper |
processes have been developed for meeting those objectives. |
Information related to the satisfaction of the approval |
criteria outlined in this Section must be supplied to the |
Board by institutions on forms provided by the Board. |
Additional information may be requested by the Board to |
determine the institution's ability to satisfy the criteria. |
The following must be considered as part of, but not |
|
necessarily all of, the criteria for approval of institutions |
and the programs offered under this Act:
|
(1) Qualifications of governing board members, owners, |
and senior administrators. At a minimum, these individuals |
must be of good moral character and have no felony |
criminal record.
|
(2) Qualifications of faculty and staff.
|
(3) Demonstration of student learning and quality of |
program delivery.
|
(4) Sufficiency of institutional finances.
The |
institution must demonstrate that it has the financial |
resources sufficient to meet its financial obligations, |
including, but not limited to, refunding tuition pursuant |
to the institution's stated policies. The school must |
tender financial records, including, but not limited to, |
financial statements, income statements, and cash flow |
statements. |
(5) Accuracy, clarity, and appropriateness of program |
descriptions. Institutional promotional, advertising, and |
recruiting materials must be clear, appropriate, and |
accurate.
|
(6) Sufficiency of facilities and equipment. At a |
minimum, these must be appropriate and must meet |
applicable safety code requirements and ordinances.
|
(7) Fair and equitable refund policies. At a minimum, |
these must be fair and equitable, must satisfy any related |
|
State or federal rules, and must abide by the standards |
established in Section 60 of this Act and the rules |
adopted for the implementation of this Act.
|
(8) Appropriate and ethical admissions and recruitment |
practices. At a minimum, recruiting practices must be |
ethical and abide by any State or federal rules.
|
(9) Recognized accreditation status. Accreditation |
with an accrediting body approved by the U.S. Department |
of Education may be counted as significant evidence of the |
institution's ability to meet curricular approval |
criteria.
|
(10) Meeting employment requirements in the field of |
study. The institution must clearly demonstrate how a |
student's completion of the program of study satisfies |
employment requirements in the occupational field. Such |
information must be clearly and accurately provided to |
students. If licensure, certification, or their equivalent |
is required of program graduates to enter the field of |
employment, the institution must clearly demonstrate that |
completion of the program will allow students to achieve |
this status.
|
(11) Enrollment agreements that, at a minimum, meet |
the requirements outlined in Section 40 of this Act.
|
(12) Clearly communicated tuition and fee charges. |
Tuition and fees and any other expense charged by the |
school must be appropriate to the expected income that |
|
will be earned by graduates. No school may have a tuition |
policy or enrollment agreement that requires that a |
student register for more than a single semester, quarter, |
term, or other such period of enrollment as a condition of |
the enrollment nor shall any school charge a student for |
multiple periods of enrollment prior to completion of the |
single semester, quarter, term, or other such period of |
enrollment.
|
(13) Legal action against the institution, its parent |
company, its owners, its governing board, or its board |
members. Any such legal action must be provided to the |
Board and may be considered as a reason for denial or |
revocation of the permit of approval.
|
(Source: P.A. 97-650, eff. 2-1-12.) |
(105 ILCS 426/37)
|
Sec. 37. Disclosures. All schools shall make, at a |
minimum, the disclosures required under this Section clearly |
and conspicuously on their Internet websites. The disclosure |
shall consist of a statement containing the following |
information for the most recent 12-month reporting period of |
July 1 through June 30: |
(1) The number of students who were admitted in the |
course of instruction as of July 1
of that reporting |
period. |
(2) Additions during the year due to: |
|
(A) new starts;
|
(B) re-enrollments; and
|
(C) transfers into the course of instruction from |
other courses of instruction at the school.
|
(3) The total number of students admitted during the |
reporting period (the number of students reported under |
paragraph (1) of this Section plus the additions reported |
under subparagraphs (A), (B), and (C) of paragraph (2) of |
this Section.
|
(4) Of the total course of instruction enrollment, the |
number of students who:
|
(A) transferred out of the course of instruction |
to another course of
instruction;
|
(B) completed or graduated from a course of |
instruction;
|
(C) withdrew from the school;
|
(D) are still enrolled.
|
(5) The number of students listed in paragraph (4) of |
this Section who:
|
(A) were placed in their field of study;
|
(B) were placed in a related field;
|
(C) placed out of the field;
|
(D) were not available for placement due to |
personal reasons;
|
(E) were not employed.
|
(6) The number of students who took a State licensing |
|
examination or professional certification examination, if |
any, during the reporting period, as well as the number |
who passed. |
(7) The number of graduates who obtained employment in |
the field who did not use the school's placement |
assistance during the reporting period; such information |
may be compiled
by reasonable efforts of the school to |
contact graduates by written correspondence.
|
(8) The average starting salary for all school |
graduates employed during the reporting period; such |
information may be compiled by reasonable efforts of the |
school to contact graduates by written correspondence. |
(9) The following clear and conspicuous caption, set |
forth with the address and telephone number of the Board's |
office: |
"COMPLAINTS AGAINST THIS SCHOOL MAY BE REGISTERED |
WITH THE BOARD OF HIGHER EDUCATION.". |
(10) If the United States Department of Education |
places the school on either the Heightened Cash Monitoring |
2 payment method or the reimbursement payment method, as |
authorized under 34 CFR 668.162, a clear and conspicuous |
disclosure that the United States Department of Education |
has heightened monitoring of the school's finances and the |
reason for such monitoring. Such disclosure shall be made |
within 14 days of the action of the United States |
Department of Education both on the school's website and |
|
to all students and prospective students on a form |
prescribed by the Board. |
An alphabetical list of names, addresses, and dates of |
admission by course or course of instruction and a sample copy |
of the enrollment agreement employed to enroll the students |
listed shall be filed with the Board's Executive Director on |
an annual basis. The list shall be signed and verified by the |
school's
chief managing employee.
|
(Source: P.A. 97-650, eff. 2-1-12.) |
(105 ILCS 426/50)
|
Sec. 50. Requirements for approved institutions. |
(a) Each school and each of the non-degree programs of |
study offered by the school shall be issued a permit of |
approval approved for one year. The permit shall be renewed |
annually and every fifth year pursuant to Section 75 of this |
Act 5 years , subject to the terms and conditions of approval, |
including without limitation the submission of required |
reporting and the payment of required charges and fees under |
the provisions of Section 75 of this Act, and compliance with |
any other requirements in this Act or supporting rules. |
Failure to so comply at any time during the 5 years is grounds |
for immediate revocation of the permit of approval. |
Information requested by the Board must be submitted annually |
or, in special circumstances, at the request of the Board. |
Failure to do so is grounds for immediate revocation of the |
|
permit of approval. Each non-degree program of study must be |
approved by the Board as well. Regardless of when the program |
was approved, all programs of study must be approved again |
with the institutional approval every 5 years at the end of the |
5-year approval period or in conjunction with an earlier |
review if so required under this Act or the administrative |
rules adopted in support of this Act. The Board's Executive |
Director has the authority to order any school subject to this |
Act to cease and desist operations if the school is found to |
have acted contrary to the standards set forth in this Act or |
the supporting administrative rules.
|
(b) Any school that is institutionally accredited by an |
accrediting agency that is recognized by the U.S. Department |
of Education or the Council for Higher Education Accreditation |
shall be issued a permit of approval valid for 5 years for each |
non-degree program of study offered by the school. The permit |
shall be subject to (i) the terms and conditions of approval, |
including, without limitation, the submission of required |
reporting, (ii) the payment of required charges and fees under |
the provisions of Section 75 of this Act, and (iii) compliance |
with any other requirements under this Act or administrative |
rule. The failure of a school to comply at any time during the |
5-year term of the permit of approval shall be grounds for the |
immediate revocation of the permit of approval. Information |
requested by the Board must be submitted annually or, in |
certain circumstances, at the request of the Board. The |
|
failure of the school to submit the requested information |
shall be grounds for the immediate revocation of the permit of |
approval. Each non-degree program of study must be approved by |
the Board. Regardless of the date a school received initial |
approval of a program of study, all programs of study must be |
reapproved for a permit of approval at the end of each 5-year |
approval period or in conjunction with an earlier review if |
otherwise required by this Act or administrative rule. |
(c) The Board may order any school subject to this Act to |
cease and desist operations if the school is found to have |
acted contrary to the standards set forth in this Act or |
administrative rule. |
(Source: P.A. 97-650, eff. 2-1-12.) |
(105 ILCS 426/55)
|
Sec. 55. Maintenance of approval. Institutions covered |
under this Act must meet the following requirements to receive |
and maintain approval:
|
(1) Provide a surety bond. A continuous surety company |
bond, written by a company authorized to do business in |
this State, for the protection of contractual rights, |
including faithful performance of all contracts and |
agreements for students and their parents, guardians, or |
sponsors. The Board shall establish the bond amount by |
rule. The amount of the bond must be sufficient to provide |
for the repayment of full tuition to all students enrolled |
|
at the institution in the event of closure of the |
institution. Evidence of the continuation of the bond must |
be filed annually with the Board. The surety bond must be a |
written agreement that provides for monetary compensation |
in the event that the school fails to fulfill its |
obligations to its students and their parents, guardians, |
or sponsors. The surety bonding company shall guarantee |
the return to students and their parents, guardians, or |
sponsors of all prepaid, unearned tuition in the event of |
school closure. A condition of the bond shall be that the |
bond agent shall notify the Board in the event the bond is |
no longer in effect.
|
(2) Provide to the Board and each student the school's |
policy for addressing student complaints. Included in this |
process, the school must provide in its promotional |
materials and on its Internet website the Board's address |
and Internet website for reporting complaints.
|
(3) Provide on the institution's Internet website and |
in promotional materials and enrollment agreements the |
Internet website, address, and phone number of the Board |
for students to report complaints.
|
(4) Provide evidence of liability insurance, in such |
form and amount as the Board shall from time to time |
prescribe pursuant to rules adopted under this Act, to |
protect students and employees at the school's places of |
business and at all classroom extensions, including any |
|
work-experience locations.
|
(5) Provide data as requested by the Board to support |
the satisfaction of the requirements of this Act or to |
provide vocational and technical educational data for the |
longitudinal data system created under the P-20 |
Longitudinal Education Data System Act.
|
(6) Pay required fees as described under the |
provisions of Section 75 of this Act by prescribed |
deadlines.
|
(7) With respect to advertising programs of study, all |
of the following apply:
|
(A) A school may state that it is approved to offer |
a program of study or authorized to award a |
certificate in this State only after that approval has |
been officially granted and received in writing from |
the Board.
|
(B) A school shall not advertise or state in any |
manner that it is accredited by the Board to award |
degrees or certificates.
|
(C) No school may publish or otherwise communicate |
to prospective students, faculty, staff, or the public |
misleading or erroneous information about the |
certificate or degree-granting status of a given |
institution.
|
(D) All advertisements or solicitations by |
approved schools shall only reference the Board's |
|
approval by stating that the school is approved by the |
"Division of Private Business and Vocational Schools". |
(E) All advertisements or solicitations by |
approved schools shall contain the school's official |
Internet website address.
|
(8) Permit the Board's Executive Director or his or |
her designees to inspect the school or classes thereof |
from time to time with or without notice and to make |
available to the Board's Executive Director or his or her |
designees, at any time when required to do so, |
information, including financial information, pertaining |
to the operation and to the activities of the school |
required for the administration of this Act and the |
standards and rules adopted under this Act.
|
(9) Maintain satisfactory student retention and |
graduation rates and State licensing examination or |
professional certification examination passage rates. |
Student retention and graduation rates must be maintained |
that are appropriate to standards in the field. A State |
licensing examination or professional certification |
examination passage rate of at least 50% of the average |
passage rate for schools within the industry for any State |
licensing examination or professional certification |
examination must be maintained. In the event that the |
school fails to do so, then that school shall be placed on |
probation for one year. If that school's passage rate in |
|
its next reporting period does not exceed 50% of the |
average passage rate of that class of school as a whole, |
then the Board shall revoke the school's approval for that |
program to operate in this State. In addition, this shall |
be grounds for reviewing the institution's approval to |
operate. The Board shall develop, by rule, a procedure to |
ensure the veracity of the information required under this |
Section.
|
(10) Not enter into an enrollment agreement wherein |
the student waives the right to assert against the school |
or any assignee any claim or defense he or she may have |
against the school arising under the agreement. Any |
provisions in an enrollment agreement wherein the student |
agrees to such a waiver shall be rendered void.
|
(11) Not have a tuition policy or enrollment agreement |
that requires that a student register for more than a |
single semester, quarter, term, or other such period of |
enrollment as a condition of the enrollment nor charge a |
student for multiple periods of enrollment prior to |
completion of a single semester, quarter, term, or other |
such period of enrollment.
|
(12) Provide the Board with a copy of any notice of |
warning or suspension or revocation received from an |
accrediting agency or State or federal oversight body |
within 15 days after receipt of the notice. The school |
shall, at the same time, inform the Board, in writing, on |
|
actions being taken to correct all deficiencies cited.
|
(13) Maintain a fair and equitable refund policy and |
abide by it. Such a policy shall abide by any State or |
federal rules as appropriate. The same policy shall apply |
to all students equally.
|
(14) Act in an ethical manner.
|
(Source: P.A. 97-650, eff. 2-1-12.) |
(105 ILCS 426/70)
|
Sec. 70. Closing of a school.
|
(a) In the event a school proposes to discontinue its |
operations, the chief administrative officer of the school |
shall cause to be filed with the Board the original or legible |
true copies of all such academic records of the institution as |
may be specified by the Board.
|
(b) These records shall include, at a minimum, the |
academic records of each former student that is traditionally |
provided on an academic transcript, such as, but not limited |
to, courses taken, terms, grades, and other such information.
|
(c) In the event it appears to the Board that any such |
records of an institution discontinuing its operations is in |
danger of being lost, hidden, destroyed, or otherwise made |
unavailable to the Board, the Board may seize and take |
possession of the records, on its own motion and without order |
of court.
|
(d) The Board shall maintain or cause to be maintained a |
|
permanent file of such records coming into its possession.
|
(e) As an alternative to the deposit of such records with |
the Board, the institution may propose to the Board a plan for |
permanent retention of the records. The plan must be put into |
effect only with the approval of the Board.
|
(f) When a postsecondary educational institution now or |
hereafter operating in this State proposes to discontinue its |
operation, such institution shall cause to be created a |
teach-out plan acceptable to the Board, which shall fulfill |
the school's educational obligations to its students. Should |
the school fail to deliver or act on the teach-out plan, the |
Board is in no way responsible for providing the teach-out.
|
(f-5) The school shall release any institutional holds |
placed on any students record, regardless of the type of hold |
placed on the student record. |
(g) The school and its designated surety bonding company |
are responsible for the return to students of all prepaid, |
unearned tuition. As identified in Section 55 of this Act, the |
surety bond must be a written agreement that provides for |
monetary compensation in the event that the school fails to |
fulfill its obligations. The surety bonding company shall |
guarantee the return to the school's students and their |
parents, guardians, or sponsors of all prepaid, unearned |
tuition in the event of school closure. Should the school or |
its surety bonding company fail to deliver or act to fulfill |
the obligation, the Board is in no way responsible for the |
|
repayment or any related damages or claims.
|
(Source: P.A. 97-650, eff. 2-1-12.) |
(105 ILCS 426/75)
|
Sec. 75. Application and renewal fees. The Board may not |
approve any application for a permit of approval or program of |
study that has been plagiarized in part or whole and may return |
any such application for a permit of approval or program of |
study. Additionally, the Board may not approve any application |
for a permit of approval or program of study that has not been |
completed in its entirety. Fees for application and renewal |
may be set by the Board by rule. Fees shall be collected for |
all of the following:
|
(1) An original school application for a permit |
certificate of approval.
|
(2) An initial school application for a permit |
certificate of approval upon occurrence of a change of |
ownership.
|
(3) An annual school application for renewal of a |
certificate of approval.
|
(4) A school application for a change of location.
|
(5) A school application for a classroom extension.
|
(6) If an applicant school that has not remedied all |
deficiencies cited by the Board within 12 months after the |
date of its original application for a permit certificate |
of approval, an additional original application fee for |
|
the continued cost of investigation of its application.
|
(7) Transcript processing.
|
(Source: P.A. 97-650, eff. 2-1-12.) |
Section 15. The Developmental Education Reform Act is |
amended by changing Section 100-30 as follows: |
(110 ILCS 175/100-30)
|
Sec. 100-30. Institutional plans; report. |
(a) On or before May 1, 2022, each university shall submit |
to the Board of Higher Education and each community college |
shall submit to the Illinois Community College Board its |
institutional plan for scaling evidence-based developmental |
education reforms to maximize the probability that a student |
will be placed in and successfully complete introductory |
college-level English language or mathematics coursework |
within 2 semesters at the institution. At a minimum, a plan |
submitted by an institution shall include all of the |
following: |
(1) A description of the current developmental |
education models offered by the institution. If the |
institution does not currently offer developmental |
education coursework, it must provide details regarding |
its decision not to offer developmental education |
coursework and the pathways that are available to students |
deemed to be insufficiently prepared for introductory |
|
college-level English language or mathematics coursework. |
(2) A description of the developmental education |
models that will be implemented and scaled and the basis |
of the evidence and associated data that the institution |
considered in making the decision to scale each model. |
(3) Baseline data and benchmarks for progress, |
including, but not limited to, (i) enrollment in |
credit-bearing English language or mathematics courses, |
(ii) rates of successful completion of introductory |
college-level English language or mathematics courses, and |
(iii) college-credit accumulation. |
(4) Detailed plans for scaling reforms and improving |
outcomes for all students placed in traditional |
developmental education models or models with comparable |
introductory college-level course completion rates. The |
plan shall provide details about the expected improvements |
in educational outcomes for Black students as result of |
the proposed reforms. |
(b) On or before February 15 January 1 , 2023 and every 2 |
years thereafter, the Board of Higher Education and Illinois |
Community College Board shall collect data and report to the |
General Assembly and the public the status of developmental |
education reforms at institutions. The report must include |
data on the progress of the developmental education reforms, |
including, but not limited to, (i) enrollment in |
credit-bearing English language or mathematics courses, (ii) |
|
rates of successful completion of introductory college-level |
English language or mathematics courses, and (iii) |
college-credit accumulation. The data should be disaggregated |
by gender, race and ethnicity, federal Pell Grant status, and |
other variables of interest to the Board of Higher Education |
and the Illinois Community College Board. |
(c) On or before February 15 January 1 , 2024 and every 2 |
years thereafter, the Board of Higher Education and Illinois |
Community College Board, in consultation with institutions of |
higher education and other stakeholders, shall consider |
additional data reporting requirements to facilitate the |
rigorous and continuous evaluation of each institution's |
implementation plan and its impact on improving outcomes for |
students in developmental education, particularly for Black |
students.
|
(Source: P.A. 101-654, eff. 3-8-21.) |
Section 20. The Board of Higher Education Act is amended |
by changing Sections 1, 3, 6, 7, 8, 9.16, 11, and 16 as |
follows:
|
(110 ILCS 205/1) (from Ch. 144, par. 181)
|
Sec. 1.
The following terms shall have the meanings |
respectively prescribed
for them, except when the context |
otherwise requires:
|
"Public institutions of higher education": The University |
|
of
Illinois; Southern Illinois University;
Chicago State |
University; Eastern Illinois University; Governors State
|
University; Illinois State University; Northeastern Illinois |
University;
Northern Illinois University; Western Illinois |
University; the public community
colleges of the State and any
|
other public universities, colleges and community colleges now |
or hereafter
established or authorized by the General |
Assembly.
|
"Board": The Board of Higher Education created by this |
Act.
|
"Private institution of higher education": Any institution |
of higher education that is subject to the Private College Act |
or the Academic Degree Act. |
(Source: P.A. 100-167, eff. 1-1-18 .)
|
(110 ILCS 205/3) (from Ch. 144, par. 183)
|
Sec. 3. Terms; vacancies.
|
(a) The members of the Board whose appointments are |
subject to
confirmation by the Senate shall be selected for |
6-year terms expiring on
January 31 of odd numbered years.
|
(b) The members of the Board shall continue to serve after |
the
expiration of their terms until their successors have been |
appointed.
|
(c) Vacancies on the Board in offices appointed by the |
Governor shall be
filled by appointment by the Governor for |
the unexpired term. If the
appointment is subject to Senate |
|
confirmation and the Senate is not in
session or is in recess |
when the appointment is made, the appointee shall
serve |
subject to subsequent Senate approval of the appointment.
|
(d) Each student member shall serve a term of one year |
beginning on July
1 of each year and until a successor is |
appointed and qualified .
|
(e) The member of the Board representing public university |
governing
boards and the member of the Board representing |
private college and university
boards of trustees, who are |
appointed by the Governor but not subject to
confirmation by |
the Senate, shall serve terms of one year beginning on July 1.
|
(Source: P.A. 100-167, eff. 1-1-18 .)
|
(110 ILCS 205/6) (from Ch. 144, par. 186)
|
Sec. 6.
The Board, in cooperation with the Illinois |
Community College Board, shall analyze the present and future |
aims, needs and
requirements of higher education in the State |
of Illinois and prepare a
strategic master plan for the |
development, expansion, integration, coordination and
|
efficient utilization of the facilities, curricula and |
standards of higher
education for public institutions of |
higher education in the areas of
teaching, research and public |
service. The strategic master plan shall also include higher |
education affordability and accessibility measures. The Board, |
in cooperation with the Illinois Community College Board, |
shall formulate the strategic master
plan and prepare and |
|
submit to the General Assembly and the Governor drafts
of |
proposed legislation to effectuate the plan. The Board, in |
cooperation with the Illinois Community College Board, shall |
engage in a
continuing study, an analysis, and an evaluation |
of the strategic master plan so
developed, and it shall be its |
responsibility to recommend, from time to
time as it |
determines, amendments and modifications of any strategic |
master plan
enacted by the General Assembly.
|
(Source: P.A. 99-655, eff. 7-28-16.)
|
(110 ILCS 205/7) (from Ch. 144, par. 187)
|
Sec. 7.
The Board of Trustees of the University of |
Illinois, the Board of
Trustees of Southern Illinois |
University,
the Board of Trustees of Chicago State University, |
the Board of Trustees of
Eastern Illinois University, the |
Board of Trustees of Governors State
University, the Board of |
Trustees of Illinois State University, the Board of
Trustees |
of Northeastern Illinois University, the Board of Trustees of |
Northern
Illinois University, the Board of Trustees of Western |
Illinois University,
the Illinois Community College Board and |
the campuses under their governance
or supervision shall not |
hereafter undertake the establishment of any new
unit of |
instruction, research, or public service without the approval |
of the
Board. The term "new unit of instruction, research, or |
public service"
includes the establishment of a college, |
school, division, institute,
department, or other unit in any |
|
field of instruction, research, or public
service not |
theretofore included in the program of the institution, and
|
includes the establishment of any new branch or campus. The |
term does not
include reasonable and moderate extensions of |
existing curricula, research,
or public service programs which |
have a direct relationship to existing
programs; and the Board |
may, under its rulemaking power, define the
character of such |
reasonable and moderate extensions.
|
Such governing boards shall submit to the Board all |
proposals for a new
unit of instruction, research, or public |
service. The Board may approve or
disapprove the proposal in |
whole or in part or approve modifications
thereof whenever in |
its judgment such action is consistent with the
objectives of |
an existing or proposed strategic master plan of higher |
education.
|
The Board of Higher Education is authorized to review |
periodically all
existing programs of instruction, research, |
and public service at the State
universities and colleges and |
to advise the appropriate board of control if
the contribution |
of each program is not educationally and economically
|
justified. Each State university shall report annually to the |
Board on programs of instruction, research, or public service |
that have been terminated, dissolved, reduced, or consolidated |
by the university. Each State university shall also report to |
the Board all programs of instruction, research, and public |
service that exhibit a trend of low performance in |
|
enrollments, degree completions, and high expense per degree. |
The Board shall compile an annual report that shall contain |
information on new programs created, existing programs that |
have been closed or consolidated, and programs that exhibit |
low performance or productivity. The report must be submitted |
to the General Assembly. The Board shall have the authority to |
define relevant terms and timelines by rule with respect to |
this reporting.
|
(Source: P.A. 101-81, eff. 7-12-19.)
|
(110 ILCS 205/8) (from Ch. 144, par. 188)
|
Sec. 8.
The Board of Trustees of the University of |
Illinois, the Board of
Trustees of Southern Illinois |
University,
the Board of Trustees of Chicago State University, |
the Board of Trustees of
Eastern Illinois University, the |
Board of Trustees of Governors State
University, the Board of |
Trustees of Illinois State University, the Board of
Trustees |
of Northeastern Illinois University, the Board of Trustees of |
Northern
Illinois University, the Board of Trustees of Western |
Illinois University, and
the Illinois Community College Board |
shall submit to the Board not later
than the 15th day of |
November of each year its budget proposals for the
operation |
and capital needs of the institutions under its governance or
|
supervision for the ensuing fiscal year. Each budget proposal |
shall conform
to the procedures developed by the Board in the |
design of an information
system for State universities and |
|
colleges.
|
In order to maintain a cohesive system of higher |
education, the Board and
its staff shall communicate on a |
regular basis with all public university
presidents. They |
shall meet at least semiannually to achieve economies of
scale |
where possible and provide the most innovative and efficient |
programs and
services.
|
The Board, in the analysis of formulating the annual |
budget request,
shall consider rates of tuition and fees and |
undergraduate tuition and fee waiver programs at the State |
universities and
colleges. The Board shall also consider the |
current and projected
utilization of the total physical plant |
of each campus of a university or
college in approving the |
capital budget for any new building or facility.
|
The Board of Higher Education shall submit to the |
Governor, to the
General Assembly, and to the appropriate |
budget agencies of the Governor
and General Assembly its |
analysis and recommendations on such budget
proposals.
|
The Board is directed to form a broad-based group of |
individuals representing the Office of the Governor, the |
General Assembly, public institutions of higher education, |
State agencies, business and industry, statewide organizations |
representing faculty and staff, and others as the Board shall |
deem appropriate to devise a system for allocating State |
resources to public institutions of higher education based |
upon performance in achieving State goals related to student |
|
success and certificate and degree completion. |
Beginning in Fiscal Year 2013, the Board of Higher |
Education budget recommendations to the Governor and the |
General Assembly shall include allocations to public |
institutions of higher education based upon performance |
metrics designed to promote and measure student success in |
degree and certificate completion. Public university metrics |
must be adopted by the Board by rule, and public community |
college metrics must be adopted by the Illinois Community |
College Board by rule. These metrics must be developed and |
promulgated in accordance with the following principles: |
(1) The metrics must be developed in consultation with |
public institutions of higher education, as well as other |
State educational agencies and other higher education |
organizations, associations, interests, and stakeholders |
as deemed appropriate by the Board. |
(2) The metrics shall include provisions for |
recognizing the demands on and rewarding the performance |
of institutions in advancing the success of students who |
are academically or financially at risk, including |
first-generation students, low-income students, and |
students traditionally underrepresented in higher |
education, as specified in Section 9.16 of this Act. |
(3) The metrics shall recognize and account for the |
differentiated missions of institutions and sectors of |
higher education. |
|
(4) The metrics shall focus on the fundamental goal of |
increasing completion of college courses, certificates, |
and degrees. Performance metrics shall recognize the |
unique and broad mission of public community colleges |
through consideration of additional factors including, but |
not limited to, enrollment, progress through key academic |
milestones, transfer to a baccalaureate institution, and |
degree completion. |
(5) The metrics must be designed to maintain the |
quality of degrees, certificates, courses, and programs. |
In devising performance metrics, the Board may be guided by |
the report of the Higher Education Finance Study Commission. |
Each State university must
submit its plan for capital |
improvements of non-instructional facilities to
the Board for |
approval before final commitments are made if the total cost |
of the project as approved by the institution's board of |
control is in excess of $2 million. Non-instructional
uses |
shall include but not be limited to dormitories, union |
buildings,
field houses, stadium, other recreational |
facilities and parking lots. The
Board shall determine whether |
or not any project submitted for approval is
consistent with |
the strategic master plan for higher education and with |
instructional
buildings that are provided for therein. If the |
project is found by a
majority of the Board not to be |
consistent, such capital improvement shall
not be constructed.
|
(Source: P.A. 99-655, eff. 7-28-16.)
|
|
(110 ILCS 205/9.16) (from Ch. 144, par. 189.16)
|
Sec. 9.16. Underrepresentation of certain groups in higher |
education.
To require public institutions of higher education |
to develop and implement an equity plan and practices that |
include
methods and strategies to increase the access, |
retention, completion, and student loan repayment rates |
participation of minorities, rural students, adult students, |
women ,
and individuals with disabilities who are traditionally |
underrepresented in
education programs and activities. To |
encourage private institutions of higher education to develop |
and implement an equity plan and practices. For the purpose of |
this Section,
minorities shall mean persons who are citizens |
of the United States or
lawful permanent resident aliens of |
the United States and who are any of the following: |
(1) American Indian or Alaska Native (a person having |
origins in any of the original peoples of North and South |
America, including Central America, and who maintains |
tribal affiliation or community attachment). |
(2) Asian (a person having origins in any of the |
original peoples of the Far East, Southeast Asia, or the |
Indian subcontinent, including, but not limited to, |
Cambodia, China, India, Japan, Korea, Malaysia, Pakistan, |
the Philippine Islands, Thailand, and Vietnam). |
(3) Black or African American (a person having origins |
in any of the black racial groups of Africa). |
|
(4) Hispanic or Latino (a person of Cuban, Mexican, |
Puerto Rican, South or Central American, or other Spanish |
culture or origin, regardless of race). |
(5) Native Hawaiian or Other Pacific Islander (a |
person having origins in any of the original peoples of |
Hawaii, Guam, Samoa, or other Pacific Islands).
|
The Board shall adopt any rules necessary to administer |
this Section.
The Board , in collaboration with the Illinois |
Community College Board, shall also do the following:
|
(a) require all public institutions of higher education to |
develop and
submit an equity plan and implement practices |
that, at a minimum, close gaps in enrollment, retention, |
completion, and student loan repayment rates for |
underrepresented groups and encourage all private institutions |
of higher education to develop and submit such equity plans |
and implement such practices plans for the implementation of |
this Section ;
|
(b) conduct periodic review of public institutions of |
higher education and private institutions of higher education |
to
determine compliance with this Section; and if the Board |
finds that a public
institution of higher education is not in |
compliance with this Section,
it shall notify the institution |
of steps to take to attain compliance;
|
(c) provide advice and counsel pursuant to this Section;
|
(d) conduct studies of the effectiveness and outcomes of |
the methods and strategies outlined in an institution's equity |
|
plan, as well as others
designed to increase participation and |
success of students in education programs and
activities in |
which minorities, rural students, adult students, women , and |
individuals with disabilities are
traditionally |
underrepresented, and monitor and report the outcomes for |
success of students as a result of the implementation of |
equity plans in such
education programs and activities ;
|
(e) require components of an institution's equity plan to |
include strategies to increase encourage minority student |
recruitment , and retention , and student loan repayment rates |
in colleges
and universities. In implementing this paragraph, |
the Board shall undertake
but need not be limited to the |
following: the establishment of guidelines
and plans for |
public institutions of higher education and private |
institutions of higher education for minority student
|
recruitment , and retention, and student loan repayment rates, |
including requirements to establish campus climate and culture |
surveys, the review and monitoring of minority student |
services,
programs , and supports implemented at public |
institutions of higher education and private institutions of |
higher education to
determine their compliance with any |
guidelines and plans so established,
the determination of the |
effectiveness and funding requirements of minority
student |
services, programs , and supports at public institutions of |
higher education and private institutions of higher education , |
the
dissemination of successful programs as models, and the |
|
encouragement of
cooperative partnerships between community |
colleges , and local school
attendance centers , and 4-year |
colleges and universities to support enrollment of which are |
experiencing difficulties in enrolling
minority students in |
four-year colleges and universities ;
|
(f) mandate all public institutions of higher education |
and encourage all private institutions of higher education to |
submit data
and information essential to determine compliance |
with this Section. The
Board shall prescribe the format and |
the date for submission of this data
and any other education |
equity data; and
|
(g) report to the General Assembly and the Governor |
annually with a
description of the plans submitted by each |
public institution of higher
education and each private |
institution of higher education for implementation of this |
Section, including financial data
relating to the most recent |
fiscal year expenditures for specific minority
programs , the |
effectiveness of such
plans and programs and the effectiveness |
of the methods and strategies developed by the
Board in |
meeting the purposes of this Section, the degree of compliance
|
with this Section by each public institution of higher |
education and each private institution of higher education as
|
determined by the Board pursuant to its periodic review |
responsibilities,
and the findings made by the Board in |
conducting its studies and monitoring
student outcomes and |
institutional success as required by paragraph (d) d) of this |
|
Section. With
respect to each public institution of higher |
education and each private institution of higher education, |
such report also shall
include, but need not be limited to, |
information with respect to each
institution's minority |
program budget allocations; minority student
admission, |
retention and graduation and student loan repayment rate |
statistics; admission, retention, and graduation , and student |
loan repayment rate statistics of all students who are the |
first in their immediate family to attend an institution of |
higher education; number of financial
assistance awards , not |
including student loans, to undergraduate and graduate |
minority students; and
minority faculty representation. This |
paragraph shall not be construed to
prohibit the Board from |
making, preparing or issuing additional surveys or
studies |
with respect to minority education in Illinois.
|
(Source: P.A. 102-465, eff. 1-1-22 .)
|
(110 ILCS 205/11) (from Ch. 144, par. 191)
|
Sec. 11.
In the formulation of a strategic master plan of |
higher education and in the
discharge of its duties under this |
Act, the Board shall give consideration
to the problems and |
attitudes of private junior colleges,
private colleges and
|
universities, and of other educational groups, |
instrumentalities and
institutions, and to specialized areas |
of education, as they relate to the
overall policies and |
problems of higher education.
|
|
(Source: P.A. 82-622.)
|
(110 ILCS 205/16) |
Sec. 16. Record retention requirements when Closing an |
institution of higher education closes ; student records ; |
institutional transfer agreements . |
(a) In this Section: |
"Academic records" means the academic records of each |
former student of an institution of higher education that is |
traditionally provided on an academic transcript, including, |
but not limited to, courses taken, terms, grades, and any |
other similar information. |
"Institution of higher education" means any publicly or |
privately operated university, college, junior college, |
business, technical or vocational school, or other educational |
institution offering degrees and instruction beyond the |
secondary school level. "Institution of higher education" does |
not include a public community college. |
"Institutional transfer agreement" means an articulation |
agreement or transfer agreement between 2 or more institutions |
of higher education wherein one institution agrees to accept |
the transfer of earned student credits from a former student |
of an institution that has discontinued operations. |
(b) In the event an institution of higher education |
proposes to discontinue its operations, the chief |
administrative officer of the institution shall submit a plan |
|
to the Board for permanent retention of all academic records , |
including student records and academic records of the |
institution. The plan must be approved by the Executive |
Director of the Board before it is executed. In addition, the |
plan shall include the release of any institutional holds |
placed on any student record, regardless of the type of hold |
placed on a student record. |
(c) If it appears to the Board that the academic records , |
including student records and academic records, of an |
institution of higher education kept pursuant to an approved |
plan under subsection (b) of this Section may become lost, |
hidden, destroyed, or otherwise made unavailable to the Board, |
the Board may seize and take possession of the records, on its |
own motion and without order of a court.
|
(Source: P.A. 100-1008, eff. 8-21-18.) |
Section 25. The Higher Education Cooperation Act is |
amended by changing Sections 4 and 5 as follows:
|
(110 ILCS 220/4) (from Ch. 144, par. 284)
|
Sec. 4.
A program of financial assistance to programs of |
interinstitutional
cooperation, in higher education is |
established to implement the policy of
encouraging such |
cooperation in order to achieve an efficient use of
|
educational resources, an equitable distribution of |
educational services,
the development of innovative concepts |
|
and applications, and other public
purposes.
|
The Board of Higher Education shall administer this |
program of financial
assistance and shall distribute the funds |
appropriated by the General
Assembly for this purpose in the |
form of grants to not-for-profit
corporations organized to |
administer programs of interinstitutional
cooperation in |
higher education or to public or nonpublic institutions of
|
higher education participating in such programs.
|
In awarding grants to interinstitutional programs under |
this Act, the
Board shall consider in relation to each such |
program whether it serves the
public purposes expressed in |
this Act, whether the local community is
substantially |
involved, whether its function could be performed better by a
|
single existing institution, whether the program is consistent |
with the
Illinois strategic master plan for higher education, |
and such other criteria as it
determines to be appropriate.
|
No grant may be awarded under this Section for any program |
of sectarian
instruction or for any program designed to serve |
a sectarian purpose.
|
As a part of its administration of this Act the Board may |
require
audits or reports in relation to the administrative, |
fiscal and academic aspects of
any interinstitutional program |
for which a grant is awarded under this Act.
The Board shall |
annually submit to the Governor and the General Assembly a
|
budgetary recommendation for grants under this Act.
|
(Source: P.A. 85-244.)
|
|
(110 ILCS 220/5) (from Ch. 144, par. 285)
|
Sec. 5.
Any not-for-profit corporation organized to |
administer an
interinstitutional program of higher education |
may be recognized under this
Section if it has been in |
existence for 3 years or longer, it is structured
for |
continuing operation, it is substantial in scope, it is |
oriented to and
supported by the community in which it is |
located and it is consistent with
the Illinois strategic |
master plan for higher education.
|
In each request of the Board of Higher Education to the |
General Assembly
for the appropriation of funds for the |
purpose of making grants under this
Act the Board shall |
specify the amount of the grant proposed for each
|
not-for-profit corporation recognized under this Section.
|
The following not-for-profit corporations are recognized |
for the
purposes of this Section:
|
The Quad Cities Graduate Study Center.
|
(Source: P.A. 77-2813.)
|
Section 30. The Private College Act is amended by changing |
Sections 3, 4, and 5 and by adding Section 4.5 as follows:
|
(110 ILCS 1005/3) (from Ch. 144, par. 123)
|
Sec. 3.
(a) Applications submitted to the Board for a
|
certificate of approval to operate a post-secondary |
|
educational
institution shall contain a statement of the |
following:
|
1. the proposed name of the institution and its proposed |
location;
|
2. the nature, extent and purposes of the courses of study |
to be
given;
|
3. the fees to be charged and the conditions under which |
the fees
are to be paid;
|
4. the education and experience of the members of the |
teaching
staff;
|
5. the degrees to be issued to students upon
completion of |
courses of instruction.
|
(b) The Board may not approve any application for a |
certificate of approval that has been plagiarized, in part or |
in whole. Additionally, the Board may not approve any |
application that has not been completed in its entirety and |
such application shall be returned to the post-secondary |
educational institution. |
(Source: P.A. 80-1309.)
|
(110 ILCS 1005/4) (from Ch. 144, par. 124)
|
Sec. 4.
Upon the filing of an application for a |
certificate of
approval the Board shall make an examination to |
ascertain:
|
1. That each course of instruction to be offered or given |
is
adequate, suitable, and proper;
|
|
2. That the fee to be charged for the courses of |
instruction, and
the conditions and terms under which such |
fees are to be paid are
reasonable;
|
3. That an adequate physical plant and adequate facilities |
are
provided;
|
4. That the members of the teaching staff are adequately |
prepared to
fulfill their instructional obligations;
|
5. That the institution does not promise or agree to any |
right or
privilege in respect to professional examinations or |
to the practice of
any profession in violation of the laws of |
this State;
|
6. That the institution does not offer inducements that |
are designed
to deceive the prospective student or make any |
promises which it does
not have the present means or ability to |
perform ; .
|
7. That the proposed degree program is educationally and |
economically consistent with the educational priorities and |
needs of this State and meets a need that is not currently met |
by existing institutions and is supported by clear evidence of |
need. |
If the examination shows that the applicant has such |
qualifications a
certificate of approval shall be issued.
|
(Source: P.A. 80-1309.)
|
(110 ILCS 1005/4.5 new) |
Sec. 4.5. Disclosure of heightened monitoring of finances. |
|
Any institution with a certificate of approval under this Act |
is required to make the following disclosures: |
(1) If the United States Department of Education |
places the institution on either the Heightened Cash |
Monitoring 2 payment method or the reimbursement payment |
method, as authorized under 34 CFR 668.162, a clear and |
conspicuous disclosure that the United States Department |
of Education has heightened monitoring of the |
institution's finances and the reason for such monitoring. |
Such disclosure shall be made within 14 days of the action |
of the United States Department of Education both on the |
institution's website and to all students and prospective |
students on a form prescribed by the Board. |
(2) Any other disclosure the Board requires by rule |
adopted pursuant to this Act.
|
(110 ILCS 1005/5) (from Ch. 144, par. 125)
|
Sec. 5.
A certificate of approval of a post-secondary |
educational
institution may be revoked for any of the |
following:
|
1. Violation of any of the conditions governing the |
issuance of the
certificate;
|
2. Failure to comply with any of the rules adopted by the |
Board;
|
3. Fraudulent conduct on the part of any person conducting |
the
institution or of any person, acting within the scope of |
|
his employment,
employed by the owners or persons conducting |
the institution, on account
of which conduct any student |
enrolled in the institution has been
injured or has suffered |
financial loss ; .
|
4. Failure to allow any duly authorized employee, or other |
representative of the Board, to enter upon the premises of any |
post-secondary educational institution or have access through |
electronic means to inspect or otherwise examine the same and |
any books, papers, or other records pertaining to the degree |
granting program of such institution, including, but not |
limited to, financial records such as balance sheets, income |
statements, and cash flow statements. |
(Source: P.A. 80-1309.)
|
Section 35. The Academic Degree Act is amended by changing |
Sections 4 and 6 and by adding Section 5.5 as follows:
|
(110 ILCS 1010/4) (from Ch. 144, par. 234)
|
Sec. 4.
Period before award. ) (a) Unless a degree granting |
institution
was authorized to operate in Illinois, or was in |
operation, on
August 14, 1961, it shall
not award any earned |
degree until one year after it has
filed a written notice with |
and until such institution has received the
authorization and |
approval of the Board.
Except as permitted under Section 5, no |
educational organization or
entity shall be authorized to |
award any degree nor be approved as a
degree granting |
|
institution unless it requires an appropriate period of
|
instruction to be in residence. The notice shall be under oath |
or affirmation
of the
principal officer of the institution and |
shall contain: the name and
address of the degree granting |
institution; the names and addresses of
the president or other |
administrative head and of each member of the
board of |
trustees or other governing board; a description of the degree
|
or degrees to be awarded and the course or courses of study |
prerequisite
thereto; and such additional information relevant |
to the purposes of
this Act as the Board may prescribe. An
|
amendment to the notice shall be under oath or affirmation of |
the
principal officer of the institution and shall be filed |
with the Board
prior to the award of any degree not
contained |
in the original notice or prior amendments thereto. A degree
|
authorized in an amendment shall not be awarded until one year |
after the
filing of the amendment with and the authorization |
of the Board. The
submission of the regular catalog of
the |
institution shall, if it covers the matters hereinabove |
mentioned,
be deemed to constitute compliance herewith.
|
(b) A degree granting institution shall keep the notice |
which it
shall have filed with the Board current at
all times. |
For this purpose, it shall report annually, by appropriate
|
amendment of the notice, any change in any fact previously |
reported.
|
(c) The Board shall not approve any
notice or amendment |
thereto filed pursuant to this Section unless it
finds the |
|
facts stated therein to be correct and further finds that such
|
facts constitute compliance with the requirements of this Act |
for degree
granting institutions.
|
(d) The Board may not approve any notice, amendment, or |
application that has been plagiarized, in part or in whole, |
and may return any notice, amendment, or application. |
Additionally, the Board may not approve any notice, amendment, |
or application that has not been completed in its entirety. |
Any such uncompleted notice, amendment, or application shall |
be returned to the degree granting institution. |
(e) The Board may not approve any proposed degree program |
unless it is educationally and economically consistent with |
the educational priorities and needs of this State and meets a |
need that is not currently met by existing institutions and is |
supported by clear evidence of need. |
(Source: P.A. 80-1309.)
|
(110 ILCS 1010/5.5 new) |
Sec. 5.5. Disclosure of heightened monitoring of finances. |
Any institution approved by the Board under this Act shall |
make the following disclosures: |
(a) If the United States Department of Education places |
the institution on either the Heightened Cash Monitoring 2 |
payment method or the reimbursement payment method, as |
authorized under 34 CFR 668.162, a clear and conspicuous |
disclosure that the United States Department of Education has |
|
heightened monitoring of the institution's finances and the |
reason for such monitoring. Such disclosure shall be made |
within 14 days of the action of the United States Department of |
Education both on the institution's website and to all |
students and prospective students on a form prescribed by the |
Board. |
(b) Any other disclosure the Board requires by rule |
adopted pursuant to this Act.
|
(110 ILCS 1010/6) (from Ch. 144, par. 236)
|
Sec. 6. Right of inspection; Penalty for refusal or |
obstruction. Any duly authorized employee or other |
representative of the
Board may enter upon the premises of any
|
degree granting institution or may have access through |
electronic means to and inspect or otherwise examine the same
|
and any books, papers or other records pertaining to the |
degree granting
program of such institution including, but not |
limited to, financial records such as balance sheets, income |
statements, and cash flow statements . For failure to permit |
such entry,
inspection or examination or for obstruction |
thereof, the Board may
invalidate any notice filed with it by |
the
degree granting institution and revoke any authorization |
made pursuant
to Section 4 of this Act and may refuse to accept |
another notice from or
on behalf of such institution or any |
person connected with the
administration thereof until such |
refusal or obstruction has been
withdrawn. Any action taken |