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Public Act 096-0555 |
SB0054 Enrolled |
LRB096 04477 JAM 14529 b |
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AN ACT concerning ethics.
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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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Section 5. The Illinois Governmental Ethics Act is amended |
by changing Section 4A-101 as follows: |
(5 ILCS 420/4A-101) (from Ch. 127, par. 604A-101) |
Sec. 4A-101. Persons required to file. The following |
persons shall file
verified written statements of economic |
interests, as provided in this Article:
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(a) Members of the General Assembly and candidates for |
nomination or
election to the General Assembly.
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(b) Persons holding an elected office in the Executive |
Branch of this
State, and candidates for nomination or |
election to these offices.
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(c) Members of a Commission or Board created by the |
Illinois Constitution,
and candidates for nomination or |
election to such Commission or Board.
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(d) Persons whose appointment to office is subject to |
confirmation by
the Senate.
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(e) Holders of, and candidates for nomination or |
election to, the office
of judge or associate judge of the |
Circuit Court and the office of judge of
the Appellate or |
Supreme Court.
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(f) Persons who are employed by any branch, agency, |
authority or board
of the government of this State, |
including but not limited to, the Illinois
State Toll |
Highway Authority, the Illinois Housing Development |
Authority,
the Illinois Community College Board, and |
institutions under the
jurisdiction of the Board of |
Trustees
of the University of Illinois, Board of Trustees |
of Southern Illinois
University, Board of Trustees of |
Chicago State University,
Board of Trustees of Eastern |
Illinois University, Board of Trustees of
Governor's State |
University, Board of Trustees of Illinois State |
University,
Board of Trustees of Northeastern Illinois |
University, Board of Trustees of
Northern Illinois |
University, Board of Trustees of Western Illinois
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University, or Board of Trustees of the Illinois |
Mathematics and Science
Academy, and are compensated for |
services as employees and not as
independent contractors |
and who:
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(1) are, or function as, the head of a department, |
commission, board,
division, bureau, authority or |
other administrative unit within the
government of |
this State, or who exercise similar authority within |
the
government of this State;
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(2) have direct supervisory authority over, or |
direct responsibility for
the formulation, |
negotiation, issuance or execution of contracts |
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entered into
by the State in the amount of $5,000 or |
more;
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(3) have authority for the issuance or |
promulgation of rules and
regulations within areas |
under the authority of the State;
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(4) have authority for the approval of |
professional licenses;
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(5) have responsibility with respect to the |
financial inspection
of regulated nongovernmental |
entities;
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(6) adjudicate, arbitrate, or decide any judicial |
or administrative
proceeding, or review the |
adjudication, arbitration or decision of any judicial
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or administrative proceeding within the authority of |
the State;
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(7) have supervisory responsibility for 20 or more |
employees of the
State; or
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(8) negotiate, assign, authorize, or grant naming |
rights or sponsorship rights regarding any property or |
asset of the State, whether real, personal, tangible, |
or intangible ; or .
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(9) have responsibility with respect to the |
procurement of goods or services. |
(g) Persons who are elected to office in a unit of |
local government,
and candidates for nomination or |
election to that office, including regional
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superintendents of school districts.
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(h) Persons appointed to the governing board of a unit |
of local
government, or of a special district, and persons |
appointed to a zoning
board, or zoning board of appeals, or |
to a regional, county, or municipal
plan commission, or to |
a board of review of any county, and persons
appointed to |
the Board of the Metropolitan Pier and Exposition Authority
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and any Trustee appointed under Section 22 of the |
Metropolitan Pier and
Exposition Authority Act, and |
persons appointed to a board or commission of
a unit of |
local government who have authority to authorize the |
expenditure of
public funds. This subsection does not apply |
to members of boards or
commissions who function in an |
advisory capacity.
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(i) Persons who are employed by a unit of local |
government and are
compensated for services as employees |
and not as independent contractors and
who:
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(1) are, or function as, the head of a department, |
division, bureau,
authority or other administrative |
unit within the unit of local
government, or who |
exercise similar authority within the unit of local
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government;
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(2) have direct supervisory authority over, or |
direct responsibility for
the formulation, |
negotiation, issuance or execution of contracts |
entered into
by the unit of local government in the |
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amount of $1,000 or greater;
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(3) have authority to approve licenses
and permits |
by the unit of local government; this item does not |
include
employees who function in a ministerial |
capacity;
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(4) adjudicate, arbitrate, or decide any judicial |
or administrative
proceeding, or review the |
adjudication, arbitration or decision of any judicial
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or administrative proceeding within the authority of |
the unit of local
government;
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(5) have authority to issue or promulgate rules and |
regulations within
areas under the authority of the |
unit of local government; or
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(6) have supervisory responsibility for 20 or more |
employees of the
unit of local government.
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(j) Persons on the Board of Trustees of the Illinois |
Mathematics and
Science Academy.
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(k) Persons employed by a school district in positions |
that
require that
person to hold an administrative or a |
chief school business official
endorsement.
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(l) Special government agents. A "special government |
agent" is a
person who is directed, retained, designated, |
appointed, or
employed, with or without compensation, by or |
on behalf of a
statewide executive branch constitutional |
officer to make an ex
parte communication under Section |
5-50 of the State Officials and
Employees Ethics Act or |
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Section 5-165 of the Illinois
Administrative Procedure |
Act.
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(m) Members of the board of commissioners of any flood |
prevention district. |
(n) Members of the board of any retirement system or |
investment board established under the Illinois Pension |
Code, if not required to file under any other provision of |
this Section. |
(o) Members of the board of any pension fund |
established under the Illinois Pension Code, if not |
required to file under any other provision of this Section. |
This Section shall not be construed to prevent any unit of |
local government
from enacting financial disclosure |
requirements that mandate
more information
than required by |
this Act.
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(Source: P.A. 95-719, eff. 5-21-08; 96-6, eff. 4-3-09.)
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Section 10. The State Officials and Employees Ethics Act is |
amended by changing Sections 1-5, 5-10, 5-30, 5-40, 5-45, 15-5, |
15-25, 20-5, 20-10, 20-20, 20-21, 20-45, 20-50, 20-55, 20-60, |
20-65, 20-70, 20-80, 20-85, 20-90, 20-95, 25-5, 25-20, 25-50, |
25-65, 25-95, 35-5, and 50-5 and by adding Sections 20-20a, |
20-51, 20-52, 25-20a, 25-51, 25-52, and 50-10 as follows: |
(5 ILCS 430/1-5)
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Sec. 1-5. Definitions. As used in this Act:
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"Appointee" means a person appointed to a position in or |
with a State
agency, regardless of whether the position is |
compensated.
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"Campaign for elective office" means any activity in |
furtherance of an
effort to influence the selection, |
nomination, election, or appointment of any
individual to any |
federal, State, or local public office or office in a
political |
organization, or the selection, nomination, or election
of |
Presidential or Vice-Presidential electors,
but does not |
include
activities (i) relating to the support or opposition of |
any executive,
legislative, or administrative action (as those |
terms are defined in Section 2
of the Lobbyist Registration |
Act), (ii) relating to collective bargaining, or
(iii) that are |
otherwise in furtherance of the person's official State duties.
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"Candidate" means a person who has
filed nominating papers |
or petitions for nomination or election to an elected
State |
office, or who has been appointed to fill a vacancy in |
nomination, and
who remains eligible for placement on the |
ballot at either a
general primary election or general |
election.
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"Collective bargaining" has the same meaning as that term |
is defined in
Section 3 of the Illinois Public Labor Relations |
Act.
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"Commission" means an ethics commission created by this |
Act.
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"Compensated time" means any time worked by or credited to |
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a State employee
that counts
toward any minimum work time |
requirement imposed as a condition of employment
with a State |
agency, but does not include any designated State holidays or |
any
period when the employee is on a
leave of absence.
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"Compensatory time off" means authorized time off earned by |
or awarded to a
State employee to compensate in whole or in |
part for time worked in excess of
the minimum work time |
required
of that employee as a condition of employment with a |
State agency.
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"Contribution" has the same meaning as that term is defined |
in Section 9-1.4
of the Election Code.
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"Employee" means (i) any person employed full-time, |
part-time, or
pursuant to a contract and whose employment |
duties are subject to the direction
and
control of an employer |
with regard to the material details of how the work is
to be |
performed or (ii) any appointed or elected commissioner, |
trustee, director, or board member of a board of a State |
agency, including any retirement system or investment board |
subject to the Illinois Pension Code or (iii) any other |
appointee.
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"Employment benefits" include but are not limited to the |
following: modified compensation or benefit terms; compensated |
time off; or change of title, job duties, or location of office |
or employment. An employment benefit may also include favorable |
treatment in determining whether to bring any disciplinary or |
similar action or favorable treatment during the course of any |
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disciplinary or similar action or other performance review. |
"Executive branch constitutional officer" means the |
Governor, Lieutenant
Governor, Attorney General, Secretary of |
State, Comptroller, and Treasurer.
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"Gift" means any gratuity, discount, entertainment, |
hospitality, loan,
forbearance, or other tangible or |
intangible item having monetary value
including, but not
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limited to, cash, food and drink, and honoraria for speaking |
engagements
related to or attributable to government |
employment or the official position of
an
employee, member, or |
officer.
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"Governmental entity" means a unit of local government |
(including a community college district) or a school
district |
but not a State
agency.
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"Leave of absence" means any period during which a State |
employee does not
receive (i) compensation for State |
employment, (ii) service credit towards
State pension |
benefits, and (iii) health insurance benefits paid for by the
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State.
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"Legislative branch constitutional officer" means a member |
of the General
Assembly and the Auditor General.
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"Legislative leader" means the President and Minority |
Leader of the Senate
and the Speaker and Minority Leader of the |
House of Representatives.
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"Member" means a member of the General Assembly.
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"Officer" means an executive branch constitutional officer
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or a
legislative branch constitutional officer.
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"Political" means any activity in support
of or in |
connection with any campaign for elective office or any |
political
organization, but does not include activities (i) |
relating to the support or
opposition of any executive, |
legislative, or administrative action (as those
terms are |
defined in Section 2 of the Lobbyist Registration Act), (ii) |
relating
to collective bargaining, or (iii) that are
otherwise
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in furtherance of the person's official
State duties or |
governmental and public service functions.
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"Political organization" means a party, committee, |
association, fund, or
other organization (whether or not |
incorporated) that is required to file a
statement of |
organization with the State Board of Elections or a county |
clerk
under Section 9-3 of the Election Code, but only with |
regard to those
activities that require filing with the State |
Board of Elections or a county
clerk.
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"Prohibited political activity" means:
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(1) Preparing for, organizing, or participating in any
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political meeting, political rally, political |
demonstration, or other political
event.
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(2) Soliciting contributions, including but not |
limited to the purchase
of, selling, distributing, or |
receiving
payment for tickets for any political |
fundraiser,
political meeting, or other political event.
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(3) Soliciting, planning the solicitation of, or |
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preparing any document or
report regarding any thing of |
value intended as a campaign contribution.
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(4) Planning, conducting, or participating in a public |
opinion
poll in connection with a campaign for elective |
office or on behalf of a
political organization for |
political purposes or for or against any referendum
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question.
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(5) Surveying or gathering information from potential |
or actual
voters in an election to determine probable vote |
outcome in connection with a
campaign for elective office |
or on behalf of a political organization for
political |
purposes or for or against any referendum question.
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(6) Assisting at the polls on election day on behalf of |
any
political organization or candidate for elective |
office or for or against any
referendum
question.
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(7) Soliciting votes on behalf of a candidate for |
elective office or a
political organization or for or |
against any referendum question or helping in
an effort to |
get voters
to the polls.
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(8) Initiating for circulation, preparing, |
circulating, reviewing, or
filing any petition on
behalf of |
a candidate for elective office or for or against any |
referendum
question.
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(9) Making contributions on behalf
of any candidate for |
elective office in that capacity or in connection with a
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campaign for elective office.
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(10) Preparing or reviewing responses to candidate |
questionnaires in
connection with a campaign for elective |
office or on behalf of a political
organization for |
political purposes.
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(11) Distributing, preparing for distribution, or |
mailing campaign
literature, campaign signs, or other |
campaign material on behalf of any
candidate for elective |
office or for or against any referendum question.
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(12) Campaigning for any elective
office or for or |
against any referendum question.
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(13) Managing or working on a campaign for elective
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office or for or against any referendum question.
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(14) Serving as a delegate, alternate, or proxy to a |
political
party convention.
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(15) Participating in any recount or challenge to the |
outcome of
any election, except to the extent that under |
subsection (d) of
Section 6 of Article IV of the Illinois |
Constitution each house of the General
Assembly shall judge |
the elections, returns, and qualifications of its members.
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"Prohibited source" means any person or entity who:
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(1) is seeking official action (i) by the
member or |
officer or (ii) in the case of an employee, by
the employee
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or by the
member, officer, State agency, or other employee |
directing the
employee;
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(2) does business or seeks to do business (i) with the
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member or officer or (ii) in the case of an employee,
with |
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the
employee or with the member, officer, State agency, or |
other
employee directing the
employee;
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(3) conducts activities regulated (i) by the
member or |
officer or (ii) in the case of an employee, by
the employee |
or by the member, officer, State agency, or
other employee |
directing the employee;
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(4) has interests that may be substantially affected by |
the performance or
non-performance of the official duties |
of the member, officer, or
employee; or
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(5) is registered or required to be registered with the |
Secretary of State
under the Lobbyist Registration Act, |
except that an entity not otherwise a
prohibited source |
does not become a prohibited source merely because a
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registered lobbyist is one of its members or serves on its |
board of
directors ; or |
(6) is an agent of, a spouse of, or an immediate family |
member who is living with a "prohibited source" .
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"State agency" includes all officers, boards, commissions |
and agencies
created by the Constitution, whether in the |
executive or legislative
branch; all officers,
departments, |
boards, commissions, agencies, institutions, authorities,
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public institutions of higher learning as defined in Section 2 |
of the Higher
Education
Cooperation Act (except community |
colleges), and bodies politic and corporate of the State; and
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administrative
units or corporate outgrowths of the State |
government which are created by
or pursuant to statute, other |
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than units of local government (including community college |
districts) and their
officers, school districts, and boards of |
election commissioners; and all
administrative units and |
corporate outgrowths of the above and as may be
created by |
executive order of the Governor. "State agency" includes the |
General
Assembly, the Senate, the House of Representatives, the |
President and Minority
Leader of the Senate, the Speaker and |
Minority Leader of the House of
Representatives, the Senate |
Operations Commission, and the legislative support
services |
agencies. "State agency" includes the Office
of the Auditor |
General. "State agency" does not include the judicial branch.
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"State employee" means any employee of a State agency.
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"Ultimate jurisdictional
authority" means the following:
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(1) For members, legislative partisan staff, and |
legislative secretaries,
the appropriate
legislative |
leader: President of the
Senate, Minority Leader of the |
Senate, Speaker of the House of Representatives,
or |
Minority Leader of the House of Representatives.
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(2) For State employees who are professional staff or |
employees of the
Senate and not covered under item (1), the |
Senate Operations Commission.
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(3) For State employees who are professional staff or |
employees of the
House of Representatives and not covered |
under item (1), the Speaker of the
House of |
Representatives.
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(4) For State employees who are employees of the |
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legislative support
services agencies, the Joint Committee |
on Legislative Support Services.
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(5) For State employees of the Auditor General, the |
Auditor General.
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(6) For State employees of public institutions of |
higher learning as
defined in Section 2 of the Higher |
Education Cooperation Act (except community colleges), the |
board of
trustees of the appropriate public institution of |
higher learning.
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(7) For State employees of an executive branch |
constitutional officer
other than those described in |
paragraph (6), the
appropriate executive branch |
constitutional officer.
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(8) For State employees not under the jurisdiction of |
paragraph (1), (2),
(3), (4), (5), (6), or (7), the |
Governor.
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(Source: P.A. 95-880, eff. 8-19-08; 96-6, eff. 4-3-09.) |
(5 ILCS 430/5-10)
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Sec. 5-10. Ethics training. |
(a) Each officer, member, and employee
must complete, at |
least
annually beginning in 2004, an ethics training program |
conducted by the
appropriate
State agency. Each ultimate |
jurisdictional authority
must implement an ethics training |
program for its officers, members, and
employees.
These ethics |
training programs shall be overseen by the appropriate Ethics
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Commission and Inspector
General appointed pursuant to this Act |
in consultation with the Office of the
Attorney
General.
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(b) Each ultimate jurisdictional authority subject to the |
Executive Ethics Commission shall submit to the Executive |
Ethics Commission, at least annually, or more frequently as |
required by that Commission, an annual report that summarizes |
ethics training that was completed during the previous year, |
and lays out the plan for the ethics training programs in the |
coming year. |
(c) Each Inspector General
shall set standards and
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determine the hours and frequency of training necessary for |
each
position or category of positions. A person who fills a |
vacancy in an
elective or appointed position that requires |
training and a person
employed in a position that requires |
training must complete his or her
initial ethics training |
within 30 days 6 months after commencement of his or
her office |
or employment.
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(d) Upon completion of the ethics training program, each |
officer, member, and employee must certify in writing that the |
person has completed the training program. Each officer, |
member, and employee must provide to his or her ethics officer |
a signed copy of the certification by the deadline for |
completion of the ethics training program. |
(e) The ethics training provided under this Act by the |
Secretary of State may be expanded to satisfy the requirement |
of Section 4.5 of the Lobbyist Registration Act. |
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(Source: P.A. 93-615, eff. 11-19-03; 93-617, eff. 12-9-03.) |
(5 ILCS 430/5-30)
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Sec. 5-30. Prohibited offer or promise. |
(a)
An officer or employee of the executive or legislative |
branch or a
candidate for an executive or legislative branch |
office may not promise
anything of value related to State |
government, including but not limited to
positions in State |
government, promotions, or salary increases, other employment |
benefits, board or commission appointments, favorable |
treatment in any official or regulatory matter, the awarding of |
any public contract, or action or inaction on any legislative |
or regulatory matter, in
consideration for a contribution to a |
political committee, political party, or
other entity that has |
as one of its purposes the financial support of a
candidate for |
elective office.
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(b) Any State employee who is requested or directed by an |
officer, member, or employee of the executive or legislative |
branch or a candidate for an executive or legislative branch |
office to engage in activity prohibited by Section 5-30 shall |
report such request or directive to the appropriate ethics |
officer or Inspector General. |
(c) Nothing in this Section prevents the making or |
accepting of voluntary
contributions otherwise in accordance |
with law.
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(Source: P.A. 93-615, eff. 11-19-03.) |
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(5 ILCS 430/5-40)
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Sec. 5-40. Fundraising in Sangamon County. Except as |
provided in this
Section, any executive branch constitutional |
officer, any candidate for an
executive branch constitutional |
office, any member of the General Assembly,
any candidate for |
the General Assembly, any political caucus of the General
|
Assembly, or any political committee on behalf of any of the |
foregoing may not
hold a political fundraising function in |
Sangamon County on any day the legislature is
in session (i) |
during the period beginning February 1 and ending on the later
|
of the actual adjournment dates
of either house of the spring |
session and (ii) during fall veto session.
For purposes of this |
Section, the legislature is not considered to be in
session on |
a day that is solely a perfunctory session day or on a day when |
only
a committee is meeting.
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During the period beginning June 1 and ending on the first |
day of fall veto
session each year, this Section does not apply |
to (i) a member of the General
Assembly whose legislative or |
representative district is entirely within
Sangamon County or |
(ii) a candidate for the General Assembly from that
legislative |
or representative district.
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(Source: P.A. 93-615, eff. 11-19-03.) |
(5 ILCS 430/5-45)
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Sec. 5-45. Procurement; revolving door prohibition.
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(a) No former officer, member, or State employee, or spouse |
or
immediate family member living with such person, shall, |
within a period of one
year immediately after termination of |
State employment, knowingly accept
employment or receive |
compensation or fees for services from a person or entity
if |
the officer, member, or State employee, during the year |
immediately
preceding termination of State employment, |
participated personally and
substantially in the decision to |
award of State contracts , or the issuance of State contract |
change orders, with a cumulative value
of over $25,000
or more |
to the person or entity, or its parent or subsidiary.
|
(b) No former officer of the executive branch or State |
employee of the
executive branch with regulatory or
licensing |
authority, or spouse or immediate family member living with |
such
person, shall, within a period of one year immediately |
after termination of
State employment, knowingly accept |
employment or receive compensation or of fees
for services from |
a person or entity if the officer
or State
employee, during the |
year immediately preceding
termination of State employment, |
participated personally and substantially in making made a |
regulatory or licensing decision that
directly applied to the |
person or entity, or its parent or subsidiary.
|
(c) The requirements of this Section may be waived
(i) for |
the executive
branch, in writing by
the Executive Ethics |
Commission, (ii) for the
legislative branch, in writing by
the |
Legislative Ethics Commission, and (iii) for the
Auditor |
|
General, in writing by the Auditor General.
During the time |
period from the effective date of this amendatory Act of the
|
93rd General Assembly until the Executive Ethics Commission |
first meets, the
requirements of this Section may be waived in |
writing by the appropriate
ultimate jurisdictional authority. |
During the time period from the
effective date of this |
amendatory Act of the 93rd General Assembly until the
|
Legislative Ethics Commission first meets, the requirements of |
this Section may
be waived in writing by the appropriate |
ultimate jurisdictional authority.
The waiver shall be granted
|
upon a showing that the
prospective
employment or relationship |
did not affect the decisions referred to in sections
(a) and |
(b).
|
(c) Within 6 months after the effective date of this |
amendatory Act of the 96th General Assembly, each executive |
branch constitutional officer and legislative leader, the |
Auditor General, and the Joint Committee on Legislative Support |
Services shall adopt a policy delineating which State positions |
under his or her jurisdiction and control, by the nature of |
their duties, may have the authority to participate personally |
and substantially in the award of State contracts or in |
regulatory or licensing decisions. The Governor shall adopt |
such a policy for all State employees of the executive branch |
not under the jurisdiction and control of any other executive |
branch constitutional officer. (d) This Section applies only to |
persons who terminate an affected position
on or after the |
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effective date of this amendatory Act of the 93rd General
|
Assembly.
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The policies required under subsection (c) of this Section |
shall be filed with the appropriate ethics commission |
established under this Act or, for the Auditor General, with |
the Office of the Auditor General. |
(d) Each Inspector General shall have the authority to |
determine that additional State positions under his or her |
jurisdiction, not otherwise subject to the policies required by |
subsection (c) of this Section, are nonetheless subject to the |
notification requirement of subsection (f) below due to their |
involvement in the award of State contracts or in regulatory or |
licensing decisions. |
(e) The Joint Committee on Legislative Support Services, |
the Auditor General, and each of the executive branch |
constitutional officers and legislative leaders subject to |
subsection (c) of this Section shall provide written |
notification to all employees in positions subject to the |
policies required by subsection (c) or a determination made |
under subsection (d): (1) upon hiring, promotion, or transfer |
into the relevant position; and (2) at the time the employee's |
duties are changed in such a way as to qualify that employee. |
An employee receiving notification must certify in writing that |
the person was advised of the prohibition and the requirement |
to notify the appropriate Inspector General in subsection (f). |
(f) Any State employee in a position subject to the |
|
policies required by subsection (c) or to a determination under |
subsection (d), but who does not fall within the prohibition of |
subsection (h) below, who is offered non-State employment |
during State employment or within a period of one year |
immediately after termination of State employment shall, prior |
to accepting such non-State employment, notify the appropriate |
Inspector General. Within 10 calendar days after receiving |
notification from an employee in a position subject to the |
policies required by subsection (c), such Inspector General |
shall make a determination as to whether the State employee is |
restricted from accepting such employment by subsection (a) or |
(b). In making a determination, in addition to any other |
relevant information, an Inspector General shall assess the |
effect of the prospective employment or relationship upon |
decisions referred to in subsections (a) and (b), based on the |
totality of the participation by the former officer, member, or |
State employee in those decisions. A determination by an |
Inspector General must be in writing, signed and dated by the |
Inspector General, and delivered to the subject of the |
determination within 10 calendar days or the person is deemed |
eligible for the employment opportunity. For purposes of this |
subsection, "appropriate Inspector General" means (i) for |
members and employees of the legislative branch, the |
Legislative Inspector General; (ii) for the Auditor General and |
employees of the Office of the Auditor General, the Inspector |
General provided for in Section 30-5 of this Act; and (iii) for |
|
executive branch officers and employees, the Inspector General |
having jurisdiction over the officer or employee. Notice of any |
determination of an Inspector General and of any such appeal |
shall be given to the ultimate jurisdictional authority, the |
Attorney General, and the Executive Ethics Commission. |
(g) An Inspector General's determination regarding |
restrictions under subsection (a) or (b) may be appealed to the |
appropriate Ethics Commission by the person subject to the |
decision or the Attorney General no later than the 10th |
calendar day after the date of the determination. |
On appeal, the Ethics Commission or Auditor General shall |
seek, accept, and consider written public comments regarding a |
determination. In deciding whether to uphold an Inspector |
General's determination, the appropriate Ethics Commission or |
Auditor General shall assess, in addition to any other relevant |
information, the effect of the prospective employment or |
relationship upon the decisions referred to in subsections (a) |
and (b), based on the totality of the participation by the |
former officer, member, or State employee in those decisions. |
The Ethics Commission shall decide whether to uphold an |
Inspector General's determination within 10 calendar days or |
the person is deemed eligible for the employment opportunity. |
(h) The following officers, members, or State employees |
shall not, within a period of one year immediately after |
termination of office or State employment, knowingly accept |
employment or receive compensation or fees for services from a |
|
person or entity if the person or entity or its parent or |
subsidiary, during the year immediately preceding termination |
of State employment, was a party to a State contract or |
contracts with a cumulative value of $25,000 or more involving |
the officer, member, or State employee's State agency, or was |
the subject of a regulatory or licensing decision involving the |
officer, member, or State employee's State agency, regardless |
of whether he or she participated personally and substantially |
in the award of the State contract or contracts or the making |
of the regulatory or licensing decision in question: |
(1) members or officers; |
(2) members of a commission or board created by the |
Illinois Constitution; |
(3) persons whose appointment to office is subject to |
the advice and consent of the Senate; |
(4) the head of a department, commission, board, |
division, bureau, authority, or other administrative unit |
within the government of this State; |
(5) chief procurement officers, State purchasing |
officers, and their designees whose duties are directly |
related to State procurement; and |
(6) chiefs of staff, deputy chiefs of staff, associate |
chiefs of staff, assistant chiefs of staff, and deputy |
governors. |
(Source: P.A. 93-615, eff. 11-19-03; 93-617, eff. 12-9-03.) |
|
(5 ILCS 430/15-5)
|
Sec. 15-5. Definitions. In this Article:
|
"Public body" means (1) any officer, member, or State |
agency; (2) the federal
government; (3) any local law |
enforcement agency or prosecutorial office; (4)
any
federal or |
State judiciary, grand or petit jury, law enforcement agency, |
or
prosecutorial office; and (5) any officer, employee, |
department, agency, or
other division of any of the foregoing.
|
"Supervisor" means an officer, a member, or a State |
employee who has
the authority to direct and control the work |
performance of a State
employee or who has authority to take |
corrective action regarding any violation
of a law, rule, or |
regulation of which the State employee complains.
|
"Retaliatory action" means the reprimand, discharge, |
suspension, demotion, or
denial of promotion or transfer , or |
change of
any State employee in the terms or and conditions
of
|
employment of any State employee ,
and that is taken in
|
retaliation for a State employee's involvement in protected |
activity, as
set forth in Section 15-10.
|
(Source: P.A. 93-615, eff. 11-19-03.)
|
(5 ILCS 430/15-25)
|
Sec. 15-25. Remedies. The State employee may be awarded |
all remedies
necessary to make
the State employee whole and to |
prevent future violations of this Article.
The circuit courts |
of this State shall have jurisdiction to hear cases brought |
|
under this Article. Remedies imposed by the court may include, |
but are not limited to, all of the
following:
|
(1) reinstatement of the employee to either the same |
position held before
the retaliatory action or to an |
equivalent position;
|
(2) 2 times the amount of back pay;
|
(3) interest on the back pay;
|
(4) the reinstatement of full fringe benefits and |
seniority rights;
and
|
(5) the payment of reasonable costs and attorneys' |
fees.
|
(Source: P.A. 93-615, eff. 11-19-03; 93-617, eff. 12-9-03.) |
(5 ILCS 430/20-5)
|
Sec. 20-5. Executive Ethics Commission.
|
(a) The Executive Ethics Commission is created.
|
(b) The Executive Ethics Commission shall consist of 9
|
commissioners.
The Governor shall appoint 5 commissioners, and |
the Attorney General, Secretary
of State, Comptroller, and |
Treasurer shall each appoint one commissioner.
Appointments |
shall be made by and with the advice and consent of the
Senate |
by three-fifths of the elected members concurring by record |
vote.
Any nomination not acted upon by the Senate within 60 |
session days of the
receipt thereof shall be deemed to have |
received the advice and consent of
the Senate. If, during a |
recess of the Senate, there is a vacancy in an office
of |
|
commissioner, the appointing authority shall make a temporary
|
appointment until the next meeting of the Senate when the |
appointing
authority shall make a nomination to fill that |
office. No person rejected for
an office of commissioner shall, |
except by the Senate's request, be
nominated again for that |
office at the same session of the Senate or be
appointed to |
that office during a recess of that Senate.
No more than 5
|
commissioners may be of the same
political party.
|
The terms of the initial commissioners shall commence upon |
qualification.
Four initial appointees of the Governor, as |
designated by the Governor, shall
serve terms running through |
June 30, 2007. One initial appointee of the
Governor, as |
designated by the Governor, and the initial appointees of the
|
Attorney General, Secretary of State, Comptroller, and |
Treasurer shall serve
terms running through June 30, 2008.
The |
initial appointments shall be made within 60 days
after the |
effective date of this Act.
|
After the initial terms, commissioners shall serve for |
4-year terms
commencing on July 1 of the year of appointment |
and running
through June 30 of the fourth following year. |
Commissioners may be
reappointed to one or more subsequent |
terms.
|
Vacancies occurring other than at the end of a term shall |
be filled
by the appointing authority only for the balance of |
the
term of the commissioner whose office is vacant.
|
Terms shall run regardless of whether the position is |
|
filled.
|
(c) The appointing authorities shall appoint commissioners |
who
have experience holding governmental office or employment |
and shall
appoint commissioners from the general public.
A |
person is not eligible to
serve as a commissioner if that |
person (i) has been convicted of a
felony or a crime of |
dishonesty or moral turpitude, (ii) is, or was
within the |
preceding 12 months, engaged in activities that
require |
registration under the Lobbyist Registration Act, (iii) is |
related
to the appointing authority, or (iv) is a State officer |
or employee.
|
(d) The Executive Ethics Commission shall have
|
jurisdiction over all officers and employees of State agencies |
other
than the General Assembly, the Senate, the House of |
Representatives,
the President and Minority Leader of the |
Senate, the Speaker and
Minority Leader of the House of |
Representatives, the Senate
Operations Commission, the |
legislative support services agencies, and
the Office of the |
Auditor General.
The jurisdiction of the
Commission is limited |
to matters arising under this Act.
|
A member or legislative branch State employee serving on an |
executive branch board or commission remains subject to the |
jurisdiction of the Legislative Ethics Commission and is not |
subject to the jurisdiction of the Executive Ethics Commission. |
(d-5) The Executive Ethics Commission shall have |
jurisdiction over all chief procurement officers and |
|
procurement compliance monitors and their respective staffs. |
The Executive Ethics Commission shall have jurisdiction over |
any matters arising under the Illinois Procurement Code if the |
Commission is given explicit authority in that Code. |
(e) The Executive Ethics Commission must meet, either
in |
person or by other technological means, at least monthly and as
|
often as necessary. At the first meeting of the Executive
|
Ethics Commission, the commissioners shall choose from their
|
number a chairperson and other officers that they deem |
appropriate.
The terms of officers shall be for 2 years |
commencing July 1 and
running through June 30 of the second |
following year. Meetings shall be held at
the call
of the |
chairperson or any 3 commissioners. Official action by the
|
Commission shall require the affirmative vote of 5 |
commissioners, and
a quorum shall consist of 5 commissioners. |
Commissioners shall receive
compensation in an amount equal to |
the compensation of members of the State
Board of Elections and |
may be
reimbursed for their reasonable expenses actually |
incurred in the
performance of their duties.
|
(f) No commissioner or employee of the Executive
Ethics |
Commission may during his or her term of appointment or |
employment:
|
(1) become a candidate for any elective office;
|
(2) hold any other elected or appointed public office |
except for
appointments on governmental advisory boards or |
study commissions or as
otherwise expressly authorized by |
|
law;
|
(3) be actively involved in the affairs of any |
political party or
political
organization; or
|
(4) advocate for the appointment of another person to |
an appointed or elected office or position or actively |
participate in any campaign for any elective office.
|
(g) An appointing authority may remove a commissioner only |
for cause.
|
(h) The Executive Ethics Commission shall appoint an |
Executive Director. The
compensation of the Executive Director |
shall be as determined by the Commission
or by the Compensation |
Review Board, whichever amount is higher . The Executive
|
Director of the Executive Ethics Commission may employ and |
determine the
compensation of staff, as appropriations permit.
|
(i) The Executive Ethics Commission shall appoint, by a |
majority of the members appointed to the Commission, chief |
procurement officers and procurement compliance monitors in |
accordance with the provisions of the Illinois Procurement |
Code. The compensation of a chief procurement officer and |
procurement compliance monitor shall be determined by the |
Commission. |
(Source: P.A. 93-617, eff. 12-9-03.)
|
(5 ILCS 430/20-10)
|
Sec. 20-10. Offices of Executive Inspectors General.
|
(a) Five independent Offices of the Executive Inspector |
|
General are
created,
one each for the Governor, the Attorney |
General, the Secretary of State, the
Comptroller, and the |
Treasurer. Each Office shall be under the direction and
|
supervision
of an Executive Inspector General and shall be a |
fully independent office with
separate
appropriations.
|
(b) The Governor, Attorney General, Secretary of State, |
Comptroller, and
Treasurer shall each appoint an Executive |
Inspector General, without regard to
political affiliation and |
solely on the basis of integrity and
demonstrated ability.
|
Appointments shall be made by and with the advice and consent |
of the
Senate by three-fifths of the elected members concurring |
by record vote.
Any nomination not acted upon by the Senate |
within 60 session days of the
receipt thereof shall be deemed |
to have received the advice and consent of
the Senate. If, |
during a recess of the Senate, there is a vacancy in an office
|
of Executive Inspector General, the appointing authority shall |
make a
temporary appointment until the next meeting of the |
Senate when the
appointing authority shall make a nomination to |
fill that office. No person
rejected for an office of Executive |
Inspector General shall, except by the
Senate's request, be |
nominated again for that office at the same session of
the |
Senate or be appointed to that office during a recess of that |
Senate.
|
Nothing in this Article precludes the appointment by the |
Governor, Attorney
General,
Secretary of State, Comptroller, |
or Treasurer of any other inspector general
required or
|
|
permitted by law. The Governor, Attorney General, Secretary of |
State,
Comptroller, and
Treasurer
each may appoint an existing |
inspector general as the Executive Inspector
General
required |
by this
Article, provided that such an inspector general is not |
prohibited by law,
rule,
jurisdiction, qualification, or |
interest from serving as the Executive
Inspector General
|
required by
this Article.
An appointing authority may not |
appoint a relative as an Executive Inspector
General.
|
Each Executive Inspector General shall have the following |
qualifications:
|
(1) has not been convicted of any felony under the laws |
of this State,
another State, or the United States;
|
(2) has earned a baccalaureate degree from an |
institution of higher
education; and
|
(3) has 5 or more years of cumulative service (A) with |
a federal,
State, or
local law enforcement agency, at least |
2 years of which have been in a
progressive investigatory |
capacity; (B)
as a
federal, State, or local prosecutor; (C)
|
as a
senior manager or executive of a federal, State, or |
local
agency; (D) as a member, an officer,
or a State
or |
federal judge; or (E) representing any combination of (A) |
through (D).
|
The term of each initial Executive Inspector General shall
|
commence upon qualification and shall run through June 30, |
2008. The
initial appointments shall be made within 60 days |
after the effective
date of this Act.
|
|
After the initial term, each Executive Inspector General |
shall serve
for 5-year terms commencing on July 1 of the year |
of appointment
and running through June 30 of the fifth |
following year. An
Executive Inspector General may be |
reappointed to one or more
subsequent terms.
|
A vacancy occurring other than at the end of a term shall |
be filled
by the appointing authority only for the balance of |
the term of the Executive
Inspector General whose office is |
vacant.
|
Terms shall run regardless of whether the position is |
filled.
|
(c) The Executive Inspector General appointed by the |
Attorney General shall
have jurisdiction over the Attorney |
General and all officers and employees of,
and vendors and |
others doing business with,
State agencies within the |
jurisdiction of the Attorney General. The Executive
Inspector |
General appointed by the Secretary of State shall have |
jurisdiction
over the Secretary of State and all officers and |
employees of, and vendors and
others doing business with, State |
agencies within the
jurisdiction of the Secretary of State. The |
Executive Inspector General
appointed by the Comptroller shall |
have jurisdiction over the Comptroller and
all officers and |
employees of, and vendors and others doing business with,
State |
agencies within the jurisdiction of the Comptroller. The
|
Executive Inspector General appointed by the Treasurer shall |
have jurisdiction
over the Treasurer and all officers and |
|
employees of, and vendors and others
doing business with, State |
agencies within the jurisdiction
of the Treasurer. The |
Executive Inspector General appointed by the Governor
shall |
have jurisdiction over the Governor, the Lieutenant Governor, |
and all
officers and employees of, and vendors and others doing |
business with,
executive branch State agencies under the |
jurisdiction of the
Executive Ethics Commission and not within |
the jurisdiction of the
Attorney
General, the Secretary of |
State, the Comptroller, or the Treasurer.
|
The jurisdiction of each Executive Inspector General is to |
investigate
allegations of fraud, waste, abuse, mismanagement, |
misconduct, nonfeasance,
misfeasance,
malfeasance, or |
violations of this Act or violations of other related
laws and |
rules.
|
(d) The minimum compensation for each Executive Inspector |
General shall be
determined by the Executive Ethics Commission |
and shall be made from appropriations made to the Comptroller |
for this purpose . The actual compensation for each
Executive |
Inspector General shall be determined by the appointing |
executive
branch
constitutional officer and must be at or above |
the minimum compensation level
set by
the Executive Ethics |
Commission. Subject to Section 20-45 of this Act, each
|
Executive Inspector General has full
authority
to organize his |
or her Office of the Executive Inspector General, including the
|
employment and determination of the compensation of staff, such |
as deputies,
assistants, and other employees, as |
|
appropriations permit. A separate
appropriation
shall be made |
for each Office of Executive Inspector General.
|
(e) No Executive Inspector General or employee of the |
Office of
the Executive Inspector General may, during his or |
her term of appointment or
employment:
|
(1) become a candidate for any elective office;
|
(2) hold any other elected or appointed public office
|
except for appointments on governmental advisory boards
or |
study commissions or as otherwise expressly authorized by |
law;
|
(3) be actively involved in the affairs of any |
political party or
political organization; or
|
(4) advocate for the appointment of another person to |
an appointed or elected office or position or actively |
participate in any campaign for any
elective office.
|
In this subsection an appointed public office means a |
position authorized by
law that is filled by an appointing |
authority as provided by law and does not
include employment by |
hiring in the ordinary course of business.
|
(e-1) No Executive Inspector General or employee of the |
Office of the
Executive Inspector General may, for one year |
after the termination of his or
her appointment or employment:
|
(1) become a candidate for any elective office;
|
(2) hold any elected public office; or
|
(3) hold any appointed State, county, or local judicial |
office.
|
|
(e-2) The requirements of item (3) of subsection (e-1) may |
be waived by the
Executive Ethics Commission.
|
(f) An Executive Inspector General may be removed only for |
cause and may
be removed only by the appointing constitutional |
officer. At the time of the
removal,
the appointing |
constitutional officer must report to the Executive Ethics
|
Commission the
justification for the
removal.
|
(Source: P.A. 93-617, eff. 12-9-03.)
|
(5 ILCS 430/20-20)
|
Sec. 20-20. Duties of the Executive Inspectors
General. In |
addition to duties otherwise assigned by law,
each Executive |
Inspector General shall have the following duties:
|
(1) To receive and investigate allegations of |
violations of this
Act. The
Executive Inspector General may |
receive information through the
Office of any Executive |
Inspector General or
through an ethics commission.
An |
investigation may be conducted only in response
to |
information reported to the Executive Inspector General
as |
provided in this Section and not upon his or her own |
prerogative.
Allegations may not be made anonymously. An |
investigation may not be initiated
more than one year after |
the most recent act of the alleged violation or of a
series |
of alleged violations except where there is reasonable |
cause to believe
that fraudulent concealment has occurred. |
To constitute fraudulent concealment
sufficient to toll |
|
this limitations period, there must be an affirmative act |
or
representation calculated to prevent discovery of the |
fact that a violation has
occurred. The
Executive Inspector |
General shall have the discretion to determine the
|
appropriate means of investigation as permitted by law.
|
(2) To request information relating to an |
investigation from any
person when the Executive Inspector |
General deems that information necessary in
conducting an |
investigation.
|
(3) To issue subpoenas
to compel the attendance of |
witnesses for the
purposes of testimony and production of |
documents and other items for
inspection and copying and to |
make service of those subpoenas and subpoenas
issued under |
item (7) of Section 20-15.
|
(4) To submit reports as required by this Act.
|
(5) To file
pleadings in the name of
the Executive |
Inspector General with the Executive Ethics
Commission, |
through the Attorney General, as provided in this Article |
if the
Attorney General finds that reasonable cause exists |
to believe that a violation
has
occurred.
|
(6) To assist and coordinate the ethics officers
for |
State agencies under the jurisdiction of the
Executive |
Inspector General and to work with those ethics officers.
|
(7) To participate in or conduct, when appropriate, |
multi-jurisdictional
investigations.
|
(8) To request, as the Executive Inspector General |
|
deems appropriate, from
ethics officers
of State agencies |
under his or her jurisdiction, reports or information
on |
(i) the content of a State agency's ethics
training program |
and (ii) the percentage of new officers and
employees who |
have completed ethics training.
|
(9) To review hiring and employment files of each State |
agency within the Executive Inspector General's |
jurisdiction to ensure compliance with Rutan v. Republican |
Party of Illinois, 497 U.S. 62 (1990), and with all |
applicable employment laws. |
(10) To establish a policy that ensures the appropriate |
handling and correct recording of all investigations |
conducted by the Office, and to ensure that the policy is |
accessible via the Internet in order that those seeking to |
report those allegations are familiar with the process and |
that the subjects of those allegations are treated fairly. |
(Source: P.A. 93-617, eff. 12-9-03.) |
(5 ILCS 430/20-20a new)
|
Sec. 20-20a. Attorney General investigatory authority. In |
addition to investigatory authority otherwise granted by law, |
the Attorney General shall have the authority to investigate |
violations of this Act pursuant to Section 20-50 or Section |
20-51 of this Act after receipt of notice from the Executive |
Ethics Commission or pursuant to Section 5-45. The Attorney |
General shall have the discretion to determine the appropriate |
|
means of investigation as permitted by law, including (i) the |
request of information relating to an investigation from any |
person when the Attorney General deems that information |
necessary in conducting an investigation; and (ii) the issuance |
of subpoenas to compel the attendance of witnesses for the |
purposes of sworn testimony and production of documents and |
other items for inspection and copying and the service of those |
subpoenas. |
Nothing in this Section shall be construed as granting the |
Attorney General the authority to investigate alleged |
misconduct pursuant to notice received under Section 20-50 or |
Section 20-51 of this Act, if the information contained in the |
notice indicates that the alleged misconduct was minor in |
nature. As used in this Section, misconduct that is "minor in |
nature" means misconduct that was a violation of office, |
agency, or department policy and not of this Act or any other |
civil or criminal law. |
(5 ILCS 430/20-21)
|
Sec. 20-21. Special Executive Inspectors General.
|
(a) The Executive Ethics Commission, on its own initiative |
and by majority
vote,
may appoint special Executive Inspectors |
General (i) to investigate alleged
violations of this Act if
an |
investigation by the Inspector General was not concluded within |
6 months
after its
initiation, where the Commission finds that |
the Inspector General's reasons
under Section 20-65 for failing |
|
to complete the investigation are insufficient ,
and (ii) to |
accept referrals from the Commission of allegations made |
pursuant
to this Act concerning an Executive Inspector General |
or employee of an Office
of an Executive Inspector General and |
to investigate those allegations , (iii) to investigate matters |
within the jurisdiction of an Executive Inspector General if an |
Executive Inspector General (including his or her employees) |
could be reasonably deemed to be a wrongdoer or suspect, or if |
in the determination of the Commission, an investigation |
presents real or apparent conflicts of interest for the Office |
of the Executive Inspector General, and (iv) to investigate |
alleged violations of this Act pursuant to Section 20-50 and |
Section 20-51 .
|
(b) A special Executive Inspector General must have the |
same qualifications
as an Executive Inspector General |
appointed under Section 20-10.
|
(c) The Commission's appointment of a special Executive |
Inspector General
must be in writing and must specify the |
duration and purpose of the
appointment.
|
(d) A special Executive Inspector General shall have the |
same powers and
duties
with respect to the purpose of his or |
her appointment as an Executive
Inspector General appointed |
under Section 20-10.
|
(e) A special Executive
Inspector
General shall report the |
findings of his or her investigation to the
Commission.
|
(f) The Commission may report the findings of a special |
|
Executive Inspector
General and its recommendations, if any, to |
the appointing authority of the
appropriate Executive |
Inspector General.
|
(Source: P.A. 93-617, eff. 12-9-03.)
|
(5 ILCS 430/20-45)
|
Sec. 20-45. Standing; representation.
|
(a) With the exception of a person appealing an Inspector |
General's determination under Section 5-45 of this Act or under |
applicable provisions of the Illinois Procurement Code, only |
Only an Executive Inspector General or the Attorney General may |
bring actions before the
Executive Ethics Commission.
The |
Attorney General may bring actions before the Executive Ethics |
Commission upon receipt of notice pursuant to Section 5-50 or |
Section 5-51 or pursuant to Section 5-45.
|
(b) With the exception of Section 5-45, the The Attorney |
General shall represent an Executive Inspector General in
all |
proceedings before the
Commission.
Whenever the Attorney |
General is sick or
absent, or unable to attend, or is |
interested in any matter or
proceeding under this Act, upon the |
filing of a petition under seal by any
person with standing,
|
the Supreme Court (or any other court of competent jurisdiction |
as designated
and determined by rule of the Supreme Court) may |
appoint
some competent attorney to prosecute or defend that |
matter or proceeding, and
the attorney so appointed shall have |
the same
power and authority in relation to
that matter or |
|
proceeding as the
Attorney General would have had if present |
and
attending to the same.
|
(c) Attorneys representing an Inspector General in
|
proceedings before the Executive Ethics Commission, except an |
attorney
appointed under subsection (b),
shall be appointed or |
retained by the Attorney General, shall
be under the |
supervision, direction, and control of the Attorney General, |
and
shall serve at the pleasure of the Attorney General. The |
compensation of any
attorneys appointed or retained in |
accordance
with this subsection or subsection (b) shall be paid |
by the appropriate Office
of the Executive
Inspector General.
|
(Source: P.A. 93-617, eff. 12-9-03.)
|
(5 ILCS 430/20-50)
|
Sec. 20-50. Investigation reports ; complaint procedure .
|
(a) If an Executive Inspector General, upon the conclusion |
of an
investigation, determines that reasonable cause exists to |
believe that a
violation
has occurred, then
the Executive |
Inspector General shall issue a summary report of the
|
investigation. The report shall be delivered to the
appropriate |
ultimate jurisdictional
authority and to the head of each State
|
agency
affected by or involved in the investigation, if |
appropriate. The appropriate ultimate jurisdictional authority |
or agency head shall respond to the summary report within 20 |
days, in writing, to the Executive Inspector General. The |
response shall include a description of any corrective or |
|
disciplinary action to be imposed.
|
(b) The summary report of the investigation shall include |
the following:
|
(1) A description of any allegations or other |
information
received by the Executive Inspector General |
pertinent to the
investigation.
|
(2) A description of any alleged misconduct discovered |
in the
course of the investigation.
|
(3) Recommendations for any corrective or disciplinary
|
action to be taken in response to any alleged misconduct |
described in the
report, including but not limited to |
discharge.
|
(4) Other information the Executive Inspector General
|
deems relevant to the investigation or resulting |
recommendations.
|
(c) Within 30 days after receiving a response from the |
appropriate ultimate jurisdictional authority or agency head |
Not less than 30 days after delivery of the summary report of
|
an
investigation under subsection (a),
the Executive Inspector |
General shall notify the Commission and the Attorney General if |
the Executive Inspector General believes that a complaint |
should be filed with the Commission. If if the Executive |
Inspector General desires to file a petition for leave to file
|
a
complaint with the Commission , the Executive Inspector |
General shall submit the summary report and supporting |
documents to notify the Commission and the
Attorney General. If |
|
the Attorney General concludes that there is insufficient |
evidence that a violation has occurred, the Attorney General |
shall notify the Executive Inspector General and the Executive |
Inspector General shall deliver to the Executive Ethics |
Commission a copy of the summary report and response from the |
ultimate jurisdictional authority or agency head.
If the |
Attorney General determines
that reasonable cause exists to |
believe that a violation has occurred, then the
Executive |
Inspector
General, represented by the Attorney
General, may |
file with the Executive Ethics Commission a petition for
leave |
to file a complaint.
The complaint petition shall set
forth the |
alleged violation and the
grounds that exist to support the |
complaint petition . The petition for leave to
file a complaint |
must be filed with the Commission within 18 months
after the |
most recent act of the
alleged violation or of a series of |
alleged violations
except where there is reasonable cause to |
believe
that fraudulent concealment has occurred. To |
constitute fraudulent concealment
sufficient to toll this |
limitations period, there must be an affirmative act or
|
representation calculated to prevent discovery of the fact that |
a violation has
occurred.
If a petition for leave to file a |
complaint is not filed with the Commission
within 6 months |
after notice by the Inspector General to the Commission and the
|
Attorney General, then the Commission may set a meeting of the |
Commission at
which the Attorney General shall appear and |
provide a status
report to the Commission.
|
|
(c-5) Within 30 days after receiving a response from the |
appropriate ultimate jurisdictional authority or agency head |
under subsection (a), if the Executive Inspector General does |
not believe that a complaint should be filed, the Executive |
Inspector General shall deliver to the Executive Ethics |
Commission a statement setting forth the basis for the decision |
not to file a complaint and a copy of the summary report and |
response from the ultimate jurisdictional authority or agency |
head. An Inspector General may also submit a redacted version |
of the summary report and response from the ultimate |
jurisdictional authority if the Inspector General believes |
either contains information that, in the opinion of the |
Inspector General, should be redacted prior to releasing the |
report, may interfere with an ongoing investigation, or |
identifies an informant or complainant. |
(c-10) If, after reviewing the documents, the Commission |
believes that further investigation is warranted, the |
Commission may request that the Executive Inspector General |
provide additional information or conduct further |
investigation. The Commission may also appoint a Special |
Executive Inspector General to investigate or refer the summary |
report and response from the ultimate jurisdictional authority |
to the Attorney General for further investigation or review. If |
the Commission requests the Attorney General to investigate or |
review, the Commission must notify the Attorney General and the |
Inspector General. The Attorney General may not begin an |
|
investigation or review until receipt of notice from the |
Commission.
If, after review, the Attorney General determines |
that reasonable cause exists to believe that a violation has |
occurred, then the Attorney General may file a complaint with |
the Executive Ethics Commission. If the Attorney General |
concludes that there is insufficient evidence that a violation |
has occurred, the Attorney General shall notify the Executive |
Ethics Commission and the appropriate Executive Inspector |
General. |
(d) A copy of the complaint filed with the Executive Ethics |
Commission petition must be served on all respondents named in |
the
complaint and on each respondent's ultimate jurisdictional |
authority in
the same manner as process is served under the |
Code of Civil
Procedure.
|
(e) A respondent may file objections to the petition for |
leave to
file a complaint within 30 days after notice of the |
petition has been
served on the respondent.
|
(f) The Commission shall meet, either in person or by |
telephone, at least 30 days after the complaint is served on |
all respondents
in a closed session to review the sufficiency |
of the complaint.
If the Commission finds that complaint is |
sufficient, the Commission shall
grant the petition for leave |
to file the
complaint.
The Commission shall
issue notice by |
certified mail, return receipt requested, to the Executive |
Inspector General , Attorney General, and all respondents of
the |
Commission's ruling on the sufficiency of the complaint. If the |
|
complaint
is deemed to
sufficiently allege a violation of this |
Act, then the Commission shall notify
the parties and shall
|
include a hearing date scheduled within 4 weeks after the date |
of the notice,
unless all of the parties consent to a later |
date.
If the complaint is deemed not to sufficiently allege a
|
violation, then
the Commission shall send by certified mail, |
return receipt requested,
a notice to the Executive Inspector |
General, Attorney General, and all respondents the parties of |
the decision to dismiss the complaint.
|
(g) On the scheduled date
the Commission shall conduct a |
closed meeting,
either in person or, if the parties consent, by |
telephone, on the complaint and
allow all
parties the |
opportunity to present testimony and evidence.
All such |
proceedings shall be transcribed.
|
(h) Within an appropriate time limit set by rules of the |
Executive
Ethics Commission, the Commission shall (i) dismiss |
the
complaint , or (ii) issue a recommendation of discipline to |
the
respondent and the respondent's ultimate jurisdictional |
authority , (iii) or
impose an administrative fine upon the |
respondent, (iv) issue injunctive relief as described in |
Section 50-10, or (v) impose a combination of (ii) through (iv) |
or both .
|
(i) The proceedings on any complaint filed with the |
Commission
shall be conducted pursuant to rules promulgated by |
the Commission.
|
(j) The Commission may designate hearing officers
to |
|
conduct proceedings as determined by rule of the Commission.
|
(k) In all proceedings before the Commission, the standard |
of
proof is by a preponderance of the evidence.
|
(l) Within 30 days after the issuance of a final |
administrative decision that concludes that a violation |
occurred, the Executive Ethics Commission shall make public the |
entire record of proceedings before the Commission, the |
decision, any recommendation, any discipline imposed, and the |
response from the agency head or ultimate jurisdictional |
authority to the Executive Ethics Commission. When the |
Inspector General concludes that there is insufficient
|
evidence that a violation has occurred, the Inspector General |
shall close the
investigation. At the request of the subject of |
the investigation, the
Inspector
General shall provide a |
written statement to the subject of the investigation
and to |
the Commission of
the Inspector General's decision to close the |
investigation. Closure by the
Inspector General does not bar |
the Inspector General from resuming the
investigation if |
circumstances warrant.
|
(Source: P.A. 93-617, eff. 12-9-03.) |
(5 ILCS 430/20-51 new) |
Sec. 20-51. Closed investigations. When the Inspector |
General concludes that there is insufficient evidence that a |
violation has occurred, the Inspector General shall close the |
investigation. The Inspector General shall provide the |
|
Commission with a written statement of the Inspector General's |
decision to close the investigation. At the request of the |
subject of the investigation, the Inspector General shall |
provide a written statement to the subject of the investigation |
of the Inspector General's decision to close the investigation. |
Closure by the Inspector General does not bar the Inspector |
General from resuming the investigation if circumstances |
warrant. The Commission also has the discretion to request that |
the Executive Inspector General conduct further investigation |
of any matter closed pursuant to this Section, to appoint a |
Special Executive Inspector General to investigate,
or to refer |
the allegations to the Attorney General for further |
investigation or review. If the Commission requests the |
Attorney General to investigate or review, the Commission must |
notify the Attorney General and the Inspector General. The |
Attorney General may not begin an investigation or review until |
receipt of notice from the Commission. |
(5 ILCS 430/20-52 new) |
Sec. 20-52. Release of summary reports. |
(a) Within 60 days after receipt of a summary report and |
response from the ultimate jurisdictional authority or agency |
head that resulted in a suspension of at least 3 days or |
termination of employment, the Executive Ethics Commission |
shall make available to the public the report and response or a |
redacted version of the report and response. The Executive |
|
Ethics Commission may make available to the public any other |
summary report and response of the ultimate jurisdictional |
authority or agency head or a redacted version of the report |
and response. |
(b) The Commission shall redact information in the summary |
report that may reveal the identity of witnesses, complainants, |
or informants or if the Commission determines it is appropriate |
to protect the identity of a person before the report is made |
public. The Commission may also redact any information it |
believes should not be made public. Prior to publication, the |
Commission shall permit the respondents, Inspector General, |
and Attorney General to review documents to be made public and |
offer suggestions for redaction or provide a response that |
shall be made public with the summary report. |
(c) The Commission may withhold publication of the report |
or response if the Executive Inspector General or Attorney |
General certifies that releasing the report to the public will |
interfere with an ongoing investigation. |
(5 ILCS 430/20-55)
|
Sec. 20-55. Decisions; recommendations.
|
(a) All decisions of the Executive Ethics Commission
must |
include a description of the alleged misconduct, the decision |
of
the Commission, including any fines levied and any |
recommendation
of discipline, and the reasoning for that |
decision. All decisions of the
Commission shall be delivered to |
|
the head of the appropriate State
agency, the appropriate |
ultimate jurisdictional authority, and the
appropriate |
Executive Inspector General. The Executive Ethics
Commission |
shall promulgate rules for the decision and
recommendation |
process.
|
(b) If the Executive Ethics Commission issues a
|
recommendation of discipline to an agency head or ultimate
|
jurisdictional authority, that agency head or ultimate |
jurisdictional
authority must respond to that recommendation |
in 30 days with a
written response to the Executive Ethics |
Commission. This
response must include any disciplinary action |
the agency head or
ultimate jurisdictional authority has taken |
with respect to the officer or
employee in question. If the |
agency head or ultimate jurisdictional
authority did not take |
any disciplinary action, or took a different
disciplinary |
action than that recommended by the Executive
Ethics |
Commission, the agency head or ultimate jurisdictional
|
authority must describe the different action and explain the |
reasons for the
different action in the
written response. This |
response must be served upon the Executive
Ethics Commission |
and
the appropriate Executive Inspector General within the |
30-day period and is not
exempt from the provisions of the |
Freedom of Information Act.
|
(c) Disciplinary action under this Act against a person |
subject to the Personnel Code, the Secretary of State Merit |
Employment Code, the Comptroller Merit Employment Code, or the |
|
State Treasurer Employment Code is within the jurisdiction of |
the Executive Ethics Commission and is not within the |
jurisdiction of those Acts. |
(d) Any hearing to contest disciplinary action for a |
violation of this Act against a person subject to the Personnel |
Code, the Secretary of State Merit Employment Code, the |
Comptroller Merit Employment Code, or the State Treasurer |
Employment Code pursuant to an agreement between an Executive |
Inspector General and an ultimate jurisdictional authority |
shall be conducted by the Executive Ethics Commission and not |
under any of those Acts. |
(Source: P.A. 93-617, eff. 12-9-03.) |
(5 ILCS 430/20-60)
|
Sec. 20-60. Appeals. A decision of the Executive
Ethics |
Commission to impose a fine or injunctive relief is subject to |
judicial review
under the Administrative Review Law. All other |
decisions by the
Executive Ethics Commission are final and not |
subject to
review either administratively or judicially.
|
(Source: P.A. 93-617, eff. 12-9-03.)
|
(5 ILCS 430/20-65)
|
Sec. 20-65. Reporting of investigations Investigations not |
concluded within 6 months . |
(a) Each Executive Inspector General shall file a quarterly |
activity report with the Executive Ethics Commission that |
|
reflects investigative activity during the previous quarter. |
The Executive Ethics Commission shall establish the reporting |
dates. The activity report shall include at least the |
following: |
(1) The number of investigations opened during the |
preceding quarter, the affected offices or agencies, and |
the unique tracking numbers for new investigations. |
(2) The number of investigations closed during the |
preceding quarter, the affected offices or agencies, and |
the unique tracking numbers for closed investigations. |
(3) The status of each on-going investigation that |
remained open at the end of the quarter, the affected |
office, agency or agencies, the investigation's unique |
tracking number, and a brief statement of the general |
nature of the investigation. |
(b) If
any investigation is not concluded within 6 months |
after its initiation,
the appropriate Executive Inspector |
General shall file a 6-month report with notify the Executive
|
Ethics Commission by the fifteenth day of the month following |
it being open for 6 months. The 6-month report shall disclose: |
and appropriate ultimate jurisdictional authority
of the |
general |
(1) The general nature of the allegation or information |
giving rise to the
investigation , the title or job duties |
of the subjects of the investigation, and the |
investigation's unique tracking number. |
|
(2) The date of the last alleged violation of this Act |
or other State law giving rise to the investigation. |
(3) Whether the Executive Inspector General has found |
credible the allegations of criminal conduct. |
(4) Whether the allegation has been referred to an |
appropriate law enforcement agency and the identity of the |
law enforcement agency to which those allegations were |
referred. |
(5) If an allegation has not been referred to an |
appropriate law enforcement agency, and the reasons for the |
failure to complete the investigation
within 6 months , a |
summary of the investigative steps taken, additional |
investigative steps contemplated at the time of the report, |
and an estimate of additional time necessary to complete |
the investigation .
|
(6) Any other information deemed necessary by the |
Executive Ethics Commission in determining whether to |
appoint a Special Inspector General. |
(c) If an Executive Inspector General has referred an |
allegation to an appropriate law enforcement agency and |
continues to investigate the matter, the future reporting |
requirements of this Section are suspended. |
(d) Reports filed under this Section are exempt from the |
Freedom of Information Act. |
(Source: P.A. 93-617, eff. 12-9-03.)
|
|
(5 ILCS 430/20-70)
|
Sec. 20-70. Cooperation in investigations. It is the duty |
of
every officer and employee under the jurisdiction of an |
Executive
Inspector General, including any inspector general |
serving in any
State agency under the jurisdiction of that |
Executive Inspector
General, to cooperate with the Executive |
Inspector General and the Attorney General in any
investigation |
undertaken pursuant to this Act. Failure to cooperate includes, |
but is not limited to, intentional omissions and knowing false |
statements. Failure to cooperate
with an investigation of the |
Executive Inspector General or the Attorney General is grounds
|
for disciplinary action, including dismissal. Nothing in this |
Section limits or
alters a person's existing rights or |
protections under State or federal law.
|
(Source: P.A. 93-617, eff. 12-9-03.)
|
(5 ILCS 430/20-80)
|
Sec. 20-80. Referrals of investigations. If an Executive
|
Inspector General determines that any alleged misconduct |
involves
any person not subject to the jurisdiction of the |
Executive
Ethics Commission, that Executive Inspector General |
shall refer the
reported allegations to the appropriate |
Inspector General, appropriate ethics
commission, or other
|
appropriate body. If an Executive Inspector General determines |
that
any alleged misconduct may give rise to criminal |
penalties, the
Executive Inspector General may refer the |
|
allegations regarding that
misconduct to the appropriate law |
enforcement authority. If an Executive Inspector General |
determines that any alleged misconduct resulted in the loss of |
public funds in an amount of $5,000 or greater, the Executive |
Inspector General shall refer the allegations regarding that |
misconduct to the Attorney General and any other appropriate |
law enforcement authority.
|
(Source: P.A. 93-617, eff. 12-9-03.)
|
(5 ILCS 430/20-85)
|
Sec. 20-85. Monthly Quarterly reports by Executive |
Inspector General.
Each Executive Inspector General shall |
submit monthly quarterly
reports to the appropriate executive |
branch constitutional officer and the
Executive Ethics |
Commission , on dates determined by the executive branch |
constitutional officer
Executive Ethics Commission , |
indicating:
|
(1) the number of allegations received since the date |
of the last report;
|
(2) the number of investigations initiated since the |
date of
the last report;
|
(3) the number of investigations concluded since the |
date of
the last report;
|
(4) the number of investigations pending as of the |
reporting
date;
|
(5) the number of complaints forwarded to the Attorney |
|
General since the
date of the last report; and
|
(6) the number of actions filed with the Executive |
Ethics Commission since
the date of the last report and the |
number of
actions pending before the Executive Ethics |
Commission as of the reporting
date ; and |
(7) the number of allegations referred to any law |
enforcement agency .
|
The monthly report shall be available on the websites of |
the Executive Inspector General and the constitutional |
officer. |
(Source: P.A. 93-617, eff. 12-9-03.)
|
(5 ILCS 430/20-90)
|
Sec. 20-90. Confidentiality.
|
(a) The identity of any individual providing information or |
reporting any
possible or alleged
misconduct to an Executive |
Inspector General or the Executive Ethics
Commission
shall be |
kept confidential and may not be disclosed
without the consent |
of that individual, unless the individual consents to
|
disclosure of his or her name or disclosure of the individual's |
identity is
otherwise required by law. The confidentiality |
granted by this subsection does
not preclude the disclosure of |
the identity of a person in any capacity other
than as the |
source of an allegation.
|
(b) Subject to the provisions of Section 20-52 Section |
20-50(c) , commissioners, employees,
and agents of the |
|
Executive Ethics Commission,
the Executive Inspectors General, |
and employees and agents of each Office of
an
Executive |
Inspector General , the Attorney General, and the employees and |
agents of the office of the Attorney General shall keep |
confidential and shall not disclose
information exempted from |
disclosure under the Freedom of
Information Act or by this Act.
|
(Source: P.A. 93-617, eff. 12-9-03.)
|
(5 ILCS 430/20-95)
|
Sec. 20-95. Exemptions.
|
(a) Documents generated by an ethics
officer under this |
Act, except Section 5-50, are exempt from the provisions of
the |
Freedom
of Information Act.
|
(b) Any allegations
and related documents
submitted to an |
Executive Inspector General and any pleadings and
related |
documents brought before the Executive Ethics
Commission are |
exempt from the provisions of the Freedom of
Information Act so |
long as the Executive Ethics Commission
does not make a finding |
of a violation of this Act.
If the Executive
Ethics Commission |
finds that a violation has occurred, the
entire record of |
proceedings before the Commission, the decision and
|
recommendation, and the response mandatory report from the |
agency head or
ultimate jurisdictional authority to the |
Executive Ethics
Commission are not exempt from the provisions |
of the Freedom of
Information Act but information contained |
therein that is otherwise exempt from
the
Freedom of |
|
Information Act must be redacted before disclosure as provided |
in
Section 8 of the Freedom of Information Act. A summary |
report released by the Executive Ethics Commission under |
Section 20-52 is a public record, but information redacted by |
the Executive Ethics Commission shall not be part of the public |
record.
|
(c) Meetings of the Commission under
Sections 20-5
and |
20-15 of this Act are exempt from the provisions of the Open
|
Meetings Act.
|
(d) Unless otherwise provided in this Act, all |
investigatory files and
reports of the Office of an Executive |
Inspector General, other than monthly quarterly
reports |
required under Section 20-85 , are confidential, are exempt from |
disclosure
under the Freedom of Information Act, and shall not |
be divulged to
any person or agency, except as necessary (i) to |
a the appropriate law
enforcement
authority if the matter is |
referred pursuant to this Act , (ii) to the ultimate
|
jurisdictional authority, (iii) to the
Executive Ethics |
Commission; or (iv) to another Inspector General appointed
|
pursuant to this Act.
|
(Source: P.A. 93-617, eff. 12-9-03.)
|
(5 ILCS 430/25-5)
|
Sec. 25-5. Legislative Ethics Commission.
|
(a) The Legislative Ethics Commission is created.
|
(b) The Legislative Ethics Commission shall consist of 8
|
|
commissioners appointed 2 each by the
President and Minority |
Leader of the Senate and the Speaker and Minority Leader
of the |
House of Representatives.
|
The terms of the initial commissioners shall commence upon |
qualification.
Each appointing authority shall designate one |
appointee who
shall serve for a 2-year term running through
|
June 30, 2005.
Each appointing authority shall designate one |
appointee who
shall serve for a
4-year term running through |
June 30, 2007.
The initial appointments shall be made within 60 |
days
after the effective date of this Act.
|
After the initial terms, commissioners shall serve for |
4-year terms
commencing on July 1 of the year of appointment |
and running
through June 30 of the fourth following year. |
Commissioners may be
reappointed to one or more subsequent |
terms.
|
Vacancies occurring other than at the end of a term shall |
be filled
by the appointing authority only for the balance of |
the
term of the commissioner whose office is vacant.
|
Terms shall run regardless of whether the position is |
filled.
|
(c) The appointing authorities shall appoint commissioners |
who
have experience holding governmental office or employment |
and may
appoint commissioners who are members of the General |
Assembly as well as
commissioners from the general public.
A |
commissioner who is a member of the General Assembly must |
recuse himself or
herself from participating in any matter |
|
relating to any investigation or
proceeding in which he or she |
is the subject.
A person is not eligible to
serve as a |
commissioner if that person (i) has been convicted of a
felony |
or a crime of dishonesty or moral turpitude, (ii) is, or was
|
within the preceding 12 months, engaged in activities that
|
require registration under the Lobbyist Registration Act, |
(iii) is a
relative of the appointing authority, or (iv) is a |
State officer or employee
other than a member of the General |
Assembly.
|
(d) The Legislative Ethics Commission shall have
|
jurisdiction over members of the General Assembly and
all State
|
employees whose ultimate jurisdictional authority is
(i) a |
legislative leader, (ii) the Senate Operations Commission, or |
(iii) the
Joint Committee on Legislative Support Services.
The |
jurisdiction of the
Commission is limited to matters arising |
under this Act.
|
An officer or executive branch State employee serving on a |
legislative branch board or commission remains subject to the |
jurisdiction of the Executive Ethics Commission and is not |
subject to the jurisdiction of the Legislative Ethics |
Commission. |
(e) The Legislative Ethics Commission must meet, either
in |
person or by other technological means, monthly or as
often as |
necessary. At the first meeting of the Legislative
Ethics |
Commission, the commissioners shall choose from their
number a |
chairperson and other officers that they deem appropriate.
The |
|
terms of officers shall be for 2 years commencing July 1 and
|
running through June 30 of the second following year. Meetings |
shall be held at
the call
of the chairperson or any 3 |
commissioners. Official action by the
Commission shall require |
the affirmative vote of 5 commissioners, and
a quorum shall |
consist of 5 commissioners. Commissioners shall receive
no |
compensation but
may be
reimbursed for their reasonable |
expenses actually incurred in the
performance of their duties.
|
(f) No commissioner, other than a commissioner who is a |
member of the
General
Assembly, or employee of the Legislative
|
Ethics Commission may during his or her term of appointment or |
employment:
|
(1) become a candidate for any elective office;
|
(2) hold any other elected or appointed public office
|
except for appointments on governmental advisory boards
or |
study commissions or as otherwise expressly authorized by |
law;
|
(3) be actively involved in the affairs of any |
political party or political
organization; or
|
(4) advocate for the appointment of another person to |
an appointed or elected office or position or actively |
participate in any campaign for any
elective office.
|
(g) An appointing authority may remove a
commissioner only |
for cause.
|
(h) The Legislative Ethics Commission shall appoint an
|
Executive Director subject to the approval of at least 3 of the |
|
4 legislative leaders. The compensation of the Executive |
Director shall
be as determined by the Commission or by the |
Compensation Review
Board, whichever amount is higher . The |
Executive Director of the Legislative
Ethics Commission may |
employ, subject to the approval of at least 3 of the 4 |
legislative leaders, and determine the
compensation of staff, |
as appropriations permit.
|
(Source: P.A. 93-617, eff. 12-9-03; 93-685, eff. 7-8-04.) |
(5 ILCS 430/25-20)
|
Sec. 25-20. Duties of the Legislative Inspector
General. In |
addition to duties otherwise assigned by law,
the Legislative |
Inspector General shall have the following duties:
|
(1) To receive and investigate allegations of |
violations of this
Act. The
Legislative Inspector General |
may receive information through the
Office of the |
Legislative Inspector General or
through an ethics |
commission.
An investigation may be conducted only in |
response
to information reported to the Legislative |
Inspector General
as provided in this Section and not upon |
his or her own prerogative.
Allegations may not be made |
anonymously. An investigation may not be initiated
more |
than one year after the most recent act of the alleged |
violation or of a
series of alleged violations except where |
there is reasonable cause to believe
that fraudulent |
concealment has occurred. To constitute fraudulent |
|
concealment
sufficient to toll this limitations period, |
there must be an affirmative act or
representation |
calculated to prevent discovery of the fact that a |
violation
has occurred. The
Legislative Inspector General |
shall have the discretion to determine the
appropriate |
means of investigation as permitted by law.
|
(2) To request information relating to an |
investigation from any
person when the Legislative |
Inspector General deems that information necessary
in
|
conducting an investigation.
|
(3) To issue subpoenas, with the advance approval of |
the Commission,
to compel the attendance of witnesses for |
the
purposes of testimony and production of documents and |
other items for
inspection and copying and to make service |
of those subpoenas and subpoenas
issued under item (7) of |
Section 25-15.
|
(4) To submit reports as required by this Act.
|
(5) To file
pleadings in the name of
the Legislative |
Inspector General with the Legislative Ethics
Commission, |
through the Attorney General, as provided in this Article |
if the
Attorney General finds that reasonable cause exists |
to believe that a violation
has
occurred.
|
(6) To assist and coordinate the ethics officers
for |
State agencies under the jurisdiction of the
Legislative |
Inspector General and to work with those ethics officers.
|
(7) To participate in or conduct, when appropriate, |
|
multi-jurisdictional
investigations.
|
(8) To request, as the Legislative Inspector General |
deems appropriate,
from ethics officers
of State agencies |
under his or her jurisdiction, reports or information
on |
(i) the content of a State agency's ethics
training program |
and (ii) the percentage of new officers and
employees who |
have completed ethics training.
|
(9) To establish a policy that ensures the appropriate |
handling and correct recording of all investigations of |
allegations and to ensure that the policy is accessible via |
the Internet in order that those seeking to report those |
allegations are familiar with the process and that the |
subjects of those allegations are treated fairly. |
(Source: P.A. 93-617, eff. 12-9-03.) |
(5 ILCS 430/25-20a new)
|
Sec. 25-20a. Attorney General investigatory authority. In |
addition to investigatory authority otherwise granted by law, |
the Attorney General shall have the authority to investigate |
violations of this Act pursuant to Section 25-50 or Section |
25-51 of this Act after receipt of notice from the Legislative |
Ethics Commission or pursuant to Section 5-45. The Attorney |
General shall have the discretion to determine the appropriate |
means of investigation as permitted by law, including (i) the |
request of information relating to an investigation from any |
person when the Attorney General deems that information |
|
necessary in conducting an investigation; and (ii) the issuance |
of subpoenas to compel the attendance of witnesses for the |
purposes of sworn testimony and production of documents and |
other items for inspection and copying and the service of those |
subpoenas. |
Nothing in this Section shall be construed as granting the |
Attorney General the authority to investigate alleged |
misconduct pursuant to notice received under Section 5-45, |
Section 25-50, or Section 25-51 of this Act, if the information |
contained in the notice indicates that the alleged misconduct |
was minor in nature. As used in this Section, misconduct that |
is "minor in nature" means misconduct that was a violation of |
office, agency, or department policy and not of this Act or any |
other civil or criminal law. |
(5 ILCS 430/25-50)
|
Sec. 25-50. Investigation reports ; complaint procedure .
|
(a) If the Legislative Inspector General, upon the |
conclusion of an
investigation, determines that reasonable |
cause exists to believe that a
violation
has occurred, then
the |
Legislative Inspector General shall issue a summary report of |
the
investigation. The report shall be delivered to the
|
appropriate ultimate jurisdictional
authority and to the head |
of each State
agency
affected by or involved in the |
investigation, if appropriate. The appropriate ultimate |
jurisdictional authority or agency head shall respond to the |
|
summary report within 20 days, in writing, to the Legislative |
Inspector General. The response shall include a description of |
any corrective or disciplinary action to be imposed.
|
(b) The summary report of the investigation shall include |
the following:
|
(1) A description of any allegations or other |
information
received by the Legislative Inspector General |
pertinent to the
investigation.
|
(2) A description of any alleged misconduct discovered |
in the
course of the investigation.
|
(3) Recommendations for any corrective or disciplinary
|
action to be taken in response to any alleged misconduct |
described in the
report, including but not limited to |
discharge.
|
(4) Other information the Legislative Inspector |
General
deems relevant to the investigation or resulting |
recommendations.
|
(c) Within 30 days after receiving a response from the |
appropriate ultimate jurisdictional authority or agency head |
Not less than 30 days after delivery of the summary report of
|
an
investigation under subsection (a), the Legislative |
Inspector General shall notify the Commission and the Attorney |
General if the Legislative Inspector General believes that a |
complaint should be filed with the Commission. If
if the |
Legislative Inspector General desires to file a petition for |
leave to
file a
complaint with the Commission , the Legislative |
|
Inspector General shall submit the summary report and |
supporting documents to notify the Commission and
the
Attorney |
General. If the Attorney General concludes that there is |
insufficient evidence that a violation has occurred, the |
Attorney General shall notify the Legislative Inspector |
General and the Legislative Inspector General shall deliver to |
the Legislative Ethics Commission a copy of the summary report |
and response from the ultimate jurisdictional authority or |
agency head.
If the Attorney General determines
that reasonable |
cause exists to believe that a violation has occurred, then the
|
Legislative Inspector
General, represented by the Attorney
|
General, may file with the Legislative Ethics Commission a |
petition for
leave to file a complaint.
The complaint petition |
shall set
forth the alleged violation and the
grounds that |
exist to support the complaint petition . The petition for leave |
to
file a complaint must be filed with the Commission within 18 |
months
after the most recent act of the alleged violation or of |
a series of alleged
violations
except where there is reasonable |
cause to believe
that fraudulent concealment has occurred. To |
constitute fraudulent concealment
sufficient to toll this |
limitations period, there must be an affirmative act or
|
representation calculated to prevent discovery of the fact that |
a violation has
occurred.
If a petition for leave to file a |
complaint is not filed with the Commission
within 6 months |
after notice by the Inspector General to the Commission and the
|
Attorney General, then the Commission may set a meeting of the |
|
Commission at
which the Attorney General shall appear and |
provide a status
report to the Commission.
|
(c-5) Within 30 days after receiving a response from the |
appropriate ultimate jurisdictional authority or agency head |
under subsection (a), if the Legislative Inspector General does |
not believe that a complaint should be filed, the Legislative |
Inspector General shall deliver to the Legislative Ethics |
Commission a statement setting forth the basis for the decision |
not to file a complaint and a copy of the summary report and |
response from the ultimate jurisdictional authority or agency |
head. The Inspector General may also submit a redacted version |
of the summary report and response from the ultimate |
jurisdictional authority if the Inspector General believes |
either contains information that, in the opinion of the |
Inspector General, should be redacted prior to releasing the |
report, may interfere with an ongoing investigation, or |
identifies an informant or complainant. |
(c-10) If, after reviewing the documents, the Commission |
believes that further investigation is warranted, the |
Commission may request that the Legislative Inspector General |
provide additional information or conduct further |
investigation. The Commission may also refer the summary report |
and response from the ultimate jurisdictional authority to the |
Attorney General for further investigation or review. If the |
Commission requests the Attorney General to investigate or |
review, the Commission must notify the Attorney General and the |
|
Legislative Inspector General. The Attorney General may not |
begin an investigation or review until receipt of notice from |
the Commission. If, after review, the Attorney General |
determines that reasonable cause exists to believe that a |
violation has occurred, then the Attorney General may file a |
complaint with the Legislative Ethics Commission. If the |
Attorney General concludes that there is insufficient evidence |
that a violation has occurred, the Attorney General shall |
notify the Legislative Ethics Commission and the appropriate |
Legislative Inspector General. |
(d) A copy of the complaint filed with the Legislative |
Ethics Commission petition must be served on all respondents |
named in the
complaint and on each respondent's ultimate |
jurisdictional authority in
the same manner as process is |
served under the Code of Civil
Procedure.
|
(e) A respondent may file objections to the petition for |
leave to
file a complaint within 30 days after notice of the |
petition has been
served on the respondent.
|
(f) The Commission shall meet, at least 30 days after the |
complaint is served on all respondents either in person or by |
telephone,
in a closed session to review the sufficiency of the |
complaint.
If the Commission finds that complaint is |
sufficient, the Commission shall
grant the petition for leave |
to file the
complaint.
The Commission shall
issue notice by |
certified mail, return receipt requested, to the Legislative |
Inspector General , the Attorney General, and all respondents of
|
|
the Commission's ruling on the sufficiency of the complaint. If |
the complaint
is deemed to
sufficiently allege a violation of |
this Act, then the Commission shall notify
the parties and |
shall
include a hearing date scheduled within 4 weeks after the |
date of the notice,
unless all of the parties consent to a |
later date.
If the complaint is deemed not to sufficiently |
allege a
violation, then
the Commission shall send by certified |
mail, return receipt requested,
a notice to the Legislative |
Inspector General, the Attorney General, and all respondents |
the parties of the decision to dismiss the complaint.
|
(g) On the scheduled date
the Commission shall conduct a |
closed meeting,
either in person or, if the parties consent, by |
telephone, on the complaint and
allow all
parties the |
opportunity to present testimony and evidence.
All such |
proceedings shall be transcribed.
|
(h) Within an appropriate time limit set by rules of the |
Legislative
Ethics Commission, the Commission shall (i) |
dismiss the
complaint , or (ii) issue a recommendation of |
discipline to the
respondent and the respondent's ultimate |
jurisdictional authority , (iii) or
impose an administrative |
fine upon the respondent, (iv) issue injunctive relief as |
described in Section 50-10, or (v) impose a combination of (ii) |
through (iv) or both .
|
(i) The proceedings on any complaint filed with the |
Commission
shall be conducted pursuant to rules promulgated by |
the Commission.
|
|
(j) The Commission may designate hearing officers
to |
conduct proceedings as determined by rule of the Commission.
|
(k) In all proceedings before the Commission, the standard |
of
proof is by a preponderance of the evidence.
|
(l) Within 30 days after the issuance of a final |
administrative decision that concludes that a violation |
occurred, the Legislative Ethics Commission shall make public |
the entire record of proceedings before the Commission, the |
decision, any recommendation, any discipline imposed, and the |
response from the agency head or ultimate jurisdictional |
authority to the Legislative Ethics Commission. When the |
Inspector General concludes that there is insufficient
|
evidence that a violation has occurred, the Inspector General |
shall close the
investigation. At the request of the subject of |
the investigation, the
Inspector
General shall provide a |
written statement to the subject of the investigation
and to |
the Commission of
the Inspector General's decision to close the |
investigation. Closure by the
Inspector General does not bar |
the Inspector General from resuming the
investigation if |
circumstances warrant.
|
(Source: P.A. 93-617, eff. 12-9-03.) |
(5 ILCS 430/25-51 new) |
Sec. 25-51. Closed investigations. When the Legislative |
Inspector General concludes that there is insufficient |
evidence that a violation has occurred, the Inspector General |
|
shall close the investigation. The Legislative Inspector |
General shall provide the Commission with a written statement |
of the decision to close the investigation. At the request of |
the subject of the investigation, the Legislative Inspector |
General shall provide a written statement to the subject of the |
investigation of the Inspector General's decision to close the |
investigation. Closure by the Legislative Inspector General |
does not bar the Inspector General from resuming the |
investigation if circumstances warrant. The Commission also |
has the discretion to request that the Legislative Inspector |
General conduct further investigation of any matter closed |
pursuant to this Section, or to refer the allegations to the |
Attorney General for further review or investigation. If the |
Commission requests the Attorney General to investigate or |
review, the Commission must notify the Attorney General and the |
Inspector General. The Attorney General may not begin an |
investigation or review until receipt of notice from the |
Commission. |
(5 ILCS 430/25-52 new) |
Sec. 25-52. Release of summary reports. |
(a) Within 60 days after receipt of a summary report and |
response from the ultimate jurisdictional authority or agency |
head that resulted in a suspension of at least 3 days or |
termination of employment, the Legislative Ethics Commission |
shall make available to the public the report and response or a |
|
redacted version of the report and response. The Legislative |
Ethics Commission may make available to the public any other |
summary report and response of the ultimate jurisdictional |
authority or agency head or a redacted version of the report |
and response. |
(b) The Legislative Ethics Commission shall redact |
information in the summary report that may reveal the identity |
of witnesses, complainants, or informants or if the Commission |
determines it is appropriate to protect the identity of a |
person before publication. The Commission may also redact any |
information it believes should not be made public.
Prior to |
publication, the Commission shall permit the respondents, |
Legislative Inspector General, and Attorney General to review |
documents to be made public and offer suggestions for redaction |
or provide a response that shall be made public with the |
summary report. |
(c) The Legislative Ethics Commission may withhold |
publication of the report or response if the Legislative |
Inspector General or Attorney General certifies that |
publication will interfere with an ongoing investigation. |
(5 ILCS 430/25-65)
|
Sec. 25-65. Reporting of investigations Investigations not |
concluded within 6 months . |
(a) The Legislative Inspector General shall file a |
quarterly activity report with the Legislative Ethics |
|
Commission that reflects investigative activity during the |
previous quarter. The Legislative Ethics Commission shall |
establish the reporting dates. The activity report shall |
include at least the following: |
(1) A summary of any investigation opened during the |
preceding quarter, the affected office, agency or |
agencies, the investigation's unique tracking number, and |
a brief statement of the general nature of the allegation |
or allegations. |
(2) A summary of any investigation closed during the |
preceding quarter, the affected office, agency or |
agencies, the investigation's unique tracking number, and |
a brief statement of the general nature of the allegation |
or allegations. |
(3) The status of an ongoing investigation that |
remained open at the end of the quarter, the affected |
office, agency or agencies, the investigation's unique |
tracking number, and a brief statement of the general |
nature of the investigation. |
(b) If
any investigation is not concluded within 6 months |
after its initiation,
the Legislative Inspector General shall |
file a 6-month report with notify the Legislative
Ethics |
Commission no later than 10 days after the 6th month. The |
6-month report shall disclose: and appropriate ultimate |
jurisdictional authority
of the |
(1) The general nature of the allegation or information |
|
giving rise to the
investigation , the title or job duties |
of the subjects of the investigation, and the |
investigation's unique tracking number. |
(2) The date of the last alleged violation of this Act |
or other State law giving rise to the investigation. |
(3) Whether the Legislative Inspector General has |
found credible the allegations of criminal conduct. |
(4) Whether the allegation has been referred to an |
appropriate law enforcement agency and the identity of the |
law enforcement agency to which those allegations were |
referred. |
(5) If an allegation has not been referred to an |
appropriate law enforcement agency, and the reasons for the |
failure to complete the investigation
within 6 months , a |
summary of the investigative steps taken, additional |
investigative steps contemplated at the time of the report, |
and an estimate of additional time necessary to complete |
the investigation. |
(6) Any other information deemed necessary by the |
Legislative Ethics Commission in determining whether to |
appoint a Special Inspector General. |
(c) If the Legislative Inspector General has referred an |
allegation to an appropriate law enforcement agency and |
continues to investigate the matter, the future reporting |
requirements of this Section are suspended .
|
(Source: P.A. 93-617, eff. 12-9-03.) |
|
(5 ILCS 430/25-95)
|
Sec. 25-95. Exemptions.
|
(a) Documents generated by an ethics
officer under this |
Act, except Section 5-50, are exempt from the provisions of
the |
Freedom
of Information Act.
|
(a-5) Requests from ethics officers, members, and State |
employees to the Office of the Legislative Inspector General, a |
Special Legislative Inspector General, the Legislative Ethics |
Commission, an ethics officer, or a person designated by a |
legislative leader for guidance on matters involving the |
interpretation or application of this Act or rules promulgated |
under this Act are exempt from the provisions of the Freedom of |
Information Act. Guidance provided to an ethics officer, |
member, or State employee at the request of an ethics officer, |
member, or State employee by the Office of the Legislative |
Inspector General, a Special Legislative Inspector General, |
the Legislative Ethics Commission, an ethics officer, or a |
person designated by a legislative leader on matters involving |
the interpretation or application of this Act or rules |
promulgated under this Act is exempt from the provisions of the |
Freedom of Information Act.
|
(b) Summary investigation reports released by the |
Legislative Ethics Commission as provided in Section 25-52 are |
public records. Otherwise, any Any allegations
and related |
documents
submitted to the Legislative Inspector General and |
|
any pleadings and
related documents brought before the |
Legislative Ethics
Commission are exempt from the provisions of |
the Freedom of
Information Act so long as the Legislative |
Ethics Commission
does not make a finding of a violation of |
this Act.
If the Legislative
Ethics Commission finds that a |
violation has occurred, the
entire record of proceedings before |
the Commission, the decision and
recommendation, and the |
mandatory report from the agency head or
ultimate |
jurisdictional authority to the Legislative Ethics
Commission |
are not exempt from the provisions of the Freedom of
|
Information Act but information contained therein that is |
exempt from the
Freedom of Information Act must be redacted |
before disclosure as provided in
Section 8 of the Freedom of |
Information Act.
|
(c) Meetings of the Commission under
Sections 25-5
and |
25-15 of this Act are exempt from the provisions of the Open
|
Meetings Act.
|
(d) Unless otherwise provided in this Act, all |
investigatory files and
reports of the Office of the |
Legislative Inspector General, other than
monthly quarterly
|
reports, are confidential, are exempt from disclosure
under the |
Freedom of Information Act, and shall not be divulged to
any |
person or agency, except as necessary (i) to the appropriate |
law
enforcement
authority if the matter is referred pursuant to |
this Act, (ii) to the ultimate
jurisdictional authority, or |
(iii) to the
Legislative Ethics Commission.
|
|
(Source: P.A. 93-617, eff. 12-9-03; 93-685, eff. 7-8-04.) |
(5 ILCS 430/35-5)
|
Sec. 35-5. Appointment of Inspectors General. Nothing in |
this Act
precludes
the appointment by the Governor, the |
Lieutenant Governor, the Attorney General,
the
Secretary of |
State, the Comptroller, or the Treasurer of any inspector |
general
required
or permitted by law. Nothing in this Act |
precludes the Governor, the Attorney
General,
the Secretary of |
State, the Comptroller, or the Treasurer from appointing an
|
existing
inspector general under his or her jurisdiction to |
serve simultaneously as an
Executive
Inspector General. This |
Act shall be read consistently with all existing State
statutes
|
that create inspectors general under the jurisdiction of an |
executive branch
constitutional officer.
|
This Act prohibits the appointment or employment by an |
officer, member, State employee, or State agency of any person |
to serve or act with respect to one or more State agencies as |
an Inspector General under this Act except as authorized and |
required by Articles 20, 25, and 30 of this Act or Section 14 |
of the Secretary of State Act. No officer, member, State |
employee, or State agency may appoint or employ an inspector |
general for any purpose except as authorized or required by |
law. |
(Source: P.A. 93-617, eff. 12-9-03.) |
|
(5 ILCS 430/50-5)
|
Sec. 50-5. Penalties.
|
(a) A person is guilty of a Class A misdemeanor if that |
person intentionally
violates any provision of Section 5-15, |
5-30, 5-40, or 5-45 or Article 15.
|
(a-1) An ethics commission may levy an administrative fine |
for a violation of Section 5-45 of this Act of up to 3 times the |
total annual compensation that would have been obtained in |
violation of Section 5-45. |
(b) A person who intentionally violates any provision
of |
Section 5-20, 5-35, 5-50, or 5-55 is guilty of a business |
offense
subject to a fine of at least $1,001 and up to $5,000.
|
(c) A person who intentionally violates any provision of |
Article 10 is
guilty of a business
offense and subject to a |
fine of at least $1,001 and up to $5,000.
|
(d) Any person who intentionally makes a
false report |
alleging a violation of any provision of this Act to an ethics
|
commission,
an inspector general,
the State Police, a State's |
Attorney, the Attorney General, or any other law
enforcement |
official is guilty of a Class A misdemeanor.
|
(e) An ethics commission may levy an administrative fine of |
up to $5,000
against any person
who violates this Act, who |
intentionally obstructs or interferes with an
investigation
|
conducted under this Act by an inspector general, or who
|
intentionally makes a false, frivolous, or bad faith |
allegation.
|
|
(f) In addition to any other penalty that may apply, |
whether criminal or
civil, a State employee who intentionally |
violates
any provision of Section 5-5, 5-15, 5-20, 5-30, 5-35, |
5-45 5-40 , or 5-50, Article 10,
Article 15, or Section 20-90 or |
25-90 is subject to discipline or discharge by
the
appropriate |
ultimate
jurisdictional authority.
|
(Source: P.A. 93-615, eff. 11-19-03; 93-617, eff. 12-9-03.) |
(5 ILCS 430/50-10 new)
|
Sec. 50-10. Injunctive relief. |
(a) For a violation of any Section of this Act, an ethics |
commission may issue appropriate injunctive relief up to and |
including discharge of a State employee. |
(b) Any injunctive relief issued pursuant to this Section |
must comport with the requirements of Section 20-40.
|
(5 ILCS 430/20-40 rep.)
|
Section 15. The State Officials and Employees Ethics Act is |
amended by repealing Section 20-40. |
Section 20. The Secretary of State Act is amended by |
changing Section 14 as follows:
|
(15 ILCS 305/14)
|
Sec. 14. Inspector General.
|
(a) The Secretary of State must, with the advice and |
|
consent of the Senate,
appoint an Inspector General for the |
purpose of detection, deterrence, and
prevention of fraud,
|
corruption, mismanagement, gross or aggravated misconduct, or |
misconduct
that may be criminal in nature in the Office of the |
Secretary of State. The
Inspector General shall serve a 5-year |
term.
If no successor is appointed and qualified upon the
|
expiration of the Inspector General's term, the Office of |
Inspector General is
deemed vacant and the powers and duties |
under this Section may be exercised
only by an appointed and |
qualified interim Inspector General until a successor
|
Inspector General is appointed and qualified.
If the General |
Assembly is not in session when a vacancy in the Office of
|
Inspector General occurs, the Secretary of State may appoint an |
interim
Inspector General whose term shall expire 2 weeks after |
the next
regularly scheduled session day of the Senate.
|
(b) The Inspector General shall have the following |
qualifications:
|
(1) has not been convicted of any felony under the laws |
of this State,
another State, or the United States;
|
(2) has earned a baccalaureate degree from an |
institution of higher
education; and
|
(3) has either (A) 5 or more years of service with a |
federal, State, or
local law enforcement agency, at least 2 |
years of which have been in a
progressive investigatory |
capacity; (B) 5 or more years of service as a
federal, |
State, or local prosecutor; or (C) 5 or more years of |
|
service as a
senior manager or executive of a federal, |
State, or local
agency.
|
(c) The Inspector General may review, coordinate, and |
recommend methods and
procedures to increase the integrity of |
the Office of the Secretary of State.
The duties of the |
Inspector General shall
supplement and not supplant the duties |
of the Chief Auditor for the Secretary
of State's Office or any |
other Inspector General that may be authorized by law.
The |
Inspector General must report directly to the Secretary
of |
State.
|
(d) In addition to the authority otherwise provided by this |
Section, but
only when investigating the Office of the |
Secretary of State, its employees, or
their actions for
fraud, |
corruption, mismanagement, gross or aggravated misconduct, or
|
misconduct that may be criminal in nature, the Inspector |
General is
authorized:
|
(1) To have access to all records, reports, audits, |
reviews, documents,
papers, recommendations, or other |
materials available that relate to programs
and operations |
with respect to which the Inspector General has |
responsibilities
under this Section.
|
(2) To make any investigations and reports relating to |
the administration
of the programs and operations of the |
Office of the Secretary of State that
are, in the judgment |
judgement of the Inspector General, necessary or |
desirable.
|
|
(3) To request any information or assistance that may |
be necessary for
carrying out the duties and |
responsibilities provided by this Section from any
local, |
State, or federal governmental agency or unit thereof.
|
(4) To require by subpoena the
appearance of witnesses |
and the production of all information, documents,
reports, |
answers, records, accounts, papers, and other data and |
documentary
evidence necessary in the performance of the |
functions assigned by this
Section, with the exception of |
subsection (c) and with the exception of records
of a labor
|
organization authorized and recognized under the Illinois |
Public Labor
Relations
Act to be the exclusive bargaining |
representative of employees of the Secretary
of State, |
including, but not limited to, records of representation of |
employees
and
the negotiation of collective bargaining |
agreements. A subpoena may be issued
under
this paragraph |
(4) only by the
Inspector General and not by members of the |
Inspector General's staff.
A person duly
subpoenaed for |
testimony, documents, or other items who neglects or |
refuses to
testify or produce documents or other items |
under the requirements of the
subpoena shall be subject to |
punishment as
may be determined by a court of competent |
jurisdiction, unless (i) the
testimony, documents, or |
other items are covered by the attorney-client
privilege or
|
any other privilege or right recognized by law or (ii) the |
testimony,
documents, or other items concern the |
|
representation of employees and the
negotiation of |
collective bargaining agreements by a labor
organization |
authorized and recognized under the Illinois Public
Labor |
Relations Act to be the exclusive bargaining |
representative of
employees of the Secretary of State. |
Nothing in this Section limits a
person's right to |
protection against self-incrimination under the Fifth
|
Amendment of the United States Constitution or Article I, |
Section 10,
of the Constitution of the State of Illinois.
|
(5) To have direct and prompt access to the Secretary |
of State for any
purpose pertaining to the performance of |
functions and responsibilities under
this Section.
|
(d-5) In addition to the authority otherwise provided by |
this Section, the Secretary of State Inspector General shall |
have jurisdiction to investigate complaints and allegations of |
wrongdoing by any person or entity related to the Lobbyist |
Registration Act. When investigating those complaints and |
allegations, the Inspector General is authorized: |
(1) To have access to all records, reports, audits, |
reviews, documents, papers, recommendations, or other |
materials available that relate to programs and operations |
with respect to which the Inspector General has |
responsibilities under this Section. |
(2) To request any information or assistance that may |
be necessary for carrying out the duties and |
responsibilities provided by this Section from any local, |
|
State, or federal governmental agency or unit thereof. |
(3) To require by subpoena the appearance of witnesses |
and the production of all information, documents, reports, |
answers, records, accounts, papers, and other data and |
documentary evidence necessary in the performance of the |
functions assigned by this Section. A subpoena may be |
issued under this paragraph (3) only by the Inspector |
General and not by members of the Inspector General's |
staff. A person duly subpoenaed for testimony, documents, |
or other items who neglects or refuses to testify or |
produce documents or other items under the requirements of |
the subpoena shall be subject to punishment as may be |
determined by a court of competent jurisdiction, unless the |
testimony, documents, or other items are covered by the |
attorney-client privilege or any other privilege or right |
recognized by law. Nothing in this Section limits a |
person's right to protection against self-incrimination |
under the Fifth Amendment of the United States Constitution |
or Section 10 of Article I of the Constitution of the State |
of Illinois. |
(4) To have direct and prompt access to the Secretary |
of State for any purpose pertaining to the performance of |
functions and responsibilities under this Section.
|
(e) The Inspector General may receive and investigate |
complaints or
information from an employee of the Secretary of |
State concerning the possible
existence of an activity |
|
constituting a violation of law, rules, or
regulations; |
mismanagement; abuse of authority; or substantial and specific
|
danger to the public health and safety. Any person
employee who |
knowingly files a
false
complaint or files a complaint with |
reckless disregard for the truth or the
falsity
of the facts |
underlying the complaint may be subject to discipline as set |
forth
in the rules of the Department of Personnel of the |
Secretary of State.
|
The Inspector General may not, after receipt of a complaint |
or information
from an employee , disclose the
identity of the |
source
employee without the consent of the source
employee , |
unless the
Inspector General determines that
disclosure of the |
identity is reasonable and necessary for the furtherance of
the
|
investigation.
|
Any employee who has the authority to recommend or
approve |
any personnel action or to direct others to recommend or |
approve any
personnel action may not, with respect to that |
authority, take or threaten to
take any action against any |
employee as a reprisal for making a
complaint or disclosing |
information to the Inspector General, unless the
complaint was |
made or the information disclosed with the knowledge that it |
was
false or with willful disregard for its truth or falsity.
|
(f) The Inspector General must adopt rules, in accordance |
with the
provisions of the Illinois Administrative Procedure |
Act, establishing minimum
requirements for initiating, |
conducting, and completing investigations. The
rules must |
|
establish criteria for determining, based upon the nature of |
the
allegation, the appropriate method of investigation, which |
may include, but is
not limited to, site visits, telephone |
contacts, personal interviews, or
requests for written |
responses. The rules must also clarify how the Office of
the |
Inspector General shall interact with other local, State, and |
federal law
enforcement investigations.
|
Any employee of the Secretary of State subject to |
investigation or inquiry
by the Inspector General or any agent |
or representative of the Inspector
General concerning |
misconduct that is criminal in nature shall have the right
to |
be notified of the right to remain silent
during the |
investigation or inquiry and the right to be represented in the
|
investigation or inquiry by an attorney or a representative of |
a labor
organization that is
the exclusive collective |
bargaining representative of employees of the
Secretary of |
State.
Any investigation or inquiry by the Inspector General or |
any agent or
representative of the Inspector General must be |
conducted with an awareness of
the provisions of a collective |
bargaining agreement that applies to the
employees
of the |
Secretary of State and with an awareness of the rights of the |
employees
as set forth in State and federal law and applicable |
judicial decisions. Any
recommendations for discipline or any |
action taken
against any employee by the
Inspector General or |
any representative or agent of the Inspector General must
|
comply with the provisions of the collective bargaining |
|
agreement that applies
to the employee.
|
(g) On or before January 1 of each year, the Inspector |
General shall report
to the President of the Senate, the |
Minority Leader of the Senate, the Speaker
of the House of |
Representatives, and the Minority Leader of the House of
|
Representatives on the types of investigations and the |
activities undertaken by
the Office of the Inspector General |
during the previous calendar year.
|
(Source: P.A. 93-559, eff. 8-20-03.)
|
Section 25. The Secretary of State Merit Employment Code is |
amended by adding Section 17.5 as follows: |
(15 ILCS 310/17.5 new) |
Sec. 17.5. State Officials and Employees Ethics Act. |
(a) Disciplinary action under the State Officials and |
Employees Ethics Act against a person subject to this Act is |
within the jurisdiction of the Executive Ethics Commission and |
is not within the jurisdiction of this Act. |
(b) Any hearing to contest disciplinary action against a |
person subject to this Act pursuant to an agreement between an |
Executive Inspector General and an ultimate jurisdictional |
authority, as defined in the State Officials and Employees |
Ethics Act, shall be conducted by the Executive Ethics |
Commission and not under this Act, at the request of that |
person. |
|
Section 30. The Comptroller Merit Employment Code is |
amended by adding Section 17.5 as follows: |
(15 ILCS 410/17.5 new) |
Sec. 17.5. State Officials and Employees Ethics Act. |
(a) Disciplinary action under the State Officials and |
Employees Ethics Act against a person subject to this Act is |
within the jurisdiction of the Executive Ethics Commission and |
is not within the jurisdiction of this Act. |
(b) Any hearing to contest disciplinary action against a |
person subject to this Act pursuant to an agreement between an |
Executive Inspector General and an ultimate jurisdictional |
authority, as defined in the State Officials and Employees |
Ethics Act, shall be conducted by the Executive Ethics |
Commission and not under this Act, at the request of that |
person. |
Section 35. The State Treasurer Employment Code is amended |
by adding Section 14.5 as follows: |
(15 ILCS 510/14.5 new) |
Sec. 14.5. State Officials and Employees Ethics Act. |
(a) Disciplinary action under the State Officials and |
Employees Ethics Act against a person subject to this Act is |
within the jurisdiction of the Executive Ethics Commission and |
|
is not within the jurisdiction of this Act. |
(b) Any hearing to contest disciplinary action against a |
person subject to this Act pursuant to an agreement between an |
Executive Inspector General and an ultimate jurisdictional |
authority, as defined in the State Officials and Employees |
Ethics Act, shall be conducted by the Executive Ethics |
Commission and not under this Act, at the request of that |
person. |
Section 40. The Personnel Code is amended by adding Section |
20 as follows: |
(20 ILCS 415/20 new) |
Sec. 20. State Officials and Employees Ethics Act. |
(a) Disciplinary action under the State Officials and |
Employees Ethics Act against a person subject to this Act is |
within the jurisdiction of the Executive Ethics Commission and |
is not within the jurisdiction of this Act. |
(b) Any hearing to contest disciplinary action against a |
person subject to this Act pursuant to an agreement between an |
Executive Inspector General and an ultimate jurisdictional |
authority, as defined in the State Officials and Employees |
Ethics Act, shall be conducted by the Executive Ethics |
Commission and not under this Act.
|
Section 45. The Children and Family Services Act is amended |
|
by changing Section 35.5 as follows:
|
(20 ILCS 505/35.5)
|
Sec. 35.5. Inspector General.
|
(a) The Governor shall appoint, and the Senate shall |
confirm, an Inspector
General who shall
have the authority to |
conduct investigations into allegations of or incidents
of |
possible misconduct, misfeasance, malfeasance, or violations |
of rules,
procedures, or laws by any employee, foster parent, |
service provider, or
contractor of the Department of Children |
and Family Services , except for allegations of violations of |
the State Officials and Employees Ethics Act which shall be |
referred to the Office of the Governor's Executive Inspector |
General for investigation . The Inspector
General shall make |
recommendations
to the Director of Children and Family Services |
concerning sanctions or
disciplinary actions against |
Department
employees or providers of service under contract to |
the Department. The Director of Children and Family Services |
shall provide the Inspector General with an implementation |
report on the status of any corrective actions taken on |
recommendations under review and shall continue sending |
updated reports until the corrective action is completed. The |
Director shall provide a written response to the Inspector |
General indicating the status of any sanctions or disciplinary |
actions against employees or providers of service involving any |
investigation subject to review. In any case, information |
|
included in the reports to the Inspector General and Department |
responses shall be subject to the public disclosure |
requirements of the Abused and Neglected Child Reporting Act.
|
Any
investigation
conducted by the Inspector General shall be |
independent and separate from the
investigation mandated by the |
Abused and Neglected Child Reporting Act. The
Inspector General |
shall be appointed for a term of 4 years. The Inspector
General |
shall function independently within the Department of Children |
and Family Services with respect to the operations of the |
Office of Inspector General, including the performance of |
investigations and issuance of findings and recommendations, |
and shall
report to the Director of Children and Family |
Services and the Governor and
perform other
duties the Director |
may designate. The Inspector General shall adopt rules
as |
necessary to carry out the
functions, purposes, and duties of |
the office of Inspector General in the
Department of Children |
and Family Services, in accordance with the Illinois
|
Administrative Procedure Act and any other applicable law.
|
(b) The Inspector
General shall have access to all |
information and personnel necessary to perform
the duties of |
the office. To minimize duplication of efforts, and to assure
|
consistency and conformance with the requirements and |
procedures established in
the B.H. v. Suter consent decree and |
to share resources
when appropriate, the Inspector General |
shall coordinate his or her
activities with the Bureau of |
Quality Assurance within the Department.
|
|
(c) The Inspector General shall be the primary liaison |
between the
Department and the Department of State Police with |
regard to investigations
conducted under the Inspector |
General's auspices.
If the Inspector General determines that a |
possible criminal act
has been committed,
or that special |
expertise is required in the investigation, he or she shall
|
immediately notify the Department of State Police.
All |
investigations conducted by the Inspector General shall be
|
conducted in a manner designed to ensure the preservation of |
evidence for
possible use in a criminal prosecution.
|
(d) The Inspector General may recommend to the Department |
of Children and
Family Services, the Department of Public |
Health, or any other appropriate
agency, sanctions to be |
imposed against service providers under the
jurisdiction of or |
under contract with the Department for the protection of
|
children in the custody or under the guardianship of the |
Department who
received services from those providers. The |
Inspector General may seek the
assistance of the Attorney |
General or any of the several State's Attorneys in
imposing |
sanctions.
|
(e) The Inspector General shall at all times be granted |
access to any foster
home, facility, or program operated for or |
licensed or funded by the
Department.
|
(f) Nothing in this Section shall limit investigations by |
the Department of
Children and Family Services that may |
otherwise be required by law or that may
be necessary in that |
|
Department's capacity as the central administrative
authority |
for child welfare.
|
(g) The Inspector General shall have the power to subpoena |
witnesses and
compel the production of books and papers |
pertinent to an investigation
authorized by this Act. The power |
to subpoena or to compel the
production of books and papers, |
however, shall not extend to the person or
documents of a
labor |
organization or its representatives insofar as the person or |
documents of
a labor organization relate to the function of |
representing an employee subject
to investigation under this |
Act. Any person who fails to appear in response to
a subpoena |
or to answer any question or produce any books or papers |
pertinent
to an investigation under this Act, except as |
otherwise provided in this
Section, or who knowingly gives |
false testimony in relation to an investigation
under this Act |
is guilty of a Class A misdemeanor.
|
(h) The Inspector General shall provide to the General |
Assembly and the
Governor, no later than January 1 of each |
year, a summary of reports and
investigations made under this |
Section for the prior fiscal year. The
summaries shall detail |
the imposition of sanctions and the final disposition
of those |
recommendations. The summaries shall not contain any |
confidential or
identifying information concerning the |
subjects of the reports and
investigations. The summaries also |
shall include detailed recommended
administrative actions and |
matters for consideration by the General Assembly.
|
|
(Source: P.A. 95-527, eff. 6-1-08 .)
|
Section 50. The Department of Human Services Act is amended |
by changing Section 1-17 as follows: |
(20 ILCS 1305/1-17) |
Sec. 1-17. Inspector General. |
(a) Appointment; powers and duties. The Governor shall |
appoint, and the Senate shall confirm, an Inspector General. |
The Inspector General shall be appointed for a term of 4 years |
and shall function within the Department of Human Services and |
report to the Secretary of Human Services and the Governor. The |
Inspector General shall function independently within the |
Department of Human Services with respect to the operations of |
the office, including the performance of investigations and |
issuance of findings and recommendations. The appropriation |
for the Office of Inspector General shall be separate from the |
overall appropriation for the Department of Human Services. The |
Inspector General shall investigate reports of suspected abuse |
or neglect (as those terms are defined by the Department of |
Human Services) of patients or residents in any mental health |
or developmental disabilities facility operated by the |
Department of Human Services and shall have authority to |
investigate and take immediate action on reports of abuse or |
neglect of recipients, whether patients or residents, in any |
mental health or developmental disabilities facility or |
|
program that is licensed or certified by the Department of |
Human Services (as successor to the Department of Mental Health |
and Developmental Disabilities) or that is funded by the |
Department of Human Services (as successor to the Department of |
Mental Health and Developmental Disabilities) and is not |
licensed or certified by any agency of the State. The Inspector |
General shall also have the authority to investigate alleged or |
suspected cases of abuse, neglect, and exploitation of adults |
with disabilities living in domestic settings in the community |
pursuant to the Abuse of Adults with Disabilities Intervention |
Act (20 ILCS 2435/). At the specific, written request of an |
agency of the State other than the Department of Human Services |
(as successor to the Department of Mental Health and |
Developmental Disabilities), the Inspector General may |
cooperate in investigating reports of abuse and neglect of |
persons with mental illness or persons with developmental |
disabilities. The Inspector General shall have no supervision |
over or involvement in routine, programmatic, licensure, or |
certification operations of the Department of Human Services or |
any of its funded agencies. The Inspector General shall have no |
authority to investigate alleged violations of the State |
Officials and Employees Ethics Act. Allegations of misconduct |
under the State Officials and Employees Ethics Act shall be |
referred to the Office of the Governor's Executive Inspector |
General for investigation. |
The Inspector General shall promulgate rules establishing |
|
minimum requirements for reporting allegations of abuse and |
neglect and initiating, conducting, and completing |
investigations. The promulgated rules shall clearly set forth |
that in instances where 2 or more State agencies could |
investigate an allegation of abuse or neglect, the Inspector |
General shall not conduct an investigation that is redundant to |
an investigation conducted by another State agency. The rules |
shall establish criteria for determining, based upon the nature |
of the allegation, the appropriate method of investigation, |
which may include, but need not be limited to, site visits, |
telephone contacts, or requests for written responses from |
agencies. The rules shall also clarify how the Office of the |
Inspector General shall interact with the licensing unit of the |
Department of Human Services in investigations of allegations |
of abuse or neglect. Any allegations or investigations of |
reports made pursuant to this Act shall remain confidential |
until a final report is completed. The resident or patient who |
allegedly was abused or neglected and his or her legal guardian |
shall be informed by the facility or agency of the report of |
alleged abuse or neglect. Final reports regarding |
unsubstantiated or unfounded allegations shall remain |
confidential, except that final reports may be disclosed |
pursuant to Section 6 of the Abused and Neglected Long Term |
Care Facility Residents Reporting Act. |
For purposes of this Section, "required reporter" means a |
person who suspects, witnesses, or is informed of an allegation |
|
of abuse and neglect at a State-operated facility or a |
community agency and who is either: (i) a person employed at a |
State-operated facility or a community agency on or off site |
who is providing or monitoring services to an individual or |
individuals or is providing services to the State-operated |
facility or the community agency; or (ii) any person or |
contractual agent of the Department of Human Services involved |
in providing, monitoring, or administering mental health or |
developmental services, including, but not limited to, payroll |
personnel, contractors, subcontractors, and volunteers. A |
required reporter shall report the allegation of abuse or |
neglect, or cause a report to be made, to the Office of the |
Inspector General (OIG) Hotline no later than 4 hours after the |
initial discovery of the incident of alleged abuse or neglect. |
A required reporter as defined in this paragraph who willfully |
fails to comply with the reporting requirement is guilty of a |
Class A misdemeanor. |
For purposes of this Section, "State-operated facility" |
means a mental health facility or a developmental disability |
facility as defined in Sections 1-114 and 1-107 of the Mental |
Health and Developmental Disabilities Code. |
For purposes of this Section, "community agency" or |
"agency" means any community entity or program providing mental |
health or developmental disabilities services that is |
licensed, certified, or funded by the Department of Human |
Services and is not licensed or certified by an other human |
|
services agency of the State (for example, the Department of |
Public Health, the Department of Children and Family Services, |
or the Department of Healthcare and Family Services). |
When the Office of the Inspector General has substantiated |
a case of abuse or neglect, the Inspector General shall include |
in the final report any mitigating or aggravating circumstances |
that were identified during the investigation. Upon |
determination that a report of neglect is substantiated, the |
Inspector General shall then determine whether such neglect |
rises to the level of egregious neglect. |
(b) Department of State Police. The Inspector General |
shall, within 24 hours after determining that a reported |
allegation of suspected abuse or neglect indicates that any |
possible criminal act has been committed or that special |
expertise is required in the investigation, immediately notify |
the Department of State Police or the appropriate law |
enforcement entity. The Department of State Police shall |
investigate any report from a State-operated facility |
indicating a possible murder, rape, or other felony. All |
investigations conducted by the Inspector General shall be |
conducted in a manner designed to ensure the preservation of |
evidence for possible use in a criminal prosecution. |
(b-5) Preliminary report of investigation; facility or |
agency response. The Inspector General shall make a |
determination to accept or reject a preliminary report of the |
investigation of alleged abuse or neglect based on established |
|
investigative procedures. Notice of the Inspector General's |
determination must be given to the person who claims to be the |
victim of the abuse or neglect, to the person or persons |
alleged to have been responsible for abuse or neglect, and to |
the facility or agency. The facility or agency or the person or |
persons alleged to have been responsible for the abuse or |
neglect and the person who claims to be the victim of the abuse |
or neglect may request clarification or reconsideration based |
on additional information. For cases where the allegation of |
abuse or neglect is substantiated, the Inspector General shall |
require the facility or agency to submit a written response. |
The written response from a facility or agency shall address in |
a concise and reasoned manner the actions that the agency or |
facility will take or has taken to protect the resident or |
patient from abuse or neglect, prevent reoccurrences, and |
eliminate problems identified and shall include implementation |
and completion dates for all such action. |
(c) Inspector General's report; facility's or agency's |
implementation reports. The Inspector General shall, within 10 |
calendar days after the transmittal date of a completed |
investigation where abuse or neglect is substantiated or |
administrative action is recommended, provide a complete |
report on the case to the Secretary of Human Services and to |
the agency in which the abuse or neglect is alleged to have |
happened. The complete report shall include a written response |
from the agency or facility operated by the State to the |
|
Inspector General that addresses in a concise and reasoned |
manner the actions that the agency or facility will take or has |
taken to protect the resident or patient from abuse or neglect, |
prevent reoccurrences, and eliminate problems identified and |
shall include implementation and completion dates for all such |
action. The Secretary of Human Services shall accept or reject |
the response and establish how the Department will determine |
whether the facility or program followed the approved response. |
The Secretary may require Department personnel to visit the |
facility or agency for training, technical assistance, |
programmatic, licensure, or certification purposes. |
Administrative action, including sanctions, may be applied |
should the Secretary reject the response or should the facility |
or agency fail to follow the approved response. Within 30 days |
after the Secretary has approved a response, the facility or |
agency making the response shall provide an implementation |
report to the Inspector General on the status of the corrective |
action implemented. Within 60 days after the Secretary has |
approved the response, the facility or agency shall send notice |
of the completion of the corrective action or shall send an |
updated implementation report. The facility or agency shall |
continue sending updated implementation reports every 60 days |
until the facility or agency sends a notice of the completion |
of the corrective action. The Inspector General shall review |
any implementation plan that takes more than 120 days. The |
Inspector General shall monitor compliance through a random |
|
review of completed corrective actions. This monitoring may |
include, but need not be limited to, site visits, telephone |
contacts, or requests for written documentation from the |
facility or agency to determine whether the facility or agency |
is in compliance with the approved response. The facility or |
agency shall inform the resident or patient and the legal |
guardian whether the reported allegation was substantiated, |
unsubstantiated, or unfounded. There shall be an appeals |
process for any person or agency that is subject to any action |
based on a recommendation or recommendations. |
(d) Sanctions. The Inspector General may recommend to the |
Departments of Public Health and Human Services sanctions to be |
imposed against mental health and developmental disabilities |
facilities under the jurisdiction of the Department of Human |
Services for the protection of residents, including |
appointment of on-site monitors or receivers, transfer or |
relocation of residents, and closure of units. The Inspector |
General may seek the assistance of the Attorney General or any |
of the several State's Attorneys in imposing such sanctions. |
Whenever the Inspector General issues any recommendations to |
the Secretary of Human Services, the Secretary shall provide a |
written response. |
(e) Training programs. The Inspector General shall |
establish and conduct periodic training programs for |
Department of Human Services employees and community agency |
employees concerning the prevention and reporting of neglect |
|
and abuse. |
(f) Access to facilities. The Inspector General shall at |
all times be granted access to any mental health or |
developmental disabilities facility operated by the Department |
of Human Services, shall establish and conduct unannounced site |
visits to those facilities at least once annually, and shall be |
granted access, for the purpose of investigating a report of |
abuse or neglect, to the records of the Department of Human |
Services and to any facility or program funded by the |
Department of Human Services that is subject under the |
provisions of this Section to investigation by the Inspector |
General for a report of abuse or neglect. |
(g) Other investigations. Nothing in this Section shall |
limit investigations by the Department of Human Services that |
may otherwise be required by law or that may be necessary in |
that Department's capacity as the central administrative |
authority responsible for the operation of State mental health |
and developmental disability facilities. |
(g-5) Health care worker registry. After notice and an |
opportunity for a hearing that is separate and distinct from |
the Office of the Inspector General's appeals process as |
implemented under subsection (c) of this Section, the Inspector |
General shall report to the Department of Public Health's |
health care worker registry under Section 3-206.01 of the |
Nursing Home Care Act the identity of individuals against whom |
there has been a substantiated finding of physical or sexual |
|
abuse or egregious neglect of a service recipient. |
Nothing in this subsection shall diminish or impair the |
rights of a person who is a member of a collective bargaining |
unit pursuant to the Illinois Public Labor Relations Act or |
pursuant to any federal labor statute. An individual who is a |
member of a collective bargaining unit as described above shall |
not be reported to the Department of Public Health's health |
care worker registry until the exhaustion of that individual's |
grievance and arbitration rights, or until 3 months after the |
initiation of the grievance process, whichever occurs first, |
provided that the Department of Human Services' hearing under |
this subsection regarding the reporting of an individual to the |
Department of Public Health's health care worker registry has |
concluded. Notwithstanding anything hereinafter or previously |
provided, if an action taken by an employer against an |
individual as a result of the circumstances that led to a |
finding of physical or sexual abuse or egregious neglect is |
later overturned under a grievance or arbitration procedure |
provided for in Section 8 of the Illinois Public Labor |
Relations Act or under a collective bargaining agreement, the |
report must be removed from the registry. |
The Department of Human Services shall promulgate or amend |
rules as necessary or appropriate to establish procedures for |
reporting to the registry, including the definition of |
egregious neglect, procedures for notice to the individual and |
victim, appeal and hearing procedures, and petition for removal |
|
of the report from the registry. The portion of the rules |
pertaining to hearings shall provide that, at the hearing, both |
parties may present written and oral evidence. The Department |
shall be required to establish by a preponderance of the |
evidence that the Office of the Inspector General's finding of |
physical or sexual abuse or egregious neglect warrants |
reporting to the Department of Public Health's health care |
worker registry under Section 3-206.01 of the Nursing Home Care |
Act. |
Notice to the individual shall include a clear and concise |
statement of the grounds on which the report to the registry is |
based and notice of the opportunity for a hearing to contest |
the report. The Department of Human Services shall provide the |
notice by certified mail to the last known address of the |
individual. The notice shall give the individual an opportunity |
to contest the report in a hearing before the Department of |
Human Services or to submit a written response to the findings |
instead of requesting a hearing. If the individual does not |
request a hearing or if after notice and a hearing the |
Department of Human Services finds that the report is valid, |
the finding shall be included as part of the registry, as well |
as a brief statement from the reported individual if he or she |
chooses to make a statement. The Department of Public Health |
shall make available to the public information reported to the |
registry. In a case of inquiries concerning an individual |
listed in the registry, any information disclosed concerning a |
|
finding of abuse or neglect shall also include disclosure of |
the individual's brief statement in the registry relating to |
the reported finding or include a clear and accurate summary of |
the statement. |
At any time after the report of the registry, an individual |
may petition the Department of Human Services for removal from |
the registry of the finding against him or her. Upon receipt of |
such a petition, the Department of Human Services shall conduct |
an investigation and hearing on the petition. Upon completion |
of the investigation and hearing, the Department of Human |
Services shall report the removal of the finding to the |
registry unless the Department of Human Services determines |
that removal is not in the public interest. |
(h) Quality Care Board. There is created, within the Office |
of the Inspector General, a Quality Care Board to be composed |
of 7 members appointed by the Governor with the advice and |
consent of the Senate. One of the members shall be designated |
as chairman by the Governor. Of the initial appointments made |
by the Governor, 4 Board members shall each be appointed for a |
term of 4 years and 3 members shall each be appointed for a |
term of 2 years. Upon the expiration of each member's term, a |
successor shall be appointed for a term of 4 years. In the case |
of a vacancy in the office of any member, the Governor shall |
appoint a successor for the remainder of the unexpired term. |
Members appointed by the Governor shall be qualified by |
professional knowledge or experience in the area of law, |
|
investigatory techniques, or in the area of care of the |
mentally ill or developmentally disabled. Two members |
appointed by the Governor shall be persons with a disability or |
a parent of a person with a disability. Members shall serve |
without compensation, but shall be reimbursed for expenses |
incurred in connection with the performance of their duties as |
members. |
The Board shall meet quarterly, and may hold other meetings |
on the call of the chairman. Four members shall constitute a |
quorum. The Board may adopt rules and regulations it deems |
necessary to govern its own procedures. |
(i) Scope and function of the Quality Care Board. The Board |
shall monitor and oversee the operations, policies, and |
procedures of the Inspector General to assure the prompt and |
thorough investigation of allegations of neglect and abuse. In |
fulfilling these responsibilities, the Board may do the |
following: |
(1) Provide independent, expert consultation to the |
Inspector General on policies and protocols for |
investigations of alleged neglect and abuse. |
(2) Review existing regulations relating to the |
operation of facilities under the control of the Department |
of Human Services. |
(3) Advise the Inspector General as to the content of |
training activities authorized under this Section. |
(4) Recommend policies concerning methods for |
|
improving the intergovernmental relationships between the |
Office of the Inspector General and other State or federal |
agencies. |
(j) Investigators. The Inspector General shall establish a |
comprehensive program to ensure that every person employed or |
newly hired to conduct investigations shall receive training on |
an on-going basis concerning investigative techniques, |
communication skills, and the appropriate means of contact with |
persons admitted or committed to the mental health or |
developmental disabilities facilities under the jurisdiction |
of the Department of Human Services. |
(k) Subpoenas; testimony; penalty. The Inspector General |
shall have the power to subpoena witnesses and compel the |
production of books and papers pertinent to an investigation |
authorized by this Act, provided that the power to subpoena or |
to compel the production of books and papers shall not extend |
to the person or documents of a labor organization or its |
representatives insofar as the person or documents of a labor |
organization relate to the function of representing an employee |
subject to investigation under this Act. Mental health records |
of patients shall be confidential as provided under the Mental |
Health and Developmental Disabilities Confidentiality Act. Any |
person who fails to appear in response to a subpoena or to |
answer any question or produce any books or papers pertinent to |
an investigation under this Act, except as otherwise provided |
in this Section, or who knowingly gives false testimony in |
|
relation to an investigation under this Act is guilty of a |
Class A misdemeanor. |
(l) Annual report. The Inspector General shall provide to |
the General Assembly and the Governor, no later than January 1 |
of each year, a summary of reports and investigations made |
under this Act for the prior fiscal year with respect to |
residents of institutions under the jurisdiction of the |
Department of Human Services. The report shall detail the |
imposition of sanctions and the final disposition of those |
recommendations. The summaries shall not contain any |
confidential or identifying information concerning the |
subjects of the reports and investigations. The report shall |
also include a trend analysis of the number of reported |
allegations and their disposition, for each facility and |
Department-wide, for the most recent 3-year time period and a |
statement, for each facility, of the staffing-to-patient |
ratios. The ratios shall include only the number of direct care |
staff. The report shall also include detailed recommended |
administrative actions and matters for consideration by the |
General Assembly. |
(m) Program audit. The Auditor General shall conduct a |
biennial program audit of the Office of the Inspector General |
in relation to the Inspector General's compliance with this |
Act. The audit shall specifically include the Inspector |
General's effectiveness in investigating reports of alleged |
neglect or abuse of residents in any facility operated by the |
|
Department of Human Services and in making recommendations for |
sanctions to the Departments of Human Services and Public |
Health. The Auditor General shall conduct the program audit |
according to the provisions of the Illinois State Auditing Act |
and shall report its findings to the General Assembly no later |
than January 1 of each odd-numbered year.
|
(Source: P.A. 95-545, eff. 8-28-07.) |
Section 55. The Governor's Office of Management and Budget |
Act is amended by changing Section 1 and by adding Sections 7.1 |
and 7.2 as follows:
|
(20 ILCS 3005/1) (from Ch. 127, par. 411)
|
Sec. 1. Definitions.
|
"Capital expenditure" means money spent for replacing, |
remodeling, expanding,
or acquiring facilities, buildings or |
land owned directly by the State through
any State department, |
authority, public corporation of the State, State
college or |
university, or any other public agency created by the State,
|
but not units of local government or school districts.
|
"Director" means the Director of the Governor's Office of |
Management and
Budget.
|
"Office" means the Governor's Office of Management and |
Budget.
|
"State Agency," whether used in the singular or plural, |
means all
Departments, Officers, Commissions, Boards, |
|
Institutions and bodies,
politic and corporate of the State, |
including the Offices of Clerk of
the Supreme Court and Clerks |
of the Appellate Courts; except it shall
not mean the several |
Courts of the State, nor the Legislature, its
Committees or |
Commissions, nor the Constitutionally elected State
Officers , |
nor the Executive Ethics Commission, nor the Offices of |
Executive Inspectors General .
|
(Source: P.A. 93-25, eff. 6-20-03.)
|
(20 ILCS 3005/7.1 new) |
Sec. 7.1. Transparency in finance. Upon request by the |
President of the Senate, the Speaker of the House of |
Representatives, or the Minority Leaders of the Senate and |
House of Representatives, the Office shall provide a summary of |
all formal presentations submitted by the Office to credit |
rating agencies or potential investors in State bonds. Within |
10 business days after the submission of State financial |
information to credit rating agencies or potential investors in |
State bonds, a summary of the submitted information shall be |
provided to the legislative leaders and posted on the Office's |
website. Notwithstanding any provision to the contrary, the |
Office shall not release any information that is not subject to |
disclosure under the Freedom of Information Act. |
(20 ILCS 3005/7.2 new) |
Sec. 7.2. Quarterly financial reports. The Office shall |
|
prepare and publish a quarterly financial report to update the |
public and the General Assembly on the status of the State's |
finances. At a minimum, each report shall include the following |
information: |
(1) A review of the State's economic outlook. |
(2) A review of general funds revenue performance, both |
quarterly and year to date, and an evaluation of that |
performance. |
(3) The outlook for future general funds revenue |
performance, including projections of future general funds |
revenues. |
(4) An assessment of the State's financial position, |
including a summary of general fund receipts, transfers, |
expenditures, and liabilities. |
(5) A review of Statewide employment statistics. |
(6) Other information necessary to present the status |
of the State's finances. |
In addition, the fourth quarter report for each fiscal year |
shall include a summary of fiscal and balanced budget notes |
issued by the Office to the General Assembly during the prior |
legislative session. Each report shall be posted on the |
Office's website within 45 days. |
Section 60. The General Assembly Compensation Act is |
amended by changing Section 4 as follows: |
|
(25 ILCS 115/4) (from Ch. 63, par. 15.1)
|
Sec. 4. Office allowance. Beginning July 1, 2001, each |
member
of the House
of Representatives is authorized to approve |
the expenditure of not more than
$61,000 per year and each |
member of the
Senate is authorized to approve the
expenditure |
of not more than $73,000 per
year to pay for "personal |
services",
"contractual services", "commodities", "printing", |
"travel",
"operation of automotive equipment", |
"telecommunications services", as
defined in the State Finance |
Act, and the compensation of one or more
legislative assistants |
authorized pursuant to this Section, in connection
with his or |
her legislative duties and not in connection with any political
|
campaign.
On July 1, 2002 and on July 1 of each year |
thereafter, the amount authorized
per year under this Section |
for each member of the Senate and each member of
the House of |
Representatives shall be increased by a percentage increase
|
equivalent to the lesser of (i) the increase in the designated |
cost of living
index or (ii) 5%. The designated cost of living |
index is the index known as
the "Employment Cost Index, Wages |
and Salaries, By
Occupation and Industry Groups: State and |
Local Government Workers: Public
Administration" as published |
by the Bureau of Labor Statistics of the U.S.
Department of |
Labor for the calendar year immediately preceding the year of |
the
respective July 1st increase date. The increase shall be |
added to the then
current amount, and the adjusted amount so |
determined shall be the annual
amount beginning July 1 of the |
|
increase year until July 1 of the next year. No
increase under |
this provision shall be less than zero.
|
A member may purchase office equipment if the member |
certifies
to the Secretary of the Senate or the Clerk of the |
House, as applicable,
that the purchase price, whether paid in |
lump sum or installments, amounts
to less than would be charged |
for renting or leasing the equipment over
its anticipated |
useful life. All such equipment must be purchased through
the |
Secretary of the Senate or the Clerk of the House, as |
applicable, for
proper identification and verification of |
purchase.
|
Each member of the General Assembly is authorized to employ |
one or more
legislative assistants, who shall be solely under |
the direction and control
of that member, for the purpose of |
assisting the member in the performance
of his or her official |
duties. A legislative assistant may be employed
pursuant to |
this Section as a full-time employee, part-time employee, or
|
contractual employee, at
the discretion of the member. If |
employed as a State employee, a
legislative assistant shall |
receive employment benefits on the same terms
and conditions |
that apply to other employees of the General Assembly.
Each |
member shall adopt and implement personnel policies
for |
legislative assistants under his or her direction and
control |
relating to work time requirements, documentation for |
reimbursement for
travel on official State business, |
compensation, and the earning and accrual of
State benefits for |
|
those legislative assistants who may be eligible to receive
|
those benefits.
The policies shall also require legislative |
assistants to
periodically submit time sheets documenting, in |
quarter-hour increments, the
time
spent each day on official |
State business.
The
policies shall require the time sheets to |
be submitted on paper,
electronically, or both and to be |
maintained in either paper or electronic
format by the |
applicable fiscal office
for a period of at least 2 years.
|
Contractual employees may satisfy
the time sheets requirement |
by complying with the terms of their contract,
which shall |
provide for a means of compliance with this requirement.
A |
member may
satisfy the requirements of this paragraph by |
adopting and implementing the
personnel policies promulgated |
by that
member's legislative leader under the State Officials |
and Employees Ethics
Act
with respect to that member's |
legislative
assistants.
|
As used in this Section the term "personal services" shall |
include
contributions of the State under the Federal Insurance |
Contribution Act and
under Article 14 of the Illinois Pension |
Code. As used in this Section the
term "contractual services" |
shall not include improvements to real property
unless those |
improvements are the obligation of the lessee under the lease
|
agreement. Beginning July 1, 1989, as used in the Section, the |
term "travel"
shall be limited to travel in connection with a |
member's legislative duties and
not in connection with any |
political campaign. Beginning on the effective
date of this |
|
amendatory Act of the 93rd General Assembly, as
used
in this |
Section, the term "printing" includes, but is not limited to,
|
newsletters,
brochures, certificates,
congratulatory
mailings,
|
greeting or welcome messages, anniversary or
birthday cards, |
and congratulations for prominent achievement cards. As used
in |
this Section, the term "printing" includes fees for |
non-substantive
resolutions charged by the Clerk of the House |
of Representatives under
subsection (c-5) of Section 1 of the |
Legislative Materials Act.
No newsletter or brochure that is |
paid for, in whole or in part, with
funds
provided under this |
Section may be printed or mailed during a period
beginning |
December 15 of the year preceding a general primary
election |
and ending the day after the general primary election and |
during a
period beginning September 1 of the year of a general |
election and ending the
day after the general election, except |
that such a newsletter or brochure may
be mailed during
those |
times if it is mailed to a constituent in response to that |
constituent's
inquiry concerning the needs of that constituent |
or questions raised by that
constituent.
Nothing in
this |
Section shall be construed to authorize expenditures for |
lodging and meals
while a member is in attendance at sessions |
of the General Assembly.
|
Any utility bill for service provided to a member's |
district office for
a period including portions of 2 |
consecutive fiscal years may be paid from
funds appropriated |
for such expenditure in either fiscal year.
|
|
If a vacancy occurs in the office of Senator or |
Representative in the General
Assembly, any office equipment in |
the possession of the vacating member
shall transfer to the |
member's successor; if the successor does not want
such |
equipment, it shall be transferred to the Secretary of the |
Senate or
Clerk of the House of Representatives, as the case |
may be, and if not
wanted by other members of the General |
Assembly then to the Department of
Central Management Services |
for treatment as surplus property under the
State Property |
Control Act. Each member, on or before June 30th of each
year, |
shall conduct an inventory of all equipment purchased pursuant |
to
this Act. Such inventory shall be filed with the Secretary |
of the Senate
or the Clerk of the House, as the case may be. |
Whenever a vacancy occurs,
the Secretary of the Senate or the |
Clerk of the House, as the case may be,
shall conduct an |
inventory of equipment purchased.
|
In the event that a member leaves office during his or her |
term, any
unexpended or unobligated portion of the allowance |
granted under this Section
shall lapse. The vacating member's |
successor shall be granted an allowance
in an amount, rounded |
to the nearest dollar, computed by dividing the annual
|
allowance by 365 and multiplying the quotient by the number of |
days remaining
in the fiscal year.
|
From any appropriation for the purposes of this Section for |
a
fiscal year which overlaps 2 General Assemblies, no more than |
1/2 of the
annual allowance per member may be spent or |
|
encumbered by any member of
either the outgoing or incoming |
General Assembly, except that any member
of the incoming |
General Assembly who was a member of the outgoing General
|
Assembly may encumber or spend any portion of his annual |
allowance within
the fiscal year.
|
The appropriation for the annual allowances permitted by |
this Section
shall be included in an appropriation to the |
President of the Senate and to
the Speaker of the House of |
Representatives for their respective members.
The President of |
the Senate and the Speaker of the House shall voucher for
|
payment individual members' expenditures from their annual |
office
allowances to the State Comptroller, subject to the |
authority of the
Comptroller under Section 9 of the State |
Comptroller Act.
|
Nothing in this Section prohibits the expenditure of |
personal funds or the funds of a political committee controlled |
by an officeholder to defray the customary and reasonable |
expenses of an officeholder in connection with the performance |
of governmental and public service functions. |
(Source: P.A. 95-6, eff. 6-20-07.)
|
Section 65. The Lobbyist Registration Act is amended by |
changing Sections 2, 3, 3.1, 5, 6, 7, 10, and 11 and by adding |
Sections 4.5 and 11.3 as follows:
|
(25 ILCS 170/2) (from Ch. 63, par. 172)
|
|
Sec. 2. Definitions. As used in this Act, unless the |
context otherwise
requires:
|
(a) "Person" means any individual, firm, partnership, |
committee,
association, corporation, or any other organization |
or group of persons.
|
(b) "Expenditure" means a payment, distribution, loan, |
advance, deposit,
or gift of money or anything of value, and |
includes a contract, promise, or
agreement, whether or not |
legally enforceable, to make an expenditure, for
the ultimate |
purpose of influencing executive, legislative, or |
administrative
action, other than compensation as defined in |
subsection (d).
|
(c) "Official" means:
|
(1) the Governor, Lieutenant Governor, Secretary of |
State, Attorney
General, State Treasurer, and State |
Comptroller;
|
(2) Chiefs of Staff for officials described in item |
(1);
|
(3) Cabinet members of any elected constitutional |
officer, including
Directors, Assistant Directors and |
Chief Legal Counsel or General Counsel;
|
(4) Members of the General Assembly.
|
(d) "Compensation" means any money, thing of value or |
financial benefits
received or to be received in return for |
services rendered or to be
rendered, for lobbying as defined in |
subsection (e).
|
|
Monies paid to members of the General Assembly by the State |
as
remuneration for performance of their Constitutional and |
statutory duties
as members of the General Assembly shall not |
constitute compensation as
defined by this Act.
|
(e) "Lobby" and "lobbying"
"Lobbying" means any |
communication with an official of the
executive or legislative |
branch of State government as defined in subsection
(c) for the |
ultimate purpose of influencing any executive, legislative, or
|
administrative action.
|
(f) "Influencing" means any communication, action, |
reportable
expenditure as prescribed in Section 6 or other |
means used to promote,
support, affect, modify, oppose or delay |
any executive, legislative or
administrative action or to |
promote goodwill with officials as defined in
subsection (c).
|
(g) "Executive action" means the proposal, drafting, |
development,
consideration, amendment, adoption, approval, |
promulgation, issuance,
modification, rejection or |
postponement by a State entity of a rule,
regulation, order, |
decision, determination, contractual arrangement, purchasing
|
agreement or other quasi-legislative or quasi-judicial action |
or proceeding.
|
(h) "Legislative action" means the development, drafting, |
introduction,
consideration, modification, adoption, |
rejection, review, enactment, or passage
or defeat of any bill, |
amendment, resolution, report, nomination,
administrative rule |
or other matter by either house of the General Assembly or
a |
|
committee thereof, or by a legislator. Legislative action also |
means the
action of the Governor in approving or vetoing any |
bill or portion thereof, and
the action of the Governor or any |
agency in the development of a proposal for
introduction in the |
legislature.
|
(i) "Administrative action" means the execution or |
rejection of any rule,
regulation, legislative rule, standard, |
fee, rate, contractual arrangement,
purchasing agreement or |
other delegated legislative or quasi-legislative action
to be |
taken or withheld by any executive agency, department, board or
|
commission of the State.
|
(j) "Lobbyist" means any natural person who undertakes to |
lobby State government
as provided in subsection (e).
|
(k) "Lobbying entity" means any entity that hires, retains, |
employs, or compensates a natural person to lobby State |
government as provided in subsection (e).
|
(Source: P.A. 88-187.)
|
(25 ILCS 170/3) (from Ch. 63, par. 173)
|
Sec. 3. Persons required to register.
|
(a) Except as provided in Section
Sections 4 and 9, any |
natural
the following persons shall
register with the Secretary |
of State as provided herein: (1) Any person who, for |
compensation or otherwise,
undertakes to lobby, or any
either |
individually or as an employee or contractual employee of |
another
person, undertakes to influence executive, legislative |
|
or administrative
action. (2) Any person or entity who employs |
another person for the purposes
of lobbying, shall register |
with the Secretary of State as provided in this Act, unless |
that person or entity qualifies for one or more of the |
following exemptions
influencing executive, legislative or |
administrative action .
|
(1) Persons or entities who, for the purpose of |
influencing executive, legislative, or administrative |
action and who do not make expenditures that are reportable |
pursuant to Section 6, appear without compensation or |
promise thereof only as witnesses before committees of the |
House and Senate for the purpose of explaining or arguing |
for or against the passage of or action upon any |
legislation then pending before those committees, or who |
seek without compensation or promise thereof the approval |
or veto of any legislation by the Governor. |
(1.4) A unit of local government or a school district. |
(1.5) An elected or appointed official or an employee |
of a unit of local government or school district who, in |
the scope of his or her public office or employment, seeks |
to influence executive, legislative, or administrative |
action exclusively on behalf of that unit of local |
government or school district. |
(2) Persons or entities who own, publish, or are |
employed by a newspaper or other regularly published |
periodical, or who own or are employed by a radio station, |
|
television station, or other bona fide news medium that in |
the ordinary course of business disseminates news, |
editorial or other comment, or paid advertisements that |
directly urge the passage or defeat of legislation. This |
exemption is not applicable to such an individual insofar |
as he or she receives additional compensation or expenses |
from some source other than the bona fide news medium for |
the purpose of influencing executive, legislative, or |
administrative action. This exemption does not apply to |
newspapers and periodicals owned by or published by trade |
associations and not-for-profit corporations engaged |
primarily in endeavors other than dissemination of news. |
(3) Persons or entities performing professional |
services in drafting bills or in advising and rendering |
opinions to clients as to the construction and effect of |
proposed or pending legislation when those professional |
services are not otherwise, directly or indirectly, |
connected with executive, legislative, or administrative |
action. |
(4) Persons or entities who are employees of |
departments, divisions, or agencies of State government |
and who appear before committees of the House and Senate |
for the purpose of explaining how the passage of or action |
upon any legislation then pending before those committees |
will affect those departments, divisions, or agencies of |
State government. |
|
(5) Employees of the General Assembly, legislators, |
legislative agencies, and legislative commissions who, in |
the course of their official duties only, engage in |
activities that otherwise qualify as lobbying. |
(6) Persons or entities in possession of technical |
skills and knowledge relevant to certain areas of |
executive, legislative, or administrative actions, whose |
skills and knowledge would be helpful to officials when |
considering those actions, whose activities are limited to |
making occasional appearances for or communicating on |
behalf of a registrant, and who do not make expenditures |
that are reportable pursuant to Section 6 even though |
receiving expense reimbursement for those occasional |
appearances. |
(7) Any full-time employee of a bona fide church or |
religious organization who represents that organization |
solely for the purpose of protecting the right of the |
members thereof to practice the religious doctrines of that |
church or religious organization, or any such bona fide |
church or religious organization. |
(8) Persons who receive no compensation other than |
reimbursement for expenses of up to $500 per year while |
engaged in lobbying State government, unless those persons |
make expenditures that are reportable under Section 6. |
(9) Any attorney or group or firm of attorneys in the |
course of representing a client in any administrative or |
|
judicial proceeding, or any witness providing testimony in |
any administrative or judicial proceeding, in which ex |
parte communications are not allowed and who does not make |
expenditures that are reportable pursuant to Section 6. |
(10) Persons or entities who, in the scope of their |
employment as a vendor, offer or solicit an official for |
the purchase of any goods or services when (1) the |
solicitation is limited to either an oral inquiry or |
written advertisements and informative literature; or (2) |
the goods and services are subject to competitive bidding |
requirements of the Illinois Procurement Code; or (3) the |
goods and services are for sale at a cost not to exceed |
$5,000; and (4) the persons or entities do not make |
expenditures that are reportable under Section 6.
|
(b) It is a violation of this Act to engage in lobbying or |
to employ any
person for the purpose of lobbying who is not |
registered with the Office of the
Secretary of State, except |
upon condition that the person register and the
person does in |
fact register within 2 business days after being employed or |
retained for lobbying services.
|
(Source: P.A. 93-615, eff. 11-19-03.)
|
(25 ILCS 170/3.1)
|
Sec. 3.1. Prohibition on serving on boards and commissions.
|
Notwithstanding any other law of this State, on and after |
February 1, 2004,
but not before that date, a person required |
|
to be registered
under this Act, his or her spouse, and his or |
her immediate family members
living with that person may not
|
serve on a board, commission, authority, or task force |
authorized or created
by State law or by executive order of the |
Governor if the lobbyist is engaged in the same subject area as |
defined in Section 5(c-6) as the board or commission ; except |
that this
restriction does not apply to any of the
following:
|
(1) a registered lobbyist, his or her spouse, or any |
immediate family
member living with the registered |
lobbyist, who is serving in an elective
public office, |
whether
elected or appointed to fill a vacancy; and
|
(2) a registered lobbyist, his or her spouse, or any |
immediate family
member living with the registered |
lobbyist, who is serving on a State
advisory body
that |
makes nonbinding recommendations to an agency of State |
government
but does not make binding recommendations or |
determinations or take any
other substantive action.
|
(Source: P.A. 93-615, eff. 11-19-03; 93-617, eff. 12-9-03.)
|
(25 ILCS 170/4.5 new) |
Sec. 4.5. Ethics training. Each person required to register |
under this Act must complete a program of ethics training |
provided by the Secretary of State. A person registered under |
this Act must complete the training program during each |
calendar year the person remains registered. If the Secretary |
of State uses the ethics training developed in accordance with |
|
Section 5-10 of the State Officials and Employees Ethics Act, |
that training must be expanded to include appropriate |
information about the requirements, responsibilities, and |
opportunities imposed by or arising under this Act, including |
reporting requirements. |
The Secretary of State shall adopt rules for the |
implementation of this Section. |
(25 ILCS 170/5)
|
Sec. 5. Lobbyist registration and disclosure. Every person |
required to
register under Section 3 shall
before any service
|
is performed which requires the person to register, but in any |
event not
later than 2 business days after being employed or |
retained, and on or before
each
January 31 and July 31 |
thereafter, file in the Office of the
Secretary of State a |
written statement in a format prescribed by the Secretary of |
State containing the
following
information
with respect to each |
person or entity
employing or retaining the person required to |
register:
|
(a) The registrant's name, permanent address, e-mail
|
address, if any,
fax
number, if any, business telephone |
number, and temporary address, if the
registrant has a |
temporary address while lobbying.
|
(a-5) If the registrant is an organization or business |
entity, the
information required under subsection (a) for |
each person associated with the
registrant who will be |
|
lobbying,
regardless of whether lobbying is a significant |
part of his or her duties.
|
(b) The name and address of the person or persons |
employing or retaining
registrant to perform such services |
or on whose behalf the registrant appears.
|
(c) A brief description of the executive, legislative, |
or administrative
action in reference to which such service |
is to be rendered.
|
(c-5) Each executive and legislative branch agency the |
registrant
expects
to lobby during the registration |
period.
|
(c-6) The nature of the client's business, by |
indicating all
of the following categories that apply: (1) |
banking and financial services, (2)
manufacturing, (3) |
education, (4) environment, (5) healthcare, (6)
insurance, |
(7) community interests, (8) labor, (9) public relations or
|
advertising, (10) marketing or sales, (11) hospitality, |
(12) engineering,
(13) information or technology products |
or services, (14) social services,
(15) public utilities, |
(16) racing or wagering, (17) real estate or
construction, |
(18) telecommunications, (19) trade or professional
|
association, (20) travel or tourism, (21) transportation, |
and (22) other
(setting forth the nature of that other |
business).
|
The registrant must file an amendment to the statement |
within 14 calendar
days
to report any substantial change or |
|
addition to the information previously
filed, except that a |
registrant must file an amendment to the statement to
disclose |
a new agreement to retain the registrant for lobbying services
|
before any service is performed which requires the person to |
register, but in
any event not later than 2 business days after |
entering into the retainer
agreement.
|
Not later than 12 months after the effective date of this |
amendatory
Act of the 93rd General Assembly, or as soon |
thereafter as the Secretary of
State has provided adequate |
software to the persons required to file, all
statements and |
amendments to statements required to be filed shall be filed
|
electronically. The Secretary of State shall promptly make all |
filed
statements and amendments to statements publicly |
available by means of a
searchable database that is accessible |
through the World Wide Web. The
Secretary of State shall |
provide all software necessary to comply with this
provision to |
all persons required to file. The Secretary of State shall
|
implement a plan to provide computer access and assistance to |
persons
required to file electronically.
|
All Persons required to register under this Act prior to |
July 1, 2003,
shall
remit a single, annual and nonrefundable |
$50 registration fee.
All fees collected for registrations |
prior to July 1, 2003, shall be deposited
into the Lobbyist |
Registration Administration Fund for administration and
|
enforcement of this Act. Beginning July 1, 2003, all persons |
other than
entities qualified under Section 501(c)(3) of the |
|
Internal Revenue Code
required to register under this Act shall |
remit a single, annual, and
nonrefundable $1,000 $350 |
registration fee. Entities required to register under this
Act
|
which are qualified under Section 501(c)(3) of the Internal |
Revenue Code shall
remit a single, annual,
and nonrefundable |
$150 registration fee. Each individual required to register
|
under this Act shall submit, on an annual basis, a picture of |
the registrant. A registrant may, in lieu of submitting a
|
picture on an annual basis, authorize the Secretary of State to |
use any photo
identification available in any database |
maintained by the Secretary of State
for other purposes. Of |
each registration fee collected for registrations on
or after |
July 1, 2003, $50 shall be deposited into the Lobbyist
|
Registration Administration Fund for administration and |
enforcement
of this
Act and is intended to be used to implement |
and maintain
electronic
filing of
reports under this Act, the |
next
$100 shall be deposited into the Lobbyist
Registration |
Administration Fund for administration and enforcement of this
|
Act, and any balance shall be deposited into the General |
Revenue Fund , except that amounts resulting from the fee |
increase of this amendatory Act of the 96th General Assembly |
shall be deposited into the Lobbyist Registration |
Administration Fund to be used for the costs of reviewing and |
investigating violations of this Act .
|
(Source: P.A. 93-32, eff. 7-1-03; 93-615, eff. 11-19-03; |
93-617, eff. 12-9-03.)
|
|
(25 ILCS 170/6) (from Ch. 63, par. 176)
|
Sec. 6. Reports.
|
(a) Lobbyist reports. Except as otherwise provided in this |
Section, every lobbyist registered under this Act who is solely |
employed by a lobbying entity
person required to
register as |
prescribed in Section 3 shall file an affirmation
report , |
verified under
oath pursuant to Section 1-109 of the Code of |
Civil Procedure, with
to the
Secretary of
State attesting to |
the accuracy of any reports filed pursuant to subsection (b) as |
those reports pertain to work performed by the lobbyist. Any |
lobbyist registered under this Act who is not solely employed |
by a lobbying entity shall personally file reports required of |
lobbying entities pursuant to subsection (b). A lobbyist may, |
if authorized so to do by a lobbying entity by whom he or she is |
employed or retained, file lobbying entity reports pursuant to |
subsection (b) provided that the lobbying entity may delegate |
the filing of the lobbying entity report to only one lobbyist |
in any reporting period
all expenditures for lobbying made or |
incurred by the lobbyist on his
behalf or the behalf of his |
employer. In the case where an individual is
solely employed by |
another person to perform job related functions any part of
|
which includes lobbying, the employer shall be responsible for |
reporting all
lobbying expenditures incurred on the employer's |
behalf as shall be identified
by the lobbyist to the employer |
preceding such report. Persons who contract
with another person |
|
to perform lobbying activities shall be responsible for
|
reporting all lobbying expenditures incurred on the employer's |
behalf. Any
additional lobbying expenses incurred by the |
employer which are separate and
apart from those incurred by |
the contractual employee shall be reported by the
employer .
|
(b) Lobbying entity reports. Except as otherwise provided |
in this Section, every lobbying entity registered under this |
Act shall report expenditures related to lobbying. The report |
shall itemize each individual expenditure or transaction
over
|
$100 and shall include the name of the official on whose behalf |
the
expenditure
was made, the name of the client on whose |
behalf the expenditure was made , if applicable , the
total |
amount of the expenditure, a description of the expenditure, |
the address and location of the expenditure if the expenditure |
was for an intangible item such as lodging, the date on which |
the expenditure occurred and
the subject matter of the lobbying |
activity, if any.
|
The report shall include the names and addresses of all |
clients who retained the lobbying entity together with an |
itemized description for each client of the following: (1) |
lobbying regarding executive action, including the name of any |
executive agency lobbied and the subject matter; (2) lobbying |
regarding legislative action, including the General Assembly |
and any other agencies lobbied and the subject matter; and (3) |
lobbying regarding administrative action, including the agency |
lobbied and the subject matter. Registrants who made no |
|
reportable expenditures during a reporting period shall file a |
report stating that no expenditures were incurred.
|
Expenditures attributable to lobbying officials shall be |
listed and reported
according to the following categories:
|
(1) travel and lodging on behalf of others.
|
(2) meals, beverages and other entertainment.
|
(3) gifts (indicating which, if any, are on the basis |
of personal friendship) .
|
(4) honoraria.
|
(5) any other thing or service of value not listed |
under categories (1) through (4), setting forth a |
description of the expenditure.
The category travel and |
lodging includes, but is not limited to, all travel and |
living accommodations made for or on behalf of State |
officials in the State capital during sessions of the |
General Assembly.
|
Individual expenditures required to be reported as |
described herein which
are
equal to or less than $100 in value |
need not be itemized but are required to be
categorized and |
reported by officials in an aggregate total in a manner
|
prescribed by rule of the Secretary of State.
|
(b-3) Expenditures incurred for hosting receptions, |
benefits and other large
gatherings held for purposes of |
goodwill or otherwise to influence executive,
legislative or |
administrative action to which there are 25 or more State
|
officials invited shall be reported listing only the total |
|
amount of
the
expenditure, the date of the event, and the |
estimated number of officials in
attendance.
|
(b-5) Each individual expenditure required to be reported |
shall include all
expenses made for or on behalf of State |
officials and their immediate family members of the immediate
|
family of those persons .
|
The category travel and lodging includes, but is not |
limited to, all travel
and living accommodations made for or on |
behalf of State officials in the
capital during sessions of the |
General Assembly.
|
(b-7) Matters excluded from reports. Reasonable and bona |
fide expenditures made by the registrant
who is a member of a |
legislative or State study commission or committee while
|
attending and participating in meetings and hearings of such |
commission or
committee need not be reported.
|
Reasonable and bona fide expenditures made by the |
registrant for personal
sustenance, lodging, travel, office |
expenses and clerical or support staff
need not be reported.
|
Salaries, fees, and other compensation paid to
the |
registrant
for the
purposes of lobbying
need not be
reported.
|
Any contributions required to be reported under Article 9 |
of the Election
Code need not be reported.
|
The report shall include: (1) the name of each State |
government
entity lobbied; (2) whether the lobbying involved |
executive, legislative, or
administrative action, or a |
combination; (3) the names of the persons who
performed the |
|
lobbyist services; and (4) a brief description of the
|
legislative, executive, or administrative action involved.
|
Except as otherwise provided in this subsection, gifts and |
honoraria
returned or reimbursed to the registrant within 30 |
days of the date of
receipt shall not be reported.
|
A gift or honorarium returned or reimbursed to the |
registrant within 10
days after the official receives a copy of |
a report pursuant to Section 6.5
shall not be included in the |
final report unless the registrant informed the
official, |
contemporaneously with the receipt of the gift or honorarium, |
that
the gift or honorarium is a reportable expenditure |
pursuant to this Act.
|
(c) Reports under this Section shall be filed by July 31, |
for expenditures
from the previous January 1 through the later |
of June 30 or the final day of
the regular General Assembly |
session, and by January 31, for expenditures from
the entire |
previous calendar year.
|
Registrants who made no reportable expenditures during a |
reporting period
shall file a report stating that no |
expenditures were incurred. Such reports
shall be filed in |
accordance with the deadlines as prescribed in this
subsection.
|
A registrant who terminates employment or duties which |
required him to
register under this Act shall give the |
Secretary of State, within 30 days after
the date of such |
termination, written notice of such termination and shall
|
include therewith a report of the expenditures described |
|
herein, covering the
period of time since the filing of his |
last report to the date of termination
of employment. Such |
notice and report shall be final and relieve such
registrant of |
further reporting under this Act, unless and until he later |
takes
employment or assumes duties requiring him to again |
register under this Act.
|
(d) Failure to file any such report within the time |
designated or the
reporting of incomplete information shall |
constitute a violation of this Act.
|
A registrant shall preserve for a period of 2 years all |
receipts and records
used in preparing reports under this Act.
|
(e) Within 30 days after a filing deadline or as provided |
by rule , the lobbyist shall notify each
official on whose |
behalf an expenditure has been reported. Notification shall
|
include the name of the registrant, the total amount of the |
expenditure, a description of the expenditure, the
date on |
which the expenditure occurred, and the subject matter of the |
lobbying
activity.
|
(f) Lobbyist and lobbying entity reports shall be filed |
weekly when the General Assembly is in session and monthly |
otherwise, in accordance with rules the Secretary of State |
shall adopt for the implementation of this subsection. A report |
filed under this Act is due in the Office of the Secretary of |
State no later than the close of business on the date on which |
it is required to be filed. |
(g) All reports filed under this Act shall be filed in a |
|
format or on forms prescribed by the Secretary of State.
|
(Source: P.A. 93-244, eff. 1-1-04; 93-615, eff. 11-19-03.)
|
(25 ILCS 170/7) (from Ch. 63, par. 177)
|
Sec. 7. Duties of the Secretary of State.
|
(a) It shall be the duty of the Secretary of State to |
provide appropriate
forms for the registration and reporting of |
information required by this
Act and to keep such registrations |
and reports on file in his office for 3
years from the date of |
filing. He shall also provide and maintain a
register with |
appropriate blanks and indexes so that the information
required |
in Sections 5 and 6 of this Act may be accordingly entered. |
Such
records shall be considered public information and open to |
public
inspection.
|
A report filed under this Act is due in the Office of the |
Secretary of
State no later than the close of business on the |
date on which it is required
to be filed.
|
(b) Within 10 days after a filing deadline, the Secretary |
of State shall notify
persons he determines are required to |
file but have failed to do so.
|
(c) The Secretary of State shall provide adequate software |
to the persons required to file under this Act, and all |
registrations, reports, statements, and amendments required to |
be filed shall be filed electronically.
Not later than 12 |
months after the effective date of this amendatory
Act of the |
93rd General Assembly, or as soon thereafter as the Secretary |
|
of
State has provided adequate software to the persons required |
to file, all
reports required under this Act shall be filed |
electronically. The Secretary of
State shall promptly make all |
filed reports publicly available by means of a
searchable |
database that is accessible through the World Wide Web. The
|
Secretary of State shall provide all software necessary to |
comply with this
provision to all persons required to file. The |
Secretary of State shall
implement a plan to provide computer |
access and assistance to persons
required to file |
electronically.
|
(d) Not later than 12 months after the effective date of |
this amendatory Act of
the 93rd General Assembly, the Secretary |
of State shall include registrants'
pictures when publishing
or |
posting on his or her website the information required in |
Section 5.
|
(e) The Secretary of State shall receive and investigate |
allegations of violations of this Act. Any employee of the |
Secretary of State who receives an allegation shall immediately |
transmit it to the Secretary of State Inspector General.
|
(Source: P.A. 93-615, eff. 11-19-03.)
|
(25 ILCS 170/10) (from Ch. 63, par. 180)
|
Sec. 10. Penalties.
|
(a) Any person who violates any of the provisions of this |
Act shall be
guilty of a business offense and shall be fined |
not more than $10,000 for each violation. Every day that a |
|
report or registration is late shall constitute a separate |
violation. In determining the appropriate fine for each |
violation, the trier of fact shall consider the scope of the |
entire lobbying project, the nature of activities conducted |
during the time the person was in violation of this Act, and |
whether or not the violation was intentional or unreasonable .
|
(b) In addition to the penalties provided for in subsection |
(a)
of this Section, any person convicted of any violation of |
any provision of
this Act is prohibited for a period of three |
years from the date of such
conviction from lobbying.
|
(c) There is created in the State treasury a special fund |
to be known as
the Lobbyist Registration Administration Fund. |
All fines collected in the
enforcement of this Section shall be |
deposited into the Fund. These funds
shall, subject to |
appropriation, be used by the Office of the Secretary of
State |
for implementation and administration of this Act.
|
(Source: P.A. 88-187 .)
|
(25 ILCS 170/11) (from Ch. 63, par. 181)
|
Sec. 11. Enforcement
Venue .
|
(a) The Secretary of State Inspector General appointed |
under Section 14 of the Secretary of State Act shall initiate |
investigations of violations of this Act upon receipt of an |
allegation. If the Inspector General finds credible evidence of |
a violation, he or she shall make the information available to |
the public and transmit copies of the evidence to the alleged |
|
violator. If the violator does not correct the violation within |
30 days, the Inspector General shall transmit the full record |
of the investigation to any appropriate State's Attorney or to |
the Attorney General.
|
(b) Any violation of this Act may be prosecuted in the |
county where the
offense is committed or in Sangamon County. In |
addition to the State's
Attorney of the appropriate county, the |
Attorney General of Illinois also
is authorized to prosecute |
any violation of this Act.
|
(Source: P.A. 76-1848.)
|
(25 ILCS 170/11.3 new) |
Sec. 11.3. Compensation from a State agency. It is a |
violation of this Act for a person registered or required to be |
registered under this Act to accept or agree to accept |
compensation from a State agency for the purpose of lobbying |
legislative action. |
This Section does not apply to compensation (i) that is a |
portion of the salary of a full-time employee of a State agency |
whose responsibility or authority includes, but is not limited |
to, lobbying executive, legislative, or administrative action |
or (ii) to an individual who is contractually retained by a |
State agency that is not listed in Section 5-15 of the Civil |
Administrative Code of Illinois. |
For the purpose of this Section, "State agency" is defined |
as in the Illinois State Auditing Act.
|
|
(25 ILCS 170/4 rep.)
|
Section 70. The Lobbyist Registration Act is amended by |
repealing Section 4.
|
Section 75. The State Prompt Payment Act is amended by |
changing Section 3-2 as follows:
|
(30 ILCS 540/3-2) (from Ch. 127, par. 132.403-2)
|
Sec. 3-2. Beginning July 1, 1993, in any instance where a |
State official or
agency is late in payment of a vendor's bill |
or invoice for goods or services
furnished to the State, as |
defined in Section 1, properly approved in
accordance with |
rules promulgated under Section 3-3, the State official or
|
agency shall pay interest to the vendor in accordance with the |
following:
|
(1) Any bill approved for payment under this Section |
must be paid
or the payment issued to the payee within 60 |
days of receipt
of a proper bill or invoice.
If payment is |
not issued to the payee within this 60 day
period, an
|
interest penalty of 1.0% of any amount approved and unpaid |
shall be added
for each month or fraction thereof after the |
end of this 60 day period,
until final payment is made.
|
(1.1) A State agency shall review in a timely manner |
each bill or
invoice after its receipt. If the
State agency |
determines that the bill or invoice contains a defect |
|
making it
unable to process the payment request, the agency
|
shall notify the vendor requesting payment as soon as |
possible after
discovering the
defect pursuant to rules |
promulgated under Section 3-3; provided, however, that the |
notice for construction related bills or invoices must be |
given not later than 30 days after the bill or invoice was |
first submitted. The notice shall
identify the defect and |
any additional information
necessary to correct the |
defect. If one or more items on a construction related bill |
or invoice are disapproved, but not the entire bill or |
invoice, then the portion that is not disapproved shall be |
paid.
|
(2) Where a State official or agency is late in payment |
of a
vendor's bill or invoice properly approved in |
accordance with this Act, and
different late payment terms |
are not reduced to writing as a contractual
agreement, the |
State official or agency shall automatically pay interest
|
penalties required by this Section amounting to $50 or more |
to the appropriate
vendor. Each agency shall be responsible |
for determining whether an interest
penalty
is
owed and
for |
paying the interest to the vendor.
For interest of at least |
$5 but less than $50, the vendor must
initiate a written |
request for the interest penalty when such interest is due
|
and payable. The Department of Central Management Services |
and the State
Comptroller shall jointly promulgate rules |
establishing the conditions under
which interest of less |
|
than $5 may be claimed and paid. In the event an
individual |
has paid a vendor for services in advance, the provisions |
of this
Section shall apply until payment is made to that |
individual.
|
(Source: P.A. 94-972, eff. 7-1-07 .)
|
Section 80. The Illinois Public Aid Code is amended by |
changing Section 12-13.1 as follows:
|
(305 ILCS 5/12-13.1)
|
Sec. 12-13.1. Inspector General.
|
(a) The Governor shall appoint, and the Senate shall |
confirm, an Inspector
General who shall function within the |
Illinois Department of Public Aid (now Healthcare and Family |
Services) and
report to the Governor. The term of the Inspector |
General shall expire on the
third Monday of January, 1997 and |
every 4 years thereafter.
|
(b) In order to prevent, detect, and eliminate fraud, |
waste, abuse,
mismanagement, and misconduct, the Inspector |
General shall oversee the
Department of Healthcare and Family |
Services' integrity
functions, which include, but are not |
limited to, the following:
|
(1) Investigation of misconduct by employees, vendors, |
contractors and
medical providers , except for allegations |
of violations of the State Officials and Employees Ethics |
Act which shall be referred to the Office of the Governor's |
|
Executive Inspector General for investigation .
|
(2) Audits of medical providers related to ensuring |
that appropriate
payments are made for services rendered |
and to the recovery of overpayments.
|
(3) Monitoring of quality assurance programs generally |
related to the
medical assistance program and specifically |
related to any managed care
program.
|
(4) Quality control measurements of the programs |
administered by the
Department of Healthcare and Family |
Services.
|
(5) Investigations of fraud or intentional program |
violations committed by
clients of the Department of |
Healthcare and Family Services.
|
(6) Actions initiated against contractors or medical |
providers for any of
the following reasons:
|
(A) Violations of the medical assistance program.
|
(B) Sanctions against providers brought in |
conjunction with the
Department of Public Health or the |
Department of Human Services (as successor
to the |
Department of Mental Health and Developmental |
Disabilities).
|
(C) Recoveries of assessments against hospitals |
and long-term care
facilities.
|
(D) Sanctions mandated by the United States |
Department of Health and
Human Services against |
medical providers.
|
|
(E) Violations of contracts related to any managed |
care programs.
|
(7) Representation of the Department of Healthcare and |
Family Services at
hearings with the Illinois Department of |
Professional Regulation in actions
taken against |
professional licenses held by persons who are in violation |
of
orders for child support payments.
|
(b-5) At the request of the Secretary of Human Services, |
the Inspector
General shall, in relation to any function |
performed by the Department of Human
Services as successor to |
the Department of Public Aid, exercise one or more
of the |
powers provided under this Section as if those powers related |
to the
Department of Human Services; in such matters, the |
Inspector General shall
report his or her findings to the |
Secretary of Human Services.
|
(c) The Inspector General shall have access to all |
information, personnel
and facilities of the
Department of |
Healthcare and Family Services and the Department of
Human |
Services (as successor to the Department of Public Aid), their |
employees, vendors, contractors and medical providers and any |
federal,
State or local governmental agency that are necessary |
to perform the duties of
the Office as directly related to |
public assistance programs administered by
those departments. |
No medical provider shall
be compelled, however, to provide |
individual medical records of patients who
are not clients of |
the Medical Assistance Program. State and local
governmental |
|
agencies are authorized and directed to provide the requested
|
information, assistance or cooperation.
|
(d) The Inspector General shall serve as the
Department of |
Healthcare and Family Services'
primary liaison with law |
enforcement,
investigatory and prosecutorial agencies, |
including but not limited to the
following:
|
(1) The Department of State Police.
|
(2) The Federal Bureau of Investigation and other |
federal law enforcement
agencies.
|
(3) The various Inspectors General of federal agencies |
overseeing the
programs administered by the
Department of |
Healthcare and Family Services.
|
(4) The various Inspectors General of any other State |
agencies with
responsibilities for portions of programs |
primarily administered by the
Department of Healthcare and |
Family Services.
|
(5) The Offices of the several United States Attorneys |
in Illinois.
|
(6) The several State's Attorneys.
|
The Inspector General shall meet on a regular basis with |
these entities to
share information regarding possible |
misconduct by any persons or entities
involved with the public |
aid programs administered by the Department
of Healthcare and |
Family Services.
|
(e) All investigations conducted by the Inspector General |
shall be conducted
in a manner that ensures the preservation of |
|
evidence for use in criminal
prosecutions. If the Inspector |
General determines that a possible criminal act
relating to |
fraud in the provision or administration of the medical |
assistance
program has been committed, the Inspector General |
shall immediately notify the
Medicaid Fraud Control Unit. If |
the Inspector General determines that a
possible criminal act |
has been committed within the jurisdiction of the Office,
the |
Inspector General may request the special expertise of the |
Department of
State Police. The Inspector General may present |
for prosecution the findings
of any criminal investigation to |
the Office of the Attorney General, the
Offices of the several |
United States Attorneys in Illinois or the several
State's |
Attorneys.
|
(f) To carry out his or her duties as described in this |
Section, the
Inspector General and his or her designees shall |
have the power to compel
by subpoena the attendance and |
testimony of witnesses and the production
of books, electronic |
records and papers as directly related to public
assistance |
programs administered by the Department of Healthcare and |
Family Services or
the Department of Human Services (as |
successor to the Department of Public
Aid). No medical provider |
shall be compelled, however, to provide individual
medical |
records of patients who are not clients of the Medical |
Assistance
Program.
|
(g) The Inspector General shall report all convictions, |
terminations, and
suspensions taken against vendors, |
|
contractors and medical providers to the
Department of |
Healthcare and Family Services and to any agency responsible |
for
licensing or regulating those persons or entities.
|
(h) The Inspector General shall make annual
reports, |
findings, and recommendations regarding the Office's |
investigations
into reports of fraud, waste, abuse, |
mismanagement, or misconduct relating to
any public aid |
programs administered by the Department
of Healthcare and |
Family Services or the Department of Human Services (as |
successor to the
Department of Public Aid) to the General |
Assembly and the Governor. These
reports shall include, but not |
be limited to, the following information:
|
(1) Aggregate provider billing and payment |
information, including the
number of providers at various |
Medicaid earning levels.
|
(2) The number of audits of the medical assistance
|
program and the dollar savings resulting from those audits.
|
(3) The number of prescriptions rejected annually |
under the
Department of Healthcare and Family Services' |
Refill Too Soon program and the
dollar savings resulting |
from that program.
|
(4) Provider sanctions, in the aggregate, including |
terminations and
suspensions.
|
(5) A detailed summary of the investigations |
undertaken in the previous
fiscal year. These summaries |
shall comply with all laws and rules regarding
maintaining |
|
confidentiality in the public aid programs.
|
(i) Nothing in this Section shall limit investigations by |
the
Department of Healthcare and Family Services or the |
Department of Human Services that may
otherwise be required by |
law or that may be necessary in their capacity as the
central |
administrative authorities responsible for administration of |
public aid
programs in this
State.
|
(Source: P.A. 95-331, eff. 8-21-07.)
|
Section 85. The Whistleblower Act is amended by changing |
Section 20 and by adding Sections 20.1 and 20.2 as follows:
|
(740 ILCS 174/20)
|
Sec. 20. Retaliation for certain refusals prohibited. An |
employer
may not retaliate against an employee for refusing to |
participate in an
activity that would result in a violation of |
a State or federal law,
rule, or
regulation , including, but not |
limited to, violations of the Freedom of Information Act .
|
(Source: P.A. 93-544, eff. 1-1-04.)
|
(740 ILCS 174/20.1 new) |
Sec. 20.1. Other retaliation. Any other act or omission not |
otherwise specifically set forth in this Act, whether within or |
without the workplace, also constitutes retaliation by an |
employer under this Act if the act or omission would be |
materially adverse to a reasonable employee and is because of |