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Public Act 097-0650 |
SB1795 Enrolled | LRB097 09902 NHT 50065 b |
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AN ACT concerning education.
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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 1. Short title. This Act may be cited as the |
Private Business and Vocational Schools Act of 2012. |
Section 5. Purpose. It is the purpose of this Act to |
provide for the protection, education, and welfare of the |
citizens of this State; to provide for the education, |
protection, and welfare of the students of its private business |
and vocational schools; and to facilitate and promote quality |
education and responsible, ethical, business practices in each |
of the private business and vocational schools enrolling |
students in this State. |
Section 10. Validity of certificates under the Private |
Business and Vocational Schools Act. Certificates of approval |
granted by the State Board of Education under the Private |
Business and Vocational Schools Act, which is repealed by this |
Act, shall remain valid through June 30, 2012. |
Section 15. Definitions. As used in this Act, unless the |
context otherwise requires: |
"Board" means the Board of Higher Education established |
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under the Board of Higher Education Act.
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"Certificate of completion" or "certificate" means any |
designation, appellation, series of letters or words, or other |
symbol that signifies or purports to signify that the recipient |
thereof has satisfactorily completed a private business and |
vocational school's program of study that is beyond the |
secondary school level, but not a post-secondary degree program |
at the associate, baccalaureate, master's, doctoral, or |
post-baccalaureate, professional degree level.
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"Chief managing employee" is the individual who is the head |
administrator or supervisor at a school's principal location. |
"Educational institution" or "institution" means an |
organization that promotes business and vocational education, |
even though the institution's principal effort may not be |
exclusively educational in nature.
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"Enrollment agreement" means any agreement or instrument, |
however named, that creates or evidences an obligation binding |
a student to purchase a program of study from a school.
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"Non-degree program of study" or "program of study" means |
any designation, appellation, series of letters or words, or |
other symbol that signifies or purports to signify that the |
recipient has satisfactorily completed an organized academic |
program of study beyond the secondary school level, such as a |
certificate, but below the associate's degree level and that |
does not include any recognized degree program such as an |
associate's, baccalaureate, master's, or doctoral degree, a |
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post-baccalaureate, professional degree, or a post-degree |
certificate, such as a post-baccalaureate certificate, |
post-master's certificate, or post-doctoral certificate. |
"Program of study" as used in this definition means any |
academic program beyond the secondary school level, except for |
a program that is devoted entirely to religion or theology, a |
program offered by an institution operating under the authority |
of the Private College Act, the Academic Degree Act, or the |
Board of Higher Education Act, or a program of study of less |
than one year in length operating under the statutory authority |
granted to the Department of Financial and Professional |
Regulation. |
"Permit of approval" means a non-transferable permit, |
issued by and pursuant to the authority of the Board of Higher |
Education through its Division of Private Business and |
Vocational Schools to a private business and vocational school |
in the name of the school, that authorizes the school to |
solicit students and to offer and maintain one or more courses |
of instruction in compliance with the provisions of this Act |
and such standards and rules as may be adopted by the Board.
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"Private business and vocational school" or "school" means |
an educational institution privately owned or operated by a |
person, partnership, corporation, or other entity offering |
courses of instruction for which tuition is charged, whether |
such courses of instruction are offered on site, through |
correspondence, by distance education, or by other methods, to |
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prepare individuals to do any of the following:
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(1) To follow a trade or artistic occupation.
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(2) To pursue a manual, mechanical, technical, |
industrial, business, commercial, office, personal service |
(other than nursing), or other non-professional |
occupation.
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(3) To follow a profession, if the profession is not |
subject to licensing or registration under any existing |
State statute requiring the licensing or registration of |
persons practicing such profession or if the school is not |
subject to the regulation of the agency with such licensing |
or registration authority.
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(4) To improve, enhance, or add to the skills and |
abilities of the individual relative to occupational |
responsibilities or career opportunities.
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Section 20. Permit of approval. No person or group of |
persons subject to this Act may establish and operate or be |
permitted to become incorporated for the purpose of operating a |
private business and vocational school without obtaining from |
the Board a permit of approval, provided that a permit of |
approval is not required for a program that is devoted entirely |
to religion or theology or a program offered by an institution |
operating under the authority of the Private College Act, the |
Academic Degree Act, or the Board of Higher Education Act. |
Application for a permit must be made to the Board upon forms |
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furnished by it. Permits of approval are not transferable. |
Whenever a change of ownership of a school occurs, an |
application for a permit of approval for the school under the |
changed ownership must immediately be filed with the Board. |
Whenever an owner, partnership, or corporation operates a |
school at different locations, an application for a permit of |
approval must be filed for each location. A school must have |
approval prior to operating at a location and must make |
application to the Board for any change of location and for a |
classroom extension at a new or changed location. Each |
application required to be filed in accordance with the |
provisions of this Section must be accompanied by the required |
fee under the provisions of Sections 75 and 85 of this Act, and |
all such applications must be made on forms prepared and |
furnished by the Board. The permit of approval must be |
prominently displayed at some place on the premises of the |
school at each school location open to the inspection of all |
interested persons. The Board shall maintain, open to public |
inspection, a list of schools, their classroom extensions, and |
their courses of instruction approved under this Act and may |
annually publish such a list. Issuance of the permit of |
approval by the Board does not denote that the school or any |
program offered by the school is recommended, guaranteed, or |
endorsed by the Board or that the Board is responsible for the |
quality of the school or its programs, and no school may |
communicate this to be the case. No guarantee of employability |
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of school graduates is made by the Board in its approval of |
programs or schools, and no school may communicate such |
information. |
Section 25. Award of certificates.
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(a) A certificate may be awarded only by a private business |
and vocational school approved by the Board to award such a |
certificate or by an institution approved by the Board under |
the authority of the Private College Act, the Academic Degree |
Act, or the Board of Higher Education Act. No private business |
and vocational school shall be authorized to award a |
certificate or be approved as a certificate-granting |
institution unless it provides documentation to the Board that |
it satisfies the criteria for approval. The documentation |
provided must be under oath or affirmation of the principal |
officer of the private business and vocational school and shall |
contain the name and address of the institution, the names and |
addresses of the president or other administrative head and of |
each member of the board of trustees or other governing board, |
a description of the certificates to be awarded and the course |
or courses of instruction prerequisite thereto, and such |
additional information relevant to the purposes of this Act as |
the Board may prescribe. Any amendment to the documentation |
must be under oath or affirmation of the principal officer of |
the institution and must be filed with the Board prior to the |
award of any certificate.
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(b) A certificate-granting institution shall keep the |
documentation that it shall have filed with the Board current |
at all times. For this purpose, it shall report annually, by |
appropriate amendment of the notice, any change in a fact |
previously reported. |
The Board may not approve any documentation or amendment to |
the documentation filed pursuant to this Section unless it |
finds the facts stated therein to be correct and further finds |
that such facts constitute compliance with the requirements of |
this Act for institutions.
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Failure to provide such documentation is grounds for |
revocation of the permit of approval.
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Section 30. Exemptions. For purposes of this Act, the |
following shall not be considered to be a private business and |
vocational school:
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(1) Any institution devoted entirely to the teaching of |
religion or theology.
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(2) Any in-service program of study and subject offered |
by an employer, provided that no tuition is charged and the |
instruction is offered only to employees of the employer.
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(3) Any educational institution that (A) enrolls a |
majority of its students in degree programs and has |
maintained an accredited status with a regional |
accrediting agency that is recognized by the U.S. |
Department of Education or (B) enrolls students in one or |
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more bachelor-level programs, enrolls a majority of its |
students in degree programs, and is accredited by a |
national or regional accrediting agency that is recognized |
by the U.S. Department of Education or that (i) is |
regulated by the Board under the Private College Act or the |
Academic Degree Act or is exempt from such regulation under |
either the Private College Act or the Academic Degree Act |
solely for the reason that the educational institution was |
in operation on the effective date of either the Private |
College Act or the Academic Degree Act or (ii) is regulated |
by the State Board of Education.
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(4) Any institution and the franchisees of that |
institution that exclusively offer a program of study in |
income tax theory or return preparation at a total contract |
price of no more than $400, provided that the total annual |
enrollment of the institution for all such courses of |
instruction exceeds 500 students and further provided that |
the total contract price for all instruction offered to a |
student in any one calendar year does not exceed $3,000.
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(5) Any person or organization selling mediated |
instruction products through a media, such as tapes, |
compact discs, digital video discs, or similar media, so |
long as the instruction is not intended to result in the |
acquisition of training for a specific employment field, is |
not intended to meet a qualification for licensure or |
certification in an employment field, or is not intended to |
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provide credit that can be applied toward a certificate or |
degree program.
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(6) Schools with no physical presence in this State. |
Schools offering instruction or programs of study, but that |
have no physical presence in this State, are not required |
to receive Board approval. Such an institution must not be |
considered not to have a physical presence in this State |
unless it has received a written finding from the Board |
that it has a limited physical presence. In determining |
whether an institution has no physical presence, the Board |
shall require all of the following:
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(A) Evidence of authorization to operate in at |
least one other state and that the school is in good |
standing with that state's authorizing agency.
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(B) Evidence that the school has a means of |
receiving and addressing student complaints in |
compliance with any federal or state requirements.
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(C) Evidence that the institution is providing no |
instruction in this State.
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(D) Evidence that the institution is not providing |
core academic support services, including, but not |
limited to, admissions, evaluation, assessment, |
registration, financial aid, academic scheduling, and |
faculty hiring and support in this State.
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Section 35. Institution and program approval criteria. |
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Each entity seeking a permit of approval is required to |
demonstrate that it satisfies institution-approval criteria |
and that each program of study offered meets the |
program-approval criteria in this Act and any applicable rules. |
The following standard criteria are intended to measure the |
appropriateness of the stated educational objectives of the |
educational programs of a given institution and the extent to |
which suitable and proper processes have been developed for |
meeting those objectives. Information related to the |
satisfaction of the approval criteria outlined in this Section |
must be supplied to the Board by institutions on forms provided |
by the Board. Additional information may be requested by the |
Board to determine the institution's ability to satisfy the |
criteria. The following must be considered as part of, but not |
necessarily all of, the criteria for approval of institutions |
and the programs offered under this Act:
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(1) Qualifications of governing board members, owners, |
and senior administrators. At a minimum, these individuals |
must be of good moral character and have no felony criminal |
record.
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(2) Qualifications of faculty and staff.
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(3) Demonstration of student learning and quality of |
program delivery.
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(4) Sufficiency of institutional finances.
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(5) Accuracy, clarity, and appropriateness of program |
descriptions. Institutional promotional, advertising, and |
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recruiting materials must be clear, appropriate, and |
accurate.
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(6) Sufficiency of facilities and equipment. At a |
minimum, these must be appropriate and must meet applicable |
safety code requirements and ordinances.
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(7) Fair and equitable refund policies. At a minimum, |
these must be fair and equitable, must satisfy any related |
State or federal rules, and must abide by the standards |
established in Section 60 of this Act and the rules adopted |
for the implementation of this Act.
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(8) Appropriate and ethical admissions and recruitment |
practices. At a minimum, recruiting practices must be |
ethical and abide by any State or federal rules.
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(9) Recognized accreditation status. Accreditation |
with an accrediting body approved by the U.S. Department of |
Education may be counted as significant evidence of the |
institution's ability to meet curricular approval |
criteria.
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(10) Meeting employment requirements in the field of |
study. The institution must clearly demonstrate how a |
student's completion of the program of study satisfies |
employment requirements in the occupational field. Such |
information must be clearly and accurately provided to |
students. If licensure, certification, or their equivalent |
is required of program graduates to enter the field of |
employment, the institution must clearly demonstrate that |
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completion of the program will allow students to achieve |
this status.
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(11) Enrollment agreements that, at a minimum, meet the |
requirements outlined in Section 40 of this Act.
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(12) Clearly communicated tuition and fee charges. |
Tuition and fees and any other expense charged by the |
school must be appropriate to the expected income that will |
be earned by graduates. No school may have a tuition policy |
or enrollment agreement that requires that a student |
register for more than a single semester, quarter, term, or |
other such period of enrollment as a condition of the |
enrollment nor shall any school charge a student for |
multiple periods of enrollment prior to completion of the |
single semester, quarter, term, or other such period of |
enrollment.
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(13) Legal action against the institution, its parent |
company, its owners, its governing board, or its board |
members. Any such legal action must be provided to the |
Board and may be considered as a reason for denial or |
revocation of the permit of approval.
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Section 37. Disclosures. All schools shall make, at a |
minimum, the disclosures required under this Section clearly |
and conspicuously on their Internet websites. The disclosure |
shall consist of a statement containing the following |
information for the most recent 12-month reporting period of |
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July 1 through June 30: |
(1) The number of students who were admitted in the |
course of instruction as of July 1
of that reporting |
period. |
(2) Additions during the year due to: |
(A) new starts;
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(B) re-enrollments; and
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(C) transfers into the course of instruction from |
other courses of instruction at the school.
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(3) The total number of students admitted during the |
reporting period (the number of students reported under |
paragraph (1) of this Section plus the additions reported |
under subparagraphs (A), (B), and (C) of paragraph (2) of |
this Section.
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(4) Of the total course of instruction enrollment, the |
number of students who:
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(A) transferred out of the course of instruction to |
another course of
instruction;
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(B) completed or graduated from a course of |
instruction;
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(C) withdrew from the school;
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(D) are still enrolled.
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(5) The number of students listed in paragraph (4) of |
this Section who:
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(A) were placed in their field of study;
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(B) were placed in a related field;
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(C) placed out of the field;
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(D) were not available for placement due to |
personal reasons;
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(E) were not employed.
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(6) The number of students who took a State licensing |
examination or professional certification examination, if |
any, during the reporting period, as well as the number who |
passed. |
(7) The number of graduates who obtained employment in |
the field who did not use the school's placement assistance |
during the reporting period; such information may be |
compiled
by reasonable efforts of the school to contact |
graduates by written correspondence.
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(8) The average starting salary for all school |
graduates employed during the reporting period; such |
information may be compiled by reasonable efforts of the |
school to contact graduates by written correspondence. |
(9) The following clear and conspicuous caption, set |
forth with the address and telephone number of the Board's |
office: |
"COMPLAINTS AGAINST THIS SCHOOL MAY BE REGISTERED |
WITH THE BOARD OF HIGHER EDUCATION.". |
An alphabetical list of names, addresses, and dates of |
admission by course or course of instruction and a sample copy |
of the enrollment agreement employed to enroll the students |
listed shall be filed with the Board's Executive Director on an |
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annual basis. The list shall be signed and verified by the |
school's
chief managing employee. |
Section 40. Enrollment agreements. A copy of the enrollment |
agreement must be provided to the Board. Enrollment agreements |
may be used by schools only if approved by the Board. The Board |
shall develop a standard enrollment agreement for use by |
schools approved or seeking approval under this Act. Schools |
may create an enrollment agreement that meets the minimum |
requirements of this Section, but it must be approved by the |
Board prior to implementation. The student must be given a copy |
of the enrollment agreement at the time the student signs that |
agreement and at the time of the agreement's acceptance, if |
those events occur at different times. The school shall retain |
a signed copy of the fully executed enrollment agreement as a |
part of the student's permanent record. No school may enter |
into an enrollment agreement wherein the student waives the |
right to assert against the school or any assignee any claim or |
defense he or she may have against the school arising under the |
agreement. Any provisions in an enrollment agreement wherein |
the student agrees to such a waiver shall be rendered void. |
Enrollment agreements shall include, at a minimum, a clear |
description of costs, refund policies, program information, |
all disclosures required by this Act, the Board's Internet |
website, the address and phone number of the Board for students |
to report complaints, and any additional information the Board |
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may require by rule. |
Section 45. Board approval. Each school approved by the |
Board under this Act is responsible for the content of any |
program offered. Issuance of the permit of approval does not |
denote that the school or any program offered by the school is |
recommended, guaranteed, or endorsed by the Board. Schools may |
not advertise or communicate to students or the public in any |
way that indicates endorsement of the school or any program by |
the Board. |
Section 50. Requirements for approved institutions. Each |
school and each of the non-degree programs of study offered by |
the school shall be approved for 5 years, subject to the terms |
and conditions of approval, including without limitation the |
submission of required reporting and the payment of required |
charges and fees under the provisions of Section 75 of this |
Act, and compliance with any other requirements in this Act or |
supporting rules. Failure to so comply at any time during the 5 |
years is grounds for immediate revocation of the permit of |
approval. Information requested by the Board must be submitted |
annually or, in special circumstances, at the request of the |
Board. Failure to do so is grounds for immediate revocation of |
the permit of approval. Each non-degree program of study must |
be approved by the Board as well. Regardless of when the |
program was approved, all programs of study must be approved |
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again with the institutional approval at the end of the 5-year |
approval period or in conjunction with an earlier review if so |
required under this Act or the administrative rules adopted in |
support of this Act. The Board's Executive Director has the |
authority to order any school subject to this Act to cease and |
desist operations if the school is found to have acted contrary |
to the standards set forth in this Act or the supporting |
administrative rules. |
Section 55. Maintenance of approval. Institutions covered |
under this Act must meet the following requirements to receive |
and maintain approval:
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(1) Provide a surety bond. A continuous surety company |
bond, written by a company authorized to do business in |
this State, for the protection of contractual rights, |
including faithful performance of all contracts and |
agreements for students and their parents, guardians, or |
sponsors. The Board shall establish the bond amount by |
rule. The amount of the bond must be sufficient to provide |
for the repayment of full tuition to all students enrolled |
at the institution in the event of closure of the |
institution. Evidence of the continuation of the bond must |
be filed annually with the Board. The surety bond must be a |
written agreement that provides for monetary compensation |
in the event that the school fails to fulfill its |
obligations to its students and their parents, guardians, |
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or sponsors. The surety bonding company shall guarantee the |
return to students and their parents, guardians, or |
sponsors of all prepaid, unearned tuition in the event of |
school closure. A condition of the bond shall be that the |
bond agent shall notify the Board in the event the bond is |
no longer in effect.
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(2) Provide to the Board and each student the school's |
policy for addressing student complaints. Included in this |
process, the school must provide in its promotional |
materials and on its Internet website the Board's address |
and Internet website for reporting complaints.
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(3) Provide on the institution's Internet website and |
in promotional materials and enrollment agreements the |
Internet website, address, and phone number of the Board |
for students to report complaints.
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(4) Provide evidence of liability insurance, in such |
form and amount as the Board shall from time to time |
prescribe pursuant to rules adopted under this Act, to |
protect students and employees at the school's places of |
business and at all classroom extensions, including any |
work-experience locations.
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(5) Provide data as requested by the Board to support |
the satisfaction of the requirements of this Act or to |
provide vocational and technical educational data for the |
longitudinal data system created under the P-20 |
Longitudinal Education Data System Act.
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(6) Pay required fees as described under the provisions |
of Section 75 of this Act by prescribed deadlines.
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(7) With respect to advertising programs of study, all |
of the following apply:
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(A) A school may state that it is approved to offer |
a program of study or authorized to award a certificate |
in this State only after that approval has been |
officially granted and received in writing from the |
Board.
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(B) A school shall not advertise or state in any |
manner that it is accredited by the Board to award |
degrees or certificates.
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(C) No school may publish or otherwise communicate |
to prospective students, faculty, staff, or the public |
misleading or erroneous information about the |
certificate or degree-granting status of a given |
institution.
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(D) All advertisements or solicitations by |
approved schools shall only reference the Board's |
approval by stating that the school is approved by the |
"Division of Private Business and Vocational Schools". |
(E) All advertisements or solicitations by |
approved schools shall contain the school's official |
Internet website address.
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(8) Permit the Board's Executive Director or his or her |
designees to inspect the school or classes thereof from |
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time to time with or without notice and to make available |
to the Board's Executive Director or his or her designees, |
at any time when required to do so, information, including |
financial information, pertaining to the activities of the |
school required for the administration of this Act and the |
standards and rules adopted under this Act.
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(9) Maintain satisfactory student retention and |
graduation rates and State licensing examination or |
professional certification examination passage rates. |
Student retention and graduation rates must be maintained |
that are appropriate to standards in the field. A State |
licensing examination or professional certification |
examination passage rate of at least 50% of the average |
passage rate for schools within the industry for any State |
licensing examination or professional certification |
examination must be maintained. In the event that the |
school fails to do so, then that school shall be placed on |
probation for one year. If that school's passage rate in |
its next reporting period does not exceed 50% of the |
average passage rate of that class of school as a whole, |
then the Board shall revoke the school's approval for that |
program to operate in this State. In addition, this shall |
be grounds for reviewing the institution's approval to |
operate. The Board shall develop, by rule, a procedure to |
ensure the veracity of the information required under this |
Section.
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(10) Not enter into an enrollment agreement wherein the |
student waives the right to assert against the school or |
any assignee any claim or defense he or she may have |
against the school arising under the agreement. Any |
provisions in an enrollment agreement wherein the student |
agrees to such a waiver shall be rendered void.
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(11) Not have a tuition policy or enrollment agreement |
that requires that a student register for more than a |
single semester, quarter, term, or other such period of |
enrollment as a condition of the enrollment nor charge a |
student for multiple periods of enrollment prior to |
completion of a single semester, quarter, term, or other |
such period of enrollment.
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(12) Provide the Board with a copy of any notice of |
warning or suspension or revocation received from an |
accrediting agency or State or federal oversight body |
within 15 days after receipt of the notice. The school |
shall, at the same time, inform the Board, in writing, on |
actions being taken to correct all deficiencies cited.
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(13) Maintain a fair and equitable refund policy and |
abide by it. Such a policy shall abide by any State or |
federal rules as appropriate. The same policy shall apply |
to all students equally.
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(14) Act in an ethical manner.
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Section 60. Refund policy. The Board shall establish |
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minimum standards for a fair and equitable refund policy that |
must be applied by all institutions subject to this Act. The |
same refund policy must be applied to all students even if they |
are not eligible for federal financial aid. Schools that are |
accredited by an accrediting body recognized by the U.S. |
Department of Education and approved to participate in offering |
Federal Title IV student financial aid may apply the required |
federal refund policy as long as the same policy is applied to |
all students even if they are not eligible for federal |
financial aid. |
Section 65. Prohibition against advertising a school or |
soliciting students without Board authorization. Prior to the |
issuance of a permit of approval by the Board, no person or |
organization shall advertise a school or any program of study |
or solicit prospective students unless the person or |
organization has applied for and received from the Board |
authorization to conduct such activity. If the Board has |
authorized such activity, all advertisements or solicitations |
must reference the Board's approval by stating that the school |
is approved by the "Division of Private Business and Vocational |
Schools of the Illinois Board of Higher Education".
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Section 70. Closing of a school.
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(a) In the event a school proposes to discontinue its |
operations, the chief administrative officer of the school |
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shall cause to be filed with the Board the original or legible |
true copies of all such academic records of the institution as |
may be specified by the Board.
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(b) These records shall include, at a minimum, the academic |
records of each former student that is traditionally provided |
on an academic transcript, such as, but not limited to, courses |
taken, terms, grades, and other such information.
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(c) In the event it appears to the Board that any such |
records of an institution discontinuing its operations is in |
danger of being lost, hidden, destroyed, or otherwise made |
unavailable to the Board, the Board may seize and take |
possession of the records, on its own motion and without order |
of court.
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(d) The Board shall maintain or cause to be maintained a |
permanent file of such records coming into its possession.
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(e) As an alternative to the deposit of such records with |
the Board, the institution may propose to the Board a plan for |
permanent retention of the records. The plan must be put into |
effect only with the approval of the Board.
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(f) When a postsecondary educational institution now or |
hereafter operating in this State proposes to discontinue its |
operation, such institution shall cause to be created a |
teach-out plan acceptable to the Board, which shall fulfill the |
school's educational obligations to its students. Should the |
school fail to deliver or act on the teach-out plan, the Board |
is in no way responsible for providing the teach-out.
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(g) The school and its designated surety bonding company |
are responsible for the return to students of all prepaid, |
unearned tuition. As identified in Section 55 of this Act, the |
surety bond must be a written agreement that provides for |
monetary compensation in the event that the school fails to |
fulfill its obligations. The surety bonding company shall |
guarantee the return to the school's students and their |
parents, guardians, or sponsors of all prepaid, unearned |
tuition in the event of school closure. Should the school or |
its surety bonding company fail to deliver or act to fulfill |
the obligation, the Board is in no way responsible for the |
repayment or any related damages or claims.
|
Section 75. Application and renewal fees. Fees for |
application and renewal may be set by the Board by rule. Fees |
shall be collected for all of the following:
|
(1) An original school application for a certificate of |
approval.
|
(2) An initial school application for a certificate of |
approval upon occurrence of a change of ownership.
|
(3) An annual school application for renewal of a |
certificate of approval.
|
(4) A school application for a change of location.
|
(5) A school application for a classroom extension.
|
(6) If an applicant school that has not remedied all |
deficiencies cited by the Board within 12 months after the |
|
date of its original application for a certificate of |
approval, an additional original application fee for the |
continued cost of investigation of its application.
|
(7) Transcript processing.
|
Section 80. Private Business and Vocational Schools |
Quality Assurance Fund. The Private Business and Vocational |
Schools Quality Assurance Fund is created as a special fund in |
the State treasury. All fees collected for the administration |
and enforcement of this Act must be deposited into this Fund. |
All money in the Fund must be used, subject to appropriation, |
by the Board to supplement support for the administration and |
enforcement of this Act and must not be used for any other |
purpose. |
Section 85. Violations under the Act.
|
(a) The Board's Executive Director has the authority to |
order any school subject to this Act to cease and desist |
operations if the school is found to have acted contrary to the |
standards set forth in this Act or supporting rules.
|
(b) The Board's Executive Director shall, before refusing |
to issue or renew, and before revocation of any certificate or |
permit, at least 10 days prior to the date set for the hearing, |
notify in writing the applicant for or holder of a certificate |
or permit (the respondent) that a hearing shall be held on the |
date designated to determine whether the respondent is |
|
privileged to hold such certificate or permit, and shall afford |
the respondent an opportunity to be heard in person or by |
counsel in reference thereto. The written notice may be served |
by delivery of the same personally to the respondent, or by |
mailing the same by registered mail to the place of business |
last specified by the respondent in the last notification to |
the Board's Executive Director. At the time and place fixed in |
the notice, the Board's Executive Director or his or her |
designated hearing officer shall proceed to hear the charges |
and both the respondent and the complainant shall be accorded |
ample opportunity to present in person or by counsel such |
statements, testimony, evidence, and arguments as may be |
pertinent to the charges or to any defense thereto. The Board's |
Executive Director or his or her designated hearing officer may |
continue such hearing from time to time. If the Board's |
Executive Director shall not be sitting at the time and place |
fixed in the notice or at the time and place to which the |
hearing shall have been continued, the Board's Executive |
Director or his or her designated hearing officer shall |
continue such hearing for a period not to exceed 30 days. |
Failure of the respondent to appear on the date set for hearing |
or failure to proceed as ordered by the Board's Executive |
Director or his or her designated hearing officer shall |
constitute a default and automatic revocation.
|
(c) The Board's Executive Director is authorized to |
subpoena and bring before a hearing officer any person or |
|
persons in this State and to take testimony either orally or by |
deposition or by exhibit, with the same fees and mileage and in |
the same manner as prescribed by law in judicial proceedings in |
civil cases in circuit courts of this State.
The Board's |
Executive Director or the designated hearing officer shall |
administer oaths to witnesses at any hearing that the Board's |
Executive Director is authorized by law to conduct.
|
(d) Any circuit court, upon the application of the |
respondent or complainant or of the Board's Executive Director, |
may by order duly entered, require the attendance of witnesses |
and the production of relevant books and papers before any |
hearing the Board's Executive Director is authorized to |
conduct, and the court may compel obedience to its order by |
proceedings for contempt.
|
(e) The Board shall establish rules for the appeal of
|
decisions to revoke the permit of approval. At a minimum, the
|
rules shall include all of the following:
|
(1) The school must be notified of the revocation in
|
writing through registered mail or other appropriate
|
notification.
|
(2) The school has 10 business days after notification |
to request an
appeal of the decision.
|
(3) The Board shall not be required to schedule a
|
hearing and has the option to waive a hearing if the
|
institution has not operated for one continuous, 12-month
|
period or the institution has been abandoned; however, even
|
|
in these cases, the Board shall be required to revoke the
|
authority at a public hearing at which any opponent who is
|
injured or impacted by the revocation must be given the
|
opportunity to be heard.
|
(4) The Board shall designate a hearing officer, who
|
shall schedule and conduct a hearing.
|
(5) The hearing officer shall make a final |
administrative decision, which decision may be reviewed |
judicially by the circuit court in accordance with |
subsection (f) of this Section.
|
(f) Any person affected by a final administrative decision |
of the Board's Executive Director may have such decision |
reviewed judicially by the circuit court of the county wherein |
the person resides, or in the case of a corporation, wherein |
the registered office is located. If the plaintiff in the |
review proceeding is not a resident of this State, the venue |
shall be in Sangamon County. The provisions of the |
Administrative Review Law, and all amendments and |
modifications thereof, and the rules adopted pursuant thereto, |
shall apply to and govern all proceedings for the judicial |
review of final administrative decisions of the Board's |
Executive Director. "Administrative decisions" has the same |
meaning as in Section 3-101 of the Code of Civil Procedure.
|
(g) Except for the violations enumerated in subsection (e) |
of this Section, any owner, operator, or authorized agent of a |
school who knowingly violates any provision of this Act is |
|
guilty of a business offense. |
(h) Any owner, operator, or authorized agent of a private |
business and vocational school who commits any of the following |
offenses is guilty of a Class A misdemeanor for the first |
offense and a Class 4 felony for the second or subsequent |
offense: |
(1) Knowingly, and for the purpose of influencing or |
inducing a person to enroll in the program of study offered |
by the school, makes any false or misleading statements, |
misrepresentations, or false promises to the person |
regarding opportunities upon graduation from the school |
for (i) employment in a business, industry, or trade, (ii) |
admission to an institution of higher learning, or (iii) |
admission to an occupational licensing examination. |
(2) Knowingly, and with intent to defraud, retains in |
excess of the school's refund policy prescribed in this Act |
any unearned tuition or fees paid by a student who has |
cancelled his or her enrollment agreement and is entitled |
to a refund. |
(3) Knowingly, and with intent to defraud, |
misrepresents that any student who has cancelled his or her |
enrollment agreement is presently enrolled in the school, |
has completed the program of study, or has graduated from |
the school. |
(4) Knowingly uses or attempts to use students in any |
commercial or manufacturing activity related to the |
|
operation of the school and to the school's advantage and |
profit, except to the extent that the school provides the |
student with practical experience supplemental to the |
course of instruction or except in the case of students who |
are employed by the school and compensated for such |
employment. |
(i) The Board shall adopt rules to pursue resolution of |
complaints. At a minimum, the rules shall include all of the |
following: |
(1) Student complaints must be submitted in writing to |
the Board. |
(2) Board staff shall contact the school about the |
complaint by registered mail or other appropriate |
notification. The school has 10 business days to respond to |
the Board about the complaint. The Board shall provide a |
resolution determination to the school. The school may |
request a hearing about the proposed resolution within 10 |
business days after the delivery of the complaint by |
registered mail or other appropriate notification. If the |
school does not abide by the resolution determination, then |
the Board can issue a cease and desist order to the school. |
If the school does not comply with the cease and desist |
order, then the Board may revoke the school's permit of |
approval. |
(3) The complaint may be forwarded to the institution's |
accrediting body. |
|
(4) The Board shall annually issue a public report |
about the complaints received. At a minimum, the report |
shall include the institution, the nature of the complaint, |
and the current resolution status of the complaint. No |
individual student shall be named in the report. |
(j) Upon application of the Board's Executive Director, the |
Attorney General or any State's Attorney, the Circuit Court of |
each county in which a violation of this Act or the rules and |
regulations has occurred, shall have jurisdiction to enjoin any |
violation thereof. |
(k) The following acts or omissions by an owner, operator, |
or authorized agent of a private business and vocational school |
shall constitute violations of this Act and unlawful practices |
pursuant to the Consumer Fraud and Deceptive Business Practices |
Act:
|
(1) False or misleading statements, |
misrepresentations, or false promises that have the |
tendency or capacity to influence or induce persons to |
enroll in the program of study offered by the school.
|
(2) Failure or refusal of the school to make the |
disclosures in advertising materials in the enrollment |
agreement and on its Internet website as required by this |
Act, or the making of false or inaccurate statements in |
such disclosures.
|
(3) Failure or refusal of the school to refund fees and |
unearned tuition, in accordance with the refund policy |
|
prescribed by this Act, to any student who cancels his or |
her enrollment agreement. |
(4) Failure or refusal of the school to employ course |
instructors under conditions presented to the Board to |
satisfy the requirements of this Act or to provide the |
equipment, facilities, or services necessary to implement |
the program of study as presented to the Board to satisfy |
the requirements of the Act. |
(l) Whenever the Attorney General or a State's Attorney |
receives a complaint against a private business and vocational |
school that alleges one or more of the violations enumerated in |
subsection (k) of this Section, he or she may conduct an |
investigation to determine the validity of the complaint and, |
if a violation or violations are found, may use any or all of |
the remedies, penalties, or authority granted to him or her by |
the Consumer Fraud and Deceptive Business Practices Act to |
correct such violations and enforce the provisions of this Act. |
Within 10 business days after receipt, the Board shall transmit |
to the Attorney General and the appropriate State's Attorney |
copies of complaints filed in the Board's office that allege |
one or more of the violations enumerated in subsection (k) of |
this Section. |
(m) Any person who suffers damages as a result of a |
violation of this Act committed by a school or its |
representative may bring an action against the school. The |
court, in its discretion, may award actual damages, treble |
|
actual damages if fraud is proved, injunctive relief, and any |
other relief that the court deems proper. |
Such action may be commenced in the county where the school |
is located or has its principal place of business or in the |
county where the transaction or any substantial portion thereof |
occurred. |
In any action brought by a person under this Section, the |
court may award, in addition to the relief provided in this |
Section, reasonable attorney's fees and costs to the prevailing |
party. |
Either party to an action under this Section may request a |
trial by jury. |
Section 90. Rulemaking authority. The Board shall have |
rulemaking authority as necessary and appropriate to implement |
this Act. Rulemaking authority to implement this Act, if any, |
is conditioned on the rules being adopted in accordance with |
all provisions of the Illinois Administrative Procedure Act and |
all rules and procedures of the Joint Committee on |
Administrative Rules; any purported rule not so adopted, for |
whatever reason, is unauthorized.
|
Section 500. The Department of Professional Regulation Law |
of the
Civil Administrative Code of Illinois is amended by |
changing Section 2105-15 as follows:
|
|
(20 ILCS 2105/2105-15)
|
Sec. 2105-15. General powers and duties.
|
(a) The Department has, subject to the provisions of the |
Civil
Administrative Code of Illinois, the following powers and |
duties:
|
(1) To authorize examinations in English to ascertain |
the qualifications
and fitness of applicants to exercise |
the profession, trade, or occupation for
which the |
examination is held.
|
(2) To prescribe rules and regulations for a fair and |
wholly
impartial method of examination of candidates to |
exercise the respective
professions, trades, or |
occupations.
|
(3) To pass upon the qualifications of applicants for |
licenses,
certificates, and authorities, whether by |
examination, by reciprocity, or by
endorsement.
|
(4) To prescribe rules and regulations defining, for |
the
respective
professions, trades, and occupations, what |
shall constitute a school,
college, or university, or |
department of a university, or other
institution, |
reputable and in good standing, and to determine the
|
reputability and good standing of a school, college, or |
university, or
department of a university, or other |
institution, reputable and in good
standing, by reference |
to a compliance with those rules and regulations;
provided, |
that no school, college, or university, or department of a
|
|
university, or other institution that refuses admittance |
to applicants
solely on account of race, color, creed, sex, |
or national origin shall be
considered reputable and in |
good standing.
|
(5) To conduct hearings on proceedings to revoke, |
suspend, refuse to
renew, place on probationary status, or |
take other disciplinary action
as authorized in any |
licensing Act administered by the Department
with regard to |
licenses, certificates, or authorities of persons
|
exercising the respective professions, trades, or |
occupations and to
revoke, suspend, refuse to renew, place |
on probationary status, or take
other disciplinary action |
as authorized in any licensing Act
administered by the |
Department with regard to those licenses,
certificates, or |
authorities. The Department shall issue a monthly
|
disciplinary report. The Department shall deny any license |
or
renewal authorized by the Civil Administrative Code of |
Illinois to any person
who has defaulted on an
educational |
loan or scholarship provided by or guaranteed by the |
Illinois
Student Assistance Commission or any governmental |
agency of this State;
however, the Department may issue a |
license or renewal if the
aforementioned persons have |
established a satisfactory repayment record as
determined |
by the Illinois Student Assistance Commission or other |
appropriate
governmental agency of this State. |
Additionally, beginning June 1, 1996,
any license issued by |
|
the Department may be suspended or revoked if the
|
Department, after the opportunity for a hearing under the |
appropriate licensing
Act, finds that the licensee has |
failed to make satisfactory repayment to the
Illinois |
Student Assistance Commission for a delinquent or |
defaulted loan.
For the purposes of this Section, |
"satisfactory repayment record" shall be
defined by rule. |
The Department shall refuse to issue or renew a license to,
|
or shall suspend or revoke a license of, any person who, |
after receiving
notice, fails to comply with a subpoena or |
warrant relating to a paternity or
child support |
proceeding. However, the Department may issue a license or
|
renewal upon compliance with the subpoena or warrant.
|
The Department, without further process or hearings, |
shall revoke, suspend,
or deny any license or renewal |
authorized by the Civil Administrative Code of
Illinois to |
a person who is certified by the Department of Healthcare |
and Family Services (formerly Illinois Department of |
Public Aid)
as being more than 30 days delinquent in |
complying with a child support order
or who is certified by |
a court as being in violation of the Non-Support
Punishment |
Act for more than 60 days. The Department may, however, |
issue a
license or renewal if the person has established a |
satisfactory repayment
record as determined by the |
Department of Healthcare and Family Services (formerly
|
Illinois Department of Public Aid) or if the person
is |
|
determined by the court to be in compliance with the |
Non-Support Punishment
Act. The Department may implement |
this paragraph as added by Public Act 89-6
through the use |
of emergency rules in accordance with Section 5-45 of the
|
Illinois Administrative Procedure Act. For purposes of the |
Illinois
Administrative Procedure Act, the adoption of |
rules to implement this
paragraph shall be considered an |
emergency and necessary for the public
interest, safety, |
and welfare.
|
(6) To transfer jurisdiction of any realty under the |
control of the
Department to any other department of the |
State Government or to acquire
or accept federal lands when |
the transfer, acquisition, or acceptance is
advantageous |
to the State and is approved in writing by the Governor.
|
(7) To formulate rules and regulations necessary for |
the enforcement of
any Act administered by the Department.
|
(8) To exchange with the Department of Healthcare and |
Family Services information
that may be necessary for the |
enforcement of child support orders entered
pursuant to the |
Illinois Public Aid Code, the Illinois Marriage and |
Dissolution
of Marriage Act, the Non-Support of Spouse and |
Children Act, the Non-Support
Punishment Act, the Revised |
Uniform Reciprocal Enforcement of Support Act, the
Uniform |
Interstate Family Support Act, or the Illinois Parentage |
Act of 1984.
Notwithstanding any provisions in this Code to |
the contrary, the Department of
Professional Regulation |
|
shall not be liable under any federal or State law to
any |
person for any disclosure of information to the Department |
of Healthcare and Family Services (formerly Illinois |
Department of
Public Aid)
under this paragraph (8) or for |
any other action taken in good faith
to comply with the |
requirements of this paragraph (8).
|
(9) To perform other duties prescribed
by law.
|
(a-5) Except in cases involving default on an educational |
loan or scholarship provided by or guaranteed by the Illinois |
Student Assistance Commission or any governmental agency of |
this State or in cases involving delinquency in complying with |
a child support order or violation of the Non-Support |
Punishment Act, no person or entity whose license, certificate, |
or authority has been revoked as authorized in any licensing |
Act administered by the Department may apply for restoration of |
that license, certification, or authority until 3 years after |
the effective date of the revocation. |
(b) The Department may, when a fee is payable to the |
Department for a wall
certificate of registration provided by |
the Department of Central Management
Services, require that |
portion of the payment for printing and distribution
costs be |
made directly or through the Department to the Department of |
Central
Management Services for deposit into the Paper and |
Printing Revolving Fund.
The remainder shall be deposited into |
the General Revenue Fund.
|
(c) For the purpose of securing and preparing evidence, and |
|
for the purchase
of controlled substances, professional |
services, and equipment necessary for
enforcement activities, |
recoupment of investigative costs, and other activities
|
directed at suppressing the misuse and abuse of controlled |
substances,
including those activities set forth in Sections |
504 and 508 of the Illinois
Controlled Substances Act, the |
Director and agents appointed and authorized by
the Director |
may expend sums from the Professional Regulation Evidence Fund
|
that the Director deems necessary from the amounts appropriated |
for that
purpose. Those sums may be advanced to the agent when |
the Director deems that
procedure to be in the public interest. |
Sums for the purchase of controlled
substances, professional |
services, and equipment necessary for enforcement
activities |
and other activities as set forth in this Section shall be |
advanced
to the agent who is to make the purchase from the |
Professional Regulation
Evidence Fund on vouchers signed by the |
Director. The Director and those
agents are authorized to |
maintain one or more commercial checking accounts with
any |
State banking corporation or corporations organized under or |
subject to the
Illinois Banking Act for the deposit and |
withdrawal of moneys to be used for
the purposes set forth in |
this Section; provided, that no check may be written
nor any |
withdrawal made from any such account except upon the written
|
signatures of 2 persons designated by the Director to write |
those checks and
make those withdrawals. Vouchers for those |
expenditures must be signed by the
Director. All such |
|
expenditures shall be audited by the Director, and the
audit |
shall be submitted to the Department of Central Management |
Services for
approval.
|
(d) Whenever the Department is authorized or required by |
law to consider
some aspect of criminal history record |
information for the purpose of carrying
out its statutory |
powers and responsibilities, then, upon request and payment
of |
fees in conformance with the requirements of Section 2605-400 |
of the
Department of State Police Law (20 ILCS 2605/2605-400), |
the Department of State
Police is authorized to furnish, |
pursuant to positive identification, the
information contained |
in State files that is necessary to fulfill the request.
|
(e) The provisions of this Section do not apply to private |
business and
vocational schools as defined by Section 15 1 of |
the Private Business and
Vocational Schools Act of 2012 .
|
(f) Beginning July 1, 1995, this Section does not apply to |
those
professions, trades, and occupations licensed under the |
Real Estate License
Act of 2000, nor does it apply to any |
permits, certificates, or other
authorizations to do business |
provided for in the Land Sales Registration Act
of 1989 or the |
Illinois Real Estate Time-Share Act.
|
(g) Notwithstanding anything that may appear in any |
individual licensing statute or administrative rule, the |
Department shall deny any license application or renewal |
authorized under any licensing Act administered by the |
Department to any person who has failed to file a return, or to |
|
pay the tax, penalty, or interest shown in a filed return, or |
to pay any final assessment of tax, penalty, or interest, as |
required by any tax Act administered by the Illinois Department |
of Revenue, until such time as the requirement of any such tax |
Act are satisfied; however, the Department may issue a license |
or renewal if the person has established a satisfactory |
repayment record as determined by the Illinois Department of |
Revenue. For the purpose of this Section, "satisfactory |
repayment record" shall be defined by rule.
|
In addition, a complaint filed with the Department by the |
Illinois Department of Revenue that includes a certification, |
signed by its Director or designee, attesting to the amount of |
the unpaid tax liability or the years for which a return was |
not filed, or both, is prima facia evidence of the licensee's |
failure to comply with the tax laws administered by the |
Illinois Department of Revenue. Upon receipt of that |
certification, the Department shall, without a hearing, |
immediately suspend all licenses held by the licensee. |
Enforcement of the Department's order shall be stayed for 60 |
days. The Department shall provide notice of the suspension to |
the licensee by mailing a copy of the Department's order by |
certified and regular mail to the licensee's last known address |
as registered with the Department. The notice shall advise the |
licensee that the suspension shall be effective 60 days after |
the issuance of the Department's order unless the Department |
receives, from the licensee, a request for a hearing before the |
|
Department to dispute the matters contained in the order.
|
Any suspension imposed under this subsection (g) shall be |
terminated by the Department upon notification from the |
Illinois Department of Revenue that the licensee is in |
compliance with all tax laws administered by the Illinois |
Department of Revenue.
|
The Department shall promulgate rules for the |
administration of this subsection (g).
|
(h) The Department may grant the title "Retired", to be |
used immediately adjacent to the title of a profession |
regulated by the Department, to eligible retirees. The use of |
the title "Retired" shall not constitute representation of |
current licensure, registration, or certification. Any person |
without an active license, registration, or certificate in a |
profession that requires licensure, registration, or |
certification shall not be permitted to practice that |
profession. |
(i) Within 180 days after December 23, 2009 (the effective |
date of Public Act 96-852), the Department shall promulgate |
rules which permit a person with a criminal record, who seeks a |
license or certificate in an occupation for which a criminal |
record is not expressly a per se bar, to apply to the |
Department for a non-binding, advisory opinion to be provided |
by the Board or body with the authority to issue the license or |
certificate as to whether his or her criminal record would bar |
the individual from the licensure or certification sought, |
|
should the individual meet all other licensure requirements |
including, but not limited to, the successful completion of the |
relevant examinations. |
(Source: P.A. 95-331, eff. 8-21-07; 96-459, eff. 8-14-09; |
96-852, eff. 12-23-09; 96-1000, eff. 7-2-10.)
|
Section 505. The State Finance Act is amended by adding |
Section 5.809 as follows: |
(30 ILCS 105/5.809 new) |
Sec. 5.809. The Private Business and Vocational Schools |
Quality Assurance Fund. |
Section 510. The Riverboat Gambling Act is amended by |
changing Section 9 as follows:
|
(230 ILCS 10/9) (from Ch. 120, par. 2409)
|
Sec. 9. Occupational licenses.
|
(a) The Board may issue an occupational license to an |
applicant upon the
payment of a non-refundable fee set by the |
Board, upon a determination by
the Board that the applicant is |
eligible for an occupational license and
upon payment of an |
annual license fee in an amount to be established. To
be |
eligible for an occupational license, an applicant must:
|
(1) be at least 21 years of age if the applicant will |
perform any
function involved in gaming by patrons. Any |
|
applicant seeking an
occupational license for a non-gaming |
function shall be at least 18 years
of age;
|
(2) not have been convicted of a felony offense, a |
violation of Article
28 of the Criminal Code of 1961, or a |
similar statute of any other
jurisdiction;
|
(2.5) not have been convicted of a crime, other than a |
crime described in item (2) of this subsection (a), |
involving dishonesty or moral turpitude, except that the |
Board may, in its discretion, issue an occupational license |
to a person who has been convicted of a crime described in |
this item (2.5) more than 10 years prior to his or her |
application and has not subsequently been convicted of any |
other crime;
|
(3) have demonstrated a level of skill or knowledge |
which the Board
determines to be necessary in order to |
operate gambling aboard a riverboat; and
|
(4) have met standards for the holding of an |
occupational license as
adopted by rules of the Board. Such |
rules shall provide that any person or
entity seeking an |
occupational license to manage gambling operations
|
hereunder shall be subject to background inquiries and |
further requirements
similar to those required of |
applicants for an owners license.
Furthermore, such rules |
shall provide that each such entity shall be
permitted to |
manage gambling operations for only one licensed owner.
|
(b) Each application for an occupational license shall be |
|
on forms
prescribed by the Board and shall contain all |
information required by the
Board. The applicant shall set |
forth in the application: whether he has been
issued prior |
gambling related licenses; whether he has been licensed in any
|
other state under any other name, and, if so, such name and his |
age; and
whether or not a permit or license issued to him in |
any other state has
been suspended, restricted or revoked, and, |
if so, for what period of time.
|
(c) Each applicant shall submit with his application, on |
forms provided
by the Board, 2 sets of his fingerprints. The |
Board shall charge each
applicant a fee set by the Department |
of State Police to defray the costs
associated with the search |
and classification of fingerprints obtained by
the Board with |
respect to the applicant's application. These fees shall be
|
paid into the State Police Services Fund.
|
(d) The Board may in its discretion refuse an occupational |
license to
any person: (1) who is unqualified to perform the |
duties required of such
applicant; (2) who fails to disclose or |
states falsely any information
called for in the application; |
(3) who has been found guilty of a
violation of this Act or |
whose prior gambling related license or
application therefor |
has been suspended, restricted, revoked or denied for
just |
cause in any other state; or (4) for any other just cause.
|
(e) The Board may suspend, revoke or restrict any |
occupational licensee:
(1) for violation of any provision of |
this Act; (2) for violation of any
of the rules and regulations |
|
of the Board; (3) for any cause which, if
known to the Board, |
would have disqualified the applicant from receiving
such |
license; or (4) for default in the payment of any obligation or |
debt
due to the State of Illinois; or (5) for any other just |
cause.
|
(f) A person who knowingly makes a false statement on an |
application is
guilty of a Class A misdemeanor.
|
(g) Any license issued pursuant to this Section shall be |
valid for a
period of one year from the date of issuance.
|
(h) Nothing in this Act shall be interpreted to prohibit a |
licensed
owner from entering into an agreement with a public |
community college or a school approved under the
Private |
Business and Vocational Schools Act of 2012 for the training of |
any
occupational licensee. Any training offered by such a |
school shall be in
accordance with a written agreement between |
the licensed owner and the school.
|
(i) Any training provided for occupational licensees may be |
conducted
either on the riverboat or at a school with which a |
licensed owner has
entered into an agreement pursuant to |
subsection (h).
|
(Source: P.A. 96-1392, eff. 1-1-11.)
|
Section 515. The Illinois Public Aid Code is amended by |
changing Section 11-2.1 as follows:
|
(305 ILCS 5/11-2.1) (from Ch. 23, par. 11-2.1)
|
|
Sec. 11-2.1.
No private business and vocational school, as |
defined in
the Private Business and Vocational Schools Act of |
2012 ,
may solicit an
applicant or recipient within a public aid |
office or within 100 feet of a
public aid office, for the |
purpose of enrolling the applicant or recipient
in a work or |
training program, without the express written consent of the
|
Illinois Department.
Any person violating this Section shall be |
guilty of a Class A misdemeanor.
"Public aid office" for the |
purpose of this Section includes any
business office of the |
Department where a person may apply for or receive
benefits or |
services under this Code, the building in which such office is
|
located, and any parking area connected to such office that is |
owned or
leased by the State for the benefit of the Department |
for use by personnel
of the Department or by applicants or |
recipients.
|
(Source: P.A. 85-1383.)
|
Section 520. The Children's Privacy Protection and |
Parental Empowerment Act is amended by changing Section 15 as |
follows:
|
(325 ILCS 17/15)
|
Sec. 15. Information brokers.
|
(a) For the purpose of this Act, the consent of a parent to |
the sale or
purchase of
information concerning a child is |
presumed unless the parent withdraws consent
under
this |
|
Section.
|
A person who brokers or facilitates the sale of personal |
information
concerning
children must, upon written request |
from a parent that specifically identifies
the child,
provide |
to the parent within 20 days of the written request procedures |
that the
parent
must follow in order to withdraw consent to use |
personal information relating
to that
child. The person who |
brokers or facilitates the sale of personal information
must
|
discontinue disclosing a child's personal information within |
20 days after the
parent has
completed the procedures to |
withdraw consent to use personal information
relating to that
|
child.
|
(b) This Section does not apply to any of the following:
|
(1) Any federal, state, or local government agency or |
any law enforcement
agency.
|
(2) The National Center for Missing and Exploited |
Children.
|
(3) Any educational institution, consortium, |
organization, or professional
association, including but |
not limited to, public community colleges, public
|
universities, post-secondary educational institutions as |
defined in the Private
College Act, and private business |
and vocational schools as defined in the
Private
Business |
and Vocational Schools Act of 2012 .
|
(4) Any not-for-profit entity that is exempt from the |
payment of federal
taxes under Section 501(c)(3) of the |
|
Internal Revenue Code of 1986.
|
(Source: P.A. 93-462, eff. 1-1-04.)
|
Section 525. The Consumer Fraud and Deceptive Business |
Practices Act is amended by adding Section 2MMM as follows: |
(815 ILCS 505/2MMM new) |
Sec. 2MMM. Violations of the Private Business and |
Vocational Schools Act of 2012. A school subject to the Private |
Business
and Vocational Schools Act of 2012 commits an unlawful |
practice
within the meaning of this Act when it violates |
subsection (k) of Section 85 of the Private Business and |
Vocational Schools Act of 2012.
|
(105 ILCS 425/Act rep.)
|
Section 900. The Private Business and Vocational Schools |
Act is repealed. |
Section 999. Effective date. This Act takes effect February |
1, 2012.
|