Public Act 097-1150
 
HB3804 EnrolledLRB097 12822 RLC 57318 b

    AN ACT concerning criminal law.
 
    Be it enacted by the People of the State of Illinois,
represented in the General Assembly:
 
    Section 1. Findings. It is the intent of the General
Assembly to implement the provisions of Public Act 97-1108
which changed the short title of the Criminal Code of 1961 to
the Criminal Code of 2012. The purpose of this Act is to
clarify the citations to offenses under the Criminal Code of
2012 and to previous citations under the Criminal Code of 1961
to aid law enforcement, prosecutors, defense attorneys,
criminal defendants, the courts, and the public in the
administration and understanding of the criminal law. It is not
the intent of this Act to make any substantive changes to the
law by the cross referencing changes regarding the Criminal
Code of 1961 and the Criminal Code of 2012.
 
    Section 5. The Statute on Statutes is amended by changing
Section 1.39 as follows:
 
    (5 ILCS 70/1.39)
    Sec. 1.39. Criminal Code of 2012. Whenever there is a
reference in any Act to the Criminal Code or Criminal Code of
1961, that reference shall be interpreted to mean the Criminal
Code of 2012, unless the context clearly requires otherwise.
(Source: P.A. 97-1108, eff. 1-1-13.)
 
    Section 10. The Electronic Commerce Security Act is amended
by changing Section 30-5 as follows:
 
    (5 ILCS 175/30-5)
    Sec. 30-5. Civil remedy. Whoever suffers loss by reason of
a violation of Section 10-140, 15-210, 15-215, or 15-220 of
this Act or Section 17-3 of the Criminal Code of 1961 or the
Criminal Code of 2012 may, in a civil action against the
violator, obtain appropriate relief. In a civil action under
this Section, the court may award to the prevailing party
reasonable attorneys fees and other litigation expenses.
(Source: P.A. 90-759, eff. 7-1-99.)
 
    Section 15. The Elected Officials Misconduct Forfeiture
Act is amended by changing Sections 15, 20, and 25 as follows:
 
    (5 ILCS 282/15)
    Sec. 15. Forfeiture action. The Attorney General may file
an action in circuit court on behalf of the people of Illinois
against an elected official who has, by his or her violation of
Article 33 of the Criminal Code of 1961 or the Criminal Code of
2012 or violation of a similar federal offense, injured the
people of Illinois. The purpose of such suit is to recover all
proceeds traceable to the elected official's offense and by so
doing, prevent, restrain or remedy violations of Article 33 of
the Criminal Code of 1961 or the Criminal Code of 2012 or
similar federal offenses.
(Source: P.A. 96-597, eff. 8-18-09.)
 
    (5 ILCS 282/20)
    Sec. 20. Procedure.
    (a) The circuit court has jurisdiction to prevent,
restrain, and remedy violations of Article 33 of the Criminal
Code of 1961 or the Criminal Code of 2012 or violations of a
similar federal offense after a hearing or trial, as
appropriate, by issuing appropriate orders. Prior to a
determination of liability such orders may include, but are not
limited to, issuing seizure warrants, entering findings of
probable cause for in personam or in rem forfeiture, or taking
such other actions, in connection with any property or other
interest subject to forfeiture or other remedies or restraints
pursuant to this Section as the court deems proper.
    (b) If the Attorney General prevails in his or her action,
the court shall order the forfeiture of all proceeds traceable
to the elected official's violations of Article 33 of the
Criminal Code of 1961 or the Criminal Code of 2012 or similar
federal offenses. Proceeds seized and forfeited as a result of
the Attorney General's action will be deposited into the
General Revenue Fund or the corporate county fund, as
appropriate.
(Source: P.A. 96-597, eff. 8-18-09.)
 
    (5 ILCS 282/25)
    Sec. 25. Term of forfeiture. The maximum term of a civil
forfeiture under this Act shall be equal to the term of
imprisonment, probation and mandatory supervised release or
parole received by the elected official as a result of his or
her conviction for violating Article 33 of the Criminal Code of
1961 or the Criminal Code of 2012 or similar federal offenses.
(Source: P.A. 96-597, eff. 8-18-09.)
 
    Section 20. The Public Corruption Profit Forfeiture Act is
amended by changing Section 10 as follows:
 
    (5 ILCS 283/10)
    Sec. 10. Penalties.
    (a) A person who is convicted of a violation of any of the
following Sections, subsections, and clauses of the Criminal
Code of 1961 or the Criminal Code of 2012:
        (1) clause (a)(6) of Section 12-6 (intimidation by a
    public official),
        (2) Section 33-1 (bribery),
        (3) subsection (a) of Section 33E-7 (kickbacks), or
        (4) Section 33C-4 or subsection (d) of Section 17-10.3
    (fraudulently obtaining public moneys reserved for
    disadvantaged business enterprises),
shall forfeit to the State of Illinois:
        (A) any profits or proceeds and any property or
    property interest he or she has acquired or maintained in
    violation of any of the offenses listed in clauses (1)
    through (4) of this subsection (a) that the court
    determines, after a forfeiture hearing under subsection
    (b) of this Section, to have been acquired or maintained as
    a result of violating any of the offenses listed in clauses
    (1) through (4) of this subsection (a); and
        (B) any interest in, security of, claim against, or
    property or contractual right of any kind affording a
    source of influence over, any enterprise which he or she
    has established, operated, controlled, conducted, or
    participated in the conduct of, in violation of any of the
    offenses listed in clauses (1) through (4) of this
    subsection (a) that the court determines, after a
    forfeiture hearing under subsection (b) of this Section, to
    have been acquired or maintained as a result of violating
    any of the offenses listed in clauses (1) through (4) of
    this subsection (a) or used to facilitate a violation of
    one of the offenses listed in clauses (1) through (4) of
    this subsection (a).
    (b) The court shall, upon petition by the Attorney General
or State's Attorney, at any time after the filing of an
information or return of an indictment, conduct a hearing to
determine whether any property or property interest is subject
to forfeiture under this Act. At the forfeiture hearing the
people shall have the burden of establishing, by a
preponderance of the evidence, that property or property
interests are subject to forfeiture under this Act. There is a
rebuttable presumption at such hearing that any property or
property interest of a person charged by information or
indictment with a violation of any of the offenses listed in
clauses (1) through (4) of subsection (a) of this Section or
who is convicted of a violation of any of the offenses listed
in clauses (1) through (4) of subsection (a) of this Section is
subject to forfeiture under this Section if the State
establishes by a preponderance of the evidence that:
        (1) such property or property interest was acquired by
    such person during the period of the violation of any of
    the offenses listed in clauses (1) through (4) of
    subsection (a) of this Section or within a reasonable time
    after such period; and
        (2) there was no likely source for such property or
    property interest other than the violation of any of the
    offenses listed in clauses (1) through (4) of subsection
    (a) of this Section.
    (c) In an action brought by the People of the State of
Illinois under this Act, wherein any restraining order,
injunction or prohibition or any other action in connection
with any property or property interest subject to forfeiture
under this Act is sought, the circuit court which shall preside
over the trial of the person or persons charged with any of the
offenses listed in clauses (1) through (4) of subsection (a) of
this Section shall first determine whether there is probable
cause to believe that the person or persons so charged have
committed a violation of any of the offenses listed in clauses
(1) through (4) of subsection (a) of this Section and whether
the property or property interest is subject to forfeiture
pursuant to this Act.
    In order to make such a determination, prior to entering
any such order, the court shall conduct a hearing without a
jury, wherein the People shall establish that there is: (i)
probable cause that the person or persons so charged have
committed one of the offenses listed in clauses (1) through (4)
of subsection (a) of this Section and (ii) probable cause that
any property or property interest may be subject to forfeiture
pursuant to this Act. Such hearing may be conducted
simultaneously with a preliminary hearing, if the prosecution
is commenced by information or complaint, or by motion of the
People, at any stage in the proceedings. The court may accept a
finding of probable cause at a preliminary hearing following
the filing of a charge for violating one of the offenses listed
in clauses (1) through (4) of subsection (a) of this Section or
the return of an indictment by a grand jury charging one of the
offenses listed in clauses (1) through (4) of subsection (a) of
this Section as sufficient evidence of probable cause as
provided in item (i) above.
    Upon such a finding, the circuit court shall enter such
restraining order, injunction or prohibition, or shall take
such other action in connection with any such property or
property interest subject to forfeiture under this Act, as is
necessary to insure that such property is not removed from the
jurisdiction of the court, concealed, destroyed or otherwise
disposed of by the owner of that property or property interest
prior to a forfeiture hearing under subsection (b) of this
Section. The Attorney General or State's Attorney shall file a
certified copy of such restraining order, injunction or other
prohibition with the recorder of deeds or registrar of titles
of each county where any such property of the defendant may be
located. No such injunction, restraining order or other
prohibition shall affect the rights of any bona fide purchaser,
mortgagee, judgment creditor or other lien holder arising prior
to the date of such filing.
    The court may, at any time, upon verified petition by the
defendant, conduct a hearing to release all or portions of any
such property or interest which the court previously determined
to be subject to forfeiture or subject to any restraining
order, injunction, or prohibition or other action. The court
may release such property to the defendant for good cause shown
and within the sound discretion of the court.
    (d) Prosecution under this Act may be commenced by the
Attorney General or a State's Attorney.
    (e) Upon an order of forfeiture being entered pursuant to
subsection (b) of this Section, the court shall authorize the
Attorney General to seize any property or property interest
declared forfeited under this Act and under such terms and
conditions as the court shall deem proper. Any property or
property interest that has been the subject of an entered
restraining order, injunction or prohibition or any other
action filed under subsection (c) shall be forfeited unless the
claimant can show by a preponderance of the evidence that the
property or property interest has not been acquired or
maintained as a result of a violation of any of the offenses
listed in clauses (1) through (4) of subsection (a) of this
Section or has not been used to facilitate a violation of any
of the offenses listed in clauses (1) through (4) of subsection
(a) of this Section.
    (f) The Attorney General or his or her designee is
authorized to sell all property forfeited and seized pursuant
to this Act, unless such property is required by law to be
destroyed or is harmful to the public, and, after the deduction
of all requisite expenses of administration and sale, shall
distribute the proceeds of such sale, along with any moneys
forfeited or seized, in accordance with subsection (g).
    (g) All monies and the sale proceeds of all other property
forfeited and seized pursuant to this Act shall be distributed
as follows:
        (1) An amount equal to 50% shall be distributed to the
    unit of local government or other law enforcement agency
    whose officers or employees conducted the investigation
    into a violation of any of the offenses listed in clauses
    (1) through (4) of subsection (a) of this Section and
    caused the arrest or arrests and prosecution leading to the
    forfeiture. Amounts distributed to units of local
    government and law enforcement agencies shall be used for
    enforcement of laws governing public corruption, or for
    other law enforcement purposes. In the event, however, that
    the investigation, arrest or arrests and prosecution
    leading to the forfeiture were undertaken solely by a State
    agency, the portion provided hereunder shall be paid into
    the State Asset Forfeiture Fund in the State treasury to be
    used by that State agency in accordance with law. If the
    investigation, arrest or arrests and prosecution leading
    to the forfeiture were undertaken by the Attorney General,
    the portion provided hereunder shall be paid into the
    Attorney General's Whistleblower Reward and Protection
    Fund in the State treasury to be used by the Attorney
    General in accordance with law.
        (2) An amount equal to 12.5% shall be distributed to
    the county in which the prosecution resulting in the
    forfeiture was instituted, deposited in a special fund in
    the county treasury and appropriated to the State's
    Attorney for use in accordance with law. If the prosecution
    was conducted by the Attorney General, then the amount
    provided under this subsection shall be paid into the
    Attorney General's Whistleblower Reward and Protection
    Fund in the State treasury to be used by the Attorney
    General in accordance with law.
        (3) An amount equal to 12.5% shall be distributed to
    the Office of the State's Attorneys Appellate Prosecutor
    and deposited in the State's Attorneys Appellate
    Prosecutor Anti-Corruption Fund, to be used by the Office
    of the State's Attorneys Appellate Prosecutor for
    additional expenses incurred in prosecuting appeals
    arising under this Act. Any amounts remaining in the Fund
    after all additional expenses have been paid shall be used
    by the Office to reduce the participating county
    contributions to the Office on a prorated basis as
    determined by the board of governors of the Office of the
    State's Attorneys Appellate Prosecutor based on the
    populations of the participating counties. If the appeal is
    to be conducted by the Attorney General, then the amount
    provided under this subsection shall be paid into the
    Attorney General's Whistleblower Reward and Protection
    Fund in the State treasury to be used by the Attorney
    General in accordance with law.
        (4) An amount equal to 25% shall be paid into the State
    Asset Forfeiture Fund in the State treasury to be used by
    the Department of State Police for the funding of the
    investigation of public corruption activities. Any amounts
    remaining in the Fund after full funding of such
    investigations shall be used by the Department in
    accordance with law to fund its other enforcement
    activities.
    (h) All moneys deposited pursuant to this Act in the State
Asset Forfeiture Fund shall, subject to appropriation, be used
by the Department of State Police in the manner set forth in
this Section. All moneys deposited pursuant to this Act in the
Attorney General's Whistleblower Reward and Protection Fund
shall, subject to appropriation, be used by the Attorney
General for State law enforcement purposes and for the
performance of the duties of that office. All moneys deposited
pursuant to this Act in the State's Attorneys Appellate
Prosecutor Anti-Corruption Fund shall, subject to
appropriation, be used by the Office of the State's Attorneys
Appellate Prosecutor in the manner set forth in this Section.
(Source: P.A. 96-1019, eff. 1-1-11; 97-657, eff. 1-13-12.)
 
    Section 25. The Illinois Notary Public Act is amended by
changing Section 7-104 as follows:
 
    (5 ILCS 312/7-104)  (from Ch. 102, par. 207-104)
    Sec. 7-104. Official Misconduct Defined. The term
"official misconduct" generally means the wrongful exercise of
a power or the wrongful performance of a duty and is fully
defined in Section 33-3 of the Criminal Code of 2012 1961. The
term "wrongful" as used in the definition of official
misconduct means unauthorized, unlawful, abusive, negligent,
reckless, or injurious.
(Source: P.A. 85-293.)
 
    Section 30. The Election Code is amended by changing
Sections 9-25.2, 11-4.1, 19A-10.5, and 29-13 as follows:
 
    (10 ILCS 5/9-25.2)
    Sec. 9-25.2. Contributions; candidate or treasurer of
political committee.
    (a) No candidate may knowingly receive any contribution
solicited or received in violation of Section 33-3.1 or Section
33-3.2 of the Criminal Code of 2012 1961.
    (b) The receipt of political contributions in violation of
this Section shall constitute a Class A misdemeanor.
    The appropriate State's Attorney or the Attorney General
shall bring actions in the name of the people of the State of
Illinois.
(Source: P.A. 92-853, eff. 8-28-02.)
 
    (10 ILCS 5/11-4.1)  (from Ch. 46, par. 11-4.1)
    Sec. 11-4.1. (a) In appointing polling places under this
Article, the county board or board of election commissioners
shall, insofar as they are convenient and available, use
schools and other public buildings as polling places.
    (b) Upon request of the county board or board of election
commissioners, the proper agency of government (including
school districts and units of local government) shall make a
public building under its control available for use as a
polling place on an election day and for a reasonably necessary
time before and after election day, without charge. If the
county board or board of election commissioners chooses a
school to be a polling place, then the school district must
make the school available for use as a polling place. However,
for the day of the election, a school district may choose to
(i) keep the school open or (ii) hold a teachers institute on
that day.
    (c) A government agency which makes a public building under
its control available for use as a polling place shall ensure
the portion of the building to be used as the polling place is
accessible to handicapped and elderly voters.
    (d) If a qualified elector's precinct polling place is a
school and the elector will be unable to enter that polling
place without violating Section 11-9.3 of the Criminal Code of
2012 1961 because the elector is a child sex offender as
defined in Section 11-9.3 of the Criminal Code of 2012 1961,
that elector may vote by absentee ballot in accordance with
Article 19 of this Code or may vote early in accordance with
Article 19A of this Code.
(Source: P.A. 95-440, eff. 8-27-07.)
 
    (10 ILCS 5/19A-10.5)
    Sec. 19A-10.5. Child sex offenders. If an election
authority designates one or more permanent early voting polling
places under this Article, the election authority must
designate at least one permanent early voting polling place
that a qualified elector who is a child sex offender as defined
in Section 11-9.3 or Section 11-9.4 of the Criminal Code of
2012 1961 may enter without violating Section 11-9.3 or Section
11-9.4 of that Code, respectively.
    If an election authority designates one or more temporary
early voting polling places under this Article, the election
authority must designate at least one temporary early voting
polling place that a qualified elector who is a child sex
offender as defined in Section 11-9.3 or Section 11-9.4 of the
Criminal Code of 2012 1961 may enter without violating Section
11-9.3 or Section 11-9.4 of that Code, respectively.
(Source: P.A. 95-440, eff. 8-27-07.)
 
    (10 ILCS 5/29-13)  (from Ch. 46, par. 29-13)
    Sec. 29-13. Attempt, solicitation and conspiracy. Each
violation of this Code shall be an offense within the meaning
of Section 2-12 of the Illinois Criminal Code of 2012 1961, as
amended, so that the inchoate offenses of solicitation,
conspiracy and attempt, and the punishment therefor, as
provided in such Criminal Code shall apply to solicitation,
conspiracy and attempt to violate the provisions of this Code.
(Source: P.A. 78-887.)
 
    Section 35. The Secretary of State Merit Employment Code is
amended by changing Section 10b.1 as follows:
 
    (15 ILCS 310/10b.1)  (from Ch. 124, par. 110b.1)
    Sec. 10b.1. Competitive examinations.
    (a) For open competitive examinations to test the relative
fitness of applicants for the respective positions. Tests shall
be designed to eliminate those who are not qualified for
entrance into the Office of the Secretary of State and to
discover the relative fitness of those who are qualified. The
Director may use any one of or any combination of the following
examination methods which in his judgment best serves this end:
investigation of education and experience; test of cultural
knowledge; test of capacity; test of knowledge; test of manual
skill; test of linguistic ability; test of character; test of
physical skill; test of psychological fitness. No person with a
record of misdemeanor convictions except those under Sections
11-1.50, 11-6, 11-7, 11-9, 11-14, 11-15, 11-17, 11-18, 11-19,
11-30, 11-35, 12-2, 12-6, 12-15, 14-4, 16-1, 21.1-3, 24-3.1,
24-5, 25-1, 28-3, 31-1, 31-4, 31-6, 31-7, 32-1, 32-2, 32-3,
32-4, and 32-8, subdivisions (a)(1) and (a)(2)(C) of Section
11-14.3, and sub-sections 1, 6 and 8 of Section 24-1 of the
Criminal Code of 1961 or the Criminal Code of 2012, or arrested
for any cause but not convicted thereon shall be disqualified
from taking such examinations or subsequent appointment unless
the person is attempting to qualify for a position which would
give him the powers of a peace officer, in which case the
person's conviction or arrest record may be considered as a
factor in determining the person's fitness for the position.
All examinations shall be announced publicly at least 2 weeks
in advance of the date of examinations and may be advertised
through the press, radio or other media.
    The Director may, at his discretion, accept the results of
competitive examinations conducted by any merit system
established by Federal law or by the law of any State, and may
compile eligible lists therefrom or may add the names of
successful candidates in examinations conducted by those merit
systems to existing eligible lists in accordance with their
respective ratings. No person who is a non-resident of the
State of Illinois may be appointed from those eligible lists,
however, unless the requirement that applicants be residents of
the State of Illinois is waived by the Director of Personnel
and unless there are less than 3 Illinois residents available
for appointment from the appropriate eligible list. The results
of the examinations conducted by other merit systems may not be
used unless they are comparable in difficulty and
comprehensiveness to examinations conducted by the Department
of Personnel for similar positions. Special linguistic options
may also be established where deemed appropriate.
    (b) The Director of Personnel may require that each person
seeking employment with the Secretary of State, as part of the
application process, authorize an investigation to determine
if the applicant has ever been convicted of a crime and if so,
the disposition of those convictions; this authorization shall
indicate the scope of the inquiry and the agencies which may be
contacted. Upon this authorization, the Director of Personnel
may request and receive information and assistance from any
federal, state or local governmental agency as part of the
authorized investigation. The investigation shall be
undertaken after the fingerprinting of an applicant in the form
and manner prescribed by the Department of State Police. The
investigation shall consist of a criminal history records check
performed by the Department of State Police and the Federal
Bureau of Investigation, or some other entity that has the
ability to check the applicant's fingerprints against the
fingerprint records now and hereafter filed in the Department
of State Police and Federal Bureau of Investigation criminal
history records databases. If the Department of State Police
and the Federal Bureau of Investigation conduct an
investigation directly for the Secretary of State's Office,
then the Department of State Police shall charge a fee for
conducting the criminal history records check, which shall be
deposited in the State Police Services Fund and shall not
exceed the actual cost of the records check. The Department of
State Police shall provide information concerning any criminal
convictions, and their disposition, brought against the
applicant or prospective employee of the Secretary of State
upon request of the Department of Personnel when the request is
made in the form and manner required by the Department of State
Police. The information derived from this investigation,
including the source of this information, and any conclusions
or recommendations derived from this information by the
Director of Personnel shall be provided to the applicant or
prospective employee, or his designee, upon request to the
Director of Personnel prior to any final action by the Director
of Personnel on the application. No information obtained from
such investigation may be placed in any automated information
system. Any criminal convictions and their disposition
information obtained by the Director of Personnel shall be
confidential and may not be transmitted outside the Office of
the Secretary of State, except as required herein, and may not
be transmitted to anyone within the Office of the Secretary of
State except as needed for the purpose of evaluating the
application. The only physical identity materials which the
applicant or prospective employee can be required to provide
the Director of Personnel are photographs or fingerprints;
these shall be returned to the applicant or prospective
employee upon request to the Director of Personnel, after the
investigation has been completed and no copy of these materials
may be kept by the Director of Personnel or any agency to which
such identity materials were transmitted. Only information and
standards which bear a reasonable and rational relation to the
performance of an employee shall be used by the Director of
Personnel. The Secretary of State shall adopt rules and
regulations for the administration of this Section. Any
employee of the Secretary of State who gives or causes to be
given away any confidential information concerning any
criminal convictions and their disposition of an applicant or
prospective employee shall be guilty of a Class A misdemeanor
unless release of such information is authorized by this
Section.
(Source: P.A. 95-331, eff. 8-21-07; 96-1551, eff. 7-1-11.)
 
    Section 40. The Comptroller Merit Employment Code is
amended by changing Section 10b.1 as follows:
 
    (15 ILCS 410/10b.1)  (from Ch. 15, par. 426)
    Sec. 10b.1. Competitive examinations. For open competitive
examinations to test the relative fitness of applicants for the
respective positions. Tests shall be designed to eliminate
those who are not qualified for entrance into the Office of the
Comptroller and to discover the relative fitness of those who
are qualified. The Director may use any one of or any
combination of the following examination methods which in his
judgment best serves this end: investigation of education and
experience; test of cultural knowledge; test of capacity; test
of knowledge; test of manual skill; test of linguistic ability;
test of character; test of physical skill; test of
psychological fitness. No person with a record of misdemeanor
convictions except those under Sections 11-1.50, 11-6, 11-7,
11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 11-30, 11-35, 12-2,
12-6, 12-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3,
31-1, 31-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, and 32-8,
subdivisions (a)(1) and (a)(2)(C) of Section 11-14.3, and
sub-sections 1, 6 and 8 of Section 24-1 of the Criminal Code of
1961 or the Criminal Code of 2012, or arrested for any cause
but not convicted thereon shall be disqualified from taking
such examinations or subsequent appointment unless the person
is attempting to qualify for a position which entails financial
responsibilities, in which case the person's conviction or
arrest record may be considered as a factor in determining the
person's fitness for the position. All examinations shall be
announced publicly at least 2 weeks in advance of the date of
examinations and may be advertised through the press, radio or
other media.
    The Director may, at his or her discretion, accept the
results of competitive examinations conducted by any merit
system established by Federal law or by the law of any State,
and may compile eligible lists therefrom or may add the names
of successful candidates in examinations conducted by those
merit systems to existing eligible lists in accordance with
their respective ratings. No person who is a non-resident of
the State of Illinois may be appointed from those eligible
lists, however, unless the requirement that applicants be
residents of the State of Illinois is waived by the Director of
Human Resources and unless there are less than 3 Illinois
residents available for appointment from the appropriate
eligible list. The results of the examinations conducted by
other merit systems may not be used unless they are comparable
in difficulty and comprehensiveness to examinations conducted
by the Department of Human Resources for similar positions.
Special linguistic options may also be established where deemed
appropriate.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 45. The Alcoholism and Other Drug Abuse and
Dependency Act is amended by changing Section 40-5 as follows:
 
    (20 ILCS 301/40-5)
    Sec. 40-5. Election of treatment. An addict or alcoholic
who is charged with or convicted of a crime or any other person
charged with or convicted of a misdemeanor violation of the Use
of Intoxicating Compounds Act and who has not been previously
convicted of a violation of that Act may elect treatment under
the supervision of a licensed program designated by the
Department, referred to in this Article as "designated
program", unless:
        (1) the crime is a crime of violence;
        (2) the crime is a violation of Section 401(a), 401(b),
    401(c) where the person electing treatment has been
    previously convicted of a non-probationable felony or the
    violation is non-probationable, 401(d) where the violation
    is non-probationable, 401.1, 402(a), 405 or 407 of the
    Illinois Controlled Substances Act, or Section 4(d), 4(e),
    4(f), 4(g), 5(d), 5(e), 5(f), 5(g), 5.1, 7 or 9 of the
    Cannabis Control Act or Section 15, 20, 55, 60(b)(3),
    60(b)(4), 60(b)(5), 60(b)(6), or 65 of the Methamphetamine
    Control and Community Protection Act or is otherwise
    ineligible for probation under Section 70 of the
    Methamphetamine Control and Community Protection Act;
        (3) the person has a record of 2 or more convictions of
    a crime of violence;
        (4) other criminal proceedings alleging commission of
    a felony are pending against the person;
        (5) the person is on probation or parole and the
    appropriate parole or probation authority does not consent
    to that election;
        (6) the person elected and was admitted to a designated
    program on 2 prior occasions within any consecutive 2-year
    period;
        (7) the person has been convicted of residential
    burglary and has a record of one or more felony
    convictions;
        (8) the crime is a violation of Section 11-501 of the
    Illinois Vehicle Code or a similar provision of a local
    ordinance; or
        (9) the crime is a reckless homicide or a reckless
    homicide of an unborn child, as defined in Section 9-3 or
    9-3.2 of the Criminal Code of 1961 or the Criminal Code of
    2012, in which the cause of death consists of the driving
    of a motor vehicle by a person under the influence of
    alcohol or any other drug or drugs at the time of the
    violation.
(Source: P.A. 96-1440, eff. 1-1-11; 97-889, eff. 1-1-13.)
 
    Section 50. The Personnel Code is amended by changing
Section 8b.1 as follows:
 
    (20 ILCS 415/8b.1)  (from Ch. 127, par. 63b108b.1)
    Sec. 8b.1. For open competitive examinations to test the
relative fitness of applicants for the respective positions.
    Tests shall be designed to eliminate those who are not
qualified for entrance into or promotion within the service,
and to discover the relative fitness of those who are
qualified. The Director may use any one of or any combination
of the following examination methods which in his judgment best
serves this end: investigation of education; investigation of
experience; test of cultural knowledge; test of capacity; test
of knowledge; test of manual skill; test of linguistic ability;
test of character; test of physical fitness; test of
psychological fitness. No person with a record of misdemeanor
convictions except those under Sections 11-1.50, 11-6, 11-7,
11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 11-30, 11-35, 12-2,
12-6, 12-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3,
31-1, 31-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, and 32-8,
subdivisions (a)(1) and (a)(2)(C) of Section 11-14.3, and
sub-sections 1, 6 and 8 of Section 24-1 of the Criminal Code of
1961 or the Criminal Code of 2012, or arrested for any cause
but not convicted thereon shall be disqualified from taking
such examinations or subsequent appointment, unless the person
is attempting to qualify for a position which would give him
the powers of a peace officer, in which case the person's
conviction or arrest record may be considered as a factor in
determining the person's fitness for the position. The
eligibility conditions specified for the position of Assistant
Director of Healthcare and Family Services in the Department of
Healthcare and Family Services in Section 5-230 of the
Departments of State Government Law (20 ILCS 5/5-230) shall be
applied to that position in addition to other standards, tests
or criteria established by the Director. All examinations shall
be announced publicly at least 2 weeks in advance of the date
of the examinations and may be advertised through the press,
radio and other media. The Director may, however, in his
discretion, continue to receive applications and examine
candidates long enough to assure a sufficient number of
eligibles to meet the needs of the service and may add the
names of successful candidates to existing eligible lists in
accordance with their respective ratings.
    The Director may, in his discretion, accept the results of
competitive examinations conducted by any merit system
established by federal law or by the law of any State, and may
compile eligible lists therefrom or may add the names of
successful candidates in examinations conducted by those merit
systems to existing eligible lists in accordance with their
respective ratings. No person who is a non-resident of the
State of Illinois may be appointed from those eligible lists,
however, unless the requirement that applicants be residents of
the State of Illinois is waived by the Director of Central
Management Services and unless there are less than 3 Illinois
residents available for appointment from the appropriate
eligible list. The results of the examinations conducted by
other merit systems may not be used unless they are comparable
in difficulty and comprehensiveness to examinations conducted
by the Department of Central Management Services for similar
positions. Special linguistic options may also be established
where deemed appropriate.
(Source: P.A. 95-331, eff. 8-21-07; 96-1551, eff. 7-1-11.)
 
    Section 55. The Children and Family Services Act is amended
by changing Sections 5, 7, and 9.3 as follows:
 
    (20 ILCS 505/5)  (from Ch. 23, par. 5005)
    Sec. 5. Direct child welfare services; Department of
Children and Family Services. To provide direct child welfare
services when not available through other public or private
child care or program facilities.
    (a) For purposes of this Section:
        (1) "Children" means persons found within the State who
    are under the age of 18 years. The term also includes
    persons under age 21 who:
            (A) were committed to the Department pursuant to
        the Juvenile Court Act or the Juvenile Court Act of
        1987, as amended, prior to the age of 18 and who
        continue under the jurisdiction of the court; or
            (B) were accepted for care, service and training by
        the Department prior to the age of 18 and whose best
        interest in the discretion of the Department would be
        served by continuing that care, service and training
        because of severe emotional disturbances, physical
        disability, social adjustment or any combination
        thereof, or because of the need to complete an
        educational or vocational training program.
        (2) "Homeless youth" means persons found within the
    State who are under the age of 19, are not in a safe and
    stable living situation and cannot be reunited with their
    families.
        (3) "Child welfare services" means public social
    services which are directed toward the accomplishment of
    the following purposes:
            (A) protecting and promoting the health, safety
        and welfare of children, including homeless, dependent
        or neglected children;
            (B) remedying, or assisting in the solution of
        problems which may result in, the neglect, abuse,
        exploitation or delinquency of children;
            (C) preventing the unnecessary separation of
        children from their families by identifying family
        problems, assisting families in resolving their
        problems, and preventing the breakup of the family
        where the prevention of child removal is desirable and
        possible when the child can be cared for at home
        without endangering the child's health and safety;
            (D) restoring to their families children who have
        been removed, by the provision of services to the child
        and the families when the child can be cared for at
        home without endangering the child's health and
        safety;
            (E) placing children in suitable adoptive homes,
        in cases where restoration to the biological family is
        not safe, possible or appropriate;
            (F) assuring safe and adequate care of children
        away from their homes, in cases where the child cannot
        be returned home or cannot be placed for adoption. At
        the time of placement, the Department shall consider
        concurrent planning, as described in subsection (l-1)
        of this Section so that permanency may occur at the
        earliest opportunity. Consideration should be given so
        that if reunification fails or is delayed, the
        placement made is the best available placement to
        provide permanency for the child;
            (G) (blank);
            (H) (blank); and
            (I) placing and maintaining children in facilities
        that provide separate living quarters for children
        under the age of 18 and for children 18 years of age
        and older, unless a child 18 years of age is in the
        last year of high school education or vocational
        training, in an approved individual or group treatment
        program, in a licensed shelter facility, or secure
        child care facility. The Department is not required to
        place or maintain children:
                (i) who are in a foster home, or
                (ii) who are persons with a developmental
            disability, as defined in the Mental Health and
            Developmental Disabilities Code, or
                (iii) who are female children who are
            pregnant, pregnant and parenting or parenting, or
                (iv) who are siblings, in facilities that
            provide separate living quarters for children 18
            years of age and older and for children under 18
            years of age.
    (b) Nothing in this Section shall be construed to authorize
the expenditure of public funds for the purpose of performing
abortions.
    (c) The Department shall establish and maintain
tax-supported child welfare services and extend and seek to
improve voluntary services throughout the State, to the end
that services and care shall be available on an equal basis
throughout the State to children requiring such services.
    (d) The Director may authorize advance disbursements for
any new program initiative to any agency contracting with the
Department. As a prerequisite for an advance disbursement, the
contractor must post a surety bond in the amount of the advance
disbursement and have a purchase of service contract approved
by the Department. The Department may pay up to 2 months
operational expenses in advance. The amount of the advance
disbursement shall be prorated over the life of the contract or
the remaining months of the fiscal year, whichever is less, and
the installment amount shall then be deducted from future
bills. Advance disbursement authorizations for new initiatives
shall not be made to any agency after that agency has operated
during 2 consecutive fiscal years. The requirements of this
Section concerning advance disbursements shall not apply with
respect to the following: payments to local public agencies for
child day care services as authorized by Section 5a of this
Act; and youth service programs receiving grant funds under
Section 17a-4.
    (e) (Blank).
    (f) (Blank).
    (g) The Department shall establish rules and regulations
concerning its operation of programs designed to meet the goals
of child safety and protection, family preservation, family
reunification, and adoption, including but not limited to:
        (1) adoption;
        (2) foster care;
        (3) family counseling;
        (4) protective services;
        (5) (blank);
        (6) homemaker service;
        (7) return of runaway children;
        (8) (blank);
        (9) placement under Section 5-7 of the Juvenile Court
    Act or Section 2-27, 3-28, 4-25 or 5-740 of the Juvenile
    Court Act of 1987 in accordance with the federal Adoption
    Assistance and Child Welfare Act of 1980; and
        (10) interstate services.
    Rules and regulations established by the Department shall
include provisions for training Department staff and the staff
of Department grantees, through contracts with other agencies
or resources, in alcohol and drug abuse screening techniques
approved by the Department of Human Services, as a successor to
the Department of Alcoholism and Substance Abuse, for the
purpose of identifying children and adults who should be
referred to an alcohol and drug abuse treatment program for
professional evaluation.
    (h) If the Department finds that there is no appropriate
program or facility within or available to the Department for a
ward and that no licensed private facility has an adequate and
appropriate program or none agrees to accept the ward, the
Department shall create an appropriate individualized,
program-oriented plan for such ward. The plan may be developed
within the Department or through purchase of services by the
Department to the extent that it is within its statutory
authority to do.
    (i) Service programs shall be available throughout the
State and shall include but not be limited to the following
services:
        (1) case management;
        (2) homemakers;
        (3) counseling;
        (4) parent education;
        (5) day care; and
        (6) emergency assistance and advocacy.
    In addition, the following services may be made available
to assess and meet the needs of children and families:
        (1) comprehensive family-based services;
        (2) assessments;
        (3) respite care; and
        (4) in-home health services.
    The Department shall provide transportation for any of the
services it makes available to children or families or for
which it refers children or families.
    (j) The Department may provide categories of financial
assistance and education assistance grants, and shall
establish rules and regulations concerning the assistance and
grants, to persons who adopt physically or mentally
handicapped, older and other hard-to-place children who (i)
immediately prior to their adoption were legal wards of the
Department or (ii) were determined eligible for financial
assistance with respect to a prior adoption and who become
available for adoption because the prior adoption has been
dissolved and the parental rights of the adoptive parents have
been terminated or because the child's adoptive parents have
died. The Department may continue to provide financial
assistance and education assistance grants for a child who was
determined eligible for financial assistance under this
subsection (j) in the interim period beginning when the child's
adoptive parents died and ending with the finalization of the
new adoption of the child by another adoptive parent or
parents. The Department may also provide categories of
financial assistance and education assistance grants, and
shall establish rules and regulations for the assistance and
grants, to persons appointed guardian of the person under
Section 5-7 of the Juvenile Court Act or Section 2-27, 3-28,
4-25 or 5-740 of the Juvenile Court Act of 1987 for children
who were wards of the Department for 12 months immediately
prior to the appointment of the guardian.
    The amount of assistance may vary, depending upon the needs
of the child and the adoptive parents, as set forth in the
annual assistance agreement. Special purpose grants are
allowed where the child requires special service but such costs
may not exceed the amounts which similar services would cost
the Department if it were to provide or secure them as guardian
of the child.
    Any financial assistance provided under this subsection is
inalienable by assignment, sale, execution, attachment,
garnishment, or any other remedy for recovery or collection of
a judgment or debt.
    (j-5) The Department shall not deny or delay the placement
of a child for adoption if an approved family is available
either outside of the Department region handling the case, or
outside of the State of Illinois.
    (k) The Department shall accept for care and training any
child who has been adjudicated neglected or abused, or
dependent committed to it pursuant to the Juvenile Court Act or
the Juvenile Court Act of 1987.
    (l) The Department shall offer family preservation
services, as defined in Section 8.2 of the Abused and Neglected
Child Reporting Act, to help families, including adoptive and
extended families. Family preservation services shall be
offered (i) to prevent the placement of children in substitute
care when the children can be cared for at home or in the
custody of the person responsible for the children's welfare,
(ii) to reunite children with their families, or (iii) to
maintain an adoptive placement. Family preservation services
shall only be offered when doing so will not endanger the
children's health or safety. With respect to children who are
in substitute care pursuant to the Juvenile Court Act of 1987,
family preservation services shall not be offered if a goal
other than those of subdivisions (A), (B), or (B-1) of
subsection (2) of Section 2-28 of that Act has been set.
Nothing in this paragraph shall be construed to create a
private right of action or claim on the part of any individual
or child welfare agency, except that when a child is the
subject of an action under Article II of the Juvenile Court Act
of 1987 and the child's service plan calls for services to
facilitate achievement of the permanency goal, the court
hearing the action under Article II of the Juvenile Court Act
of 1987 may order the Department to provide the services set
out in the plan, if those services are not provided with
reasonable promptness and if those services are available.
    The Department shall notify the child and his family of the
Department's responsibility to offer and provide family
preservation services as identified in the service plan. The
child and his family shall be eligible for services as soon as
the report is determined to be "indicated". The Department may
offer services to any child or family with respect to whom a
report of suspected child abuse or neglect has been filed,
prior to concluding its investigation under Section 7.12 of the
Abused and Neglected Child Reporting Act. However, the child's
or family's willingness to accept services shall not be
considered in the investigation. The Department may also
provide services to any child or family who is the subject of
any report of suspected child abuse or neglect or may refer
such child or family to services available from other agencies
in the community, even if the report is determined to be
unfounded, if the conditions in the child's or family's home
are reasonably likely to subject the child or family to future
reports of suspected child abuse or neglect. Acceptance of such
services shall be voluntary. The Department may also provide
services to any child or family after completion of a family
assessment, as an alternative to an investigation, as provided
under the "differential response program" provided for in
subsection (a-5) of Section 7.4 of the Abused and Neglected
Child Reporting Act.
    The Department may, at its discretion except for those
children also adjudicated neglected or dependent, accept for
care and training any child who has been adjudicated addicted,
as a truant minor in need of supervision or as a minor
requiring authoritative intervention, under the Juvenile Court
Act or the Juvenile Court Act of 1987, but no such child shall
be committed to the Department by any court without the
approval of the Department. A minor charged with a criminal
offense under the Criminal Code of 1961 or the Criminal Code of
2012 or adjudicated delinquent shall not be placed in the
custody of or committed to the Department by any court, except
(i) a minor less than 15 years of age committed to the
Department under Section 5-710 of the Juvenile Court Act of
1987, (ii) a minor for whom an independent basis of abuse,
neglect, or dependency exists, which must be defined by
departmental rule, or (iii) a minor for whom the court has
granted a supplemental petition to reinstate wardship pursuant
to subsection (2) of Section 2-33 of the Juvenile Court Act of
1987. An independent basis exists when the allegations or
adjudication of abuse, neglect, or dependency do not arise from
the same facts, incident, or circumstances which give rise to a
charge or adjudication of delinquency.
    As soon as is possible after August 7, 2009 (the effective
date of Public Act 96-134), the Department shall develop and
implement a special program of family preservation services to
support intact, foster, and adoptive families who are
experiencing extreme hardships due to the difficulty and stress
of caring for a child who has been diagnosed with a pervasive
developmental disorder if the Department determines that those
services are necessary to ensure the health and safety of the
child. The Department may offer services to any family whether
or not a report has been filed under the Abused and Neglected
Child Reporting Act. The Department may refer the child or
family to services available from other agencies in the
community if the conditions in the child's or family's home are
reasonably likely to subject the child or family to future
reports of suspected child abuse or neglect. Acceptance of
these services shall be voluntary. The Department shall develop
and implement a public information campaign to alert health and
social service providers and the general public about these
special family preservation services. The nature and scope of
the services offered and the number of families served under
the special program implemented under this paragraph shall be
determined by the level of funding that the Department annually
allocates for this purpose. The term "pervasive developmental
disorder" under this paragraph means a neurological condition,
including but not limited to, Asperger's Syndrome and autism,
as defined in the most recent edition of the Diagnostic and
Statistical Manual of Mental Disorders of the American
Psychiatric Association.
    (l-1) The legislature recognizes that the best interests of
the child require that the child be placed in the most
permanent living arrangement as soon as is practically
possible. To achieve this goal, the legislature directs the
Department of Children and Family Services to conduct
concurrent planning so that permanency may occur at the
earliest opportunity. Permanent living arrangements may
include prevention of placement of a child outside the home of
the family when the child can be cared for at home without
endangering the child's health or safety; reunification with
the family, when safe and appropriate, if temporary placement
is necessary; or movement of the child toward the most
permanent living arrangement and permanent legal status.
    When determining reasonable efforts to be made with respect
to a child, as described in this subsection, and in making such
reasonable efforts, the child's health and safety shall be the
paramount concern.
    When a child is placed in foster care, the Department shall
ensure and document that reasonable efforts were made to
prevent or eliminate the need to remove the child from the
child's home. The Department must make reasonable efforts to
reunify the family when temporary placement of the child occurs
unless otherwise required, pursuant to the Juvenile Court Act
of 1987. At any time after the dispositional hearing where the
Department believes that further reunification services would
be ineffective, it may request a finding from the court that
reasonable efforts are no longer appropriate. The Department is
not required to provide further reunification services after
such a finding.
    A decision to place a child in substitute care shall be
made with considerations of the child's health, safety, and
best interests. At the time of placement, consideration should
also be given so that if reunification fails or is delayed, the
placement made is the best available placement to provide
permanency for the child.
    The Department shall adopt rules addressing concurrent
planning for reunification and permanency. The Department
shall consider the following factors when determining
appropriateness of concurrent planning:
        (1) the likelihood of prompt reunification;
        (2) the past history of the family;
        (3) the barriers to reunification being addressed by
    the family;
        (4) the level of cooperation of the family;
        (5) the foster parents' willingness to work with the
    family to reunite;
        (6) the willingness and ability of the foster family to
    provide an adoptive home or long-term placement;
        (7) the age of the child;
        (8) placement of siblings.
    (m) The Department may assume temporary custody of any
child if:
        (1) it has received a written consent to such temporary
    custody signed by the parents of the child or by the parent
    having custody of the child if the parents are not living
    together or by the guardian or custodian of the child if
    the child is not in the custody of either parent, or
        (2) the child is found in the State and neither a
    parent, guardian nor custodian of the child can be located.
If the child is found in his or her residence without a parent,
guardian, custodian or responsible caretaker, the Department
may, instead of removing the child and assuming temporary
custody, place an authorized representative of the Department
in that residence until such time as a parent, guardian or
custodian enters the home and expresses a willingness and
apparent ability to ensure the child's health and safety and
resume permanent charge of the child, or until a relative
enters the home and is willing and able to ensure the child's
health and safety and assume charge of the child until a
parent, guardian or custodian enters the home and expresses
such willingness and ability to ensure the child's safety and
resume permanent charge. After a caretaker has remained in the
home for a period not to exceed 12 hours, the Department must
follow those procedures outlined in Section 2-9, 3-11, 4-8, or
5-415 of the Juvenile Court Act of 1987.
    The Department shall have the authority, responsibilities
and duties that a legal custodian of the child would have
pursuant to subsection (9) of Section 1-3 of the Juvenile Court
Act of 1987. Whenever a child is taken into temporary custody
pursuant to an investigation under the Abused and Neglected
Child Reporting Act, or pursuant to a referral and acceptance
under the Juvenile Court Act of 1987 of a minor in limited
custody, the Department, during the period of temporary custody
and before the child is brought before a judicial officer as
required by Section 2-9, 3-11, 4-8, or 5-415 of the Juvenile
Court Act of 1987, shall have the authority, responsibilities
and duties that a legal custodian of the child would have under
subsection (9) of Section 1-3 of the Juvenile Court Act of
1987.
    The Department shall ensure that any child taken into
custody is scheduled for an appointment for a medical
examination.
    A parent, guardian or custodian of a child in the temporary
custody of the Department who would have custody of the child
if he were not in the temporary custody of the Department may
deliver to the Department a signed request that the Department
surrender the temporary custody of the child. The Department
may retain temporary custody of the child for 10 days after the
receipt of the request, during which period the Department may
cause to be filed a petition pursuant to the Juvenile Court Act
of 1987. If a petition is so filed, the Department shall retain
temporary custody of the child until the court orders
otherwise. If a petition is not filed within the 10 day period,
the child shall be surrendered to the custody of the requesting
parent, guardian or custodian not later than the expiration of
the 10 day period, at which time the authority and duties of
the Department with respect to the temporary custody of the
child shall terminate.
    (m-1) The Department may place children under 18 years of
age in a secure child care facility licensed by the Department
that cares for children who are in need of secure living
arrangements for their health, safety, and well-being after a
determination is made by the facility director and the Director
or the Director's designate prior to admission to the facility
subject to Section 2-27.1 of the Juvenile Court Act of 1987.
This subsection (m-1) does not apply to a child who is subject
to placement in a correctional facility operated pursuant to
Section 3-15-2 of the Unified Code of Corrections, unless the
child is a ward who was placed under the care of the Department
before being subject to placement in a correctional facility
and a court of competent jurisdiction has ordered placement of
the child in a secure care facility.
    (n) The Department may place children under 18 years of age
in licensed child care facilities when in the opinion of the
Department, appropriate services aimed at family preservation
have been unsuccessful and cannot ensure the child's health and
safety or are unavailable and such placement would be for their
best interest. Payment for board, clothing, care, training and
supervision of any child placed in a licensed child care
facility may be made by the Department, by the parents or
guardians of the estates of those children, or by both the
Department and the parents or guardians, except that no
payments shall be made by the Department for any child placed
in a licensed child care facility for board, clothing, care,
training and supervision of such a child that exceed the
average per capita cost of maintaining and of caring for a
child in institutions for dependent or neglected children
operated by the Department. However, such restriction on
payments does not apply in cases where children require
specialized care and treatment for problems of severe emotional
disturbance, physical disability, social adjustment, or any
combination thereof and suitable facilities for the placement
of such children are not available at payment rates within the
limitations set forth in this Section. All reimbursements for
services delivered shall be absolutely inalienable by
assignment, sale, attachment, garnishment or otherwise.
    (n-1) The Department shall provide or authorize child
welfare services, aimed at assisting minors to achieve
sustainable self-sufficiency as independent adults, for any
minor eligible for the reinstatement of wardship pursuant to
subsection (2) of Section 2-33 of the Juvenile Court Act of
1987, whether or not such reinstatement is sought or allowed,
provided that the minor consents to such services and has not
yet attained the age of 21. The Department shall have
responsibility for the development and delivery of services
under this Section. An eligible youth may access services under
this Section through the Department of Children and Family
Services or by referral from the Department of Human Services.
Youth participating in services under this Section shall
cooperate with the assigned case manager in developing an
agreement identifying the services to be provided and how the
youth will increase skills to achieve self-sufficiency. A
homeless shelter is not considered appropriate housing for any
youth receiving child welfare services under this Section. The
Department shall continue child welfare services under this
Section to any eligible minor until the minor becomes 21 years
of age, no longer consents to participate, or achieves
self-sufficiency as identified in the minor's service plan. The
Department of Children and Family Services shall create clear,
readable notice of the rights of former foster youth to child
welfare services under this Section and how such services may
be obtained. The Department of Children and Family Services and
the Department of Human Services shall disseminate this
information statewide. The Department shall adopt regulations
describing services intended to assist minors in achieving
sustainable self-sufficiency as independent adults.
    (o) The Department shall establish an administrative
review and appeal process for children and families who request
or receive child welfare services from the Department. Children
who are wards of the Department and are placed by private child
welfare agencies, and foster families with whom those children
are placed, shall be afforded the same procedural and appeal
rights as children and families in the case of placement by the
Department, including the right to an initial review of a
private agency decision by that agency. The Department shall
insure that any private child welfare agency, which accepts
wards of the Department for placement, affords those rights to
children and foster families. The Department shall accept for
administrative review and an appeal hearing a complaint made by
(i) a child or foster family concerning a decision following an
initial review by a private child welfare agency or (ii) a
prospective adoptive parent who alleges a violation of
subsection (j-5) of this Section. An appeal of a decision
concerning a change in the placement of a child shall be
conducted in an expedited manner.
    (p) There is hereby created the Department of Children and
Family Services Emergency Assistance Fund from which the
Department may provide special financial assistance to
families which are in economic crisis when such assistance is
not available through other public or private sources and the
assistance is deemed necessary to prevent dissolution of the
family unit or to reunite families which have been separated
due to child abuse and neglect. The Department shall establish
administrative rules specifying the criteria for determining
eligibility for and the amount and nature of assistance to be
provided. The Department may also enter into written agreements
with private and public social service agencies to provide
emergency financial services to families referred by the
Department. Special financial assistance payments shall be
available to a family no more than once during each fiscal year
and the total payments to a family may not exceed $500 during a
fiscal year.
    (q) The Department may receive and use, in their entirety,
for the benefit of children any gift, donation or bequest of
money or other property which is received on behalf of such
children, or any financial benefits to which such children are
or may become entitled while under the jurisdiction or care of
the Department.
    The Department shall set up and administer no-cost,
interest-bearing accounts in appropriate financial
institutions for children for whom the Department is legally
responsible and who have been determined eligible for Veterans'
Benefits, Social Security benefits, assistance allotments from
the armed forces, court ordered payments, parental voluntary
payments, Supplemental Security Income, Railroad Retirement
payments, Black Lung benefits, or other miscellaneous
payments. Interest earned by each account shall be credited to
the account, unless disbursed in accordance with this
subsection.
    In disbursing funds from children's accounts, the
Department shall:
        (1) Establish standards in accordance with State and
    federal laws for disbursing money from children's
    accounts. In all circumstances, the Department's
    "Guardianship Administrator" or his or her designee must
    approve disbursements from children's accounts. The
    Department shall be responsible for keeping complete
    records of all disbursements for each account for any
    purpose.
        (2) Calculate on a monthly basis the amounts paid from
    State funds for the child's board and care, medical care
    not covered under Medicaid, and social services; and
    utilize funds from the child's account, as covered by
    regulation, to reimburse those costs. Monthly,
    disbursements from all children's accounts, up to 1/12 of
    $13,000,000, shall be deposited by the Department into the
    General Revenue Fund and the balance over 1/12 of
    $13,000,000 into the DCFS Children's Services Fund.
        (3) Maintain any balance remaining after reimbursing
    for the child's costs of care, as specified in item (2).
    The balance shall accumulate in accordance with relevant
    State and federal laws and shall be disbursed to the child
    or his or her guardian, or to the issuing agency.
    (r) The Department shall promulgate regulations
encouraging all adoption agencies to voluntarily forward to the
Department or its agent names and addresses of all persons who
have applied for and have been approved for adoption of a
hard-to-place or handicapped child and the names of such
children who have not been placed for adoption. A list of such
names and addresses shall be maintained by the Department or
its agent, and coded lists which maintain the confidentiality
of the person seeking to adopt the child and of the child shall
be made available, without charge, to every adoption agency in
the State to assist the agencies in placing such children for
adoption. The Department may delegate to an agent its duty to
maintain and make available such lists. The Department shall
ensure that such agent maintains the confidentiality of the
person seeking to adopt the child and of the child.
    (s) The Department of Children and Family Services may
establish and implement a program to reimburse Department and
private child welfare agency foster parents licensed by the
Department of Children and Family Services for damages
sustained by the foster parents as a result of the malicious or
negligent acts of foster children, as well as providing third
party coverage for such foster parents with regard to actions
of foster children to other individuals. Such coverage will be
secondary to the foster parent liability insurance policy, if
applicable. The program shall be funded through appropriations
from the General Revenue Fund, specifically designated for such
purposes.
    (t) The Department shall perform home studies and
investigations and shall exercise supervision over visitation
as ordered by a court pursuant to the Illinois Marriage and
Dissolution of Marriage Act or the Adoption Act only if:
        (1) an order entered by an Illinois court specifically
    directs the Department to perform such services; and
        (2) the court has ordered one or both of the parties to
    the proceeding to reimburse the Department for its
    reasonable costs for providing such services in accordance
    with Department rules, or has determined that neither party
    is financially able to pay.
    The Department shall provide written notification to the
court of the specific arrangements for supervised visitation
and projected monthly costs within 60 days of the court order.
The Department shall send to the court information related to
the costs incurred except in cases where the court has
determined the parties are financially unable to pay. The court
may order additional periodic reports as appropriate.
    (u) In addition to other information that must be provided,
whenever the Department places a child with a prospective
adoptive parent or parents or in a licensed foster home, group
home, child care institution, or in a relative home, the
Department shall provide to the prospective adoptive parent or
parents or other caretaker:
        (1) available detailed information concerning the
    child's educational and health history, copies of
    immunization records (including insurance and medical card
    information), a history of the child's previous
    placements, if any, and reasons for placement changes
    excluding any information that identifies or reveals the
    location of any previous caretaker;
        (2) a copy of the child's portion of the client service
    plan, including any visitation arrangement, and all
    amendments or revisions to it as related to the child; and
        (3) information containing details of the child's
    individualized educational plan when the child is
    receiving special education services.
    The caretaker shall be informed of any known social or
behavioral information (including, but not limited to,
criminal background, fire setting, perpetuation of sexual
abuse, destructive behavior, and substance abuse) necessary to
care for and safeguard the children to be placed or currently
in the home. The Department may prepare a written summary of
the information required by this paragraph, which may be
provided to the foster or prospective adoptive parent in
advance of a placement. The foster or prospective adoptive
parent may review the supporting documents in the child's file
in the presence of casework staff. In the case of an emergency
placement, casework staff shall at least provide known
information verbally, if necessary, and must subsequently
provide the information in writing as required by this
subsection.
    The information described in this subsection shall be
provided in writing. In the case of emergency placements when
time does not allow prior review, preparation, and collection
of written information, the Department shall provide such
information as it becomes available. Within 10 business days
after placement, the Department shall obtain from the
prospective adoptive parent or parents or other caretaker a
signed verification of receipt of the information provided.
Within 10 business days after placement, the Department shall
provide to the child's guardian ad litem a copy of the
information provided to the prospective adoptive parent or
parents or other caretaker. The information provided to the
prospective adoptive parent or parents or other caretaker shall
be reviewed and approved regarding accuracy at the supervisory
level.
    (u-5) Effective July 1, 1995, only foster care placements
licensed as foster family homes pursuant to the Child Care Act
of 1969 shall be eligible to receive foster care payments from
the Department. Relative caregivers who, as of July 1, 1995,
were approved pursuant to approved relative placement rules
previously promulgated by the Department at 89 Ill. Adm. Code
335 and had submitted an application for licensure as a foster
family home may continue to receive foster care payments only
until the Department determines that they may be licensed as a
foster family home or that their application for licensure is
denied or until September 30, 1995, whichever occurs first.
    (v) The Department shall access criminal history record
information as defined in the Illinois Uniform Conviction
Information Act and information maintained in the adjudicatory
and dispositional record system as defined in Section 2605-355
of the Department of State Police Law (20 ILCS 2605/2605-355)
if the Department determines the information is necessary to
perform its duties under the Abused and Neglected Child
Reporting Act, the Child Care Act of 1969, and the Children and
Family Services Act. The Department shall provide for
interactive computerized communication and processing
equipment that permits direct on-line communication with the
Department of State Police's central criminal history data
repository. The Department shall comply with all certification
requirements and provide certified operators who have been
trained by personnel from the Department of State Police. In
addition, one Office of the Inspector General investigator
shall have training in the use of the criminal history
information access system and have access to the terminal. The
Department of Children and Family Services and its employees
shall abide by rules and regulations established by the
Department of State Police relating to the access and
dissemination of this information.
    (v-1) Prior to final approval for placement of a child, the
Department shall conduct a criminal records background check of
the prospective foster or adoptive parent, including
fingerprint-based checks of national crime information
databases. Final approval for placement shall not be granted if
the record check reveals a felony conviction for child abuse or
neglect, for spousal abuse, for a crime against children, or
for a crime involving violence, including rape, sexual assault,
or homicide, but not including other physical assault or
battery, or if there is a felony conviction for physical
assault, battery, or a drug-related offense committed within
the past 5 years.
    (v-2) Prior to final approval for placement of a child, the
Department shall check its child abuse and neglect registry for
information concerning prospective foster and adoptive
parents, and any adult living in the home. If any prospective
foster or adoptive parent or other adult living in the home has
resided in another state in the preceding 5 years, the
Department shall request a check of that other state's child
abuse and neglect registry.
    (w) Within 120 days of August 20, 1995 (the effective date
of Public Act 89-392), the Department shall prepare and submit
to the Governor and the General Assembly, a written plan for
the development of in-state licensed secure child care
facilities that care for children who are in need of secure
living arrangements for their health, safety, and well-being.
For purposes of this subsection, secure care facility shall
mean a facility that is designed and operated to ensure that
all entrances and exits from the facility, a building or a
distinct part of the building, are under the exclusive control
of the staff of the facility, whether or not the child has the
freedom of movement within the perimeter of the facility,
building, or distinct part of the building. The plan shall
include descriptions of the types of facilities that are needed
in Illinois; the cost of developing these secure care
facilities; the estimated number of placements; the potential
cost savings resulting from the movement of children currently
out-of-state who are projected to be returned to Illinois; the
necessary geographic distribution of these facilities in
Illinois; and a proposed timetable for development of such
facilities.
    (x) The Department shall conduct annual credit history
checks to determine the financial history of children placed
under its guardianship pursuant to the Juvenile Court Act of
1987. The Department shall conduct such credit checks starting
when a ward turns 12 years old and each year thereafter for the
duration of the guardianship as terminated pursuant to the
Juvenile Court Act of 1987. The Department shall determine if
financial exploitation of the child's personal information has
occurred. If financial exploitation appears to have taken place
or is presently ongoing, the Department shall notify the proper
law enforcement agency, the proper State's Attorney, or the
Attorney General.
    (y) Beginning on the effective date of this amendatory Act
of the 96th General Assembly, a child with a disability who
receives residential and educational services from the
Department shall be eligible to receive transition services in
accordance with Article 14 of the School Code from the age of
14.5 through age 21, inclusive, notwithstanding the child's
residential services arrangement. For purposes of this
subsection, "child with a disability" means a child with a
disability as defined by the federal Individuals with
Disabilities Education Improvement Act of 2004.
(Source: P.A. 95-10, eff. 6-30-07; 95-601, eff. 9-11-07;
95-642, eff. 6-1-08; 95-876, eff. 8-21-08; 96-134, eff. 8-7-09;
96-581, eff. 1-1-10; 96-600, eff. 8-21-09; 96-619, eff. 1-1-10;
96-760, eff. 1-1-10; 96-1000, eff. 7-2-10; 96-1189, eff.
7-22-10.)
 
    (20 ILCS 505/7)  (from Ch. 23, par. 5007)
    Sec. 7. Placement of children; considerations.
    (a) In placing any child under this Act, the Department
shall place the child, as far as possible, in the care and
custody of some individual holding the same religious belief as
the parents of the child, or with some child care facility
which is operated by persons of like religious faith as the
parents of such child.
    (a-5) In placing a child under this Act, the Department
shall place the child with the child's sibling or siblings
under Section 7.4 of this Act unless the placement is not in
each child's best interest, or is otherwise not possible under
the Department's rules. If the child is not placed with a
sibling under the Department's rules, the Department shall
consider placements that are likely to develop, preserve,
nurture, and support sibling relationships, where doing so is
in each child's best interest.
    (b) In placing a child under this Act, the Department may
place a child with a relative if the Department determines that
the relative will be able to adequately provide for the child's
safety and welfare based on the factors set forth in the
Department's rules governing relative placements, and that the
placement is consistent with the child's best interests, taking
into consideration the factors set out in subsection (4.05) of
Section 1-3 of the Juvenile Court Act of 1987.
    When the Department first assumes custody of a child, in
placing that child under this Act, the Department shall make
reasonable efforts to identify and locate a relative who is
ready, willing, and able to care for the child. At a minimum,
these efforts shall be renewed each time the child requires a
placement change and it is appropriate for the child to be
cared for in a home environment. The Department must document
its efforts to identify and locate such a relative placement
and maintain the documentation in the child's case file.
    If the Department determines that a placement with any
identified relative is not in the child's best interests or
that the relative does not meet the requirements to be a
relative caregiver, as set forth in Department rules or by
statute, the Department must document the basis for that
decision and maintain the documentation in the child's case
file.
    If, pursuant to the Department's rules, any person files an
administrative appeal of the Department's decision not to place
a child with a relative, it is the Department's burden to prove
that the decision is consistent with the child's best
interests.
    When the Department determines that the child requires
placement in an environment, other than a home environment, the
Department shall continue to make reasonable efforts to
identify and locate relatives to serve as visitation resources
for the child and potential future placement resources, except
when the Department determines that those efforts would be
futile or inconsistent with the child's best interests.
    If the Department determines that efforts to identify and
locate relatives would be futile or inconsistent with the
child's best interests, the Department shall document the basis
of its determination and maintain the documentation in the
child's case file.
    If the Department determines that an individual or a group
of relatives are inappropriate to serve as visitation resources
or possible placement resources, the Department shall document
the basis of its determination and maintain the documentation
in the child's case file.
    When the Department determines that an individual or a
group of relatives are appropriate to serve as visitation
resources or possible future placement resources, the
Department shall document the basis of its determination,
maintain the documentation in the child's case file, create a
visitation or transition plan, or both, and incorporate the
visitation or transition plan, or both, into the child's case
plan. For the purpose of this subsection, any determination as
to the child's best interests shall include consideration of
the factors set out in subsection (4.05) of Section 1-3 of the
Juvenile Court Act of 1987.
    The Department may not place a child with a relative, with
the exception of certain circumstances which may be waived as
defined by the Department in rules, if the results of a check
of the Law Enforcement Agencies Data System (LEADS) identifies
a prior criminal conviction of the relative or any adult member
of the relative's household for any of the following offenses
under the Criminal Code of 1961 or the Criminal Code of 2012:
        (1) murder;
        (1.1) solicitation of murder;
        (1.2) solicitation of murder for hire;
        (1.3) intentional homicide of an unborn child;
        (1.4) voluntary manslaughter of an unborn child;
        (1.5) involuntary manslaughter;
        (1.6) reckless homicide;
        (1.7) concealment of a homicidal death;
        (1.8) involuntary manslaughter of an unborn child;
        (1.9) reckless homicide of an unborn child;
        (1.10) drug-induced homicide;
        (2) a sex offense under Article 11, except offenses
    described in Sections 11-7, 11-8, 11-12, 11-13, 11-35,
    11-40, and 11-45;
        (3) kidnapping;
        (3.1) aggravated unlawful restraint;
        (3.2) forcible detention;
        (3.3) aiding and abetting child abduction;
        (4) aggravated kidnapping;
        (5) child abduction;
        (6) aggravated battery of a child as described in
    Section 12-4.3 or subdivision (b)(1) of Section 12-3.05;
        (7) criminal sexual assault;
        (8) aggravated criminal sexual assault;
        (8.1) predatory criminal sexual assault of a child;
        (9) criminal sexual abuse;
        (10) aggravated sexual abuse;
        (11) heinous battery as described in Section 12-4.1 or
    subdivision (a)(2) of Section 12-3.05;
        (12) aggravated battery with a firearm as described in
    Section 12-4.2 or subdivision (e)(1), (e)(2), (e)(3), or
    (e)(4) of Section 12-3.05;
        (13) tampering with food, drugs, or cosmetics;
        (14) drug-induced infliction of great bodily harm as
    described in Section 12-4.7 or subdivision (g)(1) of
    Section 12-3.05;
        (15) aggravated stalking;
        (16) home invasion;
        (17) vehicular invasion;
        (18) criminal transmission of HIV;
        (19) criminal abuse or neglect of an elderly or
    disabled person as described in Section 12-21 or subsection
    (b) of Section 12-4.4a;
        (20) child abandonment;
        (21) endangering the life or health of a child;
        (22) ritual mutilation;
        (23) ritualized abuse of a child;
        (24) an offense in any other state the elements of
    which are similar and bear a substantial relationship to
    any of the foregoing offenses.
For the purpose of this subsection, "relative" shall include
any person, 21 years of age or over, other than the parent, who
(i) is currently related to the child in any of the following
ways by blood or adoption: grandparent, sibling,
great-grandparent, uncle, aunt, nephew, niece, first cousin,
second cousin, godparent, great-uncle, or great-aunt; or (ii)
is the spouse of such a relative; or (iii) is the child's
step-father, step-mother, or adult step-brother or
step-sister; "relative" also includes a person related in any
of the foregoing ways to a sibling of a child, even though the
person is not related to the child, when the child and its
sibling are placed together with that person. For children who
have been in the guardianship of the Department, have been
adopted, and are subsequently returned to the temporary custody
or guardianship of the Department, a "relative" may also
include any person who would have qualified as a relative under
this paragraph prior to the adoption, but only if the
Department determines, and documents, that it would be in the
child's best interests to consider this person a relative,
based upon the factors for determining best interests set forth
in subsection (4.05) of Section 1-3 of the Juvenile Court Act
of 1987. A relative with whom a child is placed pursuant to
this subsection may, but is not required to, apply for
licensure as a foster family home pursuant to the Child Care
Act of 1969; provided, however, that as of July 1, 1995, foster
care payments shall be made only to licensed foster family
homes pursuant to the terms of Section 5 of this Act.
    (c) In placing a child under this Act, the Department shall
ensure that the child's health, safety, and best interests are
met. In rejecting placement of a child with an identified
relative, the Department shall ensure that the child's health,
safety, and best interests are met. In evaluating the best
interests of the child, the Department shall take into
consideration the factors set forth in subsection (4.05) of
Section 1-3 of the Juvenile Court Act of 1987.
    The Department shall consider the individual needs of the
child and the capacity of the prospective foster or adoptive
parents to meet the needs of the child. When a child must be
placed outside his or her home and cannot be immediately
returned to his or her parents or guardian, a comprehensive,
individualized assessment shall be performed of that child at
which time the needs of the child shall be determined. Only if
race, color, or national origin is identified as a legitimate
factor in advancing the child's best interests shall it be
considered. Race, color, or national origin shall not be
routinely considered in making a placement decision. The
Department shall make special efforts for the diligent
recruitment of potential foster and adoptive families that
reflect the ethnic and racial diversity of the children for
whom foster and adoptive homes are needed. "Special efforts"
shall include contacting and working with community
organizations and religious organizations and may include
contracting with those organizations, utilizing local media
and other local resources, and conducting outreach activities.
    (c-1) At the time of placement, the Department shall
consider concurrent planning, as described in subsection (l-1)
of Section 5, so that permanency may occur at the earliest
opportunity. Consideration should be given so that if
reunification fails or is delayed, the placement made is the
best available placement to provide permanency for the child.
    (d) The Department may accept gifts, grants, offers of
services, and other contributions to use in making special
recruitment efforts.
    (e) The Department in placing children in adoptive or
foster care homes may not, in any policy or practice relating
to the placement of children for adoption or foster care,
discriminate against any child or prospective adoptive or
foster parent on the basis of race.
(Source: P.A. 96-1551, Article 1, Section 900, eff. 7-1-11;
96-1551, Article 2, Section 920, eff. 7-1-11; 97-1076, eff.
8-24-12; 97-1109, eff. 1-1-13.)
 
    (20 ILCS 505/9.3)  (from Ch. 23, par. 5009.3)
    Sec. 9.3. Declarations by Parents and Guardians.
Information requested of parents and guardians shall be
submitted on forms or questionnaires prescribed by the
Department or units of local government as the case may be and
shall contain a written declaration to be signed by the parent
or guardian in substantially the following form:
    "I declare under penalties of perjury that I have examined
this form or questionnaire and all accompanying statements or
documents pertaining to my income, or any other matter having
bearing upon my status and ability to provide payment for care
and training of my child, and to the best of my knowledge and
belief the information supplied is true, correct, and
complete".
    A person who makes and subscribes a form or questionnaire
which contains, as herein above provided, a written declaration
that it is made under the penalties of perjury, knowing it to
be false, incorrect or incomplete, in respect to any material
statement or representative bearing upon his status as a parent
or guardian, or upon his income, resources, or other matter
concerning his ability to provide parental payment, shall be
subject to the penalties for perjury provided for in Section
32-2 of the "Criminal Code of 2012 1961", approved July 28,
1961, as amended.
    Parents who refuse to provide such information after three
written requests from the Department will be liable for the
full cost of care provided, from the commencement of such care
until the required information is received.
(Source: P.A. 83-1037.)
 
    Section 60. The Department of Natural Resources
(Conservation) Law of the Civil Administrative Code of Illinois
is amended by changing Section 805-540 as follows:
 
    (20 ILCS 805/805-540)  (was 20 ILCS 805/63b2.6)
    Sec. 805-540. Enforcement of adjoining state's laws. The
Director may grant authority to the officers of any adjoining
state who are authorized and directed to enforce the laws of
that state relating to the protection of flora and fauna to
take any of the following actions and have the following powers
within the State of Illinois:
        (1) To follow, seize, and return to the adjoining state
    any flora or fauna or part thereof shipped or taken from
    the adjoining state in violation of the laws of that state
    and brought into this State.
        (2) To dispose of any such flora or fauna or part
    thereof under the supervision of an Illinois Conservation
    Police Officer.
        (3) To enforce as an agent of this State, with the same
    powers as an Illinois Conservation Police Officer, each of
    the following laws of this State:
            (i) The Illinois Endangered Species Protection
        Act.
            (ii) The Fish and Aquatic Life Code.
            (iii) The Wildlife Code.
            (iv) The Wildlife Habitat Management Areas Act.
            (v) Section 48-3 of the Criminal Code of 2012 1961
        (hunter or fisherman interference).
            (vi) The Illinois Non-Game Wildlife Protection
        Act.
            (vii) The Ginseng Harvesting Act.
            (viii) The State Forest Act.
            (ix) The Forest Products Transportation Act.
            (x) The Timber Buyers Licensing Act.
    Any officer of an adjoining state acting under a power or
authority granted by the Director pursuant to this Section
shall act without compensation or other benefits from this
State and without this State having any liability for the acts
or omissions of that officer.
(Source: P.A. 96-397, eff. 1-1-10; 97-1108, eff. 1-1-13.)
 
    Section 65. The Department of Natural Resources (Mines and
Minerals) Law of the Civil Administrative Code of Illinois is
amended by changing Section 1905-110 as follows:
 
    (20 ILCS 1905/1905-110)  (was 20 ILCS 1905/45.1)
    Sec. 1905-110. Verified documents; penalty for fraud.
Applications and other documents filed for the purpose of
obtaining permits, certificates, or other licenses under Acts
administered by the Department shall be verified or contain
written affirmation that they are signed under the penalties of
perjury. A person who knowingly signs a fraudulent document
commits perjury as defined in Section 32-2 of the Criminal Code
of 2012 1961 and for the purpose of this Section shall be
guilty of a Class A misdemeanor.
(Source: P.A. 91-239, eff. 1-1-00.)
 
    Section 70. The Department of Professional Regulation Law
of the Civil Administrative Code of Illinois is amended by
changing Section 2105-25 as follows:
 
    (20 ILCS 2105/2105-25)  (was 20 ILCS 2105/60.01)
    Sec. 2105-25. Perjury; penalty. Each document required to
be filed under any Act administered by the Department shall be
verified or contain a written affirmation that it is signed
under the penalties of perjury. An applicant or registrant who
knowingly signs a fraudulent document commits perjury as
defined in Section 32-2 of the Criminal Code of 2012 1961 and
for the purpose of this Section shall be guilty of a Class A
misdemeanor.
(Source: P.A. 91-239, eff. 1-1-00.)
 
    Section 75. The Department of Revenue Law of the Civil
Administrative Code of Illinois is amended by changing Section
2505-400 as follows:
 
    (20 ILCS 2505/2505-400)  (was 20 ILCS 2505/39b49)
    Sec. 2505-400. Contracts for collection assistance.
    (a) The Department has the power to contract for collection
assistance on a contingent fee basis, with collection fees to
be retained by the collection agency and the net collections to
be paid to the Department. In the case of any liability
referred to a collection agency on or after July 1, 2003, any
fee charged to the State by the collection agency shall be
considered additional State tax of the taxpayer imposed under
the Act under which the tax being collected was imposed, shall
be deemed assessed at the time payment of the tax is made to
the collection agency, and shall be separately stated in any
statement or notice of the liability issued by the collection
agency to the taxpayer.
    (b) The Department has the power to enter into written
agreements with State's Attorneys for pursuit of civil
liability under subsection (E) of Section 17-1 of the Criminal
Code of 2012 1961 against persons who have issued to the
Department checks or other orders in violation of the
provisions of paragraph (1) of subsection (B) of Section 17-1
of the Criminal Code of 2012 1961. Of the amount collected, the
Department shall retain the amount owing upon the dishonored
check or order along with the dishonored check fee imposed
under the Uniform Penalty and Interest Act. The balance of
damages, fees, and costs collected under subsection (E) of
Section 17-1 of the Criminal Code of 2012 1961 or under Section
17-1a of that Code shall be retained by the State's Attorney.
The agreement shall not affect the allocation of fines and
costs imposed in any criminal prosecution.
    (c) The Department may issue the Secretary of the Treasury
of the United States (or his or her delegate) notice, as
required by Section 6402(e) of the Internal Revenue Code, of
any past due, legally enforceable State income tax obligation
of a taxpayer. The Department must notify the taxpayer that any
fee charged to the State by the Secretary of the Treasury of
the United States (or his or her delegate) under Internal
Revenue Code Section 6402(e) is considered additional State
income tax of the taxpayer with respect to whom the Department
issued the notice, and is deemed assessed upon issuance by the
Department of notice to the Secretary of the Treasury of the
United States (or his or her delegate) under Section 6402(e) of
the Internal Revenue Code; a notice of additional State income
tax is not considered a notice of deficiency, and the taxpayer
has no right of protest.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 80. The Department of State Police Law of the Civil
Administrative Code of Illinois is amended by changing Sections
2605-390 and 2605-585 as follows:
 
    (20 ILCS 2605/2605-390)  (was 20 ILCS 2605/55a in part)
    Sec. 2605-390. Hate crimes.
    (a) To collect and disseminate information relating to
"hate crimes" as defined under Section 12-7.1 of the Criminal
Code of 2012 1961 contingent upon the availability of State or
federal funds to revise and upgrade the Illinois Uniform Crime
Reporting System. All law enforcement agencies shall report
monthly to the Department concerning those offenses in the form
and in the manner prescribed by rules and regulations adopted
by the Department. The information shall be compiled by the
Department and be disseminated upon request to any local law
enforcement agency, unit of local government, or State agency.
Dissemination of the information shall be subject to all
confidentiality requirements otherwise imposed by law.
    (b) The Department shall provide training for State Police
officers in identifying, responding to, and reporting all hate
crimes. The Illinois Law Enforcement Training Standards Board
shall develop and certify a course of such training to be made
available to local law enforcement officers.
(Source: P.A. 90-18, eff. 7-1-97; 90-130, eff. 1-1-98; 90-372,
eff. 7-1-98; 90-590, eff. 1-1-00; 90-655, eff. 7-30-98; 90-793,
eff. 8-14-98; 91-239, eff. 1-1-00.)
 
    (20 ILCS 2605/2605-585)
    Sec. 2605-585. Money Laundering Asset Recovery Fund.
Moneys and the sale proceeds distributed to the Department of
State Police pursuant to clause (h)(6)(C) of Section 29B-1 of
the Criminal Code of 1961 or the Criminal Code of 2012 shall be
deposited in a special fund in the State treasury to be known
as the Money Laundering Asset Recovery Fund. The moneys
deposited in the Money Laundering Asset Recovery Fund shall be
appropriated to and administered by the Department of State
Police for State law enforcement purposes.
(Source: P.A. 96-1234, eff. 7-23-10.)
 
    Section 85. The Criminal Identification Act is amended by
changing Sections 2.1, 2.2, and 5.2 as follows:
 
    (20 ILCS 2630/2.1)  (from Ch. 38, par. 206-2.1)
    Sec. 2.1. For the purpose of maintaining complete and
accurate criminal records of the Department of State Police, it
is necessary for all policing bodies of this State, the clerk
of the circuit court, the Illinois Department of Corrections,
the sheriff of each county, and State's Attorney of each county
to submit certain criminal arrest, charge, and disposition
information to the Department for filing at the earliest time
possible. Unless otherwise noted herein, it shall be the duty
of all policing bodies of this State, the clerk of the circuit
court, the Illinois Department of Corrections, the sheriff of
each county, and the State's Attorney of each county to report
such information as provided in this Section, both in the form
and manner required by the Department and within 30 days of the
criminal history event. Specifically:
    (a) Arrest Information. All agencies making arrests for
offenses which are required by statute to be collected,
maintained or disseminated by the Department of State Police
shall be responsible for furnishing daily to the Department
fingerprints, charges and descriptions of all persons who are
arrested for such offenses. All such agencies shall also notify
the Department of all decisions by the arresting agency not to
refer such arrests for prosecution. With approval of the
Department, an agency making such arrests may enter into
arrangements with other agencies for the purpose of furnishing
daily such fingerprints, charges and descriptions to the
Department upon its behalf.
    (b) Charge Information. The State's Attorney of each county
shall notify the Department of all charges filed and all
petitions filed alleging that a minor is delinquent, including
all those added subsequent to the filing of a case, and whether
charges were not filed in cases for which the Department has
received information required to be reported pursuant to
paragraph (a) of this Section. With approval of the Department,
the State's Attorney may enter into arrangements with other
agencies for the purpose of furnishing the information required
by this subsection (b) to the Department upon the State's
Attorney's behalf.
    (c) Disposition Information. The clerk of the circuit court
of each county shall furnish the Department, in the form and
manner required by the Supreme Court, with all final
dispositions of cases for which the Department has received
information required to be reported pursuant to paragraph (a)
or (d) of this Section. Such information shall include, for
each charge, all (1) judgments of not guilty, judgments of
guilty including the sentence pronounced by the court, findings
that a minor is delinquent and any sentence made based on those
findings, discharges and dismissals in the court; (2) reviewing
court orders filed with the clerk of the circuit court which
reverse or remand a reported conviction or findings that a
minor is delinquent or that vacate or modify a sentence or
sentence made following a trial that a minor is delinquent; (3)
continuances to a date certain in furtherance of an order of
supervision granted under Section 5-6-1 of the Unified Code of
Corrections or an order of probation granted under Section 10
of the Cannabis Control Act, Section 410 of the Illinois
Controlled Substances Act, Section 70 of the Methamphetamine
Control and Community Protection Act, Section 12-4.3 or
subdivision (b)(1) of Section 12-3.05 of the Criminal Code of
1961 or the Criminal Code of 2012, Section 10-102 of the
Illinois Alcoholism and Other Drug Dependency Act, Section
40-10 of the Alcoholism and Other Drug Abuse and Dependency
Act, Section 10 of the Steroid Control Act, or Section 5-615 of
the Juvenile Court Act of 1987; and (4) judgments or court
orders terminating or revoking a sentence to or juvenile
disposition of probation, supervision or conditional discharge
and any resentencing or new court orders entered by a juvenile
court relating to the disposition of a minor's case involving
delinquency after such revocation.
    (d) Fingerprints After Sentencing.
        (1) After the court pronounces sentence, sentences a
    minor following a trial in which a minor was found to be
    delinquent or issues an order of supervision or an order of
    probation granted under Section 10 of the Cannabis Control
    Act, Section 410 of the Illinois Controlled Substances Act,
    Section 70 of the Methamphetamine Control and Community
    Protection Act, Section 12-4.3 or subdivision (b)(1) of
    Section 12-3.05 of the Criminal Code of 1961 or the
    Criminal Code of 2012, Section 10-102 of the Illinois
    Alcoholism and Other Drug Dependency Act, Section 40-10 of
    the Alcoholism and Other Drug Abuse and Dependency Act,
    Section 10 of the Steroid Control Act, or Section 5-615 of
    the Juvenile Court Act of 1987 for any offense which is
    required by statute to be collected, maintained, or
    disseminated by the Department of State Police, the State's
    Attorney of each county shall ask the court to order a law
    enforcement agency to fingerprint immediately all persons
    appearing before the court who have not previously been
    fingerprinted for the same case. The court shall so order
    the requested fingerprinting, if it determines that any
    such person has not previously been fingerprinted for the
    same case. The law enforcement agency shall submit such
    fingerprints to the Department daily.
        (2) After the court pronounces sentence or makes a
    disposition of a case following a finding of delinquency
    for any offense which is not required by statute to be
    collected, maintained, or disseminated by the Department
    of State Police, the prosecuting attorney may ask the court
    to order a law enforcement agency to fingerprint
    immediately all persons appearing before the court who have
    not previously been fingerprinted for the same case. The
    court may so order the requested fingerprinting, if it
    determines that any so sentenced person has not previously
    been fingerprinted for the same case. The law enforcement
    agency may retain such fingerprints in its files.
    (e) Corrections Information. The Illinois Department of
Corrections and the sheriff of each county shall furnish the
Department with all information concerning the receipt,
escape, execution, death, release, pardon, parole, commutation
of sentence, granting of executive clemency or discharge of an
individual who has been sentenced or committed to the agency's
custody for any offenses which are mandated by statute to be
collected, maintained or disseminated by the Department of
State Police. For an individual who has been charged with any
such offense and who escapes from custody or dies while in
custody, all information concerning the receipt and escape or
death, whichever is appropriate, shall also be so furnished to
the Department.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (20 ILCS 2630/2.2)
    Sec. 2.2. Notification to the Department. Upon judgment of
conviction of a violation of Section 12-1, 12-2, 12-3, 12-3.2,
12-3.4, or 12-3.5 of the Criminal Code of 1961 or the Criminal
Code of 2012 when the defendant has been determined, pursuant
to Section 112A-11.1 of the Code of Criminal Procedure of 1963,
to be subject to the prohibitions of 18 U.S.C. 922(g)(9), the
circuit court clerk shall include notification and a copy of
the written determination in a report of the conviction to the
Department of State Police Firearm Owner's Identification Card
Office to enable the office to perform its duties under
Sections 4 and 8 of the Firearm Owners Identification Card Act
and to report that determination to the Federal Bureau of
Investigation to assist the Bureau in identifying persons
prohibited from purchasing and possessing a firearm pursuant to
the provisions of 18 U.S.C. 922. The written determination
described in this Section shall be included in the defendant's
record of arrest and conviction in the manner and form
prescribed by the Department of State Police.
(Source: P.A. 97-1131, eff. 1-1-13; revised 10-10-12.)
 
    (20 ILCS 2630/5.2)
    Sec. 5.2. Expungement and sealing.
    (a) General Provisions.
        (1) Definitions. In this Act, words and phrases have
    the meanings set forth in this subsection, except when a
    particular context clearly requires a different meaning.
            (A) The following terms shall have the meanings
        ascribed to them in the Unified Code of Corrections,
        730 ILCS 5/5-1-2 through 5/5-1-22:
                (i) Business Offense (730 ILCS 5/5-1-2),
                (ii) Charge (730 ILCS 5/5-1-3),
                (iii) Court (730 ILCS 5/5-1-6),
                (iv) Defendant (730 ILCS 5/5-1-7),
                (v) Felony (730 ILCS 5/5-1-9),
                (vi) Imprisonment (730 ILCS 5/5-1-10),
                (vii) Judgment (730 ILCS 5/5-1-12),
                (viii) Misdemeanor (730 ILCS 5/5-1-14),
                (ix) Offense (730 ILCS 5/5-1-15),
                (x) Parole (730 ILCS 5/5-1-16),
                (xi) Petty Offense (730 ILCS 5/5-1-17),
                (xii) Probation (730 ILCS 5/5-1-18),
                (xiii) Sentence (730 ILCS 5/5-1-19),
                (xiv) Supervision (730 ILCS 5/5-1-21), and
                (xv) Victim (730 ILCS 5/5-1-22).
            (B) As used in this Section, "charge not initiated
        by arrest" means a charge (as defined by 730 ILCS
        5/5-1-3) brought against a defendant where the
        defendant is not arrested prior to or as a direct
        result of the charge.
            (C) "Conviction" means a judgment of conviction or
        sentence entered upon a plea of guilty or upon a
        verdict or finding of guilty of an offense, rendered by
        a legally constituted jury or by a court of competent
        jurisdiction authorized to try the case without a jury.
        An order of supervision successfully completed by the
        petitioner is not a conviction. An order of qualified
        probation (as defined in subsection (a)(1)(J))
        successfully completed by the petitioner is not a
        conviction. An order of supervision or an order of
        qualified probation that is terminated
        unsatisfactorily is a conviction, unless the
        unsatisfactory termination is reversed, vacated, or
        modified and the judgment of conviction, if any, is
        reversed or vacated.
            (D) "Criminal offense" means a petty offense,
        business offense, misdemeanor, felony, or municipal
        ordinance violation (as defined in subsection
        (a)(1)(H)). As used in this Section, a minor traffic
        offense (as defined in subsection (a)(1)(G)) shall not
        be considered a criminal offense.
            (E) "Expunge" means to physically destroy the
        records or return them to the petitioner and to
        obliterate the petitioner's name from any official
        index or public record, or both. Nothing in this Act
        shall require the physical destruction of the circuit
        court file, but such records relating to arrests or
        charges, or both, ordered expunged shall be impounded
        as required by subsections (d)(9)(A)(ii) and
        (d)(9)(B)(ii).
            (F) As used in this Section, "last sentence" means
        the sentence, order of supervision, or order of
        qualified probation (as defined by subsection
        (a)(1)(J)), for a criminal offense (as defined by
        subsection (a)(1)(D)) that terminates last in time in
        any jurisdiction, regardless of whether the petitioner
        has included the criminal offense for which the
        sentence or order of supervision or qualified
        probation was imposed in his or her petition. If
        multiple sentences, orders of supervision, or orders
        of qualified probation terminate on the same day and
        are last in time, they shall be collectively considered
        the "last sentence" regardless of whether they were
        ordered to run concurrently.
            (G) "Minor traffic offense" means a petty offense,
        business offense, or Class C misdemeanor under the
        Illinois Vehicle Code or a similar provision of a
        municipal or local ordinance.
            (H) "Municipal ordinance violation" means an
        offense defined by a municipal or local ordinance that
        is criminal in nature and with which the petitioner was
        charged or for which the petitioner was arrested and
        released without charging.
            (I) "Petitioner" means an adult or a minor
        prosecuted as an adult who has applied for relief under
        this Section.
            (J) "Qualified probation" means an order of
        probation under Section 10 of the Cannabis Control Act,
        Section 410 of the Illinois Controlled Substances Act,
        Section 70 of the Methamphetamine Control and
        Community Protection Act, Section 5-6-3.3 of the
        Unified Code of Corrections, Section 12-4.3(b)(1) and
        (2) of the Criminal Code of 1961 (as those provisions
        existed before their deletion by Public Act 89-313),
        Section 10-102 of the Illinois Alcoholism and Other
        Drug Dependency Act, Section 40-10 of the Alcoholism
        and Other Drug Abuse and Dependency Act, or Section 10
        of the Steroid Control Act. For the purpose of this
        Section, "successful completion" of an order of
        qualified probation under Section 10-102 of the
        Illinois Alcoholism and Other Drug Dependency Act and
        Section 40-10 of the Alcoholism and Other Drug Abuse
        and Dependency Act means that the probation was
        terminated satisfactorily and the judgment of
        conviction was vacated.
            (K) "Seal" means to physically and electronically
        maintain the records, unless the records would
        otherwise be destroyed due to age, but to make the
        records unavailable without a court order, subject to
        the exceptions in Sections 12 and 13 of this Act. The
        petitioner's name shall also be obliterated from the
        official index required to be kept by the circuit court
        clerk under Section 16 of the Clerks of Courts Act, but
        any index issued by the circuit court clerk before the
        entry of the order to seal shall not be affected.
            (L) "Sexual offense committed against a minor"
        includes but is not limited to the offenses of indecent
        solicitation of a child or criminal sexual abuse when
        the victim of such offense is under 18 years of age.
            (M) "Terminate" as it relates to a sentence or
        order of supervision or qualified probation includes
        either satisfactory or unsatisfactory termination of
        the sentence, unless otherwise specified in this
        Section.
        (2) Minor Traffic Offenses. Orders of supervision or
    convictions for minor traffic offenses shall not affect a
    petitioner's eligibility to expunge or seal records
    pursuant to this Section.
        (3) Exclusions. Except as otherwise provided in
    subsections (b)(5), (b)(6), (e), and (e-5) of this Section,
    the court shall not order:
            (A) the sealing or expungement of the records of
        arrests or charges not initiated by arrest that result
        in an order of supervision for or conviction of: (i)
        any sexual offense committed against a minor; (ii)
        Section 11-501 of the Illinois Vehicle Code or a
        similar provision of a local ordinance; or (iii)
        Section 11-503 of the Illinois Vehicle Code or a
        similar provision of a local ordinance, unless the
        arrest or charge is for a misdemeanor violation of
        subsection (a) of Section 11-503 or a similar provision
        of a local ordinance, that occurred prior to the
        offender reaching the age of 25 years and the offender
        has no other conviction for violating Section 11-501 or
        11-503 of the Illinois Vehicle Code or a similar
        provision of a local ordinance.
            (B) the sealing or expungement of records of minor
        traffic offenses (as defined in subsection (a)(1)(G)),
        unless the petitioner was arrested and released
        without charging.
            (C) the sealing of the records of arrests or
        charges not initiated by arrest which result in an
        order of supervision, an order of qualified probation
        (as defined in subsection (a)(1)(J)), or a conviction
        for the following offenses:
                (i) offenses included in Article 11 of the
            Criminal Code of 1961 or the Criminal Code of 2012
            or a similar provision of a local ordinance, except
            Section 11-14 of the Criminal Code of 1961 or the
            Criminal Code of 2012, or a similar provision of a
            local ordinance;
                (ii) Section 11-1.50, 12-3.4, 12-15, 12-30,
            26-5, or 48-1 of the Criminal Code of 1961 or the
            Criminal Code of 2012, or a similar provision of a
            local ordinance;
                (iii) offenses defined as "crimes of violence"
            in Section 2 of the Crime Victims Compensation Act
            or a similar provision of a local ordinance;
                (iv) offenses which are Class A misdemeanors
            under the Humane Care for Animals Act; or
                (v) any offense or attempted offense that
            would subject a person to registration under the
            Sex Offender Registration Act.
            (D) the sealing of the records of an arrest which
        results in the petitioner being charged with a felony
        offense or records of a charge not initiated by arrest
        for a felony offense unless:
                (i) the charge is amended to a misdemeanor and
            is otherwise eligible to be sealed pursuant to
            subsection (c);
                (ii) the charge is brought along with another
            charge as a part of one case and the charge results
            in acquittal, dismissal, or conviction when the
            conviction was reversed or vacated, and another
            charge brought in the same case results in a
            disposition for a misdemeanor offense that is
            eligible to be sealed pursuant to subsection (c) or
            a disposition listed in paragraph (i), (iii), or
            (iv) of this subsection;
                (iii) the charge results in first offender
            probation as set forth in subsection (c)(2)(E);
                (iv) the charge is for a Class 4 felony offense
            listed in subsection (c)(2)(F) or the charge is
            amended to a Class 4 felony offense listed in
            subsection (c)(2)(F). Records of arrests which
            result in the petitioner being charged with a Class
            4 felony offense listed in subsection (c)(2)(F),
            records of charges not initiated by arrest for
            Class 4 felony offenses listed in subsection
            (c)(2)(F), and records of charges amended to a
            Class 4 felony offense listed in (c)(2)(F) may be
            sealed, regardless of the disposition, subject to
            any waiting periods set forth in subsection
            (c)(3);
                (v) the charge results in acquittal,
            dismissal, or the petitioner's release without
            conviction; or
                (vi) the charge results in a conviction, but
            the conviction was reversed or vacated.
    (b) Expungement.
        (1) A petitioner may petition the circuit court to
    expunge the records of his or her arrests and charges not
    initiated by arrest when:
            (A) He or she has never been convicted of a
        criminal offense; and
            (B) Each arrest or charge not initiated by arrest
        sought to be expunged resulted in: (i) acquittal,
        dismissal, or the petitioner's release without
        charging, unless excluded by subsection (a)(3)(B);
        (ii) a conviction which was vacated or reversed, unless
        excluded by subsection (a)(3)(B); (iii) an order of
        supervision and such supervision was successfully
        completed by the petitioner, unless excluded by
        subsection (a)(3)(A) or (a)(3)(B); or (iv) an order of
        qualified probation (as defined in subsection
        (a)(1)(J)) and such probation was successfully
        completed by the petitioner.
        (2) Time frame for filing a petition to expunge.
            (A) When the arrest or charge not initiated by
        arrest sought to be expunged resulted in an acquittal,
        dismissal, the petitioner's release without charging,
        or the reversal or vacation of a conviction, there is
        no waiting period to petition for the expungement of
        such records.
            (B) When the arrest or charge not initiated by
        arrest sought to be expunged resulted in an order of
        supervision, successfully completed by the petitioner,
        the following time frames will apply:
                (i) Those arrests or charges that resulted in
            orders of supervision under Section 3-707, 3-708,
            3-710, or 5-401.3 of the Illinois Vehicle Code or a
            similar provision of a local ordinance, or under
            Section 11-1.50, 12-3.2, or 12-15 of the Criminal
            Code of 1961 or the Criminal Code of 2012, or a
            similar provision of a local ordinance, shall not
            be eligible for expungement until 5 years have
            passed following the satisfactory termination of
            the supervision.
                (i-5) Those arrests or charges that resulted
            in orders of supervision for a misdemeanor
            violation of subsection (a) of Section 11-503 of
            the Illinois Vehicle Code or a similar provision of
            a local ordinance, that occurred prior to the
            offender reaching the age of 25 years and the
            offender has no other conviction for violating
            Section 11-501 or 11-503 of the Illinois Vehicle
            Code or a similar provision of a local ordinance
            shall not be eligible for expungement until the
            petitioner has reached the age of 25 years.
                (ii) Those arrests or charges that resulted in
            orders of supervision for any other offenses shall
            not be eligible for expungement until 2 years have
            passed following the satisfactory termination of
            the supervision.
            (C) When the arrest or charge not initiated by
        arrest sought to be expunged resulted in an order of
        qualified probation, successfully completed by the
        petitioner, such records shall not be eligible for
        expungement until 5 years have passed following the
        satisfactory termination of the probation.
        (3) Those records maintained by the Department for
    persons arrested prior to their 17th birthday shall be
    expunged as provided in Section 5-915 of the Juvenile Court
    Act of 1987.
        (4) Whenever a person has been arrested for or
    convicted of any offense, in the name of a person whose
    identity he or she has stolen or otherwise come into
    possession of, the aggrieved person from whom the identity
    was stolen or otherwise obtained without authorization,
    upon learning of the person having been arrested using his
    or her identity, may, upon verified petition to the chief
    judge of the circuit wherein the arrest was made, have a
    court order entered nunc pro tunc by the Chief Judge to
    correct the arrest record, conviction record, if any, and
    all official records of the arresting authority, the
    Department, other criminal justice agencies, the
    prosecutor, and the trial court concerning such arrest, if
    any, by removing his or her name from all such records in
    connection with the arrest and conviction, if any, and by
    inserting in the records the name of the offender, if known
    or ascertainable, in lieu of the aggrieved's name. The
    records of the circuit court clerk shall be sealed until
    further order of the court upon good cause shown and the
    name of the aggrieved person obliterated on the official
    index required to be kept by the circuit court clerk under
    Section 16 of the Clerks of Courts Act, but the order shall
    not affect any index issued by the circuit court clerk
    before the entry of the order. Nothing in this Section
    shall limit the Department of State Police or other
    criminal justice agencies or prosecutors from listing
    under an offender's name the false names he or she has
    used.
        (5) Whenever a person has been convicted of criminal
    sexual assault, aggravated criminal sexual assault,
    predatory criminal sexual assault of a child, criminal
    sexual abuse, or aggravated criminal sexual abuse, the
    victim of that offense may request that the State's
    Attorney of the county in which the conviction occurred
    file a verified petition with the presiding trial judge at
    the petitioner's trial to have a court order entered to
    seal the records of the circuit court clerk in connection
    with the proceedings of the trial court concerning that
    offense. However, the records of the arresting authority
    and the Department of State Police concerning the offense
    shall not be sealed. The court, upon good cause shown,
    shall make the records of the circuit court clerk in
    connection with the proceedings of the trial court
    concerning the offense available for public inspection.
        (6) If a conviction has been set aside on direct review
    or on collateral attack and the court determines by clear
    and convincing evidence that the petitioner was factually
    innocent of the charge, the court shall enter an
    expungement order as provided in subsection (b) of Section
    5-5-4 of the Unified Code of Corrections.
        (7) Nothing in this Section shall prevent the
    Department of State Police from maintaining all records of
    any person who is admitted to probation upon terms and
    conditions and who fulfills those terms and conditions
    pursuant to Section 10 of the Cannabis Control Act, Section
    410 of the Illinois Controlled Substances Act, Section 70
    of the Methamphetamine Control and Community Protection
    Act, Section 5-6-3.3 of the Unified Code of Corrections,
    Section 12-4.3 or subdivision (b)(1) of Section 12-3.05 of
    the Criminal Code of 1961 or the Criminal Code of 2012,
    Section 10-102 of the Illinois Alcoholism and Other Drug
    Dependency Act, Section 40-10 of the Alcoholism and Other
    Drug Abuse and Dependency Act, or Section 10 of the Steroid
    Control Act.
    (c) Sealing.
        (1) Applicability. Notwithstanding any other provision
    of this Act to the contrary, and cumulative with any rights
    to expungement of criminal records, this subsection
    authorizes the sealing of criminal records of adults and of
    minors prosecuted as adults.
        (2) Eligible Records. The following records may be
    sealed:
            (A) All arrests resulting in release without
        charging;
            (B) Arrests or charges not initiated by arrest
        resulting in acquittal, dismissal, or conviction when
        the conviction was reversed or vacated, except as
        excluded by subsection (a)(3)(B);
            (C) Arrests or charges not initiated by arrest
        resulting in orders of supervision successfully
        completed by the petitioner, unless excluded by
        subsection (a)(3);
            (D) Arrests or charges not initiated by arrest
        resulting in convictions unless excluded by subsection
        (a)(3);
            (E) Arrests or charges not initiated by arrest
        resulting in orders of first offender probation under
        Section 10 of the Cannabis Control Act, Section 410 of
        the Illinois Controlled Substances Act, Section 70 of
        the Methamphetamine Control and Community Protection
        Act, or Section 5-6-3.3 of the Unified Code of
        Corrections; and
            (F) Arrests or charges not initiated by arrest
        resulting in Class 4 felony convictions for the
        following offenses:
                (i) Section 11-14 of the Criminal Code of 1961
            or the Criminal Code of 2012;
                (ii) Section 4 of the Cannabis Control Act;
                (iii) Section 402 of the Illinois Controlled
            Substances Act;
                (iv) the Methamphetamine Precursor Control
            Act; and
                (v) the Steroid Control Act.
        (3) When Records Are Eligible to Be Sealed. Records
    identified as eligible under subsection (c)(2) may be
    sealed as follows:
            (A) Records identified as eligible under
        subsection (c)(2)(A) and (c)(2)(B) may be sealed at any
        time.
            (B) Records identified as eligible under
        subsection (c)(2)(C) may be sealed (i) 3 years after
        the termination of petitioner's last sentence (as
        defined in subsection (a)(1)(F)) if the petitioner has
        never been convicted of a criminal offense (as defined
        in subsection (a)(1)(D)); or (ii) 4 years after the
        termination of the petitioner's last sentence (as
        defined in subsection (a)(1)(F)) if the petitioner has
        ever been convicted of a criminal offense (as defined
        in subsection (a)(1)(D)).
            (C) Records identified as eligible under
        subsections (c)(2)(D), (c)(2)(E), and (c)(2)(F) may be
        sealed 4 years after the termination of the
        petitioner's last sentence (as defined in subsection
        (a)(1)(F)).
            (D) Records identified in subsection
        (a)(3)(A)(iii) may be sealed after the petitioner has
        reached the age of 25 years.
        (4) Subsequent felony convictions. A person may not
    have subsequent felony conviction records sealed as
    provided in this subsection (c) if he or she is convicted
    of any felony offense after the date of the sealing of
    prior felony convictions as provided in this subsection
    (c). The court may, upon conviction for a subsequent felony
    offense, order the unsealing of prior felony conviction
    records previously ordered sealed by the court.
        (5) Notice of eligibility for sealing. Upon entry of a
    disposition for an eligible record under this subsection
    (c), the petitioner shall be informed by the court of the
    right to have the records sealed and the procedures for the
    sealing of the records.
    (d) Procedure. The following procedures apply to
expungement under subsections (b) and (e), and sealing under
subsections (c) and (e-5):
        (1) Filing the petition. Upon becoming eligible to
    petition for the expungement or sealing of records under
    this Section, the petitioner shall file a petition
    requesting the expungement or sealing of records with the
    clerk of the court where the arrests occurred or the
    charges were brought, or both. If arrests occurred or
    charges were brought in multiple jurisdictions, a petition
    must be filed in each such jurisdiction. The petitioner
    shall pay the applicable fee, if not waived.
        (2) Contents of petition. The petition shall be
    verified and shall contain the petitioner's name, date of
    birth, current address and, for each arrest or charge not
    initiated by arrest sought to be sealed or expunged, the
    case number, the date of arrest (if any), the identity of
    the arresting authority, and such other information as the
    court may require. During the pendency of the proceeding,
    the petitioner shall promptly notify the circuit court
    clerk of any change of his or her address. If the
    petitioner has received a certificate of eligibility for
    sealing from the Prisoner Review Board under paragraph (10)
    of subsection (a) of Section 3-3-2 of the Unified Code of
    Corrections, the certificate shall be attached to the
    petition.
        (3) Drug test. The petitioner must attach to the
    petition proof that the petitioner has passed a test taken
    within 30 days before the filing of the petition showing
    the absence within his or her body of all illegal
    substances as defined by the Illinois Controlled
    Substances Act, the Methamphetamine Control and Community
    Protection Act, and the Cannabis Control Act if he or she
    is petitioning to seal felony records pursuant to clause
    (c)(2)(E), (c)(2)(F)(ii)-(v), or (e-5) or if he or she is
    petitioning to expunge felony records of a qualified
    probation pursuant to clause (b)(1)(B)(iv).
        (4) Service of petition. The circuit court clerk shall
    promptly serve a copy of the petition on the State's
    Attorney or prosecutor charged with the duty of prosecuting
    the offense, the Department of State Police, the arresting
    agency and the chief legal officer of the unit of local
    government effecting the arrest.
        (5) Objections.
            (A) Any party entitled to notice of the petition
        may file an objection to the petition. All objections
        shall be in writing, shall be filed with the circuit
        court clerk, and shall state with specificity the basis
        of the objection.
            (B) Objections to a petition to expunge or seal
        must be filed within 60 days of the date of service of
        the petition.
        (6) Entry of order.
            (A) The Chief Judge of the circuit wherein the
        charge was brought, any judge of that circuit
        designated by the Chief Judge, or in counties of less
        than 3,000,000 inhabitants, the presiding trial judge
        at the petitioner's trial, if any, shall rule on the
        petition to expunge or seal as set forth in this
        subsection (d)(6).
            (B) Unless the State's Attorney or prosecutor, the
        Department of State Police, the arresting agency, or
        the chief legal officer files an objection to the
        petition to expunge or seal within 60 days from the
        date of service of the petition, the court shall enter
        an order granting or denying the petition.
        (7) Hearings. If an objection is filed, the court shall
    set a date for a hearing and notify the petitioner and all
    parties entitled to notice of the petition of the hearing
    date at least 30 days prior to the hearing, and shall hear
    evidence on whether the petition should or should not be
    granted, and shall grant or deny the petition to expunge or
    seal the records based on the evidence presented at the
    hearing.
        (8) Service of order. After entering an order to
    expunge or seal records, the court must provide copies of
    the order to the Department, in a form and manner
    prescribed by the Department, to the petitioner, to the
    State's Attorney or prosecutor charged with the duty of
    prosecuting the offense, to the arresting agency, to the
    chief legal officer of the unit of local government
    effecting the arrest, and to such other criminal justice
    agencies as may be ordered by the court.
        (9) Effect of order.
            (A) Upon entry of an order to expunge records
        pursuant to (b)(2)(A) or (b)(2)(B)(ii), or both:
                (i) the records shall be expunged (as defined
            in subsection (a)(1)(E)) by the arresting agency,
            the Department, and any other agency as ordered by
            the court, within 60 days of the date of service of
            the order, unless a motion to vacate, modify, or
            reconsider the order is filed pursuant to
            paragraph (12) of subsection (d) of this Section;
                (ii) the records of the circuit court clerk
            shall be impounded until further order of the court
            upon good cause shown and the name of the
            petitioner obliterated on the official index
            required to be kept by the circuit court clerk
            under Section 16 of the Clerks of Courts Act, but
            the order shall not affect any index issued by the
            circuit court clerk before the entry of the order;
            and
                (iii) in response to an inquiry for expunged
            records, the court, the Department, or the agency
            receiving such inquiry, shall reply as it does in
            response to inquiries when no records ever
            existed.
            (B) Upon entry of an order to expunge records
        pursuant to (b)(2)(B)(i) or (b)(2)(C), or both:
                (i) the records shall be expunged (as defined
            in subsection (a)(1)(E)) by the arresting agency
            and any other agency as ordered by the court,
            within 60 days of the date of service of the order,
            unless a motion to vacate, modify, or reconsider
            the order is filed pursuant to paragraph (12) of
            subsection (d) of this Section;
                (ii) the records of the circuit court clerk
            shall be impounded until further order of the court
            upon good cause shown and the name of the
            petitioner obliterated on the official index
            required to be kept by the circuit court clerk
            under Section 16 of the Clerks of Courts Act, but
            the order shall not affect any index issued by the
            circuit court clerk before the entry of the order;
                (iii) the records shall be impounded by the
            Department within 60 days of the date of service of
            the order as ordered by the court, unless a motion
            to vacate, modify, or reconsider the order is filed
            pursuant to paragraph (12) of subsection (d) of
            this Section;
                (iv) records impounded by the Department may
            be disseminated by the Department only as required
            by law or to the arresting authority, the State's
            Attorney, and the court upon a later arrest for the
            same or a similar offense or for the purpose of
            sentencing for any subsequent felony, and to the
            Department of Corrections upon conviction for any
            offense; and
                (v) in response to an inquiry for such records
            from anyone not authorized by law to access such
            records the court, the Department, or the agency
            receiving such inquiry shall reply as it does in
            response to inquiries when no records ever
            existed.
            (C) Upon entry of an order to seal records under
        subsection (c), the arresting agency, any other agency
        as ordered by the court, the Department, and the court
        shall seal the records (as defined in subsection
        (a)(1)(K)). In response to an inquiry for such records
        from anyone not authorized by law to access such
        records the court, the Department, or the agency
        receiving such inquiry shall reply as it does in
        response to inquiries when no records ever existed.
        (10) Fees. The Department may charge the petitioner a
    fee equivalent to the cost of processing any order to
    expunge or seal records. Notwithstanding any provision of
    the Clerks of Courts Act to the contrary, the circuit court
    clerk may charge a fee equivalent to the cost associated
    with the sealing or expungement of records by the circuit
    court clerk. From the total filing fee collected for the
    petition to seal or expunge, the circuit court clerk shall
    deposit $10 into the Circuit Court Clerk Operation and
    Administrative Fund, to be used to offset the costs
    incurred by the circuit court clerk in performing the
    additional duties required to serve the petition to seal or
    expunge on all parties. The circuit court clerk shall
    collect and forward the Department of State Police portion
    of the fee to the Department and it shall be deposited in
    the State Police Services Fund.
        (11) Final Order. No court order issued under the
    expungement or sealing provisions of this Section shall
    become final for purposes of appeal until 30 days after
    service of the order on the petitioner and all parties
    entitled to notice of the petition.
        (12) Motion to Vacate, Modify, or Reconsider. The
    petitioner or any party entitled to notice may file a
    motion to vacate, modify, or reconsider the order granting
    or denying the petition to expunge or seal within 60 days
    of service of the order.
    (e) Whenever a person who has been convicted of an offense
is granted a pardon by the Governor which specifically
authorizes expungement, he or she may, upon verified petition
to the Chief Judge of the circuit where the person had been
convicted, any judge of the circuit designated by the Chief
Judge, or in counties of less than 3,000,000 inhabitants, the
presiding trial judge at the defendant's trial, have a court
order entered expunging the record of arrest from the official
records of the arresting authority and order that the records
of the circuit court clerk and the Department be sealed until
further order of the court upon good cause shown or as
otherwise provided herein, and the name of the defendant
obliterated from the official index requested to be kept by the
circuit court clerk under Section 16 of the Clerks of Courts
Act in connection with the arrest and conviction for the
offense for which he or she had been pardoned but the order
shall not affect any index issued by the circuit court clerk
before the entry of the order. All records sealed by the
Department may be disseminated by the Department only to the
arresting authority, the State's Attorney, and the court upon a
later arrest for the same or similar offense or for the purpose
of sentencing for any subsequent felony. Upon conviction for
any subsequent offense, the Department of Corrections shall
have access to all sealed records of the Department pertaining
to that individual. Upon entry of the order of expungement, the
circuit court clerk shall promptly mail a copy of the order to
the person who was pardoned.
    (e-5) Whenever a person who has been convicted of an
offense is granted a certificate of eligibility for sealing by
the Prisoner Review Board which specifically authorizes
sealing, he or she may, upon verified petition to the Chief
Judge of the circuit where the person had been convicted, any
judge of the circuit designated by the Chief Judge, or in
counties of less than 3,000,000 inhabitants, the presiding
trial judge at the petitioner's trial, have a court order
entered sealing the record of arrest from the official records
of the arresting authority and order that the records of the
circuit court clerk and the Department be sealed until further
order of the court upon good cause shown or as otherwise
provided herein, and the name of the petitioner obliterated
from the official index requested to be kept by the circuit
court clerk under Section 16 of the Clerks of Courts Act in
connection with the arrest and conviction for the offense for
which he or she had been granted the certificate but the order
shall not affect any index issued by the circuit court clerk
before the entry of the order. All records sealed by the
Department may be disseminated by the Department only as
required by this Act or to the arresting authority, a law
enforcement agency, the State's Attorney, and the court upon a
later arrest for the same or similar offense or for the purpose
of sentencing for any subsequent felony. Upon conviction for
any subsequent offense, the Department of Corrections shall
have access to all sealed records of the Department pertaining
to that individual. Upon entry of the order of sealing, the
circuit court clerk shall promptly mail a copy of the order to
the person who was granted the certificate of eligibility for
sealing.
    (f) Subject to available funding, the Illinois Department
of Corrections shall conduct a study of the impact of sealing,
especially on employment and recidivism rates, utilizing a
random sample of those who apply for the sealing of their
criminal records under Public Act 93-211. At the request of the
Illinois Department of Corrections, records of the Illinois
Department of Employment Security shall be utilized as
appropriate to assist in the study. The study shall not
disclose any data in a manner that would allow the
identification of any particular individual or employing unit.
The study shall be made available to the General Assembly no
later than September 1, 2010.
(Source: P.A. 96-409, eff. 1-1-10; 96-1401, eff. 7-29-10;
96-1532, eff. 1-1-12; 96-1551, Article 1, Section 905, eff.
7-1-11; 96-1551, Article 2, Section 925, eff. 7-1-11; 97-443,
eff. 8-19-11; 97-698, eff, 1-1-13; 97-1026, eff. 1-1-13;
97-1108, eff. 1-1-13; 97-1109, 1-1-13; 97-1118, eff. 1-1-13;
97-1120, eff. 1-1-13; revised 9-20-12.)
 
    Section 90. The Illinois Uniform Conviction Information
Act is amended by changing Section 3 as follows:
 
    (20 ILCS 2635/3)  (from Ch. 38, par. 1603)
    Sec. 3. Definitions. Whenever used in this Act, and for the
purposes of this Act, unless the context clearly indicates
otherwise:
    (A) "Accurate" means factually correct, containing no
mistake or error of a material nature.
    (B) The phrase "administer the criminal laws" includes any
of the following activities: intelligence gathering,
surveillance, criminal investigation, crime detection and
prevention (including research), apprehension, detention,
pretrial or post-trial release, prosecution, the correctional
supervision or rehabilitation of accused persons or criminal
offenders, criminal identification activities, or the
collection, maintenance or dissemination of criminal history
record information.
    (C) "The Authority" means the Illinois Criminal Justice
Information Authority.
    (D) "Automated" means the utilization of computers,
telecommunication lines, or other automatic data processing
equipment for data collection or storage, analysis,
processing, preservation, maintenance, dissemination, or
display and is distinguished from a system in which such
activities are performed manually.
    (E) "Complete" means accurately reflecting all the
criminal history record information about an individual that is
required to be reported to the Department pursuant to Section
2.1 of the Criminal Identification Act.
    (F) "Conviction information" means data reflecting a
judgment of guilt or nolo contendere. The term includes all
prior and subsequent criminal history events directly relating
to such judgments, such as, but not limited to: (1) the
notation of arrest; (2) the notation of charges filed; (3) the
sentence imposed; (4) the fine imposed; and (5) all related
probation, parole, and release information. Information ceases
to be "conviction information" when a judgment of guilt is
reversed or vacated.
    For purposes of this Act, continuances to a date certain in
furtherance of an order of supervision granted under Section
5-6-1 of the Unified Code of Corrections or an order of
probation granted under either Section 10 of the Cannabis
Control Act, Section 410 of the Illinois Controlled Substances
Act, Section 70 of the Methamphetamine Control and Community
Protection Act, Section 12-4.3 or subdivision (b)(1) of Section
12-3.05 of the Criminal Code of 1961 or the Criminal Code of
2012, Section 10-102 of the Illinois Alcoholism and Other Drug
Dependency Act, Section 40-10 of the Alcoholism and Other Drug
Abuse and Dependency Act, or Section 10 of the Steroid Control
Act shall not be deemed "conviction information".
    (G) "Criminal history record information" means data
identifiable to an individual and consisting of descriptions or
notations of arrests, detentions, indictments, informations,
pretrial proceedings, trials, or other formal events in the
criminal justice system or descriptions or notations of
criminal charges (including criminal violations of local
municipal ordinances) and the nature of any disposition arising
therefrom, including sentencing, court or correctional
supervision, rehabilitation and release. The term does not
apply to statistical records and reports in which individual
are not identified and from which their identities are not
ascertainable, or to information that is for criminal
investigative or intelligence purposes.
    (H) "Criminal justice agency" means (1) a government agency
or any subunit thereof which is authorized to administer the
criminal laws and which allocates a substantial part of its
annual budget for that purpose, or (2) an agency supported by
public funds which is authorized as its principal function to
administer the criminal laws and which is officially designated
by the Department as a criminal justice agency for purposes of
this Act.
    (I) "The Department" means the Illinois Department of State
Police.
    (J) "Director" means the Director of the Illinois
Department of State Police.
    (K) "Disseminate" means to disclose or transmit conviction
information in any form, oral, written, or otherwise.
    (L) "Exigency" means pending danger or the threat of
pending danger to an individual or property.
    (M) "Non-criminal justice agency" means a State agency,
Federal agency, or unit of local government that is not a
criminal justice agency. The term does not refer to private
individuals, corporations, or non-governmental agencies or
organizations.
    (M-5) "Request" means the submission to the Department, in
the form and manner required, the necessary data elements or
fingerprints, or both, to allow the Department to initiate a
search of its criminal history record information files.
    (N) "Requester" means any private individual, corporation,
organization, employer, employment agency, labor organization,
or non-criminal justice agency that has made a request pursuant
to this Act to obtain conviction information maintained in the
files of the Department of State Police regarding a particular
individual.
    (O) "Statistical information" means data from which the
identity of an individual cannot be ascertained,
reconstructed, or verified and to which the identity of an
individual cannot be linked by the recipient of the
information.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 95. The Sex Offender Management Board Act is
amended by changing Section 10 as follows:
 
    (20 ILCS 4026/10)
    Sec. 10. Definitions. In this Act, unless the context
otherwise requires:
    (a) "Board" means the Sex Offender Management Board created
in Section 15.
    (b) "Sex offender" means any person who is convicted or
found delinquent in the State of Illinois, or under any
substantially similar federal law or law of another state, of
any sex offense or attempt of a sex offense as defined in
subsection (c) of this Section, or any former statute of this
State that defined a felony sex offense, or who has been
declared as a sexually dangerous person under the Sexually
Dangerous Persons Act or declared a sexually violent person
under the Sexually Violent Persons Commitment Act, or any
substantially similar federal law or law of another state.
    (c) "Sex offense" means any felony or misdemeanor offense
described in this subsection (c) as follows:
        (1) Indecent solicitation of a child, in violation of
    Section 11-6 of the Criminal Code of 1961 or the Criminal
    Code of 2012;
        (2) Indecent solicitation of an adult, in violation of
    Section 11-6.5 of the Criminal Code of 1961 or the Criminal
    Code of 2012;
        (3) Public indecency, in violation of Section 11-9 or
    11-30 of the Criminal Code of 1961 or the Criminal Code of
    2012;
        (4) Sexual exploitation of a child, in violation of
    Section 11-9.1 of the Criminal Code of 1961 or the Criminal
    Code of 2012;
        (5) Sexual relations within families, in violation of
    Section 11-11 of the Criminal Code of 1961 or the Criminal
    Code of 2012;
        (6) Promoting juvenile prostitution or soliciting for
    a juvenile prostitute, in violation of Section 11-14.4 or
    11-15.1 of the Criminal Code of 1961 or the Criminal Code
    of 2012;
        (7) Promoting juvenile prostitution or keeping a place
    of juvenile prostitution, in violation of Section 11-14.4
    or 11-17.1 of the Criminal Code of 1961 or the Criminal
    Code of 2012;
        (8) Patronizing a juvenile prostitute, in violation of
    Section 11-18.1 of the Criminal Code of 1961 or the
    Criminal Code of 2012;
        (9) Promoting juvenile prostitution or juvenile
    pimping, in violation of Section 11-14.4 or 11-19.1 of the
    Criminal Code of 1961 or the Criminal Code of 2012;
        (10) promoting juvenile prostitution or exploitation
    of a child, in violation of Section 11-14.4 or 11-19.2 of
    the Criminal Code of 1961 or the Criminal Code of 2012;
        (11) Child pornography, in violation of Section
    11-20.1 of the Criminal Code of 1961 or the Criminal Code
    of 2012;
        (11.5) Aggravated child pornography, in violation of
    Section 11-20.1B or 11-20.3 of the Criminal Code of 1961;
        (12) Harmful material, in violation of Section 11-21 of
    the Criminal Code of 1961 or the Criminal Code of 2012;
        (13) Criminal sexual assault, in violation of Section
    11-1.20 or 12-13 of the Criminal Code of 1961 or the
    Criminal Code of 2012;
        (13.5) Grooming, in violation of Section 11-25 of the
    Criminal Code of 1961 or the Criminal Code of 2012;
        (14) Aggravated criminal sexual assault, in violation
    of Section 11-1.30 or 12-14 of the Criminal Code of 1961 or
    the Criminal Code of 2012;
        (14.5) Traveling to meet a minor, in violation of
    Section 11-26 of the Criminal Code of 1961 or the Criminal
    Code of 2012;
        (15) Predatory criminal sexual assault of a child, in
    violation of Section 11-1.40 or 12-14.1 of the Criminal
    Code of 1961 or the Criminal Code of 2012;
        (16) Criminal sexual abuse, in violation of Section
    11-1.50 or 12-15 of the Criminal Code of 1961 or the
    Criminal Code of 2012;
        (17) Aggravated criminal sexual abuse, in violation of
    Section 11-1.60 or 12-16 of the Criminal Code of 1961 or
    the Criminal Code of 2012;
        (18) Ritualized abuse of a child, in violation of
    Section 12-33 of the Criminal Code of 1961 or the Criminal
    Code of 2012;
        (19) An attempt to commit any of the offenses
    enumerated in this subsection (c); or
        (20) Any felony offense under Illinois law that is
    sexually motivated.
    (d) "Management" means treatment, and supervision of any
sex offender that conforms to the standards created by the
Board under Section 15.
    (e) "Sexually motivated" means one or more of the facts of
the underlying offense indicates conduct that is of a sexual
nature or that shows an intent to engage in behavior of a
sexual nature.
    (f) "Sex offender evaluator" means a person licensed under
the Sex Offender Evaluation and Treatment Provider Act to
conduct sex offender evaluations.
    (g) "Sex offender treatment provider" means a person
licensed under the Sex Offender Evaluation and Treatment
Provider Act to provide sex offender treatment services.
    (h) "Associate sex offender provider" means a person
licensed under the Sex Offender Evaluation and Treatment
Provider Act to provide sex offender evaluations and to provide
sex offender treatment under the supervision of a licensed sex
offender evaluator or a licensed sex offender treatment
provider.
(Source: P.A. 96-1551, eff. 7-1-11; 97-1098, eff. 1-1-13.)
 
    Section 110. The Illinois Procurement Code is amended by
changing Sections 45-57, 50-5, and 50-70 as follows:
 
    (30 ILCS 500/45-57)
    Sec. 45-57. Veterans.
    (a) Set-aside goal. It is the goal of the State to promote
and encourage the continued economic development of small
businesses owned and controlled by qualified veterans and that
qualified service-disabled veteran-owned small businesses
(referred to as SDVOSB) and veteran-owned small businesses
(referred to as VOSB) participate in the State's procurement
process as both prime contractors and subcontractors. Not less
than 3% of the total dollar amount of State contracts, as
defined by the Director of Central Management Services, shall
be established as a goal to be awarded to SDVOSB and VOSB. That
portion of a contract under which the contractor subcontracts
with a SDVOSB or VOSB may be counted toward the goal of this
subsection. The Department of Central Management Services
shall adopt rules to implement compliance with this subsection
by all State agencies.
    (b) Fiscal year reports. By each September 1, each chief
procurement officer shall report to the Department of Central
Management Services on all of the following for the immediately
preceding fiscal year, and by each March 1 the Department of
Central Management Services shall compile and report that
information to the General Assembly:
        (1) The total number of VOSB, and the number of SDVOSB,
    who submitted bids for contracts under this Code.
        (2) The total number of VOSB, and the number of SDVOSB,
    who entered into contracts with the State under this Code
    and the total value of those contracts.
    (c) Yearly review and recommendations. Each year, each
chief procurement officer shall review the progress of all
State agencies under its jurisdiction in meeting the goal
described in subsection (a), with input from statewide
veterans' service organizations and from the business
community, including businesses owned by qualified veterans,
and shall make recommendations to be included in the Department
of Central Management Services' report to the General Assembly
regarding continuation, increases, or decreases of the
percentage goal. The recommendations shall be based upon the
number of businesses that are owned by qualified veterans and
on the continued need to encourage and promote businesses owned
by qualified veterans.
    (d) Governor's recommendations. To assist the State in
reaching the goal described in subsection (a), the Governor
shall recommend to the General Assembly changes in programs to
assist businesses owned by qualified veterans.
    (e) Definitions. As used in this Section:
    "Armed forces of the United States" means the United States
Army, Navy, Air Force, Marine Corps, Coast Guard, or service in
active duty as defined under 38 U.S.C. Section 101. Service in
the Merchant Marine that constitutes active duty under Section
401 of federal Public Act 95-202 shall also be considered
service in the armed forces for purposes of this Section.
    "Certification" means a determination made by the Illinois
Department of Veterans' Affairs and the Department of Central
Management Services that a business entity is a qualified
service-disabled veteran-owned small business or a qualified
veteran-owned small business for whatever purpose. A SDVOSB or
VOSB owned and controlled by females, minorities, or persons
with disabilities, as those terms are defined in Section 2 of
the Business Enterprise for Minorities, Females, and Persons
with Disabilities Act, shall select and designate whether that
business is to be certified as a "female-owned business",
"minority-owned business", or "business owned by a person with
a disability", as defined in Section 2 of the Business
Enterprise for Minorities, Females, and Persons with
Disabilities Act, or as a qualified SDVOSB or qualified VOSB
under this Section.
    "Control" means the exclusive, ultimate, majority, or sole
control of the business, including but not limited to capital
investment and all other financial matters, property,
acquisitions, contract negotiations, legal matters,
officer-director-employee selection and comprehensive hiring,
operation responsibilities, cost-control matters, income and
dividend matters, financial transactions, and rights of other
shareholders or joint partners. Control shall be real,
substantial, and continuing, not pro forma. Control shall
include the power to direct or cause the direction of the
management and policies of the business and to make the
day-to-day as well as major decisions in matters of policy,
management, and operations. Control shall be exemplified by
possessing the requisite knowledge and expertise to run the
particular business, and control shall not include simple
majority or absentee ownership.
    "Qualified service-disabled veteran" means a veteran who
has been found to have 10% or more service-connected disability
by the United States Department of Veterans Affairs or the
United States Department of Defense.
    "Qualified service-disabled veteran-owned small business"
or "SDVOSB" means a small business (i) that is at least 51%
owned by one or more qualified service-disabled veterans living
in Illinois or, in the case of a corporation, at least 51% of
the stock of which is owned by one or more qualified
service-disabled veterans living in Illinois; (ii) that has its
home office in Illinois; and (iii) for which items (i) and (ii)
are factually verified annually by the Department of Central
Management Services.
    "Qualified veteran-owned small business" or "VOSB" means a
small business (i) that is at least 51% owned by one or more
qualified veterans living in Illinois or, in the case of a
corporation, at least 51% of the stock of which is owned by one
or more qualified veterans living in Illinois; (ii) that has
its home office in Illinois; and (iii) for which items (i) and
(ii) are factually verified annually by the Department of
Central Management Services.
    "Service-connected disability" means a disability incurred
in the line of duty in the active military, naval, or air
service as described in 38 U.S.C. 101(16).
    "Small business" means a business that has annual gross
sales of less than $75,000,000 as evidenced by the federal
income tax return of the business. A firm with gross sales in
excess of this cap may apply to the Department of Central
Management Services for certification for a particular
contract if the firm can demonstrate that the contract would
have significant impact on SDVOSB or VOSB as suppliers or
subcontractors or in employment of veterans or
service-disabled veterans.
    "State agency" has the same meaning as in Section 2 of the
Business Enterprise for Minorities, Females, and Persons with
Disabilities Act.
    "Time of hostilities with a foreign country" means any
period of time in the past, present, or future during which a
declaration of war by the United States Congress has been or is
in effect or during which an emergency condition has been or is
in effect that is recognized by the issuance of a Presidential
proclamation or a Presidential executive order and in which the
armed forces expeditionary medal or other campaign service
medals are awarded according to Presidential executive order.
    "Veteran" means a person who (i) has been a member of the
armed forces of the United States or, while a citizen of the
United States, was a member of the armed forces of allies of
the United States in time of hostilities with a foreign country
and (ii) has served under one or more of the following
conditions: (a) the veteran served a total of at least 6
months; (b) the veteran served for the duration of hostilities
regardless of the length of the engagement; (c) the veteran was
discharged on the basis of hardship; or (d) the veteran was
released from active duty because of a service connected
disability and was discharged under honorable conditions.
    (f) Certification program. The Illinois Department of
Veterans' Affairs and the Department of Central Management
Services shall work together to devise a certification
procedure to assure that businesses taking advantage of this
Section are legitimately classified as qualified
service-disabled veteran-owned small businesses or qualified
veteran-owned small businesses.
    (g) Penalties.
        (1) Administrative penalties. The Department of
    Central Management Services shall suspend any person who
    commits a violation of Section 17-10.3 or subsection (d) of
    Section 33E-6 of the Criminal Code of 1961 or the Criminal
    Code of 2012 relating to this Section from bidding on, or
    participating as a contractor, subcontractor, or supplier
    in, any State contract or project for a period of not less
    than 3 years, and, if the person is certified as a
    service-disabled veteran-owned small business or a
    veteran-owned small business, then the Department shall
    revoke the business's certification for a period of not
    less than 3 years. An additional or subsequent violation
    shall extend the periods of suspension and revocation for a
    period of not less than 5 years. The suspension and
    revocation shall apply to the principals of the business
    and any subsequent business formed or financed by, or
    affiliated with, those principals.
        (2) Reports of violations. Each State agency shall
    report any alleged violation of Section 17-10.3 or
    subsection (d) of Section 33E-6 of the Criminal Code of
    1961 or the Criminal Code of 2012 relating to this Section
    to the Department of Central Management Services. The
    Department of Central Management Services shall
    subsequently report all such alleged violations to the
    Attorney General, who shall determine whether to bring a
    civil action against any person for the violation.
        (3) List of suspended persons. The Department of
    Central Management Services shall monitor the status of all
    reported violations of Section 17-10.3 or subsection (d) of
    Section 33E-6 of the Criminal Code of 1961 or the Criminal
    Code of 2012 relating to this Section and shall maintain
    and make available to all State agencies a central listing
    of all persons that committed violations resulting in
    suspension.
        (4) Use of suspended persons. During the period of a
    person's suspension under paragraph (1) of this
    subsection, a State agency shall not enter into any
    contract with that person or with any contractor using the
    services of that person as a subcontractor.
        (5) Duty to check list. Each State agency shall check
    the central listing provided by the Department of Central
    Management Services under paragraph (3) of this subsection
    to verify that a person being awarded a contract by that
    State agency, or to be used as a subcontractor or supplier
    on a contract being awarded by that State agency, is not
    under suspension pursuant to paragraph (1) of this
    subsection.
(Source: P.A. 96-96, eff. 1-1-10; 97-260, eff. 8-5-11.)
 
    (30 ILCS 500/50-5)
    Sec. 50-5. Bribery.
    (a) Prohibition. No person or business shall be awarded a
contract or subcontract under this Code who:
        (1) has been convicted under the laws of Illinois or
    any other state of bribery or attempting to bribe an
    officer or employee of the State of Illinois or any other
    state in that officer's or employee's official capacity; or
        (2) has made an admission of guilt of that conduct that
    is a matter of record but has not been prosecuted for that
    conduct.
    (b) Businesses. No business shall be barred from
contracting with any unit of State or local government, or
subcontracting under such a contract, as a result of a
conviction under this Section of any employee or agent of the
business if the employee or agent is no longer employed by the
business and:
        (1) the business has been finally adjudicated not
    guilty; or
        (2) the business demonstrates to the governmental
    entity with which it seeks to contract or which is a
    signatory to the contract to which the subcontract relates,
    and that entity finds that the commission of the offense
    was not authorized, requested, commanded, or performed by a
    director, officer, or high managerial agent on behalf of
    the business as provided in paragraph (2) of subsection (a)
    of Section 5-4 of the Criminal Code of 2012 1961.
    (c) Conduct on behalf of business. For purposes of this
Section, when an official, agent, or employee of a business
committed the bribery or attempted bribery on behalf of the
business and in accordance with the direction or authorization
of a responsible official of the business, the business shall
be chargeable with the conduct.
    (d) Certification. Every bid submitted to and contract
executed by the State and every subcontract subject to Section
20-120 of this Code shall contain a certification by the
contractor or the subcontractor, respectively, that the
contractor or subcontractor is not barred from being awarded a
contract or subcontract under this Section and acknowledges
that the chief procurement officer may declare the related
contract void if any certifications required by this Section
are false. If the false certification is made by a
subcontractor, then the contractor's submitted bid and the
executed contract may not be declared void, unless the
contractor refuses to terminate the subcontract upon the
State's request after a finding that the subcontract's
certification was false. A contractor or subcontractor who
makes a false statement, material to the certification, commits
a Class 3 felony.
(Source: P.A. 96-795, eff. 7-1-10 (see Section 5 of P.A. 96-793
for the effective date of changes made by P.A. 96-795); 97-895,
eff. 8-3-12.)
 
    (30 ILCS 500/50-70)
    Sec. 50-70. Additional provisions. This Code is subject to
applicable provisions of the following Acts:
        (1) Article 33E of the Criminal Code of 2012 1961;
        (2) the Illinois Human Rights Act;
        (3) the Discriminatory Club Act;
        (4) the Illinois Governmental Ethics Act;
        (5) the State Prompt Payment Act;
        (6) the Public Officer Prohibited Activities Act;
        (7) the Drug Free Workplace Act;
        (8) the Illinois Power Agency Act;
        (9) the Employee Classification Act; and
        (10) the State Officials and Employees Ethics Act.
(Source: P.A. 95-26, eff. 1-1-08; 95-481, eff. 8-28-07; 95-876,
eff. 8-21-08; 96-795, eff. 7-1-10 (see Section 5 of P.A. 96-793
for the effective date of changes made by P.A. 96-795).)
 
    Section 115. The Intergovernmental Drug Laws Enforcement
Act is amended by changing Section 3 as follows:
 
    (30 ILCS 715/3)  (from Ch. 56 1/2, par. 1703)
    Sec. 3. A Metropolitan Enforcement Group which meets the
minimum criteria established in this Section is eligible to
receive State grants to help defray the costs of operation. To
be eligible a MEG must:
    (1) Be established and operating pursuant to
intergovernmental contracts written and executed in conformity
with the Intergovernmental Cooperation Act, and involve 2 or
more units of local government.
    (2) Establish a MEG Policy Board composed of an elected
official, or his designee, and the chief law enforcement
officer, or his designee, from each participating unit of local
government to oversee the operations of the MEG and make such
reports to the Department of State Police as the Department may
require.
    (3) Designate a single appropriate elected official of a
participating unit of local government to act as the financial
officer of the MEG for all participating units of local
government and to receive funds for the operation of the MEG.
    (4) Limit its operations to enforcement of drug laws;
enforcement of Sections 24-2.1, 24-2.2, 24-3, 24-3.1, 24-3.3,
24-3.4, 24-4, and 24-5 and subsections 24-1(a)(4), 24-1(a)(6),
24-1(a)(7), 24-1(a)(9), 24-1(a)(10), and 24-1(c) of the
Criminal Code of 2012 1961; and the investigation of streetgang
related offenses.
    (5) Cooperate with the Department of State Police in order
to assure compliance with this Act and to enable the Department
to fulfill its duties under this Act, and supply the Department
with all information the Department deems necessary therefor.
    (6) Receive funding of at least 50% of the total operating
budget of the MEG from the participating units of local
government.
(Source: P.A. 88-677, eff. 12-15-94.)
 
    Section 120. The Illinois Income Tax Act is amended by
changing Sections 504 and 1302 as follows:
 
    (35 ILCS 5/504)  (from Ch. 120, par. 5-504)
    Sec. 504. Verification. Each return or notice required to
be filed under this Act shall contain or be verified by a
written declaration that it is made under the penalties of
perjury. A taxpayer's signing a fraudulent return under this
Act is perjury, as defined in Section 32-2 of the Criminal Code
of 2012 1961.
(Source: P.A. 82-1009.)
 
    (35 ILCS 5/1302)  (from Ch. 120, par. 13-1302)
    Sec. 1302. Willful Failure to Pay Over. Any person who
accepts money that is due to the Department under this Act from
a taxpayer for the purpose of acting as the taxpayer's agent to
make the payment to the Department, but who willfully fails to
remit such payment to the Department when due, shall be guilty
of a Class A misdemeanor. Any such person who purports to make
such payment by issuing or delivering a check or other order
upon a real or fictitious depository for the payment of money,
knowing that it will not be paid by the depository, shall be
guilty of a deceptive practice in violation of Section 17-1 of
the Criminal Code of 2012 1961, as amended. Any person whose
commercial domicile or whose residence is in this State and who
is charged with a violation under this Section shall be tried
in the county where his commercial domicile or his residence is
located unless he asserts a right to be tried in another venue.
A prosecution for any act in violation of this Section may be
commenced at any time within 5 years of the commission of that
act.
(Source: P.A. 84-221.)
 
    Section 125. The Use Tax Act is amended by changing
Sections 14 and 15 as follows:
 
    (35 ILCS 105/14)  (from Ch. 120, par. 439.14)
    Sec. 14. When the amount due is under $300, any person
subject to the provisions hereof who fails to file a return, or
who violates any other provision of Section 9 or Section 10
hereof, or who fails to keep books and records as required
herein, or who files a fraudulent return, or who wilfully
violates any rule or regulation of the Department for the
administration and enforcement of the provisions hereof, or any
officer or agent of a corporation or manager, member, or agent
of a limited liability company subject hereto who signs a
fraudulent return filed on behalf of such corporation or
limited liability company, or any accountant or other agent who
knowingly enters false information on the return of any
taxpayer under this Act, or any person who violates any of the
provisions of Sections 3, 5 or 7 hereof, or any purchaser who
obtains a registration number or resale number from the
Department through misrepresentation, or who represents to a
seller that such purchaser has a registration number or a
resale number from the Department when he knows that he does
not, or who uses his registration number or resale number to
make a seller believe that he is buying tangible personal
property for resale when such purchaser in fact knows that this
is not the case, is guilty of a Class 4 felony.
    Any person who violates any provision of Section 6 hereof,
or who engages in the business of selling tangible personal
property at retail after his Certificate of Registration under
this Act has been revoked in accordance with Section 12 of this
Act, is guilty of a Class 4 felony. Each day any such person is
engaged in business in violation of Section 6, or after his
Certificate of Registration under this Act has been revoked,
constitutes a separate offense.
    When the amount due is under $300, any person who accepts
money that is due to the Department under this Act from a
taxpayer for the purpose of acting as the taxpayer's agent to
make the payment to the Department, but who fails to remit such
payment to the Department when due is guilty of a Class 4
felony. Any such person who purports to make such payment by
issuing or delivering a check or other order upon a real or
fictitious depository for the payment of money, knowing that it
will not be paid by the depository, shall be guilty of a
deceptive practice in violation of Section 17-1 of the Criminal
Code of 2012 1961, as amended.
    When the amount due is $300 or more any person subject to
the provisions hereof who fails to file a return or who
violates any other provision of Section 9 or Section 10 hereof
or who fails to keep books and records as required herein or
who files a fraudulent return, or who wilfully violates any
rule or regulation of the Department for the administration and
enforcement of the provisions hereof, or any officer or agent
of a corporation or manager, member, or agent of a limited
liability company subject hereto who signs a fraudulent return
filed on behalf of such corporation or limited liability
company, or any accountant or other agent who knowingly enters
false information on the return of any taxpayer under this Act
or any person who violates any of the provisions of Sections 3,
5 or 7 hereof or any purchaser who obtains a registration
number or resale number from the Department through
misrepresentation, or who represents to a seller that such
purchaser has a registration number or a resale number from the
Department when he knows that he does not or who uses his
registration number or resale number to make a seller believe
that he is buying tangible personal property for resale when
such purchaser in fact knows that this is not the case, is
guilty of a Class 3 felony.
    When the amount due is $300 or more any person who accepts
money that is due to the Department under this Act from a
taxpayer for the purpose of acting as the taxpayer's agent to
make the payment to the Department, but who fails to remit such
payment to the Department when due is guilty of a Class 3
felony. Any such person who purports to make such payment by
issuing or delivering a check or other order upon a real or
fictitious depository for the payment of money, knowing that it
will not be paid by the depository shall be guilty of a
deceptive practice in violation of Section 17-1 of the Criminal
Code of 2012 1961, as amended.
    Any seller who collects or attempts to collect use tax
measured by receipts which such seller knows are not subject to
use tax, or any seller who knowingly over-collects or attempts
to over-collect use tax in a transaction which is subject to
the tax that is imposed by this Act, shall be guilty of a Class
4 felony for each such offense. This paragraph does not apply
to an amount collected by the seller as use tax on receipts
which are subject to tax under this Act as long as such
collection is made in compliance with the tax collection
brackets prescribed by the Department in its Rules and
Regulations.
    Any taxpayer or agent of a taxpayer who with the intent to
defraud purports to make a payment due to the Department by
issuing or delivering a check or other order upon a real or
fictitious depository for the payment of money, knowing that it
will not be paid by the depository, shall be guilty of a
deceptive practice in violation of Section 17-1 of the Criminal
Code of 2012 1961, as amended.
    A prosecution for any act in violation of this Section may
be commenced at any time within 3 years of the commission of
that Act.
    This Section does not apply if the violation in a
particular case also constitutes a criminal violation of the
Retailers' Occupation Tax Act.
(Source: P.A. 88-480.)
 
    (35 ILCS 105/15)  (from Ch. 120, par. 439.15)
    Sec. 15. The tax herein imposed shall be in addition to all
other occupation or privilege taxes imposed by the State of
Illinois or by any municipal corporation or political
subdivision thereof.
    Any taxpayer or agent of a taxpayer who with the intent to
defraud purports to make a payment due to the Department by
issuing or delivering a check or other order upon a real or
fictitious depository for the payment of money, knowing that it
will not be paid by the depository, shall be guilty of a
deceptive practice in violation of Section 17-1 of the Criminal
Code of 2012 1961, as amended.
(Source: P.A. 84-221.)
 
    Section 130. The Service Use Tax Act is amended by changing
Section 15 as follows:
 
    (35 ILCS 110/15)  (from Ch. 120, par. 439.45)
    Sec. 15. When the amount due is under $300, any person
subject to the provisions hereof who fails to file a return, or
who violates any other provision of Section 9 or Section 10
hereof, or who fails to keep books and records as required
herein, or who files a fraudulent return, or who wilfully
violates any Rule or Regulation of the Department for the
administration and enforcement of the provisions hereof, or any
officer or agent of a corporation, or manager, member, or agent
of a limited liability company, subject hereto who signs a
fraudulent return filed on behalf of such corporation or
limited liability company, or any accountant or other agent who
knowingly enters false information on the return of any
taxpayer under this Act, or any person who violates any of the
provisions of Sections 3 and 5 hereof, or any purchaser who
obtains a registration number or resale number from the
Department through misrepresentation, or who represents to a
seller that such purchaser has a registration number or a
resale number from the Department when he knows that he does
not, or who uses his registration number or resale number to
make a seller believe that he is buying tangible personal
property for resale when such purchaser in fact knows that this
is not the case, is guilty of a Class 4 felony.
    Any person who violates any provision of Section 6 hereof,
or who engages in the business of making sales of service after
his Certificate of Registration under this Act has been revoked
in accordance with Section 12 of this Act, is guilty of a Class
4 felony. Each day any such person is engaged in business in
violation of Section 6, or after his Certificate of
Registration under this Act has been revoked, constitutes a
separate offense.
    When the amount due is under $300, any person who accepts
money that is due to the Department under this Act from a
taxpayer for the purpose of acting as the taxpayer's agent to
make the payment to the Department, but who fails to remit such
payment to the Department when due is guilty of a Class 4
felony. Any such person who purports to make such payment by
issuing or delivering a check or other order upon a real or
fictitious depository for the payment of money, knowing that it
will not be paid by the depository, shall be guilty of a
deceptive practice in violation of Section 17-1 of the Criminal
Code of 2012 1961, as amended.
    When the amount due is $300 or more, any person subject to
the provisions hereof who fails to file a return, or who
violates any other provision of Section 9 or Section 10 hereof,
or who fails to keep books and records as required herein or
who files a fraudulent return, or who willfully violates any
rule or regulation of the Department for the administration and
enforcement of the provisions hereof, or any officer or agent
of a corporation, or manager, member, or agent of a limited
liability company, subject hereto who signs a fraudulent return
filed on behalf of such corporation or limited liability
company, or any accountant or other agent who knowingly enters
false information on the return of any taxpayer under this Act,
or any person who violates any of the provisions of Sections 3
and 5 hereof, or any purchaser who obtains a registration
number or resale number from the Department through
misrepresentation, or who represents to a seller that such
purchaser has a registration number or a resale number from the
Department when he knows that he does not, or who uses his
registration number or resale number to make a seller believe
that he is buying tangible personal property for resale when
such purchaser in fact knows that this is not the case, is
guilty of a Class 3 felony.
    When the amount due is $300 or more, any person who accepts
money that is due to the Department under this Act from a
taxpayer for the purpose of acting as the taxpayer's agent to
make the payment to the Department, but who fails to remit such
payment to the Department when due is guilty of a Class 3
felony. Any such person who purports to make such payment by
issuing or delivering a check or other order upon a real or
fictitious depository for the payment of money, knowing that it
will not be paid by the depository, shall be guilty of a
deceptive practice in violation of Section 17-1 of the Criminal
Code of 2012 1961, as amended.
    Any serviceman who collects or attempts to collect Service
Use Tax measured by receipts or selling prices which such
serviceman knows are not subject to Service Use Tax, or any
serviceman who knowingly over-collects or attempts to
over-collect Service Use Tax in a transaction which is subject
to the tax that is imposed by this Act, shall be guilty of a
Class 4 felony for each offense. This paragraph does not apply
to an amount collected by the serviceman as Service Use Tax on
receipts or selling prices which are subject to tax under this
Act as long as such collection is made in compliance with the
tax collection brackets prescribed by the Department in its
Rules and Regulations.
    Any taxpayer or agent of a taxpayer who with the intent to
defraud purports to make a payment due to the Department by
issuing or delivering a check or other order upon a real or
fictitious depository for the payment of money, knowing that it
will not be paid by the depository, shall be guilty of a
deceptive practice in violation of Section 17-1 of the Criminal
Code of 2012 1961, as amended.
    A prosecution for any Act in violation of this Section may
be commenced at any time within 3 years of the commission of
that Act.
    This Section does not apply if the violation in a
particular case also constitutes a criminal violation of the
Retailers' Occupation Tax Act, the Use Tax Act or the Service
Occupation Tax Act.
(Source: P.A. 90-655, eff. 7-30-98; 91-51, eff. 6-30-99.)
 
    Section 135. The Service Occupation Tax Act is amended by
changing Section 15 as follows:
 
    (35 ILCS 115/15)  (from Ch. 120, par. 439.115)
    Sec. 15. When the amount due is under $300, any person
subject to the provisions hereof who fails to file a return, or
who violates any other provision of Section 9 or Section 10
hereof, or who fails to keep books and records as required
herein, or who files a fraudulent return, or who wilfully
violates any Rule or Regulation of the Department for the
administration and enforcement of the provisions hereof, or any
officer or agent of a corporation, or manager, member, or agent
of a limited liability company, subject hereto who signs a
fraudulent return filed on behalf of such corporation or
limited liability company, or any accountant or other agent who
knowingly enters false information on the return of any
taxpayer under this Act, or any person who violates any of the
provisions of Sections 3, 5 or 7 hereof, or any purchaser who
obtains a registration number or resale number from the
Department through misrepresentation, or who represents to a
seller that such purchaser has a registration number or a
resale number from the Department when he knows that he does
not, or who uses his registration number or resale number to
make a seller believe that he is buying tangible personal
property for resale when such purchaser in fact knows that this
is not the case, is guilty of a Class 4 felony.
    Any person who violates any provision of Section 6 hereof,
or who engages in the business of making sales of service after
his Certificate of Registration under this Act has been revoked
in accordance with Section 12 of this Act, is guilty of a Class
4 felony. Each day any such person is engaged in business in
violation of Section 6, or after his Certificate of
Registration under this Act has been revoked, constitutes a
separate offense.
    When the amount due is under $300, any person who accepts
money that is due to the Department under this Act from a
taxpayer for the purpose of acting as the taxpayer's agent to
make the payment to the Department, but who fails to remit such
payment to the Department when due is guilty of a Class 4
felony. Any such person who purports to make such payment by
issuing or delivering a check or other order upon a real or
fictitious depository for the payment of money, knowing that it
will not be paid by the depository, shall be guilty of a
deceptive practice in violation of Section 17-1 of the Criminal
Code of 2012 1961, as amended.
    When the amount due is $300 or more, any person subject to
the provisions hereof who fails to file a return, or who
violates any other provision of Section 9 or Section 10 hereof,
or who fails to keep books and records as required herein, or
who files a fraudulent return, or who wilfully violates any
rule or regulation of the Department for the administration and
enforcement of the provisions hereof, or any officer or agent
of a corporation, or manager, member, or agent of a limited
liability company, subject hereto who signs a fraudulent return
filed on behalf of such corporation or limited liability
company, or any accountant or other agent who knowingly enters
false information on the return of any taxpayer under this Act,
or any person who violates any of the provisions of Sections 3,
5 or 7 hereof, or any purchaser who obtains a registration
number or resale number from the Department through
misrepresentation, or who represents to a seller that such
purchaser has a registration number or a resale number from the
Department when he knows that he does not, or who uses his
registration number or resale number to make a seller believe
that he is buying tangible personal property for resale when
such purchaser in fact knows that this is not the case, is
guilty of a Class 3 felony.
    When the amount due is $300 or more, any person who accepts
money that is due to the Department under this Act from a
taxpayer for the purpose of acting as the taxpayer's agent to
make the payment to the Department but who fails to remit such
payment to the Department when due is guilty of a Class 3
felony. Any such person who purports to make such payment by
issuing or delivering a check or other order upon a real or
fictitious depository for the payment of money, knowing that it
will not be paid by the depository shall be guilty of a
deceptive practice in violation of Section 17-1 of the Criminal
Code of 2012 1961, as amended.
    Any serviceman who collects or attempts to collect Service
Occupation Tax, measured by receipts which such serviceman
knows are not subject to Service Occupation Tax, or any
serviceman who collects or attempts to collect an amount
(however designated) which purports to reimburse such
serviceman for Service Occupation Tax liability measured by
receipts or selling prices which such serviceman knows are not
subject to Service Occupation Tax, or any serviceman who
knowingly over-collects or attempts to over-collect Service
Occupation Tax or an amount purporting to be reimbursement for
Service Occupation Tax liability in a transaction which is
subject to the tax that is imposed by this Act, shall be guilty
of a Class 4 felony for each such offense. This paragraph does
not apply to an amount collected by the serviceman as
reimbursement for the serviceman's Service Occupation Tax
liability on receipts or selling prices which are subject to
tax under this Act, as long as such collection is made in
compliance with the tax collection brackets prescribed by the
Department in its Rules and Regulations.
    A prosecution for any act in violation of this Section may
be commenced at any time within 3 years of the commission of
that act.
    This Section does not apply if the violation in a
particular case also constitutes a criminal violation of the
Retailers' Occupation Tax Act or the Use Tax Act.
(Source: P.A. 91-51, eff. 6-30-99.)
 
    Section 140. The Retailers' Occupation Tax Act is amended
by changing Section 13 as follows:
 
    (35 ILCS 120/13)  (from Ch. 120, par. 452)
    Sec. 13. Criminal penalties.
    (a) When the amount due is under $300, any person engaged
in the business of selling tangible personal property at retail
in this State who fails to file a return, or who files a
fraudulent return, or any officer, employee or agent of a
corporation, member, employee or agent of a partnership, or
manager, member, agent, or employee of a limited liability
company engaged in the business of selling tangible personal
property at retail in this State who, as such officer,
employee, agent, manager, or member is under a duty to file a
return, or any officer, agent or employee of a corporation,
member, agent, or employee of a partnership, or manager,
member, agent, or employee of a limited liability company
engaged in the business of selling tangible personal property
at retail in this State who files or causes to be filed or
signs or causes to be signed a fraudulent return filed on
behalf of such corporation or limited liability company, or any
accountant or other agent who knowingly enters false
information on the return of any taxpayer under this Act, is
guilty of a Class 4 felony.
    Any person who or any officer or director of any
corporation, partner or member of any partnership, or manager
or member of a limited liability company that: (a) violates
Section 2a of this Act or (b) fails to keep books and records,
or fails to produce books and records as required by Section 7
or (c) willfully violates a rule or regulation of the
Department for the administration and enforcement of this Act
is guilty of a Class A misdemeanor. Any person, manager or
member of a limited liability company, or officer or director
of any corporation who engages in the business of selling
tangible personal property at retail after the certificate of
registration of that person, corporation, limited liability
company, or partnership has been revoked is guilty of a Class A
misdemeanor. Each day such person, corporation, or partnership
is engaged in business without a certificate of registration or
after the certificate of registration of that person,
corporation, or partnership has been revoked constitutes a
separate offense.
    Any purchaser who obtains a registration number or resale
number from the Department through misrepresentation, or who
represents to a seller that such purchaser has a registration
number or a resale number from the Department when he knows
that he does not, or who uses his registration number or resale
number to make a seller believe that he is buying tangible
personal property for resale when such purchaser in fact knows
that this is not the case is guilty of a Class 4 felony.
    Any distributor, supplier or other reseller of motor fuel
registered pursuant to Section 2a or 2c of this Act who fails
to collect the prepaid tax on invoiced gallons of motor fuel
sold or who fails to deliver a statement of tax paid to the
purchaser or to the Department as required by Sections 2d and
2e of this Act, respectively, shall be guilty of a Class A
misdemeanor if the amount due is under $300, and a Class 4
felony if the amount due is $300 or more.
    When the amount due is under $300, any person who accepts
money that is due to the Department under this Act from a
taxpayer for the purpose of acting as the taxpayer's agent to
make the payment to the Department, but who fails to remit such
payment to the Department when due is guilty of a Class 4
felony.
    Any seller who collects or attempts to collect an amount
(however designated) which purports to reimburse such seller
for retailers' occupation tax liability measured by receipts
which such seller knows are not subject to retailers'
occupation tax, or any seller who knowingly over-collects or
attempts to over-collect an amount purporting to reimburse such
seller for retailers' occupation tax liability in a transaction
which is subject to the tax that is imposed by this Act, shall
be guilty of a Class 4 felony for each such offense. This
paragraph does not apply to an amount collected by the seller
as reimbursement for the seller's retailers' occupation tax
liability on receipts which are subject to tax under this Act
as long as such collection is made in compliance with the tax
collection brackets prescribed by the Department in its Rules
and Regulations.
    When the amount due is $300 or more, any person engaged in
the business of selling tangible personal property at retail in
this State who fails to file a return, or who files a
fraudulent return, or any officer, employee or agent of a
corporation, member, employee or agent of a partnership, or
manager, member, agent, or employee of a limited liability
company engaged in the business of selling tangible personal
property at retail in this State who, as such officer,
employee, agent, manager, or member is under a duty to file a
return and who fails to file such return or any officer, agent,
or employee of a corporation, member, agent or employee of a
partnership, or manager, member, agent, or employee of a
limited liability company engaged in the business of selling
tangible personal property at retail in this State who files or
causes to be filed or signs or causes to be signed a fraudulent
return filed on behalf of such corporation or limited liability
company, or any accountant or other agent who knowingly enters
false information on the return of any taxpayer under this Act
is guilty of a Class 3 felony.
    When the amount due is $300 or more, any person engaged in
the business of selling tangible personal property at retail in
this State who accepts money that is due to the Department
under this Act from a taxpayer for the purpose of acting as the
taxpayer's agent to make payment to the Department but fails to
remit such payment to the Department when due, is guilty of a
Class 3 felony.
    Any person whose principal place of business is in this
State and who is charged with a violation under this Section
shall be tried in the county where his principal place of
business is located unless he asserts a right to be tried in
another venue.
    Any taxpayer or agent of a taxpayer who with the intent to
defraud purports to make a payment due to the Department by
issuing or delivering a check or other order upon a real or
fictitious depository for the payment of money, knowing that it
will not be paid by the depository, shall be guilty of a
deceptive practice in violation of Section 17-1 of the Criminal
Code of 2012 1961, as amended.
    (b) A person commits the offense of sales tax evasion under
this Act when he knowingly attempts in any manner to evade or
defeat the tax imposed on him or on any other person, or the
payment thereof, and he commits an affirmative act in
furtherance of the evasion. For purposes of this Section, an
"affirmative act in furtherance of the evasion" means an act
designed in whole or in part to (i) conceal, misrepresent,
falsify, or manipulate any material fact or (ii) tamper with or
destroy documents or materials related to a person's tax
liability under this Act. Two or more acts of sales tax evasion
may be charged as a single count in any indictment,
information, or complaint and the amount of tax deficiency may
be aggregated for purposes of determining the amount of tax
which is attempted to be or is evaded and the period between
the first and last acts may be alleged as the date of the
offense.
        (1) When the amount of tax, the assessment or payment
    of which is attempted to be or is evaded is less than $500
    a person is guilty of a Class 4 felony.
        (2) When the amount of tax, the assessment or payment
    of which is attempted to be or is evaded is $500 or more
    but less than $10,000, a person is guilty of a Class 3
    felony.
        (3) When the amount of tax, the assessment or payment
    of which is attempted to be or is evaded is $10,000 or more
    but less than $100,000, a person is guilty of a Class 2
    felony.
        (4) When the amount of tax, the assessment or payment
    of which is attempted to be or is evaded is $100,000 or
    more, a person is guilty of a Class 1 felony.
    (c) A prosecution for any act in violation of this Section
may be commenced at any time within 5 years of the commission
of that act.
(Source: P.A. 97-1074, eff. 1-1-13.)
 
    Section 145. The Tobacco Products Tax Act of 1995 is
amended by changing Section 10-50 as follows:
 
    (35 ILCS 143/10-50)
    Sec. 10-50. Violations and penalties. When the amount due
is under $300, any distributor who fails to file a return,
wilfully fails or refuses to make any payment to the Department
of the tax imposed by this Act, or files a fraudulent return,
or any officer or agent of a corporation engaged in the
business of distributing tobacco products to retailers and
consumers located in this State who signs a fraudulent return
filed on behalf of the corporation, or any accountant or other
agent who knowingly enters false information on the return of
any taxpayer under this Act is guilty of a Class 4 felony.
    Any person who violates any provision of Section 10-20 of
this Act, fails to keep books and records as required under
this Act, or wilfully violates a rule or regulation of the
Department for the administration and enforcement of this Act
is guilty of a Class 4 felony. A person commits a separate
offense on each day that he or she engages in business in
violation of Section 10-20 of this Act.
    When the amount due is under $300, any person who accepts
money that is due to the Department under this Act from a
taxpayer for the purpose of acting as the taxpayer's agent to
make the payment to the Department, but who fails to remit the
payment to the Department when due, is guilty of a Class 4
felony.
    When the amount due is $300 or more, any distributor who
files, or causes to be filed, a fraudulent return, or any
officer or agent of a corporation engaged in the business of
distributing tobacco products to retailers and consumers
located in this State who files or causes to be filed or signs
or causes to be signed a fraudulent return filed on behalf of
the corporation, or any accountant or other agent who knowingly
enters false information on the return of any taxpayer under
this Act is guilty of a Class 3 felony.
    When the amount due is $300 or more, any person engaged in
the business of distributing tobacco products to retailers and
consumers located in this State who fails to file a return,
wilfully fails or refuses to make any payment to the Department
of the tax imposed by this Act, or accepts money that is due to
the Department under this Act from a taxpayer for the purpose
of acting as the taxpayer's agent to make payment to the
Department but fails to remit such payment to the Department
when due is guilty of a Class 3 felony.
    Any person whose principal place of business is in this
State and who is charged with a violation under this Section
shall be tried in the county where his or her principal place
of business is located unless he or she asserts a right to be
tried in another venue. If the taxpayer does not have his or
her principal place of business in this State, however, the
hearing must be held in Sangamon County unless the taxpayer
asserts a right to be tried in another venue.
    Any taxpayer or agent of a taxpayer who with the intent to
defraud purports to make a payment due to the Department by
issuing or delivering a check or other order upon a real or
fictitious depository for the payment of money, knowing that it
will not be paid by the depository, is guilty of a deceptive
practice in violation of Section 17-1 of the Criminal Code of
2012 1961.
    A prosecution for a violation described in this Section may
be commenced within 3 years after the commission of the act
constituting the violation.
(Source: P.A. 92-231, eff. 8-2-01.)
 
    Section 150. The Hotel Operators' Occupation Tax Act is
amended by changing Section 8 as follows:
 
    (35 ILCS 145/8)  (from Ch. 120, par. 481b.38)
    Sec. 8. When the amount due is under $300, any person
engaged in the business of renting, leasing or letting hotel
rooms in this State who fails to make a return, or to keep
books and records as required herein, or who makes a fraudulent
return, or who wilfully violates any rule or regulation of the
Department for the administration and enforcement of the
provisions of this Act, or any officer or agent of a
corporation engaged in the business of renting, leasing or
letting hotel rooms in this State who signs a fraudulent return
made on behalf of such corporation, is guilty of a Class 4
felony.
    Any person who violates any provision of Section 5 of this
Act is guilty of a Class 4 felony. Each and every day any such
person is engaged in business in violation of said Section 5
shall constitute a separate offense.
    When the amount due is under $300, any person who accepts
money that is due to the Department under this Act from a
taxpayer for the purpose of acting as the taxpayer's agent to
make the payment to the Department, but who fails to remit such
payment to the Department when due is guilty of a Class 4
felony. Any such person who purports to make such payment by
issuing or delivering a check or other order upon a real or
fictitious depository for the payment of money, knowing that it
will not be paid by the depository, shall be guilty of a
deceptive practice in violation of Section 17-1 of the Criminal
Code of 2012 1961, as amended.
    Any hotel operator who collects or attempts to collect an
amount (however designated) which purports to reimburse such
operator for hotel operators' occupation tax liability
measured by receipts which such operator knows are not subject
to hotel operators' occupation tax, or any hotel operator who
knowingly over-collects or attempts to over-collect an amount
purporting to reimburse such operator for hotel operators'
occupation tax liability in a transaction which is subject to
the tax that is imposed by this Act, shall be guilty of a Class
4 felony.
    When the amount due is $300 or more, any person engaged in
the business of renting, leasing or letting hotel rooms in this
State who fails to make a return, or to keep books and records
as required herein, or who makes a fraudulent return, or who
wilfully violates any rule or regulation of the Department for
the administration and enforcement of the provisions of this
Act, or any officer or agent of a corporation engaged in the
business of renting, leasing or letting hotel rooms in this
State who signs a fraudulent return made on behalf of such
corporation is guilty of a Class 3 felony.
    When the amount due is $300 or more, any person who accepts
money that is due to the Department under this Act from a
taxpayer for the purpose of acting as the taxpayer's agent to
make the payment to the Department, but who fails to remit such
payment to the Department is guilty of a Class 3 felony. Any
such person who purports to make such payment by issuing or
delivering a check or other order upon a real or fictitious
depository for the payment of money, knowing that it will not
be paid by the depository, shall be guilty of a deceptive
practice in violation of Section 17-1 of the Criminal Code of
2012 1961, as amended.
    A prosecution for any act in violation of this Section may
be commenced at any time within 3 years of the commission of
that act.
(Source: P.A. 85-299.)
 
    Section 155. The Property Tax Code is amended by changing
Sections 15-172 and 15-177 as follows:
 
    (35 ILCS 200/15-172)
    Sec. 15-172. Senior Citizens Assessment Freeze Homestead
Exemption.
    (a) This Section may be cited as the Senior Citizens
Assessment Freeze Homestead Exemption.
    (b) As used in this Section:
    "Applicant" means an individual who has filed an
application under this Section.
    "Base amount" means the base year equalized assessed value
of the residence plus the first year's equalized assessed value
of any added improvements which increased the assessed value of
the residence after the base year.
    "Base year" means the taxable year prior to the taxable
year for which the applicant first qualifies and applies for
the exemption provided that in the prior taxable year the
property was improved with a permanent structure that was
occupied as a residence by the applicant who was liable for
paying real property taxes on the property and who was either
(i) an owner of record of the property or had legal or
equitable interest in the property as evidenced by a written
instrument or (ii) had a legal or equitable interest as a
lessee in the parcel of property that was single family
residence. If in any subsequent taxable year for which the
applicant applies and qualifies for the exemption the equalized
assessed value of the residence is less than the equalized
assessed value in the existing base year (provided that such
equalized assessed value is not based on an assessed value that
results from a temporary irregularity in the property that
reduces the assessed value for one or more taxable years), then
that subsequent taxable year shall become the base year until a
new base year is established under the terms of this paragraph.
For taxable year 1999 only, the Chief County Assessment Officer
shall review (i) all taxable years for which the applicant
applied and qualified for the exemption and (ii) the existing
base year. The assessment officer shall select as the new base
year the year with the lowest equalized assessed value. An
equalized assessed value that is based on an assessed value
that results from a temporary irregularity in the property that
reduces the assessed value for one or more taxable years shall
not be considered the lowest equalized assessed value. The
selected year shall be the base year for taxable year 1999 and
thereafter until a new base year is established under the terms
of this paragraph.
    "Chief County Assessment Officer" means the County
Assessor or Supervisor of Assessments of the county in which
the property is located.
    "Equalized assessed value" means the assessed value as
equalized by the Illinois Department of Revenue.
    "Household" means the applicant, the spouse of the
applicant, and all persons using the residence of the applicant
as their principal place of residence.
    "Household income" means the combined income of the members
of a household for the calendar year preceding the taxable
year.
    "Income" has the same meaning as provided in Section 3.07
of the Senior Citizens and Disabled Persons Property Tax Relief
Act, except that, beginning in assessment year 2001, "income"
does not include veteran's benefits.
    "Internal Revenue Code of 1986" means the United States
Internal Revenue Code of 1986 or any successor law or laws
relating to federal income taxes in effect for the year
preceding the taxable year.
    "Life care facility that qualifies as a cooperative" means
a facility as defined in Section 2 of the Life Care Facilities
Act.
    "Maximum income limitation" means:
        (1) $35,000 prior to taxable year 1999;
        (2) $40,000 in taxable years 1999 through 2003;
        (3) $45,000 in taxable years 2004 through 2005;
        (4) $50,000 in taxable years 2006 and 2007; and
        (5) $55,000 in taxable year 2008 and thereafter.
    "Residence" means the principal dwelling place and
appurtenant structures used for residential purposes in this
State occupied on January 1 of the taxable year by a household
and so much of the surrounding land, constituting the parcel
upon which the dwelling place is situated, as is used for
residential purposes. If the Chief County Assessment Officer
has established a specific legal description for a portion of
property constituting the residence, then that portion of
property shall be deemed the residence for the purposes of this
Section.
    "Taxable year" means the calendar year during which ad
valorem property taxes payable in the next succeeding year are
levied.
    (c) Beginning in taxable year 1994, a senior citizens
assessment freeze homestead exemption is granted for real
property that is improved with a permanent structure that is
occupied as a residence by an applicant who (i) is 65 years of
age or older during the taxable year, (ii) has a household
income that does not exceed the maximum income limitation,
(iii) is liable for paying real property taxes on the property,
and (iv) is an owner of record of the property or has a legal or
equitable interest in the property as evidenced by a written
instrument. This homestead exemption shall also apply to a
leasehold interest in a parcel of property improved with a
permanent structure that is a single family residence that is
occupied as a residence by a person who (i) is 65 years of age
or older during the taxable year, (ii) has a household income
that does not exceed the maximum income limitation, (iii) has a
legal or equitable ownership interest in the property as
lessee, and (iv) is liable for the payment of real property
taxes on that property.
    In counties of 3,000,000 or more inhabitants, the amount of
the exemption for all taxable years is the equalized assessed
value of the residence in the taxable year for which
application is made minus the base amount. In all other
counties, the amount of the exemption is as follows: (i)
through taxable year 2005 and for taxable year 2007 and
thereafter, the amount of this exemption shall be the equalized
assessed value of the residence in the taxable year for which
application is made minus the base amount; and (ii) for taxable
year 2006, the amount of the exemption is as follows:
        (1) For an applicant who has a household income of
    $45,000 or less, the amount of the exemption is the
    equalized assessed value of the residence in the taxable
    year for which application is made minus the base amount.
        (2) For an applicant who has a household income
    exceeding $45,000 but not exceeding $46,250, the amount of
    the exemption is (i) the equalized assessed value of the
    residence in the taxable year for which application is made
    minus the base amount (ii) multiplied by 0.8.
        (3) For an applicant who has a household income
    exceeding $46,250 but not exceeding $47,500, the amount of
    the exemption is (i) the equalized assessed value of the
    residence in the taxable year for which application is made
    minus the base amount (ii) multiplied by 0.6.
        (4) For an applicant who has a household income
    exceeding $47,500 but not exceeding $48,750, the amount of
    the exemption is (i) the equalized assessed value of the
    residence in the taxable year for which application is made
    minus the base amount (ii) multiplied by 0.4.
        (5) For an applicant who has a household income
    exceeding $48,750 but not exceeding $50,000, the amount of
    the exemption is (i) the equalized assessed value of the
    residence in the taxable year for which application is made
    minus the base amount (ii) multiplied by 0.2.
    When the applicant is a surviving spouse of an applicant
for a prior year for the same residence for which an exemption
under this Section has been granted, the base year and base
amount for that residence are the same as for the applicant for
the prior year.
    Each year at the time the assessment books are certified to
the County Clerk, the Board of Review or Board of Appeals shall
give to the County Clerk a list of the assessed values of
improvements on each parcel qualifying for this exemption that
were added after the base year for this parcel and that
increased the assessed value of the property.
    In the case of land improved with an apartment building
owned and operated as a cooperative or a building that is a
life care facility that qualifies as a cooperative, the maximum
reduction from the equalized assessed value of the property is
limited to the sum of the reductions calculated for each unit
occupied as a residence by a person or persons (i) 65 years of
age or older, (ii) with a household income that does not exceed
the maximum income limitation, (iii) who is liable, by contract
with the owner or owners of record, for paying real property
taxes on the property, and (iv) who is an owner of record of a
legal or equitable interest in the cooperative apartment
building, other than a leasehold interest. In the instance of a
cooperative where a homestead exemption has been granted under
this Section, the cooperative association or its management
firm shall credit the savings resulting from that exemption
only to the apportioned tax liability of the owner who
qualified for the exemption. Any person who willfully refuses
to credit that savings to an owner who qualifies for the
exemption is guilty of a Class B misdemeanor.
    When a homestead exemption has been granted under this
Section and an applicant then becomes a resident of a facility
licensed under the Assisted Living and Shared Housing Act, the
Nursing Home Care Act, the Specialized Mental Health
Rehabilitation Act, or the ID/DD Community Care Act, the
exemption shall be granted in subsequent years so long as the
residence (i) continues to be occupied by the qualified
applicant's spouse or (ii) if remaining unoccupied, is still
owned by the qualified applicant for the homestead exemption.
    Beginning January 1, 1997, when an individual dies who
would have qualified for an exemption under this Section, and
the surviving spouse does not independently qualify for this
exemption because of age, the exemption under this Section
shall be granted to the surviving spouse for the taxable year
preceding and the taxable year of the death, provided that,
except for age, the surviving spouse meets all other
qualifications for the granting of this exemption for those
years.
    When married persons maintain separate residences, the
exemption provided for in this Section may be claimed by only
one of such persons and for only one residence.
    For taxable year 1994 only, in counties having less than
3,000,000 inhabitants, to receive the exemption, a person shall
submit an application by February 15, 1995 to the Chief County
Assessment Officer of the county in which the property is
located. In counties having 3,000,000 or more inhabitants, for
taxable year 1994 and all subsequent taxable years, to receive
the exemption, a person may submit an application to the Chief
County Assessment Officer of the county in which the property
is located during such period as may be specified by the Chief
County Assessment Officer. The Chief County Assessment Officer
in counties of 3,000,000 or more inhabitants shall annually
give notice of the application period by mail or by
publication. In counties having less than 3,000,000
inhabitants, beginning with taxable year 1995 and thereafter,
to receive the exemption, a person shall submit an application
by July 1 of each taxable year to the Chief County Assessment
Officer of the county in which the property is located. A
county may, by ordinance, establish a date for submission of
applications that is different than July 1. The applicant shall
submit with the application an affidavit of the applicant's
total household income, age, marital status (and if married the
name and address of the applicant's spouse, if known), and
principal dwelling place of members of the household on January
1 of the taxable year. The Department shall establish, by rule,
a method for verifying the accuracy of affidavits filed by
applicants under this Section, and the Chief County Assessment
Officer may conduct audits of any taxpayer claiming an
exemption under this Section to verify that the taxpayer is
eligible to receive the exemption. Each application shall
contain or be verified by a written declaration that it is made
under the penalties of perjury. A taxpayer's signing a
fraudulent application under this Act is perjury, as defined in
Section 32-2 of the Criminal Code of 2012 1961. The
applications shall be clearly marked as applications for the
Senior Citizens Assessment Freeze Homestead Exemption and must
contain a notice that any taxpayer who receives the exemption
is subject to an audit by the Chief County Assessment Officer.
    Notwithstanding any other provision to the contrary, in
counties having fewer than 3,000,000 inhabitants, if an
applicant fails to file the application required by this
Section in a timely manner and this failure to file is due to a
mental or physical condition sufficiently severe so as to
render the applicant incapable of filing the application in a
timely manner, the Chief County Assessment Officer may extend
the filing deadline for a period of 30 days after the applicant
regains the capability to file the application, but in no case
may the filing deadline be extended beyond 3 months of the
original filing deadline. In order to receive the extension
provided in this paragraph, the applicant shall provide the
Chief County Assessment Officer with a signed statement from
the applicant's physician stating the nature and extent of the
condition, that, in the physician's opinion, the condition was
so severe that it rendered the applicant incapable of filing
the application in a timely manner, and the date on which the
applicant regained the capability to file the application.
    Beginning January 1, 1998, notwithstanding any other
provision to the contrary, in counties having fewer than
3,000,000 inhabitants, if an applicant fails to file the
application required by this Section in a timely manner and
this failure to file is due to a mental or physical condition
sufficiently severe so as to render the applicant incapable of
filing the application in a timely manner, the Chief County
Assessment Officer may extend the filing deadline for a period
of 3 months. In order to receive the extension provided in this
paragraph, the applicant shall provide the Chief County
Assessment Officer with a signed statement from the applicant's
physician stating the nature and extent of the condition, and
that, in the physician's opinion, the condition was so severe
that it rendered the applicant incapable of filing the
application in a timely manner.
    In counties having less than 3,000,000 inhabitants, if an
applicant was denied an exemption in taxable year 1994 and the
denial occurred due to an error on the part of an assessment
official, or his or her agent or employee, then beginning in
taxable year 1997 the applicant's base year, for purposes of
determining the amount of the exemption, shall be 1993 rather
than 1994. In addition, in taxable year 1997, the applicant's
exemption shall also include an amount equal to (i) the amount
of any exemption denied to the applicant in taxable year 1995
as a result of using 1994, rather than 1993, as the base year,
(ii) the amount of any exemption denied to the applicant in
taxable year 1996 as a result of using 1994, rather than 1993,
as the base year, and (iii) the amount of the exemption
erroneously denied for taxable year 1994.
    For purposes of this Section, a person who will be 65 years
of age during the current taxable year shall be eligible to
apply for the homestead exemption during that taxable year.
Application shall be made during the application period in
effect for the county of his or her residence.
    The Chief County Assessment Officer may determine the
eligibility of a life care facility that qualifies as a
cooperative to receive the benefits provided by this Section by
use of an affidavit, application, visual inspection,
questionnaire, or other reasonable method in order to insure
that the tax savings resulting from the exemption are credited
by the management firm to the apportioned tax liability of each
qualifying resident. The Chief County Assessment Officer may
request reasonable proof that the management firm has so
credited that exemption.
    Except as provided in this Section, all information
received by the chief county assessment officer or the
Department from applications filed under this Section, or from
any investigation conducted under the provisions of this
Section, shall be confidential, except for official purposes or
pursuant to official procedures for collection of any State or
local tax or enforcement of any civil or criminal penalty or
sanction imposed by this Act or by any statute or ordinance
imposing a State or local tax. Any person who divulges any such
information in any manner, except in accordance with a proper
judicial order, is guilty of a Class A misdemeanor.
    Nothing contained in this Section shall prevent the
Director or chief county assessment officer from publishing or
making available reasonable statistics concerning the
operation of the exemption contained in this Section in which
the contents of claims are grouped into aggregates in such a
way that information contained in any individual claim shall
not be disclosed.
    (d) Each Chief County Assessment Officer shall annually
publish a notice of availability of the exemption provided
under this Section. The notice shall be published at least 60
days but no more than 75 days prior to the date on which the
application must be submitted to the Chief County Assessment
Officer of the county in which the property is located. The
notice shall appear in a newspaper of general circulation in
the county.
    Notwithstanding Sections 6 and 8 of the State Mandates Act,
no reimbursement by the State is required for the
implementation of any mandate created by this Section.
(Source: P.A. 96-339, eff. 7-1-10; 96-355, eff. 1-1-10;
96-1000, eff. 7-2-10; 97-38, eff. 6-28-11; 97-227, eff. 1-1-12;
97-689, eff. 6-14-12; 97-813, eff. 7-13-12.)
 
    (35 ILCS 200/15-177)
    Sec. 15-177. The long-time occupant homestead exemption.
    (a) If the county has elected, under Section 15-176, to be
subject to the provisions of the alternative general homestead
exemption, then, for taxable years 2007 and thereafter,
regardless of whether the exemption under Section 15-176
applies, qualified homestead property is entitled to an annual
homestead exemption equal to a reduction in the property's
equalized assessed value calculated as provided in this
Section.
    (b) As used in this Section:
    "Adjusted homestead value" means the lesser of the
following values:
        (1) The property's base homestead value increased by:
    (i) 10% for each taxable year after the base year through
    and including the current tax year for qualified taxpayers
    with a household income of more than $75,000 but not
    exceeding $100,000; or (ii) 7% for each taxable year after
    the base year through and including the current tax year
    for qualified taxpayers with a household income of $75,000
    or less. The increase each year is an increase over the
    prior year; or
        (2) The property's equalized assessed value for the
    current tax year minus the general homestead deduction.
    "Base homestead value" means:
        (1) if the property did not have an adjusted homestead
    value under Section 15-176 for the base year, then an
    amount equal to the equalized assessed value of the
    property for the base year prior to exemptions, minus the
    general homestead deduction, provided that the property's
    assessment was not based on a reduced assessed value
    resulting from a temporary irregularity in the property for
    that year; or
        (2) if the property had an adjusted homestead value
    under Section 15-176 for the base year, then an amount
    equal to the adjusted homestead value of the property under
    Section 15-176 for the base year.
    "Base year" means the taxable year prior to the taxable
year in which the taxpayer first qualifies for the exemption
under this Section.
    "Current taxable year" means the taxable year for which the
exemption under this Section is being applied.
    "Equalized assessed value" means the property's assessed
value as equalized by the Department.
    "Homestead" or "homestead property" means residential
property that as of January 1 of the tax year is occupied by a
qualified taxpayer as his or her principal dwelling place, or
that is a leasehold interest on which a single family residence
is situated, that is occupied as a residence by a qualified
taxpayer who has a legal or equitable interest therein
evidenced by a written instrument, as an owner or as a lessee,
and on which the person is liable for the payment of property
taxes. Residential units in an apartment building owned and
operated as a cooperative, or as a life care facility, which
are occupied by persons who hold a legal or equitable interest
in the cooperative apartment building or life care facility as
owners or lessees, and who are liable by contract for the
payment of property taxes, are included within this definition
of homestead property. A homestead includes the dwelling place,
appurtenant structures, and so much of the surrounding land
constituting the parcel on which the dwelling place is situated
as is used for residential purposes. If the assessor has
established a specific legal description for a portion of
property constituting the homestead, then the homestead is
limited to the property within that description.
    "Household income" has the meaning set forth under Section
15-172 of this Code.
    "General homestead deduction" means the amount of the
general homestead exemption under Section 15-175.
    "Life care facility" means a facility defined in Section 2
of the Life Care Facilities Act.
    "Qualified homestead property" means homestead property
owned by a qualified taxpayer.
    "Qualified taxpayer" means any individual:
        (1) who, for at least 10 continuous years as of January
    1 of the taxable year, has occupied the same homestead
    property as a principal residence and domicile or who, for
    at least 5 continuous years as of January 1 of the taxable
    year, has occupied the same homestead property as a
    principal residence and domicile if that person received
    assistance in the acquisition of the property as part of a
    government or nonprofit housing program; and
        (2) who has a household income of $100,000 or less.
    (c) The base homestead value must remain constant, except
that the assessor may revise it under any of the following
circumstances:
        (1) If the equalized assessed value of a homestead
    property for the current tax year is less than the previous
    base homestead value for that property, then the current
    equalized assessed value (provided it is not based on a
    reduced assessed value resulting from a temporary
    irregularity in the property) becomes the base homestead
    value in subsequent tax years.
        (2) For any year in which new buildings, structures, or
    other improvements are constructed on the homestead
    property that would increase its assessed value, the
    assessor shall adjust the base homestead value with due
    regard to the value added by the new improvements.
    (d) The amount of the exemption under this Section is the
greater of: (i) the equalized assessed value of the homestead
property for the current tax year minus the adjusted homestead
value; or (ii) the general homestead deduction.
    (e) In the case of an apartment building owned and operated
as a cooperative, or as a life care facility, that contains
residential units that qualify as homestead property of a
qualified taxpayer under this Section, the maximum cumulative
exemption amount attributed to the entire building or facility
shall not exceed the sum of the exemptions calculated for each
unit that is a qualified homestead property. The cooperative
association, management firm, or other person or entity that
manages or controls the cooperative apartment building or life
care facility shall credit the exemption attributable to each
residential unit only to the apportioned tax liability of the
qualified taxpayer as to that unit. Any person who willfully
refuses to so credit the exemption is guilty of a Class B
misdemeanor.
    (f) When married persons maintain separate residences, the
exemption provided under this Section may be claimed by only
one such person and for only one residence. No person who
receives an exemption under Section 15-172 of this Code may
receive an exemption under this Section. No person who receives
an exemption under this Section may receive an exemption under
Section 15-175 or 15-176 of this Code.
    (g) In the event of a sale or other transfer in ownership
of the homestead property between spouses or between a parent
and a child, the exemption under this Section remains in effect
if the new owner has a household income of $100,000 or less.
    (h) In the event of a sale or other transfer in ownership
of the homestead property other than subsection (g) of this
Section, the exemption under this Section shall remain in
effect for the remainder of the tax year and be calculated
using the same base homestead value in which the sale or
transfer occurs.
    (i) To receive the exemption, a person must submit an
application to the county assessor during the period specified
by the county assessor.
    The county assessor shall annually give notice of the
application period by mail or by publication.
    The taxpayer must submit, with the application, an
affidavit of the taxpayer's total household income, marital
status (and if married the name and address of the applicant's
spouse, if known), and principal dwelling place of members of
the household on January 1 of the taxable year. The Department
shall establish, by rule, a method for verifying the accuracy
of affidavits filed by applicants under this Section, and the
Chief County Assessment Officer may conduct audits of any
taxpayer claiming an exemption under this Section to verify
that the taxpayer is eligible to receive the exemption. Each
application shall contain or be verified by a written
declaration that it is made under the penalties of perjury. A
taxpayer's signing a fraudulent application under this Act is
perjury, as defined in Section 32-2 of the Criminal Code of
2012 1961. The applications shall be clearly marked as
applications for the Long-time Occupant Homestead Exemption
and must contain a notice that any taxpayer who receives the
exemption is subject to an audit by the Chief County Assessment
Officer.
    (j) Notwithstanding Sections 6 and 8 of the State Mandates
Act, no reimbursement by the State is required for the
implementation of any mandate created by this Section.
(Source: P.A. 95-644, eff. 10-12-07.)
 
    Section 160. The Coin-Operated Amusement Device and
Redemption Machine Tax Act is amended by changing Section 1 as
follows:
 
    (35 ILCS 510/1)  (from Ch. 120, par. 481b.1)
    Sec. 1. There is imposed, on the privilege of operating
every coin-in-the-slot-operated amusement device, including a
device operated or operable by insertion of coins, tokens,
chips or similar objects, in this State which returns to the
player thereof no money or property or right to receive money
or property, and on the privilege of operating in this State a
redemption machine as defined in Section 28-2 of the Criminal
Code of 2012 1961, an annual privilege tax of $30 for each
device for a period beginning on or after August 1 of any year
and prior to August 1 of the succeeding year.
(Source: P.A. 93-32, eff. 7-1-03.)
 
    Section 165. The Cannabis and Controlled Substances Tax Act
is amended by changing Sections 15 and 19 as follows:
 
    (35 ILCS 520/15)  (from Ch. 120, par. 2165)
    Sec. 15. Lien for Tax.
    (a) In general. The Department shall have a lien for the
tax herein imposed or any portion thereof, or for any penalty
provided for in this Act, or for any amount of interest which
may be due, upon all the real and personal property of any
person assessed with a tax under this Act; however, the lien
shall not be available on property which is the subject of
forfeiture proceedings under the Narcotics Profit Forfeiture
Act or the Criminal Code of 2012 1961 or the Drug Asset
Forfeiture Procedure Act until all forfeiture proceedings are
concluded. Property forfeited shall not be subject to a lien
under this Act.
    (b) Notice of lien. The lien created by assessment shall
terminate unless a notice of lien is filed, as provided in
Section 17 hereof, within 3 years from the date all proceedings
in court for the review of such assessment have terminated or
the time for the taking thereof has expired without such
proceedings being instituted.
(Source: P.A. 88-669, eff. 11-29-94.)
 
    (35 ILCS 520/19)  (from Ch. 120, par. 2169)
    Sec. 19. Release of Liens.
    (a) In general. The Department shall release all or any
portion of the property subject to any lien provided for in
this Act if it determines that the release will not endanger or
jeopardize the collection of the amount secured thereby. The
Department shall release its lien on property which is the
subject of forfeiture proceedings under the Narcotics Profit
Forfeiture Act, the Criminal Code of 2012 1961, or the Drug
Asset Forfeiture Procedure Act until all forfeiture
proceedings are concluded. Property forfeited shall not be
subject to a lien under this Act.
    (b) Judicial determination. If on judicial review the final
judgment of the court is that the taxpayer does not owe some or
all of the amount secured by the lien against him, or that no
jeopardy to the revenue exists, the Department shall release
its lien to the extent of such finding of nonliability, or to
the extent of such finding of no jeopardy to the revenue.
    (c) Payment. The Department shall also release its jeopardy
assessment lien against the taxpayer whenever the tax and
penalty covered by such lien, plus any interest which may be
due, are paid.
    (d) Certificate of release. The Department shall issue a
certificate of complete or partial release of the lien:
        (1) To the extent that the fair market value of any
    property subject to the lien exceeds the amount of the lien
    plus the amount of all prior liens upon such property;
        (2) To the extent that such lien shall become
    unenforceable;
        (3) To the extent that the amount of such lien is paid
    by the person whose property is subject to such lien,
    together with any interest and penalty which may become due
    under this Act between the date when the notice of lien is
    filed and the date when the amount of such lien is paid;
        (4) To the extent and under the circumstances specified
    in this Section. A certificate of complete or partial
    release of any lien shall be held conclusive that the lien
    upon the property covered by the certificate is
    extinguished to the extent indicated by such certificate.
    Such release of lien shall be issued to the person, or his
agent, against whom the lien was obtained and shall contain in
legible letters a statement as follows:
    FOR THE PROTECTION OF THE OWNER, THIS RELEASE SHALL
    BE FILED WITH THE RECORDER OR THE REGISTRAR
    OF TITLES, IN WHOSE OFFICE, THE LIEN WAS FILED.
    (e) Filing. When a certificate of complete or partial
release of lien issued by the Department is presented for
filing in the office of the recorder or Registrar of Titles
where a notice of lien or notice of jeopardy assessment lien
was filed:
        (1) The recorder, in the case of nonregistered
    property, shall permanently attach the certificate of
    release to the notice of lien or notice of jeopardy
    assessment lien and shall enter the certificate of release
    and the date in the "State Tax Lien Index" on the line
    where the notice of lien or notice of jeopardy assessment
    lien is entered; and
        (2) In the case of registered property, the Registrar
    of Titles shall file and enter upon each folium of the
    register of titles affected thereby a memorial of the
    certificate of release which memorial when so entered shall
    act as a release pro tanto of any memorial of such notice
    of lien or notice of jeopardy assessment lien previously
    filed and registered.
(Source: P.A. 88-669, eff. 11-29-94.)
 
    Section 170. The Public Officer Prohibited Activities Act
is amended by changing Section 4.5 as follows:
 
    (50 ILCS 105/4.5)
    Sec. 4.5. False verification; perjury. A person is guilty
of perjury who:
        (1) In swearing on oath or otherwise affirming a
    statement in writing as required under this Act, knowingly
    makes a false statement as to, or knowingly omits a
    material fact relating to, the identification of an
    individual or entity that has an ownership interest in real
    property, or that is material to an issue or point in
    question in the written disclosure pertaining to a contract
    for the ownership or use of real property.
        (2) Having taken a lawful oath or made affirmation,
    testifies willfully and falsely as to any of those matters
    for the purpose of inducing the State or any local
    governmental unit or any agency of either to enter into a
    contract for the ownership or use of real property.
        (3) Suborns any other person to so swear, affirm, or
    testify.
    Upon conviction of perjury, a person shall be sentenced as
provided in Section 32-2 or 32-3, respectively, of the Criminal
Code of 2012 1961 for those offenses.
    This Section applies to written statements made or
testimony given on or after the effective date of this
amendatory Act of 1995.
(Source: P.A. 89-91, eff. 6-30-95.)
 
    Section 175. The Illinois Police Training Act is amended by
changing Sections 6 and 6.1 as follows:
 
    (50 ILCS 705/6)  (from Ch. 85, par. 506)
    Sec. 6. Selection and certification of schools. The Board
shall select and certify schools within the State of Illinois
for the purpose of providing basic training for probationary
police officers, probationary county corrections officers, and
court security officers and of providing advanced or in-service
training for permanent police officers or permanent county
corrections officers, which schools may be either publicly or
privately owned and operated. In addition, the Board has the
following power and duties:
        a. To require local governmental units to furnish such
    reports and information as the Board deems necessary to
    fully implement this Act.
        b. To establish appropriate mandatory minimum
    standards relating to the training of probationary local
    law enforcement officers or probationary county
    corrections officers.
        c. To provide appropriate certification to those
    probationary officers who successfully complete the
    prescribed minimum standard basic training course.
        d. To review and approve annual training curriculum for
    county sheriffs.
        e. To review and approve applicants to ensure no
    applicant is admitted to a certified academy unless the
    applicant is a person of good character and has not been
    convicted of a felony offense, any of the misdemeanors in
    Sections 11-1.50, 11-6, 11-9.1, 11-14, 11-17, 11-19, 12-2,
    12-15, 16-1, 17-1, 17-2, 28-3, 29-1, 31-1, 31-6, 31-7,
    32-4a, or 32-7 of the Criminal Code of 1961 or the Criminal
    Code of 2012, subdivision (a)(1) or (a)(2)(C) of Section
    11-14.3 of the Criminal Code of 1961 or the Criminal Code
    of 2012, or subsection (a) of Section 17-32 of the Criminal
    Code of 1961 or the Criminal Code of 2012, or Section 5 or
    5.2 of the Cannabis Control Act, or a crime involving moral
    turpitude under the laws of this State or any other state
    which if committed in this State would be punishable as a
    felony or a crime of moral turpitude. The Board may appoint
    investigators who shall enforce the duties conferred upon
    the Board by this Act.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (50 ILCS 705/6.1)
    Sec. 6.1. Decertification of full-time and part-time
police officers.
    (a) The Board must review police officer conduct and
records to ensure that no police officer is certified or
provided a valid waiver if that police officer has been
convicted of a felony offense under the laws of this State or
any other state which if committed in this State would be
punishable as a felony. The Board must also ensure that no
police officer is certified or provided a valid waiver if that
police officer has been convicted on or after the effective
date of this amendatory Act of 1999 of any misdemeanor
specified in this Section or if committed in any other state
would be an offense similar to Section 11-1.50, 11-6, 11-9.1,
11-14, 11-17, 11-19, 12-2, 12-15, 16-1, 17-1, 17-2, 28-3, 29-1,
31-1, 31-6, 31-7, 32-4a, or 32-7 of the Criminal Code of 1961
or the Criminal Code of 2012, to subdivision (a)(1) or
(a)(2)(C) of Section 11-14.3 of the Criminal Code of 1961 or
the Criminal Code of 2012, or subsection (a) of Section 17-32
of the Criminal Code of 1961 or the Criminal Code of 2012, or
to Section 5 or 5.2 of the Cannabis Control Act. The Board must
appoint investigators to enforce the duties conferred upon the
Board by this Act.
    (b) It is the responsibility of the sheriff or the chief
executive officer of every local law enforcement agency or
department within this State to report to the Board any arrest
or conviction of any officer for an offense identified in this
Section.
    (c) It is the duty and responsibility of every full-time
and part-time police officer in this State to report to the
Board within 30 days, and the officer's sheriff or chief
executive officer, of his or her arrest or conviction for an
offense identified in this Section. Any full-time or part-time
police officer who knowingly makes, submits, causes to be
submitted, or files a false or untruthful report to the Board
must have his or her certificate or waiver immediately
decertified or revoked.
    (d) Any person, or a local or State agency, or the Board is
immune from liability for submitting, disclosing, or releasing
information of arrests or convictions in this Section as long
as the information is submitted, disclosed, or released in good
faith and without malice. The Board has qualified immunity for
the release of the information.
    (e) Any full-time or part-time police officer with a
certificate or waiver issued by the Board who is convicted of
any offense described in this Section immediately becomes
decertified or no longer has a valid waiver. The
decertification and invalidity of waivers occurs as a matter of
law. Failure of a convicted person to report to the Board his
or her conviction as described in this Section or any continued
law enforcement practice after receiving a conviction is a
Class 4 felony.
    (f) The Board's investigators are peace officers and have
all the powers possessed by policemen in cities and by
sheriff's, provided that the investigators may exercise those
powers anywhere in the State, only after contact and
cooperation with the appropriate local law enforcement
authorities.
    (g) The Board must request and receive information and
assistance from any federal, state, or local governmental
agency as part of the authorized criminal background
investigation. The Department of State Police must process,
retain, and additionally provide and disseminate information
to the Board concerning criminal charges, arrests,
convictions, and their disposition, that have been filed
before, on, or after the effective date of this amendatory Act
of the 91st General Assembly against a basic academy applicant,
law enforcement applicant, or law enforcement officer whose
fingerprint identification cards are on file or maintained by
the Department of State Police. The Federal Bureau of
Investigation must provide the Board any criminal history
record information contained in its files pertaining to law
enforcement officers or any applicant to a Board certified
basic law enforcement academy as described in this Act based on
fingerprint identification. The Board must make payment of fees
to the Department of State Police for each fingerprint card
submission in conformance with the requirements of paragraph 22
of Section 55a of the Civil Administrative Code of Illinois.
    (h) A police officer who has been certified or granted a
valid waiver shall also be decertified or have his or her
waiver revoked upon a determination by the Illinois Labor
Relations Board State Panel that he or she, while under oath,
has knowingly and willfully made false statements as to a
material fact going to an element of the offense of murder. If
an appeal is filed, the determination shall be stayed.
        (1) In the case of an acquittal on a charge of murder,
    a verified complaint may be filed:
            (A) by the defendant; or
            (B) by a police officer with personal knowledge of
        perjured testimony.
        The complaint must allege that a police officer, while
    under oath, knowingly and willfully made false statements
    as to a material fact going to an element of the offense of
    murder. The verified complaint must be filed with the
    Executive Director of the Illinois Law Enforcement
    Training Standards Board within 2 years of the judgment of
    acquittal.
        (2) Within 30 days, the Executive Director of the
    Illinois Law Enforcement Training Standards Board shall
    review the verified complaint and determine whether the
    verified complaint is frivolous and without merit, or
    whether further investigation is warranted. The Illinois
    Law Enforcement Training Standards Board shall notify the
    officer and the Executive Director of the Illinois Labor
    Relations Board State Panel of the filing of the complaint
    and any action taken thereon. If the Executive Director of
    the Illinois Law Enforcement Training Standards Board
    determines that the verified complaint is frivolous and
    without merit, it shall be dismissed. The Executive
    Director of the Illinois Law Enforcement Training
    Standards Board has sole discretion to make this
    determination and this decision is not subject to appeal.
    (i) If the Executive Director of the Illinois Law
Enforcement Training Standards Board determines that the
verified complaint warrants further investigation, he or she
shall refer the matter to a task force of investigators created
for this purpose. This task force shall consist of 8 sworn
police officers: 2 from the Illinois State Police, 2 from the
City of Chicago Police Department, 2 from county police
departments, and 2 from municipal police departments. These
investigators shall have a minimum of 5 years of experience in
conducting criminal investigations. The investigators shall be
appointed by the Executive Director of the Illinois Law
Enforcement Training Standards Board. Any officer or officers
acting in this capacity pursuant to this statutory provision
will have statewide police authority while acting in this
investigative capacity. Their salaries and expenses for the
time spent conducting investigations under this paragraph
shall be reimbursed by the Illinois Law Enforcement Training
Standards Board.
    (j) Once the Executive Director of the Illinois Law
Enforcement Training Standards Board has determined that an
investigation is warranted, the verified complaint shall be
assigned to an investigator or investigators. The investigator
or investigators shall conduct an investigation of the verified
complaint and shall write a report of his or her findings. This
report shall be submitted to the Executive Director of the
Illinois Labor Relations Board State Panel.
    Within 30 days, the Executive Director of the Illinois
Labor Relations Board State Panel shall review the
investigative report and determine whether sufficient evidence
exists to conduct an evidentiary hearing on the verified
complaint. If the Executive Director of the Illinois Labor
Relations Board State Panel determines upon his or her review
of the investigatory report that a hearing should not be
conducted, the complaint shall be dismissed. This decision is
in the Executive Director's sole discretion, and this dismissal
may not be appealed.
    If the Executive Director of the Illinois Labor Relations
Board State Panel determines that there is sufficient evidence
to warrant a hearing, a hearing shall be ordered on the
verified complaint, to be conducted by an administrative law
judge employed by the Illinois Labor Relations Board State
Panel. The Executive Director of the Illinois Labor Relations
Board State Panel shall inform the Executive Director of the
Illinois Law Enforcement Training Standards Board and the
person who filed the complaint of either the dismissal of the
complaint or the issuance of the complaint for hearing. The
Executive Director shall assign the complaint to the
administrative law judge within 30 days of the decision
granting a hearing.
    (k) In the case of a finding of guilt on the offense of
murder, if a new trial is granted on direct appeal, or a state
post-conviction evidentiary hearing is ordered, based on a
claim that a police officer, under oath, knowingly and
willfully made false statements as to a material fact going to
an element of the offense of murder, the Illinois Labor
Relations Board State Panel shall hold a hearing to determine
whether the officer should be decertified if an interested
party requests such a hearing within 2 years of the court's
decision. The complaint shall be assigned to an administrative
law judge within 30 days so that a hearing can be scheduled.
    At the hearing, the accused officer shall be afforded the
opportunity to:
        (1) Be represented by counsel of his or her own
    choosing;
        (2) Be heard in his or her own defense;
        (3) Produce evidence in his or her defense;
        (4) Request that the Illinois Labor Relations Board
    State Panel compel the attendance of witnesses and
    production of related documents including but not limited
    to court documents and records.
    Once a case has been set for hearing, the verified
complaint shall be referred to the Department of Professional
Regulation. That office shall prosecute the verified complaint
at the hearing before the administrative law judge. The
Department of Professional Regulation shall have the
opportunity to produce evidence to support the verified
complaint and to request the Illinois Labor Relations Board
State Panel to compel the attendance of witnesses and the
production of related documents, including, but not limited to,
court documents and records. The Illinois Labor Relations Board
State Panel shall have the power to issue subpoenas requiring
the attendance of and testimony of witnesses and the production
of related documents including, but not limited to, court
documents and records and shall have the power to administer
oaths.
    The administrative law judge shall have the responsibility
of receiving into evidence relevant testimony and documents,
including court records, to support or disprove the allegations
made by the person filing the verified complaint and, at the
close of the case, hear arguments. If the administrative law
judge finds that there is not clear and convincing evidence to
support the verified complaint that the police officer has,
while under oath, knowingly and willfully made false statements
as to a material fact going to an element of the offense of
murder, the administrative law judge shall make a written
recommendation of dismissal to the Illinois Labor Relations
Board State Panel. If the administrative law judge finds that
there is clear and convincing evidence that the police officer
has, while under oath, knowingly and willfully made false
statements as to a material fact that goes to an element of the
offense of murder, the administrative law judge shall make a
written recommendation so concluding to the Illinois Labor
Relations Board State Panel. The hearings shall be transcribed.
The Executive Director of the Illinois Law Enforcement Training
Standards Board shall be informed of the administrative law
judge's recommended findings and decision and the Illinois
Labor Relations Board State Panel's subsequent review of the
recommendation.
    (l) An officer named in any complaint filed pursuant to
this Act shall be indemnified for his or her reasonable
attorney's fees and costs by his or her employer. These fees
shall be paid in a regular and timely manner. The State, upon
application by the public employer, shall reimburse the public
employer for the accused officer's reasonable attorney's fees
and costs. At no time and under no circumstances will the
accused officer be required to pay his or her own reasonable
attorney's fees or costs.
    (m) The accused officer shall not be placed on unpaid
status because of the filing or processing of the verified
complaint until there is a final non-appealable order
sustaining his or her guilt and his or her certification is
revoked. Nothing in this Act, however, restricts the public
employer from pursuing discipline against the officer in the
normal course and under procedures then in place.
    (n) The Illinois Labor Relations Board State Panel shall
review the administrative law judge's recommended decision and
order and determine by a majority vote whether or not there was
clear and convincing evidence that the accused officer, while
under oath, knowingly and willfully made false statements as to
a material fact going to the offense of murder. Within 30 days
of service of the administrative law judge's recommended
decision and order, the parties may file exceptions to the
recommended decision and order and briefs in support of their
exceptions with the Illinois Labor Relations Board State Panel.
The parties may file responses to the exceptions and briefs in
support of the responses no later than 15 days after the
service of the exceptions. If exceptions are filed by any of
the parties, the Illinois Labor Relations Board State Panel
shall review the matter and make a finding to uphold, vacate,
or modify the recommended decision and order. If the Illinois
Labor Relations Board State Panel concludes that there is clear
and convincing evidence that the accused officer, while under
oath, knowingly and willfully made false statements as to a
material fact going to an element of the offense murder, the
Illinois Labor Relations Board State Panel shall inform the
Illinois Law Enforcement Training Standards Board and the
Illinois Law Enforcement Training Standards Board shall revoke
the accused officer's certification. If the accused officer
appeals that determination to the Appellate Court, as provided
by this Act, he or she may petition the Appellate Court to stay
the revocation of his or her certification pending the court's
review of the matter.
    (o) None of the Illinois Labor Relations Board State
Panel's findings or determinations shall set any precedent in
any of its decisions decided pursuant to the Illinois Public
Labor Relations Act by the Illinois Labor Relations Board State
Panel or the courts.
    (p) A party aggrieved by the final order of the Illinois
Labor Relations Board State Panel may apply for and obtain
judicial review of an order of the Illinois Labor Relations
Board State Panel, in accordance with the provisions of the
Administrative Review Law, except that such judicial review
shall be afforded directly in the Appellate Court for the
district in which the accused officer resides. Any direct
appeal to the Appellate Court shall be filed within 35 days
from the date that a copy of the decision sought to be reviewed
was served upon the party affected by the decision.
    (q) Interested parties. Only interested parties to the
criminal prosecution in which the police officer allegedly,
while under oath, knowingly and willfully made false statements
as to a material fact going to an element of the offense of
murder may file a verified complaint pursuant to this Section.
For purposes of this Section, "interested parties" shall be
limited to the defendant and any police officer who has
personal knowledge that the police officer who is the subject
of the complaint has, while under oath, knowingly and willfully
made false statements as to a material fact going to an element
of the offense of murder.
    (r) Semi-annual reports. The Executive Director of the
Illinois Labor Relations Board shall submit semi-annual
reports to the Governor, President, and Minority Leader of the
Senate, and to the Speaker and Minority Leader of the House of
Representatives beginning on June 30, 2004, indicating:
        (1) the number of verified complaints 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 hearings held since the date of the
    last report; and
        (6) the number of officers decertified since the date
    of the last report.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 180. The Peace Officer Firearm Training Act is
amended by changing Section 2 as follows:
 
    (50 ILCS 710/2)  (from Ch. 85, par. 516)
    Sec. 2. Training course for peace officers.
    (a) Successful completion of a 40 hour course of training
in use of a suitable type firearm shall be a condition
precedent to the possession and use of that respective firearm
by any peace officer in this State in connection with the
officer's official duties. The training must be approved by the
Illinois Law Enforcement Training Standards Board ("the
Board") and may be given in logical segments but must be
completed within 6 months from the date of the officer's
initial employment. To satisfy the requirements of this Act,
the training must include the following:
        (1) Instruction in the dangers of misuse of the
    firearm, safety rules, and care and cleaning of the
    firearm.
        (2) Practice firing on a range and qualification with
    the firearm in accordance with the standards established by
    the Board.
        (3) Instruction in the legal use of firearms under the
    Criminal Code of 2012 1961 and relevant court decisions.
        (4) A forceful presentation of the ethical and moral
    considerations assumed by any person who uses a firearm.
    (b) Any officer who successfully completes the Basic
Training Course prescribed for recruits by the Board shall be
presumed to have satisfied the requirements of this Act.
    (c) The Board shall cause the training courses to be
conducted twice each year within each of the Mobile Team
Regions, but no training course need be held when there are no
police officers requiring the training.
    (d) (Blank).
    (e) The Board may waive, or may conditionally waive, the 40
hour course of training if, in the Board's opinion, the officer
has previously successfully completed a course of similar
content and duration. In cases of waiver, the officer shall
demonstrate his or her knowledge and proficiency by passing the
written examination on firearms and by successfully passing the
range qualification portion of the prescribed course of
training.
(Source: P.A. 94-984, eff. 6-30-06.)
 
    Section 185. The Uniform Peace Officers' Disciplinary Act
is amended by changing Sections 2 and 5 as follows:
 
    (50 ILCS 725/2)  (from Ch. 85, par. 2552)
    Sec. 2. For the purposes of this Act, unless clearly
required otherwise, the terms defined in this Section have the
meaning ascribed herein:
    (a) "Officer" means any peace officer, as defined by
Section 2-13 of the Criminal Code of 2012 1961, as now or
hereafter amended, who is employed by any unit of local
government or a State college or university, including
supervisory and command personnel, and any pay-grade
investigator for the Secretary of State as defined in Section
14-110 of the Illinois Pension Code, including Secretary of
State sergeants, lieutenants, commanders, and investigator
trainees. The term does not include crossing guards, parking
enforcement personnel, traffic wardens or employees of any
State's Attorney's office.
    (b) "Informal inquiry" means a meeting by supervisory or
command personnel with an officer upon whom an allegation of
misconduct has come to the attention of such supervisory or
command personnel, the purpose of which meeting is to mediate a
citizen complaint or discuss the facts to determine whether a
formal investigation should be commenced.
    (c) "Formal investigation" means the process of
investigation ordered by a commanding officer during which the
questioning of an officer is intended to gather evidence of
misconduct which may be the basis for filing charges seeking
his or her removal, discharge or suspension in excess of 3
days.
    (d) "Interrogation" means the questioning of an officer
pursuant to the formal investigation procedures of the
respective State agency or local governmental unit in
connection with an alleged violation of such agency's or unit's
rules which may be the basis for filing charges seeking his or
her suspension, removal, or discharge. The term does not
include questioning (1) as part of an informal inquiry or (2)
relating to minor infractions of agency rules which may be
noted on the officer's record but which may not in themselves
result in removal, discharge or suspension in excess of 3 days.
    (e) "Administrative proceeding" means any non-judicial
hearing which is authorized to recommend, approve or order the
suspension, removal, or discharge of an officer.
(Source: P.A. 95-293, eff. 1-1-08.)
 
    (50 ILCS 725/5)  (from Ch. 85, par. 2566)
    Sec. 5. This Act does not apply to any officer charged with
violating any provisions of the Criminal Code of 1961, the
Criminal Code of 2012, or any other federal, State, or local
criminal law.
(Source: P.A. 83-981.)
 
    Section 190. The Firemen's Disciplinary Act is amended by
changing Section 5 as follows:
 
    (50 ILCS 745/5)  (from Ch. 85, par. 2516)
    Sec. 5. This Act does not apply to any fireman charged with
violating any provisions of the Criminal Code of 1961, the
Criminal Code of 2012, or any other federal, State, or local
criminal law.
(Source: P.A. 83-783.)
 
    Section 195. The Emergency Telephone System Act is amended
by changing Sections 6 and 15.2 as follows:
 
    (50 ILCS 750/6)  (from Ch. 134, par. 36)
    Sec. 6. Capabilities of system; pay telephones. All systems
shall be designed to meet the specific requirements of each
community and public agency served by the system. Every system,
whether basic or sophisticated, shall be designed to have the
capability of utilizing at least 1 of the methods specified in
Sections 2.03 through 2.06, in response to emergency calls. The
General Assembly finds and declares that the most critical
aspect of the design of any system is the procedure established
for handling a telephone request for emergency services.
    In addition, to maximize efficiency and utilization of the
system, all pay telephones within each system shall, within 3
years after the implementation date or by December 31, 1985,
whichever is later, enable a caller to dial "9-1-1" for
emergency services without the necessity of inserting a coin.
This paragraph does not apply to pay telephones located in
penal institutions, as defined in Section 2-14 of the Criminal
Code of 2012 1961, that have been designated for the exclusive
use of committed persons.
(Source: P.A. 91-518, eff. 8-13-99.)
 
    (50 ILCS 750/15.2)  (from Ch. 134, par. 45.2)
    Sec. 15.2. Any person calling the number "911" for the
purpose of making a false alarm or complaint and reporting
false information is subject to the provisions of Section 26-1
of the Criminal Code of 2012 1961.
(Source: P.A. 92-502, eff. 12-19-01.)
 
    Section 200. The Counties Code is amended by changing
Sections 3-9005, 3-9007, 4-2002, 5-1103, and 5-1117 as follows:
 
    (55 ILCS 5/3-9005)  (from Ch. 34, par. 3-9005)
    Sec. 3-9005. Powers and duties of State's attorney.
    (a) The duty of each State's attorney shall be:
        (1) To commence and prosecute all actions, suits,
    indictments and prosecutions, civil and criminal, in the
    circuit court for his county, in which the people of the
    State or county may be concerned.
        (2) To prosecute all forfeited bonds and
    recognizances, and all actions and proceedings for the
    recovery of debts, revenues, moneys, fines, penalties and
    forfeitures accruing to the State or his county, or to any
    school district or road district in his county; also, to
    prosecute all suits in his county against railroad or
    transportation companies, which may be prosecuted in the
    name of the People of the State of Illinois.
        (3) To commence and prosecute all actions and
    proceedings brought by any county officer in his official
    capacity.
        (4) To defend all actions and proceedings brought
    against his county, or against any county or State officer,
    in his official capacity, within his county.
        (5) To attend the examination of all persons brought
    before any judge on habeas corpus, when the prosecution is
    in his county.
        (6) To attend before judges and prosecute charges of
    felony or misdemeanor, for which the offender is required
    to be recognized to appear before the circuit court, when
    in his power so to do.
        (7) To give his opinion, without fee or reward, to any
    county officer in his county, upon any question or law
    relating to any criminal or other matter, in which the
    people or the county may be concerned.
        (8) To assist the attorney general whenever it may be
    necessary, and in cases of appeal from his county to the
    Supreme Court, to which it is the duty of the attorney
    general to attend, he shall furnish the attorney general at
    least 10 days before such is due to be filed, a manuscript
    of a proposed statement, brief and argument to be printed
    and filed on behalf of the people, prepared in accordance
    with the rules of the Supreme Court. However, if such
    brief, argument or other document is due to be filed by law
    or order of court within this 10 day period, then the
    State's attorney shall furnish such as soon as may be
    reasonable.
        (9) To pay all moneys received by him in trust, without
    delay, to the officer who by law is entitled to the custody
    thereof.
        (10) To notify, by first class mail, complaining
    witnesses of the ultimate disposition of the cases arising
    from an indictment or an information.
        (11) To perform such other and further duties as may,
    from time to time, be enjoined on him by law.
        (12) To appear in all proceedings by collectors of
    taxes against delinquent taxpayers for judgments to sell
    real estate, and see that all the necessary preliminary
    steps have been legally taken to make the judgment legal
    and binding.
        (13) To notify, by first-class mail, the State
    Superintendent of Education, the applicable regional
    superintendent of schools, and the superintendent of the
    employing school district or the chief school
    administrator of the employing nonpublic school, if any,
    upon the conviction of any individual known to possess a
    certificate or license issued pursuant to Article 21 or
    21B, respectively, of the School Code of any offense set
    forth in Section 21B-80 of the School Code or any other
    felony conviction, providing the name of the certificate
    holder, the fact of the conviction, and the name and
    location of the court where the conviction occurred. The
    certificate holder must also be contemporaneously sent a
    copy of the notice.
    (b) The State's Attorney of each county shall have
authority to appoint one or more special investigators to serve
subpoenas, make return of process and conduct investigations
which assist the State's Attorney in the performance of his
duties. A special investigator shall not carry firearms except
with permission of the State's Attorney and only while carrying
appropriate identification indicating his employment and in
the performance of his assigned duties.
    Subject to the qualifications set forth in this subsection,
special investigators shall be peace officers and shall have
all the powers possessed by investigators under the State's
Attorneys Appellate Prosecutor's Act.
    No special investigator employed by the State's Attorney
shall have peace officer status or exercise police powers
unless he or she successfully completes the basic police
training course mandated and approved by the Illinois Law
Enforcement Training Standards Board or such board waives the
training requirement by reason of the special investigator's
prior law enforcement experience or training or both. Any
State's Attorney appointing a special investigator shall
consult with all affected local police agencies, to the extent
consistent with the public interest, if the special
investigator is assigned to areas within that agency's
jurisdiction.
    Before a person is appointed as a special investigator, his
fingerprints shall be taken and transmitted to the Department
of State Police. The Department shall examine its records and
submit to the State's Attorney of the county in which the
investigator seeks appointment any conviction information
concerning the person on file with the Department. No person
shall be appointed as a special investigator if he has been
convicted of a felony or other offense involving moral
turpitude. A special investigator shall be paid a salary and be
reimbursed for actual expenses incurred in performing his
assigned duties. The county board shall approve the salary and
actual expenses and appropriate the salary and expenses in the
manner prescribed by law or ordinance.
    (c) The State's Attorney may request and receive from
employers, labor unions, telephone companies, and utility
companies location information concerning putative fathers and
noncustodial parents for the purpose of establishing a child's
paternity or establishing, enforcing, or modifying a child
support obligation. In this subsection, "location information"
means information about (i) the physical whereabouts of a
putative father or noncustodial parent, (ii) the putative
father or noncustodial parent's employer, or (iii) the salary,
wages, and other compensation paid and the health insurance
coverage provided to the putative father or noncustodial parent
by the employer of the putative father or noncustodial parent
or by a labor union of which the putative father or
noncustodial parent is a member.
    (d) For each State fiscal year, the State's Attorney of
Cook County shall appear before the General Assembly and
request appropriations to be made from the Capital Litigation
Trust Fund to the State Treasurer for the purpose of providing
assistance in the prosecution of capital cases in Cook County
and for the purpose of providing assistance to the State in
post-conviction proceedings in capital cases under Article 122
of the Code of Criminal Procedure of 1963 and in relation to
petitions filed under Section 2-1401 of the Code of Civil
Procedure in relation to capital cases. The State's Attorney
may appear before the General Assembly at other times during
the State's fiscal year to request supplemental appropriations
from the Trust Fund to the State Treasurer.
    (e) The State's Attorney shall have the authority to enter
into a written agreement with the Department of Revenue for
pursuit of civil liability under subsection (E) of Section 17-1
of the Criminal Code of 2012 1961 against persons who have
issued to the Department checks or other orders in violation of
the provisions of paragraph (1) of subsection (B) of Section
17-1 of the Criminal Code of 2012 1961, with the Department to
retain the amount owing upon the dishonored check or order
along with the dishonored check fee imposed under the Uniform
Penalty and Interest Act, with the balance of damages, fees,
and costs collected under subsection (E) of Section 17-1 of the
Criminal Code of 2012 1961 or under Section 17-1a of that Code
to be retained by the State's Attorney. The agreement shall not
affect the allocation of fines and costs imposed in any
criminal prosecution.
(Source: P.A. 96-431, eff. 8-13-09; 96-1551, eff. 7-1-11;
97-607, eff. 8-26-11.)
 
    (55 ILCS 5/3-9007)  (from Ch. 34, par. 3-9007)
    Sec. 3-9007. Home rule unit liquor tax ordinance;
prosecutions. Where any county, municipality or other unit of
local government has adopted any ordinance or other regulation
imposing a tax upon the privilege of engaging in business as a
manufacturer, importing distributor, retailer or distributor
of beer, alcohol or other spirits, pursuant to its home rule
powers under Article VII, Section 6 of the Constitution of the
State of Illinois, nothing shall prohibit a State's attorney
from prosecuting any offense under the Criminal Code of 1961 or
the Criminal Code of 2012 which may also constitute a violation
of the applicable ordinance or regulation.
(Source: P.A. 86-962.)
 
    (55 ILCS 5/4-2002)  (from Ch. 34, par. 4-2002)
    Sec. 4-2002. State's attorney fees in counties under
3,000,000 population. This Section applies only to counties
with fewer than 3,000,000 inhabitants.
    (a) State's attorneys shall be entitled to the following
fees, however, the fee requirement of this subsection does not
apply to county boards:
    For each conviction in prosecutions on indictments for
first degree murder, second degree murder, involuntary
manslaughter, criminal sexual assault, aggravated criminal
sexual assault, aggravated criminal sexual abuse, kidnapping,
arson and forgery, $30. All other cases punishable by
imprisonment in the penitentiary, $30.
    For each conviction in other cases tried before judges of
the circuit court, $15; except that if the conviction is in a
case which may be assigned to an associate judge, whether or
not it is in fact assigned to an associate judge, the fee shall
be $10.
    For preliminary examinations for each defendant held to
bail or recognizance, $10.
    For each examination of a party bound over to keep the
peace, $10.
    For each defendant held to answer in a circuit court on a
charge of paternity, $10.
    For each trial on a charge of paternity, $30.
    For each case of appeal taken from his county or from the
county to which a change of venue is taken to his county to the
Supreme or Appellate Court when prosecuted or defended by him,
$50.
    For each day actually employed in the trial of a case, $25;
in which case the court before whom the case is tried shall
make an order specifying the number of days for which a per
diem shall be allowed.
    For each day actually employed in the trial of cases of
felony arising in their respective counties and taken by change
of venue to another county, $25; and the court before whom the
case is tried shall make an order specifying the number of days
for which said per diem shall be allowed; and it is hereby made
the duty of each State's attorney to prepare and try each case
of felony arising when so taken by change of venue.
    For assisting in a trial of each case on an indictment for
felony brought by change of venue to their respective counties,
the same fees they would be entitled to if such indictment had
been found for an offense committed in his county, and it shall
be the duty of the State's attorney of the county to which such
cause is taken by change of venue to assist in the trial
thereof.
    For each case of forfeited recognizance where the
forfeiture is set aside at the instance of the defense, in
addition to the ordinary costs, $10 for each defendant.
    For each proceeding in a circuit court to inquire into the
alleged mental illness of any person, $10 for each defendant.
    For each proceeding in a circuit court to inquire into the
alleged dependency or delinquency of any child, $10.
    For each day actually employed in the hearing of a case of
habeas corpus in which the people are interested, $25.
    For each violation of the Criminal Code of 1961 or the
Criminal Code of 2012 and the Illinois Vehicle Code in which a
defendant has entered a plea of guilty or a defendant has
stipulated to the facts supporting the charge or a finding of
guilt and the court has entered an order of supervision, $10.
    State's attorneys shall be entitled to a $2 fee to be paid
by the defendant on a judgment of guilty or a grant of
supervision for a violation of any provision of the Illinois
Vehicle Code or any felony, misdemeanor, or petty offense to
discharge the expenses of the State's Attorney's office for
establishing and maintaining automated record keeping systems.
The fee shall be remitted monthly to the county treasurer, to
be deposited by him or her into a special fund designated as
the State's Attorney Records Automation Fund. Expenditures
from this fund may be made by the State's Attorney for
hardware, software, research, and development costs and
personnel related thereto.
    All the foregoing fees shall be taxed as costs to be
collected from the defendant, if possible, upon conviction. But
in cases of inquiry into the mental illness of any person
alleged to be mentally ill, in cases on a charge of paternity
and in cases of appeal in the Supreme or Appellate Court, where
judgment is in favor of the accused, the fees allowed the
State's attorney therein shall be retained out of the fines and
forfeitures collected by them in other cases.
    Ten per cent of all moneys except revenue, collected by
them and paid over to the authorities entitled thereto, which
per cent together with the fees provided for herein that are
not collected from the parties tried or examined, shall be paid
out of any fines and forfeited recognizances collected by them,
provided however, that in proceedings to foreclose the lien of
delinquent real estate taxes State's attorneys shall receive a
fee, to be credited to the earnings of their office, of 10% of
the total amount realized from the sale of real estate sold in
such proceedings. Such fees shall be paid from the total amount
realized from the sale of the real estate sold in such
proceedings.
    State's attorneys shall have a lien for their fees on all
judgments for fines or forfeitures procured by them and on
moneys except revenue received by them until such fees and
earnings are fully paid.
    No fees shall be charged on more than 10 counts in any one
indictment or information on trial and conviction; nor on more
than 10 counts against any one defendant on pleas of guilty.
    The Circuit Court may direct that of all monies received,
by restitution or otherwise, which monies are ordered paid to
the Department of Healthcare and Family Services (formerly
Department of Public Aid) or the Department of Human Services
(acting as successor to the Department of Public Aid under the
Department of Human Services Act) as a direct result of the
efforts of the State's attorney and which payments arise from
Civil or Criminal prosecutions involving the Illinois Public
Aid Code or the Criminal Code, the following amounts shall be
paid quarterly by the Department of Healthcare and Family
Services or the Department of Human Services to the General
Corporate Fund of the County in which the prosecution or cause
of action took place:
        (1) where the monies result from child support
    obligations, not more than 25% of the federal share of the
    monies received,
        (2) where the monies result from other than child
    support obligations, not more than 25% of the State's share
    of the monies received.
    In addition to any other amounts to which State's Attorneys
are entitled under this Section, State's Attorneys are entitled
to $10 of the fine that is imposed under Section 5-9-1.17 of
the Unified Code of Corrections, as set forth in that Section.
    (b) A municipality shall be entitled to a $25 prosecution
fee for each conviction for a violation of the Illinois Vehicle
Code prosecuted by the municipal attorney pursuant to Section
16-102 of that Code which results in a finding of guilt before
a circuit or associate judge or in which a defendant has
stipulated to the facts supporting the charge or a finding of
guilt and the court has entered an order of supervision and
shall be entitled to a $25 prosecution fee for each conviction
for a violation of a municipal vehicle ordinance or nontraffic
ordinance which results in a finding of guilt before a circuit
or associate judge or in which a defendant has stipulated to
the facts supporting the charge or a finding of guilt and the
court has entered an order of supervision. Such fee shall be
taxed as costs to be collected from the defendant, if possible,
upon disposition of the case. A municipality shall have a lien
for such prosecution fees on all judgments or fines procured by
the municipal attorney from prosecutions for violations of the
Illinois Vehicle Code and municipal vehicle ordinances or
nontraffic ordinances.
    For the purposes of this subsection (b), "municipal vehicle
ordinance" means any ordinance enacted pursuant to Sections
11-40-1, 11-40-2, 11-40-2a and 11-40-3 of the Illinois
Municipal Code or any ordinance enacted by a municipality which
is similar to a provision of Chapter 11 of the Illinois Vehicle
Code.
(Source: P.A. 96-707, eff. 1-1-10; 96-1186, eff. 7-22-10;
97-331, eff. 8-12-11; 97-673, eff. 6-1-12; revised 10-16-12.)
 
    (55 ILCS 5/5-1103)  (from Ch. 34, par. 5-1103)
    Sec. 5-1103. Court services fee. A county board may enact
by ordinance or resolution a court services fee dedicated to
defraying court security expenses incurred by the sheriff in
providing court services or for any other court services deemed
necessary by the sheriff to provide for court security,
including without limitation court services provided pursuant
to Section 3-6023, as now or hereafter amended. Such fee shall
be paid in civil cases by each party at the time of filing the
first pleading, paper or other appearance; provided that no
additional fee shall be required if more than one party is
represented in a single pleading, paper or other appearance. In
criminal, local ordinance, county ordinance, traffic and
conservation cases, such fee shall be assessed against the
defendant upon a plea of guilty, stipulation of facts or
findings of guilty, resulting in a judgment of conviction, or
order of supervision, or sentence of probation without entry of
judgment pursuant to Section 10 of the Cannabis Control Act,
Section 410 of the Illinois Controlled Substances Act, Section
70 of the Methamphetamine Control and Community Protection Act,
Section 12-4.3 or subdivision (b)(1) of Section 12-3.05 of the
Criminal Code of 1961 or the Criminal Code of 2012, Section
10-102 of the Illinois Alcoholism and Other Drug Dependency
Act, Section 40-10 of the Alcoholism and Other Drug Abuse and
Dependency Act, or Section 10 of the Steroid Control Act. In
setting such fee, the county board may impose, with the
concurrence of the Chief Judge of the judicial circuit in which
the county is located by administrative order entered by the
Chief Judge, differential rates for the various types or
categories of criminal and civil cases, but the maximum rate
shall not exceed $25. All proceeds from this fee must be used
to defray court security expenses incurred by the sheriff in
providing court services. No fee shall be imposed or collected,
however, in traffic, conservation, and ordinance cases in which
fines are paid without a court appearance. The fees shall be
collected in the manner in which all other court fees or costs
are collected and shall be deposited into the county general
fund for payment solely of costs incurred by the sheriff in
providing court security or for any other court services deemed
necessary by the sheriff to provide for court security.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (55 ILCS 5/5-1117)  (from Ch. 34, par. 5-1117)
    Sec. 5-1117. Discharge of firearms.
    (a) The county board of any county may, by ordinance,
regulate or prohibit within unincorporated areas the discharge
of firearms in any residential area where such discharge is
likely to subject residents or passersby to the risk of injury.
However, such an ordinance shall not limit the right to
discharge a firearm for the lawful defense of persons or
property, or in the course of making a lawful arrest, when such
use of force is justified under Article 7 of the Criminal Code
of 2012 1961.
    (b) For the purposes of this Section, a "residential area"
is any area within 300 yards of at least 3 single or
multi-family residential structures.
(Source: P.A. 87-580.)
 
    Section 205. The Illinois Municipal Code is amended by
changing Sections 10-1-7, 10-1-7.1, 10-2.1-6, and 10-2.1-6.3
as follows:
 
    (65 ILCS 5/10-1-7)  (from Ch. 24, par. 10-1-7)
    Sec. 10-1-7. Examination of applicants; disqualifications.
    (a) All applicants for offices or places in the classified
service, except those mentioned in Section 10-1-17, are subject
to examination. The examination shall be public, competitive,
and open to all citizens of the United States, with specified
limitations as to residence, age, health, habits and moral
character.
    (b) Residency requirements in effect at the time an
individual enters the fire or police service of a municipality
(other than a municipality that has more than 1,000,000
inhabitants) cannot be made more restrictive for that
individual during his or her period of service for that
municipality, or be made a condition of promotion, except for
the rank or position of Fire or Police Chief.
    (c) No person with a record of misdemeanor convictions
except those under Sections 11-1.50, 11-6, 11-7, 11-9, 11-14,
11-15, 11-17, 11-18, 11-19, 11-30, 11-35, 12-2, 12-6, 12-15,
14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1, 31-4, 31-6,
31-7, 32-1, 32-2, 32-3, 32-4, and 32-8, subdivisions (a)(1) and
(a)(2)(C) of Section 11-14.3, and subsections (1), (6) and (8)
of Section 24-1 of the Criminal Code of 1961 or the Criminal
Code of 2012 or arrested for any cause but not convicted on
that cause shall be disqualified from taking the examination on
grounds of habits or moral character, unless the person is
attempting to qualify for a position on the police department,
in which case the conviction or arrest may be considered as a
factor in determining the person's habits or moral character.
    (d) Persons entitled to military preference under Section
10-1-16 shall not be subject to limitations specifying age
unless they are applicants for a position as a fireman or a
policeman having no previous employment status as a fireman or
policeman in the regularly constituted fire or police
department of the municipality, in which case they must not
have attained their 35th birthday, except any person who has
served as an auxiliary police officer under Section 3.1-30-20
for at least 5 years and is under 40 years of age.
    (e) All employees of a municipality of less than 500,000
population (except those who would be excluded from the
classified service as provided in this Division 1) who are
holding that employment as of the date a municipality adopts
this Division 1, or as of July 17, 1959, whichever date is the
later, and who have held that employment for at least 2 years
immediately before that later date, and all firemen and
policemen regardless of length of service who were either
appointed to their respective positions by the board of fire
and police commissioners under the provisions of Division 2 of
this Article or who are serving in a position (except as a
temporary employee) in the fire or police department in the
municipality on the date a municipality adopts this Division 1,
or as of July 17, 1959, whichever date is the later, shall
become members of the classified civil service of the
municipality without examination.
    (f) The examinations shall be practical in their character,
and shall relate to those matters that will fairly test the
relative capacity of the persons examined to discharge the
duties of the positions to which they seek to be appointed. The
examinations shall include tests of physical qualifications,
health, and (when appropriate) manual skill. If an applicant is
unable to pass the physical examination solely as the result of
an injury received by the applicant as the result of the
performance of an act of duty while working as a temporary
employee in the position for which he or she is being examined,
however, the physical examination shall be waived and the
applicant shall be considered to have passed the examination.
No questions in any examination shall relate to political or
religious opinions or affiliations. Results of examinations
and the eligible registers prepared from the results shall be
published by the commission within 60 days after any
examinations are held.
    (g) The commission shall control all examinations, and may,
whenever an examination is to take place, designate a suitable
number of persons, either in or not in the official service of
the municipality, to be examiners. The examiners shall conduct
the examinations as directed by the commission and shall make a
return or report of the examinations to the commission. If the
appointed examiners are in the official service of the
municipality, the examiners shall not receive extra
compensation for conducting the examinations unless the
examiners are subject to a collective bargaining agreement with
the municipality. The commission may at any time substitute any
other person, whether or not in the service of the
municipality, in the place of any one selected as an examiner.
The commission members may themselves at any time act as
examiners without appointing examiners. The examiners at any
examination shall not all be members of the same political
party.
    (h) In municipalities of 500,000 or more population, no
person who has attained his or her 35th birthday shall be
eligible to take an examination for a position as a fireman or
a policeman unless the person has had previous employment
status as a policeman or fireman in the regularly constituted
police or fire department of the municipality, except as
provided in this Section.
    (i) In municipalities of more than 5,000 but not more than
200,000 inhabitants, no person who has attained his or her 35th
birthday shall be eligible to take an examination for a
position as a fireman or a policeman unless the person has had
previous employment status as a policeman or fireman in the
regularly constituted police or fire department of the
municipality, except as provided in this Section.
    (j) In all municipalities, applicants who are 20 years of
age and who have successfully completed 2 years of law
enforcement studies at an accredited college or university may
be considered for appointment to active duty with the police
department. An applicant described in this subsection (j) who
is appointed to active duty shall not have power of arrest, nor
shall the applicant be permitted to carry firearms, until he or
she reaches 21 years of age.
    (k) In municipalities of more than 500,000 population,
applications for examination for and appointment to positions
as firefighters or police shall be made available at various
branches of the public library of the municipality.
    (l) No municipality having a population less than 1,000,000
shall require that any fireman appointed to the lowest rank
serve a probationary employment period of longer than one year.
The limitation on periods of probationary employment provided
in this amendatory Act of 1989 is an exclusive power and
function of the State. Pursuant to subsection (h) of Section 6
of Article VII of the Illinois Constitution, a home rule
municipality having a population less than 1,000,000 must
comply with this limitation on periods of probationary
employment, which is a denial and limitation of home rule
powers. Notwithstanding anything to the contrary in this
Section, the probationary employment period limitation may be
extended for a firefighter who is required, as a condition of
employment, to be a certified paramedic, during which time the
sole reason that a firefighter may be discharged without a
hearing is for failing to meet the requirements for paramedic
certification.
    (m) To the extent that this Section or any other Section in
this Division conflicts with Section 10-1-7.1 or 10-1-7.2, then
Section 10-1-7.1 or 10-1-7.2 shall control.
(Source: P.A. 96-1551, eff. 7-1-11; 97-251, eff. 8-4-11;
97-898, eff. 8-6-12; 97-1109, eff. 1-1-13.)
 
    (65 ILCS 5/10-1-7.1)
    Sec. 10-1-7.1. Original appointments; full-time fire
department.
    (a) Applicability. Unless a commission elects to follow the
provisions of Section 10-1-7.2, this Section shall apply to all
original appointments to an affected full-time fire
department. Existing registers of eligibles shall continue to
be valid until their expiration dates, or up to a maximum of 2
years after the effective date of this amendatory Act of the
97th General Assembly.
    Notwithstanding any statute, ordinance, rule, or other law
to the contrary, all original appointments to an affected
department to which this Section applies shall be administered
in the manner provided for in this Section. Provisions of the
Illinois Municipal Code, municipal ordinances, and rules
adopted pursuant to such authority and other laws relating to
initial hiring of firefighters in affected departments shall
continue to apply to the extent they are compatible with this
Section, but in the event of a conflict between this Section
and any other law, this Section shall control.
    A home rule or non-home rule municipality may not
administer its fire department process for original
appointments in a manner that is less stringent than this
Section. This Section is a limitation under subsection (i) of
Section 6 of Article VII of the Illinois Constitution on the
concurrent exercise by home rule units of the powers and
functions exercised by the State.
    A municipality that is operating under a court order or
consent decree regarding original appointments to a full-time
fire department before the effective date of this amendatory
Act of the 97th General Assembly is exempt from the
requirements of this Section for the duration of the court
order or consent decree.
    Notwithstanding any other provision of this subsection
(a), this Section does not apply to a municipality with more
than 1,000,000 inhabitants.
    (b) Original appointments. All original appointments made
to an affected fire department shall be made from a register of
eligibles established in accordance with the processes
established by this Section. Only persons who meet or exceed
the performance standards required by this Section shall be
placed on a register of eligibles for original appointment to
an affected fire department.
    Whenever an appointing authority authorizes action to hire
a person to perform the duties of a firefighter or to hire a
firefighter-paramedic to fill a position that is a new position
or vacancy due to resignation, discharge, promotion, death, the
granting of a disability or retirement pension, or any other
cause, the appointing authority shall appoint to that position
the person with the highest ranking on the final eligibility
list. If the appointing authority has reason to conclude that
the highest ranked person fails to meet the minimum standards
for the position or if the appointing authority believes an
alternate candidate would better serve the needs of the
department, then the appointing authority has the right to pass
over the highest ranked person and appoint either: (i) any
person who has a ranking in the top 5% of the register of
eligibles or (ii) any person who is among the top 5 highest
ranked persons on the list of eligibles if the number of people
who have a ranking in the top 5% of the register of eligibles
is less than 5 people.
    Any candidate may pass on an appointment once without
losing his or her position on the register of eligibles. Any
candidate who passes a second time may be removed from the list
by the appointing authority provided that such action shall not
prejudice a person's opportunities to participate in future
examinations, including an examination held during the time a
candidate is already on the municipality's register of
eligibles.
    The sole authority to issue certificates of appointment
shall be vested in the Civil Service Commission. All
certificates of appointment issued to any officer or member of
an affected department shall be signed by the chairperson and
secretary, respectively, of the commission upon appointment of
such officer or member to the affected department by the
commission. Each person who accepts a certificate of
appointment and successfully completes his or her probationary
period shall be enrolled as a firefighter and as a regular
member of the fire department.
    For the purposes of this Section, "firefighter" means any
person who has been prior to, on, or after the effective date
of this amendatory Act of the 97th General Assembly appointed
to a fire department or fire protection district or employed by
a State university and sworn or commissioned to perform
firefighter duties or paramedic duties, or both, except that
the following persons are not included: part-time
firefighters; auxiliary, reserve, or voluntary firefighters,
including paid-on-call firefighters; clerks and dispatchers or
other civilian employees of a fire department or fire
protection district who are not routinely expected to perform
firefighter duties; and elected officials.
    (c) Qualification for placement on register of eligibles.
The purpose of establishing a register of eligibles is to
identify applicants who possess and demonstrate the mental
aptitude and physical ability to perform the duties required of
members of the fire department in order to provide the highest
quality of service to the public. To this end, all applicants
for original appointment to an affected fire department shall
be subject to examination and testing which shall be public,
competitive, and open to all applicants unless the municipality
shall by ordinance limit applicants to residents of the
municipality, county or counties in which the municipality is
located, State, or nation. Municipalities may establish
educational, emergency medical service licensure, and other
pre-requisites for participation in an examination or for hire
as a firefighter. Any municipality may charge a fee to cover
the costs of the application process.
    Residency requirements in effect at the time an individual
enters the fire service of a municipality cannot be made more
restrictive for that individual during his or her period of
service for that municipality, or be made a condition of
promotion, except for the rank or position of fire chief and
for no more than 2 positions that rank immediately below that
of the chief rank which are appointed positions pursuant to the
Fire Department Promotion Act.
    No person who is 35 years of age or older shall be eligible
to take an examination for a position as a firefighter unless
the person has had previous employment status as a firefighter
in the regularly constituted fire department of the
municipality, except as provided in this Section. The age
limitation does not apply to:
        (1) any person previously employed as a full-time
    firefighter in a regularly constituted fire department of
    (i) any municipality or fire protection district located in
    Illinois, (ii) a fire protection district whose
    obligations were assumed by a municipality under Section 21
    of the Fire Protection District Act, or (iii) a
    municipality whose obligations were taken over by a fire
    protection district, or
        (2) any person who has served a municipality as a
    regularly enrolled volunteer, paid-on-call, or part-time
    firefighter for the 5 years immediately preceding the time
    that the municipality begins to use full-time firefighters
    to provide all or part of its fire protection service.
    No person who is under 21 years of age shall be eligible
for employment as a firefighter.
    No applicant shall be examined concerning his or her
political or religious opinions or affiliations. The
examinations shall be conducted by the commissioners of the
municipality or their designees and agents.
    No municipality shall require that any firefighter
appointed to the lowest rank serve a probationary employment
period of longer than one year of actual active employment,
which may exclude periods of training, or injury or illness
leaves, including duty related leave, in excess of 30 calendar
days. Notwithstanding anything to the contrary in this Section,
the probationary employment period limitation may be extended
for a firefighter who is required, as a condition of
employment, to be a certified paramedic, during which time the
sole reason that a firefighter may be discharged without a
hearing is for failing to meet the requirements for paramedic
certification.
    In the event that any applicant who has been found eligible
for appointment and whose name has been placed upon the final
eligibility register provided for in this Division 1 has not
been appointed to a firefighter position within one year after
the date of his or her physical ability examination, the
commission may cause a second examination to be made of that
applicant's physical ability prior to his or her appointment.
If, after the second examination, the physical ability of the
applicant shall be found to be less than the minimum standard
fixed by the rules of the commission, the applicant shall not
be appointed. The applicant's name may be retained upon the
register of candidates eligible for appointment and when next
reached for certification and appointment that applicant may be
again examined as provided in this Section, and if the physical
ability of that applicant is found to be less than the minimum
standard fixed by the rules of the commission, the applicant
shall not be appointed, and the name of the applicant shall be
removed from the register.
    (d) Notice, examination, and testing components. Notice of
the time, place, general scope, merit criteria for any
subjective component, and fee of every examination shall be
given by the commission, by a publication at least 2 weeks
preceding the examination: (i) in one or more newspapers
published in the municipality, or if no newspaper is published
therein, then in one or more newspapers with a general
circulation within the municipality, or (ii) on the
municipality's Internet website. Additional notice of the
examination may be given as the commission shall prescribe.
    The examination and qualifying standards for employment of
firefighters shall be based on: mental aptitude, physical
ability, preferences, moral character, and health. The mental
aptitude, physical ability, and preference components shall
determine an applicant's qualification for and placement on the
final register of eligibles. The examination may also include a
subjective component based on merit criteria as determined by
the commission. Scores from the examination must be made
available to the public.
    (e) Mental aptitude. No person who does not possess at
least a high school diploma or an equivalent high school
education shall be placed on a register of eligibles.
Examination of an applicant's mental aptitude shall be based
upon a written examination. The examination shall be practical
in character and relate to those matters that fairly test the
capacity of the persons examined to discharge the duties
performed by members of a fire department. Written examinations
shall be administered in a manner that ensures the security and
accuracy of the scores achieved.
    (f) Physical ability. All candidates shall be required to
undergo an examination of their physical ability to perform the
essential functions included in the duties they may be called
upon to perform as a member of a fire department. For the
purposes of this Section, essential functions of the job are
functions associated with duties that a firefighter may be
called upon to perform in response to emergency calls. The
frequency of the occurrence of those duties as part of the fire
department's regular routine shall not be a controlling factor
in the design of examination criteria or evolutions selected
for testing. These physical examinations shall be open,
competitive, and based on industry standards designed to test
each applicant's physical abilities in the following
dimensions:
        (1) Muscular strength to perform tasks and evolutions
    that may be required in the performance of duties including
    grip strength, leg strength, and arm strength. Tests shall
    be conducted under anaerobic as well as aerobic conditions
    to test both the candidate's speed and endurance in
    performing tasks and evolutions. Tasks tested may be based
    on standards developed, or approved, by the local
    appointing authority.
        (2) The ability to climb ladders, operate from heights,
    walk or crawl in the dark along narrow and uneven surfaces,
    and operate in proximity to hazardous environments.
        (3) The ability to carry out critical, time-sensitive,
    and complex problem solving during physical exertion in
    stressful and hazardous environments. The testing
    environment may be hot and dark with tightly enclosed
    spaces, flashing lights, sirens, and other distractions.
    The tests utilized to measure each applicant's
capabilities in each of these dimensions may be tests based on
industry standards currently in use or equivalent tests
approved by the Joint Labor-Management Committee of the Office
of the State Fire Marshal.
    Physical ability examinations administered under this
Section shall be conducted with a reasonable number of proctors
and monitors, open to the public, and subject to reasonable
regulations of the commission.
    (g) Scoring of examination components. Appointing
authorities may create a preliminary eligibility register. A
person shall be placed on the list based upon his or her
passage of the written examination or the passage of the
written examination and the physical ability component.
Passage of the written examination means a score that is at or
above the median score for all applicants participating in the
written test. The appointing authority may conduct the physical
ability component and any subjective components subsequent to
the posting of the preliminary eligibility register.
    The examination components for an initial eligibility
register shall be graded on a 100-point scale. A person's
position on the list shall be determined by the following: (i)
the person's score on the written examination, (ii) the person
successfully passing the physical ability component, and (iii)
the person's results on any subjective component as described
in subsection (d).
    In order to qualify for placement on the final eligibility
register, an applicant's score on the written examination,
before any applicable preference points or subjective points
are applied, shall be at or above the median score. The local
appointing authority may prescribe the score to qualify for
placement on the final eligibility register, but the score
shall not be less than the median score.
    The commission shall prepare and keep a register of persons
whose total score is not less than the minimum fixed by this
Section and who have passed the physical ability examination.
These persons shall take rank upon the register as candidates
in the order of their relative excellence based on the highest
to the lowest total points scored on the mental aptitude,
subjective component, and preference components of the test
administered in accordance with this Section. No more than 60
days after each examination, an initial eligibility list shall
be posted by the commission. The list shall include the final
grades of the candidates without reference to priority of the
time of examination and subject to claim for preference credit.
    Commissions may conduct additional examinations, including
without limitation a polygraph test, after a final eligibility
register is established and before it expires with the
candidates ranked by total score without regard to date of
examination. No more than 60 days after each examination, an
initial eligibility list shall be posted by the commission
showing the final grades of the candidates without reference to
priority of time of examination and subject to claim for
preference credit.
    (h) Preferences. The following are preferences:
        (1) Veteran preference. Persons who were engaged in the
    military service of the United States for a period of at
    least one year of active duty and who were honorably
    discharged therefrom, or who are now or have been members
    on inactive or reserve duty in such military or naval
    service, shall be preferred for appointment to and
    employment with the fire department of an affected
    department.
        (2) Fire cadet preference. Persons who have
    successfully completed 2 years of study in fire techniques
    or cadet training within a cadet program established under
    the rules of the Joint Labor and Management Committee
    (JLMC), as defined in Section 50 of the Fire Department
    Promotion Act, may be preferred for appointment to and
    employment with the fire department.
        (3) Educational preference. Persons who have
    successfully obtained an associate's degree in the field of
    fire service or emergency medical services, or a bachelor's
    degree from an accredited college or university may be
    preferred for appointment to and employment with the fire
    department.
        (4) Paramedic preference. Persons who have obtained
    certification as an Emergency Medical Technician-Paramedic
    (EMT-P) may be preferred for appointment to and employment
    with the fire department of an affected department
    providing emergency medical services.
        (5) Experience preference. All persons employed by a
    municipality who have been paid-on-call or part-time
    certified Firefighter II, certified Firefighter III, State
    of Illinois or nationally licensed EMT-B or EMT-I, licensed
    paramedic, or any combination of those capacities may be
    awarded up to a maximum of 5 points. However, the applicant
    may not be awarded more than 0.5 points for each complete
    year of paid-on-call or part-time service. Applicants from
    outside the municipality who were employed as full-time
    firefighters or firefighter-paramedics by a fire
    protection district or another municipality may be awarded
    up to 5 experience preference points. However, the
    applicant may not be awarded more than one point for each
    complete year of full-time service.
        Upon request by the commission, the governing body of
    the municipality or in the case of applicants from outside
    the municipality the governing body of any fire protection
    district or any other municipality shall certify to the
    commission, within 10 days after the request, the number of
    years of successful paid-on-call, part-time, or full-time
    service of any person. A candidate may not receive the full
    amount of preference points under this subsection if the
    amount of points awarded would place the candidate before a
    veteran on the eligibility list. If more than one candidate
    receiving experience preference points is prevented from
    receiving all of their points due to not being allowed to
    pass a veteran, the candidates shall be placed on the list
    below the veteran in rank order based on the totals
    received if all points under this subsection were to be
    awarded. Any remaining ties on the list shall be determined
    by lot.
        (6) Residency preference. Applicants whose principal
    residence is located within the fire department's
    jurisdiction may be preferred for appointment to and
    employment with the fire department.
        (7) Additional preferences. Up to 5 additional
    preference points may be awarded for unique categories
    based on an applicant's experience or background as
    identified by the commission.
        (8) Scoring of preferences. The commission shall give
    preference for original appointment to persons designated
    in item (1) by adding to the final grade that they receive
    5 points for the recognized preference achieved. The
    commission shall determine the number of preference points
    for each category except (1). The number of preference
    points for each category shall range from 0 to 5. In
    determining the number of preference points, the
    commission shall prescribe that if a candidate earns the
    maximum number of preference points in all categories, that
    number may not be less than 10 nor more than 30. The
    commission shall give preference for original appointment
    to persons designated in items (2) through (7) by adding
    the requisite number of points to the final grade for each
    recognized preference achieved. The numerical result thus
    attained shall be applied by the commission in determining
    the final eligibility list and appointment from the
    eligibility list. The local appointing authority may
    prescribe the total number of preference points awarded
    under this Section, but the total number of preference
    points shall not be less than 10 points or more than 30
    points.
    No person entitled to any preference shall be required to
claim the credit before any examination held under the
provisions of this Section, but the preference shall be given
after the posting or publication of the initial eligibility
list or register at the request of a person entitled to a
credit before any certification or appointments are made from
the eligibility register, upon the furnishing of verifiable
evidence and proof of qualifying preference credit. Candidates
who are eligible for preference credit shall make a claim in
writing within 10 days after the posting of the initial
eligibility list, or the claim shall be deemed waived. Final
eligibility registers shall be established after the awarding
of verified preference points. All employment shall be subject
to the commission's initial hire background review including,
but not limited to, criminal history, employment history, moral
character, oral examination, and medical and psychological
examinations, all on a pass-fail basis. The medical and
psychological examinations must be conducted last, and may only
be performed after a conditional offer of employment has been
extended.
    Any person placed on an eligibility list who exceeds the
age requirement before being appointed to a fire department
shall remain eligible for appointment until the list is
abolished, or his or her name has been on the list for a period
of 2 years. No person who has attained the age of 35 years
shall be inducted into a fire department, except as otherwise
provided in this Section.
    The commission shall strike off the names of candidates for
original appointment after the names have been on the list for
more than 2 years.
    (i) Moral character. No person shall be appointed to a fire
department unless he or she is a person of good character; not
a habitual drunkard, a gambler, or a person who has been
convicted of a felony or a crime involving moral turpitude.
However, no person shall be disqualified from appointment to
the fire department because of the person's record of
misdemeanor convictions except those under Sections 11-6,
11-7, 11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 12-2, 12-6,
12-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1,
31-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, 32-8, and subsections
1, 6, and 8 of Section 24-1 of the Criminal Code of 1961 or the
Criminal Code of 2012, or arrest for any cause without
conviction thereon. Any such person who is in the department
may be removed on charges brought for violating this subsection
and after a trial as hereinafter provided.
    A classifiable set of the fingerprints of every person who
is offered employment as a certificated member of an affected
fire department whether with or without compensation, shall be
furnished to the Illinois Department of State Police and to the
Federal Bureau of Investigation by the commission.
    Whenever a commission 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
State Police Law of the Civil Administrative Code of Illinois,
the Department of State Police is authorized to furnish,
pursuant to positive identification, the information contained
in State files as is necessary to fulfill the request.
    (j) Temporary appointments. In order to prevent a stoppage
of public business, to meet extraordinary exigencies, or to
prevent material impairment of the fire department, the
commission may make temporary appointments, to remain in force
only until regular appointments are made under the provisions
of this Division, but never to exceed 60 days. No temporary
appointment of any one person shall be made more than twice in
any calendar year.
    (k) A person who knowingly divulges or receives test
questions or answers before a written examination, or otherwise
knowingly violates or subverts any requirement of this Section,
commits a violation of this Section and may be subject to
charges for official misconduct.
    A person who is the knowing recipient of test information
in advance of the examination shall be disqualified from the
examination or discharged from the position to which he or she
was appointed, as applicable, and otherwise subjected to
disciplinary actions.
(Source: P.A. 97-251, eff. 8-4-11; 97-898, eff. 8-6-12.)
 
    (65 ILCS 5/10-2.1-6)  (from Ch. 24, par. 10-2.1-6)
    Sec. 10-2.1-6. Examination of applicants;
disqualifications.
    (a) All applicants for a position in either the fire or
police department of the municipality shall be under 35 years
of age, shall be subject to an examination that shall be
public, competitive, and open to all applicants (unless the
council or board of trustees by ordinance limit applicants to
electors of the municipality, county, state or nation) and
shall be subject to reasonable limitations as to residence,
health, habits, and moral character. The municipality may not
charge or collect any fee from an applicant who has met all
prequalification standards established by the municipality for
any such position. With respect to a police department, a
veteran shall be allowed to exceed the maximum age provision of
this Section by the number of years served on active military
duty, but by no more than 10 years of active military duty.
    (b) Residency requirements in effect at the time an
individual enters the fire or police service of a municipality
(other than a municipality that has more than 1,000,000
inhabitants) cannot be made more restrictive for that
individual during his period of service for that municipality,
or be made a condition of promotion, except for the rank or
position of Fire or Police Chief.
    (c) No person with a record of misdemeanor convictions
except those under Sections 11-1.50, 11-6, 11-7, 11-9, 11-14,
11-15, 11-17, 11-18, 11-19, 11-30, 11-35, 12-2, 12-6, 12-15,
14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1, 31-4, 31-6,
31-7, 32-1, 32-2, 32-3, 32-4, and 32-8, subdivisions (a)(1) and
(a)(2)(C) of Section 11-14.3, and subsections (1), (6) and (8)
of Section 24-1 of the Criminal Code of 1961 or the Criminal
Code of 2012, or arrested for any cause but not convicted on
that cause shall be disqualified from taking the examination to
qualify for a position in the fire department on grounds of
habits or moral character.
    (d) The age limitation in subsection (a) does not apply (i)
to any person previously employed as a policeman or fireman in
a regularly constituted police or fire department of (I) any
municipality, regardless of whether the municipality is
located in Illinois or in another state, or (II) a fire
protection district whose obligations were assumed by a
municipality under Section 21 of the Fire Protection District
Act, (ii) to any person who has served a municipality as a
regularly enrolled volunteer fireman for 5 years immediately
preceding the time that municipality begins to use full time
firemen to provide all or part of its fire protection service,
or (iii) to any person who has served as an auxiliary police
officer under Section 3.1-30-20 for at least 5 years and is
under 40 years of age, (iv) to any person who has served as a
deputy under Section 3-6008 of the Counties Code and otherwise
meets necessary training requirements, or (v) to any person who
has served as a sworn officer as a member of the Illinois
Department of State Police.
    (e) Applicants who are 20 years of age and who have
successfully completed 2 years of law enforcement studies at an
accredited college or university may be considered for
appointment to active duty with the police department. An
applicant described in this subsection (e) who is appointed to
active duty shall not have power of arrest, nor shall the
applicant be permitted to carry firearms, until he or she
reaches 21 years of age.
    (f) Applicants who are 18 years of age and who have
successfully completed 2 years of study in fire techniques,
amounting to a total of 4 high school credits, within the cadet
program of a municipality may be considered for appointment to
active duty with the fire department of any municipality.
    (g) The council or board of trustees may by ordinance
provide that persons residing outside the municipality are
eligible to take the examination.
    (h) The examinations shall be practical in character and
relate to those matters that will fairly test the capacity of
the persons examined to discharge the duties of the positions
to which they seek appointment. No person shall be appointed to
the police or fire department if he or she does not possess a
high school diploma or an equivalent high school education. A
board of fire and police commissioners may, by its rules,
require police applicants to have obtained an associate's
degree or a bachelor's degree as a prerequisite for employment.
The examinations shall include tests of physical
qualifications and health. A board of fire and police
commissioners may, by its rules, waive portions of the required
examination for police applicants who have previously been
full-time sworn officers of a regular police department in any
municipal, county, university, or State law enforcement
agency, provided they are certified by the Illinois Law
Enforcement Training Standards Board and have been with their
respective law enforcement agency within the State for at least
2 years. No person shall be appointed to the police or fire
department if he or she has suffered the amputation of any limb
unless the applicant's duties will be only clerical or as a
radio operator. No applicant shall be examined concerning his
or her political or religious opinions or affiliations. The
examinations shall be conducted by the board of fire and police
commissioners of the municipality as provided in this Division
2.1.
    (i) No person who is classified by his local selective
service draft board as a conscientious objector, or who has
ever been so classified, may be appointed to the police
department.
    (j) No person shall be appointed to the police or fire
department unless he or she is a person of good character and
not an habitual drunkard, gambler, or a person who has been
convicted of a felony or a crime involving moral turpitude. No
person, however, shall be disqualified from appointment to the
fire department because of his or her record of misdemeanor
convictions except those under Sections 11-1.50, 11-6, 11-7,
11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 11-30, 11-35, 12-2,
12-6, 12-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3,
31-1, 31-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, and 32-8,
subdivisions (a)(1) and (a)(2)(C) of Section 11-14.3, and
subsections (1), (6) and (8) of Section 24-1 of the Criminal
Code of 1961 or the Criminal Code of 2012, or arrest for any
cause without conviction on that cause. Any such person who is
in the department may be removed on charges brought and after a
trial as provided in this Division 2.1.
(Source: P.A. 95-165, eff. 1-1-08; 95-931, eff. 1-1-09; 96-472,
eff. 8-14-09; 96-1551, eff. 7-1-11.)
 
    (65 ILCS 5/10-2.1-6.3)
    Sec. 10-2.1-6.3. Original appointments; full-time fire
department.
    (a) Applicability. Unless a commission elects to follow the
provisions of Section 10-2.1-6.4, this Section shall apply to
all original appointments to an affected full-time fire
department. Existing registers of eligibles shall continue to
be valid until their expiration dates, or up to a maximum of 2
years after the effective date of this amendatory Act of the
97th General Assembly.
    Notwithstanding any statute, ordinance, rule, or other law
to the contrary, all original appointments to an affected
department to which this Section applies shall be administered
in the manner provided for in this Section. Provisions of the
Illinois Municipal Code, municipal ordinances, and rules
adopted pursuant to such authority and other laws relating to
initial hiring of firefighters in affected departments shall
continue to apply to the extent they are compatible with this
Section, but in the event of a conflict between this Section
and any other law, this Section shall control.
    A home rule or non-home rule municipality may not
administer its fire department process for original
appointments in a manner that is less stringent than this
Section. This Section is a limitation under subsection (i) of
Section 6 of Article VII of the Illinois Constitution on the
concurrent exercise by home rule units of the powers and
functions exercised by the State.
    A municipality that is operating under a court order or
consent decree regarding original appointments to a full-time
fire department before the effective date of this amendatory
Act of the 97th General Assembly is exempt from the
requirements of this Section for the duration of the court
order or consent decree.
    Notwithstanding any other provision of this subsection
(a), this Section does not apply to a municipality with more
than 1,000,000 inhabitants.
    (b) Original appointments. All original appointments made
to an affected fire department shall be made from a register of
eligibles established in accordance with the processes
established by this Section. Only persons who meet or exceed
the performance standards required by this Section shall be
placed on a register of eligibles for original appointment to
an affected fire department.
    Whenever an appointing authority authorizes action to hire
a person to perform the duties of a firefighter or to hire a
firefighter-paramedic to fill a position that is a new position
or vacancy due to resignation, discharge, promotion, death, the
granting of a disability or retirement pension, or any other
cause, the appointing authority shall appoint to that position
the person with the highest ranking on the final eligibility
list. If the appointing authority has reason to conclude that
the highest ranked person fails to meet the minimum standards
for the position or if the appointing authority believes an
alternate candidate would better serve the needs of the
department, then the appointing authority has the right to pass
over the highest ranked person and appoint either: (i) any
person who has a ranking in the top 5% of the register of
eligibles or (ii) any person who is among the top 5 highest
ranked persons on the list of eligibles if the number of people
who have a ranking in the top 5% of the register of eligibles
is less than 5 people.
    Any candidate may pass on an appointment once without
losing his or her position on the register of eligibles. Any
candidate who passes a second time may be removed from the list
by the appointing authority provided that such action shall not
prejudice a person's opportunities to participate in future
examinations, including an examination held during the time a
candidate is already on the municipality's register of
eligibles.
    The sole authority to issue certificates of appointment
shall be vested in the board of fire and police commissioners.
All certificates of appointment issued to any officer or member
of an affected department shall be signed by the chairperson
and secretary, respectively, of the board upon appointment of
such officer or member to the affected department by action of
the board. Each person who accepts a certificate of appointment
and successfully completes his or her probationary period shall
be enrolled as a firefighter and as a regular member of the
fire department.
    For the purposes of this Section, "firefighter" means any
person who has been prior to, on, or after the effective date
of this amendatory Act of the 97th General Assembly appointed
to a fire department or fire protection district or employed by
a State university and sworn or commissioned to perform
firefighter duties or paramedic duties, or both, except that
the following persons are not included: part-time
firefighters; auxiliary, reserve, or voluntary firefighters,
including paid-on-call firefighters; clerks and dispatchers or
other civilian employees of a fire department or fire
protection district who are not routinely expected to perform
firefighter duties; and elected officials.
    (c) Qualification for placement on register of eligibles.
The purpose of establishing a register of eligibles is to
identify applicants who possess and demonstrate the mental
aptitude and physical ability to perform the duties required of
members of the fire department in order to provide the highest
quality of service to the public. To this end, all applicants
for original appointment to an affected fire department shall
be subject to examination and testing which shall be public,
competitive, and open to all applicants unless the municipality
shall by ordinance limit applicants to residents of the
municipality, county or counties in which the municipality is
located, State, or nation. Municipalities may establish
educational, emergency medical service licensure, and other
pre-requisites for participation in an examination or for hire
as a firefighter. Any municipality may charge a fee to cover
the costs of the application process.
    Residency requirements in effect at the time an individual
enters the fire service of a municipality cannot be made more
restrictive for that individual during his or her period of
service for that municipality, or be made a condition of
promotion, except for the rank or position of fire chief and
for no more than 2 positions that rank immediately below that
of the chief rank which are appointed positions pursuant to the
Fire Department Promotion Act.
    No person who is 35 years of age or older shall be eligible
to take an examination for a position as a firefighter unless
the person has had previous employment status as a firefighter
in the regularly constituted fire department of the
municipality, except as provided in this Section. The age
limitation does not apply to:
        (1) any person previously employed as a full-time
    firefighter in a regularly constituted fire department of
    (i) any municipality or fire protection district located in
    Illinois, (ii) a fire protection district whose
    obligations were assumed by a municipality under Section 21
    of the Fire Protection District Act, or (iii) a
    municipality whose obligations were taken over by a fire
    protection district, or
        (2) any person who has served a municipality as a
    regularly enrolled volunteer, paid-on-call, or part-time
    firefighter for the 5 years immediately preceding the time
    that the municipality begins to use full-time firefighters
    to provide all or part of its fire protection service.
    No person who is under 21 years of age shall be eligible
for employment as a firefighter.
    No applicant shall be examined concerning his or her
political or religious opinions or affiliations. The
examinations shall be conducted by the commissioners of the
municipality or their designees and agents.
    No municipality shall require that any firefighter
appointed to the lowest rank serve a probationary employment
period of longer than one year of actual active employment,
which may exclude periods of training, or injury or illness
leaves, including duty related leave, in excess of 30 calendar
days. Notwithstanding anything to the contrary in this Section,
the probationary employment period limitation may be extended
for a firefighter who is required, as a condition of
employment, to be a certified paramedic, during which time the
sole reason that a firefighter may be discharged without a
hearing is for failing to meet the requirements for paramedic
certification.
    In the event that any applicant who has been found eligible
for appointment and whose name has been placed upon the final
eligibility register provided for in this Section has not been
appointed to a firefighter position within one year after the
date of his or her physical ability examination, the commission
may cause a second examination to be made of that applicant's
physical ability prior to his or her appointment. If, after the
second examination, the physical ability of the applicant shall
be found to be less than the minimum standard fixed by the
rules of the commission, the applicant shall not be appointed.
The applicant's name may be retained upon the register of
candidates eligible for appointment and when next reached for
certification and appointment that applicant may be again
examined as provided in this Section, and if the physical
ability of that applicant is found to be less than the minimum
standard fixed by the rules of the commission, the applicant
shall not be appointed, and the name of the applicant shall be
removed from the register.
    (d) Notice, examination, and testing components. Notice of
the time, place, general scope, merit criteria for any
subjective component, and fee of every examination shall be
given by the commission, by a publication at least 2 weeks
preceding the examination: (i) in one or more newspapers
published in the municipality, or if no newspaper is published
therein, then in one or more newspapers with a general
circulation within the municipality, or (ii) on the
municipality's Internet website. Additional notice of the
examination may be given as the commission shall prescribe.
    The examination and qualifying standards for employment of
firefighters shall be based on: mental aptitude, physical
ability, preferences, moral character, and health. The mental
aptitude, physical ability, and preference components shall
determine an applicant's qualification for and placement on the
final register of eligibles. The examination may also include a
subjective component based on merit criteria as determined by
the commission. Scores from the examination must be made
available to the public.
    (e) Mental aptitude. No person who does not possess at
least a high school diploma or an equivalent high school
education shall be placed on a register of eligibles.
Examination of an applicant's mental aptitude shall be based
upon a written examination. The examination shall be practical
in character and relate to those matters that fairly test the
capacity of the persons examined to discharge the duties
performed by members of a fire department. Written examinations
shall be administered in a manner that ensures the security and
accuracy of the scores achieved.
    (f) Physical ability. All candidates shall be required to
undergo an examination of their physical ability to perform the
essential functions included in the duties they may be called
upon to perform as a member of a fire department. For the
purposes of this Section, essential functions of the job are
functions associated with duties that a firefighter may be
called upon to perform in response to emergency calls. The
frequency of the occurrence of those duties as part of the fire
department's regular routine shall not be a controlling factor
in the design of examination criteria or evolutions selected
for testing. These physical examinations shall be open,
competitive, and based on industry standards designed to test
each applicant's physical abilities in the following
dimensions:
        (1) Muscular strength to perform tasks and evolutions
    that may be required in the performance of duties including
    grip strength, leg strength, and arm strength. Tests shall
    be conducted under anaerobic as well as aerobic conditions
    to test both the candidate's speed and endurance in
    performing tasks and evolutions. Tasks tested may be based
    on standards developed, or approved, by the local
    appointing authority.
        (2) The ability to climb ladders, operate from heights,
    walk or crawl in the dark along narrow and uneven surfaces,
    and operate in proximity to hazardous environments.
        (3) The ability to carry out critical, time-sensitive,
    and complex problem solving during physical exertion in
    stressful and hazardous environments. The testing
    environment may be hot and dark with tightly enclosed
    spaces, flashing lights, sirens, and other distractions.
    The tests utilized to measure each applicant's
capabilities in each of these dimensions may be tests based on
industry standards currently in use or equivalent tests
approved by the Joint Labor-Management Committee of the Office
of the State Fire Marshal.
    Physical ability examinations administered under this
Section shall be conducted with a reasonable number of proctors
and monitors, open to the public, and subject to reasonable
regulations of the commission.
    (g) Scoring of examination components. Appointing
authorities may create a preliminary eligibility register. A
person shall be placed on the list based upon his or her
passage of the written examination or the passage of the
written examination and the physical ability component.
Passage of the written examination means a score that is at or
above the median score for all applicants participating in the
written test. The appointing authority may conduct the physical
ability component and any subjective components subsequent to
the posting of the preliminary eligibility register.
    The examination components for an initial eligibility
register shall be graded on a 100-point scale. A person's
position on the list shall be determined by the following: (i)
the person's score on the written examination, (ii) the person
successfully passing the physical ability component, and (iii)
the person's results on any subjective component as described
in subsection (d).
    In order to qualify for placement on the final eligibility
register, an applicant's score on the written examination,
before any applicable preference points or subjective points
are applied, shall be at or above the median score. The local
appointing authority may prescribe the score to qualify for
placement on the final eligibility register, but the score
shall not be less than the median score.
    The commission shall prepare and keep a register of persons
whose total score is not less than the minimum fixed by this
Section and who have passed the physical ability examination.
These persons shall take rank upon the register as candidates
in the order of their relative excellence based on the highest
to the lowest total points scored on the mental aptitude,
subjective component, and preference components of the test
administered in accordance with this Section. No more than 60
days after each examination, an initial eligibility list shall
be posted by the commission. The list shall include the final
grades of the candidates without reference to priority of the
time of examination and subject to claim for preference credit.
    Commissions may conduct additional examinations, including
without limitation a polygraph test, after a final eligibility
register is established and before it expires with the
candidates ranked by total score without regard to date of
examination. No more than 60 days after each examination, an
initial eligibility list shall be posted by the commission
showing the final grades of the candidates without reference to
priority of time of examination and subject to claim for
preference credit.
    (h) Preferences. The following are preferences:
        (1) Veteran preference. Persons who were engaged in the
    military service of the United States for a period of at
    least one year of active duty and who were honorably
    discharged therefrom, or who are now or have been members
    on inactive or reserve duty in such military or naval
    service, shall be preferred for appointment to and
    employment with the fire department of an affected
    department.
        (2) Fire cadet preference. Persons who have
    successfully completed 2 years of study in fire techniques
    or cadet training within a cadet program established under
    the rules of the Joint Labor and Management Committee
    (JLMC), as defined in Section 50 of the Fire Department
    Promotion Act, may be preferred for appointment to and
    employment with the fire department.
        (3) Educational preference. Persons who have
    successfully obtained an associate's degree in the field of
    fire service or emergency medical services, or a bachelor's
    degree from an accredited college or university may be
    preferred for appointment to and employment with the fire
    department.
        (4) Paramedic preference. Persons who have obtained
    certification as an Emergency Medical Technician-Paramedic
    (EMT-P) shall be preferred for appointment to and
    employment with the fire department of an affected
    department providing emergency medical services.
        (5) Experience preference. All persons employed by a
    municipality who have been paid-on-call or part-time
    certified Firefighter II, State of Illinois or nationally
    licensed EMT-B or EMT-I, or any combination of those
    capacities shall be awarded 0.5 point for each year of
    successful service in one or more of those capacities, up
    to a maximum of 5 points. Certified Firefighter III and
    State of Illinois or nationally licensed paramedics shall
    be awarded one point per year up to a maximum of 5 points.
    Applicants from outside the municipality who were employed
    as full-time firefighters or firefighter-paramedics by a
    fire protection district or another municipality for at
    least 2 years shall be awarded 5 experience preference
    points. These additional points presuppose a rating scale
    totaling 100 points available for the eligibility list. If
    more or fewer points are used in the rating scale for the
    eligibility list, the points awarded under this subsection
    shall be increased or decreased by a factor equal to the
    total possible points available for the examination
    divided by 100.
        Upon request by the commission, the governing body of
    the municipality or in the case of applicants from outside
    the municipality the governing body of any fire protection
    district or any other municipality shall certify to the
    commission, within 10 days after the request, the number of
    years of successful paid-on-call, part-time, or full-time
    service of any person. A candidate may not receive the full
    amount of preference points under this subsection if the
    amount of points awarded would place the candidate before a
    veteran on the eligibility list. If more than one candidate
    receiving experience preference points is prevented from
    receiving all of their points due to not being allowed to
    pass a veteran, the candidates shall be placed on the list
    below the veteran in rank order based on the totals
    received if all points under this subsection were to be
    awarded. Any remaining ties on the list shall be determined
    by lot.
        (6) Residency preference. Applicants whose principal
    residence is located within the fire department's
    jurisdiction shall be preferred for appointment to and
    employment with the fire department.
        (7) Additional preferences. Up to 5 additional
    preference points may be awarded for unique categories
    based on an applicant's experience or background as
    identified by the commission.
        (8) Scoring of preferences. The commission shall give
    preference for original appointment to persons designated
    in item (1) by adding to the final grade that they receive
    5 points for the recognized preference achieved. The
    commission shall determine the number of preference points
    for each category except (1). The number of preference
    points for each category shall range from 0 to 5. In
    determining the number of preference points, the
    commission shall prescribe that if a candidate earns the
    maximum number of preference points in all categories, that
    number may not be less than 10 nor more than 30. The
    commission shall give preference for original appointment
    to persons designated in items (2) through (7) by adding
    the requisite number of points to the final grade for each
    recognized preference achieved. The numerical result thus
    attained shall be applied by the commission in determining
    the final eligibility list and appointment from the
    eligibility list. The local appointing authority may
    prescribe the total number of preference points awarded
    under this Section, but the total number of preference
    points shall not be less than 10 points or more than 30
    points.
    No person entitled to any preference shall be required to
claim the credit before any examination held under the
provisions of this Section, but the preference shall be given
after the posting or publication of the initial eligibility
list or register at the request of a person entitled to a
credit before any certification or appointments are made from
the eligibility register, upon the furnishing of verifiable
evidence and proof of qualifying preference credit. Candidates
who are eligible for preference credit shall make a claim in
writing within 10 days after the posting of the initial
eligibility list, or the claim shall be deemed waived. Final
eligibility registers shall be established after the awarding
of verified preference points. All employment shall be subject
to the commission's initial hire background review including,
but not limited to, criminal history, employment history, moral
character, oral examination, and medical and psychological
examinations, all on a pass-fail basis. The medical and
psychological examinations must be conducted last, and may only
be performed after a conditional offer of employment has been
extended.
    Any person placed on an eligibility list who exceeds the
age requirement before being appointed to a fire department
shall remain eligible for appointment until the list is
abolished, or his or her name has been on the list for a period
of 2 years. No person who has attained the age of 35 years
shall be inducted into a fire department, except as otherwise
provided in this Section.
    The commission shall strike off the names of candidates for
original appointment after the names have been on the list for
more than 2 years.
    (i) Moral character. No person shall be appointed to a fire
department unless he or she is a person of good character; not
a habitual drunkard, a gambler, or a person who has been
convicted of a felony or a crime involving moral turpitude.
However, no person shall be disqualified from appointment to
the fire department because of the person's record of
misdemeanor convictions except those under Sections 11-6,
11-7, 11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 12-2, 12-6,
12-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1,
31-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, 32-8, and subsections
1, 6, and 8 of Section 24-1 of the Criminal Code of 1961 or the
Criminal Code of 2012, or arrest for any cause without
conviction thereon. Any such person who is in the department
may be removed on charges brought for violating this subsection
and after a trial as hereinafter provided.
    A classifiable set of the fingerprints of every person who
is offered employment as a certificated member of an affected
fire department whether with or without compensation, shall be
furnished to the Illinois Department of State Police and to the
Federal Bureau of Investigation by the commission.
    Whenever a commission 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
State Police Law of the Civil Administrative Code of Illinois,
the Department of State Police is authorized to furnish,
pursuant to positive identification, the information contained
in State files as is necessary to fulfill the request.
    (j) Temporary appointments. In order to prevent a stoppage
of public business, to meet extraordinary exigencies, or to
prevent material impairment of the fire department, the
commission may make temporary appointments, to remain in force
only until regular appointments are made under the provisions
of this Division, but never to exceed 60 days. No temporary
appointment of any one person shall be made more than twice in
any calendar year.
    (k) A person who knowingly divulges or receives test
questions or answers before a written examination, or otherwise
knowingly violates or subverts any requirement of this Section,
commits a violation of this Section and may be subject to
charges for official misconduct.
    A person who is the knowing recipient of test information
in advance of the examination shall be disqualified from the
examination or discharged from the position to which he or she
was appointed, as applicable, and otherwise subjected to
disciplinary actions.
(Source: P.A. 97-251, eff. 8-4-11; 97-898, eff. 8-6-12.)
 
    Section 210. The Fire Protection District Act is amended by
changing Sections 16.06 and 16.06b as follows:
 
    (70 ILCS 705/16.06)  (from Ch. 127 1/2, par. 37.06)
    Sec. 16.06. Eligibility for positions in fire department;
disqualifications.
    (a) All applicants for a position in the fire department of
the fire protection district shall be under 35 years of age and
shall be subjected to examination, which shall be public,
competitive, and free to all applicants, subject to reasonable
limitations as to health, habits, and moral character; provided
that the foregoing age limitation shall not apply in the case
of any person having previous employment status as a fireman in
a regularly constituted fire department of any fire protection
district, and further provided that each fireman or fire chief
who is a member in good standing in a regularly constituted
fire department of any municipality which shall be or shall
have subsequently been included within the boundaries of any
fire protection district now or hereafter organized shall be
given a preference for original appointment in the same class,
grade or employment over all other applicants. The examinations
shall be practical in their character and shall relate to those
matters which will fairly test the persons examined as to their
relative capacity to discharge the duties of the positions to
which they seek appointment. The examinations shall include
tests of physical qualifications and health. No applicant,
however, shall be examined concerning his political or
religious opinions or affiliations. The examinations shall be
conducted by the board of fire commissioners.
    In any fire protection district that employs full-time
firefighters and is subject to a collective bargaining
agreement, a person who has not qualified for regular
appointment under the provisions of this Section shall not be
used as a temporary or permanent substitute for certificated
members of a fire district's fire department or for regular
appointment as a certificated member of a fire district's fire
department unless mutually agreed to by the employee's
certified bargaining agent. Such agreement shall be considered
a permissive subject of bargaining. Fire protection districts
covered by the changes made by this amendatory Act of the 95th
General Assembly that are using non-certificated employees as
substitutes immediately prior to the effective date of this
amendatory Act of the 95th General Assembly may, by mutual
agreement with the certified bargaining agent, continue the
existing practice or a modified practice and that agreement
shall be considered a permissive subject of bargaining.
    (b) No person shall be appointed to the fire department
unless he or she is a person of good character and not a person
who has been convicted of a felony in Illinois or convicted in
another jurisdiction for conduct that would be a felony under
Illinois law, or convicted of a crime involving moral
turpitude. No person, however, shall be disqualified from
appointment to the fire department because of his or her record
of misdemeanor convictions, except those under Sections
11-1.50, 11-6, 11-7, 11-9, 11-14, 11-15, 11-17, 11-18, 11-19,
11-30, 11-35, 12-2, 12-6, 12-15, 14-4, 16-1, 21.1-3, 24-3.1,
24-5, 25-1, 28-3, 31-1, 31-4, 31-6, 31-7, 32-1, 32-2, 32-3,
32-4, and 32-8, subdivisions (a)(1) and (a)(2)(C) of Section
11-14.3, and subsections (1), (6), and (8) of Section 24-1 of
the Criminal Code of 1961 or the Criminal Code of 2012.
(Source: P.A. 95-490, eff. 6-1-08; 96-1551, eff. 7-1-11.)
 
    (70 ILCS 705/16.06b)
    Sec. 16.06b. Original appointments; full-time fire
department.
    (a) Applicability. Unless a commission elects to follow the
provisions of Section 16.06c, this Section shall apply to all
original appointments to an affected full-time fire
department. Existing registers of eligibles shall continue to
be valid until their expiration dates, or up to a maximum of 2
years after the effective date of this amendatory Act of the
97th General Assembly.
    Notwithstanding any statute, ordinance, rule, or other law
to the contrary, all original appointments to an affected
department to which this Section applies shall be administered
in a no less stringent manner than the manner provided for in
this Section. Provisions of the Illinois Municipal Code, Fire
Protection District Act, fire district ordinances, and rules
adopted pursuant to such authority and other laws relating to
initial hiring of firefighters in affected departments shall
continue to apply to the extent they are compatible with this
Section, but in the event of a conflict between this Section
and any other law, this Section shall control.
    A fire protection district that is operating under a court
order or consent decree regarding original appointments to a
full-time fire department before the effective date of this
amendatory Act of the 97th General Assembly is exempt from the
requirements of this Section for the duration of the court
order or consent decree.
    (b) Original appointments. All original appointments made
to an affected fire department shall be made from a register of
eligibles established in accordance with the processes
required by this Section. Only persons who meet or exceed the
performance standards required by the Section shall be placed
on a register of eligibles for original appointment to an
affected fire department.
    Whenever an appointing authority authorizes action to hire
a person to perform the duties of a firefighter or to hire a
firefighter-paramedic to fill a position that is a new position
or vacancy due to resignation, discharge, promotion, death, the
granting of a disability or retirement pension, or any other
cause, the appointing authority shall appoint to that position
the person with the highest ranking on the final eligibility
list. If the appointing authority has reason to conclude that
the highest ranked person fails to meet the minimum standards
for the position or if the appointing authority believes an
alternate candidate would better serve the needs of the
department, then the appointing authority has the right to pass
over the highest ranked person and appoint either: (i) any
person who has a ranking in the top 5% of the register of
eligibles or (ii) any person who is among the top 5 highest
ranked persons on the list of eligibles if the number of people
who have a ranking in the top 5% of the register of eligibles
is less than 5 people.
    Any candidate may pass on an appointment once without
losing his or her position on the register of eligibles. Any
candidate who passes a second time may be removed from the list
by the appointing authority provided that such action shall not
prejudice a person's opportunities to participate in future
examinations, including an examination held during the time a
candidate is already on the fire district's register of
eligibles.
    The sole authority to issue certificates of appointment
shall be vested in the board of fire commissioners, or board of
trustees serving in the capacity of a board of fire
commissioners. All certificates of appointment issued to any
officer or member of an affected department shall be signed by
the chairperson and secretary, respectively, of the commission
upon appointment of such officer or member to the affected
department by action of the commission. Each person who accepts
a certificate of appointment and successfully completes his or
her probationary period shall be enrolled as a firefighter and
as a regular member of the fire department.
    For the purposes of this Section, "firefighter" means any
person who has been prior to, on, or after the effective date
of this amendatory Act of the 97th General Assembly appointed
to a fire department or fire protection district or employed by
a State university and sworn or commissioned to perform
firefighter duties or paramedic duties, or both, except that
the following persons are not included: part-time
firefighters; auxiliary, reserve, or voluntary firefighters,
including paid-on-call firefighters; clerks and dispatchers or
other civilian employees of a fire department or fire
protection district who are not routinely expected to perform
firefighter duties; and elected officials.
    (c) Qualification for placement on register of eligibles.
The purpose of establishing a register of eligibles is to
identify applicants who possess and demonstrate the mental
aptitude and physical ability to perform the duties required of
members of the fire department in order to provide the highest
quality of service to the public. To this end, all applicants
for original appointment to an affected fire department shall
be subject to examination and testing which shall be public,
competitive, and open to all applicants unless the district
shall by ordinance limit applicants to residents of the
district, county or counties in which the district is located,
State, or nation. Districts may establish educational,
emergency medical service licensure, and other pre-requisites
for participation in an examination or for hire as a
firefighter. Any fire protection district may charge a fee to
cover the costs of the application process.
    Residency requirements in effect at the time an individual
enters the fire service of a district cannot be made more
restrictive for that individual during his or her period of
service for that district, or be made a condition of promotion,
except for the rank or position of fire chief and for no more
than 2 positions that rank immediately below that of the chief
rank which are appointed positions pursuant to the Fire
Department Promotion Act.
    No person who is 35 years of age or older shall be eligible
to take an examination for a position as a firefighter unless
the person has had previous employment status as a firefighter
in the regularly constituted fire department of the district,
except as provided in this Section. The age limitation does not
apply to:
        (1) any person previously employed as a full-time
    firefighter in a regularly constituted fire department of
    (i) any municipality or fire protection district located in
    Illinois, (ii) a fire protection district whose
    obligations were assumed by a municipality under Section 21
    of the Fire Protection District Act, or (iii) a
    municipality whose obligations were taken over by a fire
    protection district, or
        (2) any person who has served a fire district as a
    regularly enrolled volunteer, paid-on-call, or part-time
    firefighter for the 5 years immediately preceding the time
    that the district begins to use full-time firefighters to
    provide all or part of its fire protection service.
    No person who is under 21 years of age shall be eligible
for employment as a firefighter.
    No applicant shall be examined concerning his or her
political or religious opinions or affiliations. The
examinations shall be conducted by the commissioners of the
district or their designees and agents.
    No district shall require that any firefighter appointed to
the lowest rank serve a probationary employment period of
longer than one year of actual active employment, which may
exclude periods of training, or injury or illness leaves,
including duty related leave, in excess of 30 calendar days.
Notwithstanding anything to the contrary in this Section, the
probationary employment period limitation may be extended for a
firefighter who is required, as a condition of employment, to
be a certified paramedic, during which time the sole reason
that a firefighter may be discharged without a hearing is for
failing to meet the requirements for paramedic certification.
    In the event that any applicant who has been found eligible
for appointment and whose name has been placed upon the final
eligibility register provided for in this Section has not been
appointed to a firefighter position within one year after the
date of his or her physical ability examination, the commission
may cause a second examination to be made of that applicant's
physical ability prior to his or her appointment. If, after the
second examination, the physical ability of the applicant shall
be found to be less than the minimum standard fixed by the
rules of the commission, the applicant shall not be appointed.
The applicant's name may be retained upon the register of
candidates eligible for appointment and when next reached for
certification and appointment that applicant may be again
examined as provided in this Section, and if the physical
ability of that applicant is found to be less than the minimum
standard fixed by the rules of the commission, the applicant
shall not be appointed, and the name of the applicant shall be
removed from the register.
    (d) Notice, examination, and testing components. Notice of
the time, place, general scope, merit criteria for any
subjective component, and fee of every examination shall be
given by the commission, by a publication at least 2 weeks
preceding the examination: (i) in one or more newspapers
published in the district, or if no newspaper is published
therein, then in one or more newspapers with a general
circulation within the district, or (ii) on the fire protection
district's Internet website. Additional notice of the
examination may be given as the commission shall prescribe.
    The examination and qualifying standards for employment of
firefighters shall be based on: mental aptitude, physical
ability, preferences, moral character, and health. The mental
aptitude, physical ability, and preference components shall
determine an applicant's qualification for and placement on the
final register of eligibles. The examination may also include a
subjective component based on merit criteria as determined by
the commission. Scores from the examination must be made
available to the public.
    (e) Mental aptitude. No person who does not possess at
least a high school diploma or an equivalent high school
education shall be placed on a register of eligibles.
Examination of an applicant's mental aptitude shall be based
upon a written examination. The examination shall be practical
in character and relate to those matters that fairly test the
capacity of the persons examined to discharge the duties
performed by members of a fire department. Written examinations
shall be administered in a manner that ensures the security and
accuracy of the scores achieved.
    (f) Physical ability. All candidates shall be required to
undergo an examination of their physical ability to perform the
essential functions included in the duties they may be called
upon to perform as a member of a fire department. For the
purposes of this Section, essential functions of the job are
functions associated with duties that a firefighter may be
called upon to perform in response to emergency calls. The
frequency of the occurrence of those duties as part of the fire
department's regular routine shall not be a controlling factor
in the design of examination criteria or evolutions selected
for testing. These physical examinations shall be open,
competitive, and based on industry standards designed to test
each applicant's physical abilities in the following
dimensions:
        (1) Muscular strength to perform tasks and evolutions
    that may be required in the performance of duties including
    grip strength, leg strength, and arm strength. Tests shall
    be conducted under anaerobic as well as aerobic conditions
    to test both the candidate's speed and endurance in
    performing tasks and evolutions. Tasks tested may be based
    on standards developed, or approved, by the local
    appointing authority.
        (2) The ability to climb ladders, operate from heights,
    walk or crawl in the dark along narrow and uneven surfaces,
    and operate in proximity to hazardous environments.
        (3) The ability to carry out critical, time-sensitive,
    and complex problem solving during physical exertion in
    stressful and hazardous environments. The testing
    environment may be hot and dark with tightly enclosed
    spaces, flashing lights, sirens, and other distractions.
    The tests utilized to measure each applicant's
capabilities in each of these dimensions may be tests based on
industry standards currently in use or equivalent tests
approved by the Joint Labor-Management Committee of the Office
of the State Fire Marshal.
    Physical ability examinations administered under this
Section shall be conducted with a reasonable number of proctors
and monitors, open to the public, and subject to reasonable
regulations of the commission.
    (g) Scoring of examination components. Appointing
authorities may create a preliminary eligibility register. A
person shall be placed on the list based upon his or her
passage of the written examination or the passage of the
written examination and the physical ability component.
Passage of the written examination means a score that is at or
above the median score for all applicants participating in the
written test. The appointing authority may conduct the physical
ability component and any subjective components subsequent to
the posting of the preliminary eligibility register.
    The examination components for an initial eligibility
register shall be graded on a 100-point scale. A person's
position on the list shall be determined by the following: (i)
the person's score on the written examination, (ii) the person
successfully passing the physical ability component, and (iii)
the person's results on any subjective component as described
in subsection (d).
    In order to qualify for placement on the final eligibility
register, an applicant's score on the written examination,
before any applicable preference points or subjective points
are applied, shall be at or above the median score. The local
appointing authority may prescribe the score to qualify for
placement on the final eligibility register, but the score
shall not be less than the median score.
    The commission shall prepare and keep a register of persons
whose total score is not less than the minimum fixed by this
Section and who have passed the physical ability examination.
These persons shall take rank upon the register as candidates
in the order of their relative excellence based on the highest
to the lowest total points scored on the mental aptitude,
subjective component, and preference components of the test
administered in accordance with this Section. No more than 60
days after each examination, an initial eligibility list shall
be posted by the commission. The list shall include the final
grades of the candidates without reference to priority of the
time of examination and subject to claim for preference credit.
    Commissions may conduct additional examinations, including
without limitation a polygraph test, after a final eligibility
register is established and before it expires with the
candidates ranked by total score without regard to date of
examination. No more than 60 days after each examination, an
initial eligibility list shall be posted by the commission
showing the final grades of the candidates without reference to
priority of time of examination and subject to claim for
preference credit.
    (h) Preferences. The following are preferences:
        (1) Veteran preference. Persons who were engaged in the
    military service of the United States for a period of at
    least one year of active duty and who were honorably
    discharged therefrom, or who are now or have been members
    on inactive or reserve duty in such military or naval
    service, shall be preferred for appointment to and
    employment with the fire department of an affected
    department.
        (2) Fire cadet preference. Persons who have
    successfully completed 2 years of study in fire techniques
    or cadet training within a cadet program established under
    the rules of the Joint Labor and Management Committee
    (JLMC), as defined in Section 50 of the Fire Department
    Promotion Act, may be preferred for appointment to and
    employment with the fire department.
        (3) Educational preference. Persons who have
    successfully obtained an associate's degree in the field of
    fire service or emergency medical services, or a bachelor's
    degree from an accredited college or university may be
    preferred for appointment to and employment with the fire
    department.
        (4) Paramedic preference. Persons who have obtained
    certification as an Emergency Medical Technician-Paramedic
    (EMT-P) may be preferred for appointment to and employment
    with the fire department of an affected department
    providing emergency medical services.
        (5) Experience preference. All persons employed by a
    district who have been paid-on-call or part-time certified
    Firefighter II, certified Firefighter III, State of
    Illinois or nationally licensed EMT-B or EMT-I, licensed
    paramedic, or any combination of those capacities may be
    awarded up to a maximum of 5 points. However, the applicant
    may not be awarded more than 0.5 points for each complete
    year of paid-on-call or part-time service. Applicants from
    outside the district who were employed as full-time
    firefighters or firefighter-paramedics by a fire
    protection district or municipality for at least 2 years
    may be awarded up to 5 experience preference points.
    However, the applicant may not be awarded more than one
    point for each complete year of full-time service.
        Upon request by the commission, the governing body of
    the district or in the case of applicants from outside the
    district the governing body of any other fire protection
    district or any municipality shall certify to the
    commission, within 10 days after the request, the number of
    years of successful paid-on-call, part-time, or full-time
    service of any person. A candidate may not receive the full
    amount of preference points under this subsection if the
    amount of points awarded would place the candidate before a
    veteran on the eligibility list. If more than one candidate
    receiving experience preference points is prevented from
    receiving all of their points due to not being allowed to
    pass a veteran, the candidates shall be placed on the list
    below the veteran in rank order based on the totals
    received if all points under this subsection were to be
    awarded. Any remaining ties on the list shall be determined
    by lot.
        (6) Residency preference. Applicants whose principal
    residence is located within the fire department's
    jurisdiction may be preferred for appointment to and
    employment with the fire department.
        (7) Additional preferences. Up to 5 additional
    preference points may be awarded for unique categories
    based on an applicant's experience or background as
    identified by the commission.
        (8) Scoring of preferences. The commission shall give
    preference for original appointment to persons designated
    in item (1) by adding to the final grade that they receive
    5 points for the recognized preference achieved. The
    commission shall determine the number of preference points
    for each category except (1). The number of preference
    points for each category shall range from 0 to 5. In
    determining the number of preference points, the
    commission shall prescribe that if a candidate earns the
    maximum number of preference points in all categories, that
    number may not be less than 10 nor more than 30. The
    commission shall give preference for original appointment
    to persons designated in items (2) through (7) by adding
    the requisite number of points to the final grade for each
    recognized preference achieved. The numerical result thus
    attained shall be applied by the commission in determining
    the final eligibility list and appointment from the
    eligibility list. The local appointing authority may
    prescribe the total number of preference points awarded
    under this Section, but the total number of preference
    points shall not be less than 10 points or more than 30
    points.
    No person entitled to any preference shall be required to
claim the credit before any examination held under the
provisions of this Section, but the preference shall be given
after the posting or publication of the initial eligibility
list or register at the request of a person entitled to a
credit before any certification or appointments are made from
the eligibility register, upon the furnishing of verifiable
evidence and proof of qualifying preference credit. Candidates
who are eligible for preference credit shall make a claim in
writing within 10 days after the posting of the initial
eligibility list, or the claim shall be deemed waived. Final
eligibility registers shall be established after the awarding
of verified preference points. All employment shall be subject
to the commission's initial hire background review including,
but not limited to, criminal history, employment history, moral
character, oral examination, and medical and psychological
examinations, all on a pass-fail basis. The medical and
psychological examinations must be conducted last, and may only
be performed after a conditional offer of employment has been
extended.
    Any person placed on an eligibility list who exceeds the
age requirement before being appointed to a fire department
shall remain eligible for appointment until the list is
abolished, or his or her name has been on the list for a period
of 2 years. No person who has attained the age of 35 years
shall be inducted into a fire department, except as otherwise
provided in this Section.
    The commission shall strike off the names of candidates for
original appointment after the names have been on the list for
more than 2 years.
    (i) Moral character. No person shall be appointed to a fire
department unless he or she is a person of good character; not
a habitual drunkard, a gambler, or a person who has been
convicted of a felony or a crime involving moral turpitude.
However, no person shall be disqualified from appointment to
the fire department because of the person's record of
misdemeanor convictions except those under Sections 11-6,
11-7, 11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 12-2, 12-6,
12-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1,
31-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, 32-8, and subsections
1, 6, and 8 of Section 24-1 of the Criminal Code of 1961 or the
Criminal Code of 2012, or arrest for any cause without
conviction thereon. Any such person who is in the department
may be removed on charges brought for violating this subsection
and after a trial as hereinafter provided.
    A classifiable set of the fingerprints of every person who
is offered employment as a certificated member of an affected
fire department whether with or without compensation, shall be
furnished to the Illinois Department of State Police and to the
Federal Bureau of Investigation by the commission.
    Whenever a commission 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
State Police Law of the Civil Administrative Code of Illinois,
the Department of State Police is authorized to furnish,
pursuant to positive identification, the information contained
in State files as is necessary to fulfill the request.
    (j) Temporary appointments. In order to prevent a stoppage
of public business, to meet extraordinary exigencies, or to
prevent material impairment of the fire department, the
commission may make temporary appointments, to remain in force
only until regular appointments are made under the provisions
of this Section, but never to exceed 60 days. No temporary
appointment of any one person shall be made more than twice in
any calendar year.
    (k) A person who knowingly divulges or receives test
questions or answers before a written examination, or otherwise
knowingly violates or subverts any requirement of this Section,
commits a violation of this Section and may be subject to
charges for official misconduct.
    A person who is the knowing recipient of test information
in advance of the examination shall be disqualified from the
examination or discharged from the position to which he or she
was appointed, as applicable, and otherwise subjected to
disciplinary actions.
(Source: P.A. 97-251, eff. 8-4-11; 97-898, eff. 8-6-12.)
 
    Section 215. The Park District Code is amended by changing
Section 8-23 as follows:
 
    (70 ILCS 1205/8-23)
    Sec. 8-23. Criminal background investigations.
    (a) An applicant for employment with a park district is
required as a condition of employment to authorize an
investigation to determine if the applicant has been convicted
of, or adjudicated a delinquent minor for, any of the
enumerated criminal or drug offenses in subsection (c) of this
Section or has been convicted, within 7 years of the
application for employment with the park district, of any other
felony under the laws of this State or of any offense committed
or attempted in any other state or against the laws of the
United States that, if committed or attempted in this State,
would have been punishable as a felony under the laws of this
State. Authorization for the investigation shall be furnished
by the applicant to the park district. Upon receipt of this
authorization, the park district shall submit the applicant's
name, sex, race, date of birth, and social security number to
the Department of State Police on forms prescribed by the
Department of State Police. The Department of State Police
shall conduct a search of the Illinois criminal history records
database to ascertain if the applicant being considered for
employment has been convicted of, or adjudicated a delinquent
minor for, committing or attempting to commit any of the
enumerated criminal or drug offenses in subsection (c) of this
Section or has been convicted of committing or attempting to
commit, within 7 years of the application for employment with
the park district, any other felony under the laws of this
State. The Department of State Police shall charge the park
district a fee for conducting the investigation, which fee
shall be deposited in the State Police Services Fund and shall
not exceed the cost of the inquiry. The applicant shall not be
charged a fee by the park district for the investigation.
    (b) If the search of the Illinois criminal history record
database indicates that the applicant has been convicted of, or
adjudicated a delinquent minor for, committing or attempting to
commit any of the enumerated criminal or drug offenses in
subsection (c) or has been convicted of committing or
attempting to commit, within 7 years of the application for
employment with the park district, any other felony under the
laws of this State, the Department of State Police and the
Federal Bureau of Investigation shall furnish, pursuant to a
fingerprint based background check, records of convictions or
adjudications as a delinquent minor, until expunged, to the
president of the park district. Any information concerning the
record of convictions or adjudications as a delinquent minor
obtained by the president shall be confidential and may only be
transmitted to those persons who are necessary to the decision
on whether to hire the applicant for employment. A copy of the
record of convictions or adjudications as a delinquent minor
obtained from the Department of State Police shall be provided
to the applicant for employment. Any person who releases any
confidential information concerning any criminal convictions
or adjudications as a delinquent minor of an applicant for
employment shall be guilty of a Class A misdemeanor, unless the
release of such information is authorized by this Section.
    (c) No park district shall knowingly employ a person who
has been convicted, or adjudicated a delinquent minor, for
committing attempted first degree murder or for committing or
attempting to commit first degree murder, a Class X felony, or
any one or more of the following offenses: (i) those defined in
Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6,
11-9, 11-14, 11-14.3, 11-14.4, 11-15, 11-15.1, 11-16, 11-17,
11-18, 11-19, 11-19.1, 11-19.2, 11-20, 11-20.1, 11-20.1B,
11-20.3, 11-21, 11-30, 12-7.3, 12-7.4, 12-7.5, 12-13, 12-14,
12-14.1, 12-15, and 12-16 of the Criminal Code of 1961 or the
Criminal Code of 2012; (ii) those defined in the Cannabis
Control Act, except those defined in Sections 4(a), 4(b), and
5(a) of that Act; (iii) those defined in the Illinois
Controlled Substances Act; (iv) those defined in the
Methamphetamine Control and Community Protection Act; and (v)
any offense committed or attempted in any other state or
against the laws of the United States, which, if committed or
attempted in this State, would have been punishable as one or
more of the foregoing offenses. Further, no park district shall
knowingly employ a person who has been found to be the
perpetrator of sexual or physical abuse of any minor under 18
years of age pursuant to proceedings under Article II of the
Juvenile Court Act of 1987. No park district shall knowingly
employ a person for whom a criminal background investigation
has not been initiated.
(Source: P.A. 96-1551, eff. 7-1-11; 97-700, eff. 6-22-12.)
 
    Section 220. The Chicago Park District Act is amended by
changing Sections 16a-5 and 26.3 as follows:
 
    (70 ILCS 1505/16a-5)
    Sec. 16a-5. Criminal background investigations.
    (a) An applicant for employment with the Chicago Park
District is required as a condition of employment to authorize
an investigation to determine if the applicant has been
convicted of, or adjudicated a delinquent minor for, any of the
enumerated criminal or drug offenses in subsection (c) of this
Section or has been convicted, within 7 years of the
application for employment with the Chicago Park District, of
any other felony under the laws of this State or of any offense
committed or attempted in any other state or against the laws
of the United States that, if committed or attempted in this
State, would have been punishable as a felony under the laws of
this State. Authorization for the investigation shall be
furnished by the applicant to the Chicago Park District. Upon
receipt of this authorization, the Chicago Park District shall
submit the applicant's name, sex, race, date of birth, and
social security number to the Department of State Police on
forms prescribed by the Department of State Police. The
Department of State Police shall conduct a search of the
Illinois criminal history record information database to
ascertain if the applicant being considered for employment has
been convicted of, or adjudicated a delinquent minor for,
committing or attempting to commit any of the enumerated
criminal or drug offenses in subsection (c) of this Section or
has been convicted, of committing or attempting to commit
within 7 years of the application for employment with the
Chicago Park District, any other felony under the laws of this
State. The Department of State Police shall charge the Chicago
Park District a fee for conducting the investigation, which fee
shall be deposited in the State Police Services Fund and shall
not exceed the cost of the inquiry. The applicant shall not be
charged a fee by the Chicago Park District for the
investigation.
    (b) If the search of the Illinois criminal history record
database indicates that the applicant has been convicted of, or
adjudicated a delinquent minor for, committing or attempting to
commit any of the enumerated criminal or drug offenses in
subsection (c) or has been convicted of committing or
attempting to commit, within 7 years of the application for
employment with the Chicago Park District, any other felony
under the laws of this State, the Department of State Police
and the Federal Bureau of Investigation shall furnish, pursuant
to a fingerprint based background check, records of convictions
or adjudications as a delinquent minor, until expunged, to the
General Superintendent and Chief Executive Officer of the
Chicago Park District. Any information concerning the record of
convictions or adjudications as a delinquent minor obtained by
the General Superintendent and Chief Executive Officer shall be
confidential and may only be transmitted to those persons who
are necessary to the decision on whether to hire the applicant
for employment. A copy of the record of convictions or
adjudications as a delinquent minor obtained from the
Department of State Police shall be provided to the applicant
for employment. Any person who releases any confidential
information concerning any criminal convictions or
adjudications as a delinquent minor of an applicant for
employment shall be guilty of a Class A misdemeanor, unless the
release of such information is authorized by this Section.
    (c) The Chicago Park District may not knowingly employ a
person who has been convicted, or adjudicated a delinquent
minor, for committing attempted first degree murder or for
committing or attempting to commit first degree murder, a Class
X felony, or any one or more of the following offenses: (i)
those defined in Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50,
11-1.60, 11-6, 11-9, 11-14, 11-14.3, 11-14.4, 11-15, 11-15.1,
11-16, 11-17, 11-18, 11-19, 11-19.1, 11-19.2, 11-20, 11-20.1,
11-20.1B, 11-20.3, 11-21, 11-30, 12-7.3, 12-7.4, 12-7.5,
12-13, 12-14, 12-14.1, 12-15, and 12-16 of the Criminal Code of
1961 or the Criminal Code of 2012; (ii) those defined in the
Cannabis Control Act, except those defined in Sections 4(a),
4(b), and 5(a) of that Act; (iii) those defined in the Illinois
Controlled Substances Act; (iv) those defined in the
Methamphetamine Control and Community Protection Act; and (v)
any offense committed or attempted in any other state or
against the laws of the United States, which, if committed or
attempted in this State, would have been punishable as one or
more of the foregoing offenses. Further, the Chicago Park
District may not knowingly employ a person who has been found
to be the perpetrator of sexual or physical abuse of any minor
under 18 years of age pursuant to proceedings under Article II
of the Juvenile Court Act of 1987. The Chicago Park District
may not knowingly employ a person for whom a criminal
background investigation has not been initiated.
(Source: P.A. 96-1551, eff. 7-1-11; 97-700, eff. 6-22-12.)
 
    (70 ILCS 1505/26.3)  (from Ch. 105, par. 333.23n)
    Sec. 26.3. The Chicago Park District, to carry out the
purposes of this section, has all the rights and powers over
its harbor as it does over its other property, and its rights
and powers include but are not limited to the following:
        (a) To furnish complete harbor facilities and
    services, including but not limited to: launching,
    mooring, docking, storing, and repairing facilities and
    services; parking facilities for motor vehicles and boat
    trailers; and roads for access to the harbor.
        (b) To acquire by gift, legacy, grant, purchase, lease,
    or by condemnation in the manner provided for the exercise
    of the right of eminent domain under the Eminent Domain
    Act, any property necessary or appropriate for the purposes
    of this Section, including riparian rights, within or
    without the Chicago Park District.
        (c) To use, occupy and reclaim submerged land under the
    public waters of the State and artificially made or
    reclaimed land anywhere within the jurisdiction of the
    Chicago Park District, or in, over, and upon bordering
    public waters.
        (d) To acquire property by agreeing on a boundary line
    in accordance with the provisions of "An Act to enable the
    commissioners of Lincoln Park to extend certain parks,
    boulevards and driveways under its control from time to
    time and granting submerged lands for the purpose of such
    extensions and providing for the acquisition of riparian
    rights and shore lands and interests therein for the
    purpose of such extensions and to defray the cost thereof,"
    approved May 25, 1931, and "An Act to enable Park
    Commissioners having control of a park or parks bordering
    upon public waters in this state, to enlarge and connect
    the same from time to time by extensions over lands and the
    bed of such waters, and defining the use which may be made
    of such extensions, and granting lands for the purpose of
    such enlargements," approved May 14, 1903, as amended, and
    the other Statutes pertaining to Park Districts bordering
    on navigable waters in the State of Illinois.
        (e) To locate and establish dock, shore and harbor
    lines.
        (f) To license, regulate, and control the use and
    operation of the harbor, including the operation of all
    water-borne vessels in the harbor, or otherwise within the
    jurisdiction of the Chicago Park District.
        (g) To establish and collect fees for all facilities
    and services, and compensation for materials furnished.
    Fees charged nonresidents of such district need not be the
    same as fees charged to residents of the district.
        (h) To appoint a director of special services, harbor
    masters and other personnel, defining their duties and
    authority.
        (i) To enter into contracts and leases of every kind,
    dealing in any manner with the objects and purposes of this
    section, upon such terms and conditions as the Chicago Park
    District determines.
        (j) To establish an impoundment area or areas within
    the jurisdiction of the Chicago Park District.
        (k) To remove and store within the impoundment area or
    areas a water-borne vessel that:
            (1) is tied or attached to any docks, piers or
        buoys or other moorings in or upon any harbors or
        waters of the park system in contravention of those
        Sections of the Code of the Chicago Park District
        pertaining to the use of harbors or any rules
        promulgated by the general superintendent thereunder;
            (2) is located in the waters or harbors for a
        period of 12 hours or more without a proper permit;
            (3) is abandoned or left unattended in the waters
        or harbors that impedes navigation on the waters;
            (4) is impeding navigation on the waters, because
        the persons in charge are incapacitated due to injury
        or illness;
            (5) is abandoned in the waters or harbors for a
        period of 10 hours or more;
            (6) is seized under Article 36 of the Criminal Code
        of 2012 1961, having been used in the commission of a
        crime;
            (7) is reported stolen and the owner has not been
        located after a reasonable search.
        (l) To impose a duty on the director of special
    services or other appointed official to manage and operate
    the impoundment process and to keep any impounded vessel
    until such vessel is repossessed by the owner or other
    person legally entitled to possession thereof or otherwise
    disposed of in accordance with ordinances or regulations
    established by the Chicago Park District.
        (m) To impose fees and charges for redemption of any
    impounded vessel to cover the cost of towing and storage of
    the vessel while in custody of the Chicago Park District.
        (n) To release any impounded vessel to a person
    entitled to possession or to dispose of such vessel which
    remains unclaimed after a reasonable search for the owner
    has been made in full compliance with ordinances and
    regulations of the Chicago Park District.
        (o) To control, license and regulate, including the
    establishment of permits and fees therefor, the
    chartering, renting or letting for hire of any vessel
    operating on the waters or harbors within the jurisdiction
    of the Chicago Park District.
        (p) To rent storage space to owners of vessels during
    such seasons and at such fees as are prescribed from time
    to time in regulations of the Chicago Park District.
(Source: P.A. 94-1055, eff. 1-1-07.)
 
    Section 225. The Metropolitan Water Reclamation District
Act is amended by changing Section 7g as follows:
 
    (70 ILCS 2605/7g)  (from Ch. 42, par. 326g)
    Sec. 7g. Any person who takes or who knowingly permits his
agent or employee to take industrial wastes or other wastes
from a point of origin and intentionally discharges such wastes
by means of mobile or portable equipment into any sewer, sewer
manhole, or any appurtenances thereto, or directly or
indirectly to any waters without possession of a valid and
legally issued permit shall be guilty of a Class A misdemeanor.
A second or subsequent offense shall constitute a Class 4
felony.
    Any mobile or portable equipment used in the commission of
any act which is a violation of this Section shall be subject
to seizure and forfeiture in the manner provided for the
seizure and forfeiture of vessels, vehicles and aircraft in
Article 36 of the Criminal Code of 2012 1961, as now or
hereafter amended. The person causing the intentional
discharge shall be liable for the costs of seizure, storage,
and disposal of the mobile or portable equipment.
    The terms "industrial waste" and "other wastes" shall have
the same meaning as these terms are defined in Section 7a of
this Act.
(Source: P.A. 90-354, eff. 8-8-97.)
 
    Section 230. The Metropolitan Transit Authority Act is
amended by changing Section 28b as follows:
 
    (70 ILCS 3605/28b)  (from Ch. 111 2/3, par. 328b)
    Sec. 28b. Any person applying for a position as a driver of
a vehicle owned by a private carrier company which provides
public transportation pursuant to an agreement with the
Authority shall be required to authorize an investigation by
the private carrier company to determine if the applicant has
been convicted of any of the following offenses: (i) those
offenses defined in Sections 9-1, 9-1.2, 10-1, 10-2, 10-3.1,
10-4, 10-5, 10-6, 10-7, 11-1.20, 11-1.30, 11-1.40, 11-1.50,
11-1.60, 11-6, 11-9, 11-14, 11-14.3, 11-14.4, 11-15, 11-15.1,
11-16, 11-17, 11-18, 11-19, 11-19.1, 11-19.2, 11-20, 11-20.1,
11-20.1B, 11-20.3, 11-21, 11-22, 11-30, 12-4.3, 12-4.4,
12-4.5, 12-6, 12-7.1, 12-11, 12-13, 12-14, 12-14.1, 12-15,
12-16, 12-16.1, 18-1, 18-2, 19-6, 20-1, 20-1.1, 31A-1, 31A-1.1,
and 33A-2, in subsection (a) and subsection (b), clause (1), of
Section 12-4, in subdivisions (a)(1), (b)(1), and (f)(1) of
Section 12-3.05, and in subsection (a-5) of Section 12-3.1 of
the Criminal Code of 1961 or the Criminal Code of 2012; (ii)
those offenses defined in the Cannabis Control Act except those
offenses defined in subsections (a) and (b) of Section 4, and
subsection (a) of Section 5 of the Cannabis Control Act (iii)
those offenses defined in the Illinois Controlled Substances
Act; (iv) those offenses defined in the Methamphetamine Control
and Community Protection Act; and (v) any offense committed or
attempted in any other state or against the laws of the United
States, which if committed or attempted in this State would be
punishable as one or more of the foregoing offenses. Upon
receipt of this authorization, the private carrier company
shall submit the applicant's name, sex, race, date of birth,
fingerprints and social security number to the Department of
State Police on forms prescribed by the Department. The
Department of State Police shall conduct an investigation to
ascertain if the applicant has been convicted of any of the
above enumerated offenses. The Department shall charge the
private carrier company a fee for conducting the investigation,
which fee shall be deposited in the State Police Services Fund
and shall not exceed the cost of the inquiry; and the applicant
shall not be charged a fee for such investigation by the
private carrier company. The Department of State Police shall
furnish, pursuant to positive identification, records of
convictions, until expunged, to the private carrier company
which requested the investigation. A copy of the record of
convictions obtained from the Department shall be provided to
the applicant. Any record of conviction received by the private
carrier company shall be confidential. Any person who releases
any confidential information concerning any criminal
convictions of an applicant shall be guilty of a Class A
misdemeanor, unless authorized by this Section.
(Source: P.A. 96-1551, Article 1, Section 920, eff. 7-1-11;
96-1551, Article 2, Section 960, eff. 7-1-11; 97-1108, eff.
1-1-13; 97-1109, eff. 1-1-13.)
 
    Section 235. The School Code is amended by changing
Sections 10-3, 10-10, 10-22.6, 10-22.39, 10-27.1A, 14-6.02,
21B-80, 27-9.1, 33-2, 34-2.1, 34-4, 34-84a.1, and 34-84b as
follows:
 
    (105 ILCS 5/10-3)  (from Ch. 122, par. 10-3)
    Sec. 10-3. Eligibility of directors. Any person who, on the
date of his or her election, is a citizen of the United States,
of the age of 18 years or over, is a resident of the State and
of the territory of the district for at least one year
immediately preceding his or her election, is a registered
voter as provided in the general election law, is not a school
trustee or a school treasurer, and is not a child sex offender
as defined in Section 11-9.3 of the Criminal Code of 2012 1961
shall be eligible to the office of school director.
(Source: P.A. 93-309, eff. 1-1-04.)
 
    (105 ILCS 5/10-10)  (from Ch. 122, par. 10-10)
    Sec. 10-10. Board of education; Term; Vacancy. All school
districts having a population of not fewer than 1,000 and not
more than 500,000 inhabitants, as ascertained by any special or
general census, and not governed by special Acts, shall be
governed by a board of education consisting of 7 members,
serving without compensation except as herein provided. Each
member shall be elected for a term of 4 years for the initial
members of the board of education of a combined school district
to which that subsection applies. If 5 members are elected in
1983 pursuant to the extension of terms provided by law for
transition to the consolidated election schedule under the
general election law, 2 of those members shall be elected to
serve terms of 2 years and 3 shall be elected to serve terms of
4 years; their successors shall serve for a 4 year term. When
the voters of a district have voted to elect members of the
board of education for 6 year terms, as provided in Section
9-5, the terms of office of members of the board of education
of that district expire when their successors assume office but
not later than 7 days after such election. If at the regular
school election held in the first odd-numbered year after the
determination to elect members for 6 year terms 2 members are
elected, they shall serve for a 6 year term; and of the members
elected at the next regular school election 3 shall serve for a
term of 6 years and 2 shall serve a term of 2 years. Thereafter
members elected in such districts shall be elected to a 6 year
term. If at the regular school election held in the first
odd-numbered year after the determination to elect members for
6 year terms 3 members are elected, they shall serve for a 6
year term; and of the members elected at the next regular
school election 2 shall serve for a term of 2 years and 2 shall
serve for a term of 6 years. Thereafter members elected in such
districts shall be elected to a 6 year term. If at the regular
school election held in the first odd-numbered year after the
determination to elect members for 6 year terms 4 members are
elected, 3 shall serve for a term of 6 years and one shall
serve for a term of 2 years; and of the members elected at the
next regular school election 2 shall serve for terms of 6 years
and 2 shall serve for terms of 2 years. Thereafter members
elected in such districts shall be elected to a 6 year term. If
at the regular school election held in the first odd-numbered
year after the determination to elect members for a 6 year term
5 members are elected, 3 shall serve for a term of 6 years and 2
shall serve for a term of 2 years; and of the members elected
at the next regular school election 2 shall serve for terms of
6 years and 2 shall serve for terms of 2 years. Thereafter
members elected in such districts shall be elected to a 6 year
term. An election for board members shall not be held in school
districts which by consolidation, annexation or otherwise
shall cease to exist as a school district within 6 months after
the election date, and the term of all board members which
would otherwise terminate shall be continued until such
district shall cease to exist. Each member, on the date of his
or her election, shall be a citizen of the United States of the
age of 18 years or over, shall be a resident of the State and
the territory of the district for at least one year immediately
preceding his or her election, shall be a registered voter as
provided in the general election law, shall not be a school
trustee, and shall not be a child sex offender as defined in
Section 11-9.3 of the Criminal Code of 2012 1961. When the
board of education is the successor of the school directors,
all rights of property, and all rights regarding causes of
action existing or vested in such directors, shall vest in it
as fully as they were vested in the school directors. Terms of
members are subject to Section 2A-54 of the Election Code.
    Nomination papers filed under this Section are not valid
unless the candidate named therein files with the secretary of
the board of education or with a person designated by the board
to receive nominating petitions a receipt from the county clerk
showing that the candidate has filed a statement of economic
interests as required by the Illinois Governmental Ethics Act.
Such receipt shall be so filed either previously during the
calendar year in which his nomination papers were filed or
within the period for the filing of nomination papers in
accordance with the general election law.
    Whenever a vacancy occurs, the remaining members shall
notify the regional superintendent of that vacancy within 5
days after its occurrence and shall proceed to fill the vacancy
until the next regular school election, at which election a
successor shall be elected to serve the remainder of the
unexpired term. However, if the vacancy occurs with less than
868 days remaining in the term, or if the vacancy occurs less
than 88 days before the next regularly scheduled election for
this office then the person so appointed shall serve the
remainder of the unexpired term, and no election to fill the
vacancy shall be held. Should they fail so to act, within 45
days after the vacancy occurs, the regional superintendent of
schools under whose supervision and control the district is
operating, as defined in Section 3-14.2 of this Act, shall
within 30 days after the remaining members have failed to fill
the vacancy, fill the vacancy as provided for herein. Upon the
regional superintendent's failure to fill the vacancy, the
vacancy shall be filled at the next regularly scheduled
election. Whether elected or appointed by the remaining members
or regional superintendent, the successor shall be an
inhabitant of the particular area from which his or her
predecessor was elected if the residential requirements
contained in Section 10-10.5 or 12-2 of this Code apply.
    A board of education may appoint a student to the board to
serve in an advisory capacity. The student member shall serve
for a term as determined by the board. The board may not grant
the student member any voting privileges, but shall consider
the student member as an advisor. The student member may not
participate in or attend any executive session of the board.
(Source: P.A. 96-538, eff. 8-14-09.)
 
    (105 ILCS 5/10-22.6)  (from Ch. 122, par. 10-22.6)
    Sec. 10-22.6. Suspension or expulsion of pupils; school
searches.
    (a) To expel pupils guilty of gross disobedience or
misconduct, including gross disobedience or misconduct
perpetuated by electronic means, and no action shall lie
against them for such expulsion. Expulsion shall take place
only after the parents have been requested to appear at a
meeting of the board, or with a hearing officer appointed by
it, to discuss their child's behavior. Such request shall be
made by registered or certified mail and shall state the time,
place and purpose of the meeting. The board, or a hearing
officer appointed by it, at such meeting shall state the
reasons for dismissal and the date on which the expulsion is to
become effective. If a hearing officer is appointed by the
board he shall report to the board a written summary of the
evidence heard at the meeting and the board may take such
action thereon as it finds appropriate. An expelled pupil may
be immediately transferred to an alternative program in the
manner provided in Article 13A or 13B of this Code. A pupil
must not be denied transfer because of the expulsion, except in
cases in which such transfer is deemed to cause a threat to the
safety of students or staff in the alternative program.
    (b) To suspend or by policy to authorize the superintendent
of the district or the principal, assistant principal, or dean
of students of any school to suspend pupils guilty of gross
disobedience or misconduct, or to suspend pupils guilty of
gross disobedience or misconduct on the school bus from riding
the school bus, and no action shall lie against them for such
suspension. The board may by policy authorize the
superintendent of the district or the principal, assistant
principal, or dean of students of any school to suspend pupils
guilty of such acts for a period not to exceed 10 school days.
If a pupil is suspended due to gross disobedience or misconduct
on a school bus, the board may suspend the pupil in excess of
10 school days for safety reasons. Any suspension shall be
reported immediately to the parents or guardian of such pupil
along with a full statement of the reasons for such suspension
and a notice of their right to a review. The school board must
be given a summary of the notice, including the reason for the
suspension and the suspension length. Upon request of the
parents or guardian the school board or a hearing officer
appointed by it shall review such action of the superintendent
or principal, assistant principal, or dean of students. At such
review the parents or guardian of the pupil may appear and
discuss the suspension with the board or its hearing officer.
If a hearing officer is appointed by the board he shall report
to the board a written summary of the evidence heard at the
meeting. After its hearing or upon receipt of the written
report of its hearing officer, the board may take such action
as it finds appropriate. A pupil who is suspended in excess of
20 school days may be immediately transferred to an alternative
program in the manner provided in Article 13A or 13B of this
Code. A pupil must not be denied transfer because of the
suspension, except in cases in which such transfer is deemed to
cause a threat to the safety of students or staff in the
alternative program.
    (c) The Department of Human Services shall be invited to
send a representative to consult with the board at such meeting
whenever there is evidence that mental illness may be the cause
for expulsion or suspension.
    (d) The board may expel a student for a definite period of
time not to exceed 2 calendar years, as determined on a case by
case basis. A student who is determined to have brought one of
the following objects to school, any school-sponsored activity
or event, or any activity or event that bears a reasonable
relationship to school shall be expelled for a period of not
less than one year:
        (1) A firearm. For the purposes of this Section,
    "firearm" means any gun, rifle, shotgun, weapon as defined
    by Section 921 of Title 18 of the United States Code,
    firearm as defined in Section 1.1 of the Firearm Owners
    Identification Card Act, or firearm as defined in Section
    24-1 of the Criminal Code of 2012 1961. The expulsion
    period under this subdivision (1) may be modified by the
    superintendent, and the superintendent's determination may
    be modified by the board on a case-by-case basis.
        (2) A knife, brass knuckles or other knuckle weapon
    regardless of its composition, a billy club, or any other
    object if used or attempted to be used to cause bodily
    harm, including "look alikes" of any firearm as defined in
    subdivision (1) of this subsection (d). The expulsion
    requirement under this subdivision (2) may be modified by
    the superintendent, and the superintendent's determination
    may be modified by the board on a case-by-case basis.
Expulsion or suspension shall be construed in a manner
consistent with the Federal Individuals with Disabilities
Education Act. A student who is subject to suspension or
expulsion as provided in this Section may be eligible for a
transfer to an alternative school program in accordance with
Article 13A of the School Code. The provisions of this
subsection (d) apply in all school districts, including special
charter districts and districts organized under Article 34.
    (d-5) The board may suspend or by regulation authorize the
superintendent of the district or the principal, assistant
principal, or dean of students of any school to suspend a
student for a period not to exceed 10 school days or may expel
a student for a definite period of time not to exceed 2
calendar years, as determined on a case by case basis, if (i)
that student has been determined to have made an explicit
threat on an Internet website against a school employee, a
student, or any school-related personnel, (ii) the Internet
website through which the threat was made is a site that was
accessible within the school at the time the threat was made or
was available to third parties who worked or studied within the
school grounds at the time the threat was made, and (iii) the
threat could be reasonably interpreted as threatening to the
safety and security of the threatened individual because of his
or her duties or employment status or status as a student
inside the school. The provisions of this subsection (d-5)
apply in all school districts, including special charter
districts and districts organized under Article 34 of this
Code.
    (e) To maintain order and security in the schools, school
authorities may inspect and search places and areas such as
lockers, desks, parking lots, and other school property and
equipment owned or controlled by the school, as well as
personal effects left in those places and areas by students,
without notice to or the consent of the student, and without a
search warrant. As a matter of public policy, the General
Assembly finds that students have no reasonable expectation of
privacy in these places and areas or in their personal effects
left in these places and areas. School authorities may request
the assistance of law enforcement officials for the purpose of
conducting inspections and searches of lockers, desks, parking
lots, and other school property and equipment owned or
controlled by the school for illegal drugs, weapons, or other
illegal or dangerous substances or materials, including
searches conducted through the use of specially trained dogs.
If a search conducted in accordance with this Section produces
evidence that the student has violated or is violating either
the law, local ordinance, or the school's policies or rules,
such evidence may be seized by school authorities, and
disciplinary action may be taken. School authorities may also
turn over such evidence to law enforcement authorities. The
provisions of this subsection (e) apply in all school
districts, including special charter districts and districts
organized under Article 34.
    (f) Suspension or expulsion may include suspension or
expulsion from school and all school activities and a
prohibition from being present on school grounds.
    (g) A school district may adopt a policy providing that if
a student is suspended or expelled for any reason from any
public or private school in this or any other state, the
student must complete the entire term of the suspension or
expulsion in an alternative school program under Article 13A of
this Code or an alternative learning opportunities program
under Article 13B of this Code before being admitted into the
school district if there is no threat to the safety of students
or staff in the alternative program. This subsection (g)
applies to all school districts, including special charter
districts and districts organized under Article 34 of this
Code.
(Source: P.A. 96-633, eff. 8-24-09; 96-998, eff. 7-2-10;
97-340, eff. 1-1-12; 97-495, eff. 1-1-12; 97-813, eff.
7-13-12.)
 
    (105 ILCS 5/10-22.39)
    Sec. 10-22.39. In-service training programs.
    (a) To conduct in-service training programs for teachers.
    (b) In addition to other topics at in-service training
programs, school guidance counselors, teachers, school social
workers, and other school personnel who work with pupils in
grades 7 through 12 shall be trained to identify the warning
signs of suicidal behavior in adolescents and teens and shall
be taught appropriate intervention and referral techniques.
    (c) School guidance counselors, nurses, teachers and other
school personnel who work with pupils may be trained to have a
basic knowledge of matters relating to acquired
immunodeficiency syndrome (AIDS), including the nature of the
disease, its causes and effects, the means of detecting it and
preventing its transmission, and the availability of
appropriate sources of counseling and referral, and any other
information that may be appropriate considering the age and
grade level of such pupils. The School Board shall supervise
such training. The State Board of Education and the Department
of Public Health shall jointly develop standards for such
training.
    (d) In this subsection (d):
    "Domestic violence" means abuse by a family or household
member, as "abuse" and "family or household members" are
defined in Section 103 of the Illinois Domestic Violence Act of
1986.
    "Sexual violence" means sexual assault, abuse, or stalking
of an adult or minor child proscribed in the Criminal Code of
1961 or the Criminal Code of 2012 in Sections 11-1.20, 11-1.30,
11-1.40, 11-1.50, 11-1.60, 12-7.3, 12-7.4, 12-7.5, 12-12,
12-13, 12-14, 12-14.1, 12-15, and 12-16, including sexual
violence committed by perpetrators who are strangers to the
victim and sexual violence committed by perpetrators who are
known or related by blood or marriage to the victim.
    At least once every 2 years, an in-service training program
for school personnel who work with pupils, including, but not
limited to, school and school district administrators,
teachers, school guidance counselors, school social workers,
school counselors, school psychologists, and school nurses,
must be conducted by persons with expertise in domestic and
sexual violence and the needs of expectant and parenting youth
and shall include training concerning (i) communicating with
and listening to youth victims of domestic or sexual violence
and expectant and parenting youth, (ii) connecting youth
victims of domestic or sexual violence and expectant and
parenting youth to appropriate in-school services and other
agencies, programs, and services as needed, and (iii)
implementing the school district's policies, procedures, and
protocols with regard to such youth, including
confidentiality. At a minimum, school personnel must be trained
to understand, provide information and referrals, and address
issues pertaining to youth who are parents, expectant parents,
or victims of domestic or sexual violence.
    (e) At least every 2 years, an in-service training program
for school personnel who work with pupils must be conducted by
persons with expertise in anaphylactic reactions and
management.
    (f) At least once every 2 years, a school board shall
conduct in-service training on educator ethics,
teacher-student conduct, and school employee-student conduct
for all personnel.
(Source: P.A. 95-558, eff. 8-30-07; 96-349, eff. 8-13-09;
96-431, eff. 8-13-09; 96-951, eff. 6-28-10; 96-1000, eff.
7-2-10; 96-1551, eff. 7-1-11.)
 
    (105 ILCS 5/10-27.1A)
    Sec. 10-27.1A. Firearms in schools.
    (a) All school officials, including teachers, guidance
counselors, and support staff, shall immediately notify the
office of the principal in the event that they observe any
person in possession of a firearm on school grounds; provided
that taking such immediate action to notify the office of the
principal would not immediately endanger the health, safety, or
welfare of students who are under the direct supervision of the
school official or the school official. If the health, safety,
or welfare of students under the direct supervision of the
school official or of the school official is immediately
endangered, the school official shall notify the office of the
principal as soon as the students under his or her supervision
and he or she are no longer under immediate danger. A report is
not required by this Section when the school official knows
that the person in possession of the firearm is a law
enforcement official engaged in the conduct of his or her
official duties. Any school official acting in good faith who
makes such a report under this Section shall have immunity from
any civil or criminal liability that might otherwise be
incurred as a result of making the report. The identity of the
school official making such report shall not be disclosed
except as expressly and specifically authorized by law.
Knowingly and willfully failing to comply with this Section is
a petty offense. A second or subsequent offense is a Class C
misdemeanor.
    (b) Upon receiving a report from any school official
pursuant to this Section, or from any other person, the
principal or his or her designee shall immediately notify a
local law enforcement agency. If the person found to be in
possession of a firearm on school grounds is a student, the
principal or his or her designee shall also immediately notify
that student's parent or guardian. Any principal or his or her
designee acting in good faith who makes such reports under this
Section shall have immunity from any civil or criminal
liability that might otherwise be incurred or imposed as a
result of making the reports. Knowingly and willfully failing
to comply with this Section is a petty offense. A second or
subsequent offense is a Class C misdemeanor. If the person
found to be in possession of the firearm on school grounds is a
minor, the law enforcement agency shall detain that minor until
such time as the agency makes a determination pursuant to
clause (a) of subsection (1) of Section 5-401 of the Juvenile
Court Act of 1987, as to whether the agency reasonably believes
that the minor is delinquent. If the law enforcement agency
determines that probable cause exists to believe that the minor
committed a violation of item (4) of subsection (a) of Section
24-1 of the Criminal Code of 2012 1961 while on school grounds,
the agency shall detain the minor for processing pursuant to
Section 5-407 of the Juvenile Court Act of 1987.
    (c) On or after January 1, 1997, upon receipt of any
written, electronic, or verbal report from any school personnel
regarding a verified incident involving a firearm in a school
or on school owned or leased property, including any conveyance
owned, leased, or used by the school for the transport of
students or school personnel, the superintendent or his or her
designee shall report all such firearm-related incidents
occurring in a school or on school property to the local law
enforcement authorities immediately and to the Department of
State Police in a form, manner, and frequency as prescribed by
the Department of State Police.
    The State Board of Education shall receive an annual
statistical compilation and related data associated with
incidents involving firearms in schools from the Department of
State Police. The State Board of Education shall compile this
information by school district and make it available to the
public.
    (d) As used in this Section, the term "firearm" shall have
the meaning ascribed to it in Section 1.1 of the Firearm Owners
Identification Card Act.
    As used in this Section, the term "school" means any public
or private elementary or secondary school.
    As used in this Section, the term "school grounds" includes
the real property comprising any school, any conveyance owned,
leased, or contracted by a school to transport students to or
from school or a school-related activity, or any public way
within 1,000 feet of the real property comprising any school.
(Source: P.A. 91-11, eff. 6-4-99; 91-491, eff. 8-13-99.)
 
    (105 ILCS 5/14-6.02)  (from Ch. 122, par. 14-6.02)
    Sec. 14-6.02. Service animals. Service animals such as
guide dogs, signal dogs or any other animal individually
trained to perform tasks for the benefit of a student with a
disability shall be permitted to accompany that student at all
school functions, whether in or outside the classroom. For the
purposes of this Section, "service animal" has the same meaning
as in Section 48-8 of the Criminal Code of 2012 1 of the
Service Animal Access Act.
(Source: P.A. 97-956, eff. 8-14-12; revised 9-20-12.)
 
    (105 ILCS 5/21B-80)
    Sec. 21B-80. Conviction of certain offenses as grounds for
revocation of license.
    (a) As used in this Section:
    "Narcotics offense" means any one or more of the following
offenses:
        (1) Any offense defined in the Cannabis Control Act,
    except those defined in subdivisions (a) and (b) of Section
    4 and subdivision (a) of Section 5 of the Cannabis Control
    Act and any offense for which the holder of a license is
    placed on probation under the provisions of Section 10 of
    the Cannabis Control Act, provided that if the terms and
    conditions of probation required by the court are not
    fulfilled, the offense is not eligible for this exception.
        (2) Any offense defined in the Illinois Controlled
    Substances Act, except any offense for which the holder of
    a license is placed on probation under the provisions of
    Section 410 of the Illinois Controlled Substances Act,
    provided that if the terms and conditions of probation
    required by the court are not fulfilled, the offense is not
    eligible for this exception.
        (3) Any offense defined in the Methamphetamine Control
    and Community Protection Act, except any offense for which
    the holder of a license is placed on probation under the
    provision of Section 70 of that Act, provided that if the
    terms and conditions of probation required by the court are
    not fulfilled, the offense is not eligible for this
    exception.
        (4) Any attempt to commit any of the offenses listed in
    items (1) through (3) of this definition.
        (5) Any offense committed or attempted in any other
    state or against the laws of the United States that, if
    committed or attempted in this State, would have been
    punishable as one or more of the offenses listed in items
    (1) through (4) of this definition.
The changes made by Public Act 96-431 to the definition of
"narcotics offense" are declaratory of existing law.
    "Sex offense" means any one or more of the following
offenses:
        (A) Any offense defined in Sections 11-6, 11-9 through
    11-9.5, inclusive, and 11-30, of the Criminal Code of 1961
    or the Criminal Code of 2012; Sections 11-14 through 11-21,
    inclusive, of the Criminal Code of 1961 or the Criminal
    Code of 2012; Sections 11-23 (if punished as a Class 3
    felony), 11-24, 11-25, and 11-26 of the Criminal Code of
    1961 or the Criminal Code of 2012; and Sections 11-1.20,
    11-1.30, 11-1.40, 11-1.50, 11-1.60, 12-4.9, 12-13, 12-14,
    12-14.1, 12-15, 12-16, 12-32, 12-33, and 12C-45 of the
    Criminal Code of 1961 or the Criminal Code of 2012.
        (B) Any attempt to commit any of the offenses listed in
    item (A) of this definition.
        (C) Any offense committed or attempted in any other
    state that, if committed or attempted in this State, would
    have been punishable as one or more of the offenses listed
    in items (A) and (B) of this definition.
    (b) Whenever the holder of any license issued pursuant to
this Article has been convicted of any sex offense or narcotics
offense, the State Superintendent of Education shall forthwith
suspend the license. If the conviction is reversed and the
holder is acquitted of the offense in a new trial or the
charges against him or her are dismissed, the State
Superintendent of Education shall forthwith terminate the
suspension of the license. When the conviction becomes final,
the State Superintendent of Education shall forthwith revoke
the license.
    (c) Whenever the holder of a license issued pursuant to
this Article has been convicted of attempting to commit,
conspiring to commit, soliciting, or committing first degree
murder or a Class X felony or any offense committed or
attempted in any other state or against the laws of the United
States that, if committed or attempted in this State, would
have been punishable as one or more of the foregoing offenses,
the State Superintendent of Education shall forthwith suspend
the license. If the conviction is reversed and the holder is
acquitted of that offense in a new trial or the charges that he
or she committed that offense are dismissed, the State
Superintendent of Education shall forthwith terminate the
suspension of the license. When the conviction becomes final,
the State Superintendent of Education shall forthwith revoke
the license.
(Source: P.A. 97-607, eff. 8-26-11; incorporates 96-1551, eff.
7-1-11; 97-1109, eff. 1-1-13.)
 
    (105 ILCS 5/27-9.1)  (from Ch. 122, par. 27-9.1)
    Sec. 27-9.1. Sex Education.
    (a) No pupil shall be required to take or participate in
any class or course in comprehensive sex education if his
parent or guardian submits written objection thereto, and
refusal to take or participate in such course or program shall
not be reason for suspension or expulsion of such pupil. Each
class or course in comprehensive sex education offered in any
of grades 6 through 12 shall include instruction on the
prevention, transmission and spread of AIDS. Nothing in this
Section prohibits instruction in sanitation, hygiene or
traditional courses in biology.
    (b) All public elementary, junior high, and senior high
school classes that teach sex education and discuss sexual
intercourse shall emphasize that abstinence is the expected
norm in that abstinence from sexual intercourse is the only
protection that is 100% effective against unwanted teenage
pregnancy, sexually transmitted diseases, and acquired immune
deficiency syndrome (AIDS) when transmitted sexually.
    (c) All sex education courses that discuss sexual
intercourse shall satisfy the following criteria:
        (1) Course material and instruction shall be age
    appropriate.
        (2) Course material and instruction shall teach honor
    and respect for monogamous heterosexual marriage.
        (3) Course material and instruction shall stress that
    pupils should abstain from sexual intercourse until they
    are ready for marriage.
        (4) Course material and instruction shall include a
    discussion of the possible emotional and psychological
    consequences of preadolescent and adolescent sexual
    intercourse outside of marriage and the consequences of
    unwanted adolescent pregnancy.
        (5) Course material and instruction shall stress that
    sexually transmitted diseases are serious possible hazards
    of sexual intercourse. Pupils shall be provided with
    statistics based on the latest medical information citing
    the failure and success rates of condoms in preventing AIDS
    and other sexually transmitted diseases.
        (6) Course material and instruction shall advise
    pupils of the laws pertaining to their financial
    responsibility to children born in and out of wedlock.
        (7) Course material and instruction shall advise
    pupils of the circumstances under which it is unlawful for
    males to have sexual relations with females under the age
    of 18 to whom they are not married pursuant to Article 11
    12 of the Criminal Code of 2012 1961, as now or hereafter
    amended.
        (8) Course material and instruction shall teach pupils
    to not make unwanted physical and verbal sexual advances
    and how to say no to unwanted sexual advances. Pupils shall
    be taught that it is wrong to take advantage of or to
    exploit another person. The material and instruction shall
    also encourage youth to resist negative peer pressure.
        (9) (Blank).
        (10) Course material and instruction shall teach
    pupils about the dangers associated with drug and alcohol
    consumption during pregnancy.
    (d) An opportunity shall be afforded to parents or
guardians to examine the instructional materials to be used in
such class or course.
(Source: P.A. 96-1082, eff. 7-16-10.)
 
    (105 ILCS 5/33-2)  (from Ch. 122, par. 33-2)
    Sec. 33-2. Eligibility. To be eligible for election to the
board, a person shall be a citizen of the United States, shall
have been a resident of the district for at least one year
immediately preceding his or her election, and shall not be a
child sex offender as defined in Section 11-9.3 of the Criminal
Code of 2012 1961. Permanent removal from the district by any
member constitutes a resignation from and creates a vacancy in
the board. Board members shall serve without compensation.
    Notwithstanding any provisions to the contrary in any
special charter, petitions nominating candidates for the board
of education shall be signed by at least 200 voters of the
district; and the polls, whether they be located within a city
lying in the district or outside of a city, shall remain open
during the hours specified in the Election Code.
(Source: P.A. 93-309, eff. 1-1-04.)
 
    (105 ILCS 5/34-2.1)  (from Ch. 122, par. 34-2.1)
    Sec. 34-2.1. Local School Councils - Composition -
Voter-Eligibility - Elections - Terms.
    (a) A local school council shall be established for each
attendance center within the school district. Each local school
council shall consist of the following 12 voting members: the
principal of the attendance center, 2 teachers employed and
assigned to perform the majority of their employment duties at
the attendance center, 6 parents of students currently enrolled
at the attendance center, one employee of the school district
employed and assigned to perform the majority of his or her
employment duties at the attendance center who is not a
teacher, and 2 community residents. Neither the parents nor the
community residents who serve as members of the local school
council shall be employees of the Board of Education. In each
secondary attendance center, the local school council shall
consist of 13 voting members -- the 12 voting members described
above and one full-time student member, appointed as provided
in subsection (m) below. In the event that the chief executive
officer of the Chicago School Reform Board of Trustees
determines that a local school council is not carrying out its
financial duties effectively, the chief executive officer is
authorized to appoint a representative of the business
community with experience in finance and management to serve as
an advisor to the local school council for the purpose of
providing advice and assistance to the local school council on
fiscal matters. The advisor shall have access to relevant
financial records of the local school council. The advisor may
attend executive sessions. The chief executive officer shall
issue a written policy defining the circumstances under which a
local school council is not carrying out its financial duties
effectively.
    (b) Within 7 days of January 11, 1991, the Mayor shall
appoint the members and officers (a Chairperson who shall be a
parent member and a Secretary) of each local school council who
shall hold their offices until their successors shall be
elected and qualified. Members so appointed shall have all the
powers and duties of local school councils as set forth in this
amendatory Act of 1991. The Mayor's appointments shall not
require approval by the City Council.
    The membership of each local school council shall be
encouraged to be reflective of the racial and ethnic
composition of the student population of the attendance center
served by the local school council.
    (c) Beginning with the 1995-1996 school year and in every
even-numbered year thereafter, the Board shall set second
semester Parent Report Card Pick-up Day for Local School
Council elections and may schedule elections at year-round
schools for the same dates as the remainder of the school
system. Elections shall be conducted as provided herein by the
Board of Education in consultation with the local school
council at each attendance center.
    (d) Beginning with the 1995-96 school year, the following
procedures shall apply to the election of local school council
members at each attendance center:
        (i) The elected members of each local school council
    shall consist of the 6 parent members and the 2 community
    resident members.
        (ii) Each elected member shall be elected by the
    eligible voters of that attendance center to serve for a
    two-year term commencing on July 1 immediately following
    the election described in subsection (c). Eligible voters
    for each attendance center shall consist of the parents and
    community residents for that attendance center.
        (iii) Each eligible voter shall be entitled to cast one
    vote for up to a total of 5 candidates, irrespective of
    whether such candidates are parent or community resident
    candidates.
        (iv) Each parent voter shall be entitled to vote in the
    local school council election at each attendance center in
    which he or she has a child currently enrolled. Each
    community resident voter shall be entitled to vote in the
    local school council election at each attendance center for
    which he or she resides in the applicable attendance area
    or voting district, as the case may be.
        (v) Each eligible voter shall be entitled to vote once,
    but not more than once, in the local school council
    election at each attendance center at which the voter is
    eligible to vote.
        (vi) The 2 teacher members and the non-teacher employee
    member of each local school council shall be appointed as
    provided in subsection (l) below each to serve for a
    two-year term coinciding with that of the elected parent
    and community resident members.
        (vii) At secondary attendance centers, the voting
    student member shall be appointed as provided in subsection
    (m) below to serve for a one-year term coinciding with the
    beginning of the terms of the elected parent and community
    members of the local school council.
    (e) The Council shall publicize the date and place of the
election by posting notices at the attendance center, in public
places within the attendance boundaries of the attendance
center and by distributing notices to the pupils at the
attendance center, and shall utilize such other means as it
deems necessary to maximize the involvement of all eligible
voters.
    (f) Nomination. The Council shall publicize the opening of
nominations by posting notices at the attendance center, in
public places within the attendance boundaries of the
attendance center and by distributing notices to the pupils at
the attendance center, and shall utilize such other means as it
deems necessary to maximize the involvement of all eligible
voters. Not less than 2 weeks before the election date, persons
eligible to run for the Council shall submit their name, date
of birth, social security number, if available, and some
evidence of eligibility to the Council. The Council shall
encourage nomination of candidates reflecting the
racial/ethnic population of the students at the attendance
center. Each person nominated who runs as a candidate shall
disclose, in a manner determined by the Board, any economic
interest held by such person, by such person's spouse or
children, or by each business entity in which such person has
an ownership interest, in any contract with the Board, any
local school council or any public school in the school
district. Each person nominated who runs as a candidate shall
also disclose, in a manner determined by the Board, if he or
she ever has been convicted of any of the offenses specified in
subsection (c) of Section 34-18.5; provided that neither this
provision nor any other provision of this Section shall be
deemed to require the disclosure of any information that is
contained in any law enforcement record or juvenile court
record that is confidential or whose accessibility or
disclosure is restricted or prohibited under Section 5-901 or
5-905 of the Juvenile Court Act of 1987. Failure to make such
disclosure shall render a person ineligible for election or to
serve on the local school council. The same disclosure shall be
required of persons under consideration for appointment to the
Council pursuant to subsections (l) and (m) of this Section.
    (f-5) Notwithstanding disclosure, a person who has been
convicted of any of the following offenses at any time shall be
ineligible for election or appointment to a local school
council and ineligible for appointment to a local school
council pursuant to subsections (l) and (m) of this Section:
(i) those defined in Section 11-1.20, 11-1.30, 11-1.40,
11-1.50, 11-1.60, 11-6, 11-9.1, 11-14.4, 11-16, 11-17.1,
11-19, 11-19.1, 11-19.2, 11-20.1, 11-20.1B, 11-20.3, 12-13,
12-14, 12-14.1, 12-15, or 12-16, or subdivision (a)(2) of
Section 11-14.3, of the Criminal Code of 1961 or the Criminal
Code of 2012, or (ii) any offense committed or attempted in any
other state or against the laws of the United States, which, if
committed or attempted in this State, would have been
punishable as one or more of the foregoing offenses.
Notwithstanding disclosure, a person who has been convicted of
any of the following offenses within the 10 years previous to
the date of nomination or appointment shall be ineligible for
election or appointment to a local school council: (i) those
defined in Section 401.1, 405.1, or 405.2 of the Illinois
Controlled Substances Act or (ii) any offense committed or
attempted in any other state or against the laws of the United
States, which, if committed or attempted in this State, would
have been punishable as one or more of the foregoing offenses.
    Immediately upon election or appointment, incoming local
school council members shall be required to undergo a criminal
background investigation, to be completed prior to the member
taking office, in order to identify any criminal convictions
under the offenses enumerated in Section 34-18.5. The
investigation shall be conducted by the Department of State
Police in the same manner as provided for in Section 34-18.5.
However, notwithstanding Section 34-18.5, the social security
number shall be provided only if available. If it is determined
at any time that a local school council member or member-elect
has been convicted of any of the offenses enumerated in this
Section or failed to disclose a conviction of any of the
offenses enumerated in Section 34-18.5, the general
superintendent shall notify the local school council member or
member-elect of such determination and the local school council
member or member-elect shall be removed from the local school
council by the Board, subject to a hearing, convened pursuant
to Board rule, prior to removal.
    (g) At least one week before the election date, the Council
shall publicize, in the manner provided in subsection (e), the
names of persons nominated for election.
    (h) Voting shall be in person by secret ballot at the
attendance center between the hours of 6:00 a.m. and 7:00 p.m.
    (i) Candidates receiving the highest number of votes shall
be declared elected by the Council. In cases of a tie, the
Council shall determine the winner by lot.
    (j) The Council shall certify the results of the election
and shall publish the results in the minutes of the Council.
    (k) The general superintendent shall resolve any disputes
concerning election procedure or results and shall ensure that,
except as provided in subsections (e) and (g), no resources of
any attendance center shall be used to endorse or promote any
candidate.
    (l) Beginning with the 1995-1996 school year and in every
even numbered year thereafter, the Board shall appoint 2
teacher members to each local school council. These
appointments shall be made in the following manner:
        (i) The Board shall appoint 2 teachers who are employed
    and assigned to perform the majority of their employment
    duties at the attendance center to serve on the local
    school council of the attendance center for a two-year term
    coinciding with the terms of the elected parent and
    community members of that local school council. These
    appointments shall be made from among those teachers who
    are nominated in accordance with subsection (f).
        (ii) A non-binding, advisory poll to ascertain the
    preferences of the school staff regarding appointments of
    teachers to the local school council for that attendance
    center shall be conducted in accordance with the procedures
    used to elect parent and community Council
    representatives. At such poll, each member of the school
    staff shall be entitled to indicate his or her preference
    for up to 2 candidates from among those who submitted
    statements of candidacy as described above. These
    preferences shall be advisory only and the Board shall
    maintain absolute discretion to appoint teacher members to
    local school councils, irrespective of the preferences
    expressed in any such poll.
        (iii) In the event that a teacher representative is
    unable to perform his or her employment duties at the
    school due to illness, disability, leave of absence,
    disciplinary action, or any other reason, the Board shall
    declare a temporary vacancy and appoint a replacement
    teacher representative to serve on the local school council
    until such time as the teacher member originally appointed
    pursuant to this subsection (l) resumes service at the
    attendance center or for the remainder of the term. The
    replacement teacher representative shall be appointed in
    the same manner and by the same procedures as teacher
    representatives are appointed in subdivisions (i) and (ii)
    of this subsection (l).
    (m) Beginning with the 1995-1996 school year, and in every
year thereafter, the Board shall appoint one student member to
each secondary attendance center. These appointments shall be
made in the following manner:
        (i) Appointments shall be made from among those
    students who submit statements of candidacy to the
    principal of the attendance center, such statements to be
    submitted commencing on the first day of the twentieth week
    of school and continuing for 2 weeks thereafter. The form
    and manner of such candidacy statements shall be determined
    by the Board.
        (ii) During the twenty-second week of school in every
    year, the principal of each attendance center shall conduct
    a non-binding, advisory poll to ascertain the preferences
    of the school students regarding the appointment of a
    student to the local school council for that attendance
    center. At such poll, each student shall be entitled to
    indicate his or her preference for up to one candidate from
    among those who submitted statements of candidacy as
    described above. The Board shall promulgate rules to ensure
    that these non-binding, advisory polls are conducted in a
    fair and equitable manner and maximize the involvement of
    all school students. The preferences expressed in these
    non-binding, advisory polls shall be transmitted by the
    principal to the Board. However, these preferences shall be
    advisory only and the Board shall maintain absolute
    discretion to appoint student members to local school
    councils, irrespective of the preferences expressed in any
    such poll.
        (iii) For the 1995-96 school year only, appointments
    shall be made from among those students who submitted
    statements of candidacy to the principal of the attendance
    center during the first 2 weeks of the school year. The
    principal shall communicate the results of any nonbinding,
    advisory poll to the Board. These results shall be advisory
    only, and the Board shall maintain absolute discretion to
    appoint student members to local school councils,
    irrespective of the preferences expressed in any such poll.
    (n) The Board may promulgate such other rules and
regulations for election procedures as may be deemed necessary
to ensure fair elections.
    (o) In the event that a vacancy occurs during a member's
term, the Council shall appoint a person eligible to serve on
the Council, to fill the unexpired term created by the vacancy,
except that any teacher vacancy shall be filled by the Board
after considering the preferences of the school staff as
ascertained through a non-binding advisory poll of school
staff.
    (p) If less than the specified number of persons is elected
within each candidate category, the newly elected local school
council shall appoint eligible persons to serve as members of
the Council for two-year terms.
    (q) The Board shall promulgate rules regarding conflicts of
interest and disclosure of economic interests which shall apply
to local school council members and which shall require reports
or statements to be filed by Council members at regular
intervals with the Secretary of the Board. Failure to comply
with such rules or intentionally falsifying such reports shall
be grounds for disqualification from local school council
membership. A vacancy on the Council for disqualification may
be so declared by the Secretary of the Board. Rules regarding
conflicts of interest and disclosure of economic interests
promulgated by the Board shall apply to local school council
members. No less than 45 days prior to the deadline, the
general superintendent shall provide notice, by mail, to each
local school council member of all requirements and forms for
compliance with economic interest statements.
    (r) (1) If a parent member of a local school council ceases
to have any child enrolled in the attendance center governed by
the Local School Council due to the graduation or voluntary
transfer of a child or children from the attendance center, the
parent's membership on the Local School Council and all voting
rights are terminated immediately as of the date of the child's
graduation or voluntary transfer. If the child of a parent
member of a local school council dies during the member's term
in office, the member may continue to serve on the local school
council for the balance of his or her term. Further, a local
school council member may be removed from the Council by a
majority vote of the Council as provided in subsection (c) of
Section 34-2.2 if the Council member has missed 3 consecutive
regular meetings, not including committee meetings, or 5
regular meetings in a 12 month period, not including committee
meetings. If a parent member of a local school council ceases
to be eligible to serve on the Council for any other reason, he
or she shall be removed by the Board subject to a hearing,
convened pursuant to Board rule, prior to removal. A vote to
remove a Council member by the local school council shall only
be valid if the Council member has been notified personally or
by certified mail, mailed to the person's last known address,
of the Council's intent to vote on the Council member's removal
at least 7 days prior to the vote. The Council member in
question shall have the right to explain his or her actions and
shall be eligible to vote on the question of his or her removal
from the Council. The provisions of this subsection shall be
contained within the petitions used to nominate Council
candidates.
    (2) A person may continue to serve as a community resident
member of a local school council as long as he or she resides
in the attendance area served by the school and is not employed
by the Board nor is a parent of a student enrolled at the
school. If a community resident member ceases to be eligible to
serve on the Council, he or she shall be removed by the Board
subject to a hearing, convened pursuant to Board rule, prior to
removal.
    (3) A person may continue to serve as a teacher member of a
local school council as long as he or she is employed and
assigned to perform a majority of his or her duties at the
school, provided that if the teacher representative resigns
from employment with the Board or voluntarily transfers to
another school, the teacher's membership on the local school
council and all voting rights are terminated immediately as of
the date of the teacher's resignation or upon the date of the
teacher's voluntary transfer to another school. If a teacher
member of a local school council ceases to be eligible to serve
on a local school council for any other reason, that member
shall be removed by the Board subject to a hearing, convened
pursuant to Board rule, prior to removal.
(Source: P.A. 95-1015, eff. 12-15-08; 96-1412, eff. 1-1-11;
96-1551, eff. 7-1-11.)
 
    (105 ILCS 5/34-4)  (from Ch. 122, par. 34-4)
    Sec. 34-4. Eligibility. To be eligible for appointment to
the board, a person shall be a citizen of the United States,
shall be a registered voter as provided in the Election Code,
shall have been a resident of the city for at least 3 years
immediately preceding his or her appointment, and shall not be
a child sex offender as defined in Section 11-9.3 of the
Criminal Code of 2012 1961. Permanent removal from the city by
any member of the board during his term of office constitutes a
resignation therefrom and creates a vacancy in the board.
Except for the President of the Chicago School Reform Board of
Trustees who may be paid compensation for his or her services
as chief executive officer as determined by the Mayor as
provided in subsection (a) of Section 34-3, board members shall
serve without any compensation; provided, that board members
shall be reimbursed for expenses incurred while in the
performance of their duties upon submission of proper receipts
or upon submission of a signed voucher in the case of an
expense allowance evidencing the amount of such reimbursement
or allowance to the president of the board for verification and
approval. The board of education may continue to provide health
care insurance coverage, employer pension contributions,
employee pension contributions, and life insurance premium
payments for an employee required to resign from an
administrative, teaching, or career service position in order
to qualify as a member of the board of education. They shall
not hold other public office under the Federal, State or any
local government other than that of Director of the Regional
Transportation Authority, member of the economic development
commission of a city having a population exceeding 500,000,
notary public or member of the National Guard, and by accepting
any such office while members of the board, or by not resigning
any such office held at the time of being appointed to the
board within 30 days after such appointment, shall be deemed to
have vacated their membership in the board.
(Source: P.A. 93-309, eff. 1-1-04.)
 
    (105 ILCS 5/34-84a.1)  (from Ch. 122, par. 34-84a.1)
    Sec. 34-84a.1. Principals shall report incidents of
intimidation. The principal of each attendance center shall
promptly notify and report to the local law enforcement
authorities for inclusion in the Department of State Police's
Illinois Uniform Crime Reporting Program each incident of
intimidation of which he or she has knowledge and each alleged
incident of intimidation which is reported to him or her,
either orally or in writing, by any pupil or by any teacher or
other certificated or non-certificated personnel employed at
the attendance center. "Intimidation" shall have the meaning
ascribed to it by Section 12-6 of the Criminal Code of 2012
1961.
(Source: P.A. 91-357, eff. 7-29-99.)
 
    (105 ILCS 5/34-84b)  (from Ch. 122, par. 34-84b)
    Sec. 34-84b. Conviction of sex or narcotics offense, first
degree murder, attempted first degree murder, or Class X felony
as grounds for revocation of certificate.
    (a) Whenever the holder of any certificate issued by the
board of education has been convicted of any sex offense or
narcotics offense as defined in this Section, the board of
education shall forthwith suspend the certificate. If the
conviction is reversed and the holder is acquitted of the
offense in a new trial or the charges against him are
dismissed, the board shall forthwith terminate the suspension
of the certificate. When the conviction becomes final, the
board shall forthwith revoke the certificate. "Sex offense" as
used in this Section means any one or more of the following
offenses: (1) any offense defined in Sections 11-6, 11-9, and
11-30, Sections 11-14 through 11-21, inclusive, and Sections
11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 12-13, 12-14,
12-14.1, 12-15 and 12-16 of the Criminal Code of 1961 or the
Criminal Code of 2012; (2) any attempt to commit any of the
foregoing offenses, and (3) any offense committed or attempted
in any other state which, if committed or attempted in this
State, would have been punishable as one or more of the
foregoing offenses. "Narcotics offense" as used in this Section
means any one or more of the following offenses: (1) any
offense defined in the Cannabis Control Act except those
defined in Sections 4(a), 4(b) and 5(a) of that Act and any
offense for which the holder of any certificate is placed on
probation under the provisions of Section 10 of that Act and
fulfills the terms and conditions of probation as may be
required by the court; (2) any offense defined in the Illinois
Controlled Substances Act except any offense for which the
holder of any certificate is placed on probation under the
provisions of Section 410 of that Act and fulfills the terms
and conditions of probation as may be required by the court;
(3) any offense defined in the Methamphetamine Control and
Community Protection Act except any offense for which the
holder of any certificate is placed on probation under the
provision of Section 70 of that Act and fulfills the terms and
conditions of probation as may be required by the court; (4)
any attempt to commit any of the foregoing offenses; and (5)
any offense committed or attempted in any other state or
against the laws of the United States which, if committed or
attempted in this State, would have been punishable as one or
more of the foregoing offenses.
    (b) Whenever the holder of any certificate issued by the
board of education or pursuant to Article 21 or any other
provisions of the School Code has been convicted of first
degree murder, attempted first degree murder, or a Class X
felony, the board of education or the State Superintendent of
Education shall forthwith suspend the certificate. If the
conviction is reversed and the holder is acquitted of that
offense in a new trial or the charges that he or she committed
that offense are dismissed, the suspending authority shall
forthwith terminate the suspension of the certificate. When the
conviction becomes final, the State Superintendent of
Education shall forthwith revoke the certificate. The stated
offenses of "first degree murder", "attempted first degree
murder", and "Class X felony" referred to in this Section
include any offense committed in another state that, if
committed in this State, would have been punishable as any one
of the stated offenses.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 240. The Medical School Matriculant Criminal
History Records Check Act is amended by changing Section 5 as
follows:
 
    (110 ILCS 57/5)
    Sec. 5. Definitions.
    "Matriculant" means an individual who is conditionally
admitted as a student to a medical school located in Illinois,
pending the medical school's consideration of his or her
criminal history records check under this Act.
    "Sex offender" means any person who is convicted pursuant
to Illinois law or any substantially similar federal, Uniform
Code of Military Justice, sister state, or foreign country law
with any of the following sex offenses set forth in the
Criminal Code of 1961 or the Criminal Code of 2012:
        (1) Indecent solicitation of a child.
        (2) Sexual exploitation of a child.
        (3) Custodial sexual misconduct.
        (4) Exploitation of a child.
        (5) Child pornography.
        (6) Aggravated child pornography.
    "Violent felony" means any of the following offenses, as
defined by the Criminal Code of 1961 or the Criminal Code of
2012:
        (1) First degree murder.
        (2) Second degree murder.
        (3) Predatory criminal sexual assault of a child.
        (4) Aggravated criminal sexual assault.
        (5) Criminal sexual assault.
        (6) Aggravated arson.
        (7) Aggravated kidnapping.
        (8) Kidnapping.
        (9) Aggravated battery resulting in great bodily harm
    or permanent disability or disfigurement.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 245. The Board of Higher Education Act is amended
by changing Section 9.21 as follows:
 
    (110 ILCS 205/9.21)  (from Ch. 144, par. 189.21)
    Sec. 9.21. Human Relations.
    (a) The Board shall monitor, budget, evaluate, and report
to the General Assembly in accordance with Section 9.16 of this
Act on programs to improve human relations to include race,
ethnicity, gender and other issues related to improving human
relations. The programs shall at least:
        (1) require each public institution of higher
    education to include, in the general education
    requirements for obtaining a degree, coursework on
    improving human relations to include race, ethnicity,
    gender and other issues related to improving human
    relations to address racism and sexual harassment on their
    campuses, through existing courses;
        (2) require each public institution of higher
    education to report monthly to the Department of Human
    Rights and the Attorney General on each adjudicated case in
    which a finding of racial, ethnic or religious intimidation
    or sexual harassment made in a grievance, affirmative
    action or other proceeding established by that institution
    to investigate and determine allegations of racial, ethnic
    or religious intimidation and sexual harassment; and
        (3) require each public institution of higher
    education to forward to the local State's Attorney any
    report received by campus security or by a university
    police department alleging the commission of a hate crime
    as defined under Section 12-7.1 of the Criminal Code of
    2012 1961.
(Source: P.A. 90-655, eff. 7-30-98.)
 
    Section 250. The Residential Mortgage License Act of 1987
is amended by changing Section 4-7 as follows:
 
    (205 ILCS 635/4-7)
    Sec. 4-7. Additional investigation and examination
authority. In addition to any authority allowed under this Act,
the Director shall have the authority to conduct investigations
and examinations as follows:
    (a) For purposes of initial licensing, license renewal,
license suspension, license conditioning, license revocation
or termination, or general or specific inquiry or investigation
to determine compliance with this Act, the Commissioner shall
have the authority to access, receive, and use any books,
accounts, records, files, documents, information, or evidence
including, but not limited to, the following:
        (1) criminal, civil, and administrative history
    information, including nonconviction data as specified in
    the Criminal Code of 2012 1961;
        (2) personal history and experience information,
    including independent credit reports obtained from a
    consumer reporting agency described in Section 603(p) of
    the federal Fair Credit Reporting Act; and
        (3) any other documents, information, or evidence the
    Commissioner deems relevant to the inquiry or
    investigation regardless of the location, possession,
    control, or custody of the documents, information, or
    evidence.
    (b) For the purposes of investigating violations or
complaints arising under this Act, or for the purposes of
examination, the Commissioner may review, investigate, or
examine any licensee, individual, or person subject to this
Act, as often as necessary in order to carry out the purposes
of this Act. The Commissioner may direct, subpoena, or order
the attendance of and examine under oath all persons whose
testimony may be required about the loans or the business or
subject matter of any such examination or investigation, and
may direct, subpoena, or order the person to produce books,
accounts, records, files, and any other documents the
Commissioner deems relevant to the inquiry.
    (c) Each licensee, individual, or person subject to this
Act shall make available to the Commissioner upon request the
books and records relating to the operations of such licensee,
individual, or person subject to this Act. The Commissioner
shall have access to such books and records and interview the
officers, principals, mortgage loan originators, employees,
independent contractors, agents, and customers of the
licensee, individual, or person subject to this Act concerning
their business.
    (d) Each licensee, individual, or person subject to this
Act shall make or compile reports or prepare other information
as directed by the Commissioner in order to carry out the
purposes of this Section including, but not limited to:
        (1) accounting compilations;
        (2) information lists and data concerning loan
    transactions in a format prescribed by the Commissioner; or
        (3) other information deemed necessary to carry out the
    purposes of this Section.
    (e) In making any examination or investigation authorized
by this Act, the Commissioner may control access to any
documents and records of the licensee or person under
examination or investigation. The Commissioner may take
possession of the documents and records or place a person in
exclusive charge of the documents and records in the place
where they are usually kept. During the period of control, no
individual or person shall remove or attempt to remove any of
the documents and records except pursuant to a court order or
with the consent of the Commissioner. Unless the Commissioner
has reasonable grounds to believe the documents or records of
the licensee have been, or are at risk of being altered or
destroyed for purposes of concealing a violation of this Act,
the licensee or owner of the documents and records shall have
access to the documents or records as necessary to conduct its
ordinary business affairs.
    (f) In order to carry out the purposes of this Section, the
Commissioner may:
        (1) retain attorneys, accountants, or other
    professionals and specialists as examiners, auditors, or
    investigators to conduct or assist in the conduct of
    examinations or investigations;
        (2) enter into agreements or relationships with other
    government officials or regulatory associations in order
    to improve efficiencies and reduce regulatory burden by
    sharing resources, standardized or uniform methods or
    procedures, and documents, records, information or
    evidence obtained under this Section;
        (3) use, hire, contract, or employ public or privately
    available analytical systems, methods, or software to
    examine or investigate the licensee, individual, or person
    subject to this Act;
        (4) accept and rely on examination or investigation
    reports made by other government officials, within or
    without this State; or
        (5) accept audit reports made by an independent
    certified public accountant for the licensee, individual,
    or person subject to this Act in the course of that part of
    the examination covering the same general subject matter as
    the audit and may incorporate the audit report in the
    report of the examination, report of investigation, or
    other writing of the Commissioner.
    (g) The authority of this Section shall remain in effect,
whether such a licensee, individual, or person subject to this
Act acts or claims to act under any licensing or registration
law of this State, or claims to act without the authority.
    (h) No licensee, individual, or person subject to
investigation or examination under this Section may knowingly
withhold, abstract, remove, mutilate, destroy, or secrete any
books, records, computer records, or other information.
(Source: P.A. 96-112, eff. 7-31-09.)
 
    Section 255. The Nursing Home Care Act is amended by
changing Section 3-702 as follows:
 
    (210 ILCS 45/3-702)  (from Ch. 111 1/2, par. 4153-702)
    Sec. 3-702. (a) A person who believes that this Act or a
rule promulgated under this Act may have been violated may
request an investigation. The request may be submitted to the
Department in writing, by telephone, or by personal visit. An
oral complaint shall be reduced to writing by the Department.
The Department shall request information identifying the
complainant, including the name, address and telephone number,
to help enable appropriate follow-up. The Department shall act
on such complaints via on-site visits or other methods deemed
appropriate to handle the complaints with or without such
identifying information, as otherwise provided under this
Section. The complainant shall be informed that compliance with
such request is not required to satisfy the procedures for
filing a complaint under this Act.
    (b) The substance of the complaint shall be provided in
writing to the licensee, owner or administrator no earlier than
at the commencement of an on-site inspection of the facility
which takes place pursuant to the complaint.
    (c) The Department shall not disclose the name of the
complainant unless the complainant consents in writing to the
disclosure or the investigation results in a judicial
proceeding, or unless disclosure is essential to the
investigation. The complainant shall be given the opportunity
to withdraw the complaint before disclosure. Upon the request
of the complainant, the Department may permit the complainant
or a representative of the complainant to accompany the person
making the on-site inspection of the facility.
    (d) Upon receipt of a complaint, the Department shall
determine whether this Act or a rule promulgated under this Act
has been or is being violated. The Department shall investigate
all complaints alleging abuse or neglect within 7 days after
the receipt of the complaint except that complaints of abuse or
neglect which indicate that a resident's life or safety is in
imminent danger shall be investigated within 24 hours after
receipt of the complaint. All other complaints shall be
investigated within 30 days after the receipt of the complaint.
The Department employees investigating a complaint shall
conduct a brief, informal exit conference with the facility to
alert its administration of any suspected serious deficiency
that poses a direct threat to the health, safety or welfare of
a resident to enable an immediate correction for the
alleviation or elimination of such threat. Such information and
findings discussed in the brief exit conference shall become a
part of the investigating record but shall not in any way
constitute an official or final notice of violation as provided
under Section 3-301. All complaints shall be classified as "an
invalid report", "a valid report", or "an undetermined report".
For any complaint classified as "a valid report", the
Department must determine within 30 working days if any rule or
provision of this Act has been or is being violated.
    (d-1) The Department shall, whenever possible, combine an
on-site investigation of a complaint in a facility with other
inspections in order to avoid duplication of inspections.
    (e) In all cases, the Department shall inform the
complainant of its findings within 10 days of its determination
unless otherwise indicated by the complainant, and the
complainant may direct the Department to send a copy of such
findings to another person. The Department's findings may
include comments or documentation provided by either the
complainant or the licensee pertaining to the complaint. The
Department shall also notify the facility of such findings
within 10 days of the determination, but the name of the
complainant or residents shall not be disclosed in this notice
to the facility. The notice of such findings shall include a
copy of the written determination; the correction order, if
any; the warning notice, if any; the inspection report; or the
State licensure form on which the violation is listed.
    (f) A written determination, correction order, or warning
notice concerning a complaint, together with the facility's
response, shall be available for public inspection, but the
name of the complainant or resident shall not be disclosed
without his consent.
    (g) A complainant who is dissatisfied with the
determination or investigation by the Department may request a
hearing under Section 3-703. The facility shall be given notice
of any such hearing and may participate in the hearing as a
party. If a facility requests a hearing under Section 3-703
which concerns a matter covered by a complaint, the complainant
shall be given notice and may participate in the hearing as a
party. A request for a hearing by either a complainant or a
facility shall be submitted in writing to the Department within
30 days after the mailing of the Department's findings as
described in subsection (e) of this Section. Upon receipt of
the request the Department shall conduct a hearing as provided
under Section 3-703.
    (h) Any person who knowingly transmits a false report to
the Department commits the offense of disorderly conduct under
subsection (a)(8) of Section 26-1 of the "Criminal Code of 2012
1961".
(Source: P.A. 85-1378.)
 
    Section 260. The ID/DD Community Care Act is amended by
changing Section 3-702 as follows:
 
    (210 ILCS 47/3-702)
    Sec. 3-702. Request for investigation of violation.
    (a) A person who believes that this Act or a rule
promulgated under this Act may have been violated may request
an investigation. The request may be submitted to the
Department in writing, by telephone, or by personal visit. An
oral complaint shall be reduced to writing by the Department.
The Department shall request information identifying the
complainant, including the name, address and telephone number,
to help enable appropriate follow up. The Department shall act
on such complaints via on-site visits or other methods deemed
appropriate to handle the complaints with or without such
identifying information, as otherwise provided under this
Section. The complainant shall be informed that compliance with
such request is not required to satisfy the procedures for
filing a complaint under this Act.
    (b) The substance of the complaint shall be provided in
writing to the licensee, owner or administrator no earlier than
at the commencement of an on-site inspection of the facility
which takes place pursuant to the complaint.
    (c) The Department shall not disclose the name of the
complainant unless the complainant consents in writing to the
disclosure or the investigation results in a judicial
proceeding, or unless disclosure is essential to the
investigation. The complainant shall be given the opportunity
to withdraw the complaint before disclosure. Upon the request
of the complainant, the Department may permit the complainant
or a representative of the complainant to accompany the person
making the on-site inspection of the facility.
    (d) Upon receipt of a complaint, the Department shall
determine whether this Act or a rule promulgated under this Act
has been or is being violated. The Department shall investigate
all complaints alleging abuse or neglect within 7 days after
the receipt of the complaint except that complaints of abuse or
neglect which indicate that a resident's life or safety is in
imminent danger shall be investigated within 24 hours after
receipt of the complaint. All other complaints shall be
investigated within 30 days after the receipt of the complaint.
The Department employees investigating a complaint shall
conduct a brief, informal exit conference with the facility to
alert its administration of any suspected serious deficiency
that poses a direct threat to the health, safety or welfare of
a resident to enable an immediate correction for the
alleviation or elimination of such threat. Such information and
findings discussed in the brief exit conference shall become a
part of the investigating record but shall not in any way
constitute an official or final notice of violation as provided
under Section 3-301. All complaints shall be classified as "an
invalid report", "a valid report", or "an undetermined report".
For any complaint classified as "a valid report", the
Department must determine within 30 working days if any rule or
provision of this Act has been or is being violated.
    (d-1) The Department shall, whenever possible, combine an
on site investigation of a complaint in a facility with other
inspections in order to avoid duplication of inspections.
    (e) In all cases, the Department shall inform the
complainant of its findings within 10 days of its determination
unless otherwise indicated by the complainant, and the
complainant may direct the Department to send a copy of such
findings to another person. The Department's findings may
include comments or documentation provided by either the
complainant or the licensee pertaining to the complaint. The
Department shall also notify the facility of such findings
within 10 days of the determination, but the name of the
complainant or residents shall not be disclosed in this notice
to the facility. The notice of such findings shall include a
copy of the written determination; the correction order, if
any; the warning notice, if any; the inspection report; or the
State licensure form on which the violation is listed.
    (f) A written determination, correction order, or warning
notice concerning a complaint, together with the facility's
response, shall be available for public inspection, but the
name of the complainant or resident shall not be disclosed
without his or her consent.
    (g) A complainant who is dissatisfied with the
determination or investigation by the Department may request a
hearing under Section 3-703. The facility shall be given notice
of any such hearing and may participate in the hearing as a
party. If a facility requests a hearing under Section 3-703
which concerns a matter covered by a complaint, the complainant
shall be given notice and may participate in the hearing as a
party. A request for a hearing by either a complainant or a
facility shall be submitted in writing to the Department within
30 days after the mailing of the Department's findings as
described in subsection (e) of this Section. Upon receipt of
the request the Department shall conduct a hearing as provided
under Section 3-703.
    (h) Any person who knowingly transmits a false report to
the Department commits the offense of disorderly conduct under
subsection (a)(8) of Section 26-1 of the Criminal Code of 2012
1961.
(Source: P.A. 96-339, eff. 7-1-10.)
 
    Section 265. The Specialized Mental Health Rehabilitation
Act is amended by changing Section 3-702 as follows:
 
    (210 ILCS 48/3-702)
    Sec. 3-702. Request for investigation of violation.
    (a) A person who believes that this Act or a rule
promulgated under this Act may have been violated may request
an investigation. The request may be submitted to the
Department in writing, by telephone, or by personal visit. An
oral complaint shall be reduced to writing by the Department.
The Department shall request information identifying the
complainant, including the name, address and telephone number,
to help enable appropriate follow up. The Department shall act
on such complaints via on-site visits or other methods deemed
appropriate to handle the complaints with or without such
identifying information, as otherwise provided under this
Section. The complainant shall be informed that compliance with
such request is not required to satisfy the procedures for
filing a complaint under this Act.
    (b) The substance of the complaint shall be provided in
writing to the licensee, owner or administrator no earlier than
at the commencement of an on-site inspection of the facility
which takes place pursuant to the complaint.
    (c) The Department shall not disclose the name of the
complainant unless the complainant consents in writing to the
disclosure or the investigation results in a judicial
proceeding, or unless disclosure is essential to the
investigation. The complainant shall be given the opportunity
to withdraw the complaint before disclosure. Upon the request
of the complainant, the Department may permit the complainant
or a representative of the complainant to accompany the person
making the on-site inspection of the facility.
    (d) Upon receipt of a complaint, the Department shall
determine whether this Act or a rule promulgated under this Act
has been or is being violated. The Department shall investigate
all complaints alleging abuse or neglect within 7 days after
the receipt of the complaint except that complaints of abuse or
neglect which indicate that a resident's life or safety is in
imminent danger shall be investigated within 24 hours after
receipt of the complaint. All other complaints shall be
investigated within 30 days after the receipt of the complaint.
The Department employees investigating a complaint shall
conduct a brief, informal exit conference with the facility to
alert its administration of any suspected serious deficiency
that poses a direct threat to the health, safety or welfare of
a resident to enable an immediate correction for the
alleviation or elimination of such threat. Such information and
findings discussed in the brief exit conference shall become a
part of the investigating record but shall not in any way
constitute an official or final notice of violation as provided
under Section 3-301. All complaints shall be classified as "an
invalid report", "a valid report", or "an undetermined report".
For any complaint classified as "a valid report", the
Department must determine within 30 working days if any rule or
provision of this Act has been or is being violated.
    (d-1) The Department shall, whenever possible, combine an
on-site investigation of a complaint in a facility with other
inspections in order to avoid duplication of inspections.
    (e) In all cases, the Department shall inform the
complainant of its findings within 10 days of its determination
unless otherwise indicated by the complainant, and the
complainant may direct the Department to send a copy of such
findings to another person. The Department's findings may
include comments or documentation provided by either the
complainant or the licensee pertaining to the complaint. The
Department shall also notify the facility of such findings
within 10 days of the determination, but the name of the
complainant or residents shall not be disclosed in this notice
to the facility. The notice of such findings shall include a
copy of the written determination; the correction order, if
any; the warning notice, if any; the inspection report; or the
State licensure form on which the violation is listed.
    (f) A written determination, correction order, or warning
notice concerning a complaint, together with the facility's
response, shall be available for public inspection, but the
name of the complainant or resident shall not be disclosed
without his or her consent.
    (g) A complainant who is dissatisfied with the
determination or investigation by the Department may request a
hearing under Section 3-703. The facility shall be given notice
of any such hearing and may participate in the hearing as a
party. If a facility requests a hearing under Section 3-703
which concerns a matter covered by a complaint, the complainant
shall be given notice and may participate in the hearing as a
party. A request for a hearing by either a complainant or a
facility shall be submitted in writing to the Department within
30 days after the mailing of the Department's findings as
described in subsection (e) of this Section. Upon receipt of
the request, the Department shall conduct a hearing as provided
under Section 3-703.
    (h) Any person who knowingly transmits a false report to
the Department commits the offense of disorderly conduct under
subsection (a)(8) of Section 26-1 of the Criminal Code of 2012
1961.
(Source: P.A. 97-38, eff. 6-28-11.)
 
    Section 270. The Emergency Medical Services (EMS) Systems
Act is amended by changing Section 3.133 as follows:
 
    (210 ILCS 50/3.133)
    Sec. 3.133. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 94-577, eff. 1-1-06.)
 
    Section 275. The Illinois Insurance Code is amended by
changing Sections 356e and 367 as follows:
 
    (215 ILCS 5/356e)  (from Ch. 73, par. 968e)
    Sec. 356e. Victims of certain offenses.
    (1) No policy of accident and health insurance, which
provides benefits for hospital or medical expenses based upon
the actual expenses incurred, delivered or issued for delivery
to any person in this State shall contain any specific
exception to coverage which would preclude the payment under
that policy of actual expenses incurred in the examination and
testing of a victim of an offense defined in Sections 11-1.20
through 11-1.60 or 12-13 through 12-16 of the Criminal Code of
1961 or the Criminal Code of 2012, as now or hereafter amended,
or an attempt to commit such offense to establish that sexual
contact did occur or did not occur, and to establish the
presence or absence of sexually transmitted disease or
infection, and examination and treatment of injuries and trauma
sustained by a victim of such offense arising out of the
offense. Every policy of accident and health insurance which
specifically provides benefits for routine physical
examinations shall provide full coverage for expenses incurred
in the examination and testing of a victim of an offense
defined in Sections 11-1.20 through 11-1.60 or 12-13 through
12-16 of the Criminal Code of 1961 or the Criminal Code of
2012, as now or hereafter amended, or an attempt to commit such
offense as set forth in this Section. This Section shall not
apply to a policy which covers hospital and medical expenses
for specified illnesses or injuries only.
    (2) For purposes of enabling the recovery of State funds,
any insurance carrier subject to this Section shall upon
reasonable demand by the Department of Public Health disclose
the names and identities of its insureds entitled to benefits
under this provision to the Department of Public Health
whenever the Department of Public Health has determined that it
has paid, or is about to pay, hospital or medical expenses for
which an insurance carrier is liable under this Section. All
information received by the Department of Public Health under
this provision shall be held on a confidential basis and shall
not be subject to subpoena and shall not be made public by the
Department of Public Health or used for any purpose other than
that authorized by this Section.
    (3) Whenever the Department of Public Health finds that it
has paid all or part of any hospital or medical expenses which
an insurance carrier is obligated to pay under this Section,
the Department of Public Health shall be entitled to receive
reimbursement for its payments from such insurance carrier
provided that the Department of Public Health has notified the
insurance carrier of its claims before the carrier has paid
such benefits to its insureds or in behalf of its insureds.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (215 ILCS 5/367)  (from Ch. 73, par. 979)
    Sec. 367. Group accident and health insurance.
    (1) Group accident and health insurance is hereby declared
to be that form of accident and health insurance covering not
less than 2 employees, members, or employees of members,
written under a master policy issued to any governmental
corporation, unit, agency or department thereof, or to any
corporation, copartnership, individual employer, or to any
association upon application of an executive officer or trustee
of such association having a constitution or bylaws and formed
in good faith for purposes other than that of obtaining
insurance, where officers, members, employees, employees of
members or classes or department thereof, may be insured for
their individual benefit. In addition a group accident and
health policy may be written to insure any group which may be
insured under a group life insurance policy. The term
"employees" shall include the officers, managers and employees
of subsidiary or affiliated corporations, and the individual
proprietors, partners and employees of affiliated individuals
and firms, when the business of such subsidiary or affiliated
corporations, firms or individuals, is controlled by a common
employer through stock ownership, contract or otherwise.
    (2) Any insurance company authorized to write accident and
health insurance in this State shall have power to issue group
accident and health policies. No policy of group accident and
health insurance may be issued or delivered in this State
unless a copy of the form thereof shall have been filed with
the department and approved by it in accordance with Section
355, and it contains in substance those provisions contained in
Sections 357.1 through 357.30 as may be applicable to group
accident and health insurance and the following provisions:
        (a) A provision that the policy, the application of the
    employer, or executive officer or trustee of any
    association, and the individual applications, if any, of
    the employees, members or employees of members insured
    shall constitute the entire contract between the parties,
    and that all statements made by the employer, or the
    executive officer or trustee, or by the individual
    employees, members or employees of members shall (in the
    absence of fraud) be deemed representations and not
    warranties, and that no such statement shall be used in
    defense to a claim under the policy, unless it is contained
    in a written application.
        (b) A provision that the insurer will issue to the
    employer, or to the executive officer or trustee of the
    association, for delivery to the employee, member or
    employee of a member, who is insured under such policy, an
    individual certificate setting forth a statement as to the
    insurance protection to which he is entitled and to whom
    payable.
        (c) A provision that to the group or class thereof
    originally insured shall be added from time to time all new
    employees of the employer, members of the association or
    employees of members eligible to and applying for insurance
    in such group or class.
    (3) Anything in this code to the contrary notwithstanding,
any group accident and health policy may provide that all or
any portion of any indemnities provided by any such policy on
account of hospital, nursing, medical or surgical services,
may, at the insurer's option, be paid directly to the hospital
or person rendering such services; but the policy may not
require that the service be rendered by a particular hospital
or person. Payment so made shall discharge the insurer's
obligation with respect to the amount of insurance so paid.
Nothing in this subsection (3) shall prohibit an insurer from
providing incentives for insureds to utilize the services of a
particular hospital or person.
    (4) Special group policies may be issued to school
districts providing medical or hospital service, or both, for
pupils of the district injured while participating in any
athletic activity under the jurisdiction of or sponsored or
controlled by the district or the authorities of any school
thereof. The provisions of this Section governing the issuance
of group accident and health insurance shall, insofar as
applicable, control the issuance of such policies issued to
schools.
    (5) No policy of group accident and health insurance may be
issued or delivered in this State unless it provides that upon
the death of the insured employee or group member the
dependents' coverage, if any, continues for a period of at
least 90 days subject to any other policy provisions relating
to termination of dependents' coverage.
    (6) No group hospital policy covering miscellaneous
hospital expenses issued or delivered in this State shall
contain any exception or exclusion from coverage which would
preclude the payment of expenses incurred for the processing
and administration of blood and its components.
    (7) No policy of group accident and health insurance,
delivered in this State more than 120 days after the effective
day of the Section, which provides inpatient hospital coverage
for sicknesses shall exclude from such coverage the treatment
of alcoholism. This subsection shall not apply to a policy
which covers only specified sicknesses.
    (8) No policy of group accident and health insurance, which
provides benefits for hospital or medical expenses based upon
the actual expenses incurred, issued or delivered in this State
shall contain any specific exception to coverage which would
preclude the payment of actual expenses incurred in the
examination and testing of a victim of an offense defined in
Sections 11-1.20 through 11-1.60 or 12-13 through 12-16 of the
Criminal Code of 1961 or the Criminal Code of 2012, or an
attempt to commit such offense, to establish that sexual
contact did occur or did not occur, and to establish the
presence or absence of sexually transmitted disease or
infection, and examination and treatment of injuries and trauma
sustained by the victim of such offense, arising out of the
offense. Every group policy of accident and health insurance
which specifically provides benefits for routine physical
examinations shall provide full coverage for expenses incurred
in the examination and testing of a victim of an offense
defined in Sections 11-1.20 through 11-1.60 or 12-13 through
12-16 of the Criminal Code of 1961 or the Criminal Code of
2012, or an attempt to commit such offense, as set forth in
this Section. This subsection shall not apply to a policy which
covers hospital and medical expenses for specified illnesses
and injuries only.
    (9) For purposes of enabling the recovery of State funds,
any insurance carrier subject to this Section shall upon
reasonable demand by the Department of Public Health disclose
the names and identities of its insureds entitled to benefits
under this provision to the Department of Public Health
whenever the Department of Public Health has determined that it
has paid, or is about to pay, hospital or medical expenses for
which an insurance carrier is liable under this Section. All
information received by the Department of Public Health under
this provision shall be held on a confidential basis and shall
not be subject to subpoena and shall not be made public by the
Department of Public Health or used for any purpose other than
that authorized by this Section.
    (10) Whenever the Department of Public Health finds that it
has paid all or part of any hospital or medical expenses which
an insurance carrier is obligated to pay under this Section,
the Department of Public Health shall be entitled to receive
reimbursement for its payments from such insurance carrier
provided that the Department of Public Health has notified the
insurance carrier of its claim before the carrier has paid the
benefits to its insureds or the insureds' assignees.
    (11) (a) No group hospital, medical or surgical expense
    policy shall contain any provision whereby benefits
    otherwise payable thereunder are subject to reduction
    solely on account of the existence of similar benefits
    provided under other group or group-type accident and
    sickness insurance policies where such reduction would
    operate to reduce total benefits payable under these
    policies below an amount equal to 100% of total allowable
    expenses provided under these policies.
        (b) When dependents of insureds are covered under 2
    policies, both of which contain coordination of benefits
    provisions, benefits of the policy of the insured whose
    birthday falls earlier in the year are determined before
    those of the policy of the insured whose birthday falls
    later in the year. Birthday, as used herein, refers only to
    the month and day in a calendar year, not the year in which
    the person was born. The Department of Insurance shall
    promulgate rules defining the order of benefit
    determination pursuant to this paragraph (b).
    (12) Every group policy under this Section shall be subject
to the provisions of Sections 356g and 356n of this Code.
    (13) No accident and health insurer providing coverage for
hospital or medical expenses on an expense incurred basis shall
deny reimbursement for an otherwise covered expense incurred
for any organ transplantation procedure solely on the basis
that such procedure is deemed experimental or investigational
unless supported by the determination of the Office of Health
Care Technology Assessment within the Agency for Health Care
Policy and Research within the federal Department of Health and
Human Services that such procedure is either experimental or
investigational or that there is insufficient data or
experience to determine whether an organ transplantation
procedure is clinically acceptable. If an accident and health
insurer has made written request, or had one made on its behalf
by a national organization, for determination by the Office of
Health Care Technology Assessment within the Agency for Health
Care Policy and Research within the federal Department of
Health and Human Services as to whether a specific organ
transplantation procedure is clinically acceptable and said
organization fails to respond to such a request within a period
of 90 days, the failure to act may be deemed a determination
that the procedure is deemed to be experimental or
investigational.
    (14) Whenever a claim for benefits by an insured under a
dental prepayment program is denied or reduced, based on the
review of x-ray films, such review must be performed by a
dentist.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 280. The Health Maintenance Organization Act is
amended by changing Section 4-4 as follows:
 
    (215 ILCS 125/4-4)  (from Ch. 111 1/2, par. 1408.4)
    Sec. 4-4. Sexual assault or abuse victims; coverage of
expenses; recovery of State funds; reimbursement of Department
of Public Health.
    (1) Contracts or evidences of coverage issued by a health
maintenance organization, which provide benefits for health
care services, shall to the full extent of coverage provided
for any other emergency or accident care, provide for the
payment of actual expenses incurred, without offset or
reduction for benefit deductibles or co-insurance amounts, in
the examination and testing of a victim of an offense defined
in Sections 11-1.20 through 11-1.60 or 12-13 through 12-16 of
the Criminal Code of 1961 or the Criminal Code of 2012, as now
or hereafter amended, or an attempt to commit such offense, to
establish that sexual contact did occur or did not occur, and
to establish the presence or absence of sexually transmitted
disease or infection, and examination and treatment of injuries
and trauma sustained by a victim of such offense.
    (2) For purposes of enabling the recovery of State funds,
any health maintenance organization subject to this Section
shall upon reasonable demand by the Department of Public Health
disclose the names and identities of its enrollees entitled to
benefits under this provision to the Department of Public
Health whenever the Department of Public Health has determined
that it has paid, or is about to pay for, health care services
for which a health maintenance organization is liable under
this Section. All information received by the Department of
Public Health under this provision shall be held on a
confidential basis and shall not be subject to subpoena and
shall not be made public by the Department of Public Health or
used for any purpose other than that authorized by this
Section.
    (3) Whenever the Department of Public Health finds that it
has paid for all or part of any health care services for which
a health maintenance organization is obligated to pay under
this Section, the Department of Public Health shall be entitled
to receive reimbursement for its payments from such
organization provided that the Department of Public Health has
notified the organization of its claims before the organization
has paid such benefits to its enrollees or in behalf of its
enrollees.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 285. The Voluntary Health Services Plans Act is
amended by changing Section 15.8 as follows:
 
    (215 ILCS 165/15.8)  (from Ch. 32, par. 609.8)
    Sec. 15.8. Sexual assault or abuse victims.
    (1) Policies, contracts or subscription certificates
issued by a health services plan corporation, which provide
benefits for hospital or medical expenses based upon the actual
expenses incurred, shall to the full extent of coverage
provided for any other emergency or accident care, provide for
the payment of actual expenses incurred, without offset or
reduction for benefit deductibles or co-insurance amounts, in
the examination and testing of a victim of an offense defined
in Sections 11-1.20 through 11-1.60 or 12-13 through 12-16 of
the Criminal Code of 1961 or the Criminal Code of 2012, as now
or hereafter amended, or attempt to commit such offense, to
establish that sexual contact did occur or did not occur, and
to establish the presence or absence of sexually transmitted
disease or infection, and examination and treatment of injuries
and trauma sustained by a victim of such offense.
    (2) For purposes of enabling the recovery of State Funds,
any health services plan corporation subject to this Section
shall upon reasonable demand by the Department of Public Health
disclose the names and identities of its insureds or
subscribers entitled to benefits under this provision to the
Department of Public Health whenever the Department of Public
Health has determined that it has paid, or is about to pay,
hospital or medical expenses for which a health care service
corporation is liable under this Section. All information
received by the Department of Public Health under this
provision shall be held on a confidential basis and shall not
be subject to subpoena and shall not be made public by the
Department of Public Health or used for any purpose other than
that authorized by this Section.
    (3) Whenever the Department of Public Health finds that it
has paid all or part of any hospital or medical expenses which
a health services plan corporation is obligated to pay under
this Section, the Department of Public Health shall be entitled
to receive reimbursement for its payments from such corporation
provided that the Department of Public Health has notified the
corporation of its claims before the corporation has paid such
benefits to its subscribers or in behalf of its subscribers.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 290. The Public Utilities Act is amended by
changing Sections 2-202, 4-201, 18-106, and 22-501 as follows:
 
    (220 ILCS 5/2-202)  (from Ch. 111 2/3, par. 2-202)
    Sec. 2-202. Policy; Public Utility Fund; tax.
    (a) It is declared to be the public policy of this State
that in order to maintain and foster the effective regulation
of public utilities under this Act in the interests of the
People of the State of Illinois and the public utilities as
well, the public utilities subject to regulation under this Act
and which enjoy the privilege of operating as public utilities
in this State, shall bear the expense of administering this Act
by means of a tax on such privilege measured by the annual
gross revenue of such public utilities in the manner provided
in this Section. For purposes of this Section, "expense of
administering this Act" includes any costs incident to studies,
whether made by the Commission or under contract entered into
by the Commission, concerning environmental pollution problems
caused or contributed to by public utilities and the means for
eliminating or abating those problems. Such proceeds shall be
deposited in the Public Utility Fund in the State treasury.
    (b) All of the ordinary and contingent expenses of the
Commission incident to the administration of this Act shall be
paid out of the Public Utility Fund except the compensation of
the members of the Commission which shall be paid from the
General Revenue Fund. Notwithstanding other provisions of this
Act to the contrary, the ordinary and contingent expenses of
the Commission incident to the administration of the Illinois
Commercial Transportation Law may be paid from appropriations
from the Public Utility Fund through the end of fiscal year
1986.
    (c) A tax is imposed upon each public utility subject to
the provisions of this Act equal to .08% of its gross revenue
for each calendar year commencing with the calendar year
beginning January 1, 1982, except that the Commission may, by
rule, establish a different rate no greater than 0.1%. For
purposes of this Section, "gross revenue" shall not include
revenue from the production, transmission, distribution, sale,
delivery, or furnishing of electricity. "Gross revenue" shall
not include amounts paid by telecommunications retailers under
the Telecommunications Infrastructure Maintenance Fee Act.
    (d) Annual gross revenue returns shall be filed in
accordance with paragraph (1) or (2) of this subsection (d).
        (1) Except as provided in paragraph (2) of this
    subsection (d), on or before January 10 of each year each
    public utility subject to the provisions of this Act shall
    file with the Commission an estimated annual gross revenue
    return containing an estimate of the amount of its gross
    revenue for the calendar year commencing January 1 of said
    year and a statement of the amount of tax due for said
    calendar year on the basis of that estimate. Public
    utilities may also file revised returns containing updated
    estimates and updated amounts of tax due during the
    calendar year. These revised returns, if filed, shall form
    the basis for quarterly payments due during the remainder
    of the calendar year. In addition, on or before March 31 of
    each year, each public utility shall file an amended return
    showing the actual amount of gross revenues shown by the
    company's books and records as of December 31 of the
    previous year. Forms and instructions for such estimated,
    revised, and amended returns shall be devised and supplied
    by the Commission.
        (2) Beginning with returns due after January 1, 2002,
    the requirements of paragraph (1) of this subsection (d)
    shall not apply to any public utility in any calendar year
    for which the total tax the public utility owes under this
    Section is less than $10,000. For such public utilities
    with respect to such years, the public utility shall file
    with the Commission, on or before March 31 of the following
    year, an annual gross revenue return for the year and a
    statement of the amount of tax due for that year on the
    basis of such a return. Forms and instructions for such
    returns and corrected returns shall be devised and supplied
    by the Commission.
    (e) All returns submitted to the Commission by a public
utility as provided in this subsection (e) or subsection (d) of
this Section shall contain or be verified by a written
declaration by an appropriate officer of the public utility
that the return is made under the penalties of perjury. The
Commission may audit each such return submitted and may, under
the provisions of Section 5-101 of this Act, take such measures
as are necessary to ascertain the correctness of the returns
submitted. The Commission has the power to direct the filing of
a corrected return by any utility which has filed an incorrect
return and to direct the filing of a return by any utility
which has failed to submit a return. A taxpayer's signing a
fraudulent return under this Section is perjury, as defined in
Section 32-2 of the Criminal Code of 2012 1961.
    (f) (1) For all public utilities subject to paragraph (1)
of subsection (d), at least one quarter of the annual amount of
tax due under subsection (c) shall be paid to the Commission on
or before the tenth day of January, April, July, and October of
the calendar year subject to tax. In the event that an
adjustment in the amount of tax due should be necessary as a
result of the filing of an amended or corrected return under
subsection (d) or subsection (e) of this Section, the amount of
any deficiency shall be paid by the public utility together
with the amended or corrected return and the amount of any
excess shall, after the filing of a claim for credit by the
public utility, be returned to the public utility in the form
of a credit memorandum in the amount of such excess or be
refunded to the public utility in accordance with the
provisions of subsection (k) of this Section. However, if such
deficiency or excess is less than $1, then the public utility
need not pay the deficiency and may not claim a credit.
    (2) Any public utility subject to paragraph (2) of
subsection (d) shall pay the amount of tax due under subsection
(c) on or before March 31 next following the end of the
calendar year subject to tax. In the event that an adjustment
in the amount of tax due should be necessary as a result of the
filing of a corrected return under subsection (e), the amount
of any deficiency shall be paid by the public utility at the
time the corrected return is filed. Any excess tax payment by
the public utility shall be returned to it after the filing of
a claim for credit, in the form of a credit memorandum in the
amount of the excess. However, if such deficiency or excess is
less than $1, the public utility need not pay the deficiency
and may not claim a credit.
    (g) Each installment or required payment of the tax imposed
by subsection (c) becomes delinquent at midnight of the date
that it is due. Failure to make a payment as required by this
Section shall result in the imposition of a late payment
penalty, an underestimation penalty, or both, as provided by
this subsection. The late payment penalty shall be the greater
of:
        (1) $25 for each month or portion of a month that the
    installment or required payment is unpaid or
        (2) an amount equal to the difference between what
    should have been paid on the due date, based upon the most
    recently filed estimated, annual, or amended return, and
    what was actually paid, times 1%, for each month or portion
    of a month that the installment or required payment goes
    unpaid. This penalty may be assessed as soon as the
    installment or required payment becomes delinquent.
    The underestimation penalty shall apply to those public
utilities subject to paragraph (1) of subsection (d) and shall
be calculated after the filing of the amended return. It shall
be imposed if the amount actually paid on any of the dates
specified in subsection (f) is not equal to at least one-fourth
of the amount actually due for the year, and shall equal the
greater of:
        (1) $25 for each month or portion of a month that the
    amount due is unpaid or
        (2) an amount equal to the difference between what
    should have been paid, based on the amended return, and
    what was actually paid as of the date specified in
    subsection (f), times a percentage equal to 1/12 of the sum
    of 10% and the percentage most recently established by the
    Commission for interest to be paid on customer deposits
    under 83 Ill. Adm. Code 280.70(e)(1), for each month or
    portion of a month that the amount due goes unpaid, except
    that no underestimation penalty shall be assessed if the
    amount actually paid on or before each of the dates
    specified in subsection (f) was based on an estimate of
    gross revenues at least equal to the actual gross revenues
    for the previous year. The Commission may enforce the
    collection of any delinquent installment or payment, or
    portion thereof by legal action or in any other manner by
    which the collection of debts due the State of Illinois may
    be enforced under the laws of this State. The executive
    director or his designee may excuse the payment of an
    assessed penalty or a portion of an assessed penalty if he
    determines that enforced collection of the penalty as
    assessed would be unjust.
    (h) All sums collected by the Commission under the
provisions of this Section shall be paid promptly after the
receipt of the same, accompanied by a detailed statement
thereof, into the Public Utility Fund in the State treasury.
    (i) During the month of October of each odd-numbered year
the Commission shall:
        (1) determine the amount of all moneys deposited in the
    Public Utility Fund during the preceding fiscal biennium
    plus the balance, if any, in that fund at the beginning of
    that biennium;
        (2) determine the sum total of the following items: (A)
    all moneys expended or obligated against appropriations
    made from the Public Utility Fund during the preceding
    fiscal biennium, plus (B) the sum of the credit memoranda
    then outstanding against the Public Utility Fund, if any;
    and
        (3) determine the amount, if any, by which the sum
    determined as provided in item (1) exceeds the amount
    determined as provided in item (2).
    If the amount determined as provided in item (3) of this
subsection exceeds 50% of the previous fiscal year's
appropriation level, the Commission shall then compute the
proportionate amount, if any, which (x) the tax paid hereunder
by each utility during the preceding biennium, and (y) the
amount paid into the Public Utility Fund during the preceding
biennium by the Department of Revenue pursuant to Sections 2-9
and 2-11 of the Electricity Excise Tax Law, bears to the
difference between the amount determined as provided in item
(3) of this subsection (i) and 50% of the previous fiscal
year's appropriation level. The Commission shall cause the
proportionate amount determined with respect to payments made
under the Electricity Excise Tax Law to be transferred into the
General Revenue Fund in the State Treasury, and notify each
public utility that it may file during the 3 month period after
the date of notification a claim for credit for the
proportionate amount determined with respect to payments made
hereunder by the public utility. If the proportionate amount is
less than $10, no notification will be sent by the Commission,
and no right to a claim exists as to that amount. Upon the
filing of a claim for credit within the period provided, the
Commission shall issue a credit memorandum in such amount to
such public utility. Any claim for credit filed after the
period provided for in this Section is void.
    (j) Credit memoranda issued pursuant to subsection (f) and
credit memoranda issued after notification and filing pursuant
to subsection (i) may be applied for the 2 year period from the
date of issuance, against the payment of any amount due during
that period under the tax imposed by subsection (c), or,
subject to reasonable rule of the Commission including
requirement of notification, may be assigned to any other
public utility subject to regulation under this Act. Any
application of credit memoranda after the period provided for
in this Section is void.
    (k) The chairman or executive director may make refund of
fees, taxes or other charges whenever he shall determine that
the person or public utility will not be liable for payment of
such fees, taxes or charges during the next 24 months and he
determines that the issuance of a credit memorandum would be
unjust.
(Source: P.A. 95-1027, eff. 6-1-09.)
 
    (220 ILCS 5/4-201)  (from Ch. 111 2/3, par. 4-201)
    Sec. 4-201. It is hereby made the duty of the Commission to
see that the provisions of the Constitution and statutes of
this State affecting public utilities, the enforcement of which
is not specifically vested in some other officer or tribunal,
are enforced and obeyed, and that violations thereof are
promptly prosecuted and penalties due the State therefor
recovered and collected, and to this end it may sue in the name
of the People of the State.
    It shall be the duty of the Commission, at the direction
and discretion of the Chairman, to assemble and maintain an
electronic trespass enforcement assistance staff consisting of
experts in computer systems, electronics and other
professional disciplines to aid public utilities, businesses,
individuals and law enforcement agencies in detecting and
preventing electronic trespass violations and enforcing the
provisions of Sections 17-50, 17-51, and 17-52 Section 16-9 of
the "Criminal Code of 2012 1961", approved July 28, 1961, as
amended or any other relevant statute.
    No cause of action shall exist and no liability may be
imposed either civil or criminal, against the State, the
Chairman of the Commission or any of its members, or any
employee of the Commission, for any act or omission by them in
the performance of any power or duty authorized by this
Section, unless such act or omission was performed in bad faith
and with intent to injure a particular person.
(Source: P.A. 84-617.)
 
    (220 ILCS 5/18-106)
    Sec. 18-106. Grantee instruments.
    (a) If an electric utility to which grantee instruments
have been issued discontinues providing electric power and
energy services prior to the maturity date of such grantee
instruments, such electric utility shall not be entitled to
receive any payment on such grantee instruments on and after
the date of such discontinuance.
    (b) Notwithstanding the provisions of subsection (a) of
this Section, any assignee holding such grantee instruments or
any holder of transitional funding instruments which are
secured by such grantee instruments shall nevertheless be
entitled to recover amounts payable by such grantee under such
grantee instruments in accordance with their terms as if such
electric utility had not discontinued the provision of electric
power and energy.
    (c) Notwithstanding any other provision of law, the
issuance of any grantee instruments in accordance with the
terms and provisions of a transitional funding order shall for
all purposes be exempt from the application of Section 17-59 or
Article 39 of the Criminal Code of 2012 or the Criminal Code of
1961 and the Interest Act.
(Source: P.A. 90-561, eff. 12-16-97.)
 
    (220 ILCS 5/22-501)
    Sec. 22-501. Customer service and privacy protection. All
cable or video providers in this State shall comply with the
following customer service requirements and privacy
protections. The provisions of this Act shall not apply to an
incumbent cable operator prior to January 1, 2008. For purposes
of this paragraph, an incumbent cable operator means a person
or entity that provided cable services in a particular area
under a franchise agreement with a local unit of government
pursuant to Section 11-42-11 of the Illinois Municipal Code or
Section 5-1095 of the Counties Code on January 1, 2007. A
master antenna television, satellite master antenna
television, direct broadcast satellite, multipoint
distribution service, and other provider of video programming
shall only be subject to the provisions of this Article to the
extent permitted by federal law.
    The following definitions apply to the terms used in this
Article:
    "Basic cable or video service" means any service offering
or tier that includes the retransmission of local television
broadcast signals.
    "Cable or video provider" means any person or entity
providing cable service or video service pursuant to
authorization under (i) the Cable and Video Competition Law of
2007; (ii) Section 11-42-11 of the Illinois Municipal Code;
(iii) Section 5-1095 of the Counties Code; or (iv) a master
antenna television, satellite master antenna television,
direct broadcast satellite, multipoint distribution services,
and other providers of video programming, whatever their
technology. A cable or video provider shall not include a
landlord providing only broadcast video programming to a
single-family home or other residential dwelling consisting of
4 units or less.
    "Franchise" has the same meaning as found in 47 U.S.C.
522(9).
    "Local unit of government" means a city, village,
incorporated town, or a county.
    "Normal business hours" means those hours during which most
similar businesses in the geographic area of the local unit of
government are open to serve customers. In all cases, "normal
business hours" must include some evening hours at least one
night per week or some weekend hours.
    "Normal operating conditions" means those service
conditions that are within the control of cable or video
providers. Those conditions that are not within the control of
cable or video providers include, but are not limited to,
natural disasters, civil disturbances, power outages,
telephone network outages, and severe or unusual weather
conditions. Those conditions that are ordinarily within the
control of cable or video providers include, but are not
limited to, special promotions, pay-per-view events, rate
increases, regular peak or seasonal demand periods, and
maintenance or upgrade of the cable service or video service
network.
    "Service interruption" means the loss of picture or sound
on one or more cable service or video service on one or more
cable or video channels.
    "Service line drop" means the point of connection between a
premises and the cable or video network that enables the
premises to receive cable service or video service.
    (a) General customer service standards:
        (1) Cable or video providers shall establish general
    standards related to customer service, which shall
    include, but not be limited to, installation,
    disconnection, service and repair obligations; appointment
    hours and employee ID requirements; customer service
    telephone numbers and hours; procedures for billing,
    charges, deposits, refunds, and credits; procedures for
    termination of service; notice of deletion of programming
    service; changes related to transmission of programming;
    changes or increases in rates; the use and availability of
    parental control or lock-out devices; the use and
    availability of an A/B switch if applicable; complaint
    procedures and procedures for bill dispute resolution; a
    description of the rights and remedies available to
    consumers if the cable or video provider does not
    materially meet its customer service standards; and
    special services for customers with visual, hearing, or
    mobility disabilities.
        (2) Cable or video providers' rates for each level of
    service, rules, regulations, and policies related to its
    cable service or video service described in paragraph (1)
    of this subsection (a) must be made available to the public
    and displayed clearly and conspicuously on the cable or
    video provider's site on the Internet. If a promotional
    price or a price for a specified period of time is offered,
    the cable or video provider shall display the price at the
    end of the promotional period or specified period of time
    clearly and conspicuously with the display of the
    promotional price or price for a specified period of time.
    The cable or video provider shall provide this information
    upon request.
        (3) Cable or video providers shall provide notice
    concerning their general customer service standards to all
    customers. This notice shall be offered when service is
    first activated and annually thereafter. The information
    in the notice shall include all of the information
    specified in paragraph (1) of this subsection (a), as well
    as the following: a listing of services offered by the
    cable or video providers, which shall clearly describe
    programming for all services and all levels of service; the
    rates for all services and levels of service; a telephone
    number through which customers may subscribe to, change, or
    terminate service, request customer service, or seek
    general or billing information; instructions on the use of
    the cable or video services; and a description of rights
    and remedies that the cable or video providers shall make
    available to their customers if they do not materially meet
    the general customer service standards described in this
    Act.
    (b) General customer service obligations:
        (1) Cable or video providers shall render reasonably
    efficient service, promptly make repairs, and interrupt
    service only as necessary and for good cause, during
    periods of minimum use of the system and for no more than
    24 hours.
        (2) All service representatives or any other person who
    contacts customers or potential customers on behalf of the
    cable or video provider shall have a visible identification
    card with their name and photograph and shall orally
    identify themselves upon first contact with the customer.
    Customer service representatives shall orally identify
    themselves to callers immediately following the greeting
    during each telephone contact with the public.
        (3) The cable or video providers shall: (i) maintain a
    customer service facility within the boundaries of a local
    unit of government staffed by customer service
    representatives that have the capacity to accept payment,
    adjust bills, and respond to repair, installation,
    reconnection, disconnection, or other service calls and
    distribute or receive converter boxes, remote control
    units, digital stereo units, or other equipment related to
    the provision of cable or video service; (ii) provide
    customers with bill payment facilities through retail,
    financial, or other commercial institutions located within
    the boundaries of a local unit of government; (iii) provide
    an address, toll-free telephone number or electronic
    address to accept bill payments and correspondence and
    provide secure collection boxes for the receipt of bill
    payments and the return of equipment, provided that if a
    cable or video provider provides secure collection boxes,
    it shall provide a printed receipt when items are
    deposited; or (iv) provide an address, toll-free telephone
    number, or electronic address to accept bill payments and
    correspondence and provide a method for customers to return
    equipment to the cable or video provider at no cost to the
    customer.
        (4) In each contact with a customer, the service
    representatives or any other person who contacts customers
    or potential customers on behalf of the cable or video
    provider shall state the estimated cost of the service,
    repair, or installation orally prior to delivery of the
    service or before any work is performed, shall provide the
    customer with an oral statement of the total charges before
    terminating the telephone call or other contact in which a
    service is ordered, whether in-person or over the Internet,
    and shall provide a written statement of the total charges
    before leaving the location at which the work was
    performed. In the event that the cost of service is a
    promotional price or is for a limited period of time, the
    cost of service at the end of the promotion or limited
    period of time shall be disclosed.
        (5) Cable or video providers shall provide customers a
    minimum of 30 days' written notice before increasing rates
    or eliminating transmission of programming and shall
    submit the notice to the local unit of government in
    advance of distribution to customers, provided that the
    cable or video provider is not in violation of this
    provision if the elimination of transmission of
    programming was outside the control of the provider, in
    which case the provider shall use reasonable efforts to
    provide as much notice as possible, and any rate decrease
    related to the elimination of transmission of programming
    shall be applied to the date of the change.
        (6) Cable or video providers shall provide clear visual
    and audio reception that meets or exceeds applicable
    Federal Communications Commission technical standards. If
    a customer experiences poor video or audio reception due to
    the equipment of the cable or video provider, the cable or
    video provider shall promptly repair the problem at its own
    expense.
    (c) Bills, payment, and termination:
        (1) Cable or video providers shall render monthly bills
    that are clear, accurate, and understandable.
        (2) Every residential customer who pays bills directly
    to the cable or video provider shall have at least 28 days
    from the date of the bill to pay the listed charges.
        (3) Customer payments shall be posted promptly. When
    the payment is sent by United States mail, payment is
    considered paid on the date it is postmarked.
        (4) Cable or video providers may not terminate
    residential service for nonpayment of a bill unless the
    cable or video provider furnishes notice of the delinquency
    and impending termination at least 21 days prior to the
    proposed termination. Notice of proposed termination shall
    be mailed, postage prepaid, to the customer to whom service
    is billed. Notice of proposed termination shall not be
    mailed until the 29th day after the date of the bill for
    services. Notice of delinquency and impending termination
    may be part of a billing statement only if the notice is
    presented in a different color than the bill and is
    designed to be conspicuous. The cable or video providers
    may not assess a late fee prior to the 29th day after the
    date of the bill for service.
        (5) Every notice of impending termination shall
    include all of the following: the name and address of
    customer; the amount of the delinquency; the date on which
    payment is required to avoid termination; and the telephone
    number of the cable or video provider's service
    representative to make payment arrangements and to provide
    additional information about the charges for failure to
    return equipment and for reconnection, if any. No customer
    may be charged a fee for termination or disconnection of
    service, irrespective of whether the customer initiated
    termination or disconnection or the cable or video provider
    initiated termination or disconnection.
        (6) Service may only be terminated on days when the
    customer is able to reach a service representative of the
    cable or video providers, either in person or by telephone.
        (7) Any service terminated by a cable or video provider
    without good cause shall be restored without any
    reconnection fee, charge, or penalty; good cause for
    termination includes, but is not limited to, failure to pay
    a bill by the date specified in the notice of impending
    termination, payment by check for which there are
    insufficient funds, theft of service, abuse of equipment or
    personnel, or other similar subscriber actions.
        (8) Cable or video providers shall cease charging a
    customer for any or all services within one business day
    after it receives a request to immediately terminate
    service or on the day requested by the customer if such a
    date is at least 5 days from the date requested by the
    customer. Nothing in this subsection (c) shall prohibit the
    provider from billing for charges that the customer incurs
    prior to the date of termination. Cable or video providers
    shall issue a credit or a refund or return a deposit within
    10 business days after the close of the customer's billing
    cycle following the request for termination or the return
    of equipment, if any, whichever is later.
        (9) The customers or subscribers of a cable or video
    provider shall be allowed to disconnect their service at
    any time within the first 60 days after subscribing to or
    upgrading the service. Within this 60-day period, cable or
    video providers shall not charge or impose any fees or
    penalties on the customer for disconnecting service,
    including, but not limited to, any installation charge or
    the imposition of an early termination charge, except the
    cable or video provider may impose a charge or fee to
    offset any rebates or credits received by the customer and
    may impose monthly service or maintenance charges,
    including pay-per-view and premium services charges,
    during such 60-day period.
        (10) Cable and video providers shall guarantee
    customer satisfaction for new or upgraded service and the
    customer shall receive a pro-rata credit in an amount equal
    to the pro-rata charge for the remaining days of service
    being disconnected or replaced upon the customers request
    if the customer is dissatisfied with the service and
    requests to discontinue the service within the first 60
    days after subscribing to the upgraded service.
    (d) Response to customer inquiries:
        (1) Cable or video providers will maintain a toll-free
    telephone access line that is available to customers 24
    hours a day, 7 days a week to accept calls regarding
    installation, termination, service, and complaints.
    Trained, knowledgeable, qualified service representatives
    of the cable or video providers will be available to
    respond to customer telephone inquiries during normal
    business hours. Customer service representatives shall be
    able to provide credit, waive fees, schedule appointments,
    and change billing cycles. Any difficulties that cannot be
    resolved by the customer service representatives shall be
    referred to a supervisor who shall make his or her best
    efforts to resolve the issue immediately. If the supervisor
    does not resolve the issue to the customer's satisfaction,
    the customer shall be informed of the cable or video
    provider's complaint procedures and procedures for billing
    dispute resolution and given a description of the rights
    and remedies available to customers to enforce the terms of
    this Article, including the customer's rights to have the
    complaint reviewed by the local unit of government, to
    request mediation, and to review in a court of competent
    jurisdiction.
        (2) After normal business hours, the access line may be
    answered by a service or an automated response system,
    including an answering machine. Inquiries received by
    telephone or e-mail after normal business hours shall be
    responded to by a trained service representative on the
    next business day. The cable or video provider shall
    respond to a written billing inquiry within 10 days of
    receipt of the inquiry.
        (3) Cable or video providers shall provide customers
    seeking non-standard installations with a total
    installation cost estimate and an estimated date of
    completion. The actual charge to the customer shall not
    exceed 10% of the estimated cost without the written
    consent of the customer.
        (4) If the cable or video provider receives notice that
    an unsafe condition exists with respect to its equipment,
    it shall investigate such condition immediately and shall
    take such measures as are necessary to remove or eliminate
    the unsafe condition. The cable or video provider shall
    inform the local unit of government promptly, but no later
    than 2 hours after it receives notification of an unsafe
    condition that it has not remedied.
        (5) Under normal operating conditions, telephone
    answer time by the cable or video provider's customer
    representative, including wait time, shall not exceed 30
    seconds when the connection is made. If the call needs to
    be transferred, transfer time shall not exceed 30 seconds.
    These standards shall be met no less than 90% of the time
    under normal operating conditions, measured on a quarterly
    basis.
        (6) Under normal operating conditions, the cable or
    video provider's customers will receive a busy signal less
    than 3% of the time.
    (e) Under normal operating conditions, each of the
following standards related to installations, outages, and
service calls will be met no less than 95% of the time measured
on a quarterly basis:
        (1) Standard installations will be performed within 7
    business days after an order has been placed. "Standard"
    installations are those that are located up to 125 feet
    from the existing distribution system.
        (2) Excluding conditions beyond the control of the
    cable or video providers, the cable or video providers will
    begin working on "service interruptions" promptly and in no
    event later than 24 hours after the interruption is
    reported by the customer or otherwise becomes known to the
    cable or video providers. Cable or video providers must
    begin actions to correct other service problems the next
    business day after notification of the service problem and
    correct the problem within 48 hours after the interruption
    is reported by the customer 95% of the time, measured on a
    quarterly basis.
        (3) The "appointment window" alternatives for
    installations, service calls, and other installation
    activities will be either a specific time or, at a maximum,
    a 4-hour time block during evening, weekend, and normal
    business hours. The cable or video provider may schedule
    service calls and other installation activities outside of
    these hours for the express convenience of the customer.
        (4) Cable or video providers may not cancel an
    appointment with a customer after 5:00 p.m. on the business
    day prior to the scheduled appointment. If the cable or
    video provider's representative is running late for an
    appointment with a customer and will not be able to keep
    the appointment as scheduled, the customer will be
    contacted. The appointment will be rescheduled, as
    necessary, at a time that is convenient for the customer,
    even if the rescheduled appointment is not within normal
    business hours.
    (f) Public benefit obligation:
        (1) All cable or video providers offering service
    pursuant to the Cable and Video Competition Law of 2007,
    the Illinois Municipal Code, or the Counties Code shall
    provide a free service line drop and free basic service to
    all current and future public buildings within their
    footprint, including, but not limited to, all local unit of
    government buildings, public libraries, and public primary
    and secondary schools, whether owned or leased by that
    local unit of government ("eligible buildings"). Such
    service shall be used in a manner consistent with the
    government purpose for the eligible building and shall not
    be resold.
        (2) This obligation only applies to those cable or
    video service providers whose cable service or video
    service systems pass eligible buildings and its cable or
    video service is generally available to residential
    subscribers in the same local unit of government in which
    the eligible building is located. The burden of providing
    such service at each eligible building shall be shared by
    all cable and video providers whose systems pass the
    eligible buildings in an equitable and competitively
    neutral manner, and nothing herein shall require
    duplicative installations by more than one cable or video
    provider at each eligible building. Cable or video
    providers operating in a local unit of government shall
    meet as necessary and determine who will provide service to
    eligible buildings under this subsection (f). If the cable
    or video providers are unable to reach an agreement, they
    shall meet with the local unit of government, which shall
    determine which cable or video providers will serve each
    eligible building. The local unit of government shall bear
    the costs of any inside wiring or video equipment costs not
    ordinarily provided as part of the cable or video
    provider's basic offering.
    (g) After the cable or video providers have offered service
for one year, the cable or video providers shall make an annual
report to the Commission, to the local unit of government, and
to the Attorney General that it is meeting the standards
specified in this Article, identifying the number of complaints
it received over the prior year in the State and specifying the
number of complaints related to each of the following: (1)
billing, charges, refunds, and credits; (2) installation or
termination of service; (3) quality of service and repair; (4)
programming; and (5) miscellaneous complaints that do not fall
within these categories. Thereafter, the cable or video
providers shall also provide, upon request by the local unit of
government where service is offered and to the Attorney
General, an annual public report that includes performance data
described in subdivisions (5) and (6) of subsection (d) and
subdivisions (1) and (2) of subsection (e) of this Section for
cable services or video services. The performance data shall be
disaggregated for each requesting local unit of government or
local exchange, as that term is defined in Section 13-206 of
this Act, in which the cable or video providers have customers.
    (h) To the extent consistent with federal law, cable or
video providers shall offer the lowest-cost basic cable or
video service as a stand-alone service to residential customers
at reasonable rates. Cable or video providers shall not require
the subscription to any service other than the lowest-cost
basic service or to any telecommunications or information
service, as a condition of access to cable or video service,
including programming offered on a per channel or per program
basis. Cable or video providers shall not discriminate between
subscribers to the lowest-cost basic service, subscribers to
other cable services or video services, and other subscribers
with regard to the rates charged for cable or video programming
offered on a per channel or per program basis.
    (i) To the extent consistent with federal law, cable or
video providers shall ensure that charges for changes in the
subscriber's selection of services or equipment shall be based
on the cost of such change and shall not exceed nominal amounts
when the system's configuration permits changes in service tier
selection to be effected solely by coded entry on a computer
terminal or by other similarly simple method.
    (j) To the extent consistent with federal law, cable or
video providers shall have a rate structure for the provision
of cable or video service that is uniform throughout the area
within the boundaries of the local unit of government. This
subsection (j) is not intended to prohibit bulk discounts to
multiple dwelling units or to prohibit reasonable discounts to
senior citizens or other economically disadvantaged groups.
    (k) To the extent consistent with federal law, cable or
video providers shall not charge a subscriber for any service
or equipment that the subscriber has not affirmatively
requested by name. For purposes of this subsection (k), a
subscriber's failure to refuse a cable or video provider's
proposal to provide service or equipment shall not be deemed to
be an affirmative request for such service or equipment.
    (l) No contract or service agreement containing an early
termination clause offering residential cable or video
services or any bundle including such services shall be for a
term longer than 2 years. Any contract or service offering with
a term of service that contains an early termination fee shall
limit the early termination fee to not more than the value of
any additional goods or services provided with the cable or
video services, the amount of the discount reflected in the
price for cable services or video services for the period
during which the consumer benefited from the discount, or a
declining fee based on the remainder of the contract term.
    (m) Cable or video providers shall not discriminate in the
provision of services for the hearing and visually impaired,
and shall comply with the accessibility requirements of 47
U.S.C. 613. Cable or video providers shall deliver and pick-up
or provide customers with pre-paid shipping and packaging for
the return of converters and other necessary equipment at the
home of customers with disabilities. Cable or video providers
shall provide free use of a converter or remote control unit to
mobility impaired customers.
    (n)(1) To the extent consistent with federal law, cable or
video providers shall comply with the provisions of 47 U.S.C.
532(h) and (j). The cable or video providers shall not exercise
any editorial control over any video programming provided
pursuant to this Section, or in any other way consider the
content of such programming, except that a cable or video
provider may refuse to transmit any leased access program or
portion of a leased access program that contains obscenity,
indecency, or nudity and may consider such content to the
minimum extent necessary to establish a reasonable price for
the commercial use of designated channel capacity by an
unaffiliated person. This subsection (n) shall permit cable or
video providers to enforce prospectively a written and
published policy of prohibiting programming that the cable or
video provider reasonably believes describes or depicts sexual
or excretory activities or organs in a patently offensive
manner as measured by contemporary community standards.
        (2) Upon customer request, the cable or video provider
    shall, without charge, fully scramble or otherwise fully
    block the audio and video programming of each channel
    carrying such programming so that a person who is not a
    subscriber does not receive the channel or programming.
        (3) In providing sexually explicit adult programming
    or other programming that is indecent on any channel of its
    service primarily dedicated to sexually oriented
    programming, the cable or video provider shall fully
    scramble or otherwise fully block the video and audio
    portion of such channel so that a person who is not a
    subscriber to such channel or programming does not receive
    it.
        (4) Scramble means to rearrange the content of the
    signal of the programming so that the programming cannot be
    viewed or heard in an understandable manner.
    (o) Cable or video providers will maintain a listing,
specific to the level of street address, of the areas where its
cable or video services are available. Customers who inquire
about purchasing cable or video service shall be informed about
whether the cable or video provider's cable or video services
are currently available to them at their specific location.
    (p) Cable or video providers shall not disclose the name,
address, telephone number or other personally identifying
information of a cable service or video service customer to be
used in mailing lists or to be used for other commercial
purposes not reasonably related to the conduct of its business
unless the cable or video provider has provided to the customer
a notice, separately or included in any other customer service
notice, that clearly and conspicuously describes the
customer's ability to prohibit the disclosure. Cable or video
providers shall provide an address and telephone number for a
customer to use without a toll charge to prevent disclosure of
the customer's name and address in mailing lists or for other
commercial purposes not reasonably related to the conduct of
its business to other businesses or affiliates of the cable or
video provider. Cable or video providers shall comply with the
consumer privacy requirements of Section 26-4.5 of the Criminal
Code of 2012 1961, the Restricted Call Registry Act, and 47
U.S.C. 551 that are in effect as of June 30, 2007 (the
effective date of Public Act 95-9) and as amended thereafter.
    (q) Cable or video providers shall implement an informal
process for handling inquiries from local units of government
and customers concerning billing issues, service issues,
privacy concerns, and other consumer complaints. In the event
that an issue is not resolved through this informal process, a
local unit of government or the customer may request nonbinding
mediation with the cable or video provider, with each party to
bear its own costs of such mediation. Selection of the mediator
will be by mutual agreement, and preference will be given to
mediation services that do not charge the consumer for their
services. In the event that the informal process does not
produce a satisfactory result to the customer or the local unit
of government, enforcement may be pursued as provided in
subdivision (4) of subsection (r) of this Section.
    (r) The Attorney General and the local unit of government
may enforce all of the customer service and privacy protection
standards of this Section with respect to complaints received
from residents within the local unit of government's
jurisdiction, but it may not adopt or seek to enforce any
additional or different customer service or performance
standards under any other authority or provision of law.
        (1) The local unit of government may, by ordinance,
    provide a schedule of penalties for any material breach of
    this Section by cable or video providers in addition to the
    penalties provided herein. No monetary penalties shall be
    assessed for a material breach if it is out of the
    reasonable control of the cable or video providers or its
    affiliate. Monetary penalties adopted in an ordinance
    pursuant to this Section shall apply on a competitively
    neutral basis to all providers of cable service or video
    service within the local unit of government's
    jurisdiction. In no event shall the penalties imposed under
    this subsection (r) exceed $750 for each day of the
    material breach, and these penalties shall not exceed
    $25,000 for each occurrence of a material breach per
    customer.
        (2) For purposes of this Section, "material breach"
    means any substantial failure of a cable or video service
    provider to comply with service quality and other standards
    specified in any provision of this Act. The Attorney
    General or the local unit of government shall give the
    cable or video provider written notice of any alleged
    material breaches of this Act and allow such provider at
    least 30 days from receipt of the notice to remedy the
    specified material breach.
        (3) A material breach, for the purposes of assessing
    penalties, shall be deemed to have occurred for each day
    that a material breach has not been remedied by the cable
    service or video service provider after the expiration of
    the period specified in subdivision (2) of this subsection
    (r) in each local unit of government's jurisdiction,
    irrespective of the number of customers affected.
        (4) Any customer, the Attorney General, or a local unit
    of government may pursue alleged violations of this Act by
    the cable or video provider in a court of competent
    jurisdiction. A cable or video provider may seek judicial
    review of a decision of a local unit of government imposing
    penalties in a court of competent jurisdiction. No local
    unit of government shall be subject to suit for damages or
    other relief based upon its action in connection with its
    enforcement or review of any of the terms, conditions, and
    rights contained in this Act except a court may require the
    return of any penalty it finds was not properly assessed or
    imposed.
    (s) Cable or video providers shall credit customers for
violations in the amounts stated herein. The credits shall be
applied on the statement issued to the customer for the next
monthly billing cycle following the violation or following the
discovery of the violation. Cable or video providers are
responsible for providing the credits described herein and the
customer is under no obligation to request the credit. If the
customer is no longer taking service from the cable or video
provider, the credit amount will be refunded to the customer by
check within 30 days of the termination of service. A local
unit of government may, by ordinance, adopt a schedule of
credits payable directly to customers for breach of the
customer service standards and obligations contained in this
Article, provided the schedule of customer credits applies on a
competitively neutral basis to all providers of cable service
or video service in the local unit of government's jurisdiction
and the credits are not greater than the credits provided in
this Section.
        (1) Failure to provide notice of customer service
    standards upon initiation of service: $25.00.
        (2) Failure to install service within 7 days: Waiver of
    50% of the installation fee or the monthly fee for the
    lowest-cost basic service, whichever is greater. Failure
    to install service within 14 days: Waiver of 100% of the
    installation fee or the monthly fee for the lowest-cost
    basic service, whichever is greater.
        (3) Failure to remedy service interruptions or poor
    video or audio service quality within 48 hours: Pro-rata
    credit of total regular monthly charges equal to the number
    of days of the service interruption.
        (4) Failure to keep an appointment or to notify the
    customer prior to the close of business on the business day
    prior to the scheduled appointment: $25.00.
        (5) Violation of privacy protections: $150.00.
        (6) Failure to comply with scrambling requirements:
    $50.00 per month.
        (7) Violation of customer service and billing
    standards in subsections (c) and (d) of this Section:
    $25.00 per occurrence.
        (8) Violation of the bundling rules in subsection (h)
    of this Section: $25.00 per month.
    (t) The enforcement powers granted to the Attorney General
in Article XXI of this Act shall apply to this Article, except
that the Attorney General may not seek penalties for violation
of this Article other than in the amounts specified herein.
Nothing in this Section shall limit or affect the powers of the
Attorney General to enforce the provisions of Article XXI of
this Act or the Consumer Fraud and Deceptive Business Practices
Act.
    (u) This Article applies to all cable and video providers
in the State, including but not limited to those operating
under a local franchise as that term is used in 47 U.S.C.
522(9), those operating under authorization pursuant to
Section 11-42-11 of the Illinois Municipal Code, those
operating under authorization pursuant to Section 5-1095 of the
Counties Code, and those operating under a State-issued
authorization pursuant to Article XXI of this Act.
(Source: P.A. 96-927, eff. 6-15-10; 97-1108, eff. 1-1-13.)
 
    Section 295. The Acupuncture Practice Act is amended by
changing Section 117 as follows:
 
    (225 ILCS 2/117)
    (Section scheduled to be repealed on January 1, 2018)
    Sec. 117. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 300. The Illinois Athletic Trainers Practice Act is
amended by changing Section 16.5 as follows:
 
    (225 ILCS 5/16.5)
    (Section scheduled to be repealed on January 1, 2016)
    Sec. 16.5. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 305. The Child Care Act of 1969 is amended by
changing Sections 4.2 and 14.6 as follows:
 
    (225 ILCS 10/4.2)  (from Ch. 23, par. 2214.2)
    Sec. 4.2. (a) No applicant may receive a license from the
Department and no person may be employed by a licensed child
care facility who refuses to authorize an investigation as
required by Section 4.1.
    (b) In addition to the other provisions of this Section, no
applicant may receive a license from the Department and no
person may be employed by a child care facility licensed by the
Department who has been declared a sexually dangerous person
under "An Act in relation to sexually dangerous persons, and
providing for their commitment, detention and supervision",
approved July 6, 1938, as amended, or convicted of committing
or attempting to commit any of the following offenses
stipulated under the Criminal Code of 1961 or the Criminal Code
of 2012:
        (1) murder;
        (1.1) solicitation of murder;
        (1.2) solicitation of murder for hire;
        (1.3) intentional homicide of an unborn child;
        (1.4) voluntary manslaughter of an unborn child;
        (1.5) involuntary manslaughter;
        (1.6) reckless homicide;
        (1.7) concealment of a homicidal death;
        (1.8) involuntary manslaughter of an unborn child;
        (1.9) reckless homicide of an unborn child;
        (1.10) drug-induced homicide;
        (2) a sex offense under Article 11, except offenses
    described in Sections 11-7, 11-8, 11-12, 11-13, 11-35,
    11-40, and 11-45;
        (3) kidnapping;
        (3.1) aggravated unlawful restraint;
        (3.2) forcible detention;
        (3.3) harboring a runaway;
        (3.4) aiding and abetting child abduction;
        (4) aggravated kidnapping;
        (5) child abduction;
        (6) aggravated battery of a child as described in
    Section 12-4.3 or subdivision (b)(1) of Section 12-3.05;
        (7) criminal sexual assault;
        (8) aggravated criminal sexual assault;
        (8.1) predatory criminal sexual assault of a child;
        (9) criminal sexual abuse;
        (10) aggravated sexual abuse;
        (11) heinous battery as described in Section 12-4.1 or
    subdivision (a)(2) of Section 12-3.05;
        (12) aggravated battery with a firearm as described in
    Section 12-4.2 or subdivision (e)(1), (e)(2), (e)(3), or
    (e)(4) of Section 12-3.05;
        (13) tampering with food, drugs, or cosmetics;
        (14) drug induced infliction of great bodily harm as
    described in Section 12-4.7 or subdivision (g)(1) of
    Section 12-3.05;
        (15) hate crime;
        (16) stalking;
        (17) aggravated stalking;
        (18) threatening public officials;
        (19) home invasion;
        (20) vehicular invasion;
        (21) criminal transmission of HIV;
        (22) criminal abuse or neglect of an elderly or
    disabled person as described in Section 12-21 or subsection
    (b) of Section 12-4.4a;
        (23) child abandonment;
        (24) endangering the life or health of a child;
        (25) ritual mutilation;
        (26) ritualized abuse of a child;
        (27) an offense in any other jurisdiction the elements
    of which are similar and bear a substantial relationship to
    any of the foregoing offenses.
    (b-1) In addition to the other provisions of this Section,
beginning January 1, 2004, no new applicant and, on the date of
licensure renewal, no current licensee may operate or receive a
license from the Department to operate, no person may be
employed by, and no adult person may reside in a child care
facility licensed by the Department who has been convicted of
committing or attempting to commit any of the following
offenses or an offense in any other jurisdiction the elements
of which are similar and bear a substantial relationship to any
of the following offenses:
 
(I) BODILY HARM

 
        (1) Felony aggravated assault.
        (2) Vehicular endangerment.
        (3) Felony domestic battery.
        (4) Aggravated battery.
        (5) Heinous battery.
        (6) Aggravated battery with a firearm.
        (7) Aggravated battery of an unborn child.
        (8) Aggravated battery of a senior citizen.
        (9) Intimidation.
        (10) Compelling organization membership of persons.
        (11) Abuse and criminal neglect of a long term care
    facility resident.
        (12) Felony violation of an order of protection.
 
(II) OFFENSES AFFECTING PUBLIC HEALTH, SAFETY, AND DECENCY

 
        (1) Felony unlawful use of weapons.
        (2) Aggravated discharge of a firearm.
        (3) Reckless discharge of a firearm.
        (4) Unlawful use of metal piercing bullets.
        (5) Unlawful sale or delivery of firearms on the
    premises of any school.
        (6) Disarming a police officer.
        (7) Obstructing justice.
        (8) Concealing or aiding a fugitive.
        (9) Armed violence.
        (10) Felony contributing to the criminal delinquency
    of a juvenile.
 
(III) DRUG OFFENSES

 
        (1) Possession of more than 30 grams of cannabis.
        (2) Manufacture of more than 10 grams of cannabis.
        (3) Cannabis trafficking.
        (4) Delivery of cannabis on school grounds.
        (5) Unauthorized production of more than 5 cannabis
    sativa plants.
        (6) Calculated criminal cannabis conspiracy.
        (7) Unauthorized manufacture or delivery of controlled
    substances.
        (8) Controlled substance trafficking.
        (9) Manufacture, distribution, or advertisement of
    look-alike substances.
        (10) Calculated criminal drug conspiracy.
        (11) Street gang criminal drug conspiracy.
        (12) Permitting unlawful use of a building.
        (13) Delivery of controlled, counterfeit, or
    look-alike substances to persons under age 18, or at truck
    stops, rest stops, or safety rest areas, or on school
    property.
        (14) Using, engaging, or employing persons under 18 to
    deliver controlled, counterfeit, or look-alike substances.
        (15) Delivery of controlled substances.
        (16) Sale or delivery of drug paraphernalia.
        (17) Felony possession, sale, or exchange of
    instruments adapted for use of a controlled substance,
    methamphetamine, or cannabis by subcutaneous injection.
        (18) Felony possession of a controlled substance.
        (19) Any violation of the Methamphetamine Control and
    Community Protection Act.
    (b-1.5) In addition to any other provision of this Section,
for applicants with access to confidential financial
information or who submit documentation to support billing, no
applicant whose initial application was considered after the
effective date of this amendatory Act of the 97th General
Assembly may receive a license from the Department or a child
care facility licensed by the Department who has been convicted
of committing or attempting to commit any of the following
felony offenses:
        (1) financial institution fraud under Section 17-10.6
    of the Criminal Code of 1961 or the Criminal Code of 2012;
        (2) identity theft under Section 16-30 of the Criminal
    Code of 1961 or the Criminal Code of 2012;
        (3) financial exploitation of an elderly person or a
    person with a disability under Section 17-56 of the
    Criminal Code of 1961 or the Criminal Code of 2012;
        (4) computer tampering under Section 17-51 of the
    Criminal Code of 1961 or the Criminal Code of 2012;
        (5) aggravated computer tampering under Section 17-52
    of the Criminal Code of 1961 or the Criminal Code of 2012;
        (6) computer fraud under Section 17-50 of the Criminal
    Code of 1961 or the Criminal Code of 2012;
        (7) deceptive practices under Section 17-1 of the
    Criminal Code of 1961 or the Criminal Code of 2012;
        (8) forgery under Section 17-3 of the Criminal Code of
    1961 or the Criminal Code of 2012;
        (9) State benefits fraud under Section 17-6 of the
    Criminal Code of 1961 or the Criminal Code of 2012;
        (10) mail fraud and wire fraud under Section 17-24 of
    the Criminal Code of 1961 or the Criminal Code of 2012;
        (11) theft under paragraphs (1.1) through (11) of
    subsection (b) of Section 16-1 of the Criminal Code of 1961
    or the Criminal Code of 2012.
    (b-2) Notwithstanding subsection (b-1), the Department may
make an exception and, for child care facilities other than
foster family homes, issue a new child care facility license to
or renew the existing child care facility license of an
applicant, a person employed by a child care facility, or an
applicant who has an adult residing in a home child care
facility who was convicted of an offense described in
subsection (b-1), provided that all of the following
requirements are met:
        (1) The relevant criminal offense occurred more than 5
    years prior to the date of application or renewal, except
    for drug offenses. The relevant drug offense must have
    occurred more than 10 years prior to the date of
    application or renewal, unless the applicant passed a drug
    test, arranged and paid for by the child care facility, no
    less than 5 years after the offense.
        (2) The Department must conduct a background check and
    assess all convictions and recommendations of the child
    care facility to determine if hiring or licensing the
    applicant is in accordance with Department administrative
    rules and procedures.
        (3) The applicant meets all other requirements and
    qualifications to be licensed as the pertinent type of
    child care facility under this Act and the Department's
    administrative rules.
    (c) In addition to the other provisions of this Section, no
applicant may receive a license from the Department to operate
a foster family home, and no adult person may reside in a
foster family home licensed by the Department, who has been
convicted of committing or attempting to commit any of the
following offenses stipulated under the Criminal Code of 1961,
the Criminal Code of 2012, the Cannabis Control Act, the
Methamphetamine Control and Community Protection Act, and the
Illinois Controlled Substances Act:
 
(I) OFFENSES DIRECTED AGAINST THE PERSON

 
    (A) KIDNAPPING AND RELATED OFFENSES
        (1) Unlawful restraint.
 
    (B) BODILY HARM
        (2) Felony aggravated assault.
        (3) Vehicular endangerment.
        (4) Felony domestic battery.
        (5) Aggravated battery.
        (6) Heinous battery.
        (7) Aggravated battery with a firearm.
        (8) Aggravated battery of an unborn child.
        (9) Aggravated battery of a senior citizen.
        (10) Intimidation.
        (11) Compelling organization membership of persons.
        (12) Abuse and criminal neglect of a long term care
    facility resident.
        (13) Felony violation of an order of protection.
 
(II) OFFENSES DIRECTED AGAINST PROPERTY

 
        (14) Felony theft.
        (15) Robbery.
        (16) Armed robbery.
        (17) Aggravated robbery.
        (18) Vehicular hijacking.
        (19) Aggravated vehicular hijacking.
        (20) Burglary.
        (21) Possession of burglary tools.
        (22) Residential burglary.
        (23) Criminal fortification of a residence or
    building.
        (24) Arson.
        (25) Aggravated arson.
        (26) Possession of explosive or explosive incendiary
    devices.
 
(III) OFFENSES AFFECTING PUBLIC HEALTH, SAFETY, AND DECENCY

 
        (27) Felony unlawful use of weapons.
        (28) Aggravated discharge of a firearm.
        (29) Reckless discharge of a firearm.
        (30) Unlawful use of metal piercing bullets.
        (31) Unlawful sale or delivery of firearms on the
    premises of any school.
        (32) Disarming a police officer.
        (33) Obstructing justice.
        (34) Concealing or aiding a fugitive.
        (35) Armed violence.
        (36) Felony contributing to the criminal delinquency
    of a juvenile.
 
(IV) DRUG OFFENSES

 
        (37) Possession of more than 30 grams of cannabis.
        (38) Manufacture of more than 10 grams of cannabis.
        (39) Cannabis trafficking.
        (40) Delivery of cannabis on school grounds.
        (41) Unauthorized production of more than 5 cannabis
    sativa plants.
        (42) Calculated criminal cannabis conspiracy.
        (43) Unauthorized manufacture or delivery of
    controlled substances.
        (44) Controlled substance trafficking.
        (45) Manufacture, distribution, or advertisement of
    look-alike substances.
        (46) Calculated criminal drug conspiracy.
        (46.5) Streetgang criminal drug conspiracy.
        (47) Permitting unlawful use of a building.
        (48) Delivery of controlled, counterfeit, or
    look-alike substances to persons under age 18, or at truck
    stops, rest stops, or safety rest areas, or on school
    property.
        (49) Using, engaging, or employing persons under 18 to
    deliver controlled, counterfeit, or look-alike substances.
        (50) Delivery of controlled substances.
        (51) Sale or delivery of drug paraphernalia.
        (52) Felony possession, sale, or exchange of
    instruments adapted for use of a controlled substance,
    methamphetamine, or cannabis by subcutaneous injection.
        (53) Any violation of the Methamphetamine Control and
    Community Protection Act.
    (d) Notwithstanding subsection (c), the Department may
make an exception and issue a new foster family home license or
may renew an existing foster family home license of an
applicant who was convicted of an offense described in
subsection (c), provided all of the following requirements are
met:
        (1) The relevant criminal offense or offenses occurred
    more than 10 years prior to the date of application or
    renewal.
        (2) The applicant had previously disclosed the
    conviction or convictions to the Department for purposes of
    a background check.
        (3) After the disclosure, the Department either placed
    a child in the home or the foster family home license was
    issued.
        (4) During the background check, the Department had
    assessed and waived the conviction in compliance with the
    existing statutes and rules in effect at the time of the
    hire or licensure.
        (5) The applicant meets all other requirements and
    qualifications to be licensed as a foster family home under
    this Act and the Department's administrative rules.
        (6) The applicant has a history of providing a safe,
    stable home environment and appears able to continue to
    provide a safe, stable home environment.
    (e) In evaluating the exception pursuant to subsections
(b-2) and (d), the Department must carefully review any
relevant documents to determine whether the applicant, despite
the disqualifying convictions, poses a substantial risk to
State resources or clients. In making such a determination, the
following guidelines shall be used:
        (1) the age of the applicant when the offense was
    committed;
        (2) the circumstances surrounding the offense;
        (3) the length of time since the conviction;
        (4) the specific duties and responsibilities
    necessarily related to the license being applied for and
    the bearing, if any, that the applicant's conviction
    history may have on his or her fitness to perform these
    duties and responsibilities;
        (5) the applicant's employment references;
        (6) the applicant's character references and any
    certificates of achievement;
        (7) an academic transcript showing educational
    attainment since the disqualifying conviction;
        (8) a Certificate of Relief from Disabilities or
    Certificate of Good Conduct; and
        (9) anything else that speaks to the applicant's
    character.
(Source: P.A. 96-1551, Article 1, Section 925, eff. 7-1-11;
96-1551, Article 2, Section 990, eff. 7-1-11; 97-874, eff.
7-31-12; 97-1109, eff. 1-1-13.)
 
    (225 ILCS 10/14.6)
    Sec. 14.6. Agency payment of salaries or other
compensation.
    (a) A licensed child welfare agency may pay salaries or
other compensation to its officers, employees, agents,
contractors, or any other persons acting on its behalf for
providing adoption services, provided that all of the following
limitations apply:
        (1) The fees, wages, salaries, or other compensation of
    any description paid to the officers, employees,
    contractors, or any other person acting on behalf of a
    child welfare agency providing adoption services shall not
    be unreasonably high in relation to the services actually
    rendered. Every form of compensation shall be taken into
    account in determining whether fees, wages, salaries, or
    compensation are unreasonably high, including, but not
    limited to, salary, bonuses, deferred and non-cash
    compensation, retirement funds, medical and liability
    insurance, loans, and other benefits such as the use,
    purchase, or lease of vehicles, expense accounts, and food,
    housing, and clothing allowances.
        (2) Any earnings, if applicable, or compensation paid
    to the child welfare agency's directors, stockholders, or
    members of its governing body shall not be unreasonably
    high in relation to the services rendered.
        (3) Persons providing adoption services for a child
    welfare agency may be compensated only for services
    actually rendered and only on a fee-for-service, hourly
    wage, or salary basis.
    (b) The Department may adopt rules setting forth the
criteria to determine what constitutes unreasonably high fees
and compensation as those terms are used in this Section. In
determining the reasonableness of fees, wages, salaries, and
compensation under paragraphs (1) and (2) of subsection (a) of
this Section, the Department shall take into account the
location, number, and qualifications of staff, workload
requirements, budget, and size of the agency or person and
available norms for compensation within the adoption
community. Every licensed child welfare agency providing
adoption services shall provide the Department and the Attorney
General with a report, on an annual basis, providing a
description of the fees, wages, salaries and other compensation
described in paragraphs (1), (2), and (3) of this Section.
Nothing in Section 12C-70 of the Criminal Code of 2012 1961
shall be construed to prevent a child welfare agency from
charging fees or the payment of salaries and compensation as
limited in this Section and any applicable Section of this Act
or the Adoption Act.
    (c) This Section does not apply to international adoption
services performed by those child welfare agencies governed by
the 1993 Hague Convention on Protection of Children and
Cooperation in Respect of Intercountry Adoption and the
Intercountry Adoption Act of 2000.
    (d) Eligible agencies may be deemed compliant with this
Section.
(Source: P.A. 97-1109, eff. 1-1-13.)
 
    Section 310. The Clinical Psychologist Licensing Act is
amended by changing Section 15.1 as follows:
 
    (225 ILCS 15/15.1)
    (Section scheduled to be repealed on January 1, 2017)
    Sec. 15.1. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 315. The Clinical Social Work and Social Work
Practice Act is amended by changing Section 19.5 as follows:
 
    (225 ILCS 20/19.5)
    (Section scheduled to be repealed on January 1, 2018)
    Sec. 19.5. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 320. The Illinois Dental Practice Act is amended by
changing Section 23c as follows:
 
    (225 ILCS 25/23c)
    (Section scheduled to be repealed on January 1, 2016)
    Sec. 23c. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 325. The Health Care Worker Background Check Act is
amended by changing Section 25 as follows:
 
    (225 ILCS 46/25)
    Sec. 25. Persons ineligible to be hired by health care
employers and long-term care facilities.
    (a) In the discretion of the Director of Public Health, as
soon after January 1, 1996, January 1, 1997, January 1, 2006,
or October 1, 2007, as applicable, and as is reasonably
practical, no health care employer shall knowingly hire,
employ, or retain any individual in a position with duties
involving direct care for clients, patients, or residents, and
no long-term care facility shall knowingly hire, employ, or
retain any individual in a position with duties that involve or
may involve contact with residents or access to the living
quarters or the financial, medical, or personal records of
residents, who has been convicted of committing or attempting
to commit one or more of the following offenses: those defined
in Sections 8-1(b), 8-1.1, 8-1.2, 9-1, 9-1.2, 9-2, 9-2.1, 9-3,
9-3.1, 9-3.2, 9-3.3, 9-3.4, 10-1, 10-2, 10-3, 10-3.1, 10-4,
10-5, 10-7, 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6,
11-9.1, 11-9.5, 11-19.2, 11-20.1, 11-20.1B, 11-20.3, 12-1,
12-2, 12-3.05, 12-3.1, 12-3.2, 12-3.3, 12-4, 12-4.1, 12-4.2,
12-4.3, 12-4.4, 12-4.5, 12-4.6, 12-4.7, 12-7.4, 12-11, 12-13,
12-14, 12-14.1, 12-15, 12-16, 12-19, 12-21, 12-21.6, 12-32,
12-33, 12C-5, 16-1, 16-1.3, 16-25, 16A-3, 17-3, 17-56, 18-1,
18-2, 18-3, 18-4, 18-5, 19-1, 19-3, 19-4, 19-6, 20-1, 20-1.1,
24-1, 24-1.2, 24-1.5, or 33A-2, or subdivision (a)(4) of
Section 11-14.4, or in subsection (a) of Section 12-3 or
subsection (a) or (b) of Section 12-4.4a, of the Criminal Code
of 1961 or the Criminal Code of 2012; those provided in Section
4 of the Wrongs to Children Act; those provided in Section 53
of the Criminal Jurisprudence Act; those defined in Section 5,
5.1, 5.2, 7, or 9 of the Cannabis Control Act; those defined in
the Methamphetamine Control and Community Protection Act; or
those defined in Sections 401, 401.1, 404, 405, 405.1, 407, or
407.1 of the Illinois Controlled Substances Act, unless the
applicant or employee obtains a waiver pursuant to Section 40.
    (a-1) In the discretion of the Director of Public Health,
as soon after January 1, 2004 or October 1, 2007, as
applicable, and as is reasonably practical, no health care
employer shall knowingly hire any individual in a position with
duties involving direct care for clients, patients, or
residents, and no long-term care facility shall knowingly hire
any individual in a position with duties that involve or may
involve contact with residents or access to the living quarters
or the financial, medical, or personal records of residents,
who has (i) been convicted of committing or attempting to
commit one or more of the offenses defined in Section 12-3.3,
12-4.2-5, 16-2, 16-30, 16G-15, 16G-20, 17-33, 17-34, 17-36,
17-44, 18-5, 20-1.2, 24-1.1, 24-1.2-5, 24-1.6, 24-3.2, or
24-3.3, or subsection (b) of Section 17-32, subsection (b) of
Section 18-1, or subsection (b) of Section 20-1, of the
Criminal Code of 1961 or the Criminal Code of 2012; Section 4,
5, 6, 8, or 17.02 of the Illinois Credit Card and Debit Card
Act; or Section 11-9.1A of the Criminal Code of 1961 or the
Criminal Code of 2012 or Section 5.1 of the Wrongs to Children
Act; or (ii) violated Section 50-50 of the Nurse Practice Act,
unless the applicant or employee obtains a waiver pursuant to
Section 40 of this Act.
    A health care employer is not required to retain an
individual in a position with duties involving direct care for
clients, patients, or residents, and no long-term care facility
is required to retain an individual in a position with duties
that involve or may involve contact with residents or access to
the living quarters or the financial, medical, or personal
records of residents, who has been convicted of committing or
attempting to commit one or more of the offenses enumerated in
this subsection.
    (b) A health care employer shall not hire, employ, or
retain any individual in a position with duties involving
direct care of clients, patients, or residents, and no
long-term care facility shall knowingly hire, employ, or retain
any individual in a position with duties that involve or may
involve contact with residents or access to the living quarters
or the financial, medical, or personal records of residents, if
the health care employer becomes aware that the individual has
been convicted in another state of committing or attempting to
commit an offense that has the same or similar elements as an
offense listed in subsection (a) or (a-1), as verified by court
records, records from a state agency, or an FBI criminal
history record check, unless the applicant or employee obtains
a waiver pursuant to Section 40 of this Act. This shall not be
construed to mean that a health care employer has an obligation
to conduct a criminal history records check in other states in
which an employee has resided.
(Source: P.A. 96-710, eff. 1-1-10; 96-1551, Article 1, Section
930, eff. 7-1-11; 96-1551, Article 2, Section 995, eff. 7-1-11;
96-1551, Article 10, Section 10-40, eff. 7-1-11; 97-597, eff.
1-1-12; 97-1108, eff. 1-1-13; 97-1109, eff. 1-1-13; revised
9-20-12.)
 
    Section 330. The Hearing Instrument Consumer Protection
Act is amended by changing Section 18.5 as follows:
 
    (225 ILCS 50/18.5)
    (Section scheduled to be repealed on January 1, 2016)
    Sec. 18.5. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 335. The Home Medical Equipment and Services
Provider License Act is amended by changing Section 77 as
follows:
 
    (225 ILCS 51/77)
    (Section scheduled to be repealed on January 1, 2018)
    Sec. 77. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 340. The Marriage and Family Therapy Licensing Act
is amended by changing Section 87 as follows:
 
    (225 ILCS 55/87)
    (Section scheduled to be repealed on January 1, 2018)
    Sec. 87. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 345. The Medical Practice Act of 1987 is amended by
changing Section 22.5 as follows:
 
    (225 ILCS 60/22.5)
    (Section scheduled to be repealed on December 31, 2012)
    Sec. 22.5. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 350. The Naprapathic Practice Act is amended by
changing Section 113 as follows:
 
    (225 ILCS 63/113)
    (Section scheduled to be repealed on January 1, 2023)
    Sec. 113. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 355. The Nurse Practice Act is amended by changing
Section 70-20 as follows:
 
    (225 ILCS 65/70-20)  (was 225 ILCS 65/20-13)
    (Section scheduled to be repealed on January 1, 2018)
    Sec. 70-20. Suspension of license or registration for
failure to pay restitution. The Department, without further
process or hearing, shall suspend the license or other
authorization to practice of any person issued under this Act
who has been certified by court order as not having paid
restitution to a person under Section 8A-3.5 of the Illinois
Public Aid Code or under Section 17-10.5 or 46-1 of the
Criminal Code of 1961 or the Criminal Code of 2012. A person
whose license or other authorization to practice is suspended
under this Section is prohibited from practicing until the
restitution is made in full.
(Source: P.A. 95-639, eff. 10-5-07; 96-1551, eff. 7-1-11.)
 
    Section 360. The Nursing Home Administrators Licensing and
Disciplinary Act is amended by changing Section 17 as follows:
 
    (225 ILCS 70/17)  (from Ch. 111, par. 3667)
    Sec. 17. Grounds for disciplinary action.
    (a) The Department may impose fines not to exceed $10,000
or may refuse to issue or to renew, or may revoke, suspend,
place on probation, censure, reprimand or take other
disciplinary or non-disciplinary action with regard to the
license of any person, for any one or combination of the
following causes:
        (1) Intentional material misstatement in furnishing
    information to the Department.
        (2) Conviction of or entry of a plea of guilty or nolo
    contendere to any crime that is a felony under the laws of
    the United States or any state or territory thereof or a
    misdemeanor of which an essential element is dishonesty or
    that is directly related to the practice of the profession
    of nursing home administration.
        (3) Making any misrepresentation for the purpose of
    obtaining a license, or violating any provision of this
    Act.
        (4) Immoral conduct in the commission of any act, such
    as sexual abuse or sexual misconduct, related to the
    licensee's practice.
        (5) Failing to respond within 30 days, to a written
    request made by the Department for information.
        (6) Engaging in dishonorable, unethical or
    unprofessional conduct of a character likely to deceive,
    defraud or harm the public.
        (7) Habitual use or addiction to alcohol, narcotics,
    stimulants, or any other chemical agent or drug which
    results in the inability to practice with reasonable
    judgment, skill or safety.
        (8) Discipline by another U.S. jurisdiction if at least
    one of the grounds for the discipline is the same or
    substantially equivalent to those set forth herein.
        (9) A finding by the Department that the licensee,
    after having his or her license placed on probationary
    status has violated the terms of probation.
        (10) Willfully making or filing false records or
    reports in his or her practice, including but not limited
    to false records filed with State agencies or departments.
        (11) Physical illness, mental illness, or other
    impairment or disability, including, but not limited to,
    deterioration through the aging process, or loss of motor
    skill that results in the inability to practice the
    profession with reasonable judgment, skill or safety.
        (12) Disregard or violation of this Act or of any rule
    issued pursuant to this Act.
        (13) Aiding or abetting another in the violation of
    this Act or any rule or regulation issued pursuant to this
    Act.
        (14) Allowing one's license to be used by an unlicensed
    person.
        (15) (Blank).
        (16) Professional incompetence in the practice of
    nursing home administration.
        (17) Conviction of a violation of Section 12-19 or
    subsection (a) of Section 12-4.4a of the Criminal Code of
    1961 or the Criminal Code of 2012 for the abuse and
    criminal neglect of a long term care facility resident.
        (18) Violation of the Nursing Home Care Act, the
    Specialized Mental Health Rehabilitation Act, or the ID/DD
    Community Care Act or of any rule issued under the Nursing
    Home Care Act, the Specialized Mental Health
    Rehabilitation Act, or the ID/DD Community Care Act. A
    final adjudication of a Type "AA" violation of the Nursing
    Home Care Act made by the Illinois Department of Public
    Health, as identified by rule, relating to the hiring,
    training, planning, organizing, directing, or supervising
    the operation of a nursing home and a licensee's failure to
    comply with this Act or the rules adopted under this Act,
    shall create a rebuttable presumption of a violation of
    this subsection.
        (19) Failure to report to the Department any adverse
    final action taken against the licensee by a licensing
    authority of another state, territory of the United States,
    or foreign country; or by any governmental or law
    enforcement agency; or by any court for acts or conduct
    similar to acts or conduct that would constitute grounds
    for disciplinary action under this Section.
        (20) Failure to report to the Department the surrender
    of a license or authorization to practice as a nursing home
    administrator in another state or jurisdiction for acts or
    conduct similar to acts or conduct that would constitute
    grounds for disciplinary action under this Section.
        (21) Failure to report to the Department any adverse
    judgment, settlement, or award arising from a liability
    claim related to acts or conduct similar to acts or conduct
    that would constitute grounds for disciplinary action
    under this Section.
    All proceedings to suspend, revoke, place on probationary
status, or take any other disciplinary action as the Department
may deem proper, with regard to a license on any of the
foregoing grounds, must be commenced within 5 years next after
receipt by the Department of (i) a complaint alleging the
commission of or notice of the conviction order for any of the
acts described herein or (ii) a referral for investigation
under Section 3-108 of the Nursing Home Care Act.
    The entry of an order or judgment by any circuit court
establishing that any person holding a license under this Act
is a person in need of mental treatment operates as a
suspension of that license. That person may resume their
practice only upon the entry of a Department order based upon a
finding by the Board that they have been determined to be
recovered from mental illness by the court and upon the Board's
recommendation that they be permitted to resume their practice.
    The Department, upon the recommendation of the Board, may
adopt rules which set forth standards to be used in determining
what constitutes:
        (i) when a person will be deemed sufficiently
    rehabilitated to warrant the public trust;
        (ii) dishonorable, unethical or unprofessional conduct
    of a character likely to deceive, defraud, or harm the
    public;
        (iii) immoral conduct in the commission of any act
    related to the licensee's practice; and
        (iv) professional incompetence in the practice of
    nursing home administration.
    However, no such rule shall be admissible into evidence in
any civil action except for review of a licensing or other
disciplinary action under this Act.
    In enforcing this Section, the Department or Board, upon a
showing of a possible violation, may compel any individual
licensed to practice under this Act, or who has applied for
licensure pursuant to this Act, to submit to a mental or
physical examination, or both, as required by and at the
expense of the Department. The examining physician or
physicians shall be those specifically designated by the
Department or Board. The Department or Board may order the
examining physician to present testimony concerning this
mental or physical examination of the licensee or applicant. No
information shall be excluded by reason of any common law or
statutory privilege relating to communications between the
licensee or applicant and the examining physician. The
individual to be examined may have, at his or her own expense,
another physician of his or her choice present during all
aspects of the examination. Failure of any individual to submit
to mental or physical examination, when directed, shall be
grounds for suspension of his or her license until such time as
the individual submits to the examination if the Department
finds, after notice and hearing, that the refusal to submit to
the examination was without reasonable cause.
    If the Department or Board finds an individual unable to
practice because of the reasons set forth in this Section, the
Department or Board shall require such individual to submit to
care, counseling, or treatment by physicians approved or
designated by the Department or Board, as a condition, term, or
restriction for continued, reinstated, or renewed licensure to
practice; or in lieu of care, counseling, or treatment, the
Department may file, or the Board may recommend to the
Department to file, a complaint to immediately suspend, revoke,
or otherwise discipline the license of the individual. Any
individual whose license was granted pursuant to this Act or
continued, reinstated, renewed, disciplined or supervised,
subject to such terms, conditions or restrictions who shall
fail to comply with such terms, conditions or restrictions
shall be referred to the Secretary for a determination as to
whether the licensee shall have his or her license suspended
immediately, pending a hearing by the Department. In instances
in which the Secretary immediately suspends a license under
this Section, a hearing upon such person's license must be
convened by the Board within 30 days after such suspension and
completed without appreciable delay. The Department and Board
shall have the authority to review the subject administrator's
record of treatment and counseling regarding the impairment, to
the extent permitted by applicable federal statutes and
regulations safeguarding the confidentiality of medical
records.
    An individual licensed under this Act, affected under this
Section, shall be afforded an opportunity to demonstrate to the
Department or Board that he or she can resume practice in
compliance with acceptable and prevailing standards under the
provisions of his or her license.
    (b) Any individual or organization acting in good faith,
and not in a wilful and wanton manner, in complying with this
Act by providing any report or other information to the
Department, or assisting in the investigation or preparation of
such information, or by participating in proceedings of the
Department, or by serving as a member of the Board, shall not,
as a result of such actions, be subject to criminal prosecution
or civil damages.
    (c) Members of the Board, and persons retained under
contract to assist and advise in an investigation, shall be
indemnified by the State for any actions occurring within the
scope of services on or for the Board, done in good faith and
not wilful and wanton in nature. The Attorney General shall
defend all such actions unless he or she determines either that
there would be a conflict of interest in such representation or
that the actions complained of were not in good faith or were
wilful and wanton.
    Should the Attorney General decline representation, a
person entitled to indemnification under this Section shall
have the right to employ counsel of his or her choice, whose
fees shall be provided by the State, after approval by the
Attorney General, unless there is a determination by a court
that the member's actions were not in good faith or were wilful
and wanton.
    A person entitled to indemnification under this Section
must notify the Attorney General within 7 days of receipt of
notice of the initiation of any action involving services of
the Board. Failure to so notify the Attorney General shall
constitute an absolute waiver of the right to a defense and
indemnification.
    The Attorney General shall determine within 7 days after
receiving such notice, whether he or she will undertake to
represent a person entitled to indemnification under this
Section.
    (d) The determination by a circuit court that a licensee is
subject to involuntary admission or judicial admission as
provided in the Mental Health and Developmental Disabilities
Code, as amended, operates as an automatic suspension. Such
suspension will end only upon a finding by a court that the
patient is no longer subject to involuntary admission or
judicial admission and issues an order so finding and
discharging the patient; and upon the recommendation of the
Board to the Secretary that the licensee be allowed to resume
his or her practice.
    (e) The Department may refuse to issue or may suspend the
license of any person who fails 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 Department of Revenue, until
such time as the requirements of any such tax Act are
satisfied.
    (f) The Department of Public Health shall transmit to the
Department a list of those facilities which receive an "A"
violation as defined in Section 1-129 of the Nursing Home Care
Act.
(Source: P.A. 96-339, eff. 7-1-10; 96-1372, eff. 7-29-10;
96-1551, eff. 7-1-11; 97-38, eff. 6-28-11; 97-227, eff. 1-1-12;
97-1109, eff. 1-1-13.)
 
    Section 365. The Illinois Occupational Therapy Practice
Act is amended by changing Section 19.17 as follows:
 
    (225 ILCS 75/19.17)
    (Section scheduled to be repealed on January 1, 2014)
    Sec. 19.17. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 370. The Illinois Optometric Practice Act of 1987
is amended by changing Section 24.5 as follows:
 
    (225 ILCS 80/24.5)
    (Section scheduled to be repealed on January 1, 2017)
    Sec. 24.5. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 375. The Orthotics, Prosthetics, and Pedorthics
Practice Act is amended by changing Section 93 as follows:
 
    (225 ILCS 84/93)
    (Section scheduled to be repealed on January 1, 2020)
    Sec. 93. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 380. The Pharmacy Practice Act is amended by
changing Section 30.5 as follows:
 
    (225 ILCS 85/30.5)
    (Section scheduled to be repealed on January 1, 2018)
    Sec. 30.5. Suspension of license or certificate for failure
to pay restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 385. The Illinois Physical Therapy Act is amended
by changing Section 17.5 as follows:
 
    (225 ILCS 90/17.5)
    (Section scheduled to be repealed on January 1, 2016)
    Sec. 17.5. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 390. The Physician Assistant Practice Act of 1987
is amended by changing Section 21.5 as follows:
 
    (225 ILCS 95/21.5)
    (Section scheduled to be repealed on January 1, 2018)
    Sec. 21.5. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 395. The Podiatric Medical Practice Act of 1987 is
amended by changing Section 24.5 as follows:
 
    (225 ILCS 100/24.5)
    (Section scheduled to be repealed on January 1, 2018)
    Sec. 24.5. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 400. The Respiratory Care Practice Act is amended
by changing Section 97 as follows:
 
    (225 ILCS 106/97)
    (Section scheduled to be repealed on January 1, 2016)
    Sec. 97. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 405. The Professional Counselor and Clinical
Professional Counselor Licensing and Practice Act is amended by
changing Section 83 as follows:
 
    (225 ILCS 107/83)
    (Section scheduled to be repealed on January 1, 2023)
    Sec. 83. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 410. The Illinois Speech-Language Pathology and
Audiology Practice Act is amended by changing Section 16.3 as
follows:
 
    (225 ILCS 110/16.3)
    (Section scheduled to be repealed on January 1, 2018)
    Sec. 16.3. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 415. The Veterinary Medicine and Surgery Practice
Act of 2004 is amended by changing Sections 19, 25, and 25.19
as follows:
 
    (225 ILCS 115/19)  (from Ch. 111, par. 7019)
    (Section scheduled to be repealed on January 1, 2014)
    Sec. 19. Any person filing or attempting to file as his
own, the diploma of another, or a forged, fictitious or
fraudulently obtained diploma or certificate, shall upon
conviction be subject to such fine and imprisonment as are set
forth in the "Criminal Code of 2012 1961", approved July 28,
1961, as amended, for the crime of forgery.
(Source: P.A. 83-1016.)
 
    (225 ILCS 115/25)  (from Ch. 111, par. 7025)
    (Section scheduled to be repealed on January 1, 2014)
    Sec. 25. Disciplinary actions.
    1. The Department may refuse to issue or renew, or may
revoke, suspend, place on probation, reprimand, or take other
disciplinary action as the Department may deem appropriate,
including fines not to exceed $1,000 for each violation, with
regard to any license or certificate for any one or combination
of the following:
        A. Material misstatement in furnishing information to
    the Department.
        B. Violations of this Act, or of the rules adopted
    pursuant to this Act.
        C. Conviction of any crime under the laws of the United
    States or any state or territory of the United States that
    is a felony or that is a misdemeanor, an essential element
    of which is dishonesty, or of any crime that is directly
    related to the practice of the profession.
        D. Making any misrepresentation for the purpose of
    obtaining licensure or certification, or violating any
    provision of this Act or the rules adopted pursuant to this
    Act pertaining to advertising.
        E. Professional incompetence.
        F. Gross malpractice.
        G. Aiding or assisting another person in violating any
    provision of this Act or rules.
        H. Failing, within 60 days, to provide information in
    response to a written request made by the Department.
        I. Engaging in dishonorable, unethical, or
    unprofessional conduct of a character likely to deceive,
    defraud, or harm the public.
        J. Habitual or excessive use or addiction to alcohol,
    narcotics, stimulants, or any other chemical agent or drug
    that results in the inability to practice with reasonable
    judgment, skill, or safety.
        K. Discipline by another state, District of Columbia,
    territory, or foreign nation, if at least one of the
    grounds for the discipline is the same or substantially
    equivalent to those set forth herein.
        L. Directly or indirectly giving to or receiving from
    any person, firm, corporation, partnership or association
    any fee, commission, rebate, or other form of compensation
    for professional services not actually or personally
    rendered.
        M. A finding by the Board that the licensee or
    certificate holder, after having his license or
    certificate placed on probationary status, has violated
    the terms of probation.
        N. Willfully making or filing false records or reports
    in his practice, including but not limited to false records
    filed with State agencies or departments.
        O. Physical illness, including but not limited to,
    deterioration through the aging process, or loss of motor
    skill which results in the inability to practice the
    profession with reasonable judgment, skill, or safety.
        P. Solicitation of professional services other than
    permitted advertising.
        Q. Having professional connection with or lending
    one's name, directly or indirectly, to any illegal
    practitioner of veterinary medicine and surgery and the
    various branches thereof.
        R. Conviction of or cash compromise of a charge or
    violation of the Harrison Act or the Illinois Controlled
    Substances Act, regulating narcotics.
        S. Fraud or dishonesty in applying, treating, or
    reporting on tuberculin or other biological tests.
        T. Failing to report, as required by law, or making
    false report of any contagious or infectious diseases.
        U. Fraudulent use or misuse of any health certificate,
    shipping certificate, brand inspection certificate, or
    other blank forms used in practice that might lead to the
    dissemination of disease or the transportation of diseased
    animals dead or alive; or dilatory methods, willful
    neglect, or misrepresentation in the inspection of milk,
    meat, poultry, and the by-products thereof.
        V. Conviction on a charge of cruelty to animals.
        W. Failure to keep one's premises and all equipment
    therein in a clean and sanitary condition.
        X. Failure to provide satisfactory proof of having
    participated in approved continuing education programs.
        Y. Failure to (i) file a return, (ii) pay the tax,
    penalty, or interest shown in a filed return, or (iii) pay
    any final assessment of tax, penalty, or interest, as
    required by any tax Act administered by the Illinois
    Department of Revenue, until the requirements of that tax
    Act are satisfied.
        Z. Conviction by any court of competent jurisdiction,
    either within or outside this State, of any violation of
    any law governing the practice of veterinary medicine, if
    the Department determines, after investigation, that the
    person has not been sufficiently rehabilitated to warrant
    the public trust.
        AA. Promotion of the sale of drugs, devices,
    appliances, or goods provided for a patient in any manner
    to exploit the client for financial gain of the
    veterinarian.
        BB. Gross, willful, or continued overcharging for
    professional services, including filing false statements
    for collection of fees for which services are not rendered.
        CC. Practicing under a false or, except as provided by
    law, an assumed name.
        DD. Fraud or misrepresentation in applying for, or
    procuring, a license under this Act or in connection with
    applying for renewal of a license under this Act.
        EE. Cheating on or attempting to subvert the licensing
    examination administered under this Act.
        FF. Using, prescribing, or selling a prescription drug
    or the extra-label use of a prescription drug by any means
    in the absence of a valid veterinarian-client-patient
    relationship.
        GG. Failing to report a case of suspected aggravated
    cruelty, torture, or animal fighting pursuant to Section
    3.07 or 4.01 of the Humane Care for Animals Act or Section
    26-5 or 48-1 of the Criminal Code of 1961 or the Criminal
    Code of 2012.
    2. The determination by a circuit court that a licensee or
certificate holder is subject to involuntary admission or
judicial admission as provided in the Mental Health and
Developmental Disabilities Code operates as an automatic
suspension. The suspension will end only upon a finding by a
court that the patient is no longer subject to involuntary
admission or judicial admission and issues an order so finding
and discharging the patient; and upon the recommendation of the
Board to the Secretary that the licensee or certificate holder
be allowed to resume his practice.
    3. All proceedings to suspend, revoke, place on
probationary status, or take any other disciplinary action as
the Department may deem proper, with regard to a license or
certificate on any of the foregoing grounds, must be commenced
within 3 years after receipt by the Department of a complaint
alleging the commission of or notice of the conviction order
for any of the acts described in this Section. Except for
proceedings brought for violations of items (CC), (DD), or
(EE), no action shall be commenced more than 5 years after the
date of the incident or act alleged to have violated this
Section. In the event of the settlement of any claim or cause
of action in favor of the claimant or the reduction to final
judgment of any civil action in favor of the plaintiff, the
claim, cause of action, or civil action being grounded on the
allegation that a person licensed or certified under this Act
was negligent in providing care, the Department shall have an
additional period of one year from the date of the settlement
or final judgment in which to investigate and begin formal
disciplinary proceedings under Section 25.2 of this Act, except
as otherwise provided by law. The time during which the holder
of the license or certificate was outside the State of Illinois
shall not be included within any period of time limiting the
commencement of disciplinary action by the Department.
    4. The Department may refuse to issue or take disciplinary
action concerning the license of any person who fails to file a
return, 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
Department of Revenue, until such time as the requirements of
any such tax Act are satisfied as determined by the Department
of Revenue.
    5. In enforcing this Section, the Board, upon a showing of
a possible violation, may compel a licensee or applicant to
submit to a mental or physical examination, or both, as
required by and at the expense of the Department. The examining
physicians or clinical psychologists shall be those
specifically designated by the Board. The Board or the
Department may order (i) the examining physician to present
testimony concerning the mental or physical examination of a
licensee or applicant or (ii) the examining clinical
psychologist to present testimony concerning the mental
examination of a licensee or applicant. No information shall be
excluded by reason of any common law or statutory privilege
relating to communications between a licensee or applicant and
the examining physician or clinical psychologist. An
individual to be examined may have, at his or her own expense,
another physician or clinical psychologist of his or her choice
present during all aspects of the examination. Failure of an
individual to submit to a mental or physical examination, when
directed, is grounds for suspension of his or her license. The
license must remain suspended until the person submits to the
examination or the Board finds, after notice and hearing, that
the refusal to submit to the examination was with reasonable
cause.
    If the Board finds an individual unable to practice because
of the reasons set forth in this Section, the Board must
require the individual to submit to care, counseling, or
treatment by a physician or clinical psychologist approved by
the Board, as a condition, term, or restriction for continued,
reinstated, or renewed licensure to practice. In lieu of care,
counseling, or treatment, the Board may recommend that the
Department file a complaint to immediately suspend or revoke
the license of the individual or otherwise discipline the
licensee.
    Any individual whose license was granted, continued,
reinstated, or renewed subject to conditions, terms, or
restrictions, as provided for in this Section, or any
individual who was disciplined or placed on supervision
pursuant to this Section must be referred to the Secretary for
a determination as to whether the person shall have his or her
license suspended immediately, pending a hearing by the Board.
(Source: P.A. 96-1322, eff. 7-27-10; 97-1108, eff. 1-1-13.)
 
    (225 ILCS 115/25.19)
    (Section scheduled to be repealed on January 1, 2014)
    Sec. 25.19. Mandatory reporting. Nothing in this Act
exempts a licensee from the mandatory reporting requirements
regarding suspected acts of aggravated cruelty, torture, and
animal fighting imposed under Sections 3.07 and 4.01 of the
Humane Care for Animals Act and Section 26-5 or 48-1 of the
Criminal Code of 1961 or the Criminal Code of 2012.
(Source: P.A. 97-1108, eff. 1-1-13.)
 
    Section 420. The Perfusionist Practice Act is amended by
changing Section 107 as follows:
 
    (225 ILCS 125/107)
    (Section scheduled to be repealed on January 1, 2020)
    Sec. 107. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 425. The Registered Surgical Assistant and
Registered Surgical Technologist Title Protection Act is
amended by changing Section 77 as follows:
 
    (225 ILCS 130/77)
    (Section scheduled to be repealed on January 1, 2014)
    Sec. 77. Suspension of registration for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 430. The Genetic Counselor Licensing Act is amended
by changing Section 97 as follows:
 
    (225 ILCS 135/97)
    (Section scheduled to be repealed on January 1, 2015)
    Sec. 97. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 435. The Fire Sprinkler Contractor Licensing Act is
amended by changing Section 32 as follows:
 
    (225 ILCS 317/32)
    Sec. 32. Application for building permit; identity theft. A
person who knowingly, in the course of applying for a building
permit with a unit of local government, provides the license
number of a fire sprinkler contractor whom he or she does not
intend to have perform the work on the fire sprinkler portion
of the project commits identity theft under paragraph (8) of
subsection (a) of Section 16-30 of the Criminal Code of 2012
1961.
(Source: P.A. 96-1455, eff. 8-20-10; 97-333, eff. 8-12-11;
97-597, eff. 1-1-12; 97-1109, eff. 1-1-13.)
 
    Section 440. The Illinois Roofing Industry Licensing Act is
amended by changing Section 5 as follows:
 
    (225 ILCS 335/5)  (from Ch. 111, par. 7505)
    (Section scheduled to be repealed on January 1, 2016)
    Sec. 5. Display of license number; building permits;
advertising.
    (a) Each State licensed roofing contractor shall affix the
roofing contractor license number and the licensee's name, as
it appears on the license, to all of his or her contracts and
bids. In addition, the official issuing building permits shall
affix the roofing contractor license number to each application
for a building permit and on each building permit issued and
recorded.
    (a-3) A municipality or a county that requires a building
permit may not issue a building permit to a roofing contractor
unless that contractor has provided sufficient proof that he or
she is licensed currently as a roofing contractor by the State.
Holders of an unlimited roofing license may be issued permits
for residential, commercial, and industrial roofing projects.
Holders of a limited roofing license are restricted to permits
for work on residential properties consisting of 8 units or
less.
    (a-5) A person who knowingly, in the course of applying for
a building permit with a unit of local government, provides the
roofing license number or name of a roofing contractor whom he
or she does not intend to have perform the work on the roofing
portion of the project commits identity theft under paragraph
(8) of subsection (a) of Section 16-30 of the Criminal Code of
2012 1961.
    (a-10) A building permit applicant must present a
government-issued identification along with the building
permit application. Except for the name of the individual, all
other personal information contained in the government-issued
identification shall be exempt from disclosure under
subsection (c) of Section 7 of the Freedom of Information Act.
The official issuing the building permit shall maintain the
name and identification number, as it appears on the
government-issued identification, in the building permit
application file. It is not necessary that the building permit
applicant be the qualifying party. This subsection shall not
apply to a county or municipality whose building permit process
occurs through electronic means.
    (b) (Blank).
    (c) Every holder of a license shall display it in a
conspicuous place in his or her principal office, place of
business, or place of employment.
    (d) No person licensed under this Act may advertise
services regulated by this Act unless that person includes in
the advertisement the roofing contractor license number and the
licensee's name, as it appears on the license. Nothing
contained in this subsection requires the publisher of
advertising for roofing contractor services to investigate or
verify the accuracy of the license number provided by the
licensee.
    (e) A person who advertises services regulated by this Act
who knowingly (i) fails to display the license number and the
licensee's name, as it appears on the license, in any manner
required by this Section, (ii) fails to provide a publisher
with the correct license number as required by subsection (d),
or (iii) provides a publisher with a false license number or a
license number of another person, or a person who knowingly
allows his or her license number to be displayed or used by
another person to circumvent any provisions of this Section, is
guilty of a Class A misdemeanor with a fine of $1,000, and, in
addition, is subject to the administrative enforcement
provisions of this Act. Each day that an advertisement runs or
each day that a person knowingly allows his or her license to
be displayed or used in violation of this Section constitutes a
separate offense.
(Source: P.A. 96-624, eff. 1-1-10; 96-1324, eff. 7-27-10;
97-235, eff. 1-1-12; 97-597, eff. 1-1-12; 97-965, eff. 8-15-12;
97-1109, eff. 1-1-13.)
 
    Section 450. The Community Association Manager Licensing
and Disciplinary Act is amended by changing Section 87 as
follows:
 
    (225 ILCS 427/87)
    (Section scheduled to be repealed on January 1, 2020)
    Sec. 87. Suspension of license for failure to pay
restitution. The Department, without further process or
hearing, shall suspend the license or other authorization to
practice of any person issued under this Act who has been
certified by court order as not having paid restitution to a
person under Section 8A-3.5 of the Illinois Public Aid Code or
under Section 17-10.5 or 46-1 of the Criminal Code of 1961 or
the Criminal Code of 2012. A person whose license or other
authorization to practice is suspended under this Section is
prohibited from practicing until the restitution is made in
full.
(Source: P.A. 96-726, eff. 7-1-10.)
 
    Section 455. The Private Detective, Private Alarm, Private
Security, Fingerprint Vendor, and Locksmith Act of 2004 is
amended by changing Sections 20-20 and 25-20 as follows:
 
    (225 ILCS 447/20-20)
    (Section scheduled to be repealed on January 1, 2014)
    Sec. 20-20. Training; private alarm contractor and
employees.
    (a) Registered employees of the private alarm contractor
agency who carry a firearm and respond to alarm systems shall
complete, within 30 days of their employment, a minimum of 20
hours of classroom training provided by a qualified instructor
and shall include all of the following subjects:
        (1) The law regarding arrest and search and seizure as
    it applies to the private alarm industry.
        (2) Civil and criminal liability for acts related to
    the private alarm industry.
        (3) The use of force, including but not limited to the
    use of nonlethal force (i.e., disabling spray, baton,
    stungun, or similar weapon).
        (4) Arrest and control techniques.
        (5) The offenses under the Criminal Code of 2012 1961
    that are directly related to the protection of persons and
    property.
        (6) The law on private alarm forces and on reporting to
    law enforcement agencies.
        (7) Fire prevention, fire equipment, and fire safety.
        (8) Civil rights and public relations.
        (9) The identification of terrorists, acts of
    terrorism, and terrorist organizations, as defined by
    federal and State statutes.
    Pursuant to directives set forth by the U.S. Department of
Homeland Security and the provisions set forth by the National
Fire Protection Association in the National Fire Alarm Code and
the Life Safety Code, training may include the installation,
repair, and maintenance of emergency communication systems and
mass notification systems.
    (b) All other employees of a private alarm contractor
agency shall complete a minimum of 20 hours of training
provided by a qualified instructor within 30 days of their
employment. The substance of the training shall be related to
the work performed by the registered employee.
    (c) It is the responsibility of the employer to certify, on
forms provided by the Department, that the employee has
successfully completed the training. The form shall be a
permanent record of training completed by the employee and
shall be placed in the employee's file with the employer for
the term the employee is retained by the employer. A private
alarm contractor agency may place a notarized copy of the
Department form in lieu of the original into the permanent
employee registration card file. The form shall be returned to
the employee when his or her employment is terminated. Failure
to return the form to the employee is grounds for discipline.
The employee shall not be required to complete the training
required under this Act once the employee has been issued a
form.
    (d) Nothing in this Act prevents any employer from
providing or requiring additional training beyond the required
20 hours that the employer feels is necessary and appropriate
for competent job performance.
    (e) Any certification of completion of the 20-hour basic
training issued under the Private Detective, Private Alarm,
Private Security, and Locksmith Act of 1993 or any prior Act
shall be accepted as proof of training under this Act.
(Source: P.A. 95-613, eff. 9-11-07; 96-847, eff. 6-1-10.)
 
    (225 ILCS 447/25-20)
    (Section scheduled to be repealed on January 1, 2014)
    Sec. 25-20. Training; private security contractor and
employees.
    (a) Registered employees of the private security
contractor agency who provide traditional guarding or other
private security related functions or who respond to alarm
systems shall complete, within 30 days of their employment, a
minimum of 20 hours of classroom basic training provided by a
qualified instructor, which shall include the following
subjects:
        (1) The law regarding arrest and search and seizure as
    it applies to private security.
        (2) Civil and criminal liability for acts related to
    private security.
        (3) The use of force, including but not limited to the
    use of nonlethal force (i.e., disabling spray, baton,
    stungun or similar weapon).
        (4) Arrest and control techniques.
        (5) The offenses under the Criminal Code of 2012 1961
    that are directly related to the protection of persons and
    property.
        (6) The law on private security forces and on reporting
    to law enforcement agencies.
        (7) Fire prevention, fire equipment, and fire safety.
        (8) The procedures for service of process and for
    report writing.
        (9) Civil rights and public relations.
        (10) The identification of terrorists, acts of
    terrorism, and terrorist organizations, as defined by
    federal and State statutes.
    (b) All other employees of a private security contractor
agency shall complete a minimum of 20 hours of training
provided by the qualified instructor within 30 days of their
employment. The substance of the training shall be related to
the work performed by the registered employee.
    (c) Registered employees of the private security
contractor agency who provide guarding or other private
security related functions, in addition to the classroom
training required under subsection (a), within 6 months of
their employment, shall complete an additional 8 hours of
training on subjects to be determined by the employer, which
training may be site-specific and may be conducted on the job.
    (d) In addition to the basic training provided for in
subsections (a) and (c), registered employees of the private
security contractor agency who provide guarding or other
private security related functions shall complete an
additional 8 hours of refresher training on subjects to be
determined by the employer each calendar year commencing with
the calendar year following the employee's first employment
anniversary date, which refresher training may be
site-specific and may be conducted on the job.
    (e) It is the responsibility of the employer to certify, on
a form provided by the Department, that the employee has
successfully completed the basic and refresher training. The
form shall be a permanent record of training completed by the
employee and shall be placed in the employee's file with the
employer for the period the employee remains with the employer.
An agency may place a notarized copy of the Department form in
lieu of the original into the permanent employee registration
card file. The original form shall be given to the employee
when his or her employment is terminated. Failure to return the
original form to the employee is grounds for disciplinary
action. The employee shall not be required to repeat the
required training once the employee has been issued the form.
An employer may provide or require additional training.
    (f) Any certification of completion of the 20-hour basic
training issued under the Private Detective, Private Alarm,
Private Security and Locksmith Act of 1993 or any prior Act
shall be accepted as proof of training under this Act.
(Source: P.A. 95-613, eff. 9-11-07.)
 
    Section 460. The Solicitation for Charity Act is amended by
changing Sections 7.5, 9, and 16.5 as follows:
 
    (225 ILCS 460/7.5)
    Sec. 7.5. Public Safety Personnel Organization.
    (a) Every Public Safety Personnel Organization that
solicits contributions from the public shall, in addition to
other provisions of this Act:
        (1) Have as a condition of public solicitation a
    provision included in every professional fund raiser
    contract providing that the professional fund raiser
    shall: (A) maintain and deliver to the organization a list
    of the names and addresses of all contributors and
    purchasers of merchandise, goods, services, memberships,
    and advertisements; (B) deliver the list of the current
    year semiannually of each contribution or purchase and
    specify the amount of the contribution or purchase and the
    date of the transaction; and (C) assign ownership of the
    list to the Public Safety Personnel Organization.
        The obligation required by this subdivision (1) does
    not apply to a professional fund raiser under the following
    conditions:
            (i) the professional fund raiser does not have
        access to information to create and maintain the list
        and the Public Safety Personnel Organization obtained
        the information to create and maintain the list under
        the fund raising campaign by other means; or
            (ii) the Public Safety Personnel Organization and
        the professional fund raiser agree to waive the
        obligation required by this subdivision (1).
        (2) Act in accordance with Section 17-2 of the Criminal
    Code of 2012 1961, and violation of this Section shall also
    be subject to separate civil remedy hereunder.
    (b) Any professional fund raiser who willfully violates the
provisions of this Section may in addition to other remedies be
subject to a fine of $2,000 for each violation, forfeiture of
all solicitation fees, and enjoined from operating and
soliciting the public.
    (c) This Section does not apply to a contract that is in
effect on the effective date of this amendatory Act of the 91st
General Assembly (unless the contract is extended, renewed, or
revised on or after the effective date of this amendatory Act
of the 91st General Assembly, in which case this Section
applies to the contract on and after the date on which the
extension, renewal, or revision takes place).
(Source: P.A. 91-301, eff. 7-29-99.)
 
    (225 ILCS 460/9)  (from Ch. 23, par. 5109)
    Sec. 9. (a) An action for violation of this Act may be
prosecuted by the Attorney General in the name of the people of
the State, and in any such action, the Attorney General shall
exercise all the powers and perform all duties which the
State's Attorney would otherwise be authorized to exercise or
to perform therein.
    (b) This Act shall not be construed to limit or restrict
the exercise of the powers or the performance of the duties of
the Attorney General which he otherwise is authorized to
exercise or perform under any other provision of law by statute
or otherwise.
    (c) Whenever the Attorney General shall have reason to
believe that any charitable organization, professional fund
raiser, or professional solicitor is operating in violation of
the provisions of this Act, or if any of the principal officers
of any charitable organization has refused or failed, after
notice, to produce any records of such organization or there is
employed or is about to be employed in any solicitation or
collection of contributions for a charitable organization any
device, scheme, or artifice to defraud or for obtaining money
or property by means of any false pretense, representation or
promise, or any false statement has been made in any
application, registration or statement required to be filed
pursuant to this Act, in addition to any other action
authorized by law, he may bring in the circuit court an action
in the name, and on behalf of the people of the State of
Illinois against such charitable organization and any other
person who has participated or is about to participate in such
solicitation or collection by employing such device, scheme,
artifice, false representation or promise, to enjoin such
charitable organization or other person from continuing such
solicitation or collection or engaging therein or doing any
acts in furtherance thereof, or to cancel any registration
statement previously filed with the Attorney General.
    In connection with such proposed action the Attorney
General is authorized to take proof in the manner provided in
Section 2-1003 of the Code of Civil Procedure.
    (d) Upon a showing by the Attorney General in an
application for an injunction that any person engaged in the
solicitation or collection of funds for charitable purposes,
either as an individual or as a member of a copartnership, or
as an officer of a corporation or as an agent for some other
person, or copartnership or corporation, has been convicted in
this State or elsewhere of a felony or of a misdemeanor where
such felony or misdemeanor involved the misappropriation,
misapplication or misuse of the money or property of another,
he may enjoin such persons from engaging in any solicitation or
collection of funds for charitable purposes.
    (e) The Attorney General may exercise the authority granted
in this Section against any charitable organization or person
which or who operates under the guise or pretense of being an
organization exempted by the provisions of Section 3 and is not
in fact an organization entitled to such an exemption.
    (f) In any action brought under the provisions of this Act,
the Attorney General is entitled to recover costs for the use
of this State.
    (g) Any person who knowingly violates this Section may be
enjoined from such conduct, removed from office, enjoined from
acting for charity and subject to punitive damages as deemed
appropriate by the circuit court.
    (h) Any person who violates this Section shall not be
entitled to keep or receive monies, fees, salaries, commissions
or any compensation, as a result of the solicitations or fund
raising campaigns, and at the request of the Attorney General
such monies, fees, salaries, commissions or any compensation
shall be forfeited and subject to distribution to charitable
use as a court of equity determines.
    (i) The Attorney General may publish an annual report of
all charitable organizations based on information contained in
reports filed hereunder stating the amount of money each
organization received through solicitation and the amount of
money which was expended on program service activity and the
percentage of the solicited assets that were expended on
charitable activity.
    (j) The Attorney General shall cancel the registration of
any organization, professional fund raiser, or professional
solicitor who violates the provisions of this Section.
    (k) Any person who solicits financial contributions or the
sale of merchandise, goods, services, memberships, or
advertisements in violation of the prohibitions of subsection
(d-1) of Section 11 of this Act, or commits false personation,
use of title, or solicitation as defined by Section 17-2 of the
Criminal Code of 2012 1961 shall, in addition to any other
penalties provided for by law, be subject to civil remedy by
cause of action brought by the Attorney General or a Public
Safety Personnel Organization affected by the violation.
    In addition to equitable relief, a successful claimant or
the Attorney General shall recover damages of triple the amount
collected as a result of solicitations made in violation of
this Act, plus reasonable attorney's fees and costs.
    A plaintiff in any suit filed under this Section shall
serve a copy of all pleadings on the Attorney General and the
State's Attorney for the county in which the suit is filed.
(Source: P.A. 91-301, eff. 7-29-99.)
 
    (225 ILCS 460/16.5)
    Sec. 16.5. Terrorist acts.
    (a) Any person or organization subject to registration
under this Act, who knowingly acts to further, directly or
indirectly, or knowingly uses charitable assets to conduct or
further, directly or indirectly, an act or actions as set forth
in Article 29D of the Criminal Code of 2012 1961, is thereby
engaged in an act or actions contrary to public policy and
antithetical to charity, and all of the funds, assets, and
records of the person or organization shall be subject to
temporary and permanent injunction from use or expenditure and
the appointment of a temporary and permanent receiver to take
possession of all of the assets and related records.
    (b) An ex parte action may be commenced by the Attorney
General, and, upon a showing of probable cause of a violation
of this Section or Article 29D of the Criminal Code of 2012
1961, an immediate seizure of books and records by the Attorney
General by and through his or her assistants or investigators
or the Department of State Police and freezing of all assets
shall be made by order of a court to protect the public,
protect the assets, and allow a full review of the records.
    (c) Upon a finding by a court after a hearing that a person
or organization has acted or is in violation of this Section,
the person or organization shall be permanently enjoined from
soliciting funds from the public, holding charitable funds, or
acting as a trustee or fiduciary within Illinois. Upon a
finding of violation all assets and funds held by the person or
organization shall be forfeited to the People of the State of
Illinois or otherwise ordered by the court to be accounted for
and marshaled and then delivered to charitable causes and uses
within the State of Illinois by court order.
    (d) A determination under this Section may be made by any
court separate and apart from any criminal proceedings and the
standard of proof shall be that for civil proceedings.
    (e) Any knowing use of charitable assets to conduct or
further, directly or indirectly, an act or actions set forth in
Article 29D of the Criminal Code of 2012 1961 shall be a misuse
of charitable assets and breach of fiduciary duty relative to
all other Sections of this Act.
(Source: P.A. 92-854, eff. 12-5-02.)
 
    Section 465. The Illinois Horse Racing Act of 1975 is
amended by changing Sections 3.15, 3.29, and 41 as follows:
 
    (230 ILCS 5/3.15)  (from Ch. 8, par. 37-3.15)
    Sec. 3.15. "Public official" means a person who is a public
officer, as defined in Section 2-18 of the Criminal Code of
2012 1961, of the State or any municipality, county or
township.
(Source: P.A. 79-1185.)
 
    (230 ILCS 5/3.29)
    Sec. 3.29. Advance deposit wagering. "Advance deposit
wagering" means a method of pari-mutuel wagering in which an
individual may establish an account, deposit money into the
account, and use the account balance to pay for pari-mutuel
wagering authorized by this Act. An advance deposit wager may
be placed in person at a wagering facility or from any other
location via a telephone-type device or any other electronic
means. Any person who accepts an advance deposit wager who is
not licensed by the Board as an advance deposit wagering
licensee shall be considered in violation of this Act and the
Criminal Code of 2012 1961. Any advance deposit wager placed in
person at a wagering facility shall be deemed to have been
placed at that wagering facility.
(Source: P.A. 96-762, eff. 8-25-09.)
 
    (230 ILCS 5/41)  (from Ch. 8, par. 37-41)
    Sec. 41. Article 28 of the "Criminal Code of 2012 1961", as
now or hereafter amended, and all other Acts or parts of Acts
inconsistent with the provisions of this Act shall not apply to
pari-mutuel wagering in manner and form as provided by this Act
at any horse race meeting held by any person having an
organization license for the holding of such horse race meeting
as provided by this Act.
(Source: P.A. 89-16, eff. 5-30-95.)
 
    Section 470. The Riverboat Gambling Act is amended by
changing Sections 7, 7.4, 8, 9, 18, and 19 as follows:
 
    (230 ILCS 10/7)  (from Ch. 120, par. 2407)
    Sec. 7. Owners Licenses.
    (a) The Board shall issue owners licenses to persons, firms
or corporations which apply for such licenses upon payment to
the Board of the non-refundable license fee set by the Board,
upon payment of a $25,000 license fee for the first year of
operation and a $5,000 license fee for each succeeding year and
upon a determination by the Board that the applicant is
eligible for an owners license pursuant to this Act and the
rules of the Board. From the effective date of this amendatory
Act of the 95th General Assembly until (i) 3 years after the
effective date of this amendatory Act of the 95th General
Assembly, (ii) the date any organization licensee begins to
operate a slot machine or video game of chance under the
Illinois Horse Racing Act of 1975 or this Act, (iii) the date
that payments begin under subsection (c-5) of Section 13 of the
Act, or (iv) the wagering tax imposed under Section 13 of this
Act is increased by law to reflect a tax rate that is at least
as stringent or more stringent than the tax rate contained in
subsection (a-3) of Section 13, whichever occurs first, as a
condition of licensure and as an alternative source of payment
for those funds payable under subsection (c-5) of Section 13 of
the Riverboat Gambling Act, any owners licensee that holds or
receives its owners license on or after the effective date of
this amendatory Act of the 94th General Assembly, other than an
owners licensee operating a riverboat with adjusted gross
receipts in calendar year 2004 of less than $200,000,000, must
pay into the Horse Racing Equity Trust Fund, in addition to any
other payments required under this Act, an amount equal to 3%
of the adjusted gross receipts received by the owners licensee.
The payments required under this Section shall be made by the
owners licensee to the State Treasurer no later than 3:00
o'clock p.m. of the day after the day when the adjusted gross
receipts were received by the owners licensee. A person, firm
or corporation is ineligible to receive an owners license if:
        (1) the person has been convicted of a felony under the
    laws of this State, any other state, or the United States;
        (2) the person has been convicted of any violation of
    Article 28 of the Criminal Code of 1961 or the Criminal
    Code of 2012, or substantially similar laws of any other
    jurisdiction;
        (3) the person has submitted an application for a
    license under this Act which contains false information;
        (4) the person is a member of the Board;
        (5) a person defined in (1), (2), (3) or (4) is an
    officer, director or managerial employee of the firm or
    corporation;
        (6) the firm or corporation employs a person defined in
    (1), (2), (3) or (4) who participates in the management or
    operation of gambling operations authorized under this
    Act;
        (7) (blank); or
        (8) a license of the person, firm or corporation issued
    under this Act, or a license to own or operate gambling
    facilities in any other jurisdiction, has been revoked.
    The Board is expressly prohibited from making changes to
the requirement that licensees make payment into the Horse
Racing Equity Trust Fund without the express authority of the
Illinois General Assembly and making any other rule to
implement or interpret this amendatory Act of the 95th General
Assembly. For the purposes of this paragraph, "rules" is given
the meaning given to that term in Section 1-70 of the Illinois
Administrative Procedure Act.
    (b) In determining whether to grant an owners license to an
applicant, the Board shall consider:
        (1) the character, reputation, experience and
    financial integrity of the applicants and of any other or
    separate person that either:
            (A) controls, directly or indirectly, such
        applicant, or
            (B) is controlled, directly or indirectly, by such
        applicant or by a person which controls, directly or
        indirectly, such applicant;
        (2) the facilities or proposed facilities for the
    conduct of riverboat gambling;
        (3) the highest prospective total revenue to be derived
    by the State from the conduct of riverboat gambling;
        (4) the extent to which the ownership of the applicant
    reflects the diversity of the State by including minority
    persons, females, and persons with a disability and the
    good faith affirmative action plan of each applicant to
    recruit, train and upgrade minority persons, females, and
    persons with a disability in all employment
    classifications;
        (5) the financial ability of the applicant to purchase
    and maintain adequate liability and casualty insurance;
        (6) whether the applicant has adequate capitalization
    to provide and maintain, for the duration of a license, a
    riverboat;
        (7) the extent to which the applicant exceeds or meets
    other standards for the issuance of an owners license which
    the Board may adopt by rule; and
        (8) The amount of the applicant's license bid.
    (c) Each owners license shall specify the place where
riverboats shall operate and dock.
    (d) Each applicant shall submit with his application, on
forms provided by the Board, 2 sets of his fingerprints.
    (e) The Board may issue up to 10 licenses authorizing the
holders of such licenses to own riverboats. In the application
for an owners license, the applicant shall state the dock at
which the riverboat is based and the water on which the
riverboat will be located. The Board shall issue 5 licenses to
become effective not earlier than January 1, 1991. Three of
such licenses shall authorize riverboat gambling on the
Mississippi River, or, with approval by the municipality in
which the riverboat was docked on August 7, 2003 and with Board
approval, be authorized to relocate to a new location, in a
municipality that (1) borders on the Mississippi River or is
within 5 miles of the city limits of a municipality that
borders on the Mississippi River and (2), on August 7, 2003,
had a riverboat conducting riverboat gambling operations
pursuant to a license issued under this Act; one of which shall
authorize riverboat gambling from a home dock in the city of
East St. Louis. One other license shall authorize riverboat
gambling on the Illinois River south of Marshall County. The
Board shall issue one additional license to become effective
not earlier than March 1, 1992, which shall authorize riverboat
gambling on the Des Plaines River in Will County. The Board may
issue 4 additional licenses to become effective not earlier
than March 1, 1992. In determining the water upon which
riverboats will operate, the Board shall consider the economic
benefit which riverboat gambling confers on the State, and
shall seek to assure that all regions of the State share in the
economic benefits of riverboat gambling.
    In granting all licenses, the Board may give favorable
consideration to economically depressed areas of the State, to
applicants presenting plans which provide for significant
economic development over a large geographic area, and to
applicants who currently operate non-gambling riverboats in
Illinois. The Board shall review all applications for owners
licenses, and shall inform each applicant of the Board's
decision. The Board may grant an owners license to an applicant
that has not submitted the highest license bid, but if it does
not select the highest bidder, the Board shall issue a written
decision explaining why another applicant was selected and
identifying the factors set forth in this Section that favored
the winning bidder.
    In addition to any other revocation powers granted to the
Board under this Act, the Board may revoke the owners license
of a licensee which fails to begin conducting gambling within
15 months of receipt of the Board's approval of the application
if the Board determines that license revocation is in the best
interests of the State.
    (f) The first 10 owners licenses issued under this Act
shall permit the holder to own up to 2 riverboats and equipment
thereon for a period of 3 years after the effective date of the
license. Holders of the first 10 owners licenses must pay the
annual license fee for each of the 3 years during which they
are authorized to own riverboats.
    (g) Upon the termination, expiration, or revocation of each
of the first 10 licenses, which shall be issued for a 3 year
period, all licenses are renewable annually upon payment of the
fee and a determination by the Board that the licensee
continues to meet all of the requirements of this Act and the
Board's rules. However, for licenses renewed on or after May 1,
1998, renewal shall be for a period of 4 years, unless the
Board sets a shorter period.
    (h) An owners license shall entitle the licensee to own up
to 2 riverboats. A licensee shall limit the number of gambling
participants to 1,200 for any such owners license. A licensee
may operate both of its riverboats concurrently, provided that
the total number of gambling participants on both riverboats
does not exceed 1,200. Riverboats licensed to operate on the
Mississippi River and the Illinois River south of Marshall
County shall have an authorized capacity of at least 500
persons. Any other riverboat licensed under this Act shall have
an authorized capacity of at least 400 persons.
    (i) A licensed owner is authorized to apply to the Board
for and, if approved therefor, to receive all licenses from the
Board necessary for the operation of a riverboat, including a
liquor license, a license to prepare and serve food for human
consumption, and other necessary licenses. All use, occupation
and excise taxes which apply to the sale of food and beverages
in this State and all taxes imposed on the sale or use of
tangible personal property apply to such sales aboard the
riverboat.
    (j) The Board may issue or re-issue a license authorizing a
riverboat to dock in a municipality or approve a relocation
under Section 11.2 only if, prior to the issuance or
re-issuance of the license or approval, the governing body of
the municipality in which the riverboat will dock has by a
majority vote approved the docking of riverboats in the
municipality. The Board may issue or re-issue a license
authorizing a riverboat to dock in areas of a county outside
any municipality or approve a relocation under Section 11.2
only if, prior to the issuance or re-issuance of the license or
approval, the governing body of the county has by a majority
vote approved of the docking of riverboats within such areas.
(Source: P.A. 95-1008, eff. 12-15-08; 96-1392, eff. 1-1-11.)
 
    (230 ILCS 10/7.4)
    Sec. 7.4. Managers licenses.
    (a) A qualified person may apply to the Board for a
managers license to operate and manage any gambling operation
conducted by the State. The application shall be made on forms
provided by the Board and shall contain such information as the
Board prescribes, including but not limited to information
required in Sections 6(a), (b), and (c) and information
relating to the applicant's proposed price to manage State
gambling operations and to provide the riverboat, gambling
equipment, and supplies necessary to conduct State gambling
operations.
    (b) Each applicant must submit evidence to the Board that
minority persons and females hold ownership interests in the
applicant of at least 16% and 4%, respectively.
    (c) A person, firm, or corporation is ineligible to receive
a managers license if:
        (1) the person has been convicted of a felony under the
    laws of this State, any other state, or the United States;
        (2) the person has been convicted of any violation of
    Article 28 of the Criminal Code of 1961 or the Criminal
    Code of 2012, or substantially similar laws of any other
    jurisdiction;
        (3) the person has submitted an application for a
    license under this Act which contains false information;
        (4) the person is a member of the Board;
        (5) a person defined in (1), (2), (3), or (4) is an
    officer, director, or managerial employee of the firm or
    corporation;
        (6) the firm or corporation employs a person defined in
    (1), (2), (3), or (4) who participates in the management or
    operation of gambling operations authorized under this
    Act; or
        (7) a license of the person, firm, or corporation
    issued under this Act, or a license to own or operate
    gambling facilities in any other jurisdiction, has been
    revoked.
    (d) Each applicant shall submit with his or her
application, on forms prescribed by the Board, 2 sets of his or
her fingerprints.
    (e) The Board shall charge each applicant a fee, set by the
Board, to defray the costs associated with the background
investigation conducted by the Board.
    (f) A person who knowingly makes a false statement on an
application is guilty of a Class A misdemeanor.
    (g) The managers license shall be for a term not to exceed
10 years, shall be renewable at the Board's option, and shall
contain such terms and provisions as the Board deems necessary
to protect or enhance the credibility and integrity of State
gambling operations, achieve the highest prospective total
revenue to the State, and otherwise serve the interests of the
citizens of Illinois.
    (h) Issuance of a managers license shall be subject to an
open and competitive bidding process. The Board may select an
applicant other than the lowest bidder by price. If it does not
select the lowest bidder, the Board shall issue a notice of who
the lowest bidder was and a written decision as to why another
bidder was selected.
(Source: P.A. 93-28, eff. 6-20-03.)
 
    (230 ILCS 10/8)  (from Ch. 120, par. 2408)
    Sec. 8. Suppliers licenses.
    (a) The Board may issue a suppliers license to such
persons, firms or corporations which apply therefor upon the
payment of a non-refundable application fee set by the Board,
upon a determination by the Board that the applicant is
eligible for a suppliers license and upon payment of a $5,000
annual license fee.
    (b) The holder of a suppliers license is authorized to sell
or lease, and to contract to sell or lease, gambling equipment
and supplies to any licensee involved in the ownership or
management of gambling operations.
    (c) Gambling supplies and equipment may not be distributed
unless supplies and equipment conform to standards adopted by
rules of the Board.
    (d) A person, firm or corporation is ineligible to receive
a suppliers license if:
        (1) the person has been convicted of a felony under the
    laws of this State, any other state, or the United States;
        (2) the person has been convicted of any violation of
    Article 28 of the Criminal Code of 1961 or the Criminal
    Code of 2012, or substantially similar laws of any other
    jurisdiction;
        (3) the person has submitted an application for a
    license under this Act which contains false information;
        (4) the person is a member of the Board;
        (5) the firm or corporation is one in which a person
    defined in (1), (2), (3) or (4), is an officer, director or
    managerial employee;
        (6) the firm or corporation employs a person who
    participates in the management or operation of riverboat
    gambling authorized under this Act;
        (7) the license of the person, firm or corporation
    issued under this Act, or a license to own or operate
    gambling facilities in any other jurisdiction, has been
    revoked.
    (e) Any person that supplies any equipment, devices, or
supplies to a licensed riverboat gambling operation must first
obtain a suppliers license. A supplier shall furnish to the
Board a list of all equipment, devices and supplies offered for
sale or lease in connection with gambling games authorized
under this Act. A supplier shall keep books and records for the
furnishing of equipment, devices and supplies to gambling
operations separate and distinct from any other business that
the supplier might operate. A supplier shall file a quarterly
return with the Board listing all sales and leases. A supplier
shall permanently affix its name to all its equipment, devices,
and supplies for gambling operations. Any supplier's
equipment, devices or supplies which are used by any person in
an unauthorized gambling operation shall be forfeited to the
State. A licensed owner may own its own equipment, devices and
supplies. Each holder of an owners license under the Act shall
file an annual report listing its inventories of gambling
equipment, devices and supplies.
    (f) Any person who knowingly makes a false statement on an
application is guilty of a Class A misdemeanor.
    (g) Any gambling equipment, devices and supplies provided
by any licensed supplier may either be repaired on the
riverboat or removed from the riverboat to an on-shore facility
owned by the holder of an owners license for repair.
(Source: P.A. 86-1029; 87-826.)
 
    (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 the
    Criminal Code of 2012, 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; 97-650, eff. 2-1-12.)
 
    (230 ILCS 10/18)  (from Ch. 120, par. 2418)
    Sec. 18. Prohibited Activities - Penalty.
    (a) A person is guilty of a Class A misdemeanor for doing
any of the following:
        (1) Conducting gambling where wagering is used or to be
    used without a license issued by the Board.
        (2) Conducting gambling where wagering is permitted
    other than in the manner specified by Section 11.
    (b) A person is guilty of a Class B misdemeanor for doing
any of the following:
        (1) permitting a person under 21 years to make a wager;
    or
        (2) violating paragraph (12) of subsection (a) of
    Section 11 of this Act.
    (c) A person wagering or accepting a wager at any location
outside the riverboat is subject to the penalties in paragraphs
(1) or (2) of subsection (a) of Section 28-1 of the Criminal
Code of 2012 1961.
    (d) A person commits a Class 4 felony and, in addition,
shall be barred for life from riverboats under the jurisdiction
of the Board, if the person does any of the following:
        (1) Offers, promises, or gives anything of value or
    benefit to a person who is connected with a riverboat owner
    including, but not limited to, an officer or employee of a
    licensed owner or holder of an occupational license
    pursuant to an agreement or arrangement or with the intent
    that the promise or thing of value or benefit will
    influence the actions of the person to whom the offer,
    promise, or gift was made in order to affect or attempt to
    affect the outcome of a gambling game, or to influence
    official action of a member of the Board.
        (2) Solicits or knowingly accepts or receives a promise
    of anything of value or benefit while the person is
    connected with a riverboat including, but not limited to,
    an officer or employee of a licensed owner, or holder of an
    occupational license, pursuant to an understanding or
    arrangement or with the intent that the promise or thing of
    value or benefit will influence the actions of the person
    to affect or attempt to affect the outcome of a gambling
    game, or to influence official action of a member of the
    Board.
        (3) Uses or possesses with the intent to use a device
    to assist:
            (i) In projecting the outcome of the game.
            (ii) In keeping track of the cards played.
            (iii) In analyzing the probability of the
        occurrence of an event relating to the gambling game.
            (iv) In analyzing the strategy for playing or
        betting to be used in the game except as permitted by
        the Board.
        (4) Cheats at a gambling game.
        (5) Manufactures, sells, or distributes any cards,
    chips, dice, game or device which is intended to be used to
    violate any provision of this Act.
        (6) Alters or misrepresents the outcome of a gambling
    game on which wagers have been made after the outcome is
    made sure but before it is revealed to the players.
        (7) Places a bet after acquiring knowledge, not
    available to all players, of the outcome of the gambling
    game which is subject of the bet or to aid a person in
    acquiring the knowledge for the purpose of placing a bet
    contingent on that outcome.
        (8) Claims, collects, or takes, or attempts to claim,
    collect, or take, money or anything of value in or from the
    gambling games, with intent to defraud, without having made
    a wager contingent on winning a gambling game, or claims,
    collects, or takes an amount of money or thing of value of
    greater value than the amount won.
        (9) Uses counterfeit chips or tokens in a gambling
    game.
        (10) Possesses any key or device designed for the
    purpose of opening, entering, or affecting the operation of
    a gambling game, drop box, or an electronic or mechanical
    device connected with the gambling game or for removing
    coins, tokens, chips or other contents of a gambling game.
    This paragraph (10) does not apply to a gambling licensee
    or employee of a gambling licensee acting in furtherance of
    the employee's employment.
    (e) The possession of more than one of the devices
described in subsection (d), paragraphs (3), (5), or (10)
permits a rebuttable presumption that the possessor intended to
use the devices for cheating.
    (f) A person under the age of 21 who, except as authorized
under paragraph (10) of Section 11, enters upon a riverboat
commits a petty offense and is subject to a fine of not less
than $100 or more than $250 for a first offense and of not less
than $200 or more than $500 for a second or subsequent offense.
    An action to prosecute any crime occurring on a riverboat
shall be tried in the county of the dock at which the riverboat
is based.
(Source: P.A. 96-1392, eff. 1-1-11.)
 
    (230 ILCS 10/19)  (from Ch. 120, par. 2419)
    Sec. 19. Forfeiture of property. (a) Except as provided in
subsection (b), any riverboat used for the conduct of gambling
games in violation of this Act shall be considered a gambling
place in violation of Section 28-3 of the Criminal Code of 2012
1961, as now or hereafter amended. Every gambling device found
on a riverboat operating gambling games in violation of this
Act shall be subject to seizure, confiscation and destruction
as provided in Section 28-5 of the Criminal Code of 2012 1961,
as now or hereafter amended.
    (b) It is not a violation of this Act for a riverboat or
other watercraft which is licensed for gaming by a contiguous
state to dock on the shores of this State if the municipality
having jurisdiction of the shores, or the county in the case of
unincorporated areas, has granted permission for docking and no
gaming is conducted on the riverboat or other watercraft while
it is docked on the shores of this State. No gambling device
shall be subject to seizure, confiscation or destruction if the
gambling device is located on a riverboat or other watercraft
which is licensed for gaming by a contiguous state and which is
docked on the shores of this State if the municipality having
jurisdiction of the shores, or the county in the case of
unincorporated areas, has granted permission for docking and no
gaming is conducted on the riverboat or other watercraft while
it is docked on the shores of this State.
(Source: P.A. 86-1029.)
 
    Section 475. The Raffles Act is amended by changing
Sections 1 and 8.1 as follows:
 
    (230 ILCS 15/1)  (from Ch. 85, par. 2301)
    Sec. 1. Definitions.) For the purposes of this Act the
terms defined in this Section have the meanings given them.
    "Net Proceeds" means the gross receipts from the conduct of
raffles, less reasonable sums expended for prizes, local
license fees and other reasonable operating expenses incurred
as a result of operating a raffle.
    "Raffle" means a form of lottery, as defined in Section
28-2 (b) of the "Criminal Code of 2012 1961", conducted by an
organization licensed under this Act, in which:
    (1) the player pays or agrees to pay something of value for
a chance, represented and differentiated by a number or by a
combination of numbers or by some other medium, one or more of
which chances is to be designated the winning chance;
    (2) the winning chance is to be determined through a
drawing or by some other method based on an element of chance
by an act or set of acts on the part of persons conducting or
connected with the lottery, except that the winning chance
shall not be determined by the outcome of a publicly exhibited
sporting contest.
(Source: P.A. 81-1365.)
 
    (230 ILCS 15/8.1)  (from Ch. 85, par. 2308.1)
    Sec. 8.1. (a) Political Committees. For the purposes of
this Section the terms defined in this subsection have the
meanings given them.
    "Net Proceeds" means the gross receipts from the conduct of
raffles, less reasonable sums expended for prizes, license fees
and other reasonable operating expenses incurred as a result of
operating a raffle.
    "Raffle" means a form of lottery, as defined in Section
28-2 (b) of the "Criminal Code of 2012 1961", conducted by a
political committee licensed under this Section, in which:
        (1) the player pays or agrees to pay something of value
    for a chance, represented and differentiated by a number or
    by a combination of numbers or by some other medium, one or
    more of which chances is to be designated the winning
    chance;
        (2) the winning chance is to be determined through a
    drawing or by some other method based on an element of
    chance by an act or set of acts on the part of persons
    conducting or connected with the lottery, except that the
    winning chance shall not be determined by the outcome of a
    publicly exhibited sporting contest.
    "Unresolved claim" means a claim for civil penalty under
Sections 9-3, 9-10, and 9-23 of The Election Code which has
been begun by the State Board of Elections, has been disputed
by the political committee under the applicable rules of the
State Board of Elections, and has not been finally decided
either by the State Board of Elections, or, where application
for review has been made to the Courts of Illinois, remains
finally undecided by the Courts.
    "Owes" means that a political committee has been finally
determined under applicable rules of the State Board of
Elections to be liable for a civil penalty under Sections 9-3,
9-10, and 9-23 of The Election Code.
    (b) Licenses issued pursuant to this Section shall be valid
for one raffle or for a specified number of raffles to be
conducted during a specified period not to exceed one year and
may be suspended or revoked for any violation of this Section.
The State Board of Elections shall act on a license application
within 30 days from the date of application.
    (c) Licenses issued by the State Board of Elections are
subject to the following restrictions:
        (1) No political committee shall conduct raffles or
    chances without having first obtained a license therefor
    pursuant to this Section.
        (2) The application for license shall be prepared in
    accordance with regulations of the State Board of Elections
    and must specify the area or areas within the State in
    which raffle chances will be sold or issued, the time
    period during which raffle chances will be sold or issued,
    the time of determination of winning chances and the
    location or locations at which winning chances will be
    determined.
        (3) A license authorizes the licensee to conduct
    raffles as defined in this Section.
    The following are ineligible for any license under this
Section:
            (i) any political committee which has an officer
        who has been convicted of a felony;
            (ii) any political committee which has an officer
        who is or has been a professional gambler or gambling
        promoter;
            (iii) any political committee which has an officer
        who is not of good moral character;
            (iv) any political committee which has an officer
        who is also an officer of a firm or corporation in
        which a person defined in (i), (ii) or (iii) has a
        proprietary, equitable or credit interest, or in which
        such a person is active or employed;
            (v) any political committee in which a person
        defined in (i), (ii) or (iii) is an officer, director,
        or employee, whether compensated or not;
            (vi) any political committee in which a person
        defined in (i), (ii) or (iii) is to participate in the
        management or operation of a raffle as defined in this
        Section;
            (vii) any committee which, at the time of its
        application for a license to conduct a raffle, owes the
        State Board of Elections any unpaid civil penalty
        authorized by Sections 9-3, 9-10, and 9-23 of The
        Election Code, or is the subject of an unresolved claim
        for a civil penalty under Sections 9-3, 9-10, and 9-23
        of The Election Code;
            (viii) any political committee which, at the time
        of its application to conduct a raffle, has not
        submitted any report or document required to be filed
        by Article 9 of The Election Code and such report or
        document is more than 10 days overdue.
    (d) (1) The conducting of raffles is subject to the
    following restrictions:
            (i) The entire net proceeds of any raffle must be
        exclusively devoted to the lawful purposes of the
        political committee permitted to conduct that game.
            (ii) No person except a bona fide member of the
        political committee may participate in the management
        or operation of the raffle.
            (iii) No person may receive any remuneration or
        profit for participating in the management or
        operation of the raffle.
            (iv) Raffle chances may be sold or issued only
        within the area specified on the license and winning
        chances may be determined only at those locations
        specified on the license.
            (v) A person under the age of 18 years may
        participate in the conducting of raffles or chances
        only with the permission of a parent or guardian. A
        person under the age of 18 years may be within the area
        where winning chances are being determined only when
        accompanied by his parent or guardian.
        (2) If a lessor rents premises where a winning chance
    or chances on a raffle are determined, the lessor shall not
    be criminally liable if the person who uses the premises
    for the determining of winning chances does not hold a
    license issued under the provisions of this Section.
    (e) (1) Each political committee licensed to conduct
    raffles and chances shall keep records of its gross
    receipts, expenses and net proceeds for each single
    gathering or occasion at which winning chances are
    determined. All deductions from gross receipts for each
    single gathering or occasion shall be documented with
    receipts or other records indicating the amount, a
    description of the purchased item or service or other
    reason for the deduction, and the recipient. The
    distribution of net proceeds shall be itemized as to payee,
    purpose, amount and date of payment.
        (2) Each political committee licensed to conduct
    raffles shall report on the next report due to be filed
    under Article 9 of The Election Code its gross receipts,
    expenses and net proceeds from raffles, and the
    distribution of net proceeds itemized as required in this
    subsection.
    Such reports shall be included in the regular reports
required of political committees by Article 9 of The Election
Code.
        (3) Records required by this subsection shall be
    preserved for 3 years, and political committees shall make
    available their records relating to operation of raffles
    for public inspection at reasonable times and places.
    (f) Violation of any provision of this Section is a Class C
misdemeanor.
    (g) Nothing in this Section shall be construed to authorize
the conducting or operating of any gambling scheme, enterprise,
activity or device other than raffles as provided for herein.
(Source: P.A. 93-615, eff. 11-19-03.)
 
    Section 480. The Illinois Pull Tabs and Jar Games Act is
amended by changing Sections 2.1, 6, and 7 as follows:
 
    (230 ILCS 20/2.1)
    Sec. 2.1. Ineligibility for a license. The following are
ineligible for any license under this Act:
        (1) Any person who has been convicted of a felony
    within the last 10 years prior to the date of the
    application.
        (2) Any person who has been convicted of a violation of
    Article 28 of the Criminal Code of 1961 or the Criminal
    Code of 2012.
        (3) Any person who has had a bingo, pull tabs and jar
    games, or charitable games license revoked by the
    Department.
        (4) Any person who is or has been a professional
    gambler.
        (5) Any person found gambling in a manner not
    authorized by the Illinois Pull Tabs and Jar Games Act, the
    Bingo License and Tax Act, or the Charitable Games Act,
    participating in such gambling, or knowingly permitting
    such gambling on premises where pull tabs and jar games are
    authorized to be conducted.
        (6) Any firm or corporation in which a person defined
    in (1), (2), (3), (4), or (5) has any proprietary,
    equitable, or credit interest or in which such person is
    active or employed.
        (7) Any organization in which a person defined in (1),
    (2), (3), (4), or (5) is an officer, director, or employee,
    whether compensated or not.
        (8) Any organization in which a person defined in (1),
    (2), (3), (4), or (5) is to participate in the management
    or operation of pull tabs and jar games.
    The Department of State Police shall provide the criminal
background of any supplier as requested by the Department of
Revenue.
(Source: P.A. 95-228, eff. 8-16-07.)
 
    (230 ILCS 20/6)  (from Ch. 120, par. 1056)
    Sec. 6. Each licensee must keep a complete record of pull
tabs and jar games conducted within the previous 3 years. Such
record shall be available for inspection by any employee of the
Department of Revenue during reasonable business hours. The
Department may require that any person, organization, or
corporation licensed under this Act obtain from an Illinois
certified public accounting firm at its own expense a certified
and unqualified financial statement and verification of
records of such organization. Failure of a pull tabs and jar
games licensee to comply with this requirement within 90 days
of receiving notice from the Department may result in
suspension or revocation of the licensee's license.
The Department of Revenue may, at its discretion, suspend or
revoke any license if it finds that the licensee or any person
connected therewith has violated or is violating this Act. A
suspension or revocation shall be in addition to, and not in
lieu of, any other civil penalties or assessments that are
authorized by this Act. No licensee under this Act, while pull
tabs and jar games chances are being conducted, shall knowingly
permit entry to any part of the licensed premises by any person
who has been convicted of a felony or a violation of Article 28
of the Criminal Code of 1961 or the Criminal Code of 2012.
(Source: P.A. 95-228, eff. 8-16-07.)
 
    (230 ILCS 20/7)  (from Ch. 120, par. 1057)
    Sec. 7. Violations.
    (a) Any person who conducts or knowingly participates in an
unlicensed pull tabs and jar game commits the offense of
gambling in violation of Section 28-1 of the Criminal Code of
2012 1961, as amended. Any person who violates any other
provision of this Act, or any person who knowingly fails to
file a pull tabs and jar games return or who knowingly files a
fraudulent application or return under this Act, or any person
who wilfully violates any rule or regulation of the Department
for the administration and enforcement of this Act, or any
officer or agent of an organization licensed under this Act who
signs a fraudulent application or return filed on behalf of
such an organization, is guilty of a Class A misdemeanor.
    (b) Any organization that illegally conducts pull tabs or
jar games, in addition to other penalties provided for in this
Act, shall be subject to a civil penalty equal to the amount of
gross proceeds derived from those unlicensed games, as well as
confiscation and forfeiture of all pull tabs and jar games
equipment used in the conduct of those unlicensed games.
    (c) Any organization licensed to conduct pull tabs and jar
games which allows any form of illegal gambling to be conducted
on the premises where pull tabs and jar games are being
conducted, in addition to other penalties provided for in this
Act, shall be subject to a civil penalty equal to the amount of
gross proceeds derived on that day from pull tabs and jar games
and any illegal game that may have been conducted, as well as
confiscation and forfeiture of all pull tabs and jar games
equipment used in the conduct of any unlicensed or illegal
games.
(Source: P.A. 95-228, eff. 8-16-07.)
 
    Section 485. The Bingo License and Tax Act is amended by
changing Sections 1.2, 4, and 5 as follows:
 
    (230 ILCS 25/1.2)
    Sec. 1.2. Ineligibility for licensure. The following are
ineligible for any license under this Act:
        (1) Any person who has been convicted of a felony
    within the last 10 years prior to the date of application.
        (2) Any person who has been convicted of a violation of
    Article 28 of the Criminal Code of 1961 or the Criminal
    Code of 2012.
        (3) Any person who has had a bingo, pull tabs and jar
    games, or charitable games license revoked by the
    Department.
        (4) Any person who is or has been a professional
    gambler.
        (5) Any person found gambling in a manner not
    authorized by the Illinois Pull Tabs and Jar Games Act,
    Bingo License and Tax Act, or the Charitable Games Act,
    participating in such gambling, or knowingly permitting
    such gambling on premises where a bingo event is authorized
    to be conducted or has been conducted.
        (6) Any organization in which a person defined in (1),
    (2), (3), (4), or (5) has a proprietary, equitable, or
    credit interest, or in which such person is active or
    employed.
        (7) Any organization in which a person defined in (1),
    (2), (3), (4), or (5) is an officer, director, or employee,
    whether compensated or not.
        (8) Any organization in which a person defined in (1),
    (2), (3), (4), or (5) is to participate in the management
    or operation of a bingo game.
    The Department of State Police shall provide the criminal
background of any person requested by the Department of
Revenue.
(Source: P.A. 95-228, eff. 8-16-07.)
 
    (230 ILCS 25/4)  (from Ch. 120, par. 1104)
    Sec. 4. Each licensee must keep a complete record of bingo
games conducted within the previous 3 years. Such record shall
be available for inspection by any employee of the Department
of Revenue during reasonable business hours.
    The Department may require that any person, organization or
corporation licensed under this Act obtain from an Illinois
certified public accounting firm at its own expense a certified
and unqualified financial statement and verification of
records of such organization. Failure of a bingo licensee to
comply with this requirement within 90 days of receiving notice
from the Director may result in suspension or revocation of the
licensee's license.
    The Department of Revenue may, at its discretion, suspend
or revoke any license if it finds that the licensee or any
person connected therewith has violated or is violating the
provisions of this Act. A suspension or revocation shall be in
addition to, and not in lieu of, any other civil penalties or
assessments that are authorized by this Act. No licensee under
this Act, while a bingo game is being conducted, shall
knowingly permit entry into any part of the licensed premises
by any person who has been convicted of a felony or a violation
of Article 28 of the "Criminal Code of 1961" or the Criminal
Code of 2012.
(Source: P.A. 95-228, eff. 8-16-07.)
 
    (230 ILCS 25/5)  (from Ch. 120, par. 1105)
    Sec. 5. Penalties.
    (a) Any person who conducts or knowingly participates in an
unlicensed bingo game commits the offense of gambling in
violation of Section 28-1 of the Criminal Code of 2012 1961, as
amended. Any person who violates any other provision of this
Act, or any person who knowingly fails to file a bingo return
or who knowingly files a fraudulent application or return under
this Act, or any person who wilfully violates any rule or
regulation of the Department for the administration and
enforcement of this Act, or any officer or agent of an
organization licensed under this Act who signs a fraudulent
application or return filed on behalf of such an organization,
is guilty of a Class A misdemeanor.
    (b) Any organization that illegally conducts bingo, in
addition to other penalties provided for in this Act, shall be
subject to a civil penalty equal to the gross proceeds derived
from those unlicensed games, as well as confiscation and
forfeiture of all bingo equipment used in the conduct of those
unlicensed games.
    (c) Any organization licensed to conduct bingo which allows
any form of illegal gambling to be conducted on the premises
where bingo is being conducted, in addition to other penalties
provided for in this Act, shall be subject to a civil penalty
equal to the amount of gross proceeds derived on that day from
bingo and any illegal game that may have been conducted, as
well as confiscation and forfeiture of all bingo equipment used
in the conduct of any unlicensed or illegal games.
    (d) Any person or organization, in addition to other
penalties provided for in this Act, shall be subject to a civil
penalty not to exceed $5,000 for any of the following
violations:
        (1) Providing premises for the conduct of bingo without
    first obtaining a license or a special permit to do so.
        (2) Allowing unlicensed organizations to conduct bingo
    on its premises.
        (3) Allowing any form of illegal gambling to be
    conducted on the premises where bingo is being conducted.
(Source: P.A. 95-228, eff. 8-16-07.)
 
    Section 490. The Charitable Games Act is amended by
changing Sections 7, 10, and 12 as follows:
 
    (230 ILCS 30/7)  (from Ch. 120, par. 1127)
    Sec. 7. Ineligible Persons. The following are ineligible
for any license under this Act:
        (a) any person who has been convicted of a felony
    within the last 10 years before the date of the
    application;
        (b) any person who has been convicted of a violation of
    Article 28 of the Criminal Code of 1961 or the Criminal
    Code of 2012;
        (c) any person who has had a bingo, pull tabs and jar
    games, or charitable games license revoked by the
    Department;
        (d) any person who is or has been a professional
    gambler;
        (d-1) any person found gambling in a manner not
    authorized by this Act, the Illinois Pull Tabs and Jar
    Games Act, or the Bingo License and Tax Act participating
    in such gambling, or knowingly permitting such gambling on
    premises where an authorized charitable games event is
    authorized to be conducted or has been conducted;
        (e) any organization in which a person defined in (a),
    (b), (c), (d), or (d-1) has a proprietary, equitable, or
    credit interest, or in which the person is active or
    employed;
        (f) any organization in which a person defined in (a),
    (b), (c), (d), or (d-1) is an officer, director, or
    employee, whether compensated or not;
        (g) any organization in which a person defined in (a),
    (b), (c), (d), or (d-1) is to participate in the management
    or operation of charitable games.
    The Department of State Police shall provide the criminal
background of any person requested by the Department of
Revenue.
(Source: P.A. 94-986, eff. 6-30-06; 95-228, eff. 8-16-07.)
 
    (230 ILCS 30/10)  (from Ch. 120, par. 1130)
    Sec. 10. Each licensee must keep a complete record of
charitable games conducted within the previous 3 years. Such
record shall be open to inspection by any employee of the
Department of Revenue during reasonable business hours.
    The Department may require that any person, organization or
corporation licensed under this Act obtain from an Illinois
certified public accounting firm at its own expense a certified
and unqualified financial statement and verification of
records of such organization. Failure of a charitable games
licensee to comply with this requirement within 90 days of
receiving notice from the Department may result in suspension
or revocation of the licensee's license.
    The Department of Revenue may, at its discretion, suspend
or revoke any license if it finds that the licensee or any
person connected therewith has violated or is violating the
provisions of this Act. A revocation or suspension shall be in
addition to, and not in lieu of, any other civil penalties or
assessments that are authorized by this Act. No licensee under
this Act, while a charitable game is being conducted, shall
knowingly permit the entry into any part of the licensed
premises by any person who has been convicted of a violation of
Article 28 of the Criminal Code of 1961 or the Criminal Code of
2012.
(Source: P.A. 94-986, eff. 6-30-06; 95-228, eff. 8-16-07.)
 
    (230 ILCS 30/12)  (from Ch. 120, par. 1132)
    Sec. 12. Penalties.
    (1) Any person who conducts or knowingly participates in an
unlicensed charitable game commits the offense of gambling in
violation of Section 28-1 of the Criminal Code of 2012 1961, as
amended. Any person who violates any provision of this Act, or
any person who fails to file a charitable games return or who
files a fraudulent return or application under this Act, or any
person who willfully violates any rule or regulation of the
Department for the administration and enforcement of this Act,
or any officer or agent of an organization licensed under this
Act who signs a fraudulent return or application filed on
behalf of such an organization, is guilty of a Class A
misdemeanor. Any second or subsequent violation of this Act
constitutes a Class 4 felony.
    (2) Any organization that illegally conducts charitable
games, in addition to other penalties provided for in this Act,
shall be subject to a civil penalty equal to the amount of
gross proceeds derived from those unlicensed games, as well as
confiscation and forfeiture of all charitable games equipment
used in the conduct of those unlicensed games.
    (3) Any organization licensed to conduct charitable games
that allows any form of illegal gambling to be conducted on the
premises where charitable games are being conducted, in
addition to other penalties provided for in this Act, shall be
subject to a civil penalty equal to the amount of gross
proceeds derived on that day from charitable games and any
illegal game that may have been conducted, as well as
confiscation and forfeiture of all charitable games equipment
used in the conduct of any unlicensed or illegal games.
    (4) Any person who violates any provision of this Act or
knowingly violates any rule of the Department for the
administration of this Act, in addition to other penalties
provided, shall be subject to a civil penalty not to exceed
$250 for each separate violation.
    (5) No person shall sell, lease, or distribute for
compensation within this State, or possess with intent to sell,
lease, or distribute for compensation within this State, any
chips, representations of money, wheels, or any devices or
equipment designed for use or used in the play of charitable
games without first having obtained a license to do so from the
Department of Revenue. Any person that knowingly violates this
paragraph is guilty of a Class A misdemeanor, the fine for
which shall not exceed $50,000.
(Source: P.A. 94-986, eff. 6-30-06; 95-228, eff. 8-16-07.)
 
    Section 495. The Video Gaming Act is amended by changing
Sections 35 and 45 as follows:
 
    (230 ILCS 40/35)
    Sec. 35. Display of license; confiscation; violation as
felony.
    (a) Each video gaming terminal shall be licensed by the
Board before placement or operation on the premises of a
licensed establishment, licensed truck stop establishment,
licensed fraternal establishment, or licensed veterans
establishment. The license of each video gaming terminal shall
be maintained at the location where the video gaming terminal
is operated. Failure to do so is a petty offense with a fine
not to exceed $100. Any licensed establishment, licensed truck
stop establishment, licensed fraternal establishment, or
licensed veterans establishment used for the conduct of
gambling games in violation of this Act shall be considered a
gambling place in violation of Section 28-3 of the Criminal
Code of 2012 1961. Every gambling device found in a licensed
establishment, licensed truck stop establishment, licensed
fraternal establishment, or licensed veterans establishment
operating gambling games in violation of this Act shall be
subject to seizure, confiscation, and destruction as provided
in Section 28-5 of the Criminal Code of 2012 1961. Any license
issued under the Liquor Control Act of 1934 to any owner or
operator of a licensed establishment, licensed truck stop
establishment, licensed fraternal establishment, or licensed
veterans establishment that operates or permits the operation
of a video gaming terminal within its establishment in
violation of this Act shall be immediately revoked. No person
may own, operate, have in his or her possession or custody or
under his or her control, or permit to be kept in any place
under his or her possession or control, any device that awards
credits and contains a circuit, meter, or switch capable of
removing and recording the removal of credits when the award of
credits is dependent upon chance. A violation of this Section
is a Class 4 felony. All devices that are owned, operated, or
possessed in violation of this Section are hereby declared to
be public nuisances and shall be subject to seizure,
confiscation, and destruction as provided in Section 28-5 of
the Criminal Code of 2012 1961. The provisions of this Section
do not apply to devices or electronic video game terminals
licensed pursuant to this Act. A video gaming terminal operated
for amusement only and bearing a valid amusement tax sticker
shall not be subject to this Section until 30 days after the
Board establishes that the central communications system is
functional.
    (b) (1) The odds of winning each video game shall be posted
on or near each video gaming terminal. The manner in which the
odds are calculated and how they are posted shall be determined
by the Board by rule.
    (2) No video gaming terminal licensed under this Act may be
played except during the legal hours of operation allowed for
the consumption of alcoholic beverages at the licensed
establishment, licensed fraternal establishment, or licensed
veterans establishment. A licensed establishment, licensed
fraternal establishment, or licensed veterans establishment
that violates this subsection is subject to termination of its
license by the Board.
(Source: P.A. 96-34, eff. 7-13-09; 96-37, eff. 7-13-09;
96-1410, eff. 7-30-10.)
 
    (230 ILCS 40/45)
    Sec. 45. Issuance of license.
    (a) The burden is upon each applicant to demonstrate his
suitability for licensure. Each video gaming terminal
manufacturer, distributor, supplier, operator, handler,
licensed establishment, licensed truck stop establishment,
licensed fraternal establishment, and licensed veterans
establishment shall be licensed by the Board. The Board may
issue or deny a license under this Act to any person pursuant
to the same criteria set forth in Section 9 of the Riverboat
Gambling Act.
    (a-5) The Board shall not grant a license to a person who
has facilitated, enabled, or participated in the use of
coin-operated devices for gambling purposes or who is under the
significant influence or control of such a person. For the
purposes of this Act, "facilitated, enabled, or participated in
the use of coin-operated amusement devices for gambling
purposes" means that the person has been convicted of any
violation of Article 28 of the Criminal Code of 1961 or the
Criminal Code of 2012. If there is pending legal action against
a person for any such violation, then the Board shall delay the
licensure of that person until the legal action is resolved.
    (b) Each person seeking and possessing a license as a video
gaming terminal manufacturer, distributor, supplier, operator,
handler, licensed establishment, licensed truck stop
establishment, licensed fraternal establishment, or licensed
veterans establishment shall submit to a background
investigation conducted by the Board with the assistance of the
State Police or other law enforcement. The background
investigation shall include each beneficiary of a trust, each
partner of a partnership, and each director and officer and all
stockholders of 5% or more in a parent or subsidiary
corporation of a video gaming terminal manufacturer,
distributor, supplier, operator, or licensed establishment,
licensed truck stop establishment, licensed fraternal
establishment, or licensed veterans establishment.
    (c) Each person seeking and possessing a license as a video
gaming terminal manufacturer, distributor, supplier, operator,
handler, licensed establishment, licensed truck stop
establishment, licensed fraternal establishment, or licensed
veterans establishment shall disclose the identity of every
person, association, trust, corporation, or limited liability
company having a greater than 1% direct or indirect pecuniary
interest in the video gaming terminal operation for which the
license is sought. If the disclosed entity is a trust, the
application shall disclose the names and addresses of the
beneficiaries; if a corporation, the names and addresses of all
stockholders and directors; if a limited liability company, the
names and addresses of all members; or if a partnership, the
names and addresses of all partners, both general and limited.
    (d) No person may be licensed as a video gaming terminal
manufacturer, distributor, supplier, operator, handler,
licensed establishment, licensed truck stop establishment,
licensed fraternal establishment, or licensed veterans
establishment if that person has been found by the Board to:
        (1) have a background, including a criminal record,
    reputation, habits, social or business associations, or
    prior activities that pose a threat to the public interests
    of the State or to the security and integrity of video
    gaming;
        (2) create or enhance the dangers of unsuitable,
    unfair, or illegal practices, methods, and activities in
    the conduct of video gaming; or
        (3) present questionable business practices and
    financial arrangements incidental to the conduct of video
    gaming activities.
    (e) Any applicant for any license under this Act has the
burden of proving his or her qualifications to the satisfaction
of the Board. The Board may adopt rules to establish additional
qualifications and requirements to preserve the integrity and
security of video gaming in this State.
    (f) A non-refundable application fee shall be paid at the
time an application for a license is filed with the Board in
the following amounts:
        (1) Manufacturer..........................$5,000
        (2) Distributor...........................$5,000
        (3) Terminal operator.....................$5,000
        (4) Supplier..............................$2,500
        (5) Technician..............................$100
        (6) Terminal Handler..............................$50
    (g) The Board shall establish an annual fee for each
license not to exceed the following:
        (1) Manufacturer.........................$10,000
        (2) Distributor..........................$10,000
        (3) Terminal operator.....................$5,000
        (4) Supplier..............................$2,000
        (5) Technician..............................$100
        (6) Licensed establishment, licensed truck stop
    establishment, licensed fraternal establishment,
    or licensed veterans establishment..............$100
        (7) Video gaming terminal...................$100
        (8) Terminal Handler..............................$50
(Source: P.A. 96-34, eff. 7-13-09; 96-37, eff. 7-13-09; 96-38,
eff. 7-13-09; 96-1000, eff. 7-2-10; 96-1410, eff. 7-30-10.)
 
    Section 500. The Liquor Control Act of 1934 is amended by
changing Section 6-2 as follows:
 
    (235 ILCS 5/6-2)  (from Ch. 43, par. 120)
    Sec. 6-2. Issuance of licenses to certain persons
prohibited.
    (a) Except as otherwise provided in subsection (b) of this
Section and in paragraph (1) of subsection (a) of Section 3-12,
no license of any kind issued by the State Commission or any
local commission shall be issued to:
        (1) A person who is not a resident of any city, village
    or county in which the premises covered by the license are
    located; except in case of railroad or boat licenses.
        (2) A person who is not of good character and
    reputation in the community in which he resides.
        (3) A person who is not a citizen of the United States.
        (4) A person who has been convicted of a felony under
    any Federal or State law, unless the Commission determines
    that such person has been sufficiently rehabilitated to
    warrant the public trust after considering matters set
    forth in such person's application and the Commission's
    investigation. The burden of proof of sufficient
    rehabilitation shall be on the applicant.
        (5) A person who has been convicted of keeping a place
    of prostitution or keeping a place of juvenile
    prostitution, promoting prostitution that involves keeping
    a place of prostitution, or promoting juvenile
    prostitution that involves keeping a place of juvenile
    prostitution.
        (6) A person who has been convicted of pandering or
    other crime or misdemeanor opposed to decency and morality.
        (7) A person whose license issued under this Act has
    been revoked for cause.
        (8) A person who at the time of application for renewal
    of any license issued hereunder would not be eligible for
    such license upon a first application.
        (9) A copartnership, if any general partnership
    thereof, or any limited partnership thereof, owning more
    than 5% of the aggregate limited partner interest in such
    copartnership would not be eligible to receive a license
    hereunder for any reason other than residence within the
    political subdivision, unless residency is required by
    local ordinance.
        (10) A corporation or limited liability company, if any
    member, officer, manager or director thereof, or any
    stockholder or stockholders owning in the aggregate more
    than 5% of the stock of such corporation, would not be
    eligible to receive a license hereunder for any reason
    other than citizenship and residence within the political
    subdivision.
        (10a) A corporation or limited liability company
    unless it is incorporated or organized in Illinois, or
    unless it is a foreign corporation or foreign limited
    liability company which is qualified under the Business
    Corporation Act of 1983 or the Limited Liability Company
    Act to transact business in Illinois. The Commission shall
    permit and accept from an applicant for a license under
    this Act proof prepared from the Secretary of State's
    website that the corporation or limited liability company
    is in good standing and is qualified under the Business
    Corporation Act of 1983 or the Limited Liability Company
    Act to transact business in Illinois.
        (11) A person whose place of business is conducted by a
    manager or agent unless the manager or agent possesses the
    same qualifications required by the licensee.
        (12) A person who has been convicted of a violation of
    any Federal or State law concerning the manufacture,
    possession or sale of alcoholic liquor, subsequent to the
    passage of this Act or has forfeited his bond to appear in
    court to answer charges for any such violation.
        (13) A person who does not beneficially own the
    premises for which a license is sought, or does not have a
    lease thereon for the full period for which the license is
    to be issued.
        (14) Any law enforcing public official, including
    members of local liquor control commissions, any mayor,
    alderman, or member of the city council or commission, any
    president of the village board of trustees, any member of a
    village board of trustees, or any president or member of a
    county board; and no such official shall have a direct
    interest in the manufacture, sale, or distribution of
    alcoholic liquor, except that a license may be granted to
    such official in relation to premises that are not located
    within the territory subject to the jurisdiction of that
    official if the issuance of such license is approved by the
    State Liquor Control Commission and except that a license
    may be granted, in a city or village with a population of
    50,000 or less, to any alderman, member of a city council,
    or member of a village board of trustees in relation to
    premises that are located within the territory subject to
    the jurisdiction of that official if (i) the sale of
    alcoholic liquor pursuant to the license is incidental to
    the selling of food, (ii) the issuance of the license is
    approved by the State Commission, (iii) the issuance of the
    license is in accordance with all applicable local
    ordinances in effect where the premises are located, and
    (iv) the official granted a license does not vote on
    alcoholic liquor issues pending before the board or council
    to which the license holder is elected. Notwithstanding any
    provision of this paragraph (14) to the contrary, an
    alderman or member of a city council or commission, a
    member of a village board of trustees other than the
    president of the village board of trustees, or a member of
    a county board other than the president of a county board
    may have a direct interest in the manufacture, sale, or
    distribution of alcoholic liquor as long as he or she is
    not a law enforcing public official, a mayor, a village
    board president, or president of a county board. To prevent
    any conflict of interest, the elected official with the
    direct interest in the manufacture, sale, or distribution
    of alcoholic liquor shall not participate in any meetings,
    hearings, or decisions on matters impacting the
    manufacture, sale, or distribution of alcoholic liquor.
    Furthermore, the mayor of a city with a population of
    50,000 or less or the president of a village with a
    population of 50,000 or less may have an interest in the
    manufacture, sale, or distribution of alcoholic liquor as
    long as the council or board over which he or she presides
    has made a local liquor control commissioner appointment
    that complies with the requirements of Section 4-2 of this
    Act.
        (15) A person who is not a beneficial owner of the
    business to be operated by the licensee.
        (16) A person who has been convicted of a gambling
    offense as proscribed by any of subsections (a) (3) through
    (a) (11) of Section 28-1 of, or as proscribed by Section
    28-1.1 or 28-3 of, the Criminal Code of 1961 or the
    Criminal Code of 2012, or as proscribed by a statute
    replaced by any of the aforesaid statutory provisions.
        (17) A person or entity to whom a federal wagering
    stamp has been issued by the federal government, unless the
    person or entity is eligible to be issued a license under
    the Raffles Act or the Illinois Pull Tabs and Jar Games
    Act.
        (18) A person who intends to sell alcoholic liquors for
    use or consumption on his or her licensed retail premises
    who does not have liquor liability insurance coverage for
    that premises in an amount that is at least equal to the
    maximum liability amounts set out in subsection (a) of
    Section 6-21.
    (b) A criminal conviction of a corporation is not grounds
for the denial, suspension, or revocation of a license applied
for or held by the corporation if the criminal conviction was
not the result of a violation of any federal or State law
concerning the manufacture, possession or sale of alcoholic
liquor, the offense that led to the conviction did not result
in any financial gain to the corporation and the corporation
has terminated its relationship with each director, officer,
employee, or controlling shareholder whose actions directly
contributed to the conviction of the corporation. The
Commission shall determine if all provisions of this subsection
(b) have been met before any action on the corporation's
license is initiated.
(Source: P.A. 96-1551, eff. 7-1-11; 97-1059, eff. 8-24-12.)
 
    Section 505. The Illinois Public Aid Code is amended by
changing Sections 2-18, 4-1.7, 8A-2, 10-5, and 12-4.25 as
follows:
 
    (305 ILCS 5/2-18)
    Sec. 2-18. Domestic or sexual violence. "Domestic or sexual
violence" means domestic violence, sexual assault, or
stalking. Domestic or sexual violence may occur through
electronic communication.
    "Domestic violence" means "abuse" as defined in Section 103
of the Illinois Domestic Violence Act of 1986 by a "family or
household member" as defined in Section 103 of the Illinois
Domestic Violence Act of 1986.
    "Sexual assault" means any conduct proscribed by Sections
11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 12-13, 12-14,
12-14.1, 12-15, and 12-16 of the Criminal Code of 1961 or the
Criminal Code of 2012.
    "Stalking" means any conduct proscribed by Sections
12-7.3, 12-7.4, and 12-7.5 of the Criminal Code of 1961 or the
Criminal Code of 2012.
    "Electronic communication" includes communications via
telephone, mobile phone, computer, e-mail, video recorder, fax
machine, telex, or pager, or any other "electronic
communication" as defined in Section 12-7.5 of the Criminal
Code of 2012 1961.
(Source: P.A. 96-866, eff. 7-1-10.)
 
    (305 ILCS 5/4-1.7)  (from Ch. 23, par. 4-1.7)
    Sec. 4-1.7. Enforcement of Parental Child Support
Obligation. If the parent or parents of the child are failing
to meet or are delinquent in their legal obligation to support
the child, the parent or other person having custody of the
child or the Department of Healthcare and Family Services may
request the law enforcement officer authorized or directed by
law to so act to file action for the enforcement of such
remedies as the law provides for the fulfillment of the child
support obligation.
    If a parent has a judicial remedy against the other parent
to compel child support, or if, as the result of an action
initiated by or in behalf of one parent against the other, a
child support order has been entered in respect to which there
is noncompliance or delinquency, or where the order so entered
may be changed upon petition to the court to provide additional
support, the parent or other person having custody of the child
or the Department of Healthcare and Family Services may request
the appropriate law enforcement officer to seek enforcement of
the remedy, or of the support order, or a change therein to
provide additional support. If the law enforcement officer is
not authorized by law to so act in these instances, the parent,
or if so authorized by law the other person having custody of
the child, or the Department of Healthcare and Family Services
may initiate an action to enforce these remedies.
    A parent or other person having custody of the child must
comply with the requirements of Title IV of the federal Social
Security Act, and the regulations duly promulgated thereunder,
and any rules promulgated by the Illinois Department regarding
enforcement of the child support obligation. The Department of
Healthcare and Family Services and the Department of Human
Services may provide by rule for the grant or continuation of
aid to the person for a temporary period if he or she accepts
counseling or other services designed to increase his or her
motivation to seek enforcement of the child support obligation.
    In addition to any other definition of failure or refusal
to comply with the requirements of Title IV of the federal
Social Security Act, or Illinois Department rule, in the case
of failure to attend court hearings, the parent or other person
can show cooperation by attending a court hearing or, if a
court hearing cannot be scheduled within 14 days following the
court hearing that was missed, by signing a statement that the
parent or other person is now willing to cooperate in the child
support enforcement process and will appear at any later
scheduled court date. The parent or other person can show
cooperation by signing such a statement only once. If failure
to attend the court hearing or other failure to cooperate
results in the case being dismissed, such a statement may be
signed after 2 months.
    No denial or termination of medical assistance pursuant to
this Section shall commence during pregnancy of the parent or
other person having custody of the child or for 30 days after
the termination of such pregnancy. The termination of medical
assistance may commence thereafter if the Department of
Healthcare and Family Services determines that the failure or
refusal to comply with this Section persists. Postponement of
denial or termination of medical assistance during pregnancy
under this paragraph shall be effective only to the extent it
does not conflict with federal law or regulation.
    Any evidence a parent or other person having custody of the
child gives in order to comply with the requirements of this
Section shall not render him or her liable to prosecution under
Section 11-35 or 11-40 of the "Criminal Code of 2012 1961",
approved July 28, 1961, as amended.
    When so requested, the Department of Healthcare and Family
Services and the Department of Human Services shall provide
such services and assistance as the law enforcement officer may
require in connection with the filing of any action hereunder.
    The Department of Healthcare and Family Services and the
Department of Human Services, as an expense of administration,
may also provide applicants for and recipients of aid with such
services and assistance, including assumption of the
reasonable costs of prosecuting any action or proceeding, as
may be necessary to enable them to enforce the child support
liability required hereunder.
    Nothing in this Section shall be construed as a requirement
that an applicant or recipient file an action for dissolution
of marriage against his or her spouse.
(Source: P.A. 95-331, eff. 8-21-07; 96-1551, eff. 7-1-11.)
 
    (305 ILCS 5/8A-2)  (from Ch. 23, par. 8A-2)
    Sec. 8A-2. Recipient Fraud. (a) Any person, who by means of
any false statement, willful misrepresentation or failure to
notify the county department or the local governmental unit, as
the case may be, of a change in his status as required by
Sections 11-18 and 11-19, or any person who knowingly causes
any applicant or recipient without knowledge to make such a
false statement or willful misrepresentation, or by
withholding information causes the applicant or recipient to
fail to notify the county department or local governmental unit
as required, for the purpose of preventing the denial,
cancellation or suspension of any grant, or a variation in the
amount thereof, or through other fraudulent device obtains or
attempts to obtain, or aids or abets any person in obtaining
public aid under this Code to which he is not entitled is
guilty of a violation of this Article and shall be punished as
provided in Section 8A-6.
    (b) If an applicant makes and subscribes an application
form under Section 11-15 which contains a written declaration
that it is made under penalties of perjury, knowing it to be
false, incorrect or incomplete in respect to any material
statement or representation bearing on his eligibility, income
or resources, the offender shall be subject to the penalties
for perjury as provided in Section 32-2 of the "Criminal Code
of 2012 1961".
(Source: P.A. 82-440.)
 
    (305 ILCS 5/10-5)  (from Ch. 23, par. 10-5)
    Sec. 10-5. Declarations by Responsible Relatives-Penalty.
    Information requested of responsible relatives shall be
submitted on forms or questionnaires prescribed by the Illinois
Department or local governmental units, as the case may be, and
shall contain a written declaration to be signed by the
relative in substantially the following form:
        "I declare under penalties of perjury that I have
examined this form (or questionnaire) and all accompanying
statements or documents pertaining to my income, resources, or
any other matter having bearing upon my status and ability to
provide support, and to the best of my knowledge and belief the
information supplied is true, correct, and complete".
    A person who makes and subscribes a form or questionnaire
which contains, as hereinabove provided, a written declaration
that it is made under the penalties of perjury, knowing it to
be false, incorrect or incomplete, in respect to any material
statement or representation bearing upon his status as a
responsible relative, or upon his income, resources, or other
matter concerning his ability to provide support, shall be
subject to the penalties for perjury provided for in Section
32-2 of the "Criminal Code of 2012 1961", approved July 28,
1961, as amended.
(Source: Laws 1967, p. 122.)
 
    (305 ILCS 5/12-4.25)  (from Ch. 23, par. 12-4.25)
    Sec. 12-4.25. Medical assistance program; vendor
participation.
    (A) The Illinois Department may deny, suspend, or terminate
the eligibility of any person, firm, corporation, association,
agency, institution or other legal entity to participate as a
vendor of goods or services to recipients under the medical
assistance program under Article V, or may exclude any such
person or entity from participation as such a vendor, and may
deny, suspend, or recover payments, if after reasonable notice
and opportunity for a hearing the Illinois Department finds:
        (a) Such vendor is not complying with the Department's
    policy or rules and regulations, or with the terms and
    conditions prescribed by the Illinois Department in its
    vendor agreement, which document shall be developed by the
    Department as a result of negotiations with each vendor
    category, including physicians, hospitals, long term care
    facilities, pharmacists, optometrists, podiatrists and
    dentists setting forth the terms and conditions applicable
    to the participation of each vendor group in the program;
    or
        (b) Such vendor has failed to keep or make available
    for inspection, audit or copying, after receiving a written
    request from the Illinois Department, such records
    regarding payments claimed for providing services. This
    section does not require vendors to make available patient
    records of patients for whom services are not reimbursed
    under this Code; or
        (c) Such vendor has failed to furnish any information
    requested by the Department regarding payments for
    providing goods or services; or
        (d) Such vendor has knowingly made, or caused to be
    made, any false statement or representation of a material
    fact in connection with the administration of the medical
    assistance program; or
        (e) Such vendor has furnished goods or services to a
    recipient which are (1) in excess of need, (2) harmful, or
    (3) of grossly inferior quality, all of such determinations
    to be based upon competent medical judgment and
    evaluations; or
        (f) The vendor; a person with management
    responsibility for a vendor; an officer or person owning,
    either directly or indirectly, 5% or more of the shares of
    stock or other evidences of ownership in a corporate
    vendor; an owner of a sole proprietorship which is a
    vendor; or a partner in a partnership which is a vendor,
    either:
            (1) was previously terminated, suspended, or
        excluded from participation in the Illinois medical
        assistance program, or was terminated, suspended, or
        excluded from participation in another state or
        federal medical assistance or health care program; or
            (2) was a person with management responsibility
        for a vendor previously terminated, suspended, or
        excluded from participation in the Illinois medical
        assistance program, or terminated, suspended, or
        excluded from participation in another state or
        federal medical assistance or health care program
        during the time of conduct which was the basis for that
        vendor's termination, suspension, or exclusion; or
            (3) was an officer, or person owning, either
        directly or indirectly, 5% or more of the shares of
        stock or other evidences of ownership in a corporate or
        limited liability company vendor previously
        terminated, suspended, or excluded from participation
        in the Illinois medical assistance program, or
        terminated, suspended, or excluded from participation
        in a state or federal medical assistance or health care
        program during the time of conduct which was the basis
        for that vendor's termination, suspension, or
        exclusion; or
            (4) was an owner of a sole proprietorship or
        partner of a partnership previously terminated,
        suspended, or excluded from participation in the
        Illinois medical assistance program, or terminated,
        suspended, or excluded from participation in a state or
        federal medical assistance or health care program
        during the time of conduct which was the basis for that
        vendor's termination, suspension, or exclusion; or
        (f-1) Such vendor has a delinquent debt owed to the
    Illinois Department; or
        (g) The vendor; a person with management
    responsibility for a vendor; an officer or person owning,
    either directly or indirectly, 5% or more of the shares of
    stock or other evidences of ownership in a corporate or
    limited liability company vendor; an owner of a sole
    proprietorship which is a vendor; or a partner in a
    partnership which is a vendor, either:
            (1) has engaged in practices prohibited by
        applicable federal or State law or regulation; or
            (2) was a person with management responsibility
        for a vendor at the time that such vendor engaged in
        practices prohibited by applicable federal or State
        law or regulation; or
            (3) was an officer, or person owning, either
        directly or indirectly, 5% or more of the shares of
        stock or other evidences of ownership in a vendor at
        the time such vendor engaged in practices prohibited by
        applicable federal or State law or regulation; or
            (4) was an owner of a sole proprietorship or
        partner of a partnership which was a vendor at the time
        such vendor engaged in practices prohibited by
        applicable federal or State law or regulation; or
        (h) The direct or indirect ownership of the vendor
    (including the ownership of a vendor that is a sole
    proprietorship, a partner's interest in a vendor that is a
    partnership, or ownership of 5% or more of the shares of
    stock or other evidences of ownership in a corporate
    vendor) has been transferred by an individual who is
    terminated, suspended, or excluded or barred from
    participating as a vendor to the individual's spouse,
    child, brother, sister, parent, grandparent, grandchild,
    uncle, aunt, niece, nephew, cousin, or relative by
    marriage.
    (A-5) The Illinois Department may deny, suspend, or
terminate the eligibility of any person, firm, corporation,
association, agency, institution, or other legal entity to
participate as a vendor of goods or services to recipients
under the medical assistance program under Article V, or may
exclude any such person or entity from participation as such a
vendor, if, after reasonable notice and opportunity for a
hearing, the Illinois Department finds that the vendor; a
person with management responsibility for a vendor; an officer
or person owning, either directly or indirectly, 5% or more of
the shares of stock or other evidences of ownership in a
corporate vendor; an owner of a sole proprietorship that is a
vendor; or a partner in a partnership that is a vendor has been
convicted of an offense based on fraud or willful
misrepresentation related to any of the following:
        (1) The medical assistance program under Article V of
    this Code.
        (2) A medical assistance or health care program in
    another state.
        (3) The Medicare program under Title XVIII of the
    Social Security Act.
        (4) The provision of health care services.
        (5) A violation of this Code, as provided in Article
    VIIIA, or another state or federal medical assistance
    program or health care program.
    (A-10) The Illinois Department may deny, suspend, or
terminate the eligibility of any person, firm, corporation,
association, agency, institution, or other legal entity to
participate as a vendor of goods or services to recipients
under the medical assistance program under Article V, or may
exclude any such person or entity from participation as such a
vendor, if, after reasonable notice and opportunity for a
hearing, the Illinois Department finds that (i) the vendor,
(ii) a person with management responsibility for a vendor,
(iii) an officer or person owning, either directly or
indirectly, 5% or more of the shares of stock or other
evidences of ownership in a corporate vendor, (iv) an owner of
a sole proprietorship that is a vendor, or (v) a partner in a
partnership that is a vendor has been convicted of an offense
related to any of the following:
        (1) Murder.
        (2) A Class X felony under the Criminal Code of 1961 or
    the Criminal Code of 2012.
        (3) Sexual misconduct that may subject recipients to an
    undue risk of harm.
        (4) A criminal offense that may subject recipients to
    an undue risk of harm.
        (5) A crime of fraud or dishonesty.
        (6) A crime involving a controlled substance.
        (7) A misdemeanor relating to fraud, theft,
    embezzlement, breach of fiduciary responsibility, or other
    financial misconduct related to a health care program.
    (A-15) The Illinois Department may deny the eligibility of
any person, firm, corporation, association, agency,
institution, or other legal entity to participate as a vendor
of goods or services to recipients under the medical assistance
program under Article V if, after reasonable notice and
opportunity for a hearing, the Illinois Department finds:
        (1) The applicant or any person with management
    responsibility for the applicant; an officer or member of
    the board of directors of an applicant; an entity owning
    (directly or indirectly) 5% or more of the shares of stock
    or other evidences of ownership in a corporate vendor
    applicant; an owner of a sole proprietorship applicant; a
    partner in a partnership applicant; or a technical or other
    advisor to an applicant has a debt owed to the Illinois
    Department, and no payment arrangements acceptable to the
    Illinois Department have been made by the applicant.
        (2) The applicant or any person with management
    responsibility for the applicant; an officer or member of
    the board of directors of an applicant; an entity owning
    (directly or indirectly) 5% or more of the shares of stock
    or other evidences of ownership in a corporate vendor
    applicant; an owner of a sole proprietorship applicant; a
    partner in a partnership vendor applicant; or a technical
    or other advisor to an applicant was (i) a person with
    management responsibility, (ii) an officer or member of the
    board of directors of an applicant, (iii) an entity owning
    (directly or indirectly) 5% or more of the shares of stock
    or other evidences of ownership in a corporate vendor, (iv)
    an owner of a sole proprietorship, (v) a partner in a
    partnership vendor, (vi) a technical or other advisor to a
    vendor, during a period of time where the conduct of that
    vendor resulted in a debt owed to the Illinois Department,
    and no payment arrangements acceptable to the Illinois
    Department have been made by that vendor.
        (3) There is a credible allegation of the use,
    transfer, or lease of assets of any kind to an applicant
    from a current or prior vendor who has a debt owed to the
    Illinois Department, no payment arrangements acceptable to
    the Illinois Department have been made by that vendor or
    the vendor's alternate payee, and the applicant knows or
    should have known of such debt.
        (4) There is a credible allegation of a transfer of
    management responsibilities, or direct or indirect
    ownership, to an applicant from a current or prior vendor
    who has a debt owed to the Illinois Department, and no
    payment arrangements acceptable to the Illinois Department
    have been made by that vendor or the vendor's alternate
    payee, and the applicant knows or should have known of such
    debt.
        (5) There is a credible allegation of the use,
    transfer, or lease of assets of any kind to an applicant
    who is a spouse, child, brother, sister, parent,
    grandparent, grandchild, uncle, aunt, niece, relative by
    marriage, nephew, cousin, or relative of a current or prior
    vendor who has a debt owed to the Illinois Department and
    no payment arrangements acceptable to the Illinois
    Department have been made.
        (6) There is a credible allegation that the applicant's
    previous affiliations with a provider of medical services
    that has an uncollected debt, a provider that has been or
    is subject to a payment suspension under a federal health
    care program, or a provider that has been previously
    excluded from participation in the medical assistance
    program, poses a risk of fraud, waste, or abuse to the
    Illinois Department.
    As used in this subsection, "credible allegation" is
defined to include an allegation from any source, including,
but not limited to, fraud hotline complaints, claims data
mining, patterns identified through provider audits, civil
actions filed under the Illinois False Claims Act, and law
enforcement investigations. An allegation is considered to be
credible when it has indicia of reliability.
    (B) The Illinois Department shall deny, suspend or
terminate the eligibility of any person, firm, corporation,
association, agency, institution or other legal entity to
participate as a vendor of goods or services to recipients
under the medical assistance program under Article V, or may
exclude any such person or entity from participation as such a
vendor:
        (1) immediately, if such vendor is not properly
    licensed, certified, or authorized;
        (2) within 30 days of the date when such vendor's
    professional license, certification or other authorization
    has been refused renewal, restricted, revoked, suspended,
    or otherwise terminated; or
        (3) if such vendor has been convicted of a violation of
    this Code, as provided in Article VIIIA.
    (C) Upon termination, suspension, or exclusion of a vendor
of goods or services from participation in the medical
assistance program authorized by this Article, a person with
management responsibility for such vendor during the time of
any conduct which served as the basis for that vendor's
termination, suspension, or exclusion is barred from
participation in the medical assistance program.
    Upon termination, suspension, or exclusion of a corporate
vendor, the officers and persons owning, directly or
indirectly, 5% or more of the shares of stock or other
evidences of ownership in the vendor during the time of any
conduct which served as the basis for that vendor's
termination, suspension, or exclusion are barred from
participation in the medical assistance program. A person who
owns, directly or indirectly, 5% or more of the shares of stock
or other evidences of ownership in a terminated, suspended, or
excluded vendor may not transfer his or her ownership interest
in that vendor to his or her spouse, child, brother, sister,
parent, grandparent, grandchild, uncle, aunt, niece, nephew,
cousin, or relative by marriage.
    Upon termination, suspension, or exclusion of a sole
proprietorship or partnership, the owner or partners during the
time of any conduct which served as the basis for that vendor's
termination, suspension, or exclusion are barred from
participation in the medical assistance program. The owner of a
terminated, suspended, or excluded vendor that is a sole
proprietorship, and a partner in a terminated, suspended, or
excluded vendor that is a partnership, may not transfer his or
her ownership or partnership interest in that vendor to his or
her spouse, child, brother, sister, parent, grandparent,
grandchild, uncle, aunt, niece, nephew, cousin, or relative by
marriage.
    A person who owns, directly or indirectly, 5% or more of
the shares of stock or other evidences of ownership in a
corporate or limited liability company vendor who owes a debt
to the Department, if that vendor has not made payment
arrangements acceptable to the Department, shall not transfer
his or her ownership interest in that vendor, or vendor assets
of any kind, to his or her spouse, child, brother, sister,
parent, grandparent, grandchild, uncle, aunt, niece, nephew,
cousin, or relative by marriage.
    Rules adopted by the Illinois Department to implement these
provisions shall specifically include a definition of the term
"management responsibility" as used in this Section. Such
definition shall include, but not be limited to, typical job
titles, and duties and descriptions which will be considered as
within the definition of individuals with management
responsibility for a provider.
    A vendor or a prior vendor who has been terminated,
excluded, or suspended from the medical assistance program, or
from another state or federal medical assistance or health care
program, and any individual currently or previously barred from
the medical assistance program, or from another state or
federal medical assistance or health care program, as a result
of being an officer or a person owning, directly or indirectly,
5% or more of the shares of stock or other evidences of
ownership in a corporate or limited liability company vendor
during the time of any conduct which served as the basis for
that vendor's termination, suspension, or exclusion, may be
required to post a surety bond as part of a condition of
enrollment or participation in the medical assistance program.
The Illinois Department shall establish, by rule, the criteria
and requirements for determining when a surety bond must be
posted and the value of the bond.
    A vendor or a prior vendor who has a debt owed to the
Illinois Department and any individual currently or previously
barred from the medical assistance program, or from another
state or federal medical assistance or health care program, as
a result of being an officer or a person owning, directly or
indirectly, 5% or more of the shares of stock or other
evidences of ownership in that corporate or limited liability
company vendor during the time of any conduct which served as
the basis for the debt, may be required to post a surety bond
as part of a condition of enrollment or participation in the
medical assistance program. The Illinois Department shall
establish, by rule, the criteria and requirements for
determining when a surety bond must be posted and the value of
the bond.
    (D) If a vendor has been suspended from the medical
assistance program under Article V of the Code, the Director
may require that such vendor correct any deficiencies which
served as the basis for the suspension. The Director shall
specify in the suspension order a specific period of time,
which shall not exceed one year from the date of the order,
during which a suspended vendor shall not be eligible to
participate. At the conclusion of the period of suspension the
Director shall reinstate such vendor, unless he finds that such
vendor has not corrected deficiencies upon which the suspension
was based.
    If a vendor has been terminated, suspended, or excluded
from the medical assistance program under Article V, such
vendor shall be barred from participation for at least one
year, except that if a vendor has been terminated, suspended,
or excluded based on a conviction of a violation of Article
VIIIA or a conviction of a felony based on fraud or a willful
misrepresentation related to (i) the medical assistance
program under Article V, (ii) a federal or another state's
medical assistance or health care program, or (iii) the
provision of health care services, then the vendor shall be
barred from participation for 5 years or for the length of the
vendor's sentence for that conviction, whichever is longer. At
the end of one year a vendor who has been terminated,
suspended, or excluded may apply for reinstatement to the
program. Upon proper application to be reinstated such vendor
may be deemed eligible by the Director providing that such
vendor meets the requirements for eligibility under this Code.
If such vendor is deemed not eligible for reinstatement, he
shall be barred from again applying for reinstatement for one
year from the date his application for reinstatement is denied.
    A vendor whose termination, suspension, or exclusion from
participation in the Illinois medical assistance program under
Article V was based solely on an action by a governmental
entity other than the Illinois Department may, upon
reinstatement by that governmental entity or upon reversal of
the termination, suspension, or exclusion, apply for
rescission of the termination, suspension, or exclusion from
participation in the Illinois medical assistance program. Upon
proper application for rescission, the vendor may be deemed
eligible by the Director if the vendor meets the requirements
for eligibility under this Code.
    If a vendor has been terminated, suspended, or excluded and
reinstated to the medical assistance program under Article V
and the vendor is terminated, suspended, or excluded a second
or subsequent time from the medical assistance program, the
vendor shall be barred from participation for at least 2 years,
except that if a vendor has been terminated, suspended, or
excluded a second time based on a conviction of a violation of
Article VIIIA or a conviction of a felony based on fraud or a
willful misrepresentation related to (i) the medical
assistance program under Article V, (ii) a federal or another
state's medical assistance or health care program, or (iii) the
provision of health care services, then the vendor shall be
barred from participation for life. At the end of 2 years, a
vendor who has been terminated, suspended, or excluded may
apply for reinstatement to the program. Upon application to be
reinstated, the vendor may be deemed eligible if the vendor
meets the requirements for eligibility under this Code. If the
vendor is deemed not eligible for reinstatement, the vendor
shall be barred from again applying for reinstatement for 2
years from the date the vendor's application for reinstatement
is denied.
    (E) The Illinois Department may recover money improperly or
erroneously paid, or overpayments, either by setoff, crediting
against future billings or by requiring direct repayment to the
Illinois Department. The Illinois Department may suspend or
deny payment, in whole or in part, if such payment would be
improper or erroneous or would otherwise result in overpayment.
        (1) Payments may be suspended, denied, or recovered
    from a vendor or alternate payee: (i) for services rendered
    in violation of the Illinois Department's provider
    notices, statutes, rules, and regulations; (ii) for
    services rendered in violation of the terms and conditions
    prescribed by the Illinois Department in its vendor
    agreement; (iii) for any vendor who fails to grant the
    Office of Inspector General timely access to full and
    complete records, including, but not limited to, records
    relating to recipients under the medical assistance
    program for the most recent 6 years, in accordance with
    Section 140.28 of Title 89 of the Illinois Administrative
    Code, and other information for the purpose of audits,
    investigations, or other program integrity functions,
    after reasonable written request by the Inspector General;
    this subsection (E) does not require vendors to make
    available the medical records of patients for whom services
    are not reimbursed under this Code or to provide access to
    medical records more than 6 years old; (iv) when the vendor
    has knowingly made, or caused to be made, any false
    statement or representation of a material fact in
    connection with the administration of the medical
    assistance program; or (v) when the vendor previously
    rendered services while terminated, suspended, or excluded
    from participation in the medical assistance program or
    while terminated or excluded from participation in another
    state or federal medical assistance or health care program.
        (2) Notwithstanding any other provision of law, if a
    vendor has the same taxpayer identification number
    (assigned under Section 6109 of the Internal Revenue Code
    of 1986) as is assigned to a vendor with past-due financial
    obligations to the Illinois Department, the Illinois
    Department may make any necessary adjustments to payments
    to that vendor in order to satisfy any past-due
    obligations, regardless of whether the vendor is assigned a
    different billing number under the medical assistance
    program.
    If the Illinois Department establishes through an
administrative hearing that the overpayments resulted from the
vendor or alternate payee knowingly making, using, or causing
to be made or used, a false record or statement to obtain
payment or other benefit from the medical assistance program
under Article V, the Department may recover interest on the
amount of the payment or other benefit at the rate of 5% per
annum. In addition to any other penalties that may be
prescribed by law, such a vendor or alternate payee shall be
subject to civil penalties consisting of an amount not to
exceed 3 times the amount of payment or other benefit resulting
from each such false record or statement, and the sum of $2,000
for each such false record or statement for payment or other
benefit. For purposes of this paragraph, "knowingly" means that
a vendor or alternate payee with respect to information: (i)
has actual knowledge of the information, (ii) acts in
deliberate ignorance of the truth or falsity of the
information, or (iii) acts in reckless disregard of the truth
or falsity of the information. No proof of specific intent to
defraud is required.
    (F) The Illinois Department may withhold payments to any
vendor or alternate payee prior to or during the pendency of
any audit or proceeding under this Section, and through the
pendency of any administrative appeal or administrative review
by any court proceeding. The Illinois Department shall state by
rule with as much specificity as practicable the conditions
under which payments will not be withheld under this Section.
Payments may be denied for bills submitted with service dates
occurring during the pendency of a proceeding, after a final
decision has been rendered, or after the conclusion of any
administrative appeal, where the final administrative decision
is to terminate, exclude, or suspend eligibility to participate
in the medical assistance program. The Illinois Department
shall state by rule with as much specificity as practicable the
conditions under which payments will not be denied for such
bills. The Illinois Department shall state by rule a process
and criteria by which a vendor or alternate payee may request
full or partial release of payments withheld under this
subsection. The Department must complete a proceeding under
this Section in a timely manner.
    Notwithstanding recovery allowed under subsection (E) or
this subsection (F), the Illinois Department may withhold
payments to any vendor or alternate payee who is not properly
licensed, certified, or in compliance with State or federal
agency regulations. Payments may be denied for bills submitted
with service dates occurring during the period of time that a
vendor is not properly licensed, certified, or in compliance
with State or federal regulations. Facilities licensed under
the Nursing Home Care Act shall have payments denied or
withheld pursuant to subsection (I) of this Section.
    (F-5) The Illinois Department may temporarily withhold
payments to a vendor or alternate payee if any of the following
individuals have been indicted or otherwise charged under a law
of the United States or this or any other state with an offense
that is based on alleged fraud or willful misrepresentation on
the part of the individual related to (i) the medical
assistance program under Article V of this Code, (ii) a federal
or another state's medical assistance or health care program,
or (iii) the provision of health care services:
        (1) If the vendor or alternate payee is a corporation:
    an officer of the corporation or an individual who owns,
    either directly or indirectly, 5% or more of the shares of
    stock or other evidence of ownership of the corporation.
        (2) If the vendor is a sole proprietorship: the owner
    of the sole proprietorship.
        (3) If the vendor or alternate payee is a partnership:
    a partner in the partnership.
        (4) If the vendor or alternate payee is any other
    business entity authorized by law to transact business in
    this State: an officer of the entity or an individual who
    owns, either directly or indirectly, 5% or more of the
    evidences of ownership of the entity.
    If the Illinois Department withholds payments to a vendor
or alternate payee under this subsection, the Department shall
not release those payments to the vendor or alternate payee
while any criminal proceeding related to the indictment or
charge is pending unless the Department determines that there
is good cause to release the payments before completion of the
proceeding. If the indictment or charge results in the
individual's conviction, the Illinois Department shall retain
all withheld payments, which shall be considered forfeited to
the Department. If the indictment or charge does not result in
the individual's conviction, the Illinois Department shall
release to the vendor or alternate payee all withheld payments.
    (F-10) If the Illinois Department establishes that the
vendor or alternate payee owes a debt to the Illinois
Department, and the vendor or alternate payee subsequently
fails to pay or make satisfactory payment arrangements with the
Illinois Department for the debt owed, the Illinois Department
may seek all remedies available under the law of this State to
recover the debt, including, but not limited to, wage
garnishment or the filing of claims or liens against the vendor
or alternate payee.
    (F-15) Enforcement of judgment.
        (1) Any fine, recovery amount, other sanction, or costs
    imposed, or part of any fine, recovery amount, other
    sanction, or cost imposed, remaining unpaid after the
    exhaustion of or the failure to exhaust judicial review
    procedures under the Illinois Administrative Review Law is
    a debt due and owing the State and may be collected using
    all remedies available under the law.
        (2) After expiration of the period in which judicial
    review under the Illinois Administrative Review Law may be
    sought for a final administrative decision, unless stayed
    by a court of competent jurisdiction, the findings,
    decision, and order of the Director may be enforced in the
    same manner as a judgment entered by a court of competent
    jurisdiction.
        (3) In any case in which any person or entity has
    failed to comply with a judgment ordering or imposing any
    fine or other sanction, any expenses incurred by the
    Illinois Department to enforce the judgment, including,
    but not limited to, attorney's fees, court costs, and costs
    related to property demolition or foreclosure, after they
    are fixed by a court of competent jurisdiction or the
    Director, shall be a debt due and owing the State and may
    be collected in accordance with applicable law. Prior to
    any expenses being fixed by a final administrative decision
    pursuant to this subsection (F-15), the Illinois
    Department shall provide notice to the individual or entity
    that states that the individual or entity shall appear at a
    hearing before the administrative hearing officer to
    determine whether the individual or entity has failed to
    comply with the judgment. The notice shall set the date for
    such a hearing, which shall not be less than 7 days from
    the date that notice is served. If notice is served by
    mail, the 7-day period shall begin to run on the date that
    the notice was deposited in the mail.
        (4) Upon being recorded in the manner required by
    Article XII of the Code of Civil Procedure or by the
    Uniform Commercial Code, a lien shall be imposed on the
    real estate or personal estate, or both, of the individual
    or entity in the amount of any debt due and owing the State
    under this Section. The lien may be enforced in the same
    manner as a judgment of a court of competent jurisdiction.
    A lien shall attach to all property and assets of such
    person, firm, corporation, association, agency,
    institution, or other legal entity until the judgment is
    satisfied.
        (5) The Director may set aside any judgment entered by
    default and set a new hearing date upon a petition filed at
    any time (i) if the petitioner's failure to appear at the
    hearing was for good cause, or (ii) if the petitioner
    established that the Department did not provide proper
    service of process. If any judgment is set aside pursuant
    to this paragraph (5), the hearing officer shall have
    authority to enter an order extinguishing any lien which
    has been recorded for any debt due and owing the Illinois
    Department as a result of the vacated default judgment.
    (G) The provisions of the Administrative Review Law, as now
or hereafter amended, and the rules adopted pursuant thereto,
shall apply to and govern all proceedings for the judicial
review of final administrative decisions of the Illinois
Department under this Section. The term "administrative
decision" is defined as in Section 3-101 of the Code of Civil
Procedure.
    (G-5) Vendors who pose a risk of fraud, waste, abuse, or
harm.
        (1) Notwithstanding any other provision in this
    Section, the Department may terminate, suspend, or exclude
    vendors who pose a risk of fraud, waste, abuse, or harm
    from participation in the medical assistance program prior
    to an evidentiary hearing but after reasonable notice and
    opportunity to respond as established by the Department by
    rule.
        (2) Vendors who pose a risk of fraud, waste, abuse, or
    harm shall submit to a fingerprint-based criminal
    background check on current and future information
    available in the State system and current information
    available through the Federal Bureau of Investigation's
    system by submitting all necessary fees and information in
    the form and manner prescribed by the Department of State
    Police. The following individuals shall be subject to the
    check:
            (A) In the case of a vendor that is a corporation,
        every shareholder who owns, directly or indirectly, 5%
        or more of the outstanding shares of the corporation.
            (B) In the case of a vendor that is a partnership,
        every partner.
            (C) In the case of a vendor that is a sole
        proprietorship, the sole proprietor.
            (D) Each officer or manager of the vendor.
        Each such vendor shall be responsible for payment of
    the cost of the criminal background check.
        (3) Vendors who pose a risk of fraud, waste, abuse, or
    harm may be required to post a surety bond. The Department
    shall establish, by rule, the criteria and requirements for
    determining when a surety bond must be posted and the value
    of the bond.
        (4) The Department, or its agents, may refuse to accept
    requests for authorization from specific vendors who pose a
    risk of fraud, waste, abuse, or harm, including
    prior-approval and post-approval requests, if:
            (A) the Department has initiated a notice of
        termination, suspension, or exclusion of the vendor
        from participation in the medical assistance program;
        or
            (B) the Department has issued notification of its
        withholding of payments pursuant to subsection (F-5)
        of this Section; or
            (C) the Department has issued a notification of its
        withholding of payments due to reliable evidence of
        fraud or willful misrepresentation pending
        investigation.
        (5) As used in this subsection, the following terms are
    defined as follows:
            (A) "Fraud" means an intentional deception or
        misrepresentation made by a person with the knowledge
        that the deception could result in some unauthorized
        benefit to himself or herself or some other person. It
        includes any act that constitutes fraud under
        applicable federal or State law.
            (B) "Abuse" means provider practices that are
        inconsistent with sound fiscal, business, or medical
        practices and that result in an unnecessary cost to the
        medical assistance program or in reimbursement for
        services that are not medically necessary or that fail
        to meet professionally recognized standards for health
        care. It also includes recipient practices that result
        in unnecessary cost to the medical assistance program.
        Abuse does not include diagnostic or therapeutic
        measures conducted primarily as a safeguard against
        possible vendor liability.
            (C) "Waste" means the unintentional misuse of
        medical assistance resources, resulting in unnecessary
        cost to the medical assistance program. Waste does not
        include diagnostic or therapeutic measures conducted
        primarily as a safeguard against possible vendor
        liability.
            (D) "Harm" means physical, mental, or monetary
        damage to recipients or to the medical assistance
        program.
    (G-6) The Illinois Department, upon making a determination
based upon information in the possession of the Illinois
Department that continuation of participation in the medical
assistance program by a vendor would constitute an immediate
danger to the public, may immediately suspend such vendor's
participation in the medical assistance program without a
hearing. In instances in which the Illinois Department
immediately suspends the medical assistance program
participation of a vendor under this Section, a hearing upon
the vendor's participation must be convened by the Illinois
Department within 15 days after such suspension and completed
without appreciable delay. Such hearing shall be held to
determine whether to recommend to the Director that the
vendor's medical assistance program participation be denied,
terminated, suspended, placed on provisional status, or
reinstated. In the hearing, any evidence relevant to the vendor
constituting an immediate danger to the public may be
introduced against such vendor; provided, however, that the
vendor, or his or her counsel, shall have the opportunity to
discredit, impeach, and submit evidence rebutting such
evidence.
    (H) Nothing contained in this Code shall in any way limit
or otherwise impair the authority or power of any State agency
responsible for licensing of vendors.
    (I) Based on a finding of noncompliance on the part of a
nursing home with any requirement for certification under Title
XVIII or XIX of the Social Security Act (42 U.S.C. Sec. 1395 et
seq. or 42 U.S.C. Sec. 1396 et seq.), the Illinois Department
may impose one or more of the following remedies after notice
to the facility:
        (1) Termination of the provider agreement.
        (2) Temporary management.
        (3) Denial of payment for new admissions.
        (4) Civil money penalties.
        (5) Closure of the facility in emergency situations or
    transfer of residents, or both.
        (6) State monitoring.
        (7) Denial of all payments when the U.S. Department of
    Health and Human Services has imposed this sanction.
    The Illinois Department shall by rule establish criteria
governing continued payments to a nursing facility subsequent
to termination of the facility's provider agreement if, in the
sole discretion of the Illinois Department, circumstances
affecting the health, safety, and welfare of the facility's
residents require those continued payments. The Illinois
Department may condition those continued payments on the
appointment of temporary management, sale of the facility to
new owners or operators, or other arrangements that the
Illinois Department determines best serve the needs of the
facility's residents.
    Except in the case of a facility that has a right to a
hearing on the finding of noncompliance before an agency of the
federal government, a facility may request a hearing before a
State agency on any finding of noncompliance within 60 days
after the notice of the intent to impose a remedy. Except in
the case of civil money penalties, a request for a hearing
shall not delay imposition of the penalty. The choice of
remedies is not appealable at a hearing. The level of
noncompliance may be challenged only in the case of a civil
money penalty. The Illinois Department shall provide by rule
for the State agency that will conduct the evidentiary
hearings.
    The Illinois Department may collect interest on unpaid
civil money penalties.
    The Illinois Department may adopt all rules necessary to
implement this subsection (I).
    (J) The Illinois Department, by rule, may permit individual
practitioners to designate that Department payments that may be
due the practitioner be made to an alternate payee or alternate
payees.
        (a) Such alternate payee or alternate payees shall be
    required to register as an alternate payee in the Medical
    Assistance Program with the Illinois Department.
        (b) If a practitioner designates an alternate payee,
    the alternate payee and practitioner shall be jointly and
    severally liable to the Department for payments made to the
    alternate payee. Pursuant to subsection (E) of this
    Section, any Department action to suspend or deny payment
    or recover money or overpayments from an alternate payee
    shall be subject to an administrative hearing.
        (c) Registration as an alternate payee or alternate
    payees in the Illinois Medical Assistance Program shall be
    conditional. At any time, the Illinois Department may deny
    or cancel any alternate payee's registration in the
    Illinois Medical Assistance Program without cause. Any
    such denial or cancellation is not subject to an
    administrative hearing.
        (d) The Illinois Department may seek a revocation of
    any alternate payee, and all owners, officers, and
    individuals with management responsibility for such
    alternate payee shall be permanently prohibited from
    participating as an owner, an officer, or an individual
    with management responsibility with an alternate payee in
    the Illinois Medical Assistance Program, if after
    reasonable notice and opportunity for a hearing the
    Illinois Department finds that:
            (1) the alternate payee is not complying with the
        Department's policy or rules and regulations, or with
        the terms and conditions prescribed by the Illinois
        Department in its alternate payee registration
        agreement; or
            (2) the alternate payee has failed to keep or make
        available for inspection, audit, or copying, after
        receiving a written request from the Illinois
        Department, such records regarding payments claimed as
        an alternate payee; or
            (3) the alternate payee has failed to furnish any
        information requested by the Illinois Department
        regarding payments claimed as an alternate payee; or
            (4) the alternate payee has knowingly made, or
        caused to be made, any false statement or
        representation of a material fact in connection with
        the administration of the Illinois Medical Assistance
        Program; or
            (5) the alternate payee, a person with management
        responsibility for an alternate payee, an officer or
        person owning, either directly or indirectly, 5% or
        more of the shares of stock or other evidences of
        ownership in a corporate alternate payee, or a partner
        in a partnership which is an alternate payee:
                (a) was previously terminated, suspended, or
            excluded from participation as a vendor in the
            Illinois Medical Assistance Program, or was
            previously revoked as an alternate payee in the
            Illinois Medical Assistance Program, or was
            terminated, suspended, or excluded from
            participation as a vendor in a medical assistance
            program in another state that is of the same kind
            as the program of medical assistance provided
            under Article V of this Code; or
                (b) was a person with management
            responsibility for a vendor previously terminated,
            suspended, or excluded from participation as a
            vendor in the Illinois Medical Assistance Program,
            or was previously revoked as an alternate payee in
            the Illinois Medical Assistance Program, or was
            terminated, suspended, or excluded from
            participation as a vendor in a medical assistance
            program in another state that is of the same kind
            as the program of medical assistance provided
            under Article V of this Code, during the time of
            conduct which was the basis for that vendor's
            termination, suspension, or exclusion or alternate
            payee's revocation; or
                (c) was an officer, or person owning, either
            directly or indirectly, 5% or more of the shares of
            stock or other evidences of ownership in a
            corporate vendor previously terminated, suspended,
            or excluded from participation as a vendor in the
            Illinois Medical Assistance Program, or was
            previously revoked as an alternate payee in the
            Illinois Medical Assistance Program, or was
            terminated, suspended, or excluded from
            participation as a vendor in a medical assistance
            program in another state that is of the same kind
            as the program of medical assistance provided
            under Article V of this Code, during the time of
            conduct which was the basis for that vendor's
            termination, suspension, or exclusion; or
                (d) was an owner of a sole proprietorship or
            partner in a partnership previously terminated,
            suspended, or excluded from participation as a
            vendor in the Illinois Medical Assistance Program,
            or was previously revoked as an alternate payee in
            the Illinois Medical Assistance Program, or was
            terminated, suspended, or excluded from
            participation as a vendor in a medical assistance
            program in another state that is of the same kind
            as the program of medical assistance provided
            under Article V of this Code, during the time of
            conduct which was the basis for that vendor's
            termination, suspension, or exclusion or alternate
            payee's revocation; or
            (6) the alternate payee, a person with management
        responsibility for an alternate payee, an officer or
        person owning, either directly or indirectly, 5% or
        more of the shares of stock or other evidences of
        ownership in a corporate alternate payee, or a partner
        in a partnership which is an alternate payee:
                (a) has engaged in conduct prohibited by
            applicable federal or State law or regulation
            relating to the Illinois Medical Assistance
            Program; or
                (b) was a person with management
            responsibility for a vendor or alternate payee at
            the time that the vendor or alternate payee engaged
            in practices prohibited by applicable federal or
            State law or regulation relating to the Illinois
            Medical Assistance Program; or
                (c) was an officer, or person owning, either
            directly or indirectly, 5% or more of the shares of
            stock or other evidences of ownership in a vendor
            or alternate payee at the time such vendor or
            alternate payee engaged in practices prohibited by
            applicable federal or State law or regulation
            relating to the Illinois Medical Assistance
            Program; or
                (d) was an owner of a sole proprietorship or
            partner in a partnership which was a vendor or
            alternate payee at the time such vendor or
            alternate payee engaged in practices prohibited by
            applicable federal or State law or regulation
            relating to the Illinois Medical Assistance
            Program; or
            (7) the direct or indirect ownership of the vendor
        or alternate payee (including the ownership of a vendor
        or alternate payee that is a partner's interest in a
        vendor or alternate payee, or ownership of 5% or more
        of the shares of stock or other evidences of ownership
        in a corporate vendor or alternate payee) has been
        transferred by an individual who is terminated,
        suspended, or excluded or barred from participating as
        a vendor or is prohibited or revoked as an alternate
        payee to the individual's spouse, child, brother,
        sister, parent, grandparent, grandchild, uncle, aunt,
        niece, nephew, cousin, or relative by marriage.
    (K) The Illinois Department of Healthcare and Family
Services may withhold payments, in whole or in part, to a
provider or alternate payee where there is credible evidence,
received from State or federal law enforcement or federal
oversight agencies or from the results of a preliminary
Department audit, that the circumstances giving rise to the
need for a withholding of payments may involve fraud or willful
misrepresentation under the Illinois Medical Assistance
program. The Department shall by rule define what constitutes
"credible" evidence for purposes of this subsection. The
Department may withhold payments without first notifying the
provider or alternate payee of its intention to withhold such
payments. A provider or alternate payee may request a
reconsideration of payment withholding, and the Department
must grant such a request. The Department shall state by rule a
process and criteria by which a provider or alternate payee may
request full or partial release of payments withheld under this
subsection. This request may be made at any time after the
Department first withholds such payments.
        (a) The Illinois Department must send notice of its
    withholding of program payments within 5 days of taking
    such action. The notice must set forth the general
    allegations as to the nature of the withholding action, but
    need not disclose any specific information concerning its
    ongoing investigation. The notice must do all of the
    following:
            (1) State that payments are being withheld in
        accordance with this subsection.
            (2) State that the withholding is for a temporary
        period, as stated in paragraph (b) of this subsection,
        and cite the circumstances under which withholding
        will be terminated.
            (3) Specify, when appropriate, which type or types
        of Medicaid claims withholding is effective.
            (4) Inform the provider or alternate payee of the
        right to submit written evidence for reconsideration
        of the withholding by the Illinois Department.
            (5) Inform the provider or alternate payee that a
        written request may be made to the Illinois Department
        for full or partial release of withheld payments and
        that such requests may be made at any time after the
        Department first withholds such payments.
        (b) All withholding-of-payment actions under this
    subsection shall be temporary and shall not continue after
    any of the following:
            (1) The Illinois Department or the prosecuting
        authorities determine that there is insufficient
        evidence of fraud or willful misrepresentation by the
        provider or alternate payee.
            (2) Legal proceedings related to the provider's or
        alternate payee's alleged fraud, willful
        misrepresentation, violations of this Act, or
        violations of the Illinois Department's administrative
        rules are completed.
            (3) The withholding of payments for a period of 3
        years.
        (c) The Illinois Department may adopt all rules
    necessary to implement this subsection (K).
    (K-5) The Illinois Department may withhold payments, in
whole or in part, to a provider or alternate payee upon
initiation of an audit, quality of care review, investigation
when there is a credible allegation of fraud, or the provider
or alternate payee demonstrating a clear failure to cooperate
with the Illinois Department such that the circumstances give
rise to the need for a withholding of payments. As used in this
subsection, "credible allegation" is defined to include an
allegation from any source, including, but not limited to,
fraud hotline complaints, claims data mining, patterns
identified through provider audits, civil actions filed under
the Illinois False Claims Act, and law enforcement
investigations. An allegation is considered to be credible when
it has indicia of reliability. The Illinois Department may
withhold payments without first notifying the provider or
alternate payee of its intention to withhold such payments. A
provider or alternate payee may request a hearing or a
reconsideration of payment withholding, and the Illinois
Department must grant such a request. The Illinois Department
shall state by rule a process and criteria by which a provider
or alternate payee may request a hearing or a reconsideration
for the full or partial release of payments withheld under this
subsection. This request may be made at any time after the
Illinois Department first withholds such payments.
        (a) The Illinois Department must send notice of its
    withholding of program payments within 5 days of taking
    such action. The notice must set forth the general
    allegations as to the nature of the withholding action but
    need not disclose any specific information concerning its
    ongoing investigation. The notice must do all of the
    following:
            (1) State that payments are being withheld in
        accordance with this subsection.
            (2) State that the withholding is for a temporary
        period, as stated in paragraph (b) of this subsection,
        and cite the circumstances under which withholding
        will be terminated.
            (3) Specify, when appropriate, which type or types
        of claims are withheld.
            (4) Inform the provider or alternate payee of the
        right to request a hearing or a reconsideration of the
        withholding by the Illinois Department, including the
        ability to submit written evidence.
            (5) Inform the provider or alternate payee that a
        written request may be made to the Illinois Department
        for a hearing or a reconsideration for the full or
        partial release of withheld payments and that such
        requests may be made at any time after the Illinois
        Department first withholds such payments.
        (b) All withholding of payment actions under this
    subsection shall be temporary and shall not continue after
    any of the following:
            (1) The Illinois Department determines that there
        is insufficient evidence of fraud, or the provider or
        alternate payee demonstrates clear cooperation with
        the Illinois Department, as determined by the Illinois
        Department, such that the circumstances do not give
        rise to the need for withholding of payments; or
            (2) The withholding of payments has lasted for a
        period in excess of 3 years.
        (c) The Illinois Department may adopt all rules
    necessary to implement this subsection (K-5).
    (L) The Illinois Department shall establish a protocol to
enable health care providers to disclose an actual or potential
violation of this Section pursuant to a self-referral
disclosure protocol, referred to in this subsection as "the
protocol". The protocol shall include direction for health care
providers on a specific person, official, or office to whom
such disclosures shall be made. The Illinois Department shall
post information on the protocol on the Illinois Department's
public website. The Illinois Department may adopt rules
necessary to implement this subsection (L). In addition to
other factors that the Illinois Department finds appropriate,
the Illinois Department may consider a health care provider's
timely use or failure to use the protocol in considering the
provider's failure to comply with this Code.
    (M) Notwithstanding any other provision of this Code, the
Illinois Department, at its discretion, may exempt an entity
licensed under the Nursing Home Care Act and the ID/DD
Community Care Act from the provisions of subsections (A-15),
(B), and (C) of this Section if the licensed entity is in
receivership.
(Source: P.A. 97-689, eff. 6-14-12; revised 8-3-12.)
 
    Section 510. The Abandoned Newborn Infant Protection Act is
amended by changing Section 25 as follows:
 
    (325 ILCS 2/25)
    Sec. 25. Immunity for relinquishing person.
    (a) The act of relinquishing a newborn infant to a
hospital, police station, fire station, or emergency medical
facility in accordance with this Act does not, by itself,
constitute a basis for a finding of abuse, neglect, or
abandonment of the infant pursuant to the laws of this State
nor does it, by itself, constitute a violation of Section 12C-5
or 12C-10 of the Criminal Code of 2012 1961.
    (b) If there is suspected child abuse or neglect that is
not based solely on the newborn infant's relinquishment to a
hospital, police station, fire station, or emergency medical
facility, the personnel of the hospital, police station, fire
station, or emergency medical facility who are mandated
reporters under the Abused and Neglected Child Reporting Act
must report the abuse or neglect pursuant to that Act.
    (c) Neither a child protective investigation nor a criminal
investigation may be initiated solely because a newborn infant
is relinquished pursuant to this Act.
(Source: P.A. 97-1109, eff. 1-1-13.)
 
    Section 515. The Abused and Neglected Child Reporting Act
is amended by changing Sections 3, 4, 4.5, 7, 7.6, and 7.8 as
follows:
 
    (325 ILCS 5/3)  (from Ch. 23, par. 2053)
    Sec. 3. As used in this Act unless the context otherwise
requires:
    "Adult resident" means any person between 18 and 22 years
of age who resides in any facility licensed by the Department
under the Child Care Act of 1969. For purposes of this Act, the
criteria set forth in the definitions of "abused child" and
"neglected child" shall be used in determining whether an adult
resident is abused or neglected.
    "Blatant disregard" means an incident where the real,
significant, and imminent risk of harm would be so obvious to a
reasonable parent or caretaker that it is unlikely that a
reasonable parent or caretaker would have exposed the child to
the danger without exercising precautionary measures to
protect the child from harm.
    "Child" means any person under the age of 18 years, unless
legally emancipated by reason of marriage or entry into a
branch of the United States armed services.
    "Department" means Department of Children and Family
Services.
    "Local law enforcement agency" means the police of a city,
town, village or other incorporated area or the sheriff of an
unincorporated area or any sworn officer of the Illinois
Department of State Police.
    "Abused child" means a child whose parent or immediate
family member, or any person responsible for the child's
welfare, or any individual residing in the same home as the
child, or a paramour of the child's parent:
        (a) inflicts, causes to be inflicted, or allows to be
    inflicted upon such child physical injury, by other than
    accidental means, which causes death, disfigurement,
    impairment of physical or emotional health, or loss or
    impairment of any bodily function;
        (b) creates a substantial risk of physical injury to
    such child by other than accidental means which would be
    likely to cause death, disfigurement, impairment of
    physical or emotional health, or loss or impairment of any
    bodily function;
        (c) commits or allows to be committed any sex offense
    against such child, as such sex offenses are defined in the
    Criminal Code of 2012 1961, as amended, or in the Wrongs to
    Children Act, and extending those definitions of sex
    offenses to include children under 18 years of age;
        (d) commits or allows to be committed an act or acts of
    torture upon such child;
        (e) inflicts excessive corporal punishment;
        (f) commits or allows to be committed the offense of
    female genital mutilation, as defined in Section 12-34 of
    the Criminal Code of 2012 1961, against the child;
        (g) causes to be sold, transferred, distributed, or
    given to such child under 18 years of age, a controlled
    substance as defined in Section 102 of the Illinois
    Controlled Substances Act in violation of Article IV of the
    Illinois Controlled Substances Act or in violation of the
    Methamphetamine Control and Community Protection Act,
    except for controlled substances that are prescribed in
    accordance with Article III of the Illinois Controlled
    Substances Act and are dispensed to such child in a manner
    that substantially complies with the prescription; or
        (h) commits or allows to be committed the offense of
    involuntary servitude, involuntary sexual servitude of a
    minor, or trafficking in persons as defined in Section 10-9
    of the Criminal Code of 2012 1961 against the child.
    A child shall not be considered abused for the sole reason
that the child has been relinquished in accordance with the
Abandoned Newborn Infant Protection Act.
    "Neglected child" means any child who is not receiving the
proper or necessary nourishment or medically indicated
treatment including food or care not provided solely on the
basis of the present or anticipated mental or physical
impairment as determined by a physician acting alone or in
consultation with other physicians or otherwise is not
receiving the proper or necessary support or medical or other
remedial care recognized under State law as necessary for a
child's well-being, or other care necessary for his or her
well-being, including adequate food, clothing and shelter; or
who is subjected to an environment which is injurious insofar
as (i) the child's environment creates a likelihood of harm to
the child's health, physical well-being, or welfare and (ii)
the likely harm to the child is the result of a blatant
disregard of parent or caretaker responsibilities; or who is
abandoned by his or her parents or other person responsible for
the child's welfare without a proper plan of care; or who has
been provided with interim crisis intervention services under
Section 3-5 of the Juvenile Court Act of 1987 and whose parent,
guardian, or custodian refuses to permit the child to return
home and no other living arrangement agreeable to the parent,
guardian, or custodian can be made, and the parent, guardian,
or custodian has not made any other appropriate living
arrangement for the child; or who is a newborn infant whose
blood, urine, or meconium contains any amount of a controlled
substance as defined in subsection (f) of Section 102 of the
Illinois Controlled Substances Act or a metabolite thereof,
with the exception of a controlled substance or metabolite
thereof whose presence in the newborn infant is the result of
medical treatment administered to the mother or the newborn
infant. A child shall not be considered neglected for the sole
reason that the child's parent or other person responsible for
his or her welfare has left the child in the care of an adult
relative for any period of time. A child shall not be
considered neglected for the sole reason that the child has
been relinquished in accordance with the Abandoned Newborn
Infant Protection Act. A child shall not be considered
neglected or abused for the sole reason that such child's
parent or other person responsible for his or her welfare
depends upon spiritual means through prayer alone for the
treatment or cure of disease or remedial care as provided under
Section 4 of this Act. A child shall not be considered
neglected or abused solely because the child is not attending
school in accordance with the requirements of Article 26 of The
School Code, as amended.
    "Child Protective Service Unit" means certain specialized
State employees of the Department assigned by the Director to
perform the duties and responsibilities as provided under
Section 7.2 of this Act.
    "Person responsible for the child's welfare" means the
child's parent; guardian; foster parent; relative caregiver;
any person responsible for the child's welfare in a public or
private residential agency or institution; any person
responsible for the child's welfare within a public or private
profit or not for profit child care facility; or any other
person responsible for the child's welfare at the time of the
alleged abuse or neglect, including any person that is the
custodian of a child under 18 years of age who commits or
allows to be committed, against the child, the offense of
involuntary servitude, involuntary sexual servitude of a
minor, or trafficking in persons for forced labor or services,
as provided in Section 10-9 of the Criminal Code of 2012 1961,
or any person who came to know the child through an official
capacity or position of trust, including but not limited to
health care professionals, educational personnel, recreational
supervisors, members of the clergy, and volunteers or support
personnel in any setting where children may be subject to abuse
or neglect.
    "Temporary protective custody" means custody within a
hospital or other medical facility or a place previously
designated for such custody by the Department, subject to
review by the Court, including a licensed foster home, group
home, or other institution; but such place shall not be a jail
or other place for the detention of criminal or juvenile
offenders.
    "An unfounded report" means any report made under this Act
for which it is determined after an investigation that no
credible evidence of abuse or neglect exists.
    "An indicated report" means a report made under this Act if
an investigation determines that credible evidence of the
alleged abuse or neglect exists.
    "An undetermined report" means any report made under this
Act in which it was not possible to initiate or complete an
investigation on the basis of information provided to the
Department.
    "Subject of report" means any child reported to the central
register of child abuse and neglect established under Section
7.7 of this Act as an alleged victim of child abuse or neglect
and the parent or guardian of the alleged victim or other
person responsible for the alleged victim's welfare who is
named in the report or added to the report as an alleged
perpetrator of child abuse or neglect.
    "Perpetrator" means a person who, as a result of
investigation, has been determined by the Department to have
caused child abuse or neglect.
    "Member of the clergy" means a clergyman or practitioner of
any religious denomination accredited by the religious body to
which he or she belongs.
(Source: P.A. 96-1196, eff. 1-1-11; 96-1446, eff. 8-20-10;
96-1464, eff. 8-20-10; 97-333, eff. 8-12-11; 97-803, eff.
7-13-12; 97-897, eff. 1-1-13; 97-1063, eff. 8-24-12; revised
9-20-12.)
 
    (325 ILCS 5/4)  (from Ch. 23, par. 2054)
    Sec. 4. Persons required to report; privileged
communications; transmitting false report. Any physician,
resident, intern, hospital, hospital administrator and
personnel engaged in examination, care and treatment of
persons, surgeon, dentist, dentist hygienist, osteopath,
chiropractor, podiatrist, physician assistant, substance abuse
treatment personnel, funeral home director or employee,
coroner, medical examiner, emergency medical technician,
acupuncturist, crisis line or hotline personnel, school
personnel (including administrators and both certified and
non-certified school employees), personnel of institutions of
higher education, educational advocate assigned to a child
pursuant to the School Code, member of a school board or the
Chicago Board of Education or the governing body of a private
school (but only to the extent required in accordance with
other provisions of this Section expressly concerning the duty
of school board members to report suspected child abuse),
truant officers, social worker, social services administrator,
domestic violence program personnel, registered nurse,
licensed practical nurse, genetic counselor, respiratory care
practitioner, advanced practice nurse, home health aide,
director or staff assistant of a nursery school or a child day
care center, recreational or athletic program or facility
personnel, early intervention provider as defined in the Early
Intervention Services System Act, law enforcement officer,
licensed professional counselor, licensed clinical
professional counselor, registered psychologist and assistants
working under the direct supervision of a psychologist,
psychiatrist, or field personnel of the Department of
Healthcare and Family Services, Juvenile Justice, Public
Health, Human Services (acting as successor to the Department
of Mental Health and Developmental Disabilities,
Rehabilitation Services, or Public Aid), Corrections, Human
Rights, or Children and Family Services, supervisor and
administrator of general assistance under the Illinois Public
Aid Code, probation officer, animal control officer or Illinois
Department of Agriculture Bureau of Animal Health and Welfare
field investigator, or any other foster parent, homemaker or
child care worker having reasonable cause to believe a child
known to them in their professional or official capacity may be
an abused child or a neglected child shall immediately report
or cause a report to be made to the Department.
    Any member of the clergy having reasonable cause to believe
that a child known to that member of the clergy in his or her
professional capacity may be an abused child as defined in item
(c) of the definition of "abused child" in Section 3 of this
Act shall immediately report or cause a report to be made to
the Department.
    Any physician, physician's assistant, registered nurse,
licensed practical nurse, medical technician, certified
nursing assistant, social worker, or licensed professional
counselor of any office, clinic, or any other physical location
that provides abortions, abortion referrals, or contraceptives
having reasonable cause to believe a child known to him or her
in his or her professional or official capacity may be an
abused child or a neglected child shall immediately report or
cause a report to be made to the Department.
    If an allegation is raised to a school board member during
the course of an open or closed school board meeting that a
child who is enrolled in the school district of which he or she
is a board member is an abused child as defined in Section 3 of
this Act, the member shall direct or cause the school board to
direct the superintendent of the school district or other
equivalent school administrator to comply with the
requirements of this Act concerning the reporting of child
abuse. For purposes of this paragraph, a school board member is
granted the authority in his or her individual capacity to
direct the superintendent of the school district or other
equivalent school administrator to comply with the
requirements of this Act concerning the reporting of child
abuse.
    Notwithstanding any other provision of this Act, if an
employee of a school district has made a report or caused a
report to be made to the Department under this Act involving
the conduct of a current or former employee of the school
district and a request is made by another school district for
the provision of information concerning the job performance or
qualifications of the current or former employee because he or
she is an applicant for employment with the requesting school
district, the general superintendent of the school district to
which the request is being made must disclose to the requesting
school district the fact that an employee of the school
district has made a report involving the conduct of the
applicant or caused a report to be made to the Department, as
required under this Act. Only the fact that an employee of the
school district has made a report involving the conduct of the
applicant or caused a report to be made to the Department may
be disclosed by the general superintendent of the school
district to which the request for information concerning the
applicant is made, and this fact may be disclosed only in cases
where the employee and the general superintendent have not been
informed by the Department that the allegations were unfounded.
An employee of a school district who is or has been the subject
of a report made pursuant to this Act during his or her
employment with the school district must be informed by that
school district that if he or she applies for employment with
another school district, the general superintendent of the
former school district, upon the request of the school district
to which the employee applies, shall notify that requesting
school district that the employee is or was the subject of such
a report.
    Whenever such person is required to report under this Act
in his capacity as a member of the staff of a medical or other
public or private institution, school, facility or agency, or
as a member of the clergy, he shall make report immediately to
the Department in accordance with the provisions of this Act
and may also notify the person in charge of such institution,
school, facility or agency, or church, synagogue, temple,
mosque, or other religious institution, or his designated agent
that such report has been made. Under no circumstances shall
any person in charge of such institution, school, facility or
agency, or church, synagogue, temple, mosque, or other
religious institution, or his designated agent to whom such
notification has been made, exercise any control, restraint,
modification or other change in the report or the forwarding of
such report to the Department.
    The privileged quality of communication between any
professional person required to report and his patient or
client shall not apply to situations involving abused or
neglected children and shall not constitute grounds for failure
to report as required by this Act or constitute grounds for
failure to share information or documents with the Department
during the course of a child abuse or neglect investigation. If
requested by the professional, the Department shall confirm in
writing that the information or documents disclosed by the
professional were gathered in the course of a child abuse or
neglect investigation.
    A member of the clergy may claim the privilege under
Section 8-803 of the Code of Civil Procedure.
    Any office, clinic, or any other physical location that
provides abortions, abortion referrals, or contraceptives
shall provide to all office personnel copies of written
information and training materials about abuse and neglect and
the requirements of this Act that are provided to employees of
the office, clinic, or physical location who are required to
make reports to the Department under this Act, and instruct
such office personnel to bring to the attention of an employee
of the office, clinic, or physical location who is required to
make reports to the Department under this Act any reasonable
suspicion that a child known to him or her in his or her
professional or official capacity may be an abused child or a
neglected child. In addition to the above persons required to
report suspected cases of abused or neglected children, any
other person may make a report if such person has reasonable
cause to believe a child may be an abused child or a neglected
child.
    Any person who enters into employment on and after July 1,
1986 and is mandated by virtue of that employment to report
under this Act, shall sign a statement on a form prescribed by
the Department, to the effect that the employee has knowledge
and understanding of the reporting requirements of this Act.
The statement shall be signed prior to commencement of the
employment. The signed statement shall be retained by the
employer. The cost of printing, distribution, and filing of the
statement shall be borne by the employer.
    The Department shall provide copies of this Act, upon
request, to all employers employing persons who shall be
required under the provisions of this Section to report under
this Act.
    Any person who knowingly transmits a false report to the
Department commits the offense of disorderly conduct under
subsection (a)(7) of Section 26-1 of the "Criminal Code of 2012
1961". A violation of this provision is a Class 4 felony.
    Any person who knowingly and willfully violates any
provision of this Section other than a second or subsequent
violation of transmitting a false report as described in the
preceding paragraph, is guilty of a Class A misdemeanor for a
first violation and a Class 4 felony for a second or subsequent
violation; except that if the person acted as part of a plan or
scheme having as its object the prevention of discovery of an
abused or neglected child by lawful authorities for the purpose
of protecting or insulating any person or entity from arrest or
prosecution, the person is guilty of a Class 4 felony for a
first offense and a Class 3 felony for a second or subsequent
offense (regardless of whether the second or subsequent offense
involves any of the same facts or persons as the first or other
prior offense).
    A child whose parent, guardian or custodian in good faith
selects and depends upon spiritual means through prayer alone
for the treatment or cure of disease or remedial care may be
considered neglected or abused, but not for the sole reason
that his parent, guardian or custodian accepts and practices
such beliefs.
    A child shall not be considered neglected or abused solely
because the child is not attending school in accordance with
the requirements of Article 26 of the School Code, as amended.
    Nothing in this Act prohibits a mandated reporter who
reasonably believes that an animal is being abused or neglected
in violation of the Humane Care for Animals Act from reporting
animal abuse or neglect to the Department of Agriculture's
Bureau of Animal Health and Welfare.
    A home rule unit may not regulate the reporting of child
abuse or neglect in a manner inconsistent with the provisions
of this Section. This Section is a limitation under subsection
(i) of Section 6 of Article VII of the Illinois Constitution on
the concurrent exercise by home rule units of powers and
functions exercised by the State.
    For purposes of this Section "child abuse or neglect"
includes abuse or neglect of an adult resident as defined in
this Act.
(Source: P.A. 96-494, eff. 8-14-09; 96-1446, eff. 8-20-10;
97-189, eff. 7-22-11; 97-254, eff. 1-1-12; 97-387, eff.
8-15-11; 97-711, eff. 6-27-12; 97-813, eff. 7-13-12.)
 
    (325 ILCS 5/4.5)
    Sec. 4.5. Electronic and information technology workers;
reporting child pornography.
    (a) In this Section:
    "Child pornography" means child pornography as described
in Section 11-20.1 of the Criminal Code of 2012 1961 or
aggravated child pornography as described in Section 11-20.1B
of the Criminal Code of 1961.
    "Electronic and information technology equipment" means
equipment used in the creation, manipulation, storage,
display, or transmission of data, including internet and
intranet systems, software applications, operating systems,
video and multimedia, telecommunications products, kiosks,
information transaction machines, copiers, printers, and
desktop and portable computers.
    "Electronic and information technology equipment worker"
means a person who in the scope and course of his or her
employment or business installs, repairs, or otherwise
services electronic and information technology equipment for a
fee but does not include (i) an employee, independent
contractor, or other agent of a telecommunications carrier or
telephone or telecommunications cooperative, as those terms
are defined in the Public Utilities Act, or (ii) an employee,
independent contractor, or other agent of a provider of
commercial mobile radio service, as defined in 47 C.F.R. 20.3.
    (b) If an electronic and information technology equipment
worker discovers any depiction of child pornography while
installing, repairing, or otherwise servicing an item of
electronic and information technology equipment, that worker
or the worker's employer shall immediately report the discovery
to the local law enforcement agency or to the Cyber Tipline at
the National Center for Missing & Exploited Children.
    (c) If a report is filed in accordance with the
requirements of 42 U.S.C. 13032, the requirements of this
Section 4.5 will be deemed to have been met.
    (d) An electronic and information technology equipment
worker or electronic and information technology equipment
worker's employer who reports a discovery of child pornography
as required under this Section is immune from any criminal,
civil, or administrative liability in connection with making
the report, except for willful or wanton misconduct.
    (e) Failure to report a discovery of child pornography as
required under this Section is a business offense subject to a
fine of $1,001.
(Source: P.A. 95-944, eff. 8-29-08; 96-1551, eff. 7-1-11.)
 
    (325 ILCS 5/7)  (from Ch. 23, par. 2057)
    Sec. 7. Time and manner of making reports. All reports of
suspected child abuse or neglect made under this Act shall be
made immediately by telephone to the central register
established under Section 7.7 on the single, State-wide,
toll-free telephone number established in Section 7.6, or in
person or by telephone through the nearest Department office.
The Department shall, in cooperation with school officials,
distribute appropriate materials in school buildings listing
the toll-free telephone number established in Section 7.6,
including methods of making a report under this Act. The
Department may, in cooperation with appropriate members of the
clergy, distribute appropriate materials in churches,
synagogues, temples, mosques, or other religious buildings
listing the toll-free telephone number established in Section
7.6, including methods of making a report under this Act.
    Wherever the Statewide number is posted, there shall also
be posted the following notice:
    "Any person who knowingly transmits a false report to the
Department commits the offense of disorderly conduct under
subsection (a)(7) of Section 26-1 of the Criminal Code of 2012
1961. A violation of this subsection is a Class 4 felony."
    The report required by this Act shall include, if known,
the name and address of the child and his parents or other
persons having his custody; the child's age; the nature of the
child's condition including any evidence of previous injuries
or disabilities; and any other information that the person
filing the report believes might be helpful in establishing the
cause of such abuse or neglect and the identity of the person
believed to have caused such abuse or neglect. Reports made to
the central register through the State-wide, toll-free
telephone number shall be immediately transmitted by the
Department to the appropriate Child Protective Service Unit.
All such reports alleging the death of a child, serious injury
to a child including, but not limited to, brain damage, skull
fractures, subdural hematomas, and internal injuries, torture
of a child, malnutrition of a child, and sexual abuse to a
child, including, but not limited to, sexual intercourse,
sexual exploitation, sexual molestation, and sexually
transmitted disease in a child age 12 and under, shall also be
immediately transmitted by the Department to the appropriate
local law enforcement agency. The Department shall within 24
hours orally notify local law enforcement personnel and the
office of the State's Attorney of the involved county of the
receipt of any report alleging the death of a child, serious
injury to a child including, but not limited to, brain damage,
skull fractures, subdural hematomas, and, internal injuries,
torture of a child, malnutrition of a child, and sexual abuse
to a child, including, but not limited to, sexual intercourse,
sexual exploitation, sexual molestation, and sexually
transmitted disease in a child age twelve and under. All oral
reports made by the Department to local law enforcement
personnel and the office of the State's Attorney of the
involved county shall be confirmed in writing within 24 hours
of the oral report. All reports by persons mandated to report
under this Act shall be confirmed in writing to the appropriate
Child Protective Service Unit, which may be on forms supplied
by the Department, within 48 hours of any initial report.
    Written confirmation reports from persons not required to
report by this Act may be made to the appropriate Child
Protective Service Unit. Written reports from persons required
by this Act to report shall be admissible in evidence in any
judicial proceeding or administrative hearing relating to
child abuse or neglect. Reports involving known or suspected
child abuse or neglect in public or private residential
agencies or institutions shall be made and received in the same
manner as all other reports made under this Act.
    For purposes of this Section "child" includes an adult
resident as defined in this Act.
(Source: P.A. 96-1446, eff. 8-20-10; 97-189, eff. 7-22-11;
97-387, eff. 8-15-11; 97-813, eff. 7-13-12.)
 
    (325 ILCS 5/7.6)  (from Ch. 23, par. 2057.6)
    Sec. 7.6. There shall be a single State-wide, toll-free
telephone number established and maintained by the Department
which all persons, whether or not mandated by law, may use to
report suspected child abuse or neglect at any hour of the day
or night, on any day of the week. Immediately upon receipt of
such reports, the Department shall transmit the contents of the
report, either orally or electronically, to the appropriate
Child Protective Service Unit. Any other person may use the
State-wide number to obtain assistance or information
concerning the handling of child abuse and neglect cases.
    Wherever the Statewide number is posted, there shall also
be posted the following notice:
    "Any person who knowingly transmits a false report to the
Department commits the offense of disorderly conduct under
subsection (a)(7) of Section 26-1 of the Criminal Code of 2012
1961. A violation of this subsection is a Class 4 felony."
(Source: P.A. 97-189, eff. 7-22-11.)
 
    (325 ILCS 5/7.8)  (from Ch. 23, par. 2057.8)
    Sec. 7.8. Upon receiving an oral or written report of
suspected child abuse or neglect, the Department shall
immediately notify, either orally or electronically, the Child
Protective Service Unit of a previous report concerning a
subject of the present report or other pertinent information.
In addition, upon satisfactory identification procedures, to
be established by Department regulation, any person authorized
to have access to records under Section 11.1 relating to child
abuse and neglect may request and shall be immediately provided
the information requested in accordance with this Act. However,
no information shall be released unless it prominently states
the report is "indicated", and only information from
"indicated" reports shall be released, except that information
concerning pending reports may be released to any person
authorized under paragraphs (1), (2), (3) and (11) of Section
11.1. In addition, State's Attorneys are authorized to receive
unfounded reports for prosecution purposes related to the
transmission of false reports of child abuse or neglect in
violation of subsection (a), paragraph (7) of Section 26-1 of
the Criminal Code of 2012 1961 and guardians ad litem appointed
under Article II of the Juvenile Court Act of 1987 shall
receive the classified reports set forth in Section 7.14 of
this Act in conformance with paragraph (19) of Section 11.1 and
Section 7.14 of this Act. The names and other identifying data
and the dates and the circumstances of any persons requesting
or receiving information from the central register shall be
entered in the register record.
(Source: P.A. 86-904; 86-1293; 87-649.)
 
    Section 520. The Sexual Assault Survivors Emergency
Treatment Act is amended by changing Section 1a as follows:
 
    (410 ILCS 70/1a)  (from Ch. 111 1/2, par. 87-1a)
    Sec. 1a. Definitions. In this Act:
    "Ambulance provider" means an individual or entity that
owns and operates a business or service using ambulances or
emergency medical services vehicles to transport emergency
patients.
    "Areawide sexual assault treatment plan" means a plan,
developed by the hospitals in the community or area to be
served, which provides for hospital emergency services to
sexual assault survivors that shall be made available by each
of the participating hospitals.
    "Department" means the Department of Public Health.
    "Emergency contraception" means medication as approved by
the federal Food and Drug Administration (FDA) that can
significantly reduce the risk of pregnancy if taken within 72
hours after sexual assault.
    "Follow-up healthcare" means healthcare services related
to a sexual assault, including laboratory services and pharmacy
services, rendered within 90 days of the initial visit for
hospital emergency services.
    "Forensic services" means the collection of evidence
pursuant to a statewide sexual assault evidence collection
program administered by the Department of State Police, using
the Illinois State Police Sexual Assault Evidence Collection
Kit.
    "Health care professional" means a physician, a physician
assistant, or an advanced practice nurse.
    "Hospital" has the meaning given to that term in the
Hospital Licensing Act.
    "Hospital emergency services" means healthcare delivered
to outpatients within or under the care and supervision of
personnel working in a designated emergency department of a
hospital, including, but not limited to, care ordered by such
personnel for a sexual assault survivor in the emergency
department.
    "Illinois State Police Sexual Assault Evidence Collection
Kit" means a prepackaged set of materials and forms to be used
for the collection of evidence relating to sexual assault. The
standardized evidence collection kit for the State of Illinois
shall be the Illinois State Police Sexual Assault Evidence
Collection Kit.
    "Nurse" means a nurse licensed under the Nurse Practice
Act.
    "Physician" means a person licensed to practice medicine in
all its branches.
    "Sexual assault" means an act of nonconsensual sexual
conduct or sexual penetration, as defined in Section 11-0.1 of
the Criminal Code of 2012 1961, including, without limitation,
acts prohibited under Sections 11-1.20 through 11-1.60 of the
Criminal Code of 2012 1961.
    "Sexual assault survivor" means a person who presents for
hospital emergency services in relation to injuries or trauma
resulting from a sexual assault.
    "Sexual assault transfer plan" means a written plan
developed by a hospital and approved by the Department, which
describes the hospital's procedures for transferring sexual
assault survivors to another hospital in order to receive
emergency treatment.
    "Sexual assault treatment plan" means a written plan
developed by a hospital that describes the hospital's
procedures and protocols for providing hospital emergency
services and forensic services to sexual assault survivors who
present themselves for such services, either directly or
through transfer from another hospital.
    "Transfer services" means the appropriate medical
screening examination and necessary stabilizing treatment
prior to the transfer of a sexual assault survivor to a
hospital that provides hospital emergency services and
forensic services to sexual assault survivors pursuant to a
sexual assault treatment plan or areawide sexual assault
treatment plan.
(Source: P.A. 95-432, eff. 1-1-08; 96-328, eff. 8-11-09;
96-1551, eff. 7-1-11.)
 
    Section 525. The Consent by Minors to Medical Procedures
Act is amended by changing Section 3 as follows:
 
    (410 ILCS 210/3)  (from Ch. 111, par. 4503)
    Sec. 3. (a) Where a hospital, a physician licensed to
practice medicine or surgery, an advanced practice nurse who
has a written collaborative agreement with a collaborating
physician that authorizes provision of services for minors, or
a physician assistant who has been delegated authority to
provide services for minors renders emergency treatment or
first aid or a licensed dentist renders emergency dental
treatment to a minor, consent of the minor's parent or legal
guardian need not be obtained if, in the sole opinion of the
physician, advanced practice nurse, physician assistant,
dentist, or hospital, the obtaining of consent is not
reasonably feasible under the circumstances without adversely
affecting the condition of such minor's health.
    (b) Where a minor is the victim of a predatory criminal
sexual assault of a child, aggravated criminal sexual assault,
criminal sexual assault, aggravated criminal sexual abuse or
criminal sexual abuse, as provided in Sections 11-1.20 through
11-1.60 of the Criminal Code of 2012 1961, as now or hereafter
amended, the consent of the minor's parent or legal guardian
need not be obtained to authorize a hospital, physician,
advanced practice nurse, physician assistant, or other medical
personnel to furnish medical care or counseling related to the
diagnosis or treatment of any disease or injury arising from
such offense. The minor may consent to such counseling,
diagnosis or treatment as if the minor had reached his or her
age of majority. Such consent shall not be voidable, nor
subject to later disaffirmance, because of minority.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 530. The AIDS Confidentiality Act is amended by
changing Section 9 as follows:
 
    (410 ILCS 305/9)  (from Ch. 111 1/2, par. 7309)
    Sec. 9. No person may disclose or be compelled to disclose
the identity of any person upon whom a test is performed, or
the results of such a test in a manner which permits
identification of the subject of the test, except to the
following persons:
    (a) The subject of the test or the subject's legally
authorized representative. A physician may notify the spouse of
the test subject, if the test result is positive and has been
confirmed pursuant to rules adopted by the Department, provided
that the physician has first sought unsuccessfully to persuade
the patient to notify the spouse or that, a reasonable time
after the patient has agreed to make the notification, the
physician has reason to believe that the patient has not
provided the notification. This paragraph shall not create a
duty or obligation under which a physician must notify the
spouse of the test results, nor shall such duty or obligation
be implied. No civil liability or criminal sanction under this
Act shall be imposed for any disclosure or non-disclosure of a
test result to a spouse by a physician acting in good faith
under this paragraph. For the purpose of any proceedings, civil
or criminal, the good faith of any physician acting under this
paragraph shall be presumed.
    (b) Any person designated in a legally effective release of
the test results executed by the subject of the test or the
subject's legally authorized representative.
    (c) An authorized agent or employee of a health facility or
health care provider if the health facility or health care
provider itself is authorized to obtain the test results, the
agent or employee provides patient care or handles or processes
specimens of body fluids or tissues, and the agent or employee
has a need to know such information.
    (d) The Department and local health authorities serving a
population of over 1,000,000 residents or other local health
authorities as designated by the Department, in accordance with
rules for reporting and controlling the spread of disease, as
otherwise provided by State law. The Department, local health
authorities, and authorized representatives shall not disclose
information and records held by them relating to known or
suspected cases of AIDS or HIV infection, publicly or in any
action of any kind in any court or before any tribunal, board,
or agency. AIDS and HIV infection data shall be protected from
disclosure in accordance with the provisions of Sections 8-2101
through 8-2105 of the Code of Civil Procedure.
    (e) A health facility or health care provider which
procures, processes, distributes or uses: (i) a human body part
from a deceased person with respect to medical information
regarding that person; or (ii) semen provided prior to the
effective date of this Act for the purpose of artificial
insemination.
    (f) Health facility staff committees for the purposes of
conducting program monitoring, program evaluation or service
reviews.
    (f-5) A court in accordance with the provisions of Section
12-5.01 of the Criminal Code of 2012 1961.
    (g) (Blank).
    (h) Any health care provider or employee of a health
facility, and any firefighter or EMT-A, EMT-P, or EMT-I,
involved in an accidental direct skin or mucous membrane
contact with the blood or bodily fluids of an individual which
is of a nature that may transmit HIV, as determined by a
physician in his medical judgment.
    (i) Any law enforcement officer, as defined in subsection
(c) of Section 7, involved in the line of duty in a direct skin
or mucous membrane contact with the blood or bodily fluids of
an individual which is of a nature that may transmit HIV, as
determined by a physician in his medical judgment.
    (j) A temporary caretaker of a child taken into temporary
protective custody by the Department of Children and Family
Services pursuant to Section 5 of the Abused and Neglected
Child Reporting Act, as now or hereafter amended.
    (k) In the case of a minor under 18 years of age whose test
result is positive and has been confirmed pursuant to rules
adopted by the Department, the health care provider who ordered
the test shall make a reasonable effort to notify the minor's
parent or legal guardian if, in the professional judgment of
the health care provider, notification would be in the best
interest of the child and the health care provider has first
sought unsuccessfully to persuade the minor to notify the
parent or legal guardian or a reasonable time after the minor
has agreed to notify the parent or legal guardian, the health
care provider has reason to believe that the minor has not made
the notification. This subsection shall not create a duty or
obligation under which a health care provider must notify the
minor's parent or legal guardian of the test results, nor shall
a duty or obligation be implied. No civil liability or criminal
sanction under this Act shall be imposed for any notification
or non-notification of a minor's test result by a health care
provider acting in good faith under this subsection. For the
purpose of any proceeding, civil or criminal, the good faith of
any health care provider acting under this subsection shall be
presumed.
(Source: P.A. 96-328, eff. 8-11-09; 97-1046, eff. 8-21-12.)
 
    Section 535. The Illinois Sexually Transmissible Disease
Control Act is amended by changing Section 5.5 as follows:
 
    (410 ILCS 325/5.5)  (from Ch. 111 1/2, par. 7405.5)
    Sec. 5.5. Risk assessment.
    (a) Whenever the Department receives a report of HIV
infection or AIDS pursuant to this Act and the Department
determines that the subject of the report may present or may
have presented a possible risk of HIV transmission, the
Department shall, when medically appropriate, investigate the
subject of the report and that person's contacts as defined in
subsection (c), to assess the potential risks of transmission.
Any investigation and action shall be conducted in a timely
fashion. All contacts other than those defined in subsection
(c) shall be investigated in accordance with Section 5 of this
Act.
    (b) If the Department determines that there is or may have
been potential risks of HIV transmission from the subject of
the report to other persons, the Department shall afford the
subject the opportunity to submit any information and comment
on proposed actions the Department intends to take with respect
to the subject's contacts who are at potential risk of
transmission of HIV prior to notification of the subject's
contacts. The Department shall also afford the subject of the
report the opportunity to notify the subject's contacts in a
timely fashion who are at potential risk of transmission of HIV
prior to the Department taking any steps to notify such
contacts. If the subject declines to notify such contacts or if
the Department determines the notices to be inadequate or
incomplete, the Department shall endeavor to notify such other
persons of the potential risk, and offer testing and counseling
services to these individuals. When the contacts are notified,
they shall be informed of the disclosure provisions of the AIDS
Confidentiality Act and the penalties therein and this Section.
    (c) Contacts investigated under this Section shall in the
case of HIV infection include (i) individuals who have
undergone invasive procedures performed by an HIV infected
health care provider and (ii) health care providers who have
performed invasive procedures for persons infected with HIV,
provided the Department has determined that there is or may
have been potential risk of HIV transmission from the health
care provider to those individuals or from infected persons to
health care providers. The Department shall have access to the
subject's records to review for the identity of contacts. The
subject's records shall not be copied or seized by the
Department.
    For purposes of this subsection, the term "invasive
procedures" means those procedures termed invasive by the
Centers for Disease Control in current guidelines or
recommendations for the prevention of HIV transmission in
health care settings, and the term "health care provider" means
any physician, dentist, podiatrist, advanced practice nurse,
physician assistant, nurse, or other person providing health
care services of any kind.
    (d) All information and records held by the Department and
local health authorities pertaining to activities conducted
pursuant to this Section shall be strictly confidential and
exempt from copying and inspection under the Freedom of
Information Act. Such information and records shall not be
released or made public by the Department or local health
authorities, and shall not be admissible as evidence, nor
discoverable in any action of any kind in any court or before
any tribunal, board, agency or person and shall be treated in
the same manner as the information and those records subject to
the provisions of Part 21 of the Code of Civil Procedure except
under the following circumstances:
        (1) When made with the written consent of all persons
    to whom this information pertains;
        (2) When authorized under Section 8 to be released
    under court order or subpoena pursuant to Section 12-5.01
    or 12-16.2 of the Criminal Code of 1961 or the Criminal
    Code of 2012; or
        (3) When made by the Department for the purpose of
    seeking a warrant authorized by Sections 6 and 7 of this
    Act. Such disclosure shall conform to the requirements of
    subsection (a) of Section 8 of this Act.
    (e) Any person who knowingly or maliciously disseminates
any information or report concerning the existence of any
disease under this Section is guilty of a Class A misdemeanor.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 540. The Environmental Protection Act is amended by
changing Sections 2, 22.2, and 44 as follows:
 
    (415 ILCS 5/2)  (from Ch. 111 1/2, par. 1002)
    Sec. 2. (a) The General Assembly finds:
    (i) that environmental damage seriously endangers the
public health and welfare, as more specifically described in
later sections of this Act;
    (ii) that because environmental damage does not respect
political boundaries, it is necessary to establish a unified
state-wide program for environmental protection and to
cooperate fully with other States and with the United States in
protecting the environment;
    (iii) that air, water, and other resource pollution, public
water supply, solid waste disposal, noise, and other
environmental problems are closely interrelated and must be
dealt with as a unified whole in order to safeguard the
environment;
    (iv) that it is the obligation of the State Government to
manage its own activities so as to minimize environmental
damage; to encourage and assist local governments to adopt and
implement environmental-protection programs consistent with
this Act; to promote the development of technology for
environmental protection and conservation of natural
resources; and in appropriate cases to afford financial
assistance in preventing environmental damage;
    (v) that in order to alleviate the burden on enforcement
agencies, to assure that all interests are given a full
hearing, and to increase public participation in the task of
protecting the environment, private as well as governmental
remedies must be provided;
    (vi) that despite the existing laws and regulations
concerning environmental damage there exist continuing
destruction and damage to the environment and harm to the
public health, safety and welfare of the people of this State,
and that among the most significant sources of this
destruction, damage, and harm are the improper and unsafe
transportation, treatment, storage, disposal, and dumping of
hazardous wastes;
    (vii) that it is necessary to supplement and strengthen
existing criminal sanctions regarding environmental damage, by
enacting specific penalties for injury to public health and
welfare and the environment.
    (b) It is the purpose of this Act, as more specifically
described in later sections, to establish a unified, state-wide
program supplemented by private remedies, to restore, protect
and enhance the quality of the environment, and to assure that
adverse effects upon the environment are fully considered and
borne by those who cause them.
    (c) The terms and provisions of this Act shall be liberally
construed so as to effectuate the purposes of this Act as set
forth in subsection (b) of this Section, but to the extent that
this Act prescribes criminal penalties, it shall be construed
in accordance with the "Criminal Code of 2012 1961", as
amended.
(Source: P.A. 83-1101.)
 
    (415 ILCS 5/22.2)  (from Ch. 111 1/2, par. 1022.2)
    Sec. 22.2. Hazardous waste; fees; liability.
    (a) There are hereby created within the State Treasury 2
special funds to be known respectively as the "Hazardous Waste
Fund" and the "Hazardous Waste Research Fund", constituted from
the fees collected pursuant to this Section. In addition to the
fees collected under this Section, the Hazardous Waste Fund
shall include other moneys made available from any source for
deposit into the Fund.
    (b)(1) On and after January 1, 1989, the Agency shall
    collect from the owner or operator of each of the following
    sites a fee in the amount of:
            (A) 9 cents per gallon or $18.18 per cubic yard, if
        the hazardous waste disposal site is located off the
        site where such waste was produced. The maximum amount
        payable under this subdivision (A) with respect to the
        hazardous waste generated by a single generator and
        deposited in monofills is $30,000 per year. If, as a
        result of the use of multiple monofills, waste fees in
        excess of the maximum are assessed with respect to a
        single waste generator, the generator may apply to the
        Agency for a credit.
            (B) 9 cents or $18.18 per cubic yard, if the
        hazardous waste disposal site is located on the site
        where such waste was produced, provided however the
        maximum amount of fees payable under this paragraph (B)
        is $30,000 per year for each such hazardous waste
        disposal site.
            (C) If the hazardous waste disposal site is an
        underground injection well, $6,000 per year if not more
        than 10,000,000 gallons per year are injected, $15,000
        per year if more than 10,000,000 gallons but not more
        than 50,000,000 gallons per year are injected, and
        $27,000 per year if more than 50,000,000 gallons per
        year are injected.
            (D) 3 cents per gallon or $6.06 per cubic yard of
        hazardous waste received for treatment at a hazardous
        waste treatment site, if the hazardous waste treatment
        site is located off the site where such waste was
        produced and if such hazardous waste treatment site is
        owned, controlled and operated by a person other than
        the generator of such waste. After treatment at such
        hazardous waste treatment site, the waste shall not be
        subject to any other fee imposed by this subsection
        (b). For purposes of this subsection (b), the term
        "treatment" is defined as in Section 3.505 but shall
        not include recycling, reclamation or reuse.
        (2) The General Assembly shall annually appropriate to
    the Fund such amounts as it deems necessary to fulfill the
    purposes of this Act.
        (3) The Agency shall have the authority to accept,
    receive, and administer on behalf of the State any moneys
    made available to the State from any source for the
    purposes of the Hazardous Waste Fund set forth in
    subsection (d) of this Section.
        (4) Of the amount collected as fees provided for in
    this Section, the Agency shall manage the use of such funds
    to assure that sufficient funds are available for match
    towards federal expenditures for response action at sites
    which are listed on the National Priorities List; provided,
    however, that this shall not apply to additional monies
    appropriated to the Fund by the General Assembly, nor shall
    it apply in the event that the Director finds that revenues
    in the Hazardous Waste Fund must be used to address
    conditions which create or may create an immediate danger
    to the environment or public health or to the welfare of
    the people of the State of Illinois.
        (5) Notwithstanding the other provisions of this
    subsection (b), sludge from a publicly-owned sewage works
    generated in Illinois, coal mining wastes and refuse
    generated in Illinois, bottom boiler ash, flyash and flue
    gas desulphurization sludge from public utility electric
    generating facilities located in Illinois, and bottom
    boiler ash and flyash from all incinerators which process
    solely municipal waste shall not be subject to the fee.
        (6) For the purposes of this subsection (b), "monofill"
    means a facility, or a unit at a facility, that accepts
    only wastes bearing the same USEPA hazardous waste
    identification number, or compatible wastes as determined
    by the Agency.
    (c) The Agency shall establish procedures, not later than
January 1, 1984, relating to the collection of the fees
authorized by this Section. Such procedures shall include, but
not be limited to: (1) necessary records identifying the
quantities of hazardous waste received or disposed; (2) the
form and submission of reports to accompany the payment of fees
to the Agency; and (3) the time and manner of payment of fees
to the Agency, which payments shall be not more often than
quarterly.
    (d) Beginning July 1, 1996, the Agency shall deposit all
such receipts in the State Treasury to the credit of the
Hazardous Waste Fund, except as provided in subsection (e) of
this Section. All monies in the Hazardous Waste Fund shall be
used by the Agency for the following purposes:
        (1) Taking whatever preventive or corrective action is
    necessary or appropriate, in circumstances certified by
    the Director, including but not limited to removal or
    remedial action whenever there is a release or substantial
    threat of a release of a hazardous substance or pesticide;
    provided, the Agency shall expend no more than $1,000,000
    on any single incident without appropriation by the General
    Assembly.
        (2) To meet any requirements which must be met by the
    State in order to obtain federal funds pursuant to the
    Comprehensive Environmental Response, Compensation and
    Liability Act of 1980, (P.L. 96-510).
        (3) In an amount up to 30% of the amount collected as
    fees provided for in this Section, for use by the Agency to
    conduct groundwater protection activities, including
    providing grants to appropriate units of local government
    which are addressing protection of underground waters
    pursuant to the provisions of this Act.
        (4) To fund the development and implementation of the
    model pesticide collection program under Section 19.1 of
    the Illinois Pesticide Act.
        (5) To the extent the Agency has received and deposited
    monies in the Fund other than fees collected under
    subsection (b) of this Section, to pay for the cost of
    Agency employees for services provided in reviewing the
    performance of response actions pursuant to Title XVII of
    this Act.
        (6) In an amount up to 15% of the fees collected
    annually under subsection (b) of this Section, for use by
    the Agency for administration of the provisions of this
    Section.
    (e) The Agency shall deposit 10% of all receipts collected
under subsection (b) of this Section, but not to exceed
$200,000 per year, in the State Treasury to the credit of the
Hazardous Waste Research Fund established by this Act. Pursuant
to appropriation, all monies in such Fund shall be used by the
University of Illinois for the purposes set forth in this
subsection.
    The University of Illinois may enter into contracts with
business, industrial, university, governmental or other
qualified individuals or organizations to assist in the
research and development intended to recycle, reduce the volume
of, separate, detoxify or reduce the hazardous properties of
hazardous wastes in Illinois. Monies in the Fund may also be
used by the University of Illinois for technical studies,
monitoring activities, and educational and research activities
which are related to the protection of underground waters.
Monies in the Hazardous Waste Research Fund may be used to
administer the Illinois Health and Hazardous Substances
Registry Act. Monies in the Hazardous Waste Research Fund shall
not be used for any sanitary landfill or the acquisition or
construction of any facility. This does not preclude the
purchase of equipment for the purpose of public demonstration
projects. The University of Illinois shall adopt guidelines for
cost sharing, selecting, and administering projects under this
subsection.
    (f) Notwithstanding any other provision or rule of law, and
subject only to the defenses set forth in subsection (j) of
this Section, the following persons shall be liable for all
costs of removal or remedial action incurred by the State of
Illinois or any unit of local government as a result of a
release or substantial threat of a release of a hazardous
substance or pesticide:
        (1) the owner and operator of a facility or vessel from
    which there is a release or substantial threat of release
    of a hazardous substance or pesticide;
        (2) any person who at the time of disposal, transport,
    storage or treatment of a hazardous substance or pesticide
    owned or operated the facility or vessel used for such
    disposal, transport, treatment or storage from which there
    was a release or substantial threat of a release of any
    such hazardous substance or pesticide;
        (3) any person who by contract, agreement, or otherwise
    has arranged with another party or entity for transport,
    storage, disposal or treatment of hazardous substances or
    pesticides owned, controlled or possessed by such person at
    a facility owned or operated by another party or entity
    from which facility there is a release or substantial
    threat of a release of such hazardous substances or
    pesticides; and
        (4) any person who accepts or accepted any hazardous
    substances or pesticides for transport to disposal,
    storage or treatment facilities or sites from which there
    is a release or a substantial threat of a release of a
    hazardous substance or pesticide.
    Any monies received by the State of Illinois pursuant to
this subsection (f) shall be deposited in the State Treasury to
the credit of the Hazardous Waste Fund.
    In accordance with the other provisions of this Section,
costs of removal or remedial action incurred by a unit of local
government may be recovered in an action before the Board
brought by the unit of local government under subsection (i) of
this Section. Any monies so recovered shall be paid to the unit
of local government.
    (g)(1) No indemnification, hold harmless, or similar
    agreement or conveyance shall be effective to transfer from
    the owner or operator of any vessel or facility or from any
    person who may be liable for a release or substantial
    threat of a release under this Section, to any other person
    the liability imposed under this Section. Nothing in this
    Section shall bar any agreement to insure, hold harmless or
    indemnify a party to such agreements for any liability
    under this Section.
        (2) Nothing in this Section, including the provisions
    of paragraph (g)(1) of this Section, shall bar a cause of
    action that an owner or operator or any other person
    subject to liability under this Section, or a guarantor,
    has or would have, by reason of subrogation or otherwise
    against any person.
    (h) For purposes of this Section:
        (1) The term "facility" means:
            (A) any building, structure, installation,
        equipment, pipe or pipeline including but not limited
        to any pipe into a sewer or publicly owned treatment
        works, well, pit, pond, lagoon, impoundment, ditch,
        landfill, storage container, motor vehicle, rolling
        stock, or aircraft; or
            (B) any site or area where a hazardous substance
        has been deposited, stored, disposed of, placed, or
        otherwise come to be located.
        (2) The term "owner or operator" means:
            (A) any person owning or operating a vessel or
        facility;
            (B) in the case of an abandoned facility, any
        person owning or operating the abandoned facility or
        any person who owned, operated, or otherwise
        controlled activities at the abandoned facility
        immediately prior to such abandonment;
            (C) in the case of a land trust as defined in
        Section 2 of the Land Trustee as Creditor Act, the
        person owning the beneficial interest in the land
        trust;
            (D) in the case of a fiduciary (other than a land
        trustee), the estate, trust estate, or other interest
        in property held in a fiduciary capacity, and not the
        fiduciary. For the purposes of this Section,
        "fiduciary" means a trustee, executor, administrator,
        guardian, receiver, conservator or other person
        holding a facility or vessel in a fiduciary capacity;
            (E) in the case of a "financial institution",
        meaning the Illinois Housing Development Authority and
        that term as defined in Section 2 of the Illinois
        Banking Act, that has acquired ownership, operation,
        management, or control of a vessel or facility through
        foreclosure or under the terms of a security interest
        held by the financial institution or under the terms of
        an extension of credit made by the financial
        institution, the financial institution only if the
        financial institution takes possession of the vessel
        or facility and the financial institution exercises
        actual, direct, and continual or recurrent managerial
        control in the operation of the vessel or facility that
        causes a release or substantial threat of a release of
        a hazardous substance or pesticide resulting in
        removal or remedial action;
            (F) In the case of an owner of residential
        property, the owner if the owner is a person other than
        an individual, or if the owner is an individual who
        owns more than 10 dwelling units in Illinois, or if the
        owner, or an agent, representative, contractor, or
        employee of the owner, has caused, contributed to, or
        allowed the release or threatened release of a
        hazardous substance or pesticide. The term
        "residential property" means single family residences
        of one to 4 dwelling units, including accessory land,
        buildings, or improvements incidental to those
        dwellings that are exclusively used for the
        residential use. For purposes of this subparagraph
        (F), the term "individual" means a natural person, and
        shall not include corporations, partnerships, trusts,
        or other non-natural persons.
            (G) In the case of any facility, title or control
        of which was conveyed due to bankruptcy, foreclosure,
        tax delinquency, abandonment, or similar means to a
        unit of State or local government, any person who
        owned, operated, or otherwise controlled activities at
        the facility immediately beforehand.
            (H) The term "owner or operator" does not include a
        unit of State or local government which acquired
        ownership or control through bankruptcy, tax
        delinquency, abandonment, or other circumstances in
        which the government acquires title by virtue of its
        function as sovereign. The exclusion provided under
        this paragraph shall not apply to any State or local
        government which has caused or contributed to the
        release or threatened release of a hazardous substance
        from the facility, and such a State or local government
        shall be subject to the provisions of this Act in the
        same manner and to the same extent, both procedurally
        and substantively, as any nongovernmental entity,
        including liability under Section 22.2(f).
    (i) The costs and damages provided for in this Section may
be imposed by the Board in an action brought before the Board
in accordance with Title VIII of this Act, except that Section
33(c) of this Act shall not apply to any such action.
    (j)(1) There shall be no liability under this Section for a
person otherwise liable who can establish by a preponderance of
the evidence that the release or substantial threat of release
of a hazardous substance and the damages resulting therefrom
were caused solely by:
        (A) an act of God;
        (B) an act of war;
        (C) an act or omission of a third party other than an
    employee or agent of the defendant, or other than one whose
    act or omission occurs in connection with a contractual
    relationship, existing directly or indirectly, with the
    defendant (except where the sole contractual arrangement
    arises from a published tariff and acceptance for carriage
    by a common carrier by rail), if the defendant establishes
    by a preponderance of the evidence that (i) he exercised
    due care with respect to the hazardous substance concerned,
    taking into consideration the characteristics of such
    hazardous substance, in light of all relevant facts and
    circumstances, and (ii) he took precautions against
    foreseeable acts or omissions of any such third party and
    the consequences that could foreseeably result from such
    acts or omissions; or
        (D) any combination of the foregoing paragraphs.
    (2) There shall be no liability under this Section for any
release permitted by State or federal law.
    (3) There shall be no liability under this Section for
damages as a result of actions taken or omitted in the course
of rendering care, assistance, or advice in accordance with
this Section or the National Contingency Plan pursuant to the
Comprehensive Environmental Response, Compensation and
Liability Act of 1980 (P.L. 96-510) or at the direction of an
on-scene coordinator appointed under such plan, with respect to
an incident creating a danger to public health or welfare or
the environment as a result of any release of a hazardous
substance or a substantial threat thereof. This subsection
shall not preclude liability for damages as the result of gross
negligence or intentional misconduct on the part of such
person. For the purposes of the preceding sentence, reckless,
willful, or wanton misconduct shall constitute gross
negligence.
    (4) There shall be no liability under this Section for any
person (including, but not limited to, an owner of residential
property who applies a pesticide to the residential property or
who has another person apply a pesticide to the residential
property) for response costs or damages as the result of the
storage, handling and use, or recommendation for storage,
handling and use, of a pesticide consistent with:
        (A) its directions for storage, handling and use as
    stated in its label or labeling;
        (B) its warnings and cautions as stated in its label or
    labeling; and
        (C) the uses for which it is registered under the
    Federal Insecticide, Fungicide and Rodenticide Act and the
    Illinois Pesticide Act.
    (4.5) There shall be no liability under subdivision (f)(1)
of this Section for response costs or damages as the result of
a release of a pesticide from an agrichemical facility site if
the Agency has received notice from the Department of
Agriculture pursuant to Section 19.3 of the Illinois Pesticide
Act, the owner or operator of the agrichemical facility is
proceeding with a corrective action plan under the Agrichemical
Facility Response Action Program implemented under that
Section, and the Agency has provided a written endorsement of a
corrective action plan.
    (4.6) There shall be no liability under subdivision (f)(1)
of this Section for response costs or damages as the result of
a substantial threat of a release of a pesticide from an
agrichemical facility site if the Agency has received notice
from the Department of Agriculture pursuant to Section 19.3 of
the Illinois Pesticide Act and the owner or operator of the
agrichemical facility is proceeding with a corrective action
plan under the Agrichemical Facility Response Action Program
implemented under that Section.
    (5) Nothing in this subsection (j) shall affect or modify
in any way the obligations or liability of any person under any
other provision of this Act or State or federal law, including
common law, for damages, injury, or loss resulting from a
release or substantial threat of a release of any hazardous
substance or for removal or remedial action or the costs of
removal or remedial action of such hazardous substance.
    (6)(A) The term "contractual relationship", for the
purpose of this subsection includes, but is not limited to,
land contracts, deeds or other instruments transferring title
or possession, unless the real property on which the facility
concerned is located was acquired by the defendant after the
disposal or placement of the hazardous substance on, in, or at
the facility, and one or more of the circumstances described in
clause (i), (ii), or (iii) of this paragraph is also
established by the defendant by a preponderance of the
evidence:
        (i) At the time the defendant acquired the facility the
    defendant did not know and had no reason to know that any
    hazardous substance which is the subject of the release or
    threatened release was disposed of on, in or at the
    facility.
        (ii) The defendant is a government entity which
    acquired the facility by escheat, or through any other
    involuntary transfer or acquisition, or through the
    exercise of eminent domain authority by purchase or
    condemnation.
        (iii) The defendant acquired the facility by
    inheritance or bequest.
    In addition to establishing the foregoing, the defendant
must establish that he has satisfied the requirements of
subparagraph (C) of paragraph (l) of this subsection (j).
    (B) To establish the defendant had no reason to know, as
provided in clause (i) of subparagraph (A) of this paragraph,
the defendant must have undertaken, at the time of acquisition,
all appropriate inquiry into the previous ownership and uses of
the property consistent with good commercial or customary
practice in an effort to minimize liability. For purposes of
the preceding sentence, the court shall take into account any
specialized knowledge or experience on the part of the
defendant, the relationship of the purchase price to the value
of the property if uncontaminated, commonly known or reasonably
ascertainable information about the property, the obviousness
of the presence or likely presence of contamination at the
property, and the ability to detect such contamination by
appropriate inspection.
    (C) Nothing in this paragraph (6) or in subparagraph (C) of
paragraph (1) of this subsection shall diminish the liability
of any previous owner or operator of such facility who would
otherwise be liable under this Act. Notwithstanding this
paragraph (6), if the defendant obtained actual knowledge of
the release or threatened release of a hazardous substance at
such facility when the defendant owned the real property and
then subsequently transferred ownership of the property to
another person without disclosing such knowledge, such
defendant shall be treated as liable under subsection (f) of
this Section and no defense under subparagraph (C) of paragraph
(1) of this subsection shall be available to such defendant.
    (D) Nothing in this paragraph (6) shall affect the
liability under this Act of a defendant who, by any act or
omission, caused or contributed to the release or threatened
release of a hazardous substance which is the subject of the
action relating to the facility.
    (E)(i) Except as provided in clause (ii) of this
subparagraph (E), a defendant who has acquired real property
shall have established a rebuttable presumption against all
State claims and a conclusive presumption against all private
party claims that the defendant has made all appropriate
inquiry within the meaning of subdivision (6)(B) of this
subsection (j) if the defendant proves that immediately prior
to or at the time of the acquisition:
        (I) the defendant obtained a Phase I Environmental
    Audit of the real property that meets or exceeds the
    requirements of this subparagraph (E), and the Phase I
    Environmental Audit did not disclose the presence or likely
    presence of a release or a substantial threat of a release
    of a hazardous substance or pesticide at, on, to, or from
    the real property; or
        (II) the defendant obtained a Phase II Environmental
    Audit of the real property that meets or exceeds the
    requirements of this subparagraph (E), and the Phase II
    Environmental Audit did not disclose the presence or likely
    presence of a release or a substantial threat of a release
    of a hazardous substance or pesticide at, on, to, or from
    the real property.
    (ii) No presumption shall be created under clause (i) of
this subparagraph (E), and a defendant shall be precluded from
demonstrating that the defendant has made all appropriate
inquiry within the meaning of subdivision (6)(B) of this
subsection (j), if:
        (I) the defendant fails to obtain all Environmental
    Audits required under this subparagraph (E) or any such
    Environmental Audit fails to meet or exceed the
    requirements of this subparagraph (E);
        (II) a Phase I Environmental Audit discloses the
    presence or likely presence of a release or a substantial
    threat of a release of a hazardous substance or pesticide
    at, on, to, or from real property, and the defendant fails
    to obtain a Phase II Environmental Audit;
        (III) a Phase II Environmental Audit discloses the
    presence or likely presence of a release or a substantial
    threat of a release of a hazardous substance or pesticide
    at, on, to, or from the real property;
        (IV) the defendant fails to maintain a written
    compilation and explanatory summary report of the
    information reviewed in the course of each Environmental
    Audit under this subparagraph (E); or
        (V) there is any evidence of fraud, material
    concealment, or material misrepresentation by the
    defendant of environmental conditions or of related
    information discovered during the course of an
    Environmental Audit.
    (iii) For purposes of this subparagraph (E), the term
"environmental professional" means an individual (other than a
practicing attorney) who, through academic training,
occupational experience, and reputation (such as engineers,
industrial hygienists, or geologists) can objectively conduct
one or more aspects of an Environmental Audit and who either:
        (I) maintains at the time of the Environmental Audit
    and for at least one year thereafter at least $500,000 of
    environmental consultants' professional liability
    insurance coverage issued by an insurance company licensed
    to do business in Illinois; or
        (II) is an Illinois licensed professional engineer or
    an Illinois licensed industrial hygienist.
    An environmental professional may employ persons who are
not environmental professionals to assist in the preparation of
an Environmental Audit if such persons are under the direct
supervision and control of the environmental professional.
    (iv) For purposes of this subparagraph (E), the term "real
property" means any interest in any parcel of land, and
includes, but is not limited to, buildings, fixtures, and
improvements.
    (v) For purposes of this subparagraph (E), the term "Phase
I Environmental Audit" means an investigation of real property,
conducted by environmental professionals, to discover the
presence or likely presence of a release or a substantial
threat of a release of a hazardous substance or pesticide at,
on, to, or from real property, and whether a release or a
substantial threat of a release of a hazardous substance or
pesticide has occurred or may occur at, on, to, or from the
real property. Until such time as the United States
Environmental Protection Agency establishes standards for
making appropriate inquiry into the previous ownership and uses
of the facility pursuant to 42 U.S.C. Sec. 9601(35)(B)(ii), the
investigation shall comply with the procedures of the American
Society for Testing and Materials, including the document known
as Standard E1527-97, entitled "Standard Procedures for
Environmental Site Assessment: Phase 1 Environmental Site
Assessment Process". Upon their adoption, the standards
promulgated by USEPA pursuant to 42 U.S.C. Sec. 9601(35)(B)(ii)
shall govern the performance of Phase I Environmental Audits.
In addition to the above requirements, the Phase I
Environmental Audit shall include a review of recorded land
title records for the purpose of determining whether the real
property is subject to an environmental land use restriction
such as a No Further Remediation Letter, Environmental Land Use
Control, or Highway Authority Agreement.
    (vi) For purposes of subparagraph (E), the term "Phase II
Environmental Audit" means an investigation of real property,
conducted by environmental professionals, subsequent to a
Phase I Environmental Audit. If the Phase I Environmental Audit
discloses the presence or likely presence of a hazardous
substance or a pesticide or a release or a substantial threat
of a release of a hazardous substance or pesticide:
        (I) In or to soil, the defendant, as part of the Phase
    II Environmental Audit, shall perform a series of soil
    borings sufficient to determine whether there is a presence
    or likely presence of a hazardous substance or pesticide
    and whether there is or has been a release or a substantial
    threat of a release of a hazardous substance or pesticide
    at, on, to, or from the real property.
        (II) In or to groundwater, the defendant, as part of
    the Phase II Environmental Audit, shall: review
    information regarding local geology, water well locations,
    and locations of waters of the State as may be obtained
    from State, federal, and local government records,
    including but not limited to the United States Geological
    Survey, the State Geological Survey of the University of
    Illinois, and the State Water Survey of the University of
    Illinois; and perform groundwater monitoring sufficient to
    determine whether there is a presence or likely presence of
    a hazardous substance or pesticide, and whether there is or
    has been a release or a substantial threat of a release of
    a hazardous substance or pesticide at, on, to, or from the
    real property.
        (III) On or to media other than soil or groundwater,
    the defendant, as part of the Phase II Environmental Audit,
    shall perform an investigation sufficient to determine
    whether there is a presence or likely presence of a
    hazardous substance or pesticide, and whether there is or
    has been a release or a substantial threat of a release of
    a hazardous substance or pesticide at, on, to, or from the
    real property.
    (vii) The findings of each Environmental Audit prepared
under this subparagraph (E) shall be set forth in a written
audit report. Each audit report shall contain an affirmation by
the defendant and by each environmental professional who
prepared the Environmental Audit that the facts stated in the
report are true and are made under a penalty of perjury as
defined in Section 32-2 of the Criminal Code of 2012 1961. It
is perjury for any person to sign an audit report that contains
a false material statement that the person does not believe to
be true.
    (viii) The Agency is not required to review, approve, or
certify the results of any Environmental Audit. The performance
of an Environmental Audit shall in no way entitle a defendant
to a presumption of Agency approval or certification of the
results of the Environmental Audit.
    The presence or absence of a disclosure document prepared
under the Responsible Property Transfer Act of 1988 shall not
be a defense under this Act and shall not satisfy the
requirements of subdivision (6)(A) of this subsection (j).
    (7) No person shall be liable under this Section for
response costs or damages as the result of a pesticide release
if the Agency has found that a pesticide release occurred based
on a Health Advisory issued by the U.S. Environmental
Protection Agency or an action level developed by the Agency,
unless the Agency notified the manufacturer of the pesticide
and provided an opportunity of not less than 30 days for the
manufacturer to comment on the technical and scientific
justification supporting the Health Advisory or action level.
    (8) No person shall be liable under this Section for
response costs or damages as the result of a pesticide release
that occurs in the course of a farm pesticide collection
program operated under Section 19.1 of the Illinois Pesticide
Act, unless the release results from gross negligence or
intentional misconduct.
    (k) If any person who is liable for a release or
substantial threat of release of a hazardous substance or
pesticide fails without sufficient cause to provide removal or
remedial action upon or in accordance with a notice and request
by the Agency or upon or in accordance with any order of the
Board or any court, such person may be liable to the State for
punitive damages in an amount at least equal to, and not more
than 3 times, the amount of any costs incurred by the State of
Illinois as a result of such failure to take such removal or
remedial action. The punitive damages imposed by the Board
shall be in addition to any costs recovered from such person
pursuant to this Section and in addition to any other penalty
or relief provided by this Act or any other law.
    Any monies received by the State pursuant to this
subsection (k) shall be deposited in the Hazardous Waste Fund.
    (l) Beginning January 1, 1988, and prior to January 1,
2013, the Agency shall annually collect a $250 fee for each
Special Waste Hauling Permit Application and, in addition,
shall collect a fee of $20 for each waste hauling vehicle
identified in the annual permit application and for each
vehicle which is added to the permit during the annual period.
Beginning January 1, 2013, the Agency shall issue 3-year
Special Waste Hauling Permits instead of annual Special Waste
Hauling Permits and shall collect a $750 fee for each Special
Waste Hauling Permit Application. In addition, beginning
January 1, 2013, the Agency shall collect a fee of $60 for each
waste hauling vehicle identified in the permit application and
for each vehicle that is added to the permit during the 3-year
period. The Agency shall deposit 85% of such fees collected
under this subsection in the State Treasury to the credit of
the Hazardous Waste Research Fund; and shall deposit the
remaining 15% of such fees collected in the State Treasury to
the credit of the Environmental Protection Permit and
Inspection Fund. The majority of such receipts which are
deposited in the Hazardous Waste Research Fund pursuant to this
subsection shall be used by the University of Illinois for
activities which relate to the protection of underground
waters.
    (l-5) (Blank).
    (m) (Blank).
    (n) (Blank).
(Source: P.A. 97-220, eff. 7-28-11; 97-1081, eff. 8-24-12.)
 
    (415 ILCS 5/44)  (from Ch. 111 1/2, par. 1044)
    Sec. 44. Criminal acts; penalties.
    (a) Except as otherwise provided in this Section, it shall
be a Class A misdemeanor to violate this Act or regulations
thereunder, or any permit or term or condition thereof, or
knowingly to submit any false information under this Act or
regulations adopted thereunder, or under any permit or term or
condition thereof. A court may, in addition to any other
penalty herein imposed, order a person convicted of any
violation of this Act to perform community service for not less
than 100 hours and not more than 300 hours if community service
is available in the jurisdiction. It shall be the duty of all
State and local law-enforcement officers to enforce such Act
and regulations, and all such officers shall have authority to
issue citations for such violations.
 
    (b) Calculated Criminal Disposal of Hazardous Waste.
        (1) A person commits the offense of Calculated Criminal
    Disposal of Hazardous Waste when, without lawful
    justification, he knowingly disposes of hazardous waste
    while knowing that he thereby places another person in
    danger of great bodily harm or creates an immediate or
    long-term danger to the public health or the environment.
        (2) Calculated Criminal Disposal of Hazardous Waste is
    a Class 2 felony. In addition to any other penalties
    prescribed by law, a person convicted of the offense of
    Calculated Criminal Disposal of Hazardous Waste is subject
    to a fine not to exceed $500,000 for each day of such
    offense.
 
    (c) Criminal Disposal of Hazardous Waste.
        (1) A person commits the offense of Criminal Disposal
    of Hazardous Waste when, without lawful justification, he
    knowingly disposes of hazardous waste.
        (2) Criminal Disposal of Hazardous Waste is a Class 3
    felony. In addition to any other penalties prescribed by
    law, a person convicted of the offense of Criminal Disposal
    of Hazardous Waste is subject to a fine not to exceed
    $250,000 for each day of such offense.
 
    (d) Unauthorized Use of Hazardous Waste.
        (1) A person commits the offense of Unauthorized Use of
    Hazardous Waste when he, being required to have a permit,
    registration, or license under this Act or any other law
    regulating the treatment, transportation, or storage of
    hazardous waste, knowingly:
            (A) treats, transports, or stores any hazardous
        waste without such permit, registration, or license;
            (B) treats, transports, or stores any hazardous
        waste in violation of the terms and conditions of such
        permit or license;
            (C) transports any hazardous waste to a facility
        which does not have a permit or license required under
        this Act; or
            (D) transports by vehicle any hazardous waste
        without having in each vehicle credentials issued to
        the transporter by the transporter's base state
        pursuant to procedures established under the Uniform
        Program.
        (2) A person who is convicted of a violation of
    subparagraph (A), (B), or (C) of paragraph (1) of this
    subsection is guilty of a Class 4 felony. A person who is
    convicted of a violation of subparagraph (D) of paragraph
    (1) of this subsection is guilty of a Class A misdemeanor.
    In addition to any other penalties prescribed by law, a
    person convicted of violating subparagraph (A), (B), or (C)
    of paragraph (1) of this subsection is subject to a fine
    not to exceed $100,000 for each day of such violation, and
    a person who is convicted of violating subparagraph (D) of
    paragraph (1) of this subsection is subject to a fine not
    to exceed $1,000.
 
    (e) Unlawful Delivery of Hazardous Waste.
        (1) Except as authorized by this Act or the federal
    Resource Conservation and Recovery Act, and the
    regulations promulgated thereunder, it is unlawful for any
    person to knowingly deliver hazardous waste.
        (2) Unlawful Delivery of Hazardous Waste is a Class 3
    felony. In addition to any other penalties prescribed by
    law, a person convicted of the offense of Unlawful Delivery
    of Hazardous Waste is subject to a fine not to exceed
    $250,000 for each such violation.
        (3) For purposes of this Section, "deliver" or
    "delivery" means the actual, constructive, or attempted
    transfer of possession of hazardous waste, with or without
    consideration, whether or not there is an agency
    relationship.
 
    (f) Reckless Disposal of Hazardous Waste.
        (1) A person commits Reckless Disposal of Hazardous
    Waste if he disposes of hazardous waste, and his acts which
    cause the hazardous waste to be disposed of, whether or not
    those acts are undertaken pursuant to or under color of any
    permit or license, are performed with a conscious disregard
    of a substantial and unjustifiable risk that such disposing
    of hazardous waste is a gross deviation from the standard
    of care which a reasonable person would exercise in the
    situation.
        (2) Reckless Disposal of Hazardous Waste is a Class 4
    felony. In addition to any other penalties prescribed by
    law, a person convicted of the offense of Reckless Disposal
    of Hazardous Waste is subject to a fine not to exceed
    $50,000 for each day of such offense.
 
    (g) Concealment of Criminal Disposal of Hazardous Waste.
        (1) A person commits the offense of Concealment of
    Criminal Disposal of Hazardous Waste when he conceals,
    without lawful justification, the disposal of hazardous
    waste with the knowledge that such hazardous waste has been
    disposed of in violation of this Act.
        (2) Concealment of Criminal Disposal of a Hazardous
    Waste is a Class 4 felony. In addition to any other
    penalties prescribed by law, a person convicted of the
    offense of Concealment of Criminal Disposal of Hazardous
    Waste is subject to a fine not to exceed $50,000 for each
    day of such offense.
 
    (h) Violations; False Statements.
        (1) Any person who knowingly makes a false material
    statement in an application for a permit or license
    required by this Act to treat, transport, store, or dispose
    of hazardous waste commits the offense of perjury and shall
    be subject to the penalties set forth in Section 32-2 of
    the Criminal Code of 2012 1961.
        (2) Any person who knowingly makes a false material
    statement or representation in any label, manifest,
    record, report, permit or license, or other document filed,
    maintained, or used for the purpose of compliance with this
    Act in connection with the generation, disposal,
    treatment, storage, or transportation of hazardous waste
    commits a Class 4 felony. A second or any subsequent
    offense after conviction hereunder is a Class 3 felony.
        (3) Any person who knowingly destroys, alters, or
    conceals any record required to be made by this Act in
    connection with the disposal, treatment, storage, or
    transportation of hazardous waste commits a Class 4 felony.
    A second or any subsequent offense after a conviction
    hereunder is a Class 3 felony.
        (4) Any person who knowingly makes a false material
    statement or representation in any application, bill,
    invoice, or other document filed, maintained, or used for
    the purpose of receiving money from the Underground Storage
    Tank Fund commits a Class 4 felony. A second or any
    subsequent offense after conviction hereunder is a Class 3
    felony.
        (5) Any person who knowingly destroys, alters, or
    conceals any record required to be made or maintained by
    this Act or required to be made or maintained by Board or
    Agency rules for the purpose of receiving money from the
    Underground Storage Tank Fund commits a Class 4 felony. A
    second or any subsequent offense after a conviction
    hereunder is a Class 3 felony.
        (6) A person who knowingly and falsely certifies under
    Section 22.48 that an industrial process waste or pollution
    control waste is not special waste commits a Class 4 felony
    for a first offense and commits a Class 3 felony for a
    second or subsequent offense.
        (7) In addition to any other penalties prescribed by
    law, a person convicted of violating this subsection (h) is
    subject to a fine not to exceed $50,000 for each day of
    such violation.
        (8) Any person who knowingly makes a false, fictitious,
    or fraudulent material statement, orally or in writing, to
    the Agency, or to a unit of local government to which the
    Agency has delegated authority under subsection (r) of
    Section 4 of this Act, related to or required by this Act,
    a regulation adopted under this Act, any federal law or
    regulation for which the Agency has responsibility, or any
    permit, term, or condition thereof, commits a Class 4
    felony, and each such statement or writing shall be
    considered a separate Class 4 felony. A person who, after
    being convicted under this paragraph (8), violates this
    paragraph (8) a second or subsequent time, commits a Class
    3 felony.
 
    (i) Verification.
        (1) Each application for a permit or license to dispose
    of, transport, treat, store, or generate hazardous waste
    under this Act shall contain an affirmation that the facts
    are true and are made under penalty of perjury as defined
    in Section 32-2 of the Criminal Code of 2012 1961. It is
    perjury for a person to sign any such application for a
    permit or license which contains a false material
    statement, which he does not believe to be true.
        (2) Each request for money from the Underground Storage
    Tank Fund shall contain an affirmation that the facts are
    true and are made under penalty of perjury as defined in
    Section 32-2 of the Criminal Code of 2012 1961. It is
    perjury for a person to sign any request that contains a
    false material statement that he does not believe to be
    true.
 
    (j) Violations of Other Provisions.
        (1) It is unlawful for a person knowingly to violate:
            (A) subsection (f) of Section 12 of this Act;
            (B) subsection (g) of Section 12 of this Act;
            (C) any term or condition of any Underground
        Injection Control (UIC) permit;
            (D) any filing requirement, regulation, or order
        relating to the State Underground Injection Control
        (UIC) program;
            (E) any provision of any regulation, standard, or
        filing requirement under subsection (b) of Section 13
        of this Act;
            (F) any provision of any regulation, standard, or
        filing requirement under subsection (b) of Section 39
        of this Act;
            (G) any National Pollutant Discharge Elimination
        System (NPDES) permit issued under this Act or any term
        or condition of such permit;
            (H) subsection (h) of Section 12 of this Act;
            (I) subsection 6 of Section 39.5 of this Act;
            (J) any provision of any regulation, standard or
        filing requirement under Section 39.5 of this Act;
            (K) a provision of the Procedures for Asbestos
        Emission Control in subsection (c) of Section 61.145 of
        Title 40 of the Code of Federal Regulations; or
            (L) the standard for waste disposal for
        manufacturing, fabricating, demolition, renovation,
        and spraying operations in Section 61.150 of Title 40
        of the Code of Federal Regulations.
        (2) A person convicted of a violation of subdivision
    (1) of this subsection commits a Class 4 felony, and in
    addition to any other penalty prescribed by law is subject
    to a fine not to exceed $25,000 for each day of such
    violation.
        (3) A person who negligently violates the following
    shall be subject to a fine not to exceed $10,000 for each
    day of such violation:
            (A) subsection (f) of Section 12 of this Act;
            (B) subsection (g) of Section 12 of this Act;
            (C) any provision of any regulation, standard, or
        filing requirement under subsection (b) of Section 13
        of this Act;
            (D) any provision of any regulation, standard, or
        filing requirement under subsection (b) of Section 39
        of this Act;
            (E) any National Pollutant Discharge Elimination
        System (NPDES) permit issued under this Act;
            (F) subsection 6 of Section 39.5 of this Act; or
            (G) any provision of any regulation, standard, or
        filing requirement under Section 39.5 of this Act.
        (4) It is unlawful for a person knowingly to:
            (A) make any false statement, representation, or
        certification in an application form, or form
        pertaining to, a National Pollutant Discharge
        Elimination System (NPDES) permit;
            (B) render inaccurate any monitoring device or
        record required by the Agency or Board in connection
        with any such permit or with any discharge which is
        subject to the provisions of subsection (f) of Section
        12 of this Act;
            (C) make any false statement, representation, or
        certification in any form, notice, or report
        pertaining to a CAAPP permit under Section 39.5 of this
        Act;
            (D) render inaccurate any monitoring device or
        record required by the Agency or Board in connection
        with any CAAPP permit or with any emission which is
        subject to the provisions of Section 39.5 of this Act;
        or
            (E) violate subsection 6 of Section 39.5 of this
        Act or any CAAPP permit, or term or condition thereof,
        or any fee or filing requirement.
        (5) A person convicted of a violation of paragraph (4)
    of this subsection commits a Class A misdemeanor, and in
    addition to any other penalties provided by law is subject
    to a fine not to exceed $10,000 for each day of violation.
 
    (k) Criminal operation of a hazardous waste or PCB
incinerator.
        (1) A person commits the offense of criminal operation
    of a hazardous waste or PCB incinerator when, in the course
    of operating a hazardous waste or PCB incinerator, he
    knowingly and without justification operates the
    incinerator (i) without an Agency permit, or in knowing
    violation of the terms of an Agency permit, and (ii) as a
    result of such violation, knowingly places any person in
    danger of great bodily harm or knowingly creates an
    immediate or long term material danger to the public health
    or the environment.
        (2) Any person who commits the offense of criminal
    operation of a hazardous waste or PCB incinerator for the
    first time commits a Class 4 felony and, in addition to any
    other penalties prescribed by law, shall be subject to a
    fine not to exceed $100,000 for each day of the offense.
        Any person who commits the offense of criminal
    operation of a hazardous waste or PCB incinerator for a
    second or subsequent time commits a Class 3 felony and, in
    addition to any other penalties prescribed by law, shall be
    subject to a fine not to exceed $250,000 for each day of
    the offense.
        (3) For the purpose of this subsection (k), the term
    "hazardous waste or PCB incinerator" means a pollution
    control facility at which either hazardous waste or PCBs,
    or both, are incinerated. "PCBs" means any substance or
    mixture of substances that contains one or more
    polychlorinated biphenyls in detectable amounts.
 
    (l) It shall be the duty of all State and local law
enforcement officers to enforce this Act and the regulations
adopted hereunder, and all such officers shall have authority
to issue citations for such violations.
 
    (m) Any action brought under this Section shall be brought
by the State's Attorney of the county in which the violation
occurred, or by the Attorney General, and shall be conducted in
accordance with the applicable provisions of the Code of
Criminal Procedure of 1963.
 
    (n) For an offense described in this Section, the period
for commencing prosecution prescribed by the statute of
limitations shall not begin to run until the offense is
discovered by or reported to a State or local agency having the
authority to investigate violations of this Act.
 
    (o) In addition to any other penalties provided under this
Act, if a person is convicted of (or agrees to a settlement in
an enforcement action over) illegal dumping of waste on the
person's own property, the Attorney General, the Agency, or
local prosecuting authority shall file notice of the
conviction, finding, or agreement in the office of the Recorder
in the county in which the landowner lives.
 
    (p) Criminal Disposal of Waste.
        (1) A person commits the offense of Criminal Disposal
    of Waste when he or she:
            (A) if required to have a permit under subsection
        (d) of Section 21 of this Act, knowingly conducts a
        waste-storage, waste-treatment, or waste-disposal
        operation in a quantity that exceeds 250 cubic feet of
        waste without a permit; or
            (B) knowingly conducts open dumping of waste in
        violation of subsection (a) of Section 21 of this Act.
        (2) (A) A person who is convicted of a violation of
    subparagraph (A) of paragraph (1) of this subsection is
    guilty of a Class 4 felony for a first offense and, in
    addition to any other penalties provided by law, is subject
    to a fine not to exceed $25,000 for each day of violation.
    A person who is convicted of a violation of subparagraph
    (A) of paragraph (1) of this subsection is guilty of a
    Class 3 felony for a second or subsequent offense and, in
    addition to any other penalties provided by law, is subject
    to a fine not to exceed $50,000 for each day of violation.
            (B) A person who is convicted of a violation of
        subparagraph (B) of paragraph (1) of this subsection is
        guilty of a Class A misdemeanor. However, a person who
        is convicted of a violation of subparagraph (B) of
        paragraph (1) of this subsection for the open dumping
        of waste in a quantity that exceeds 250 cubic feet or
        that exceeds 50 waste tires is guilty of a Class 4
        felony and, in addition to any other penalties provided
        by law, is subject to a fine not to exceed $25,000 for
        each day of violation.
 
    (q) Criminal Damage to a Public Water Supply.
        (1) A person commits the offense of Criminal Damage to
    a Public Water Supply when, without lawful justification,
    he knowingly alters, damages, or otherwise tampers with the
    equipment or property of a public water supply, or
    knowingly introduces a contaminant into the distribution
    system of a public water supply so as to cause, threaten,
    or allow the distribution of water from any public water
    supply of such quality or quantity as to be injurious to
    human health or the environment.
        (2) Criminal Damage to a Public Water Supply is a Class
    4 felony. In addition to any other penalties prescribed by
    law, a person convicted of the offense of Criminal Damage
    to a Public Water Supply is subject to a fine not to exceed
    $250,000 for each day of such offense.
 
    (r) Aggravated Criminal Damage to a Public Water Supply.
        (1) A person commits the offense of Aggravated Criminal
    Damage to a Public Water Supply when, without lawful
    justification, he commits Criminal Damage to a Public Water
    Supply while knowing that he thereby places another person
    in danger of serious illness or great bodily harm, or
    creates an immediate or long-term danger to public health
    or the environment.
        (2) Aggravated Criminal Damage to a Public Water Supply
    is a Class 2 felony. In addition to any other penalties
    prescribed by law, a person convicted of the offense of
    Aggravated Criminal Damage to a Public Water Supply is
    subject to a fine not to exceed $500,000 for each day of
    such offense.
(Source: P.A. 96-603, eff. 8-24-09; 97-220, eff. 7-28-11;
97-286, eff. 8-10-11; 97-813, eff. 7-13-12.)
 
    Section 545. The Firearm Owners Identification Card Act is
amended by changing Sections 1, 1.1, 3.1, 3.2, and 10 as
follows:
 
    (430 ILCS 65/1)  (from Ch. 38, par. 83-1)
    Sec. 1. It is hereby declared as a matter of legislative
determination that in order to promote and protect the health,
safety and welfare of the public, it is necessary and in the
public interest to provide a system of identifying persons who
are not qualified to acquire or possess firearms, firearm
ammunition, stun guns, and tasers within the State of Illinois
by the establishment of a system of Firearm Owner's
Identification Cards, thereby establishing a practical and
workable system by which law enforcement authorities will be
afforded an opportunity to identify those persons who are
prohibited by Section 24-3.1 of the "Criminal Code of 2012
1961", as amended, from acquiring or possessing firearms and
firearm ammunition and who are prohibited by this Act from
acquiring stun guns and tasers.
(Source: P.A. 94-6, eff. 1-1-06.)
 
    (430 ILCS 65/1.1)  (from Ch. 38, par. 83-1.1)
    Sec. 1.1. For purposes of this Act:
    "Has been adjudicated as a mental defective" means the
person is the subject of a determination by a court, board,
commission or other lawful authority that a person, as a result
of marked subnormal intelligence, or mental illness, mental
impairment, incompetency, condition, or disease:
        (1) is a danger to himself, herself, or to others;
        (2) lacks the mental capacity to manage his or her own
    affairs;
        (3) is not guilty in a criminal case by reason of
    insanity, mental disease or defect;
        (4) is incompetent to stand trial in a criminal case;
        (5) is not guilty by reason of lack of mental
    responsibility pursuant to Articles 50a and 72b of the
    Uniform Code of Military Justice, 10 U.S.C. 850a, 876b.
    "Counterfeit" means to copy or imitate, without legal
authority, with intent to deceive.
    "Federally licensed firearm dealer" means a person who is
licensed as a federal firearms dealer under Section 923 of the
federal Gun Control Act of 1968 (18 U.S.C. 923).
    "Firearm" means any device, by whatever name known, which
is designed to expel a projectile or projectiles by the action
of an explosion, expansion of gas or escape of gas; excluding,
however:
        (1) any pneumatic gun, spring gun, paint ball gun, or
    B-B gun which expels a single globular projectile not
    exceeding .18 inch in diameter or which has a maximum
    muzzle velocity of less than 700 feet per second;
        (1.1) any pneumatic gun, spring gun, paint ball gun, or
    B-B gun which expels breakable paint balls containing
    washable marking colors;
        (2) any device used exclusively for signalling or
    safety and required or recommended by the United States
    Coast Guard or the Interstate Commerce Commission;
        (3) any device used exclusively for the firing of stud
    cartridges, explosive rivets or similar industrial
    ammunition; and
        (4) an antique firearm (other than a machine-gun)
    which, although designed as a weapon, the Department of
    State Police finds by reason of the date of its
    manufacture, value, design, and other characteristics is
    primarily a collector's item and is not likely to be used
    as a weapon.
    "Firearm ammunition" means any self-contained cartridge or
shotgun shell, by whatever name known, which is designed to be
used or adaptable to use in a firearm; excluding, however:
        (1) any ammunition exclusively designed for use with a
    device used exclusively for signalling or safety and
    required or recommended by the United States Coast Guard or
    the Interstate Commerce Commission; and
        (2) any ammunition designed exclusively for use with a
    stud or rivet driver or other similar industrial
    ammunition.
    "Gun show" means an event or function:
        (1) at which the sale and transfer of firearms is the
    regular and normal course of business and where 50 or more
    firearms are displayed, offered, or exhibited for sale,
    transfer, or exchange; or
        (2) at which not less than 10 gun show vendors display,
    offer, or exhibit for sale, sell, transfer, or exchange
    firearms.
    "Gun show" includes the entire premises provided for an
event or function, including parking areas for the event or
function, that is sponsored to facilitate the purchase, sale,
transfer, or exchange of firearms as described in this Section.
    "Gun show" does not include training or safety classes,
competitive shooting events, such as rifle, shotgun, or handgun
matches, trap, skeet, or sporting clays shoots, dinners,
banquets, raffles, or any other event where the sale or
transfer of firearms is not the primary course of business.
    "Gun show promoter" means a person who organizes or
operates a gun show.
    "Gun show vendor" means a person who exhibits, sells,
offers for sale, transfers, or exchanges any firearms at a gun
show, regardless of whether the person arranges with a gun show
promoter for a fixed location from which to exhibit, sell,
offer for sale, transfer, or exchange any firearm.
    "Sanctioned competitive shooting event" means a shooting
contest officially recognized by a national or state shooting
sport association, and includes any sight-in or practice
conducted in conjunction with the event.
    "Stun gun or taser" has the meaning ascribed to it in
Section 24-1 of the Criminal Code of 2012 1961.
(Source: P.A. 97-776, eff. 7-13-12.)
 
    (430 ILCS 65/3.1)  (from Ch. 38, par. 83-3.1)
    Sec. 3.1. Dial up system.
    (a) The Department of State Police shall provide a dial up
telephone system or utilize other existing technology which
shall be used by any federally licensed firearm dealer, gun
show promoter, or gun show vendor who is to transfer a firearm,
stun gun, or taser under the provisions of this Act. The
Department of State Police may utilize existing technology
which allows the caller to be charged a fee not to exceed $2.
Fees collected by the Department of State Police shall be
deposited in the State Police Services Fund and used to provide
the service.
    (b) Upon receiving a request from a federally licensed
firearm dealer, gun show promoter, or gun show vendor, the
Department of State Police shall immediately approve, or within
the time period established by Section 24-3 of the Criminal
Code of 2012 1961 regarding the delivery of firearms, stun
guns, and tasers notify the inquiring dealer, gun show
promoter, or gun show vendor of any objection that would
disqualify the transferee from acquiring or possessing a
firearm, stun gun, or taser. In conducting the inquiry, the
Department of State Police shall initiate and complete an
automated search of its criminal history record information
files and those of the Federal Bureau of Investigation,
including the National Instant Criminal Background Check
System, and of the files of the Department of Human Services
relating to mental health and developmental disabilities to
obtain any felony conviction or patient hospitalization
information which would disqualify a person from obtaining or
require revocation of a currently valid Firearm Owner's
Identification Card.
    (c) If receipt of a firearm would not violate Section 24-3
of the Criminal Code of 2012 1961, federal law, or this Act the
Department of State Police shall:
        (1) assign a unique identification number to the
    transfer; and
        (2) provide the licensee, gun show promoter, or gun
    show vendor with the number.
    (d) Approvals issued by the Department of State Police for
the purchase of a firearm are valid for 30 days from the date
of issue.
    (e) (1) The Department of State Police must act as the
Illinois Point of Contact for the National Instant Criminal
Background Check System.
    (2) The Department of State Police and the Department of
Human Services shall, in accordance with State and federal law
regarding confidentiality, enter into a memorandum of
understanding with the Federal Bureau of Investigation for the
purpose of implementing the National Instant Criminal
Background Check System in the State. The Department of State
Police shall report the name, date of birth, and physical
description of any person prohibited from possessing a firearm
pursuant to the Firearm Owners Identification Card Act or 18
U.S.C. 922(g) and (n) to the National Instant Criminal
Background Check System Index, Denied Persons Files.
    (f) The Department of State Police shall promulgate rules
not inconsistent with this Section to implement this system.
(Source: P.A. 94-6, eff. 1-1-06; 94-353, eff. 7-29-05; 95-331,
eff. 8-21-07; 95-564, eff. 6-1-08.)
 
    (430 ILCS 65/3.2)
    Sec. 3.2. List of prohibited projectiles; notice to
dealers. Prior to January 1, 2002, the Department of State
Police shall list on the Department's World Wide Web site all
firearm projectiles that are prohibited under Sections 24-2.1,
24-2.2, and 24-3.2 of the Criminal Code of 2012 1961, together
with a statement setting forth the sentence that may be imposed
for violating those Sections. The Department of State Police
shall, prior to January 1, 2002, send a list of all firearm
projectiles that are prohibited under Sections 24-2.1, 24-2.2,
and 24-3.2 of the Criminal Code of 2012 1961 to each federally
licensed firearm dealer in Illinois registered with the
Department.
(Source: P.A. 92-423, eff. 1-1-02.)
 
    (430 ILCS 65/10)  (from Ch. 38, par. 83-10)
    Sec. 10. Appeal to director; hearing; relief from firearm
prohibitions.
    (a) Whenever an application for a Firearm Owner's
Identification Card is denied, whenever the Department fails to
act on an application within 30 days of its receipt, or
whenever such a Card is revoked or seized as provided for in
Section 8 of this Act, the aggrieved party may appeal to the
Director of State Police for a hearing upon such denial,
revocation or seizure, unless the denial, revocation, or
seizure was based upon a forcible felony, stalking, aggravated
stalking, domestic battery, any violation of the Illinois
Controlled Substances Act, the Methamphetamine Control and
Community Protection Act, or the Cannabis Control Act that is
classified as a Class 2 or greater felony, any felony violation
of Article 24 of the Criminal Code of 1961 or the Criminal Code
of 2012, or any adjudication as a delinquent minor for the
commission of an offense that if committed by an adult would be
a felony, in which case the aggrieved party may petition the
circuit court in writing in the county of his or her residence
for a hearing upon such denial, revocation, or seizure.
    (b) At least 30 days before any hearing in the circuit
court, the petitioner shall serve the relevant State's Attorney
with a copy of the petition. The State's Attorney may object to
the petition and present evidence. At the hearing the court
shall determine whether substantial justice has been done.
Should the court determine that substantial justice has not
been done, the court shall issue an order directing the
Department of State Police to issue a Card. However, the court
shall not issue the order if the petitioner is otherwise
prohibited from obtaining, possessing, or using a firearm under
federal law.
    (c) Any person prohibited from possessing a firearm under
Sections 24-1.1 or 24-3.1 of the Criminal Code of 2012 1961 or
acquiring a Firearm Owner's Identification Card under Section 8
of this Act may apply to the Director of State Police or
petition the circuit court in the county where the petitioner
resides, whichever is applicable in accordance with subsection
(a) of this Section, requesting relief from such prohibition
and the Director or court may grant such relief if it is
established by the applicant to the court's or Director's
satisfaction that:
        (0.05) when in the circuit court, the State's Attorney
    has been served with a written copy of the petition at
    least 30 days before any such hearing in the circuit court
    and at the hearing the State's Attorney was afforded an
    opportunity to present evidence and object to the petition;
        (1) the applicant has not been convicted of a forcible
    felony under the laws of this State or any other
    jurisdiction within 20 years of the applicant's
    application for a Firearm Owner's Identification Card, or
    at least 20 years have passed since the end of any period
    of imprisonment imposed in relation to that conviction;
        (2) the circumstances regarding a criminal conviction,
    where applicable, the applicant's criminal history and his
    reputation are such that the applicant will not be likely
    to act in a manner dangerous to public safety;
        (3) granting relief would not be contrary to the public
    interest; and
        (4) granting relief would not be contrary to federal
    law.
    (d) When a minor is adjudicated delinquent for an offense
which if committed by an adult would be a felony, the court
shall notify the Department of State Police.
    (e) The court shall review the denial of an application or
the revocation of a Firearm Owner's Identification Card of a
person who has been adjudicated delinquent for an offense that
if committed by an adult would be a felony if an application
for relief has been filed at least 10 years after the
adjudication of delinquency and the court determines that the
applicant should be granted relief from disability to obtain a
Firearm Owner's Identification Card. If the court grants
relief, the court shall notify the Department of State Police
that the disability has been removed and that the applicant is
eligible to obtain a Firearm Owner's Identification Card.
    (f) Any person who is subject to the disabilities of 18
U.S.C. 922(d)(4) and 922(g)(4) of the federal Gun Control Act
of 1968 because of an adjudication or commitment that occurred
under the laws of this State or who was determined to be
subject to the provisions of subsections (e), (f), or (g) of
Section 8 of this Act may apply to the Department of State
Police requesting relief from that prohibition. The Director
shall grant the relief if it is established by a preponderance
of the evidence that the person will not be likely to act in a
manner dangerous to public safety and that granting relief
would not be contrary to the public interest. In making this
determination, the Director shall receive evidence concerning
(i) the circumstances regarding the firearms disabilities from
which relief is sought; (ii) the petitioner's mental health and
criminal history records, if any; (iii) the petitioner's
reputation, developed at a minimum through character witness
statements, testimony, or other character evidence; and (iv)
changes in the petitioner's condition or circumstances since
the disqualifying events relevant to the relief sought. If
relief is granted under this subsection or by order of a court
under this Section, the Director shall as soon as practicable
but in no case later than 15 business days, update, correct,
modify, or remove the person's record in any database that the
Department of State Police makes available to the National
Instant Criminal Background Check System and notify the United
States Attorney General that the basis for the record being
made available no longer applies. The Department of State
Police shall adopt rules for the administration of this
subsection (f).
(Source: P.A. 96-1368, eff. 7-28-10; 97-1131, eff. 1-1-13.)
 
    Section 550. The Carnival and Amusement Rides Safety Act is
amended by changing Section 2-20 as follows:
 
    (430 ILCS 85/2-20)
    Sec. 2-20. Employment of carnival workers.
    (a) Beginning on January 1, 2008, no person, firm,
corporation, or other entity that owns or operates a carnival
or fair shall employ a carnival worker who (i) has been
convicted of any offense set forth in Article 11 of the
Criminal Code of 1961 or the Criminal Code of 2012, (ii) is a
registered sex offender, as defined in the Sex Offender
Registration Act, or (iii) has ever been convicted of any
offense set forth in Article 9 of the Criminal Code of 1961 or
the Criminal Code of 2012.
    (b) A person, firm, corporation, or other entity that owns
or operates a carnival or fair must conduct a criminal history
records check and perform a check of the National Sex Offender
Public Registry for carnival workers at the time they are
hired, and annually thereafter except if they are in the
continued employ of the entity.
    The criminal history records check performed under this
subsection (b) shall be performed by the Illinois State Police,
another State or federal law enforcement agency, or a business
belonging to the National Association of Professional
Background Check Screeners. Any criminal history checks
performed by the Illinois State Police shall be pursuant to the
Illinois Uniform Conviction Information Act.
    Individuals who are under the age of 17 are exempt from the
criminal history records check requirements set forth in this
subsection (b).
    (c) Any person, firm, corporation, or other entity that
owns or operates a carnival or fair must have a substance abuse
policy in place for its workers, which shall include random
drug testing of carnival workers.
    (d) Any person, firm, corporation, or other entity that
owns or operates a carnival or fair that violates the
provisions of subsection (a) of this Section or fails to
conduct a criminal history records check or a sex offender
registry check for carnival workers in its employ, as required
by subsection (b) of this Section, shall be assessed a civil
penalty in an amount not to exceed $1,000 for a first offense,
not to exceed $5,000 for a second offense, and not to exceed
$15,000 for a third or subsequent offense. The collection of
these penalties shall be enforced in a civil action brought by
the Attorney General on behalf of the Department.
    (e) A carnival or fair owner is not responsible for:
        (1) any personal information submitted by a carnival
    worker for criminal history records check purposes; or
        (2) any information provided by a third party for a
    criminal history records check or a sex offender registry
    check.
    (f) Recordkeeping requirements. Any person, firm,
corporation, or other entity that owns or operates a carnival
or fair subject to the provisions of this Act shall make,
preserve, and make available to the Department, upon its
request, all records that are required by this Act, including
but not limited to a written substance abuse policy, evidence
of the required criminal history records check and sex offender
registry check, and any other information the Director may deem
necessary and appropriate for enforcement of this Act.
    (g) A carnival or fair owner shall not be liable to any
employee in carrying out the requirements of this Section.
(Source: P.A. 95-397, eff. 8-24-07; 95-687, eff. 10-23-07;
96-151, eff. 8-7-09.)
 
    Section 555. The Animal Control Act is amended by changing
Section 2.17a as follows:
 
    (510 ILCS 5/2.17a)
    Sec. 2.17a. "Peace officer" has the meaning ascribed to it
in Section 2-13 of the Criminal Code of 2012 1961.
(Source: P.A. 93-548, eff. 8-19-03.)
 
    Section 560. The Humane Care for Animals Act is amended by
changing Sections 3.03-1, 3.04, 3.05, 4.01, and 4.02 as
follows:
 
    (510 ILCS 70/3.03-1)
    Sec. 3.03-1. Depiction of animal cruelty.
    (a) "Depiction of animal cruelty" means any visual or
auditory depiction, including any photograph, motion-picture
film, video recording, electronic image, or sound recording,
that would constitute a violation of Section 3.01, 3.02, 3.03,
or 4.01 of the Humane Care for Animals Act or Section 26-5 or
48-1 of the Criminal Code of 1961 or the Criminal Code of 2012.
    (b) No person may knowingly create, sell, market, offer to
market or sell, or possess a depiction of animal cruelty. No
person may place that depiction in commerce for commercial gain
or entertainment. This Section does not apply when the
depiction has religious, political, scientific, educational,
law enforcement or humane investigator training, journalistic,
artistic, or historical value; or involves rodeos, sanctioned
livestock events, or normal husbandry practices.
    The creation, sale, marketing, offering to sell or market,
or possession of the depiction of animal cruelty is illegal
regardless of whether the maiming, mutilation, torture,
wounding, abuse, killing, or any other conduct took place in
this State.
    (c) Any person convicted of violating this Section is
guilty of a Class A misdemeanor. A second or subsequent
violation is a Class 4 felony. In addition to any other penalty
provided by law, upon conviction for violating this Section,
the court may order the convicted person to undergo a
psychological or psychiatric evaluation and to undergo any
treatment at the convicted person's expense that the court
determines to be appropriate after due consideration of the
evaluation. If the convicted person is a juvenile, the court
shall order the convicted person to undergo a psychological or
psychiatric evaluation and to undergo treatment that the court
determines to be appropriate after due consideration of the
evaluation.
(Source: P.A. 97-1108, eff. 1-1-13.)
 
    (510 ILCS 70/3.04)
    Sec. 3.04. Arrests and seizures; penalties.
    (a) Any law enforcement officer making an arrest for an
offense involving one or more companion animals under Section
3.01, 3.02, or 3.03 of this Act may lawfully take possession of
some or all of the companion animals in the possession of the
person arrested. The officer, after taking possession of the
companion animals, must file with the court before whom the
complaint is made against any person so arrested an affidavit
stating the name of the person charged in the complaint, a
description of the condition of the companion animal or
companion animals taken, and the time and place the companion
animal or companion animals were taken, together with the name
of the person from whom the companion animal or companion
animals were taken and name of the person who claims to own the
companion animal or companion animals if different from the
person from whom the companion animal or companion animals were
seized. He or she must at the same time deliver an inventory of
the companion animal or companion animals taken to the court of
competent jurisdiction. The officer must place the companion
animal or companion animals in the custody of an animal control
or animal shelter and the agency must retain custody of the
companion animal or companion animals subject to an order of
the court adjudicating the charges on the merits and before
which the person complained against is required to appear for
trial. The State's Attorney may, within 14 days after the
seizure, file a "petition for forfeiture prior to trial" before
the court having criminal jurisdiction over the alleged
charges, asking for permanent forfeiture of the companion
animals seized. The petition shall be filed with the court,
with copies served on the impounding agency, the owner, and
anyone claiming an interest in the animals. In a "petition for
forfeiture prior to trial", the burden is on the prosecution to
prove by a preponderance of the evidence that the person
arrested violated Section 3.01, 3.02, 3.03, or 4.01 of this Act
or Section 26-5 or 48-1 of the Criminal Code of 1961 or the
Criminal Code of 2012.
    (b) An owner whose companion animal or companion animals
are removed by a law enforcement officer under this Section
must be given written notice of the circumstances of the
removal and of any legal remedies available to him or her. The
notice must be posted at the place of seizure, or delivered to
a person residing at the place of seizure or, if the address of
the owner is different from the address of the person from whom
the companion animal or companion animals were seized,
delivered by registered mail to his or her last known address.
    (c) In addition to any other penalty provided by law, upon
conviction for violating Sections 3, 3.01, 3.02, or 3.03 the
court may order the convicted person to forfeit to an animal
control or animal shelter the animal or animals that are the
basis of the conviction. Upon an order of forfeiture, the
convicted person is deemed to have permanently relinquished all
rights to the animal or animals that are the basis of the
conviction. The forfeited animal or animals shall be adopted or
humanely euthanized. In no event may the convicted person or
anyone residing in his or her household be permitted to adopt
the forfeited animal or animals. The court, additionally, may
order that the convicted person and persons dwelling in the
same household as the convicted person who conspired, aided, or
abetted in the unlawful act that was the basis of the
conviction, or who knew or should have known of the unlawful
act, may not own, harbor, or have custody or control of any
other animals for a period of time that the court deems
reasonable.
(Source: P.A. 97-1108, eff. 1-1-13.)
 
    (510 ILCS 70/3.05)
    Sec. 3.05. Security for companion animals and animals used
for fighting purposes.
    (a) In the case of companion animals as defined in Section
2.01a or animals used for fighting purposes in violation of
Section 4.01 of this Act or Section 26-5 or 48-1 of the
Criminal Code of 1961 or the Criminal Code of 2012, the animal
control or animal shelter having custody of the animal or
animals may file a petition with the court requesting that the
person from whom the animal or animals are seized, or the owner
of the animal or animals, be ordered to post security. The
security must be in an amount sufficient to secure payment of
all reasonable expenses expected to be incurred by the animal
control or animal shelter in caring for and providing for the
animal or animals pending the disposition of the charges.
Reasonable expenses include, but are not limited to, estimated
medical care and boarding of the animal or animals for 30 days.
The amount of the security shall be determined by the court
after taking into consideration all of the facts and
circumstances of the case, including, but not limited to, the
recommendation of the impounding organization having custody
and care of the seized animal or animals and the cost of caring
for the animal or animals. If security has been posted in
accordance with this Section, the animal control or animal
shelter may draw from the security the actual costs incurred by
the agency in caring for the seized animal or animals.
    (b) Upon receipt of a petition, the court must set a
hearing on the petition, to be conducted within 5 business days
after the petition is filed. The petitioner must serve a true
copy of the petition upon the defendant and the State's
Attorney for the county in which the animal or animals were
seized. The petitioner must also serve a true copy of the
petition on any interested person. For the purposes of this
subsection, "interested person" means an individual,
partnership, firm, joint stock company, corporation,
association, trust, estate, or other legal entity that the
court determines may have a pecuniary interest in the animal or
animals that are the subject of the petition. The court must
set a hearing date to determine any interested parties. The
court may waive for good cause shown the posting of security.
    (c) If the court orders the posting of security, the
security must be posted with the clerk of the court within 5
business days after the hearing. If the person ordered to post
security does not do so, the animal or animals are forfeited by
operation of law and the animal control or animal shelter
having control of the animal or animals must dispose of the
animal or animals through adoption or must humanely euthanize
the animal. In no event may the defendant or any person
residing in the defendant's household adopt the animal or
animals.
    (d) The impounding organization may file a petition with
the court upon the expiration of the 30-day period requesting
the posting of additional security. The court may order the
person from whom the animal or animals were seized, or the
owner of the animal or animals, to post additional security
with the clerk of the court to secure payment of reasonable
expenses for an additional period of time pending a
determination by the court of the charges against the person
from whom the animal or animals were seized.
    (e) In no event may the security prevent the impounding
organization having custody and care of the animal or animals
from disposing of the animal or animals before the expiration
of the 30-day period covered by the security if the court makes
a final determination of the charges against the person from
whom the animal or animals were seized. Upon the adjudication
of the charges, the person who posted the security is entitled
to a refund of the security, in whole or in part, for any
expenses not incurred by the impounding organization.
    (f) Notwithstanding any other provision of this Section to
the contrary, the court may order a person charged with any
violation of this Act to provide necessary food, water,
shelter, and care for any animal or animals that are the basis
of the charge without the removal of the animal or animals from
their existing location and until the charges against the
person are adjudicated. Until a final determination of the
charges is made, any law enforcement officer, animal control
officer, Department investigator, or an approved humane
investigator may be authorized by an order of the court to make
regular visits to the place where the animal or animals are
being kept to ascertain if the animal or animals are receiving
necessary food, water, shelter, and care. Nothing in this
Section prevents any law enforcement officer, Department
investigator, or approved humane investigator from applying
for a warrant under this Section to seize any animal or animals
being held by the person charged pending the adjudication of
the charges if it is determined that the animal or animals are
not receiving the necessary food, water, shelter, or care.
    (g) Nothing in this Act shall be construed to prevent the
voluntary, permanent relinquishment of any animal by its owner
to an animal control or animal shelter in lieu of posting
security or proceeding to a forfeiture hearing. Voluntary
relinquishment shall have no effect on the criminal charges
that may be pursued by the appropriate authorities.
    (h) If an owner of a companion animal is acquitted by the
court of charges made pursuant to this Act, the court shall
further order that any security that has been posted for the
animal shall be returned to the owner by the impounding
organization.
    (i) The provisions of this Section only pertain to
companion animals and animals used for fighting purposes.
(Source: P.A. 97-1108, eff. 1-1-13.)
 
    (510 ILCS 70/4.01)  (from Ch. 8, par. 704.01)
    Sec. 4.01. Animals in entertainment. This Section does not
apply when the only animals involved are dogs. (Section 48-1 of
the Criminal Code of 2012 1961, rather than this Section,
applies when the only animals involved are dogs.)
    (a) No person may own, capture, breed, train, or lease any
animal which he or she knows or should know is intended for use
in any show, exhibition, program, or other activity featuring
or otherwise involving a fight between such animal and any
other animal or human, or the intentional killing of any animal
for the purpose of sport, wagering, or entertainment.
    (b) No person shall promote, conduct, carry on, advertise,
collect money for or in any other manner assist or aid in the
presentation for purposes of sport, wagering, or
entertainment, any show, exhibition, program, or other
activity involving a fight between 2 or more animals or any
animal and human, or the intentional killing of any animal.
    (c) No person shall sell or offer for sale, ship,
transport, or otherwise move, or deliver or receive any animal
which he or she knows or should know has been captured, bred,
or trained, or will be used, to fight another animal or human
or be intentionally killed, for the purpose of sport, wagering,
or entertainment.
    (d) No person shall manufacture for sale, shipment,
transportation or delivery any device or equipment which that
person knows or should know is intended for use in any show,
exhibition, program, or other activity featuring or otherwise
involving a fight between 2 or more animals, or any human and
animal, or the intentional killing of any animal for purposes
of sport, wagering or entertainment.
    (e) No person shall own, possess, sell or offer for sale,
ship, transport, or otherwise move any equipment or device
which such person knows or should know is intended for use in
connection with any show, exhibition, program, or activity
featuring or otherwise involving a fight between 2 or more
animals, or any animal and human, or the intentional killing of
any animal for purposes of sport, wagering or entertainment.
    (f) No person shall make available any site, structure, or
facility, whether enclosed or not, which he or she knows or
should know is intended to be used for the purpose of
conducting any show, exhibition, program, or other activity
involving a fight between 2 or more animals, or any animal and
human, or the intentional killing of any animal.
    (g) No person shall knowingly attend or otherwise patronize
any show, exhibition, program, or other activity featuring or
otherwise involving a fight between 2 or more animals, or any
animal and human, or the intentional killing of any animal for
the purposes of sport, wagering or entertainment.
    (h) (Blank).
    (i) Any animals or equipment involved in a violation of
this Section shall be immediately seized and impounded under
Section 12 by the Department when located at any show,
exhibition, program, or other activity featuring or otherwise
involving an animal fight for the purposes of sport, wagering,
or entertainment.
    (j) Any vehicle or conveyance other than a common carrier
that is used in violation of this Section shall be seized,
held, and offered for sale at public auction by the sheriff's
department of the proper jurisdiction, and the proceeds from
the sale shall be remitted to the general fund of the county
where the violation took place.
    (k) Any veterinarian in this State who is presented with an
animal for treatment of injuries or wounds resulting from
fighting where there is a reasonable possibility that the
animal was engaged in or utilized for a fighting event for the
purposes of sport, wagering, or entertainment shall file a
report with the Department and cooperate by furnishing the
owners' names, dates, and descriptions of the animal or animals
involved. Any veterinarian who in good faith complies with the
requirements of this subsection has immunity from any
liability, civil, criminal, or otherwise, that may result from
his or her actions. For the purposes of any proceedings, civil
or criminal, the good faith of the veterinarian shall be
rebuttably presumed.
    (l) No person shall solicit a minor to violate this
Section.
    (m) The penalties for violations of this Section shall be
as follows:
        (1) A person convicted of violating subsection (a),
    (b), or (c) of this Section or any rule, regulation, or
    order of the Department pursuant thereto is guilty of a
    Class 4 felony for the first offense. A second or
    subsequent offense involving the violation of subsection
    (a), (b), or (c) of this Section or any rule, regulation,
    or order of the Department pursuant thereto is a Class 3
    felony.
        (2) A person convicted of violating subsection (d),
    (e), or (f) of this Section or any rule, regulation, or
    order of the Department pursuant thereto is guilty of a
    Class 4 felony for the first offense. A second or
    subsequent violation is a Class 3 felony.
        (3) A person convicted of violating subsection (g) of
    this Section or any rule, regulation, or order of the
    Department pursuant thereto is guilty of a Class 4 felony
    for the first offense. A second or subsequent violation is
    a Class 3 felony.
        (4) A person convicted of violating subsection (l) of
    this Section is guilty of a Class 4 felony for the first
    offense. A second or subsequent violation is a Class 3
    felony.
    (n) A person who commits a felony violation of this Section
is subject to the property forfeiture provisions set forth in
Article 124B of the Code of Criminal Procedure of 1963.
(Source: P.A. 96-226, eff. 8-11-09; 96-712, eff. 1-1-10;
96-1000, eff. 7-2-10; 97-1108, eff. 1-1-13.)
 
    (510 ILCS 70/4.02)  (from Ch. 8, par. 704.02)
    Sec. 4.02. Arrests; reports.
    (a) Any law enforcement officer making an arrest for an
offense involving one or more animals under Section 4.01 of
this Act or Section 48-1 of the Criminal Code of 2012 1961
shall lawfully take possession of all animals and all
paraphernalia, implements, or other property or things used or
employed, or about to be employed, in the violation of any of
the provisions of Section 4.01 of this Act or Section 48-1 of
the Criminal Code of 2012 1961. When a law enforcement officer
has taken possession of such animals, paraphernalia,
implements or other property or things, he or she shall file
with the court before whom the complaint is made against any
person so arrested an affidavit stating therein the name of the
person charged in the complaint, a description of the property
so taken and the time and place of the taking thereof together
with the name of the person from whom the same was taken and
name of the person who claims to own such property, if
different from the person from whom the animals were seized and
if known, and that the affiant has reason to believe and does
believe, stating the ground of the belief, that the animals and
property so taken were used or employed, or were about to be
used or employed, in a violation of Section 4.01 of this Act or
Section 48-1 of the Criminal Code of 2012 1961. He or she shall
thereupon deliver an inventory of the property so taken to the
court of competent jurisdiction. A law enforcement officer may
humanely euthanize animals that are severely injured.
    An owner whose animals are removed for a violation of
Section 4.01 of this Act or Section 48-1 of the Criminal Code
of 2012 1961 must be given written notice of the circumstances
of the removal and of any legal remedies available to him or
her. The notice must be posted at the place of seizure or
delivered to a person residing at the place of seizure or, if
the address of the owner is different from the address of the
person from whom the animals were seized, delivered by
registered mail to his or her last known address.
    The animal control or animal shelter having custody of the
animals may file a petition with the court requesting that the
person from whom the animals were seized or the owner of the
animals be ordered to post security pursuant to Section 3.05 of
this Act.
    Upon the conviction of the person so charged, all animals
shall be adopted or humanely euthanized and property so seized
shall be adjudged by the court to be forfeited. Any outstanding
costs incurred by the impounding facility in boarding and
treating the animals pending the disposition of the case and
disposing of the animals upon a conviction must be borne by the
person convicted. In no event may the animals be adopted by the
defendant or anyone residing in his or her household. If the
court finds that the State either failed to prove the criminal
allegations or failed to prove that the animals were used in
fighting, the court must direct the delivery of the animals and
the other property not previously forfeited to the owner of the
animals and property.
    Any person authorized by this Section to care for an
animal, to treat an animal, or to attempt to restore an animal
to good health and who is acting in good faith is immune from
any civil or criminal liability that may result from his or her
actions.
    An animal control warden, animal control administrator,
animal shelter employee, or approved humane investigator may
humanely euthanize severely injured, diseased, or suffering
animal in exigent circumstances.
    (b) Any veterinarian in this State who is presented with an
animal for treatment of injuries or wounds resulting from
fighting where there is a reasonable possibility that the
animal was engaged in or utilized for a fighting event shall
file a report with the Department and cooperate by furnishing
the owners' names, date of receipt of the animal or animals and
treatment administered, and descriptions of the animal or
animals involved. Any veterinarian who in good faith makes a
report, as required by this subsection (b), is immune from any
liability, civil, criminal, or otherwise, resulting from his or
her actions. For the purposes of any proceedings, civil or
criminal, the good faith of any such veterinarian shall be
presumed.
(Source: P.A. 97-1108, eff. 1-1-13.)
 
    Section 565. The Wildlife Code is amended by changing
Section 1.2b-1 as follows:
 
    (520 ILCS 5/1.2b-1)  (from Ch. 61, par. 1.2b-1)
    Sec. 1.2b-1. Case. "Case" means any case, firearm carrying
box, shipping box, or container acceptable under Article 24 of
the Criminal Code of 2012 1961.
(Source: P.A. 97-1027, eff. 8-17-12.)
 
    Section 570. The Roadside Memorial Act is amended by
changing Section 23 as follows:
 
    (605 ILCS 125/23)
    (Section scheduled to be repealed on December 31, 2012)
    Sec. 23. Fatal accident memorial marker program.
    (a) The fatal accident memorial marker program is intended
to raise public awareness of reckless driving by emphasizing
the dangers while affording families an opportunity to remember
the victims of crashes involving reckless drivers.
    (b) As used in this Section, "fatal accident memorial
marker" means a marker on a highway in this State commemorating
one or more persons who died as a proximate result of a crash
caused by a driver who committed an act of reckless homicide in
violation of Section 9-3 or 9-3.2 of the Criminal Code of 1961
or the Criminal Code of 2012 or who otherwise caused the death
of one or more persons through the operation of a motor
vehicle.
    (c) For purposes of the fatal accident memorial marker
program in this Section, the provisions of Section 15 of this
Act applicable to DUI memorial markers shall apply the same to
fatal accident memorial markers.
    (d) A fatal accident memorial marker shall consist of a
white on blue panel bearing the message "Reckless Driving Costs
Lives". At the request of the qualified relative, a separate
panel bearing the words "In Memory of (victim's name)",
followed by the date of the crash that was the proximate cause
of the loss of the victim's life, shall be mounted below the
primary panel.
    (e) A fatal accident memorial marker may memorialize more
than one victim who died as a result of the same crash. If one
or more additional deaths subsequently occur in close proximity
to an existing fatal accident memorial marker, the supporting
jurisdiction may use the same marker to memorialize the
subsequent death or deaths, by adding the names of the
additional persons.
    (f) A fatal accident memorial marker shall be maintained
for at least 2 years from the date the last person was
memorialized on the marker.
    (g) The supporting jurisdiction has the right to install a
marker at a location other than the location of the crash or to
relocate a marker due to restricted room, property owner
complaints, interference with essential traffic control
devices, safety concerns, or other restrictions. In such cases,
the sponsoring jurisdiction may select an alternate location.
    (h) The Department shall secure the consent of any
municipality before placing a fatal accident memorial marker
within the corporate limits of the municipality.
    (i) A fee in an amount to be determined by the supporting
jurisdiction shall be charged to the qualified relative. The
fee shall not exceed the costs associated with the fabrication,
installation, and maintenance of the fatal accident memorial
marker.
    (j) The Department shall report to the General Assembly no
later than October 1, 2011 on the evaluation of the program and
the number of fatal accident memorial marker requests.
    (k) This Section is repealed on December 31, 2012.
(Source: P.A. 96-1371, eff. 1-1-11; 97-304, eff. 8-11-11.)
 
    Section 575. The Illinois Vehicle Code is amended by
changing Sections 1-101.2, 3-704, 3-806.6, 3-821, 4-103.3,
4-105.5, 4-107, 5-101, 5-102, 5-301, 5-501, 6-101, 6-103,
6-106.1, 6-106.2, 6-106.3, 6-106.4, 6-108.1, 6-118, 6-204,
6-205, 6-205.2, 6-206, 6-206.1, 6-208, 6-303, 6-508, 6-514,
6-708, 11-204.1, 11-208.7, 11-501, 11-501.1, 11-501.4,
11-501.4-1, 12-612, and 16-108 as follows:
 
    (625 ILCS 5/1-101.2)  (from Ch. 95 1/2, par. 1-101.2)
    Sec. 1-101.2. Affirmation. A signed statement to the effect
that the information provided by the signer is true and
correct. The affirmation shall subject any person who shall
knowingly affirm falsely, in matter material to any issue or
point in question, to the penalties inflicted by law on persons
convicted of perjury under Section 32-2 of the Criminal Code of
2012 1961.
(Source: P.A. 83-1473.)
 
    (625 ILCS 5/3-704)  (from Ch. 95 1/2, par. 3-704)
    Sec. 3-704. Authority of Secretary of State to suspend or
revoke a registration or certificate of title; authority to
suspend or revoke the registration of a vehicle.
    (a) The Secretary of State may suspend or revoke the
registration of a vehicle or a certificate of title,
registration card, registration sticker, registration plate,
disability parking decal or device, or any nonresident or other
permit in any of the following events:
        1. When the Secretary of State is satisfied that such
    registration or that such certificate, card, plate,
    registration sticker or permit was fraudulently or
    erroneously issued;
        2. When a registered vehicle has been dismantled or
    wrecked or is not properly equipped;
        3. When the Secretary of State determines that any
    required fees have not been paid to the Secretary of State,
    to the Illinois Commerce Commission, or to the Illinois
    Department of Revenue under the Motor Fuel Tax Law, and the
    same are not paid upon reasonable notice and demand;
        4. When a registration card, registration plate,
    registration sticker or permit is knowingly displayed upon
    a vehicle other than the one for which issued;
        5. When the Secretary of State determines that the
    owner has committed any offense under this Chapter
    involving the registration or the certificate, card,
    plate, registration sticker or permit to be suspended or
    revoked;
        6. When the Secretary of State determines that a
    vehicle registered not-for-hire is used or operated
    for-hire unlawfully, or used or operated for purposes other
    than those authorized;
        7. When the Secretary of State determines that an owner
    of a for-hire motor vehicle has failed to give proof of
    financial responsibility as required by this Act;
        8. When the Secretary determines that the vehicle is
    not subject to or eligible for a registration;
        9. When the Secretary determines that the owner of a
    vehicle registered under the mileage weight tax option
    fails to maintain the records specified by law, or fails to
    file the reports required by law, or that such vehicle is
    not equipped with an operable and operating speedometer or
    odometer;
        10. When the Secretary of State is so authorized under
    any other provision of law;
        11. When the Secretary of State determines that the
    holder of a disability parking decal or device has
    committed any offense under Chapter 11 of this Code
    involving the use of a disability parking decal or device.
    (a-5) The Secretary of State may revoke a certificate of
title and registration card and issue a corrected certificate
of title and registration card, at no fee to the vehicle owner
or lienholder, if there is proof that the vehicle
identification number is erroneously shown on the original
certificate of title.
    (b) The Secretary of State may suspend or revoke the
registration of a vehicle as follows:
        1. When the Secretary of State determines that the
    owner of a vehicle has not paid a civil penalty or a
    settlement agreement arising from the violation of rules
    adopted under the Illinois Motor Carrier Safety Law or the
    Illinois Hazardous Materials Transportation Act or that a
    vehicle, regardless of ownership, was the subject of
    violations of these rules that resulted in a civil penalty
    or settlement agreement which remains unpaid.
        2. When the Secretary of State determines that a
    vehicle registered for a gross weight of more than 16,000
    pounds within an affected area is not in compliance with
    the provisions of Section 13-109.1 of the Illinois Vehicle
    Code.
        3. When the Secretary of State is notified by the
    United States Department of Transportation that a vehicle
    is in violation of the Federal Motor Carrier Safety
    Regulations, as they are now or hereafter amended, and is
    prohibited from operating.
    (c) The Secretary of State may suspend the registration of
a vehicle when a court finds that the vehicle was used in a
violation of Section 24-3A of the Criminal Code of 1961 or the
Criminal Code of 2012 relating to gunrunning. A suspension of
registration under this subsection (c) may be for a period of
up to 90 days.
(Source: P.A. 97-540, eff. 1-1-12.)
 
    (625 ILCS 5/3-806.6)
    Sec. 3-806.6. Victims of domestic violence.
    (a) The Secretary shall issue new and different license
plates immediately upon request to the registered owner of a
vehicle who appears in person and submits a completed
application, if all of the following are provided:
        (1) proof of ownership of the vehicle that is
    acceptable to the Secretary;
        (2) a driver's license or identification card
    containing a picture of the licensee or cardholder issued
    to the registered owner by the Secretary under Section
    6-110 or 6-107 of this Code or Section 4 of the Illinois
    Identification Card Act. The Office of the Secretary shall
    conduct a search of its records to verify the authenticity
    of any document submitted under this paragraph (2);
        (3) the previously issued license plates from the
    vehicle;
        (4) payment of the required fee for the issuance of
    duplicate license plates under Section 3-417; and
        (5) one of the following:
            (A) a copy of a police report, court documentation,
        or other law enforcement documentation identifying the
        registered owner of the vehicle as the victim of an
        incident of abuse, as defined in Section 103 of the
        Illinois Domestic Violence Act of 1986, or the subject
        of stalking, as defined in Section 12-7.3 of the
        Criminal Code of 2012 1961;
            (B) a written acknowledgment, dated within 30 days
        of submission, on the letterhead of a domestic violence
        agency, that the registered owner is actively seeking
        assistance or has sought assistance from that agency
        within the past year; or
            (C) an order of protection issued under Section 214
        of the Illinois Domestic Violence Act of 1986 that
        names the registered owner as a protected party.
    (b) This Section does not apply to license plates issued
under Section 3-664 or to special license plates issued under
Article VI of this Chapter.
(Source: P.A. 94-503, eff. 1-1-06; 95-876, eff. 8-21-08.)
 
    (625 ILCS 5/3-821)  (from Ch. 95 1/2, par. 3-821)
    Sec. 3-821. Miscellaneous Registration and Title Fees.
    (a) The fee to be paid to the Secretary of State for the
following certificates, registrations or evidences of proper
registration, or for corrected or duplicate documents shall be
in accordance with the following schedule:
    Certificate of Title, except for an all-terrain
vehicle or off-highway motorcycle$95
    Certificate of Title for an all-terrain vehicle
or off-highway motorcycle$30
    Certificate of Title for an all-terrain vehicle
or off-highway motorcycle used for production
agriculture, or accepted by a dealer in trade13
    Certificate of Title for a low-speed vehicle30
    Transfer of Registration or any evidence of
proper registration $25
    Duplicate Registration Card for plates or other
evidence of proper registration3
    Duplicate Registration Sticker or Stickers, each20
    Duplicate Certificate of Title95
    Corrected Registration Card or Card for other
evidence of proper registration3
    Corrected Certificate of Title95
    Salvage Certificate4
    Fleet Reciprocity Permit15
    Prorate Decal1
    Prorate Backing Plate3
    Special Corrected Certificate of Title15
    Expedited Title Service (to be charged in addition
to other applicable fees)30
    Dealer Lien Release Certificate of Title20
    A special corrected certificate of title shall be issued
(i) to remove a co-owner's name due to the death of the
co-owner or due to a divorce or (ii) to change a co-owner's
name due to a marriage.
    There shall be no fee paid for a Junking Certificate.
    There shall be no fee paid for a certificate of title
issued to a county when the vehicle is forfeited to the county
under Article 36 of the Criminal Code of 2012 1961.
    (a-5) The Secretary of State may revoke a certificate of
title and registration card and issue a corrected certificate
of title and registration card, at no fee to the vehicle owner
or lienholder, if there is proof that the vehicle
identification number is erroneously shown on the original
certificate of title.
    (a-10) The Secretary of State may issue, in connection with
the sale of a motor vehicle, a corrected title to a motor
vehicle dealer upon application and submittal of a lien release
letter from the lienholder listed in the files of the
Secretary. In the case of a title issued by another state, the
dealer must submit proof from the state that issued the last
title. The corrected title, which shall be known as a dealer
lien release certificate of title, shall be issued in the name
of the vehicle owner without the named lienholder. If the motor
vehicle is currently titled in a state other than Illinois, the
applicant must submit either (i) a letter from the current
lienholder releasing the lien and stating that the lienholder
has possession of the title; or (ii) a letter from the current
lienholder releasing the lien and a copy of the records of the
department of motor vehicles for the state in which the vehicle
is titled, showing that the vehicle is titled in the name of
the applicant and that no liens are recorded other than the
lien for which a release has been submitted. The fee for the
dealer lien release certificate of title is $20.
    (b) The Secretary may prescribe the maximum service charge
to be imposed upon an applicant for renewal of a registration
by any person authorized by law to receive and remit or
transmit to the Secretary such renewal application and fees
therewith.
    (c) If payment is delivered to the Office of the Secretary
of State as payment of any fee or tax under this Code, and such
payment is not honored for any reason, the registrant or other
person tendering the payment remains liable for the payment of
such fee or tax. The Secretary of State may assess a service
charge of $25 in addition to the fee or tax due and owing for
all dishonored payments.
    If the total amount then due and owing exceeds the sum of
$100 and has not been paid in full within 60 days from the date
such fee or tax became due to the Secretary of State, the
Secretary of State shall assess a penalty of 25% of such amount
remaining unpaid.
    All amounts payable under this Section shall be computed to
the nearest dollar. Out of each fee collected for dishonored
payments, $5 shall be deposited in the Secretary of State
Special Services Fund.
    (d) The minimum fee and tax to be paid by any applicant for
apportionment of a fleet of vehicles under this Code shall be
$15 if the application was filed on or before the date
specified by the Secretary together with fees and taxes due. If
an application and the fees or taxes due are filed after the
date specified by the Secretary, the Secretary may prescribe
the payment of interest at the rate of 1/2 of 1% per month or
fraction thereof after such due date and a minimum of $8.
    (e) Trucks, truck tractors, truck tractors with loads, and
motor buses, any one of which having a combined total weight in
excess of 12,000 lbs. shall file an application for a Fleet
Reciprocity Permit issued by the Secretary of State. This
permit shall be in the possession of any driver operating a
vehicle on Illinois highways. Any foreign licensed vehicle of
the second division operating at any time in Illinois without a
Fleet Reciprocity Permit or other proper Illinois
registration, shall subject the operator to the penalties
provided in Section 3-834 of this Code. For the purposes of
this Code, "Fleet Reciprocity Permit" means any second division
motor vehicle with a foreign license and used only in
interstate transportation of goods. The fee for such permit
shall be $15 per fleet which shall include all vehicles of the
fleet being registered.
    (f) For purposes of this Section, "all-terrain vehicle or
off-highway motorcycle used for production agriculture" means
any all-terrain vehicle or off-highway motorcycle used in the
raising of or the propagation of livestock, crops for sale for
human consumption, crops for livestock consumption, and
production seed stock grown for the propagation of feed grains
and the husbandry of animals or for the purpose of providing a
food product, including the husbandry of blood stock as a main
source of providing a food product. "All-terrain vehicle or
off-highway motorcycle used in production agriculture" also
means any all-terrain vehicle or off-highway motorcycle used in
animal husbandry, floriculture, aquaculture, horticulture, and
viticulture.
    (g) All of the proceeds of the additional fees imposed by
Public Act 96-34 shall be deposited into the Capital Projects
Fund.
(Source: P.A. 96-34, eff. 7-13-09; 96-554, eff. 1-1-10; 96-653,
eff. 1-1-10; 96-1000, eff. 7-2-10; 96-1274, eff. 7-26-10;
97-835, eff. 1-1-13; 97-838, eff. 7-20-12; revised 8-3-12.)
 
    (625 ILCS 5/4-103.3)  (from Ch. 95 1/2, par. 4-103.3)
    Sec. 4-103.3. Organizer of an aggravated vehicle theft
conspiracy.
    (a) A person commits the offense of organizer of a vehicle
theft conspiracy if:
        (1) the person intentionally violates Section 4-103.2
    of this Code with the agreement of 3 or more persons; and
        (2) the person is known by other co-conspirators as the
    organizer, supervisor, financier or otherwise leader of
    the conspiracy.
    (b) No person may be convicted of organizer of a vehicle
theft conspiracy unless an overt act in furtherance of the
agreement is alleged and proved to have been committed by him
or by a co-conspirator, and the accused is part of a common
plan or scheme to engage in the unlawful activity.
    (c) It shall not be a defense to organizer of a vehicle
theft conspiracy that the person or persons with whom the
accused is alleged to have conspired:
        (1) has not been prosecuted or convicted;
        (2) has been convicted of a different offense;
        (3) is not amenable to justice;
        (4) has been acquitted; or
        (5) lacked the capacity to commit an offense.
    (d) Notwithstanding Section 8-5 of the Criminal Code of
2012 1961, a person may be convicted and sentenced for both the
offense of organizer of a vehicle theft conspiracy and any
other offense in this Chapter which is the object of the
conspiracy.
    (e) Organizer of a vehicle theft conspiracy is a Class X
felony.
(Source: P.A. 86-1209.)
 
    (625 ILCS 5/4-105.5)  (from Ch. 95 1/2, par. 4-105.5)
    Sec. 4-105.5. Attempt. As defined in Section 8-4 of the
Criminal Code of 2012 1961.
(Source: P.A. 81-932.)
 
    (625 ILCS 5/4-107)  (from Ch. 95 1/2, par. 4-107)
    Sec. 4-107. Stolen, converted, recovered and unclaimed
vehicles.
    (a) Every Sheriff, Superintendent of police, Chief of
police or other police officer in command of any Police
department in any City, Village or Town of the State, shall, by
the fastest means of communications available to his law
enforcement agency, immediately report to the State Police, in
Springfield, Illinois, the theft or recovery of any stolen or
converted vehicle within his district or jurisdiction. The
report shall give the date of theft, description of the vehicle
including color, year of manufacture, manufacturer's trade
name, manufacturer's series name, body style, vehicle
identification number and license registration number,
including the state in which the license was issued and the
year of issuance, together with the name, residence address,
business address, and telephone number of the owner. The report
shall be routed by the originating law enforcement agency
through the State Police District in which such agency is
located.
    (b) A registered owner or a lienholder may report the theft
by conversion of a vehicle, to the State Police, or any other
police department or Sheriff's office. Such report will be
accepted as a report of theft and processed only if a formal
complaint is on file and a warrant issued.
    (c) An operator of a place of business for garaging,
repairing, parking or storing vehicles for the public, in which
a vehicle remains unclaimed, after being left for the purpose
of garaging, repairing, parking or storage, for a period of 15
days, shall, within 5 days after the expiration of that period,
report the vehicle as unclaimed to the municipal police when
the vehicle is within the corporate limits of any City, Village
or incorporated Town, or the County Sheriff, or State Police
when the vehicle is outside the corporate limits of a City,
Village or incorporated Town. This Section does not apply to
any vehicle:
        (1) removed to a place of storage by a law enforcement
    agency having jurisdiction, in accordance with Sections
    4-201 and 4-203 of this Act; or
        (2) left under a garaging, repairing, parking, or
    storage order signed by the owner, lessor, or other legally
    entitled person.
    Failure to comply with this Section will result in the
forfeiture of storage fees for that vehicle involved.
    (d) The State Police shall keep a complete record of all
reports filed under this Section of the Act. Upon receipt of
such report, a careful search shall be made of the records of
the office of the State Police, and where it is found that a
vehicle reported recovered was stolen in a County, City,
Village or Town other than the County, City, Village or Town in
which it is recovered, the State Police shall immediately
notify the Sheriff, Superintendent of police, Chief of police,
or other police officer in command of the Sheriff's office or
Police department of the County, City, Village or Town in which
the vehicle was originally reported stolen, giving complete
data as to the time and place of recovery.
    (e) Notification of the theft or conversion of a vehicle
will be furnished to the Secretary of State by the State
Police. The Secretary of State shall place the proper
information in the license registration and title registration
files to indicate the theft or conversion of a motor vehicle or
other vehicle. Notification of the recovery of a vehicle
previously reported as a theft or a conversion will be
furnished to the Secretary of State by the State Police. The
Secretary of State shall remove the proper information from the
license registration and title registration files that has
previously indicated the theft or conversion of a vehicle. The
Secretary of State shall suspend the registration of a vehicle
upon receipt of a report from the State Police that such
vehicle was stolen or converted.
    (f) When the Secretary of State receives an application for
a certificate of title or an application for registration of a
vehicle and it is determined from the records of the office of
the Secretary of State that such vehicle has been reported
stolen or converted, the Secretary of State shall immediately
notify the State Police and shall give the State Police the
name and address of the person or firm titling or registering
the vehicle, together with all other information contained in
the application submitted by such person or firm.
    (g) During the usual course of business the manufacturer of
any vehicle shall place an original manufacturer's vehicle
identification number on all such vehicles manufactured and on
any part of such vehicles requiring an identification number.
    (h) Except provided in subsection (h-1), if a
manufacturer's vehicle identification number is missing or has
been removed, changed or mutilated on any vehicle, or any part
of such vehicle requiring an identification number, the State
Police shall restore, restamp or reaffix the vehicle
identification number plate, or affix a new plate bearing the
original manufacturer's vehicle identification number on each
such vehicle and on all necessary parts of the vehicles. A
vehicle identification number so affixed, restored, restamped,
reaffixed or replaced is not falsified, altered or forged
within the meaning of this Act.
    (h-1) A person engaged in the repair or servicing of
vehicles may reaffix a manufacturer's identification number
plate on the same damaged vehicle from which it was originally
removed, if the person reaffixes the original manufacturer's
identification number plate in place of the identification
number plate affixed on a new dashboard that has been installed
in the vehicle. The person must notify the Secretary of State
each time the original manufacturer's identification number
plate is reaffixed on a vehicle. The person must keep a record
indicating that the identification number plate affixed on the
new dashboard has been removed and has been replaced by the
manufacturer's identification number plate originally affixed
on the vehicle. The person also must keep a record regarding
the status and location of the identification number plate
removed from the replacement dashboard. The Secretary shall
adopt rules for implementing this subsection (h-1).
    (h-2) The owner of a vehicle repaired under subsection
(h-1) must, within 90 days of the date of the repairs, contact
an officer of the Illinois State Police Vehicle Inspection
Bureau and arrange for an inspection of the vehicle, by the
officer or the officer's designee, at a mutually agreed upon
date and location.
    (i) If a vehicle or part of any vehicle is found to have
the manufacturer's identification number removed, altered,
defaced or destroyed, the vehicle or part shall be seized by
any law enforcement agency having jurisdiction and held for the
purpose of identification. In the event that the manufacturer's
identification number of a vehicle or part cannot be
identified, the vehicle or part shall be considered contraband,
and no right of property shall exist in any person owning,
leasing or possessing such property, unless the person owning,
leasing or possessing the vehicle or part acquired such without
knowledge that the manufacturer's vehicle identification
number has been removed, altered, defaced, falsified or
destroyed.
    Either the seizing law enforcement agency or the State's
Attorney of the county where the seizure occurred may make an
application for an order of forfeiture to the circuit court in
the county of seizure. The application for forfeiture shall be
independent from any prosecution arising out of the seizure and
is not subject to any final determination of such prosecution.
The circuit court shall issue an order forfeiting the property
to the seizing law enforcement agency if the court finds that
the property did not at the time of seizure possess a valid
manufacturer's identification number and that the original
manufacturer's identification number cannot be ascertained.
The seizing law enforcement agency may:
        (1) retain the forfeited property for official use; or
        (2) sell the forfeited property and distribute the
    proceeds in accordance with Section 4-211 of this Code, or
    dispose of the forfeited property in such manner as the law
    enforcement agency deems appropriate.
    (i-1) If a motorcycle is seized under subsection (i), the
motorcycle must be returned within 45 days of the date of
seizure to the person from whom it was seized, unless (i)
criminal charges are pending against that person or (ii) an
application for an order of forfeiture has been submitted to
the circuit in the county of seizure or (iii) the circuit court
in the county of seizure has received from the seizing law
enforcement agency and has granted a petition to extend, for a
single 30 day period, the 45 days allowed for return of the
motorcycle. Except as provided in subsection (i-2), a
motorcycle returned to the person from whom it was seized must
be returned in essentially the same condition it was in at the
time of seizure.
    (i-2) If any part or parts of a motorcycle seized under
subsection (i) are found to be stolen and are removed, the
seizing law enforcement agency is not required to replace the
part or parts before returning the motorcycle to the person
from whom it was seized.
    (j) The State Police shall notify the Secretary of State
each time a manufacturer's vehicle identification number is
affixed, reaffixed, restored or restamped on any vehicle. The
Secretary of State shall make the necessary changes or
corrections in his records, after the proper applications and
fees have been submitted, if applicable.
    (k) Any vessel, vehicle or aircraft used with knowledge and
consent of the owner in the commission of, or in the attempt to
commit as defined in Section 8-4 of the Criminal Code of 2012
1961, an offense prohibited by Section 4-103 of this Chapter,
including transporting of a stolen vehicle or stolen vehicle
parts, shall be seized by any law enforcement agency. The
seizing law enforcement agency may:
        (1) return the vehicle to its owner if such vehicle is
    stolen; or
        (2) confiscate the vehicle and retain it for any
    purpose which the law enforcement agency deems
    appropriate; or
        (3) sell the vehicle at a public sale or dispose of the
    vehicle in such other manner as the law enforcement agency
    deems appropriate.
    If the vehicle is sold at public sale, the proceeds of the
sale shall be paid to the law enforcement agency.
    The law enforcement agency shall not retain, sell or
dispose of a vehicle under paragraphs (2) or (3) of this
subsection (k) except upon an order of forfeiture issued by the
circuit court. The circuit court may issue such order of
forfeiture upon application of the law enforcement agency or
State's Attorney of the county where the law enforcement agency
has jurisdiction, or in the case of the Department of State
Police or the Secretary of State, upon application of the
Attorney General.
    The court shall issue the order if the owner of the vehicle
has been convicted of transporting stolen vehicles or stolen
vehicle parts and the evidence establishes that the owner's
vehicle has been used in the commission of such offense.
    The provisions of subsection (k) of this Section shall not
apply to any vessel, vehicle or aircraft, which has been
leased, rented or loaned by its owner, if the owner did not
have knowledge of and consent to the use of the vessel, vehicle
or aircraft in the commission of, or in an attempt to commit,
an offense prohibited by Section 4-103 of this Chapter.
(Source: P.A. 92-443, eff. 1-1-02; 93-456, eff. 8-8-03.)
 
    (625 ILCS 5/5-101)  (from Ch. 95 1/2, par. 5-101)
    Sec. 5-101. New vehicle dealers must be licensed.
    (a) No person shall engage in this State in the business of
selling or dealing in, on consignment or otherwise, new
vehicles of any make, or act as an intermediary or agent or
broker for any licensed dealer or vehicle purchaser other than
as a salesperson, or represent or advertise that he is so
engaged or intends to so engage in such business unless
licensed to do so in writing by the Secretary of State under
the provisions of this Section.
    (b) An application for a new vehicle dealer's license shall
be filed with the Secretary of State, duly verified by oath, on
such form as the Secretary of State may by rule or regulation
prescribe and shall contain:
        1. The name and type of business organization of the
    applicant and his established and additional places of
    business, if any, in this State.
        2. If the applicant is a corporation, a list of its
    officers, directors, and shareholders having a ten percent
    or greater ownership interest in the corporation, setting
    forth the residence address of each; if the applicant is a
    sole proprietorship, a partnership, an unincorporated
    association, a trust, or any similar form of business
    organization, the name and residence address of the
    proprietor or of each partner, member, officer, director,
    trustee, or manager.
        3. The make or makes of new vehicles which the
    applicant will offer for sale at retail in this State.
        4. The name of each manufacturer or franchised
    distributor, if any, of new vehicles with whom the
    applicant has contracted for the sale of such new vehicles.
    As evidence of this fact, the application shall be
    accompanied by a signed statement from each such
    manufacturer or franchised distributor. If the applicant
    is in the business of offering for sale new conversion
    vehicles, trucks or vans, except for trucks modified to
    serve a special purpose which includes but is not limited
    to the following vehicles: street sweepers, fertilizer
    spreaders, emergency vehicles, implements of husbandry or
    maintenance type vehicles, he must furnish evidence of a
    sales and service agreement from both the chassis
    manufacturer and second stage manufacturer.
        5. A statement that the applicant has been approved for
    registration under the Retailers' Occupation Tax Act by the
    Department of Revenue: Provided that this requirement does
    not apply to a dealer who is already licensed hereunder
    with the Secretary of State, and who is merely applying for
    a renewal of his license. As evidence of this fact, the
    application shall be accompanied by a certification from
    the Department of Revenue showing that that Department has
    approved the applicant for registration under the
    Retailers' Occupation Tax Act.
        6. A statement that the applicant has complied with the
    appropriate liability insurance requirement. A Certificate
    of Insurance in a solvent company authorized to do business
    in the State of Illinois shall be included with each
    application covering each location at which he proposes to
    act as a new vehicle dealer. The policy must provide
    liability coverage in the minimum amounts of $100,000 for
    bodily injury to, or death of, any person, $300,000 for
    bodily injury to, or death of, two or more persons in any
    one accident, and $50,000 for damage to property. Such
    policy shall expire not sooner than December 31 of the year
    for which the license was issued or renewed. The expiration
    of the insurance policy shall not terminate the liability
    under the policy arising during the period for which the
    policy was filed. Trailer and mobile home dealers are
    exempt from this requirement.
        If the permitted user has a liability insurance policy
    that provides automobile liability insurance coverage of
    at least $100,000 for bodily injury to or the death of any
    person, $300,000 for bodily injury to or the death of any 2
    or more persons in any one accident, and $50,000 for damage
    to property, then the permitted user's insurer shall be the
    primary insurer and the dealer's insurer shall be the
    secondary insurer. If the permitted user does not have a
    liability insurance policy that provides automobile
    liability insurance coverage of at least $100,000 for
    bodily injury to or the death of any person, $300,000 for
    bodily injury to or the death of any 2 or more persons in
    any one accident, and $50,000 for damage to property, or
    does not have any insurance at all, then the dealer's
    insurer shall be the primary insurer and the permitted
    user's insurer shall be the secondary insurer.
        When a permitted user is "test driving" a new vehicle
    dealer's automobile, the new vehicle dealer's insurance
    shall be primary and the permitted user's insurance shall
    be secondary.
        As used in this paragraph 6, a "permitted user" is a
    person who, with the permission of the new vehicle dealer
    or an employee of the new vehicle dealer, drives a vehicle
    owned and held for sale or lease by the new vehicle dealer
    which the person is considering to purchase or lease, in
    order to evaluate the performance, reliability, or
    condition of the vehicle. The term "permitted user" also
    includes a person who, with the permission of the new
    vehicle dealer, drives a vehicle owned or held for sale or
    lease by the new vehicle dealer for loaner purposes while
    the user's vehicle is being repaired or evaluated.
        As used in this paragraph 6, "test driving" occurs when
    a permitted user who, with the permission of the new
    vehicle dealer or an employee of the new vehicle dealer,
    drives a vehicle owned and held for sale or lease by a new
    vehicle dealer that the person is considering to purchase
    or lease, in order to evaluate the performance,
    reliability, or condition of the vehicle.
        As used in this paragraph 6, "loaner purposes" means
    when a person who, with the permission of the new vehicle
    dealer, drives a vehicle owned or held for sale or lease by
    the new vehicle dealer while the user's vehicle is being
    repaired or evaluated.
        7. (A) An application for a new motor vehicle dealer's
    license shall be accompanied by the following license fees:
            (i) $1,000 for applicant's established place of
        business, and $100 for each additional place of
        business, if any, to which the application pertains;
        but if the application is made after June 15 of any
        year, the license fee shall be $500 for applicant's
        established place of business plus $50 for each
        additional place of business, if any, to which the
        application pertains. License fees shall be returnable
        only in the event that the application is denied by the
        Secretary of State. All moneys received by the
        Secretary of State as license fees under this
        subparagraph (i) prior to applications for the 2004
        licensing year shall be deposited into the Motor
        Vehicle Review Board Fund and shall be used to
        administer the Motor Vehicle Review Board under the
        Motor Vehicle Franchise Act. Of the money received by
        the Secretary of State as license fees under this
        subparagraph (i) for the 2004 licensing year and
        thereafter, 10% shall be deposited into the Motor
        Vehicle Review Board Fund and shall be used to
        administer the Motor Vehicle Review Board under the
        Motor Vehicle Franchise Act and 90% shall be deposited
        into the General Revenue Fund.
            (ii) Except as provided in subsection (h) of
        Section 5-102.7 of this Code, an Annual Dealer Recovery
        Fund Fee in the amount of $500 for the applicant's
        established place of business, and $50 for each
        additional place of business, if any, to which the
        application pertains; but if the application is made
        after June 15 of any year, the fee shall be $250 for
        the applicant's established place of business plus $25
        for each additional place of business, if any, to which
        the application pertains. License fees shall be
        returnable only in the event that the application is
        denied by the Secretary of State. Moneys received under
        this subparagraph (ii) shall be deposited into the
        Dealer Recovery Trust Fund.
        (B) An application for a new vehicle dealer's license,
    other than for a new motor vehicle dealer's license, shall
    be accompanied by the following license fees:
            (i) $1,000 for applicant's established place of
        business, and $50 for each additional place of
        business, if any, to which the application pertains;
        but if the application is made after June 15 of any
        year, the license fee shall be $500 for applicant's
        established place of business plus $25 for each
        additional place of business, if any, to which the
        application pertains. License fees shall be returnable
        only in the event that the application is denied by the
        Secretary of State. Of the money received by the
        Secretary of State as license fees under this
        subparagraph (i) for the 2004 licensing year and
        thereafter, 95% shall be deposited into the General
        Revenue Fund.
            (ii) Except as provided in subsection (h) of
        Section 5-102.7 of this Code, an Annual Dealer Recovery
        Fund Fee in the amount of $500 for the applicant's
        established place of business, and $50 for each
        additional place of business, if any, to which the
        application pertains; but if the application is made
        after June 15 of any year, the fee shall be $250 for
        the applicant's established place of business plus $25
        for each additional place of business, if any, to which
        the application pertains. License fees shall be
        returnable only in the event that the application is
        denied by the Secretary of State. Moneys received under
        this subparagraph (ii) shall be deposited into the
        Dealer Recovery Trust Fund.
        8. A statement that the applicant's officers,
    directors, shareholders having a 10% or greater ownership
    interest therein, proprietor, a partner, member, officer,
    director, trustee, manager or other principals in the
    business have not committed in the past 3 years any one
    violation as determined in any civil, criminal or
    administrative proceedings of any one of the following
    Acts:
            (A) The Anti Theft Laws of the Illinois Vehicle
        Code;
            (B) The Certificate of Title Laws of the Illinois
        Vehicle Code;
            (C) The Offenses against Registration and
        Certificates of Title Laws of the Illinois Vehicle
        Code;
            (D) The Dealers, Transporters, Wreckers and
        Rebuilders Laws of the Illinois Vehicle Code;
            (E) Section 21-2 of the Criminal Code of 1961 or
        the Criminal Code of 2012, Criminal Trespass to
        Vehicles; or
            (F) The Retailers' Occupation Tax Act.
        9. A statement that the applicant's officers,
    directors, shareholders having a 10% or greater ownership
    interest therein, proprietor, partner, member, officer,
    director, trustee, manager or other principals in the
    business have not committed in any calendar year 3 or more
    violations, as determined in any civil, criminal or
    administrative proceedings, of any one or more of the
    following Acts:
            (A) The Consumer Finance Act;
            (B) The Consumer Installment Loan Act;
            (C) The Retail Installment Sales Act;
            (D) The Motor Vehicle Retail Installment Sales
        Act;
            (E) The Interest Act;
            (F) The Illinois Wage Assignment Act;
            (G) Part 8 of Article XII of the Code of Civil
        Procedure; or
            (H) The Consumer Fraud Act.
        10. A bond or certificate of deposit in the amount of
    $20,000 for each location at which the applicant intends to
    act as a new vehicle dealer. The bond shall be for the term
    of the license, or its renewal, for which application is
    made, and shall expire not sooner than December 31 of the
    year for which the license was issued or renewed. The bond
    shall run to the People of the State of Illinois, with
    surety by a bonding or insurance company authorized to do
    business in this State. It shall be conditioned upon the
    proper transmittal of all title and registration fees and
    taxes (excluding taxes under the Retailers' Occupation Tax
    Act) accepted by the applicant as a new vehicle dealer.
        11. Such other information concerning the business of
    the applicant as the Secretary of State may by rule or
    regulation prescribe.
        12. A statement that the applicant understands Chapter
    One through Chapter Five of this Code.
    (c) Any change which renders no longer accurate any
information contained in any application for a new vehicle
dealer's license shall be amended within 30 days after the
occurrence of such change on such form as the Secretary of
State may prescribe by rule or regulation, accompanied by an
amendatory fee of $2.
    (d) Anything in this Chapter 5 to the contrary
notwithstanding no person shall be licensed as a new vehicle
dealer unless:
        1. He is authorized by contract in writing between
    himself and the manufacturer or franchised distributor of
    such make of vehicle to so sell the same in this State, and
        2. Such person shall maintain an established place of
    business as defined in this Act.
    (e) The Secretary of State shall, within a reasonable time
after receipt, examine an application submitted to him under
this Section and unless he makes a determination that the
application submitted to him does not conform with the
requirements of this Section or that grounds exist for a denial
of the application, under Section 5-501 of this Chapter, grant
the applicant an original new vehicle dealer's license in
writing for his established place of business and a
supplemental license in writing for each additional place of
business in such form as he may prescribe by rule or regulation
which shall include the following:
        1. The name of the person licensed;
        2. If a corporation, the name and address of its
    officers or if a sole proprietorship, a partnership, an
    unincorporated association or any similar form of business
    organization, the name and address of the proprietor or of
    each partner, member, officer, director, trustee or
    manager;
        3. In the case of an original license, the established
    place of business of the licensee;
        4. In the case of a supplemental license, the
    established place of business of the licensee and the
    additional place of business to which such supplemental
    license pertains;
        5. The make or makes of new vehicles which the licensee
    is licensed to sell.
    (f) The appropriate instrument evidencing the license or a
certified copy thereof, provided by the Secretary of State,
shall be kept posted conspicuously in the established place of
business of the licensee and in each additional place of
business, if any, maintained by such licensee.
    (g) Except as provided in subsection (h) hereof, all new
vehicle dealer's licenses granted under this Section shall
expire by operation of law on December 31 of the calendar year
for which they are granted unless sooner revoked or cancelled
under the provisions of Section 5-501 of this Chapter.
    (h) A new vehicle dealer's license may be renewed upon
application and payment of the fee required herein, and
submission of proof of coverage under an approved bond under
the "Retailers' Occupation Tax Act" or proof that applicant is
not subject to such bonding requirements, as in the case of an
original license, but in case an application for the renewal of
an effective license is made during the month of December, the
effective license shall remain in force until the application
is granted or denied by the Secretary of State.
    (i) All persons licensed as a new vehicle dealer are
required to furnish each purchaser of a motor vehicle:
        1. In the case of a new vehicle a manufacturer's
    statement of origin and in the case of a used motor vehicle
    a certificate of title, in either case properly assigned to
    the purchaser;
        2. A statement verified under oath that all identifying
    numbers on the vehicle agree with those on the certificate
    of title or manufacturer's statement of origin;
        3. A bill of sale properly executed on behalf of such
    person;
        4. A copy of the Uniform Invoice-transaction reporting
    return referred to in Section 5-402 hereof;
        5. In the case of a rebuilt vehicle, a copy of the
    Disclosure of Rebuilt Vehicle Status; and
        6. In the case of a vehicle for which the warranty has
    been reinstated, a copy of the warranty.
    (j) Except at the time of sale or repossession of the
vehicle, no person licensed as a new vehicle dealer may issue
any other person a newly created key to a vehicle unless the
new vehicle dealer makes a copy of the driver's license or
State identification card of the person requesting or obtaining
the newly created key. The new vehicle dealer must retain the
copy for 30 days.
    A new vehicle dealer who violates this subsection (j) is
guilty of a petty offense. Violation of this subsection (j) is
not cause to suspend, revoke, cancel, or deny renewal of the
new vehicle dealer's license.
    This amendatory Act of 1983 shall be applicable to the 1984
registration year and thereafter.
(Source: P.A. 97-480, eff. 10-1-11.)
 
    (625 ILCS 5/5-102)  (from Ch. 95 1/2, par. 5-102)
    Sec. 5-102. Used vehicle dealers must be licensed.
    (a) No person, other than a licensed new vehicle dealer,
shall engage in the business of selling or dealing in, on
consignment or otherwise, 5 or more used vehicles of any make
during the year (except house trailers as authorized by
paragraph (j) of this Section and rebuilt salvage vehicles sold
by their rebuilders to persons licensed under this Chapter), or
act as an intermediary, agent or broker for any licensed dealer
or vehicle purchaser (other than as a salesperson) or represent
or advertise that he is so engaged or intends to so engage in
such business unless licensed to do so by the Secretary of
State under the provisions of this Section.
    (b) An application for a used vehicle dealer's license
shall be filed with the Secretary of State, duly verified by
oath, in such form as the Secretary of State may by rule or
regulation prescribe and shall contain:
        1. The name and type of business organization
    established and additional places of business, if any, in
    this State.
        2. If the applicant is a corporation, a list of its
    officers, directors, and shareholders having a ten percent
    or greater ownership interest in the corporation, setting
    forth the residence address of each; if the applicant is a
    sole proprietorship, a partnership, an unincorporated
    association, a trust, or any similar form of business
    organization, the names and residence address of the
    proprietor or of each partner, member, officer, director,
    trustee or manager.
        3. A statement that the applicant has been approved for
    registration under the Retailers' Occupation Tax Act by the
    Department of Revenue. However, this requirement does not
    apply to a dealer who is already licensed hereunder with
    the Secretary of State, and who is merely applying for a
    renewal of his license. As evidence of this fact, the
    application shall be accompanied by a certification from
    the Department of Revenue showing that the Department has
    approved the applicant for registration under the
    Retailers' Occupation Tax Act.
        4. A statement that the applicant has complied with the
    appropriate liability insurance requirement. A Certificate
    of Insurance in a solvent company authorized to do business
    in the State of Illinois shall be included with each
    application covering each location at which he proposes to
    act as a used vehicle dealer. The policy must provide
    liability coverage in the minimum amounts of $100,000 for
    bodily injury to, or death of, any person, $300,000 for
    bodily injury to, or death of, two or more persons in any
    one accident, and $50,000 for damage to property. Such
    policy shall expire not sooner than December 31 of the year
    for which the license was issued or renewed. The expiration
    of the insurance policy shall not terminate the liability
    under the policy arising during the period for which the
    policy was filed. Trailer and mobile home dealers are
    exempt from this requirement.
        If the permitted user has a liability insurance policy
    that provides automobile liability insurance coverage of
    at least $100,000 for bodily injury to or the death of any
    person, $300,000 for bodily injury to or the death of any 2
    or more persons in any one accident, and $50,000 for damage
    to property, then the permitted user's insurer shall be the
    primary insurer and the dealer's insurer shall be the
    secondary insurer. If the permitted user does not have a
    liability insurance policy that provides automobile
    liability insurance coverage of at least $100,000 for
    bodily injury to or the death of any person, $300,000 for
    bodily injury to or the death of any 2 or more persons in
    any one accident, and $50,000 for damage to property, or
    does not have any insurance at all, then the dealer's
    insurer shall be the primary insurer and the permitted
    user's insurer shall be the secondary insurer.
        When a permitted user is "test driving" a used vehicle
    dealer's automobile, the used vehicle dealer's insurance
    shall be primary and the permitted user's insurance shall
    be secondary.
        As used in this paragraph 4, a "permitted user" is a
    person who, with the permission of the used vehicle dealer
    or an employee of the used vehicle dealer, drives a vehicle
    owned and held for sale or lease by the used vehicle dealer
    which the person is considering to purchase or lease, in
    order to evaluate the performance, reliability, or
    condition of the vehicle. The term "permitted user" also
    includes a person who, with the permission of the used
    vehicle dealer, drives a vehicle owned or held for sale or
    lease by the used vehicle dealer for loaner purposes while
    the user's vehicle is being repaired or evaluated.
        As used in this paragraph 4, "test driving" occurs when
    a permitted user who, with the permission of the used
    vehicle dealer or an employee of the used vehicle dealer,
    drives a vehicle owned and held for sale or lease by a used
    vehicle dealer that the person is considering to purchase
    or lease, in order to evaluate the performance,
    reliability, or condition of the vehicle.
        As used in this paragraph 4, "loaner purposes" means
    when a person who, with the permission of the used vehicle
    dealer, drives a vehicle owned or held for sale or lease by
    the used vehicle dealer while the user's vehicle is being
    repaired or evaluated.
        5. An application for a used vehicle dealer's license
    shall be accompanied by the following license fees:
            (A) $1,000 for applicant's established place of
        business, and $50 for each additional place of
        business, if any, to which the application pertains;
        however, if the application is made after June 15 of
        any year, the license fee shall be $500 for applicant's
        established place of business plus $25 for each
        additional place of business, if any, to which the
        application pertains. License fees shall be returnable
        only in the event that the application is denied by the
        Secretary of State. Of the money received by the
        Secretary of State as license fees under this
        subparagraph (A) for the 2004 licensing year and
        thereafter, 95% shall be deposited into the General
        Revenue Fund.
            (B) Except as provided in subsection (h) of Section
        5-102.7 of this Code, an Annual Dealer Recovery Fund
        Fee in the amount of $500 for the applicant's
        established place of business, and $50 for each
        additional place of business, if any, to which the
        application pertains; but if the application is made
        after June 15 of any year, the fee shall be $250 for
        the applicant's established place of business plus $25
        for each additional place of business, if any, to which
        the application pertains. License fees shall be
        returnable only in the event that the application is
        denied by the Secretary of State. Moneys received under
        this subparagraph (B) shall be deposited into the
        Dealer Recovery Trust Fund.
        6. A statement that the applicant's officers,
    directors, shareholders having a 10% or greater ownership
    interest therein, proprietor, partner, member, officer,
    director, trustee, manager or other principals in the
    business have not committed in the past 3 years any one
    violation as determined in any civil, criminal or
    administrative proceedings of any one of the following
    Acts:
            (A) The Anti Theft Laws of the Illinois Vehicle
        Code;
            (B) The Certificate of Title Laws of the Illinois
        Vehicle Code;
            (C) The Offenses against Registration and
        Certificates of Title Laws of the Illinois Vehicle
        Code;
            (D) The Dealers, Transporters, Wreckers and
        Rebuilders Laws of the Illinois Vehicle Code;
            (E) Section 21-2 of the Illinois Criminal Code of
        1961 or the Criminal Code of 2012, Criminal Trespass to
        Vehicles; or
            (F) The Retailers' Occupation Tax Act.
        7. A statement that the applicant's officers,
    directors, shareholders having a 10% or greater ownership
    interest therein, proprietor, partner, member, officer,
    director, trustee, manager or other principals in the
    business have not committed in any calendar year 3 or more
    violations, as determined in any civil or criminal or
    administrative proceedings, of any one or more of the
    following Acts:
            (A) The Consumer Finance Act;
            (B) The Consumer Installment Loan Act;
            (C) The Retail Installment Sales Act;
            (D) The Motor Vehicle Retail Installment Sales
        Act;
            (E) The Interest Act;
            (F) The Illinois Wage Assignment Act;
            (G) Part 8 of Article XII of the Code of Civil
        Procedure; or
            (H) The Consumer Fraud Act.
        8. A bond or Certificate of Deposit in the amount of
    $20,000 for each location at which the applicant intends to
    act as a used vehicle dealer. The bond shall be for the
    term of the license, or its renewal, for which application
    is made, and shall expire not sooner than December 31 of
    the year for which the license was issued or renewed. The
    bond shall run to the People of the State of Illinois, with
    surety by a bonding or insurance company authorized to do
    business in this State. It shall be conditioned upon the
    proper transmittal of all title and registration fees and
    taxes (excluding taxes under the Retailers' Occupation Tax
    Act) accepted by the applicant as a used vehicle dealer.
        9. Such other information concerning the business of
    the applicant as the Secretary of State may by rule or
    regulation prescribe.
        10. A statement that the applicant understands Chapter
    1 through Chapter 5 of this Code.
        11. A copy of the certification from the prelicensing
    education program.
    (c) Any change which renders no longer accurate any
information contained in any application for a used vehicle
dealer's license shall be amended within 30 days after the
occurrence of each change on such form as the Secretary of
State may prescribe by rule or regulation, accompanied by an
amendatory fee of $2.
    (d) Anything in this Chapter to the contrary
notwithstanding, no person shall be licensed as a used vehicle
dealer unless such person maintains an established place of
business as defined in this Chapter.
    (e) The Secretary of State shall, within a reasonable time
after receipt, examine an application submitted to him under
this Section. Unless the Secretary makes a determination that
the application submitted to him does not conform to this
Section or that grounds exist for a denial of the application
under Section 5-501 of this Chapter, he must grant the
applicant an original used vehicle dealer's license in writing
for his established place of business and a supplemental
license in writing for each additional place of business in
such form as he may prescribe by rule or regulation which shall
include the following:
        1. The name of the person licensed;
        2. If a corporation, the name and address of its
    officers or if a sole proprietorship, a partnership, an
    unincorporated association or any similar form of business
    organization, the name and address of the proprietor or of
    each partner, member, officer, director, trustee or
    manager;
        3. In case of an original license, the established
    place of business of the licensee;
        4. In the case of a supplemental license, the
    established place of business of the licensee and the
    additional place of business to which such supplemental
    license pertains.
    (f) The appropriate instrument evidencing the license or a
certified copy thereof, provided by the Secretary of State
shall be kept posted, conspicuously, in the established place
of business of the licensee and in each additional place of
business, if any, maintained by such licensee.
    (g) Except as provided in subsection (h) of this Section,
all used vehicle dealer's licenses granted under this Section
expire by operation of law on December 31 of the calendar year
for which they are granted unless sooner revoked or cancelled
under Section 5-501 of this Chapter.
    (h) A used vehicle dealer's license may be renewed upon
application and payment of the fee required herein, and
submission of proof of coverage by an approved bond under the
"Retailers' Occupation Tax Act" or proof that applicant is not
subject to such bonding requirements, as in the case of an
original license, but in case an application for the renewal of
an effective license is made during the month of December, the
effective license shall remain in force until the application
for renewal is granted or denied by the Secretary of State.
    (i) All persons licensed as a used vehicle dealer are
required to furnish each purchaser of a motor vehicle:
        1. A certificate of title properly assigned to the
    purchaser;
        2. A statement verified under oath that all identifying
    numbers on the vehicle agree with those on the certificate
    of title;
        3. A bill of sale properly executed on behalf of such
    person;
        4. A copy of the Uniform Invoice-transaction reporting
    return referred to in Section 5-402 of this Chapter;
        5. In the case of a rebuilt vehicle, a copy of the
    Disclosure of Rebuilt Vehicle Status; and
        6. In the case of a vehicle for which the warranty has
    been reinstated, a copy of the warranty.
    (j) A real estate broker holding a valid certificate of
registration issued pursuant to "The Real Estate Brokers and
Salesmen License Act" may engage in the business of selling or
dealing in house trailers not his own without being licensed as
a used vehicle dealer under this Section; however such broker
shall maintain a record of the transaction including the
following:
        (1) the name and address of the buyer and seller,
        (2) the date of sale,
        (3) a description of the mobile home, including the
    vehicle identification number, make, model, and year, and
        (4) the Illinois certificate of title number.
    The foregoing records shall be available for inspection by
any officer of the Secretary of State's Office at any
reasonable hour.
    (k) Except at the time of sale or repossession of the
vehicle, no person licensed as a used vehicle dealer may issue
any other person a newly created key to a vehicle unless the
used vehicle dealer makes a copy of the driver's license or
State identification card of the person requesting or obtaining
the newly created key. The used vehicle dealer must retain the
copy for 30 days.
    A used vehicle dealer who violates this subsection (k) is
guilty of a petty offense. Violation of this subsection (k) is
not cause to suspend, revoke, cancel, or deny renewal of the
used vehicle dealer's license.
    (l) Used vehicle dealers licensed under this Section shall
provide the Secretary of State a register for the sale at
auction of each salvage or junk certificate vehicle. Each
register shall include the following information:
        1. The year, make, model, style and color of the
    vehicle;
        2. The vehicle's manufacturer's identification number
    or, if applicable, the Secretary of State or Illinois
    Department of State Police identification number;
        3. The date of acquisition of the vehicle;
        4. The name and address of the person from whom the
    vehicle was acquired;
        5. The name and address of the person to whom any
    vehicle was disposed, the person's Illinois license number
    or if the person is an out-of-state salvage vehicle buyer,
    the license number from the state or jurisdiction where the
    buyer is licensed; and
        6. The purchase price of the vehicle.
    The register shall be submitted to the Secretary of State
via written or electronic means within 10 calendar days from
the date of the auction.
(Source: P.A. 96-678, eff. 8-25-09; 97-480, eff. 10-1-11.)
 
    (625 ILCS 5/5-301)  (from Ch. 95 1/2, par. 5-301)
    Sec. 5-301. Automotive parts recyclers, scrap processors,
repairers and rebuilders must be licensed.
    (a) No person in this State shall, except as an incident to
the servicing of vehicles, carry on or conduct the business of
a automotive parts recyclers, a scrap processor, a repairer, or
a rebuilder, unless licensed to do so in writing by the
Secretary of State under this Section. No person shall rebuild
a salvage vehicle unless such person is licensed as a rebuilder
by the Secretary of State under this Section. No person shall
engage in the business of acquiring 5 or more previously owned
vehicles in one calendar year for the primary purpose of
disposing of those vehicles in the manner described in the
definition of a "scrap processor" in this Code unless the
person is licensed as an automotive parts recycler by the
Secretary of State under this Section. Each license shall be
applied for and issued separately, except that a license issued
to a new vehicle dealer under Section 5-101 of this Code shall
also be deemed to be a repairer license.
    (b) Any application filed with the Secretary of State,
shall be duly verified by oath, in such form as the Secretary
of State may by rule or regulation prescribe and shall contain:
        1. The name and type of business organization of the
    applicant and his principal or additional places of
    business, if any, in this State.
        2. The kind or kinds of business enumerated in
    subsection (a) of this Section to be conducted at each
    location.
        3. If the applicant is a corporation, a list of its
    officers, directors, and shareholders having a ten percent
    or greater ownership interest in the corporation, setting
    forth the residence address of each; if the applicant is a
    sole proprietorship, a partnership, an unincorporated
    association, a trust, or any similar form of business
    organization, the names and residence address of the
    proprietor or of each partner, member, officer, director,
    trustee or manager.
        4. A statement that the applicant's officers,
    directors, shareholders having a ten percent or greater
    ownership interest therein, proprietor, partner, member,
    officer, director, trustee, manager, or other principals
    in the business have not committed in the past three years
    any one violation as determined in any civil or criminal or
    administrative proceedings of any one of the following
    Acts:
            (a) The Anti Theft Laws of the Illinois Vehicle
        Code;
            (b) The "Certificate of Title Laws" of the Illinois
        Vehicle Code;
            (c) The "Offenses against Registration and
        Certificates of Title Laws" of the Illinois Vehicle
        Code;
            (d) The "Dealers, Transporters, Wreckers and
        Rebuilders Laws" of the Illinois Vehicle Code;
            (e) Section 21-2 of the Criminal Code of 1961 or
        the Criminal Code of 2012, Criminal Trespass to
        Vehicles; or
            (f) The Retailers Occupation Tax Act.
        5. A statement that the applicant's officers,
    directors, shareholders having a ten percent or greater
    ownership interest therein, proprietor, partner, member,
    officer, director, trustee, manager or other principals in
    the business have not committed in any calendar year 3 or
    more violations, as determined in any civil or criminal or
    administrative proceedings, of any one or more of the
    following Acts:
            (a) The Consumer Finance Act;
            (b) The Consumer Installment Loan Act;
            (c) The Retail Installment Sales Act;
            (d) The Motor Vehicle Retail Installment Sales
        Act;
            (e) The Interest Act;
            (f) The Illinois Wage Assignment Act;
            (g) Part 8 of Article XII of the Code of Civil
        Procedure; or
            (h) The Consumer Fraud Act.
        6. An application for a license shall be accompanied by
    the following fees: $50 for applicant's established place
    of business; $25 for each additional place of business, if
    any, to which the application pertains; provided, however,
    that if such an application is made after June 15 of any
    year, the license fee shall be $25 for applicant's
    established place of business plus $12.50 for each
    additional place of business, if any, to which the
    application pertains. License fees shall be returnable
    only in the event that such application shall be denied by
    the Secretary of State.
        7. A statement that the applicant understands Chapter 1
    through Chapter 5 of this Code.
        8. A statement that the applicant shall comply with
    subsection (e) of this Section.
    (c) Any change which renders no longer accurate any
information contained in any application for a license filed
with the Secretary of State shall be amended within 30 days
after the occurrence of such change on such form as the
Secretary of State may prescribe by rule or regulation,
accompanied by an amendatory fee of $2.
    (d) Anything in this chapter to the contrary,
notwithstanding, no person shall be licensed under this Section
unless such person shall maintain an established place of
business as defined in this Chapter.
    (e) The Secretary of State shall within a reasonable time
after receipt thereof, examine an application submitted to him
under this Section and unless he makes a determination that the
application submitted to him does not conform with the
requirements of this Section or that grounds exist for a denial
of the application, as prescribed in Section 5-501 of this
Chapter, grant the applicant an original license as applied for
in writing for his established place of business and a
supplemental license in writing for each additional place of
business in such form as he may prescribe by rule or regulation
which shall include the following:
        1. The name of the person licensed;
        2. If a corporation, the name and address of its
    officers or if a sole proprietorship, a partnership, an
    unincorporated association or any similar form of business
    organization, the name and address of the proprietor or of
    each partner, member, officer, director, trustee or
    manager;
        3. A designation of the kind or kinds of business
    enumerated in subsection (a) of this Section to be
    conducted at each location;
        4. In the case of an original license, the established
    place of business of the licensee;
        5. In the case of a supplemental license, the
    established place of business of the licensee and the
    additional place of business to which such supplemental
    license pertains.
    (f) The appropriate instrument evidencing the license or a
certified copy thereof, provided by the Secretary of State
shall be kept, posted, conspicuously in the established place
of business of the licensee and in each additional place of
business, if any, maintained by such licensee. The licensee
also shall post conspicuously in the established place of
business and in each additional place of business a notice
which states that such business is required to be licensed by
the Secretary of State under Section 5-301, and which provides
the license number of the business and the license expiration
date. This notice also shall advise the consumer that any
complaints as to the quality of service may be brought to the
attention of the Attorney General. The information required on
this notice also shall be printed conspicuously on all
estimates and receipts for work by the licensee subject to this
Section. The Secretary of State shall prescribe the specific
format of this notice.
    (g) Except as provided in subsection (h) hereof, licenses
granted under this Section shall expire by operation of law on
December 31 of the calendar year for which they are granted
unless sooner revoked or cancelled under the provisions of
Section 5-501 of this Chapter.
    (h) Any license granted under this Section may be renewed
upon application and payment of the fee required herein as in
the case of an original license, provided, however, that in
case an application for the renewal of an effective license is
made during the month of December, such effective license shall
remain in force until such application is granted or denied by
the Secretary of State.
    (i) All automotive repairers and rebuilders shall, in
addition to the requirements of subsections (a) through (h) of
this Section, meet the following licensing requirements:
        1. Provide proof that the property on which first time
    applicants plan to do business is in compliance with local
    zoning laws and regulations, and a listing of zoning
    classification;
        2. Provide proof that the applicant for a repairer's
    license complies with the proper workers' compensation
    rate code or classification, and listing the code of
    classification for that industry;
        3. Provide proof that the applicant for a rebuilder's
    license complies with the proper workers' compensation
    rate code or classification for the repair industry or the
    auto parts recycling industry and listing the code of
    classification;
        4. Provide proof that the applicant has obtained or
    applied for a hazardous waste generator number, and listing
    the actual number if available or certificate of exemption;
        5. Provide proof that applicant has proper liability
    insurance, and listing the name of the insurer and the
    policy number; and
        6. Provide proof that the applicant has obtained or
    applied for the proper State sales tax classification and
    federal identification tax number, and listing the actual
    numbers if available.
    (i-1) All automotive repairers shall provide proof that
they comply with all requirements of the Automotive Collision
Repair Act.
    (j) All automotive parts recyclers shall, in addition to
the requirements of subsections (a) through (h) of this
Section, meet the following licensing requirements:
        1. A statement that the applicant purchases 5 vehicles
    per year or has 5 hulks or chassis in stock;
        2. Provide proof that the property on which all first
    time applicants will do business does comply to the proper
    local zoning laws in existence, and a listing of zoning
    classifications;
        3. Provide proof that applicant complies with the
    proper workers' compensation rate code or classification,
    and listing the code of classification; and
        4. Provide proof that applicant has obtained or applied
    for the proper State sales tax classification and federal
    identification tax number, and listing the actual numbers
    if available.
(Source: P.A. 97-832, eff. 7-20-12.)
 
    (625 ILCS 5/5-501)  (from Ch. 95 1/2, par. 5-501)
    Sec. 5-501. Denial, suspension or revocation or
cancellation of a license.
    (a) The license of a person issued under this Chapter may
be denied, revoked or suspended if the Secretary of State finds
that the applicant, or the officer, director, shareholder
having a ten percent or greater ownership interest in the
corporation, owner, partner, trustee, manager, employee or the
licensee has:
        1. Violated this Act;
        2. Made any material misrepresentation to the
    Secretary of State in connection with an application for a
    license, junking certificate, salvage certificate, title
    or registration;
        3. Committed a fraudulent act in connection with
    selling, bartering, exchanging, offering for sale or
    otherwise dealing in vehicles, chassis, essential parts,
    or vehicle shells;
        4. As a new vehicle dealer has no contract with a
    manufacturer or enfranchised distributor to sell that new
    vehicle in this State;
        5. Not maintained an established place of business as
    defined in this Code;
        6. Failed to file or produce for the Secretary of State
    any application, report, document or other pertinent
    books, records, documents, letters, contracts, required to
    be filed or produced under this Code or any rule or
    regulation made by the Secretary of State pursuant to this
    Code;
        7. Previously had, within 3 years, such a license
    denied, suspended, revoked, or cancelled under the
    provisions of subsection (c)(2) of this Section;
        8. Has committed in any calendar year 3 or more
    violations, as determined in any civil or criminal
    proceeding, of any one or more of the following Acts:
            a. the "Consumer Finance Act";
            b. the "Consumer Installment Loan Act";
            c. the "Retail Installment Sales Act";
            d. the "Motor Vehicle Retail Installment Sales
        Act";
            e. "An Act in relation to the rate of interest and
        other charges in connection with sales on credit and
        the lending of money", approved May 24, 1879, as
        amended;
            f. "An Act to promote the welfare of wage-earners
        by regulating the assignment of wages, and prescribing
        a penalty for the violation thereof", approved July 1,
        1935, as amended;
            g. Part 8 of Article XII of the Code of Civil
        Procedure; or
            h. the "Consumer Fraud Act";
        9. Failed to pay any fees or taxes due under this Act,
    or has failed to transmit any fees or taxes received by him
    for transmittal by him to the Secretary of State or the
    State of Illinois;
        10. Converted an abandoned vehicle;
        11. Used a vehicle identification plate or number
    assigned to a vehicle other than the one to which
    originally assigned;
        12. Violated the provisions of Chapter 5 of this Act,
    as amended;
        13. Violated the provisions of Chapter 4 of this Act,
    as amended;
        14. Violated the provisions of Chapter 3 of this Act,
    as amended;
        15. Violated Section 21-2 of the Criminal Code of 1961
    or the Criminal Code of 2012, Criminal Trespass to
    Vehicles;
        16. Made or concealed a material fact in connection
    with his application for a license;
        17. Acted in the capacity of a person licensed or acted
    as a licensee under this Chapter without having a license
    therefor;
        18. Failed to pay, within 90 days after a final
    judgment, any fines assessed against the licensee pursuant
    to an action brought under Section 5-404;
        19. Failed to pay the Dealer Recovery Trust Fund fee
    under Section 5-102.7 of this Code;
        20. Failed to pay, within 90 days after notice has been
    given, any fine or fee owed as a result of an
    administrative citation issued by the Secretary under this
    Code.
    (b) In addition to other grounds specified in this Chapter,
the Secretary of State, on complaint of the Department of
Revenue, shall refuse the issuance or renewal of a license, or
suspend or revoke such license, for any of the following
violations of the "Retailers' Occupation Tax Act":
        1. Failure to make a tax return;
        2. The filing of a fraudulent return;
        3. Failure to pay all or part of any tax or penalty
    finally determined to be due;
        4. Failure to comply with the bonding requirements of
    the "Retailers' Occupation Tax Act".
    (b-1) In addition to other grounds specified in this
Chapter, the Secretary of State, on complaint of the Motor
Vehicle Review Board, shall refuse the issuance or renewal of a
license, or suspend or revoke that license, if costs or fees
assessed under Section 29 or Section 30 of the Motor Vehicle
Franchise Act have remained unpaid for a period in excess of 90
days after the licensee received from the Motor Vehicle Board a
second notice and demand for the costs or fees. The Motor
Vehicle Review Board must send the licensee written notice and
demand for payment of the fees or costs at least 2 times, and
the second notice and demand must be sent by certified mail.
    (c) Cancellation of a license.
        1. The license of a person issued under this Chapter
    may be cancelled by the Secretary of State prior to its
    expiration in any of the following situations:
            A. When a license is voluntarily surrendered, by
        the licensed person; or
            B. If the business enterprise is a sole
        proprietorship, which is not a franchised dealership,
        when the sole proprietor dies or is imprisoned for any
        period of time exceeding 30 days; or
            C. If the license was issued to the wrong person or
        corporation, or contains an error on its face. If any
        person above whose license has been cancelled wishes to
        apply for another license, whether during the same
        license year or any other year, that person shall be
        treated as any other new applicant and the cancellation
        of the person's prior license shall not, in and of
        itself, be a bar to the issuance of a new license.
        2. The license of a person issued under this Chapter
    may be cancelled without a hearing when the Secretary of
    State is notified that the applicant, or any officer,
    director, shareholder having a 10 per cent or greater
    ownership interest in the corporation, owner, partner,
    trustee, manager, employee or member of the applicant or
    the licensee has been convicted of any felony involving the
    selling, bartering, exchanging, offering for sale, or
    otherwise dealing in vehicles, chassis, essential parts,
    vehicle shells, or ownership documents relating to any of
    the above items.
(Source: P.A. 97-480, eff. 10-1-11; 97-838, eff. 7-20-12.)
 
    (625 ILCS 5/6-101)  (from Ch. 95 1/2, par. 6-101)
    Sec. 6-101. Drivers must have licenses or permits.
    (a) No person, except those expressly exempted by Section
6-102, shall drive any motor vehicle upon a highway in this
State unless such person has a valid license or permit, or a
restricted driving permit, issued under the provisions of this
Act.
    (b) No person shall drive a motor vehicle unless he holds a
valid license or permit, or a restricted driving permit issued
under the provisions of Section 6-205, 6-206, or 6-113 of this
Act. Any person to whom a license is issued under the
provisions of this Act must surrender to the Secretary of State
all valid licenses or permits. No drivers license or
instruction permit shall be issued to any person who holds a
valid Foreign State license, identification card, or permit
unless such person first surrenders to the Secretary of State
any such valid Foreign State license, identification card, or
permit.
    (b-5) Any person who commits a violation of subsection (a)
or (b) of this Section is guilty of a Class A misdemeanor, if
at the time of the violation the person's driver's license or
permit was cancelled under clause (a)9 of Section 6-201 of this
Code.
    (c) Any person licensed as a driver hereunder shall not be
required by any city, village, incorporated town or other
municipal corporation to obtain any other license to exercise
the privilege thereby granted.
    (d) In addition to other penalties imposed under this
Section, any person in violation of this Section who is also in
violation of Section 7-601 of this Code relating to mandatory
insurance requirements shall have his or her motor vehicle
immediately impounded by the arresting law enforcement
officer. The motor vehicle may be released to any licensed
driver upon a showing of proof of insurance for the motor
vehicle that was impounded and the notarized written consent
for the release by the vehicle owner.
    (e) In addition to other penalties imposed under this
Section, the vehicle of any person in violation of this Section
who is also in violation of Section 7-601 of this Code relating
to mandatory insurance requirements and who, in violating this
Section, has caused death or personal injury to another person
is subject to forfeiture under Sections 36-1 and 36-2 of the
Criminal Code of 2012 1961. For the purposes of this Section, a
personal injury shall include any type A injury as indicated on
the traffic accident report completed by a law enforcement
officer that requires immediate professional attention in
either a doctor's office or a medical facility. A type A injury
shall include severely bleeding wounds, distorted extremities,
and injuries that require the injured party to be carried from
the scene.
(Source: P.A. 97-229, eff. 7-28-11.)
 
    (625 ILCS 5/6-103)  (from Ch. 95 1/2, par. 6-103)
    Sec. 6-103. What persons shall not be licensed as drivers
or granted permits. The Secretary of State shall not issue,
renew, or allow the retention of any driver's license nor issue
any permit under this Code:
        1. To any person, as a driver, who is under the age of
    18 years except as provided in Section 6-107, and except
    that an instruction permit may be issued under Section
    6-107.1 to a child who is not less than 15 years of age if
    the child is enrolled in an approved driver education
    course as defined in Section 1-103 of this Code and
    requires an instruction permit to participate therein,
    except that an instruction permit may be issued under the
    provisions of Section 6-107.1 to a child who is 17 years
    and 3 months of age without the child having enrolled in an
    approved driver education course and except that an
    instruction permit may be issued to a child who is at least
    15 years and 3 months of age, is enrolled in school, meets
    the educational requirements of the Driver Education Act,
    and has passed examinations the Secretary of State in his
    or her discretion may prescribe;
        2. To any person who is under the age of 18 as an
    operator of a motorcycle other than a motor driven cycle
    unless the person has, in addition to meeting the
    provisions of Section 6-107 of this Code, successfully
    completed a motorcycle training course approved by the
    Illinois Department of Transportation and successfully
    completes the required Secretary of State's motorcycle
    driver's examination;
        3. To any person, as a driver, whose driver's license
    or permit has been suspended, during the suspension, nor to
    any person whose driver's license or permit has been
    revoked, except as provided in Sections 6-205, 6-206, and
    6-208;
        4. To any person, as a driver, who is a user of alcohol
    or any other drug to a degree that renders the person
    incapable of safely driving a motor vehicle;
        5. To any person, as a driver, who has previously been
    adjudged to be afflicted with or suffering from any mental
    or physical disability or disease and who has not at the
    time of application been restored to competency by the
    methods provided by law;
        6. To any person, as a driver, who is required by the
    Secretary of State to submit an alcohol and drug evaluation
    or take an examination provided for in this Code unless the
    person has successfully passed the examination and
    submitted any required evaluation;
        7. To any person who is required under the provisions
    of the laws of this State to deposit security or proof of
    financial responsibility and who has not deposited the
    security or proof;
        8. To any person when the Secretary of State has good
    cause to believe that the person by reason of physical or
    mental disability would not be able to safely operate a
    motor vehicle upon the highways, unless the person shall
    furnish to the Secretary of State a verified written
    statement, acceptable to the Secretary of State, from a
    competent medical specialist, a licensed physician
    assistant who has been delegated the performance of medical
    examinations by his or her supervising physician, or a
    licensed advanced practice nurse who has a written
    collaborative agreement with a collaborating physician
    which authorizes him or her to perform medical
    examinations, to the effect that the operation of a motor
    vehicle by the person would not be inimical to the public
    safety;
        9. To any person, as a driver, who is 69 years of age
    or older, unless the person has successfully complied with
    the provisions of Section 6-109;
        10. To any person convicted, within 12 months of
    application for a license, of any of the sexual offenses
    enumerated in paragraph 2 of subsection (b) of Section
    6-205;
        11. To any person who is under the age of 21 years with
    a classification prohibited in paragraph (b) of Section
    6-104 and to any person who is under the age of 18 years
    with a classification prohibited in paragraph (c) of
    Section 6-104;
        12. To any person who has been either convicted of or
    adjudicated under the Juvenile Court Act of 1987 based upon
    a violation of the Cannabis Control Act, the Illinois
    Controlled Substances Act, or the Methamphetamine Control
    and Community Protection Act while that person was in
    actual physical control of a motor vehicle. For purposes of
    this Section, any person placed on probation under Section
    10 of the Cannabis Control Act, Section 410 of the Illinois
    Controlled Substances Act, or Section 70 of the
    Methamphetamine Control and Community Protection Act shall
    not be considered convicted. Any person found guilty of
    this offense, while in actual physical control of a motor
    vehicle, shall have an entry made in the court record by
    the judge that this offense did occur while the person was
    in actual physical control of a motor vehicle and order the
    clerk of the court to report the violation to the Secretary
    of State as such. The Secretary of State shall not issue a
    new license or permit for a period of one year;
        13. To any person who is under the age of 18 years and
    who has committed the offense of operating a motor vehicle
    without a valid license or permit in violation of Section
    6-101 or a similar out of state offense;
        14. To any person who is 90 days or more delinquent in
    court ordered child support payments or has been
    adjudicated in arrears in an amount equal to 90 days'
    obligation or more and who has been found in contempt of
    court for failure to pay the support, subject to the
    requirements and procedures of Article VII of Chapter 7 of
    the Illinois Vehicle Code;
        14.5. To any person certified by the Illinois
    Department of Healthcare and Family Services as being 90
    days or more delinquent in payment of support under an
    order of support entered by a court or administrative body
    of this or any other State, subject to the requirements and
    procedures of Article VII of Chapter 7 of this Code
    regarding those certifications;
        15. To any person released from a term of imprisonment
    for violating Section 9-3 of the Criminal Code of 1961 or
    the Criminal Code of 2012, or a similar provision of a law
    of another state relating to reckless homicide or for
    violating subparagraph (F) of paragraph (1) of subsection
    (d) of Section 11-501 of this Code relating to aggravated
    driving under the influence of alcohol, other drug or
    drugs, intoxicating compound or compounds, or any
    combination thereof, if the violation was the proximate
    cause of a death, within 24 months of release from a term
    of imprisonment;
        16. To any person who, with intent to influence any act
    related to the issuance of any driver's license or permit,
    by an employee of the Secretary of State's Office, or the
    owner or employee of any commercial driver training school
    licensed by the Secretary of State, or any other individual
    authorized by the laws of this State to give driving
    instructions or administer all or part of a driver's
    license examination, promises or tenders to that person any
    property or personal advantage which that person is not
    authorized by law to accept. Any persons promising or
    tendering such property or personal advantage shall be
    disqualified from holding any class of driver's license or
    permit for 120 consecutive days. The Secretary of State
    shall establish by rule the procedures for implementing
    this period of disqualification and the procedures by which
    persons so disqualified may obtain administrative review
    of the decision to disqualify;
        17. To any person for whom the Secretary of State
    cannot verify the accuracy of any information or
    documentation submitted in application for a driver's
    license; or
        18. To any person who has been adjudicated under the
    Juvenile Court Act of 1987 based upon an offense that is
    determined by the court to have been committed in
    furtherance of the criminal activities of an organized
    gang, as provided in Section 5-710 of that Act, and that
    involved the operation or use of a motor vehicle or the use
    of a driver's license or permit. The person shall be denied
    a license or permit for the period determined by the court.
    The Secretary of State shall retain all conviction
information, if the information is required to be held
confidential under the Juvenile Court Act of 1987.
(Source: P.A. 96-607, eff. 8-24-09; 96-740, eff. 1-1-10;
96-962, eff. 7-2-10; 96-1000, eff. 7-2-10; 97-185, eff.
7-22-11.)
 
    (625 ILCS 5/6-106.1)
    Sec. 6-106.1. School bus driver permit.
    (a) The Secretary of State shall issue a school bus driver
permit to those applicants who have met all the requirements of
the application and screening process under this Section to
insure the welfare and safety of children who are transported
on school buses throughout the State of Illinois. Applicants
shall obtain the proper application required by the Secretary
of State from their prospective or current employer and submit
the completed application to the prospective or current
employer along with the necessary fingerprint submission as
required by the Department of State Police to conduct
fingerprint based criminal background checks on current and
future information available in the state system and current
information available through the Federal Bureau of
Investigation's system. Applicants who have completed the
fingerprinting requirements shall not be subjected to the
fingerprinting process when applying for subsequent permits or
submitting proof of successful completion of the annual
refresher course. Individuals who on the effective date of this
Act possess a valid school bus driver permit that has been
previously issued by the appropriate Regional School
Superintendent are not subject to the fingerprinting
provisions of this Section as long as the permit remains valid
and does not lapse. The applicant shall be required to pay all
related application and fingerprinting fees as established by
rule including, but not limited to, the amounts established by
the Department of State Police and the Federal Bureau of
Investigation to process fingerprint based criminal background
investigations. All fees paid for fingerprint processing
services under this Section shall be deposited into the State
Police Services Fund for the cost incurred in processing the
fingerprint based criminal background investigations. All
other fees paid under this Section shall be deposited into the
Road Fund for the purpose of defraying the costs of the
Secretary of State in administering this Section. All
applicants must:
        1. be 21 years of age or older;
        2. possess a valid and properly classified driver's
    license issued by the Secretary of State;
        3. possess a valid driver's license, which has not been
    revoked, suspended, or canceled for 3 years immediately
    prior to the date of application, or have not had his or
    her commercial motor vehicle driving privileges
    disqualified within the 3 years immediately prior to the
    date of application;
        4. successfully pass a written test, administered by
    the Secretary of State, on school bus operation, school bus
    safety, and special traffic laws relating to school buses
    and submit to a review of the applicant's driving habits by
    the Secretary of State at the time the written test is
    given;
        5. demonstrate ability to exercise reasonable care in
    the operation of school buses in accordance with rules
    promulgated by the Secretary of State;
        6. demonstrate physical fitness to operate school
    buses by submitting the results of a medical examination,
    including tests for drug use for each applicant not subject
    to such testing pursuant to federal law, conducted by a
    licensed physician, an advanced practice nurse who has a
    written collaborative agreement with a collaborating
    physician which authorizes him or her to perform medical
    examinations, or a physician assistant who has been
    delegated the performance of medical examinations by his or
    her supervising physician within 90 days of the date of
    application according to standards promulgated by the
    Secretary of State;
        7. affirm under penalties of perjury that he or she has
    not made a false statement or knowingly concealed a
    material fact in any application for permit;
        8. have completed an initial classroom course,
    including first aid procedures, in school bus driver safety
    as promulgated by the Secretary of State; and after
    satisfactory completion of said initial course an annual
    refresher course; such courses and the agency or
    organization conducting such courses shall be approved by
    the Secretary of State; failure to complete the annual
    refresher course, shall result in cancellation of the
    permit until such course is completed;
        9. not have been under an order of court supervision
    for or convicted of 2 or more serious traffic offenses, as
    defined by rule, within one year prior to the date of
    application that may endanger the life or safety of any of
    the driver's passengers within the duration of the permit
    period;
        10. not have been under an order of court supervision
    for or convicted of reckless driving, aggravated reckless
    driving, driving while under the influence of alcohol,
    other drug or drugs, intoxicating compound or compounds or
    any combination thereof, or reckless homicide resulting
    from the operation of a motor vehicle within 3 years of the
    date of application;
        11. not have been convicted of committing or attempting
    to commit any one or more of the following offenses: (i)
    those offenses defined in Sections 8-1.2, 9-1, 9-1.2, 9-2,
    9-2.1, 9-3, 9-3.2, 9-3.3, 10-1, 10-2, 10-3.1, 10-4, 10-5,
    10-5.1, 10-6, 10-7, 10-9, 11-1.20, 11-1.30, 11-1.40,
    11-1.50, 11-1.60, 11-6, 11-6.5, 11-6.6, 11-9, 11-9.1,
    11-9.3, 11-9.4, 11-14, 11-14.1, 11-14.3, 11-14.4, 11-15,
    11-15.1, 11-16, 11-17, 11-17.1, 11-18, 11-18.1, 11-19,
    11-19.1, 11-19.2, 11-20, 11-20.1, 11-20.1B, 11-20.3,
    11-21, 11-22, 11-23, 11-24, 11-25, 11-26, 11-30, 12-2.6,
    12-3.1, 12-4, 12-4.1, 12-4.2, 12-4.2-5, 12-4.3, 12-4.4,
    12-4.5, 12-4.6, 12-4.7, 12-4.9, 12-5.01, 12-6, 12-6.2,
    12-7.1, 12-7.3, 12-7.4, 12-7.5, 12-11, 12-13, 12-14,
    12-14.1, 12-15, 12-16, 12-16.2, 12-21.5, 12-21.6, 12-33,
    12C-5, 12C-10, 12C-20, 12C-30, 12C-45, 16-16, 16-16.1,
    18-1, 18-2, 18-3, 18-4, 18-5, 19-6, 20-1, 20-1.1, 20-1.2,
    20-1.3, 20-2, 24-1, 24-1.1, 24-1.2, 24-1.2-5, 24-1.6,
    24-1.7, 24-2.1, 24-3.3, 24-3.5, 24-3.8, 24-3.9, 31A-1,
    31A-1.1, 33A-2, and 33D-1, and in subsection (b) of Section
    8-1, and in subdivisions (a)(1), (a)(2), (b)(1), (e)(1),
    (e)(2), (e)(3), (e)(4), and (f)(1) of Section 12-3.05, and
    in subsection (a) and subsection (b), clause (1), of
    Section 12-4, and in subsection (A), clauses (a) and (b),
    of Section 24-3, and those offenses contained in Article
    29D of the Criminal Code of 1961 or the Criminal Code of
    2012; (ii) those offenses defined in the Cannabis Control
    Act except those offenses defined in subsections (a) and
    (b) of Section 4, and subsection (a) of Section 5 of the
    Cannabis Control Act; (iii) those offenses defined in the
    Illinois Controlled Substances Act; (iv) those offenses
    defined in the Methamphetamine Control and Community
    Protection Act; (v) any offense committed or attempted in
    any other state or against the laws of the United States,
    which if committed or attempted in this State would be
    punishable as one or more of the foregoing offenses; (vi)
    the offenses defined in Section 4.1 and 5.1 of the Wrongs
    to Children Act or Section 11-9.1A of the Criminal Code of
    1961 or the Criminal Code of 2012; (vii) those offenses
    defined in Section 6-16 of the Liquor Control Act of 1934;
    and (viii) those offenses defined in the Methamphetamine
    Precursor Control Act;
        12. not have been repeatedly involved as a driver in
    motor vehicle collisions or been repeatedly convicted of
    offenses against laws and ordinances regulating the
    movement of traffic, to a degree which indicates lack of
    ability to exercise ordinary and reasonable care in the
    safe operation of a motor vehicle or disrespect for the
    traffic laws and the safety of other persons upon the
    highway;
        13. not have, through the unlawful operation of a motor
    vehicle, caused an accident resulting in the death of any
    person;
        14. not have, within the last 5 years, been adjudged to
    be afflicted with or suffering from any mental disability
    or disease; and
        15. consent, in writing, to the release of results of
    reasonable suspicion drug and alcohol testing under
    Section 6-106.1c of this Code by the employer of the
    applicant to the Secretary of State.
    (b) A school bus driver permit shall be valid for a period
specified by the Secretary of State as set forth by rule. It
shall be renewable upon compliance with subsection (a) of this
Section.
    (c) A school bus driver permit shall contain the holder's
driver's license number, legal name, residence address, zip
code, and date of birth, a brief description of the holder and
a space for signature. The Secretary of State may require a
suitable photograph of the holder.
    (d) The employer shall be responsible for conducting a
pre-employment interview with prospective school bus driver
candidates, distributing school bus driver applications and
medical forms to be completed by the applicant, and submitting
the applicant's fingerprint cards to the Department of State
Police that are required for the criminal background
investigations. The employer shall certify in writing to the
Secretary of State that all pre-employment conditions have been
successfully completed including the successful completion of
an Illinois specific criminal background investigation through
the Department of State Police and the submission of necessary
fingerprints to the Federal Bureau of Investigation for
criminal history information available through the Federal
Bureau of Investigation system. The applicant shall present the
certification to the Secretary of State at the time of
submitting the school bus driver permit application.
    (e) Permits shall initially be provisional upon receiving
certification from the employer that all pre-employment
conditions have been successfully completed, and upon
successful completion of all training and examination
requirements for the classification of the vehicle to be
operated, the Secretary of State shall provisionally issue a
School Bus Driver Permit. The permit shall remain in a
provisional status pending the completion of the Federal Bureau
of Investigation's criminal background investigation based
upon fingerprinting specimens submitted to the Federal Bureau
of Investigation by the Department of State Police. The Federal
Bureau of Investigation shall report the findings directly to
the Secretary of State. The Secretary of State shall remove the
bus driver permit from provisional status upon the applicant's
successful completion of the Federal Bureau of Investigation's
criminal background investigation.
    (f) A school bus driver permit holder shall notify the
employer and the Secretary of State if he or she is issued an
order of court supervision for or convicted in another state of
an offense that would make him or her ineligible for a permit
under subsection (a) of this Section. The written notification
shall be made within 5 days of the entry of the order of court
supervision or conviction. Failure of the permit holder to
provide the notification is punishable as a petty offense for a
first violation and a Class B misdemeanor for a second or
subsequent violation.
    (g) Cancellation; suspension; notice and procedure.
        (1) The Secretary of State shall cancel a school bus
    driver permit of an applicant whose criminal background
    investigation discloses that he or she is not in compliance
    with the provisions of subsection (a) of this Section.
        (2) The Secretary of State shall cancel a school bus
    driver permit when he or she receives notice that the
    permit holder fails to comply with any provision of this
    Section or any rule promulgated for the administration of
    this Section.
        (3) The Secretary of State shall cancel a school bus
    driver permit if the permit holder's restricted commercial
    or commercial driving privileges are withdrawn or
    otherwise invalidated.
        (4) The Secretary of State may not issue a school bus
    driver permit for a period of 3 years to an applicant who
    fails to obtain a negative result on a drug test as
    required in item 6 of subsection (a) of this Section or
    under federal law.
        (5) The Secretary of State shall forthwith suspend a
    school bus driver permit for a period of 3 years upon
    receiving notice that the holder has failed to obtain a
    negative result on a drug test as required in item 6 of
    subsection (a) of this Section or under federal law.
        (6) The Secretary of State shall suspend a school bus
    driver permit for a period of 3 years upon receiving notice
    from the employer that the holder failed to perform the
    inspection procedure set forth in subsection (a) or (b) of
    Section 12-816 of this Code.
        (7) The Secretary of State shall suspend a school bus
    driver permit for a period of 3 years upon receiving notice
    from the employer that the holder refused to submit to an
    alcohol or drug test as required by Section 6-106.1c or has
    submitted to a test required by that Section which
    disclosed an alcohol concentration of more than 0.00 or
    disclosed a positive result on a National Institute on Drug
    Abuse five-drug panel, utilizing federal standards set
    forth in 49 CFR 40.87.
    The Secretary of State shall notify the State
Superintendent of Education and the permit holder's
prospective or current employer that the applicant has (1) has
failed a criminal background investigation or (2) is no longer
eligible for a school bus driver permit; and of the related
cancellation of the applicant's provisional school bus driver
permit. The cancellation shall remain in effect pending the
outcome of a hearing pursuant to Section 2-118 of this Code.
The scope of the hearing shall be limited to the issuance
criteria contained in subsection (a) of this Section. A
petition requesting a hearing shall be submitted to the
Secretary of State and shall contain the reason the individual
feels he or she is entitled to a school bus driver permit. The
permit holder's employer shall notify in writing to the
Secretary of State that the employer has certified the removal
of the offending school bus driver from service prior to the
start of that school bus driver's next workshift. An employing
school board that fails to remove the offending school bus
driver from service is subject to the penalties defined in
Section 3-14.23 of the School Code. A school bus contractor who
violates a provision of this Section is subject to the
penalties defined in Section 6-106.11.
    All valid school bus driver permits issued under this
Section prior to January 1, 1995, shall remain effective until
their expiration date unless otherwise invalidated.
    (h) When a school bus driver permit holder who is a service
member is called to active duty, the employer of the permit
holder shall notify the Secretary of State, within 30 days of
notification from the permit holder, that the permit holder has
been called to active duty. Upon notification pursuant to this
subsection, (i) the Secretary of State shall characterize the
permit as inactive until a permit holder renews the permit as
provided in subsection (i) of this Section, and (ii) if a
permit holder fails to comply with the requirements of this
Section while called to active duty, the Secretary of State
shall not characterize the permit as invalid.
    (i) A school bus driver permit holder who is a service
member returning from active duty must, within 90 days, renew a
permit characterized as inactive pursuant to subsection (h) of
this Section by complying with the renewal requirements of
subsection (b) of this Section.
    (j) For purposes of subsections (h) and (i) of this
Section:
    "Active duty" means active duty pursuant to an executive
order of the President of the United States, an act of the
Congress of the United States, or an order of the Governor.
    "Service member" means a member of the Armed Services or
reserve forces of the United States or a member of the Illinois
National Guard.
(Source: P.A. 96-89, eff. 7-27-09; 96-818, eff. 11-17-09;
96-962, eff. 7-2-10; 96-1000, eff. 7-2-10; 96-1182, eff.
7-22-10; 96-1551, Article 1, Section 950, eff. 7-1-11; 96-1551,
Article 2, Section 1025, eff. 7-1-11; 97-224, eff. 7-28-11;
97-229, eff. 7-28-11; 97-333, eff. 8-12-11; 97-466, eff.
1-1-12; 97-1108, eff. 1-1-13; 97-1109, eff. 1-1-13; revised
9-20-12.)
 
    (625 ILCS 5/6-106.2)  (from Ch. 95 1/2, par. 6-106.2)
    Sec. 6-106.2. Religious organization bus driver. A
religious organization bus driver shall meet the following
requirements:
        1. is 21 years of age or older;
        2. has a valid and properly classified driver's license
    issued by the Secretary of State;
        3. has held a valid driver's license, not necessarily
    of the same classification, for 3 years prior to the date
    of application;
        4. has demonstrated an ability to exercise reasonable
    care in the safe operation of religious organization buses
    in accordance with such standards as the Secretary of State
    prescribes including a driving test in a religious
    organization bus; and
        5. has not been convicted of any of the following
    offenses within 3 years of the date of application:
    Sections 11-401 (leaving the scene of a traffic accident
    involving death or personal injury), 11-501 (driving under
    the influence), 11-503 (reckless driving), 11-504 (drag
    racing), and 11-506 (street racing) of this Code, or
    Sections 9-3 (manslaughter or reckless homicide) and 12-5
    (reckless conduct arising from the use of a motor vehicle)
    of the Criminal Code of 1961 or the Criminal Code of 2012.
(Source: P.A. 95-310, eff. 1-1-08.)
 
    (625 ILCS 5/6-106.3)  (from Ch. 95 1/2, par. 6-106.3)
    Sec. 6-106.3. Senior citizen transportation - driver. A
driver of a vehicle operated solely for the purpose of
providing transportation for the elderly in connection with the
activities of any public or private organization shall meet the
following requirements:
        (1) is 21 years of age or older;
        (2) has a valid and properly classified driver's
    license issued by the Secretary of State;
        (3) has had a valid driver's license, not necessarily
    of the same classification, for 3 years prior to the date
    of application;
        (4) has demonstrated his ability to exercise
    reasonable care in the safe operation of a motor vehicle
    which will be utilized to transport persons in accordance
    with such standards as the Secretary of State prescribes
    including a driving test in such motor vehicle; and
        (5) has not been convicted of any of the following
    offenses within 3 years of the date of application:
    Sections 11-401 (leaving the scene of a traffic accident
    involving death or personal injury), 11-501 (driving under
    the influence), 11-503 (reckless driving), 11-504 (drag
    racing), and 11-506 (street racing) of this Code, or
    Sections 9-3 (manslaughter or reckless homicide) and 12-5
    (reckless conduct arising from the use of a motor vehicle)
    of the Criminal Code of 1961 or the Criminal Code of 2012.
(Source: P.A. 95-310, eff. 1-1-08.)
 
    (625 ILCS 5/6-106.4)  (from Ch. 95 1/2, par. 6-106.4)
    Sec. 6-106.4. For-profit ridesharing arrangement - driver.
No person may drive a commuter van while it is being used for a
for-profit ridesharing arrangement unless such person:
        (1) is 21 years of age or older;
        (2) has a valid and properly classified driver's
    license issued by the Secretary of State;
        (3) has held a valid driver's license, not necessarily
    of the same classification, for 3 years prior to the date
    of application;
        (4) has demonstrated his ability to exercise
    reasonable care in the safe operation of commuter vans used
    in for-profit ridesharing arrangements in accordance with
    such standards as the Secretary of State may prescribe,
    which standards may require a driving test in a commuter
    van; and
        (5) has not been convicted of any of the following
    offenses within 3 years of the date of application:
    Sections 11-401 (leaving the scene of a traffic accident
    involving death or personal injury), 11-501 (driving under
    the influence), 11-503 (reckless driving), 11-504 (drag
    racing), and 11-506 (street racing) of this Code, or
    Sections 9-3 (manslaughter or reckless homicide) and 12-5
    (reckless conduct arising from the use of a motor vehicle)
    of the Criminal Code of 1961 or the Criminal Code of 2012.
(Source: P.A. 95-310, eff. 1-1-08.)
 
    (625 ILCS 5/6-108.1)
    Sec. 6-108.1. Notice to Secretary; denial of license;
persons under 18.
    (a) The State's Attorney must notify the Secretary of the
charges pending against any person younger than 18 years of age
who has been charged with a violation of this Code, the
Criminal Code of 2012, or the Criminal Code of 1961 arising out
of an accident in which the person was involved as a driver and
that caused the death of or a type A injury to another person.
A "type A injury" includes severely bleeding wounds, distorted
extremities, and injuries that require the injured party to be
carried from the scene. The State's Attorney must notify the
Secretary on a form prescribed by the Secretary.
    (b) The Secretary, upon receiving notification from the
State's Attorney, may deny any driver's license to any person
younger than 18 years of age against whom the charges are
pending.
    (c) The State's Attorney must notify the Secretary of the
final disposition of the case of any person who has been denied
a driver's license under subsection (b).
    (d) The Secretary must adopt rules for implementing this
Section.
(Source: P.A. 92-137, eff. 7-24-01.)
 
    (625 ILCS 5/6-118)
    Sec. 6-118. Fees.
    (a) The fee for licenses and permits under this Article is
as follows:
    Original driver's license.............................$30
    Original or renewal driver's license
        issued to 18, 19 and 20 year olds.................. 5
    All driver's licenses for persons
        age 69 through age 80.............................. 5
    All driver's licenses for persons
        age 81 through age 86.............................. 2
    All driver's licenses for persons
        age 87 or older.....................................0
    Renewal driver's license (except for
        applicants ages 18, 19 and 20 or
        age 69 and older)..................................30
    Original instruction permit issued to
        persons (except those age 69 and older)
        who do not hold or have not previously
        held an Illinois instruction permit or
        driver's license.................................. 20
    Instruction permit issued to any person
        holding an Illinois driver's license
        who wishes a change in classifications,
        other than at the time of renewal.................. 5
    Any instruction permit issued to a person
        age 69 and older................................... 5
    Instruction permit issued to any person,
        under age 69, not currently holding a
        valid Illinois driver's license or
        instruction permit but who has
        previously been issued either document
        in Illinois....................................... 10
    Restricted driving permit.............................. 8
    Monitoring device driving permit...................... 8
    Duplicate or corrected driver's license
        or permit.......................................... 5
    Duplicate or corrected restricted
        driving permit..................................... 5
    Duplicate or corrected monitoring
    device driving permit.................................. 5
    Duplicate driver's license or permit issued to
        an active-duty member of the
        United States Armed Forces,
        the member's spouse, or
        the dependent children living
        with the member................................... 0
    Original or renewal M or L endorsement................. 5
SPECIAL FEES FOR COMMERCIAL DRIVER'S LICENSE
        The fees for commercial driver licenses and permits
    under Article V shall be as follows:
    Commercial driver's license:
        $6 for the CDLIS/AAMVAnet Trust Fund
        (Commercial Driver's License Information
        System/American Association of Motor Vehicle
        Administrators network Trust Fund);
        $20 for the Motor Carrier Safety Inspection Fund;
        $10 for the driver's license;
        and $24 for the CDL:............................. $60
    Renewal commercial driver's license:
        $6 for the CDLIS/AAMVAnet Trust Fund;
        $20 for the Motor Carrier Safety Inspection Fund;
        $10 for the driver's license; and
        $24 for the CDL:................................. $60
    Commercial driver instruction permit
        issued to any person holding a valid
        Illinois driver's license for the
        purpose of changing to a
        CDL classification: $6 for the
        CDLIS/AAMVAnet Trust Fund;
        $20 for the Motor Carrier
        Safety Inspection Fund; and
        $24 for the CDL classification................... $50
    Commercial driver instruction permit
        issued to any person holding a valid
        Illinois CDL for the purpose of
        making a change in a classification,
        endorsement or restriction........................ $5
    CDL duplicate or corrected license.................... $5
    In order to ensure the proper implementation of the Uniform
Commercial Driver License Act, Article V of this Chapter, the
Secretary of State is empowered to pro-rate the $24 fee for the
commercial driver's license proportionate to the expiration
date of the applicant's Illinois driver's license.
    The fee for any duplicate license or permit shall be waived
for any person who presents the Secretary of State's office
with a police report showing that his license or permit was
stolen.
    The fee for any duplicate license or permit shall be waived
for any person age 60 or older whose driver's license or permit
has been lost or stolen.
    No additional fee shall be charged for a driver's license,
or for a commercial driver's license, when issued to the holder
of an instruction permit for the same classification or type of
license who becomes eligible for such license.
    (b) Any person whose license or privilege to operate a
motor vehicle in this State has been suspended or revoked under
Section 3-707, any provision of Chapter 6, Chapter 11, or
Section 7-205, 7-303, or 7-702 of the Family Financial
Responsibility Law of this Code, shall in addition to any other
fees required by this Code, pay a reinstatement fee as follows:
    Suspension under Section 3-707..................... $100
    Summary suspension under Section 11-501.1...........$250
    Summary revocation under Section 11-501.1............$500
    Other suspension......................................$70
    Revocation...........................................$500
    However, any person whose license or privilege to operate a
motor vehicle in this State has been suspended or revoked for a
second or subsequent time for a violation of Section 11-501 or
11-501.1 of this Code or a similar provision of a local
ordinance or a similar out-of-state offense or Section 9-3 of
the Criminal Code of 1961 or the Criminal Code of 2012 and each
suspension or revocation was for a violation of Section 11-501
or 11-501.1 of this Code or a similar provision of a local
ordinance or a similar out-of-state offense or Section 9-3 of
the Criminal Code of 1961 or the Criminal Code of 2012 shall
pay, in addition to any other fees required by this Code, a
reinstatement fee as follows:
    Summary suspension under Section 11-501.1............$500
    Summary revocation under Section 11-501.1............$500
    Revocation...........................................$500
    (c) All fees collected under the provisions of this Chapter
6 shall be paid into the Road Fund in the State Treasury except
as follows:
        1. The following amounts shall be paid into the Driver
    Education Fund:
            (A) $16 of the $20 fee for an original driver's
        instruction permit;
            (B) $5 of the $30 fee for an original driver's
        license;
            (C) $5 of the $30 fee for a 4 year renewal driver's
        license;
            (D) $4 of the $8 fee for a restricted driving
        permit; and
            (E) $4 of the $8 fee for a monitoring device
        driving permit.
        2. $30 of the $250 fee for reinstatement of a license
    summarily suspended under Section 11-501.1 shall be
    deposited into the Drunk and Drugged Driving Prevention
    Fund. However, for a person whose license or privilege to
    operate a motor vehicle in this State has been suspended or
    revoked for a second or subsequent time for a violation of
    Section 11-501 or 11-501.1 of this Code or Section 9-3 of
    the Criminal Code of 1961 or the Criminal Code of 2012,
    $190 of the $500 fee for reinstatement of a license
    summarily suspended under Section 11-501.1, and $190 of the
    $500 fee for reinstatement of a revoked license shall be
    deposited into the Drunk and Drugged Driving Prevention
    Fund. $190 of the $500 fee for reinstatement of a license
    summarily revoked pursuant to Section 11-501.1 shall be
    deposited into the Drunk and Drugged Driving Prevention
    Fund.
        3. $6 of such original or renewal fee for a commercial
    driver's license and $6 of the commercial driver
    instruction permit fee when such permit is issued to any
    person holding a valid Illinois driver's license, shall be
    paid into the CDLIS/AAMVAnet Trust Fund.
        4. $30 of the $70 fee for reinstatement of a license
    suspended under the Family Financial Responsibility Law
    shall be paid into the Family Responsibility Fund.
        5. The $5 fee for each original or renewal M or L
    endorsement shall be deposited into the Cycle Rider Safety
    Training Fund.
        6. $20 of any original or renewal fee for a commercial
    driver's license or commercial driver instruction permit
    shall be paid into the Motor Carrier Safety Inspection
    Fund.
        7. The following amounts shall be paid into the General
    Revenue Fund:
            (A) $190 of the $250 reinstatement fee for a
        summary suspension under Section 11-501.1;
            (B) $40 of the $70 reinstatement fee for any other
        suspension provided in subsection (b) of this Section;
        and
            (C) $440 of the $500 reinstatement fee for a first
        offense revocation and $310 of the $500 reinstatement
        fee for a second or subsequent revocation.
    (d) All of the proceeds of the additional fees imposed by
this amendatory Act of the 96th General Assembly shall be
deposited into the Capital Projects Fund.
    (e) The additional fees imposed by this amendatory Act of
the 96th General Assembly shall become effective 90 days after
becoming law.
    (f) As used in this Section, "active-duty member of the
United States Armed Forces" means a member of the Armed
Services or Reserve Forces of the United States or a member of
the Illinois National Guard who is called to active duty
pursuant to an executive order of the President of the United
States, an act of the Congress of the United States, or an
order of the Governor.
(Source: P.A. 96-34, eff. 7-13-09; 96-38, eff. 7-13-09;
96-1231, eff. 7-23-10; 96-1344, eff. 7-1-11; 97-333, eff.
8-12-11.)
 
    (625 ILCS 5/6-204)  (from Ch. 95 1/2, par. 6-204)
    Sec. 6-204. When Court to forward License and Reports.
    (a) For the purpose of providing to the Secretary of State
the records essential to the performance of the Secretary's
duties under this Code to cancel, revoke or suspend the
driver's license and privilege to drive motor vehicles of
certain minors adjudicated truant minors in need of
supervision, addicted, or delinquent and of persons found
guilty of the criminal offenses or traffic violations which
this Code recognizes as evidence relating to unfitness to
safely operate motor vehicles, the following duties are imposed
upon public officials:
        (1) Whenever any person is convicted of any offense for
    which this Code makes mandatory the cancellation or
    revocation of the driver's license or permit of such person
    by the Secretary of State, the judge of the court in which
    such conviction is had shall require the surrender to the
    clerk of the court of all driver's licenses or permits then
    held by the person so convicted, and the clerk of the court
    shall, within 5 days thereafter, forward the same, together
    with a report of such conviction, to the Secretary.
        (2) Whenever any person is convicted of any offense
    under this Code or similar offenses under a municipal
    ordinance, other than regulations governing standing,
    parking or weights of vehicles, and excepting the following
    enumerated Sections of this Code: Sections 11-1406
    (obstruction to driver's view or control), 11-1407
    (improper opening of door into traffic), 11-1410 (coasting
    on downgrade), 11-1411 (following fire apparatus),
    11-1419.01 (Motor Fuel Tax I.D. Card), 12-101 (driving
    vehicle which is in unsafe condition or improperly
    equipped), 12-201(a) (daytime lights on motorcycles),
    12-202 (clearance, identification and side marker lamps),
    12-204 (lamp or flag on projecting load), 12-205 (failure
    to display the safety lights required), 12-401
    (restrictions as to tire equipment), 12-502 (mirrors),
    12-503 (windshields must be unobstructed and equipped with
    wipers), 12-601 (horns and warning devices), 12-602
    (mufflers, prevention of noise or smoke), 12-603 (seat
    safety belts), 12-702 (certain vehicles to carry flares or
    other warning devices), 12-703 (vehicles for oiling roads
    operated on highways), 12-710 (splash guards and
    replacements), 13-101 (safety tests), 15-101 (size, weight
    and load), 15-102 (width), 15-103 (height), 15-104 (name
    and address on second division vehicles), 15-107 (length of
    vehicle), 15-109.1 (cover or tarpaulin), 15-111 (weights),
    15-112 (weights), 15-301 (weights), 15-316 (weights),
    15-318 (weights), and also excepting the following
    enumerated Sections of the Chicago Municipal Code:
    Sections 27-245 (following fire apparatus), 27-254
    (obstruction of traffic), 27-258 (driving vehicle which is
    in unsafe condition), 27-259 (coasting on downgrade),
    27-264 (use of horns and signal devices), 27-265
    (obstruction to driver's view or driver mechanism), 27-267
    (dimming of headlights), 27-268 (unattended motor
    vehicle), 27-272 (illegal funeral procession), 27-273
    (funeral procession on boulevard), 27-275 (driving freight
    hauling vehicles on boulevard), 27-276 (stopping and
    standing of buses or taxicabs), 27-277 (cruising of public
    passenger vehicles), 27-305 (parallel parking), 27-306
    (diagonal parking), 27-307 (parking not to obstruct
    traffic), 27-308 (stopping, standing or parking
    regulated), 27-311 (parking regulations), 27-312 (parking
    regulations), 27-313 (parking regulations), 27-314
    (parking regulations), 27-315 (parking regulations),
    27-316 (parking regulations), 27-317 (parking
    regulations), 27-318 (parking regulations), 27-319
    (parking regulations), 27-320 (parking regulations),
    27-321 (parking regulations), 27-322 (parking
    regulations), 27-324 (loading and unloading at an angle),
    27-333 (wheel and axle loads), 27-334 (load restrictions in
    the downtown district), 27-335 (load restrictions in
    residential areas), 27-338 (width of vehicles), 27-339
    (height of vehicles), 27-340 (length of vehicles), 27-352
    (reflectors on trailers), 27-353 (mufflers), 27-354
    (display of plates), 27-355 (display of city vehicle tax
    sticker), 27-357 (identification of vehicles), 27-358
    (projecting of loads), and also excepting the following
    enumerated paragraphs of Section 2-201 of the Rules and
    Regulations of the Illinois State Toll Highway Authority:
    (l) (driving unsafe vehicle on tollway), (m) (vehicles
    transporting dangerous cargo not properly indicated), it
    shall be the duty of the clerk of the court in which such
    conviction is had within 5 days thereafter to forward to
    the Secretary of State a report of the conviction and the
    court may recommend the suspension of the driver's license
    or permit of the person so convicted.
    The reporting requirements of this subsection shall apply
to all violations stated in paragraphs (1) and (2) of this
subsection when the individual has been adjudicated under the
Juvenile Court Act or the Juvenile Court Act of 1987. Such
reporting requirements shall also apply to individuals
adjudicated under the Juvenile Court Act or the Juvenile Court
Act of 1987 who have committed a violation of Section 11-501 of
this Code, or similar provision of a local ordinance, or
Section 9-3 of the Criminal Code of 1961 or the Criminal Code
of 2012, as amended, relating to the offense of reckless
homicide. These reporting requirements also apply to
individuals adjudicated under the Juvenile Court Act of 1987
based on any offense determined to have been committed in
furtherance of the criminal activities of an organized gang, as
provided in Section 5-710 of that Act, and that involved the
operation or use of a motor vehicle or the use of a driver's
license or permit. The reporting requirements of this
subsection shall also apply to a truant minor in need of
supervision, an addicted minor, or a delinquent minor and whose
driver's license and privilege to drive a motor vehicle has
been ordered suspended for such times as determined by the
Court, but only until he or she attains 18 years of age. It
shall be the duty of the clerk of the court in which
adjudication is had within 5 days thereafter to forward to the
Secretary of State a report of the adjudication and the court
order requiring the Secretary of State to suspend the minor's
driver's license and driving privilege for such time as
determined by the Court, but only until he or she attains the
age of 18 years. All juvenile court dispositions reported to
the Secretary of State under this provision shall be processed
by the Secretary of State as if the cases had been adjudicated
in traffic or criminal court. However, information reported
relative to the offense of reckless homicide, or Section 11-501
of this Code, or a similar provision of a local ordinance,
shall be privileged and available only to the Secretary of
State, courts, and police officers.
        The reporting requirements of this subsection (a)
    apply to all violations listed in paragraphs (1) and (2) of
    this subsection (a), excluding parking violations, when
    the driver holds a CDL, regardless of the type of vehicle
    in which the violation occurred, or when any driver
    committed the violation in a commercial motor vehicle as
    defined in Section 6-500 of this Code.
        (3) Whenever an order is entered vacating the
    forfeiture of any bail, security or bond given to secure
    appearance for any offense under this Code or similar
    offenses under municipal ordinance, it shall be the duty of
    the clerk of the court in which such vacation was had or
    the judge of such court if such court has no clerk, within
    5 days thereafter to forward to the Secretary of State a
    report of the vacation.
        (4) A report of any disposition of court supervision
    for a violation of Sections 6-303, 11-401, 11-501 or a
    similar provision of a local ordinance, 11-503, 11-504, and
    11-506 shall be forwarded to the Secretary of State. A
    report of any disposition of court supervision for a
    violation of an offense defined as a serious traffic
    violation in this Code or a similar provision of a local
    ordinance committed by a person under the age of 21 years
    shall be forwarded to the Secretary of State.
        (5) Reports of conviction under this Code and
    sentencing hearings under the Juvenile Court Act of 1987 in
    an electronic format or a computer processible medium shall
    be forwarded to the Secretary of State via the Supreme
    Court in the form and format required by the Illinois
    Supreme Court and established by a written agreement
    between the Supreme Court and the Secretary of State. In
    counties with a population over 300,000, instead of
    forwarding reports to the Supreme Court, reports of
    conviction under this Code and sentencing hearings under
    the Juvenile Court Act of 1987 in an electronic format or a
    computer processible medium may be forwarded to the
    Secretary of State by the Circuit Court Clerk in a form and
    format required by the Secretary of State and established
    by written agreement between the Circuit Court Clerk and
    the Secretary of State. Failure to forward the reports of
    conviction or sentencing hearing under the Juvenile Court
    Act of 1987 as required by this Section shall be deemed an
    omission of duty and it shall be the duty of the several
    State's Attorneys to enforce the requirements of this
    Section.
    (b) Whenever a restricted driving permit is forwarded to a
court, as a result of confiscation by a police officer pursuant
to the authority in Section 6-113(f), it shall be the duty of
the clerk, or judge, if the court has no clerk, to forward such
restricted driving permit and a facsimile of the officer's
citation to the Secretary of State as expeditiously as
practicable.
    (c) For the purposes of this Code, a forfeiture of bail or
collateral deposited to secure a defendant's appearance in
court when forfeiture has not been vacated, or the failure of a
defendant to appear for trial after depositing his driver's
license in lieu of other bail, shall be equivalent to a
conviction.
    (d) For the purpose of providing the Secretary of State
with records necessary to properly monitor and assess driver
performance and assist the courts in the proper disposition of
repeat traffic law offenders, the clerk of the court shall
forward to the Secretary of State, on a form prescribed by the
Secretary, records of a driver's participation in a driver
remedial or rehabilitative program which was required, through
a court order or court supervision, in relation to the driver's
arrest for a violation of Section 11-501 of this Code or a
similar provision of a local ordinance. The clerk of the court
shall also forward to the Secretary, either on paper or in an
electronic format or a computer processible medium as required
under paragraph (5) of subsection (a) of this Section, any
disposition of court supervision for any traffic violation,
excluding those offenses listed in paragraph (2) of subsection
(a) of this Section. These reports shall be sent within 5 days
after disposition, or, if the driver is referred to a driver
remedial or rehabilitative program, within 5 days of the
driver's referral to that program. These reports received by
the Secretary of State, including those required to be
forwarded under paragraph (a)(4), shall be privileged
information, available only (i) to the affected driver, (ii) to
the parent or guardian of a person under the age of 18 years
holding an instruction permit or a graduated driver's license,
and (iii) for use by the courts, police officers, prosecuting
authorities, the Secretary of State, and the driver licensing
administrator of any other state. In accordance with 49 C.F.R.
Part 384, all reports of court supervision, except violations
related to parking, shall be forwarded to the Secretary of
State for all holders of a CDL or any driver who commits an
offense while driving a commercial motor vehicle. These reports
shall be recorded to the driver's record as a conviction for
use in the disqualification of the driver's commercial motor
vehicle privileges and shall not be privileged information.
(Source: P.A. 94-307, eff. 9-30-05; 94-930, eff. 6-26-06;
95-201, eff. 1-1-08; 95-310, eff. 1-1-08; 95-337, eff. 6-1-08;
95-382, eff. 8-23-07; 95-876, eff. 8-21-08.)
 
    (625 ILCS 5/6-205)
    Sec. 6-205. Mandatory revocation of license or permit;
Hardship cases.
    (a) Except as provided in this Section, the Secretary of
State shall immediately revoke the license, permit, or driving
privileges of any driver upon receiving a report of the
driver's conviction of any of the following offenses:
        1. Reckless homicide resulting from the operation of a
    motor vehicle;
        2. Violation of Section 11-501 of this Code or a
    similar provision of a local ordinance relating to the
    offense of operating or being in physical control of a
    vehicle while under the influence of alcohol, other drug or
    drugs, intoxicating compound or compounds, or any
    combination thereof;
        3. Any felony under the laws of any State or the
    federal government in the commission of which a motor
    vehicle was used;
        4. Violation of Section 11-401 of this Code relating to
    the offense of leaving the scene of a traffic accident
    involving death or personal injury;
        5. Perjury or the making of a false affidavit or
    statement under oath to the Secretary of State under this
    Code or under any other law relating to the ownership or
    operation of motor vehicles;
        6. Conviction upon 3 charges of violation of Section
    11-503 of this Code relating to the offense of reckless
    driving committed within a period of 12 months;
        7. Conviction of any offense defined in Section 4-102
    of this Code;
        8. Violation of Section 11-504 of this Code relating to
    the offense of drag racing;
        9. Violation of Chapters 8 and 9 of this Code;
        10. Violation of Section 12-5 of the Criminal Code of
    1961 or the Criminal Code of 2012 arising from the use of a
    motor vehicle;
        11. Violation of Section 11-204.1 of this Code relating
    to aggravated fleeing or attempting to elude a peace
    officer;
        12. Violation of paragraph (1) of subsection (b) of
    Section 6-507, or a similar law of any other state,
    relating to the unlawful operation of a commercial motor
    vehicle;
        13. Violation of paragraph (a) of Section 11-502 of
    this Code or a similar provision of a local ordinance if
    the driver has been previously convicted of a violation of
    that Section or a similar provision of a local ordinance
    and the driver was less than 21 years of age at the time of
    the offense;
        14. Violation of paragraph (a) of Section 11-506 of
    this Code or a similar provision of a local ordinance
    relating to the offense of street racing;
        15. A second or subsequent conviction of driving while
    the person's driver's license, permit or privileges was
    revoked for reckless homicide or a similar out-of-state
    offense;
        16. Any offense against any provision in this Code, or
    any local ordinance, regulating the movement of traffic
    when that offense was the proximate cause of the death of
    any person. Any person whose driving privileges have been
    revoked pursuant to this paragraph may seek to have the
    revocation terminated or to have the length of revocation
    reduced by requesting an administrative hearing with the
    Secretary of State prior to the projected driver's license
    application eligibility date;
        17. Violation of subsection (a-2) of Section 11-1301.3
    of this Code or a similar provision of a local ordinance; .
        18 17. A second or subsequent conviction of illegal
    possession, while operating or in actual physical control,
    as a driver, of a motor vehicle, of any controlled
    substance prohibited under the Illinois Controlled
    Substances Act, any cannabis prohibited under the Cannabis
    Control Act, or any methamphetamine prohibited under the
    Methamphetamine Control and Community Protection Act. A
    defendant found guilty of this offense while operating a
    motor vehicle shall have an entry made in the court record
    by the presiding judge that this offense did occur while
    the defendant was operating a motor vehicle and order the
    clerk of the court to report the violation to the Secretary
    of State.
    (b) The Secretary of State shall also immediately revoke
the license or permit of any driver in the following
situations:
        1. Of any minor upon receiving the notice provided for
    in Section 5-901 of the Juvenile Court Act of 1987 that the
    minor has been adjudicated under that Act as having
    committed an offense relating to motor vehicles prescribed
    in Section 4-103 of this Code;
        2. Of any person when any other law of this State
    requires either the revocation or suspension of a license
    or permit;
        3. Of any person adjudicated under the Juvenile Court
    Act of 1987 based on an offense determined to have been
    committed in furtherance of the criminal activities of an
    organized gang as provided in Section 5-710 of that Act,
    and that involved the operation or use of a motor vehicle
    or the use of a driver's license or permit. The revocation
    shall remain in effect for the period determined by the
    court. Upon the direction of the court, the Secretary shall
    issue the person a judicial driving permit, also known as a
    JDP. The JDP shall be subject to the same terms as a JDP
    issued under Section 6-206.1, except that the court may
    direct that a JDP issued under this subdivision (b)(3) be
    effective immediately.
    (c)(1) Whenever a person is convicted of any of the
offenses enumerated in this Section, the court may recommend
and the Secretary of State in his discretion, without regard to
whether the recommendation is made by the court may, upon
application, issue to the person a restricted driving permit
granting the privilege of driving a motor vehicle between the
petitioner's residence and petitioner's place of employment or
within the scope of the petitioner's employment related duties,
or to allow the petitioner to transport himself or herself or a
family member of the petitioner's household to a medical
facility for the receipt of necessary medical care or to allow
the petitioner to transport himself or herself to and from
alcohol or drug remedial or rehabilitative activity
recommended by a licensed service provider, or to allow the
petitioner to transport himself or herself or a family member
of the petitioner's household to classes, as a student, at an
accredited educational institution, or to allow the petitioner
to transport children, elderly persons, or disabled persons who
do not hold driving privileges and are living in the
petitioner's household to and from daycare; if the petitioner
is able to demonstrate that no alternative means of
transportation is reasonably available and that the petitioner
will not endanger the public safety or welfare; provided that
the Secretary's discretion shall be limited to cases where
undue hardship, as defined by the rules of the Secretary of
State, would result from a failure to issue the restricted
driving permit. Those multiple offenders identified in
subdivision (b)4 of Section 6-208 of this Code, however, shall
not be eligible for the issuance of a restricted driving
permit.
        (2) If a person's license or permit is revoked or
    suspended due to 2 or more convictions of violating Section
    11-501 of this Code or a similar provision of a local
    ordinance or a similar out-of-state offense, or Section 9-3
    of the Criminal Code of 1961 or the Criminal Code of 2012,
    where the use of alcohol or other drugs is recited as an
    element of the offense, or a similar out-of-state offense,
    or a combination of these offenses, arising out of separate
    occurrences, that person, if issued a restricted driving
    permit, may not operate a vehicle unless it has been
    equipped with an ignition interlock device as defined in
    Section 1-129.1.
        (3) If:
            (A) a person's license or permit is revoked or
        suspended 2 or more times within a 10 year period due
        to any combination of:
                (i) a single conviction of violating Section
            11-501 of this Code or a similar provision of a
            local ordinance or a similar out-of-state offense,
            or Section 9-3 of the Criminal Code of 1961 or the
            Criminal Code of 2012, where the use of alcohol or
            other drugs is recited as an element of the
            offense, or a similar out-of-state offense; or
                (ii) a statutory summary suspension or
            revocation under Section 11-501.1; or
                (iii) a suspension pursuant to Section
            6-203.1;
        arising out of separate occurrences; or
            (B) a person has been convicted of one violation of
        Section 6-303 of this Code committed while his or her
        driver's license, permit, or privilege was revoked
        because of a violation of Section 9-3 of the Criminal
        Code of 1961 or the Criminal Code of 2012, relating to
        the offense of reckless homicide where the use of
        alcohol or other drugs was recited as an element of the
        offense, or a similar provision of a law of another
        state;
    that person, if issued a restricted driving permit, may not
    operate a vehicle unless it has been equipped with an
    ignition interlock device as defined in Section 1-129.1.
        (4) The person issued a permit conditioned on the use
    of an ignition interlock device must pay to the Secretary
    of State DUI Administration Fund an amount not to exceed
    $30 per month. The Secretary shall establish by rule the
    amount and the procedures, terms, and conditions relating
    to these fees.
        (5) If the restricted driving permit is issued for
    employment purposes, then the prohibition against
    operating a motor vehicle that is not equipped with an
    ignition interlock device does not apply to the operation
    of an occupational vehicle owned or leased by that person's
    employer when used solely for employment purposes.
        (6) In each case the Secretary of State may issue a
    restricted driving permit for a period he deems
    appropriate, except that the permit shall expire within one
    year from the date of issuance. The Secretary may not,
    however, issue a restricted driving permit to any person
    whose current revocation is the result of a second or
    subsequent conviction for a violation of Section 11-501 of
    this Code or a similar provision of a local ordinance or
    any similar out-of-state offense, or Section 9-3 of the
    Criminal Code of 1961 or the Criminal Code of 2012, where
    the use of alcohol or other drugs is recited as an element
    of the offense, or any similar out-of-state offense, or any
    combination of these offenses, until the expiration of at
    least one year from the date of the revocation. A
    restricted driving permit issued under this Section shall
    be subject to cancellation, revocation, and suspension by
    the Secretary of State in like manner and for like cause as
    a driver's license issued under this Code may be cancelled,
    revoked, or suspended; except that a conviction upon one or
    more offenses against laws or ordinances regulating the
    movement of traffic shall be deemed sufficient cause for
    the revocation, suspension, or cancellation of a
    restricted driving permit. The Secretary of State may, as a
    condition to the issuance of a restricted driving permit,
    require the petitioner to participate in a designated
    driver remedial or rehabilitative program. The Secretary
    of State is authorized to cancel a restricted driving
    permit if the permit holder does not successfully complete
    the program. However, if an individual's driving
    privileges have been revoked in accordance with paragraph
    13 of subsection (a) of this Section, no restricted driving
    permit shall be issued until the individual has served 6
    months of the revocation period.
    (c-5) (Blank).
    (c-6) If a person is convicted of a second violation of
operating a motor vehicle while the person's driver's license,
permit or privilege was revoked, where the revocation was for a
violation of Section 9-3 of the Criminal Code of 1961 or the
Criminal Code of 2012 relating to the offense of reckless
homicide or a similar out-of-state offense, the person's
driving privileges shall be revoked pursuant to subdivision
(a)(15) of this Section. The person may not make application
for a license or permit until the expiration of five years from
the effective date of the revocation or the expiration of five
years from the date of release from a term of imprisonment,
whichever is later.
    (c-7) If a person is convicted of a third or subsequent
violation of operating a motor vehicle while the person's
driver's license, permit or privilege was revoked, where the
revocation was for a violation of Section 9-3 of the Criminal
Code of 1961 or the Criminal Code of 2012 relating to the
offense of reckless homicide or a similar out-of-state offense,
the person may never apply for a license or permit.
    (d)(1) Whenever a person under the age of 21 is convicted
under Section 11-501 of this Code or a similar provision of a
local ordinance or a similar out-of-state offense, the
Secretary of State shall revoke the driving privileges of that
person. One year after the date of revocation, and upon
application, the Secretary of State may, if satisfied that the
person applying will not endanger the public safety or welfare,
issue a restricted driving permit granting the privilege of
driving a motor vehicle only between the hours of 5 a.m. and 9
p.m. or as otherwise provided by this Section for a period of
one year. After this one year period, and upon reapplication
for a license as provided in Section 6-106, upon payment of the
appropriate reinstatement fee provided under paragraph (b) of
Section 6-118, the Secretary of State, in his discretion, may
reinstate the petitioner's driver's license and driving
privileges, or extend the restricted driving permit as many
times as the Secretary of State deems appropriate, by
additional periods of not more than 12 months each.
        (2) If a person's license or permit is revoked or
    suspended due to 2 or more convictions of violating Section
    11-501 of this Code or a similar provision of a local
    ordinance or a similar out-of-state offense, or Section 9-3
    of the Criminal Code of 1961 or the Criminal Code of 2012,
    where the use of alcohol or other drugs is recited as an
    element of the offense, or a similar out-of-state offense,
    or a combination of these offenses, arising out of separate
    occurrences, that person, if issued a restricted driving
    permit, may not operate a vehicle unless it has been
    equipped with an ignition interlock device as defined in
    Section 1-129.1.
        (3) If a person's license or permit is revoked or
    suspended 2 or more times within a 10 year period due to
    any combination of:
            (A) a single conviction of violating Section
        11-501 of this Code or a similar provision of a local
        ordinance or a similar out-of-state offense, or
        Section 9-3 of the Criminal Code of 1961 or the
        Criminal Code of 2012, where the use of alcohol or
        other drugs is recited as an element of the offense, or
        a similar out-of-state offense; or
            (B) a statutory summary suspension or revocation
        under Section 11-501.1; or
            (C) a suspension pursuant to Section 6-203.1;
    arising out of separate occurrences, that person, if issued
    a restricted driving permit, may not operate a vehicle
    unless it has been equipped with an ignition interlock
    device as defined in Section 1-129.1.
        (4) The person issued a permit conditioned upon the use
    of an interlock device must pay to the Secretary of State
    DUI Administration Fund an amount not to exceed $30 per
    month. The Secretary shall establish by rule the amount and
    the procedures, terms, and conditions relating to these
    fees.
        (5) If the restricted driving permit is issued for
    employment purposes, then the prohibition against driving
    a vehicle that is not equipped with an ignition interlock
    device does not apply to the operation of an occupational
    vehicle owned or leased by that person's employer when used
    solely for employment purposes.
        (6) A restricted driving permit issued under this
    Section shall be subject to cancellation, revocation, and
    suspension by the Secretary of State in like manner and for
    like cause as a driver's license issued under this Code may
    be cancelled, revoked, or suspended; except that a
    conviction upon one or more offenses against laws or
    ordinances regulating the movement of traffic shall be
    deemed sufficient cause for the revocation, suspension, or
    cancellation of a restricted driving permit.
    (d-5) The revocation of the license, permit, or driving
privileges of a person convicted of a third or subsequent
violation of Section 6-303 of this Code committed while his or
her driver's license, permit, or privilege was revoked because
of a violation of Section 9-3 of the Criminal Code of 1961 or
the Criminal Code of 2012, relating to the offense of reckless
homicide, or a similar provision of a law of another state, is
permanent. The Secretary may not, at any time, issue a license
or permit to that person.
    (e) This Section is subject to the provisions of the Driver
License Compact.
    (f) Any revocation imposed upon any person under
subsections 2 and 3 of paragraph (b) that is in effect on
December 31, 1988 shall be converted to a suspension for a like
period of time.
    (g) The Secretary of State shall not issue a restricted
driving permit to a person under the age of 16 years whose
driving privileges have been revoked under any provisions of
this Code.
    (h) The Secretary of State shall require the use of
ignition interlock devices on all vehicles owned by a person
who has been convicted of a second or subsequent offense under
Section 11-501 of this Code or a similar provision of a local
ordinance. The person must pay to the Secretary of State DUI
Administration Fund an amount not to exceed $30 for each month
that he or she uses the device. The Secretary shall establish
by rule and regulation the procedures for certification and use
of the interlock system, the amount of the fee, and the
procedures, terms, and conditions relating to these fees.
    (i) (Blank).
    (j) In accordance with 49 C.F.R. 384, the Secretary of
State may not issue a restricted driving permit for the
operation of a commercial motor vehicle to a person holding a
CDL whose driving privileges have been revoked, suspended,
cancelled, or disqualified under any provisions of this Code.
(Source: P.A. 96-328, eff. 8-11-09; 96-607, eff. 8-24-09;
96-1180, eff. 1-1-11; 96-1305, eff. 1-1-11; 96-1344, eff.
7-1-11; 97-333, eff. 8-12-11; 97-838, eff. 1-1-13; 97-844, eff.
1-1-13; revised 8-3-12.)
 
    (625 ILCS 5/6-205.2)
    Sec. 6-205.2. Suspension of driver's license of person
convicted of theft of motor fuel. The driver's license of a
person convicted of theft of motor fuel under Section 16-25 or
16K-15 of the Criminal Code of 1961 or the Criminal Code of
2012 shall be suspended by the Secretary for a period not to
exceed 6 months for a first offense. Upon a second or
subsequent conviction for theft of motor fuel, the suspension
shall be for a period not to exceed one year. Upon conviction
of a person for theft of motor fuel, the court shall order the
person to surrender his or her driver's license to the clerk of
the court who shall forward the suspended license to the
Secretary.
(Source: P.A. 97-597, eff. 1-1-12.)
 
    (625 ILCS 5/6-206)
    Sec. 6-206. Discretionary authority to suspend or revoke
license or permit; Right to a hearing.
    (a) The Secretary of State is authorized to suspend or
revoke the driving privileges of any person without preliminary
hearing upon a showing of the person's records or other
sufficient evidence that the person:
        1. Has committed an offense for which mandatory
    revocation of a driver's license or permit is required upon
    conviction;
        2. Has been convicted of not less than 3 offenses
    against traffic regulations governing the movement of
    vehicles committed within any 12 month period. No
    revocation or suspension shall be entered more than 6
    months after the date of last conviction;
        3. Has been repeatedly involved as a driver in motor
    vehicle collisions or has been repeatedly convicted of
    offenses against laws and ordinances regulating the
    movement of traffic, to a degree that indicates lack of
    ability to exercise ordinary and reasonable care in the
    safe operation of a motor vehicle or disrespect for the
    traffic laws and the safety of other persons upon the
    highway;
        4. Has by the unlawful operation of a motor vehicle
    caused or contributed to an accident resulting in injury
    requiring immediate professional treatment in a medical
    facility or doctor's office to any person, except that any
    suspension or revocation imposed by the Secretary of State
    under the provisions of this subsection shall start no
    later than 6 months after being convicted of violating a
    law or ordinance regulating the movement of traffic, which
    violation is related to the accident, or shall start not
    more than one year after the date of the accident,
    whichever date occurs later;
        5. Has permitted an unlawful or fraudulent use of a
    driver's license, identification card, or permit;
        6. Has been lawfully convicted of an offense or
    offenses in another state, including the authorization
    contained in Section 6-203.1, which if committed within
    this State would be grounds for suspension or revocation;
        7. Has refused or failed to submit to an examination
    provided for by Section 6-207 or has failed to pass the
    examination;
        8. Is ineligible for a driver's license or permit under
    the provisions of Section 6-103;
        9. Has made a false statement or knowingly concealed a
    material fact or has used false information or
    identification in any application for a license,
    identification card, or permit;
        10. Has possessed, displayed, or attempted to
    fraudulently use any license, identification card, or
    permit not issued to the person;
        11. Has operated a motor vehicle upon a highway of this
    State when the person's driving privilege or privilege to
    obtain a driver's license or permit was revoked or
    suspended unless the operation was authorized by a
    monitoring device driving permit, judicial driving permit
    issued prior to January 1, 2009, probationary license to
    drive, or a restricted driving permit issued under this
    Code;
        12. Has submitted to any portion of the application
    process for another person or has obtained the services of
    another person to submit to any portion of the application
    process for the purpose of obtaining a license,
    identification card, or permit for some other person;
        13. Has operated a motor vehicle upon a highway of this
    State when the person's driver's license or permit was
    invalid under the provisions of Sections 6-107.1 and 6-110;
        14. Has committed a violation of Section 6-301,
    6-301.1, or 6-301.2 of this Act, or Section 14, 14A, or 14B
    of the Illinois Identification Card Act;
        15. Has been convicted of violating Section 21-2 of the
    Criminal Code of 1961 or the Criminal Code of 2012 relating
    to criminal trespass to vehicles in which case, the
    suspension shall be for one year;
        16. Has been convicted of violating Section 11-204 of
    this Code relating to fleeing from a peace officer;
        17. Has refused to submit to a test, or tests, as
    required under Section 11-501.1 of this Code and the person
    has not sought a hearing as provided for in Section
    11-501.1;
        18. Has, since issuance of a driver's license or
    permit, been adjudged to be afflicted with or suffering
    from any mental disability or disease;
        19. Has committed a violation of paragraph (a) or (b)
    of Section 6-101 relating to driving without a driver's
    license;
        20. Has been convicted of violating Section 6-104
    relating to classification of driver's license;
        21. Has been convicted of violating Section 11-402 of
    this Code relating to leaving the scene of an accident
    resulting in damage to a vehicle in excess of $1,000, in
    which case the suspension shall be for one year;
        22. Has used a motor vehicle in violating paragraph
    (3), (4), (7), or (9) of subsection (a) of Section 24-1 of
    the Criminal Code of 1961 or the Criminal Code of 2012
    relating to unlawful use of weapons, in which case the
    suspension shall be for one year;
        23. Has, as a driver, been convicted of committing a
    violation of paragraph (a) of Section 11-502 of this Code
    for a second or subsequent time within one year of a
    similar violation;
        24. Has been convicted by a court-martial or punished
    by non-judicial punishment by military authorities of the
    United States at a military installation in Illinois of or
    for a traffic related offense that is the same as or
    similar to an offense specified under Section 6-205 or
    6-206 of this Code;
        25. Has permitted any form of identification to be used
    by another in the application process in order to obtain or
    attempt to obtain a license, identification card, or
    permit;
        26. Has altered or attempted to alter a license or has
    possessed an altered license, identification card, or
    permit;
        27. Has violated Section 6-16 of the Liquor Control Act
    of 1934;
        28. Has been convicted for a first time of the illegal
    possession, while operating or in actual physical control,
    as a driver, of a motor vehicle, of any controlled
    substance prohibited under the Illinois Controlled
    Substances Act, any cannabis prohibited under the Cannabis
    Control Act, or any methamphetamine prohibited under the
    Methamphetamine Control and Community Protection Act, in
    which case the person's driving privileges shall be
    suspended for one year. Any defendant found guilty of this
    offense while operating a motor vehicle, shall have an
    entry made in the court record by the presiding judge that
    this offense did occur while the defendant was operating a
    motor vehicle and order the clerk of the court to report
    the violation to the Secretary of State;
        29. Has been convicted of the following offenses that
    were committed while the person was operating or in actual
    physical control, as a driver, of a motor vehicle: criminal
    sexual assault, predatory criminal sexual assault of a
    child, aggravated criminal sexual assault, criminal sexual
    abuse, aggravated criminal sexual abuse, juvenile pimping,
    soliciting for a juvenile prostitute, promoting juvenile
    prostitution as described in subdivision (a)(1), (a)(2),
    or (a)(3) of Section 11-14.4 of the Criminal Code of 1961
    or the Criminal Code of 2012, and the manufacture, sale or
    delivery of controlled substances or instruments used for
    illegal drug use or abuse in which case the driver's
    driving privileges shall be suspended for one year;
        30. Has been convicted a second or subsequent time for
    any combination of the offenses named in paragraph 29 of
    this subsection, in which case the person's driving
    privileges shall be suspended for 5 years;
        31. Has refused to submit to a test as required by
    Section 11-501.6 or has submitted to a test resulting in an
    alcohol concentration of 0.08 or more or any amount of a
    drug, substance, or compound resulting from the unlawful
    use or consumption of cannabis as listed in the Cannabis
    Control Act, a controlled substance as listed in the
    Illinois Controlled Substances Act, an intoxicating
    compound as listed in the Use of Intoxicating Compounds
    Act, or methamphetamine as listed in the Methamphetamine
    Control and Community Protection Act, in which case the
    penalty shall be as prescribed in Section 6-208.1;
        32. Has been convicted of Section 24-1.2 of the
    Criminal Code of 1961 or the Criminal Code of 2012 relating
    to the aggravated discharge of a firearm if the offender
    was located in a motor vehicle at the time the firearm was
    discharged, in which case the suspension shall be for 3
    years;
        33. Has as a driver, who was less than 21 years of age
    on the date of the offense, been convicted a first time of
    a violation of paragraph (a) of Section 11-502 of this Code
    or a similar provision of a local ordinance;
        34. Has committed a violation of Section 11-1301.5 of
    this Code or a similar provision of a local ordinance;
        35. Has committed a violation of Section 11-1301.6 of
    this Code or a similar provision of a local ordinance;
        36. Is under the age of 21 years at the time of arrest
    and has been convicted of not less than 2 offenses against
    traffic regulations governing the movement of vehicles
    committed within any 24 month period. No revocation or
    suspension shall be entered more than 6 months after the
    date of last conviction;
        37. Has committed a violation of subsection (c) of
    Section 11-907 of this Code that resulted in damage to the
    property of another or the death or injury of another;
        38. Has been convicted of a violation of Section 6-20
    of the Liquor Control Act of 1934 or a similar provision of
    a local ordinance;
        39. Has committed a second or subsequent violation of
    Section 11-1201 of this Code;
        40. Has committed a violation of subsection (a-1) of
    Section 11-908 of this Code;
        41. Has committed a second or subsequent violation of
    Section 11-605.1 of this Code, a similar provision of a
    local ordinance, or a similar violation in any other state
    within 2 years of the date of the previous violation, in
    which case the suspension shall be for 90 days;
        42. Has committed a violation of subsection (a-1) of
    Section 11-1301.3 of this Code or a similar provision of a
    local ordinance;
        43. Has received a disposition of court supervision for
    a violation of subsection (a), (d), or (e) of Section 6-20
    of the Liquor Control Act of 1934 or a similar provision of
    a local ordinance, in which case the suspension shall be
    for a period of 3 months;
        44. Is under the age of 21 years at the time of arrest
    and has been convicted of an offense against traffic
    regulations governing the movement of vehicles after
    having previously had his or her driving privileges
    suspended or revoked pursuant to subparagraph 36 of this
    Section;
        45. Has, in connection with or during the course of a
    formal hearing conducted under Section 2-118 of this Code:
    (i) committed perjury; (ii) submitted fraudulent or
    falsified documents; (iii) submitted documents that have
    been materially altered; or (iv) submitted, as his or her
    own, documents that were in fact prepared or composed for
    another person; or
        46. Has committed a violation of subsection (j) of
    Section 3-413 of this Code.
    For purposes of paragraphs 5, 9, 10, 12, 14, 19, 25, 26,
and 27 of this subsection, license means any driver's license,
any traffic ticket issued when the person's driver's license is
deposited in lieu of bail, a suspension notice issued by the
Secretary of State, a duplicate or corrected driver's license,
a probationary driver's license or a temporary driver's
license.
    (b) If any conviction forming the basis of a suspension or
revocation authorized under this Section is appealed, the
Secretary of State may rescind or withhold the entry of the
order of suspension or revocation, as the case may be, provided
that a certified copy of a stay order of a court is filed with
the Secretary of State. If the conviction is affirmed on
appeal, the date of the conviction shall relate back to the
time the original judgment of conviction was entered and the 6
month limitation prescribed shall not apply.
    (c) 1. Upon suspending or revoking the driver's license or
permit of any person as authorized in this Section, the
Secretary of State shall immediately notify the person in
writing of the revocation or suspension. The notice to be
deposited in the United States mail, postage prepaid, to the
last known address of the person.
        2. If the Secretary of State suspends the driver's
    license of a person under subsection 2 of paragraph (a) of
    this Section, a person's privilege to operate a vehicle as
    an occupation shall not be suspended, provided an affidavit
    is properly completed, the appropriate fee received, and a
    permit issued prior to the effective date of the
    suspension, unless 5 offenses were committed, at least 2 of
    which occurred while operating a commercial vehicle in
    connection with the driver's regular occupation. All other
    driving privileges shall be suspended by the Secretary of
    State. Any driver prior to operating a vehicle for
    occupational purposes only must submit the affidavit on
    forms to be provided by the Secretary of State setting
    forth the facts of the person's occupation. The affidavit
    shall also state the number of offenses committed while
    operating a vehicle in connection with the driver's regular
    occupation. The affidavit shall be accompanied by the
    driver's license. Upon receipt of a properly completed
    affidavit, the Secretary of State shall issue the driver a
    permit to operate a vehicle in connection with the driver's
    regular occupation only. Unless the permit is issued by the
    Secretary of State prior to the date of suspension, the
    privilege to drive any motor vehicle shall be suspended as
    set forth in the notice that was mailed under this Section.
    If an affidavit is received subsequent to the effective
    date of this suspension, a permit may be issued for the
    remainder of the suspension period.
        The provisions of this subparagraph shall not apply to
    any driver required to possess a CDL for the purpose of
    operating a commercial motor vehicle.
        Any person who falsely states any fact in the affidavit
    required herein shall be guilty of perjury under Section
    6-302 and upon conviction thereof shall have all driving
    privileges revoked without further rights.
        3. At the conclusion of a hearing under Section 2-118
    of this Code, the Secretary of State shall either rescind
    or continue an order of revocation or shall substitute an
    order of suspension; or, good cause appearing therefor,
    rescind, continue, change, or extend the order of
    suspension. If the Secretary of State does not rescind the
    order, the Secretary may upon application, to relieve undue
    hardship (as defined by the rules of the Secretary of
    State), issue a restricted driving permit granting the
    privilege of driving a motor vehicle between the
    petitioner's residence and petitioner's place of
    employment or within the scope of the petitioner's
    employment related duties, or to allow the petitioner to
    transport himself or herself, or a family member of the
    petitioner's household to a medical facility, to receive
    necessary medical care, to allow the petitioner to
    transport himself or herself to and from alcohol or drug
    remedial or rehabilitative activity recommended by a
    licensed service provider, or to allow the petitioner to
    transport himself or herself or a family member of the
    petitioner's household to classes, as a student, at an
    accredited educational institution, or to allow the
    petitioner to transport children, elderly persons, or
    disabled persons who do not hold driving privileges and are
    living in the petitioner's household to and from daycare.
    The petitioner must demonstrate that no alternative means
    of transportation is reasonably available and that the
    petitioner will not endanger the public safety or welfare.
    Those multiple offenders identified in subdivision (b)4 of
    Section 6-208 of this Code, however, shall not be eligible
    for the issuance of a restricted driving permit.
             (A) If a person's license or permit is revoked or
        suspended due to 2 or more convictions of violating
        Section 11-501 of this Code or a similar provision of a
        local ordinance or a similar out-of-state offense, or
        Section 9-3 of the Criminal Code of 1961 or the
        Criminal Code of 2012, where the use of alcohol or
        other drugs is recited as an element of the offense, or
        a similar out-of-state offense, or a combination of
        these offenses, arising out of separate occurrences,
        that person, if issued a restricted driving permit, may
        not operate a vehicle unless it has been equipped with
        an ignition interlock device as defined in Section
        1-129.1.
            (B) If a person's license or permit is revoked or
        suspended 2 or more times within a 10 year period due
        to any combination of:
                (i) a single conviction of violating Section
            11-501 of this Code or a similar provision of a
            local ordinance or a similar out-of-state offense
            or Section 9-3 of the Criminal Code of 1961 or the
            Criminal Code of 2012, where the use of alcohol or
            other drugs is recited as an element of the
            offense, or a similar out-of-state offense; or
                (ii) a statutory summary suspension or
            revocation under Section 11-501.1; or
                (iii) a suspension under Section 6-203.1;
        arising out of separate occurrences; that person, if
        issued a restricted driving permit, may not operate a
        vehicle unless it has been equipped with an ignition
        interlock device as defined in Section 1-129.1.
            (C) The person issued a permit conditioned upon the
        use of an ignition interlock device must pay to the
        Secretary of State DUI Administration Fund an amount
        not to exceed $30 per month. The Secretary shall
        establish by rule the amount and the procedures, terms,
        and conditions relating to these fees.
            (D) If the restricted driving permit is issued for
        employment purposes, then the prohibition against
        operating a motor vehicle that is not equipped with an
        ignition interlock device does not apply to the
        operation of an occupational vehicle owned or leased by
        that person's employer when used solely for employment
        purposes.
            (E) In each case the Secretary may issue a
        restricted driving permit for a period deemed
        appropriate, except that all permits shall expire
        within one year from the date of issuance. The
        Secretary may not, however, issue a restricted driving
        permit to any person whose current revocation is the
        result of a second or subsequent conviction for a
        violation of Section 11-501 of this Code or a similar
        provision of a local ordinance or any similar
        out-of-state offense, or Section 9-3 of the Criminal
        Code of 1961 or the Criminal Code of 2012, where the
        use of alcohol or other drugs is recited as an element
        of the offense, or any similar out-of-state offense, or
        any combination of those offenses, until the
        expiration of at least one year from the date of the
        revocation. A restricted driving permit issued under
        this Section shall be subject to cancellation,
        revocation, and suspension by the Secretary of State in
        like manner and for like cause as a driver's license
        issued under this Code may be cancelled, revoked, or
        suspended; except that a conviction upon one or more
        offenses against laws or ordinances regulating the
        movement of traffic shall be deemed sufficient cause
        for the revocation, suspension, or cancellation of a
        restricted driving permit. The Secretary of State may,
        as a condition to the issuance of a restricted driving
        permit, require the applicant to participate in a
        designated driver remedial or rehabilitative program.
        The Secretary of State is authorized to cancel a
        restricted driving permit if the permit holder does not
        successfully complete the program.
    (c-3) In the case of a suspension under paragraph 43 of
subsection (a), reports received by the Secretary of State
under this Section shall, except during the actual time the
suspension is in effect, be privileged information and for use
only by the courts, police officers, prosecuting authorities,
the driver licensing administrator of any other state, the
Secretary of State, or the parent or legal guardian of a driver
under the age of 18. However, beginning January 1, 2008, if the
person is a CDL holder, the suspension shall also be made
available to the driver licensing administrator of any other
state, the U.S. Department of Transportation, and the affected
driver or motor carrier or prospective motor carrier upon
request.
    (c-4) In the case of a suspension under paragraph 43 of
subsection (a), the Secretary of State shall notify the person
by mail that his or her driving privileges and driver's license
will be suspended one month after the date of the mailing of
the notice.
    (c-5) The Secretary of State may, as a condition of the
reissuance of a driver's license or permit to an applicant
whose driver's license or permit has been suspended before he
or she reached the age of 21 years pursuant to any of the
provisions of this Section, require the applicant to
participate in a driver remedial education course and be
retested under Section 6-109 of this Code.
    (d) This Section is subject to the provisions of the
Drivers License Compact.
    (e) The Secretary of State shall not issue a restricted
driving permit to a person under the age of 16 years whose
driving privileges have been suspended or revoked under any
provisions of this Code.
    (f) In accordance with 49 C.F.R. 384, the Secretary of
State may not issue a restricted driving permit for the
operation of a commercial motor vehicle to a person holding a
CDL whose driving privileges have been suspended, revoked,
cancelled, or disqualified under any provisions of this Code.
(Source: P.A. 96-328, eff. 8-11-09; 96-607, eff. 8-24-09;
96-1180, eff. 1-1-11; 96-1305, eff. 1-1-11; 96-1344, eff.
7-1-11; 96-1551, eff. 7-1-11; 97-229, eff. 7-28-11; 97-333,
eff. 8-12-11; 97-743, eff. 1-1-13; 97-838, eff. 1-1-13; 97-844,
eff. 1-1-13; 97-1109, eff. 1-1-13; revised 9-20-12.)
 
    (625 ILCS 5/6-206.1)  (from Ch. 95 1/2, par. 6-206.1)
    Sec. 6-206.1. Monitoring Device Driving Permit.
Declaration of Policy. It is hereby declared a policy of the
State of Illinois that the driver who is impaired by alcohol,
other drug or drugs, or intoxicating compound or compounds is a
threat to the public safety and welfare. Therefore, to provide
a deterrent to such practice, a statutory summary driver's
license suspension is appropriate. It is also recognized that
driving is a privilege and therefore, that the granting of
driving privileges, in a manner consistent with public safety,
is warranted during the period of suspension in the form of a
monitoring device driving permit. A person who drives and fails
to comply with the requirements of the monitoring device
driving permit commits a violation of Section 6-303 of this
Code.
    The following procedures shall apply whenever a first
offender, as defined in Section 11-500 of this Code, is
arrested for any offense as defined in Section 11-501 or a
similar provision of a local ordinance and is subject to the
provisions of Section 11-501.1:
    (a) Upon mailing of the notice of suspension of driving
privileges as provided in subsection (h) of Section 11-501.1 of
this Code, the Secretary shall also send written notice
informing the person that he or she will be issued a monitoring
device driving permit (MDDP). The notice shall include, at
minimum, information summarizing the procedure to be followed
for issuance of the MDDP, installation of the breath alcohol
ignition installation device (BAIID), as provided in this
Section, exemption from BAIID installation requirements, and
procedures to be followed by those seeking indigent status, as
provided in this Section. The notice shall also include
information summarizing the procedure to be followed if the
person wishes to decline issuance of the MDDP. A copy of the
notice shall also be sent to the court of venue together with
the notice of suspension of driving privileges, as provided in
subsection (h) of Section 11-501. However, a MDDP shall not be
issued if the Secretary finds that:
        (1) The offender's driver's license is otherwise
    invalid;
        (2) Death or great bodily harm resulted from the arrest
    for Section 11-501;
        (3) The offender has been previously convicted of
    reckless homicide or aggravated driving under the
    influence involving death; or
        (4) The offender is less than 18 years of age.
    Any offender participating in the MDDP program must pay the
Secretary a MDDP Administration Fee in an amount not to exceed
$30 per month, to be deposited into the Monitoring Device
Driving Permit Administration Fee Fund. The Secretary shall
establish by rule the amount and the procedures, terms, and
conditions relating to these fees. The offender must have an
ignition interlock device installed within 14 days of the date
the Secretary issues the MDDP. The ignition interlock device
provider must notify the Secretary, in a manner and form
prescribed by the Secretary, of the installation. If the
Secretary does not receive notice of installation, the
Secretary shall cancel the MDDP.
    A MDDP shall not become effective prior to the 31st day of
the original statutory summary suspension.
    Upon receipt of the notice, as provided in paragraph (a) of
this Section, the person may file a petition to decline
issuance of the MDDP with the court of venue. The court shall
admonish the offender of all consequences of declining issuance
of the MDDP including, but not limited to, the enhanced
penalties for driving while suspended. After being so
admonished, the offender shall be permitted, in writing, to
execute a notice declining issuance of the MDDP. This notice
shall be filed with the court and forwarded by the clerk of the
court to the Secretary. The offender may, at any time
thereafter, apply to the Secretary for issuance of a MDDP.
    (a-1) A person issued a MDDP may drive for any purpose and
at any time, subject to the rules adopted by the Secretary
under subsection (g). The person must, at his or her own
expense, drive only vehicles equipped with an ignition
interlock device as defined in Section 1-129.1, but in no event
shall such person drive a commercial motor vehicle.
    (a-2) Persons who are issued a MDDP and must drive
employer-owned vehicles in the course of their employment
duties may seek permission to drive an employer-owned vehicle
that does not have an ignition interlock device. The employer
shall provide to the Secretary a form, as prescribed by the
Secretary, completed by the employer verifying that the
employee must drive an employer-owned vehicle in the course of
employment. If approved by the Secretary, the form must be in
the driver's possession while operating an employer-owner
vehicle not equipped with an ignition interlock device. No
person may use this exemption to drive a school bus, school
vehicle, or a vehicle designed to transport more than 15
passengers. No person may use this exemption to drive an
employer-owned motor vehicle that is owned by an entity that is
wholly or partially owned by the person holding the MDDP, or by
a family member of the person holding the MDDP. No person may
use this exemption to drive an employer-owned vehicle that is
made available to the employee for personal use. No person may
drive the exempted vehicle more than 12 hours per day, 6 days
per week.
    (a-3) Persons who are issued a MDDP and who must drive a
farm tractor to and from a farm, within 50 air miles from the
originating farm are exempt from installation of a BAIID on the
farm tractor, so long as the farm tractor is being used for the
exclusive purpose of conducting farm operations.
    (b) (Blank).
    (c) (Blank).
    (c-1) If the holder of the MDDP is convicted of or receives
court supervision for a violation of Section 6-206.2, 6-303,
11-204, 11-204.1, 11-401, 11-501, 11-503, 11-506 or a similar
provision of a local ordinance or a similar out-of-state
offense or is convicted of or receives court supervision for
any offense for which alcohol or drugs is an element of the
offense and in which a motor vehicle was involved (for an
arrest other than the one for which the MDDP is issued), or
de-installs the BAIID without prior authorization from the
Secretary, the MDDP shall be cancelled.
    (c-5) If the Secretary determines that the person seeking
the MDDP is indigent, the Secretary shall provide the person
with a written document as evidence of that determination, and
the person shall provide that written document to an ignition
interlock device provider. The provider shall install an
ignition interlock device on that person's vehicle without
charge to the person, and seek reimbursement from the Indigent
BAIID Fund. If the Secretary has deemed an offender indigent,
the BAIID provider shall also provide the normal monthly
monitoring services and the de-installation without charge to
the offender and seek reimbursement from the Indigent BAIID
Fund. Any other monetary charges, such as a lockout fee or
reset fee, shall be the responsibility of the MDDP holder. A
BAIID provider may not seek a security deposit from the
Indigent BAIID Fund.
    (d) MDDP information shall be available only to the courts,
police officers, and the Secretary, except during the actual
period the MDDP is valid, during which time it shall be a
public record.
    (e) (Blank).
    (f) (Blank).
    (g) The Secretary shall adopt rules for implementing this
Section. The rules adopted shall address issues including, but
not limited to: compliance with the requirements of the MDDP;
methods for determining compliance with those requirements;
the consequences of noncompliance with those requirements;
what constitutes a violation of the MDDP; methods for
determining indigency; and the duties of a person or entity
that supplies the ignition interlock device.
    (h) The rules adopted under subsection (g) shall provide,
at a minimum, that the person is not in compliance with the
requirements of the MDDP if he or she:
        (1) tampers or attempts to tamper with or circumvent
    the proper operation of the ignition interlock device;
        (2) provides valid breath samples that register blood
    alcohol levels in excess of the number of times allowed
    under the rules;
        (3) fails to provide evidence sufficient to satisfy the
    Secretary that the ignition interlock device has been
    installed in the designated vehicle or vehicles; or
        (4) fails to follow any other applicable rules adopted
    by the Secretary.
    (i) Any person or entity that supplies an ignition
interlock device as provided under this Section shall, in
addition to supplying only those devices which fully comply
with all the rules adopted under subsection (g), provide the
Secretary, within 7 days of inspection, all monitoring reports
of each person who has had an ignition interlock device
installed. These reports shall be furnished in a manner or form
as prescribed by the Secretary.
    (j) Upon making a determination that a violation of the
requirements of the MDDP has occurred, the Secretary shall
extend the summary suspension period for an additional 3 months
beyond the originally imposed summary suspension period,
during which time the person shall only be allowed to drive
vehicles equipped with an ignition interlock device; provided
further there are no limitations on the total number of times
the summary suspension may be extended. The Secretary may,
however, limit the number of extensions imposed for violations
occurring during any one monitoring period, as set forth by
rule. Any person whose summary suspension is extended pursuant
to this Section shall have the right to contest the extension
through a hearing with the Secretary, pursuant to Section 2-118
of this Code. If the summary suspension has already terminated
prior to the Secretary receiving the monitoring report that
shows a violation, the Secretary shall be authorized to suspend
the person's driving privileges for 3 months, provided that the
Secretary may, by rule, limit the number of suspensions to be
entered pursuant to this paragraph for violations occurring
during any one monitoring period. Any person whose license is
suspended pursuant to this paragraph, after the summary
suspension had already terminated, shall have the right to
contest the suspension through a hearing with the Secretary,
pursuant to Section 2-118 of this Code. The only permit the
person shall be eligible for during this new suspension period
is a MDDP.
    (k) A person who has had his or her summary suspension
extended for the third time, or has any combination of 3
extensions and new suspensions, entered as a result of a
violation that occurred while holding the MDDP, so long as the
extensions and new suspensions relate to the same summary
suspension, shall have his or her vehicle impounded for a
period of 30 days, at the person's own expense. A person who
has his or her summary suspension extended for the fourth time,
or has any combination of 4 extensions and new suspensions,
entered as a result of a violation that occurred while holding
the MDDP, so long as the extensions and new suspensions relate
to the same summary suspension, shall have his or her vehicle
subject to seizure and forfeiture. The Secretary shall notify
the prosecuting authority of any third or fourth extensions or
new suspension entered as a result of a violation that occurred
while the person held a MDDP. Upon receipt of the notification,
the prosecuting authority shall impound or forfeit the vehicle.
The impoundment or forfeiture of a vehicle shall be conducted
pursuant to the procedure specified in Article 36 of the
Criminal Code of 2012 1961.
    (l) A person whose driving privileges have been suspended
under Section 11-501.1 of this Code and who had a MDDP that was
cancelled, or would have been cancelled had notification of a
violation been received prior to expiration of the MDDP,
pursuant to subsection (c-1) of this Section, shall not be
eligible for reinstatement when the summary suspension is
scheduled to terminate. Instead, the person's driving
privileges shall be suspended for a period of not less than
twice the original summary suspension period, or for the length
of any extensions entered under subsection (j), whichever is
longer. During the period of suspension, the person shall be
eligible only to apply for a restricted driving permit. If a
restricted driving permit is granted, the offender may only
operate vehicles equipped with a BAIID in accordance with this
Section.
    (m) Any person or entity that supplies an ignition
interlock device under this Section shall, for each ignition
interlock device installed, pay 5% of the total gross revenue
received for the device, including monthly monitoring fees,
into the Indigent BAIID Fund. This 5% shall be clearly
indicated as a separate surcharge on each invoice that is
issued. The Secretary shall conduct an annual review of the
fund to determine whether the surcharge is sufficient to
provide for indigent users. The Secretary may increase or
decrease this surcharge requirement as needed.
    (n) Any person or entity that supplies an ignition
interlock device under this Section that is requested to
provide an ignition interlock device to a person who presents
written documentation of indigency from the Secretary, as
provided in subsection (c-5) of this Section, shall install the
device on the person's vehicle without charge to the person and
shall seek reimbursement from the Indigent BAIID Fund.
    (o) The Indigent BAIID Fund is created as a special fund in
the State treasury. The Secretary shall, subject to
appropriation by the General Assembly, use all money in the
Indigent BAIID Fund to reimburse ignition interlock device
providers who have installed devices in vehicles of indigent
persons. The Secretary shall make payments to such providers
every 3 months. If the amount of money in the fund at the time
payments are made is not sufficient to pay all requests for
reimbursement submitted during that 3 month period, the
Secretary shall make payments on a pro-rata basis, and those
payments shall be considered payment in full for the requests
submitted.
    (p) The Monitoring Device Driving Permit Administration
Fee Fund is created as a special fund in the State treasury.
The Secretary shall, subject to appropriation by the General
Assembly, use the money paid into this fund to offset its
administrative costs for administering MDDPs.
    (q) The Secretary is authorized to prescribe such forms as
it deems necessary to carry out the provisions of this Section.
(Source: P.A. 96-184, eff. 8-10-09; 96-1526, eff. 2-14-11;
97-229; 97-813, eff. 7-13-12.)
 
    (625 ILCS 5/6-208)  (from Ch. 95 1/2, par. 6-208)
    Sec. 6-208. Period of Suspension - Application After
Revocation.
    (a) Except as otherwise provided by this Code or any other
law of this State, the Secretary of State shall not suspend a
driver's license, permit, or privilege to drive a motor vehicle
on the highways for a period of more than one year.
    (b) Any person whose license, permit, or privilege to drive
a motor vehicle on the highways has been revoked shall not be
entitled to have such license, permit, or privilege renewed or
restored. However, such person may, except as provided under
subsections (d) and (d-5) of Section 6-205, make application
for a license pursuant to Section 6-106 (i) if the revocation
was for a cause that has been removed or (ii) as provided in
the following subparagraphs:
        1. Except as provided in subparagraphs 1.5, 2, 3, 4,
    and 5, the person may make application for a license (A)
    after the expiration of one year from the effective date of
    the revocation, (B) in the case of a violation of paragraph
    (b) of Section 11-401 of this Code or a similar provision
    of a local ordinance, after the expiration of 3 years from
    the effective date of the revocation, or (C) in the case of
    a violation of Section 9-3 of the Criminal Code of 1961 or
    the Criminal Code of 2012 or a similar provision of a law
    of another state relating to the offense of reckless
    homicide or a violation of subparagraph (F) of paragraph 1
    of subsection (d) of Section 11-501 of this Code relating
    to aggravated driving under the influence of alcohol, other
    drug or drugs, intoxicating compound or compounds, or any
    combination thereof, if the violation was the proximate
    cause of a death, after the expiration of 2 years from the
    effective date of the revocation or after the expiration of
    24 months from the date of release from a period of
    imprisonment as provided in Section 6-103 of this Code,
    whichever is later.
        1.5. If the person is convicted of a violation of
    Section 6-303 of this Code committed while his or her
    driver's license, permit, or privilege was revoked because
    of a violation of Section 9-3 of the Criminal Code of 1961
    or the Criminal Code of 2012, relating to the offense of
    reckless homicide, or a similar provision of a law of
    another state, the person may not make application for a
    license or permit until the expiration of 3 years from the
    date of the conviction.
        2. If such person is convicted of committing a second
    violation within a 20-year period of:
            (A) Section 11-501 of this Code or a similar
        provision of a local ordinance;
            (B) Paragraph (b) of Section 11-401 of this Code or
        a similar provision of a local ordinance;
            (C) Section 9-3 of the Criminal Code of 1961 or the
        Criminal Code of 2012, relating to the offense of
        reckless homicide; or
            (D) any combination of the above offenses
        committed at different instances;
    then such person may not make application for a license
    until after the expiration of 5 years from the effective
    date of the most recent revocation. The 20-year period
    shall be computed by using the dates the offenses were
    committed and shall also include similar out-of-state
    offenses and similar offenses committed on a military
    installation.
        2.5. If a person is convicted of a second violation of
    Section 6-303 of this Code committed while the person's
    driver's license, permit, or privilege was revoked because
    of a violation of Section 9-3 of the Criminal Code of 1961
    or the Criminal Code of 2012, relating to the offense of
    reckless homicide, or a similar provision of a law of
    another state, the person may not make application for a
    license or permit until the expiration of 5 years from the
    date of release from a term of imprisonment.
        3. However, except as provided in subparagraph 4, if
    such person is convicted of committing a third or
    subsequent violation or any combination of the above
    offenses, including similar out-of-state offenses and
    similar offenses committed on a military installation,
    contained in subparagraph 2, then such person may not make
    application for a license until after the expiration of 10
    years from the effective date of the most recent
    revocation.
        4. The person may not make application for a license if
    the person is convicted of committing a fourth or
    subsequent violation of Section 11-501 of this Code or a
    similar provision of a local ordinance, Section 11-401 of
    this Code, Section 9-3 of the Criminal Code of 1961 or the
    Criminal Code of 2012, or a combination of these offenses,
    similar provisions of local ordinances, similar
    out-of-state offenses, or similar offenses committed on a
    military installation.
        5. The person may not make application for a license or
    permit if the person is convicted of a third or subsequent
    violation of Section 6-303 of this Code committed while his
    or her driver's license, permit, or privilege was revoked
    because of a violation of Section 9-3 of the Criminal Code
    of 1961 or the Criminal Code of 2012, relating to the
    offense of reckless homicide, or a similar provision of a
    law of another state.
    Notwithstanding any other provision of this Code, all
persons referred to in this paragraph (b) may not have their
privileges restored until the Secretary receives payment of the
required reinstatement fee pursuant to subsection (b) of
Section 6-118.
    In no event shall the Secretary issue such license unless
and until such person has had a hearing pursuant to this Code
and the appropriate administrative rules and the Secretary is
satisfied, after a review or investigation of such person, that
to grant the privilege of driving a motor vehicle on the
highways will not endanger the public safety or welfare.
    (c) (Blank).
(Source: P.A. 95-331, eff. 8-21-07; 95-355, eff. 1-1-08;
95-377, eff. 1-1-08; 95-876, eff. 8-21-08; 96-607, eff.
8-24-09.)
 
    (625 ILCS 5/6-303)  (from Ch. 95 1/2, par. 6-303)
    Sec. 6-303. Driving while driver's license, permit or
privilege to operate a motor vehicle is suspended or revoked.
    (a) Except as otherwise provided in subsection (a-5), any
person who drives or is in actual physical control of a motor
vehicle on any highway of this State at a time when such
person's driver's license, permit or privilege to do so or the
privilege to obtain a driver's license or permit is revoked or
suspended as provided by this Code or the law of another state,
except as may be specifically allowed by a judicial driving
permit issued prior to January 1, 2009, monitoring device
driving permit, family financial responsibility driving
permit, probationary license to drive, or a restricted driving
permit issued pursuant to this Code or under the law of another
state, shall be guilty of a Class A misdemeanor.
    (a-5) Any person who violates this Section as provided in
subsection (a) while his or her driver's license, permit or
privilege is revoked because of a violation of Section 9-3 of
the Criminal Code of 1961 or the Criminal Code of 2012,
relating to the offense of reckless homicide or a similar
provision of a law of another state, is guilty of a Class 4
felony. The person shall be required to undergo a professional
evaluation, as provided in Section 11-501 of this Code, to
determine if an alcohol, drug, or intoxicating compound problem
exists and the extent of the problem, and to undergo the
imposition of treatment as appropriate.
    (b) (Blank).
    (b-1) Upon receiving a report of the conviction of any
violation indicating a person was operating a motor vehicle
during the time when the person's driver's license, permit or
privilege was suspended by the Secretary of State or the
driver's licensing administrator of another state, except as
specifically allowed by a probationary license, judicial
driving permit, restricted driving permit or monitoring device
driving permit the Secretary shall extend the suspension for
the same period of time as the originally imposed suspension
unless the suspension has already expired, in which case the
Secretary shall be authorized to suspend the person's driving
privileges for the same period of time as the originally
imposed suspension.
    (b-2) Except as provided in subsection (b-6), upon
receiving a report of the conviction of any violation
indicating a person was operating a motor vehicle when the
person's driver's license, permit or privilege was revoked by
the Secretary of State or the driver's license administrator of
any other state, except as specifically allowed by a restricted
driving permit issued pursuant to this Code or the law of
another state, the Secretary shall not issue a driver's license
for an additional period of one year from the date of such
conviction indicating such person was operating a vehicle
during such period of revocation.
    (b-3) (Blank).
    (b-4) When the Secretary of State receives a report of a
conviction of any violation indicating a person was operating a
motor vehicle that was not equipped with an ignition interlock
device during a time when the person was prohibited from
operating a motor vehicle not equipped with such a device, the
Secretary shall not issue a driver's license to that person for
an additional period of one year from the date of the
conviction.
    (b-5) Any person convicted of violating this Section shall
serve a minimum term of imprisonment of 30 consecutive days or
300 hours of community service when the person's driving
privilege was revoked or suspended as a result of a violation
of Section 9-3 of the Criminal Code of 1961 or the Criminal
Code of 2012 , as amended, relating to the offense of reckless
homicide, or a similar provision of a law of another state.
    (b-6) Upon receiving a report of a first conviction of
operating a motor vehicle while the person's driver's license,
permit or privilege was revoked where the revocation was for a
violation of Section 9-3 of the Criminal Code of 1961 or the
Criminal Code of 2012 relating to the offense of reckless
homicide or a similar out-of-state offense, the Secretary shall
not issue a driver's license for an additional period of three
years from the date of such conviction.
    (c) Except as provided in subsections (c-3) and (c-4), any
person convicted of violating this Section shall serve a
minimum term of imprisonment of 10 consecutive days or 30 days
of community service when the person's driving privilege was
revoked or suspended as a result of:
        (1) a violation of Section 11-501 of this Code or a
    similar provision of a local ordinance relating to the
    offense of operating or being in physical control of a
    vehicle while under the influence of alcohol, any other
    drug or any combination thereof; or
        (2) a violation of paragraph (b) of Section 11-401 of
    this Code or a similar provision of a local ordinance
    relating to the offense of leaving the scene of a motor
    vehicle accident involving personal injury or death; or
        (3) a statutory summary suspension or revocation under
    Section 11-501.1 of this Code.
    Such sentence of imprisonment or community service shall
not be subject to suspension in order to reduce such sentence.
    (c-1) Except as provided in subsections (c-5) and (d), any
person convicted of a second violation of this Section shall be
ordered by the court to serve a minimum of 100 hours of
community service.
    (c-2) In addition to other penalties imposed under this
Section, the court may impose on any person convicted a fourth
time of violating this Section any of the following:
        (1) Seizure of the license plates of the person's
    vehicle.
        (2) Immobilization of the person's vehicle for a period
    of time to be determined by the court.
    (c-3) Any person convicted of a violation of this Section
during a period of summary suspension imposed pursuant to
Section 11-501.1 when the person was eligible for a MDDP shall
be guilty of a Class 4 felony and shall serve a minimum term of
imprisonment of 30 days.
    (c-4) Any person who has been issued a MDDP and who is
convicted of a violation of this Section as a result of
operating or being in actual physical control of a motor
vehicle not equipped with an ignition interlock device at the
time of the offense shall be guilty of a Class 4 felony and
shall serve a minimum term of imprisonment of 30 days.
    (c-5) Any person convicted of a second violation of this
Section is guilty of a Class 2 felony, is not eligible for
probation or conditional discharge, and shall serve a mandatory
term of imprisonment, if the revocation or suspension was for a
violation of Section 9-3 of the Criminal Code of 1961 or the
Criminal Code of 2012, relating to the offense of reckless
homicide, or a similar out-of-state offense.
    (d) Any person convicted of a second violation of this
Section shall be guilty of a Class 4 felony and shall serve a
minimum term of imprisonment of 30 days or 300 hours of
community service, as determined by the court, if the original
revocation or suspension was for a violation of Section 11-401
or 11-501 of this Code, or a similar out-of-state offense, or a
similar provision of a local ordinance, or a statutory summary
suspension or revocation under Section 11-501.1 of this Code.
    (d-1) Except as provided in subsections (d-2), (d-2.5), and
(d-3), any person convicted of a third or subsequent violation
of this Section shall serve a minimum term of imprisonment of
30 days or 300 hours of community service, as determined by the
court.
    (d-2) Any person convicted of a third violation of this
Section is guilty of a Class 4 felony and must serve a minimum
term of imprisonment of 30 days if the revocation or suspension
was for a violation of Section 11-401 or 11-501 of this Code,
or a similar out-of-state offense, or a similar provision of a
local ordinance, or a statutory summary suspension or
revocation under Section 11-501.1 of this Code.
    (d-2.5) Any person convicted of a third violation of this
Section is guilty of a Class 1 felony, is not eligible for
probation or conditional discharge, and must serve a mandatory
term of imprisonment if the revocation or suspension was for a
violation of Section 9-3 of the Criminal Code of 1961 or the
Criminal Code of 2012, relating to the offense of reckless
homicide, or a similar out-of-state offense. The person's
driving privileges shall be revoked for the remainder of the
person's life.
    (d-3) Any person convicted of a fourth, fifth, sixth,
seventh, eighth, or ninth violation of this Section is guilty
of a Class 4 felony and must serve a minimum term of
imprisonment of 180 days if the revocation or suspension was
for a violation of Section 11-401 or 11-501 of this Code, or a
similar out-of-state offense, or a similar provision of a local
ordinance, or a statutory summary suspension or revocation
under Section 11-501.1 of this Code.
    (d-3.5) Any person convicted of a fourth or subsequent
violation of this Section is guilty of a Class 1 felony, is not
eligible for probation or conditional discharge, and must serve
a mandatory term of imprisonment, and is eligible for an
extended term, if the revocation or suspension was for a
violation of Section 9-3 of the Criminal Code of 1961 or the
Criminal Code of 2012, relating to the offense of reckless
homicide, or a similar out-of-state offense.
    (d-4) Any person convicted of a tenth, eleventh, twelfth,
thirteenth, or fourteenth violation of this Section is guilty
of a Class 3 felony, and is not eligible for probation or
conditional discharge, if the revocation or suspension was for
a violation of Section 11-401 or 11-501 of this Code, or a
similar out-of-state offense, or a similar provision of a local
ordinance, or a statutory summary suspension or revocation
under Section 11-501.1 of this Code.
    (d-5) Any person convicted of a fifteenth or subsequent
violation of this Section is guilty of a Class 2 felony, and is
not eligible for probation or conditional discharge, if the
revocation or suspension was for a violation of Section 11-401
or 11-501 of this Code, or a similar out-of-state offense, or a
similar provision of a local ordinance, or a statutory summary
suspension or revocation under Section 11-501.1 of this Code.
    (e) Any person in violation of this Section who is also in
violation of Section 7-601 of this Code relating to mandatory
insurance requirements, in addition to other penalties imposed
under this Section, shall have his or her motor vehicle
immediately impounded by the arresting law enforcement
officer. The motor vehicle may be released to any licensed
driver upon a showing of proof of insurance for the vehicle
that was impounded and the notarized written consent for the
release by the vehicle owner.
    (f) For any prosecution under this Section, a certified
copy of the driving abstract of the defendant shall be admitted
as proof of any prior conviction.
    (g) The motor vehicle used in a violation of this Section
is subject to seizure and forfeiture as provided in Sections
36-1 and 36-2 of the Criminal Code of 2012 1961 if the person's
driving privilege was revoked or suspended as a result of:
        (1) a violation of Section 11-501 of this Code, a
    similar provision of a local ordinance, or a similar
    provision of a law of another state;
        (2) a violation of paragraph (b) of Section 11-401 of
    this Code, a similar provision of a local ordinance, or a
    similar provision of a law of another state;
        (3) a statutory summary suspension or revocation under
    Section 11-501.1 of this Code or a similar provision of a
    law of another state; or
        (4) a violation of Section 9-3 of the Criminal Code of
    1961 or the Criminal Code of 2012 relating to the offense
    of reckless homicide, or a similar provision of a law of
    another state.
(Source: P.A. 96-502, eff. 1-1-10; 96-607, eff. 8-24-09;
96-1000, eff. 7-2-10; 96-1344, eff. 7-1-11; 97-984, eff.
1-1-13.)
 
    (625 ILCS 5/6-508)  (from Ch. 95 1/2, par. 6-508)
    Sec. 6-508. Commercial Driver's License (CDL) -
qualification standards.
    (a) Testing.
        (1) General. No person shall be issued an original or
    renewal CDL unless that person is domiciled in this State.
    The Secretary shall cause to be administered such tests as
    the Secretary deems necessary to meet the requirements of
    49 C.F.R. Part 383, subparts F, G, H, and J.
        (2) Third party testing. The Secretary of state may
    authorize a "third party tester", pursuant to 49 C.F.R.
    Part 383.75, to administer the skills test or tests
    specified by Federal Motor Carrier Safety Administration
    pursuant to the Commercial Motor Vehicle Safety Act of 1986
    and any appropriate federal rule.
    (b) Waiver of Skills Test. The Secretary of State may waive
the skills test specified in this Section for a driver
applicant for a commercial driver license who meets the
requirements of 49 C.F.R. Part 383.77 and Part 383.123.
    (b-1) No person shall be issued a commercial driver
instruction permit or CDL unless the person certifies to the
Secretary one of the following types of driving operations in
which he or she will be engaged:
        (1) non-excepted interstate;
        (2) non-excepted intrastate;
        (3) excepted interstate; or
        (4) excepted intrastate.
    (b-2) Persons who hold a commercial driver instruction
permit or CDL on January 30, 2012 must certify to the Secretary
no later than January 30, 2014 one of the following applicable
self-certifications:
        (1) non-excepted interstate;
        (2) non-excepted intrastate;
        (3) excepted interstate; or
        (4) excepted intrastate.
    (c) Limitations on issuance of a CDL. A CDL, or a
commercial driver instruction permit, shall not be issued to a
person while the person is subject to a disqualification from
driving a commercial motor vehicle, or unless otherwise
permitted by this Code, while the person's driver's license is
suspended, revoked or cancelled in any state, or any territory
or province of Canada; nor may a CDL be issued to a person who
has a CDL issued by any other state, or foreign jurisdiction,
unless the person first surrenders all such licenses. No CDL
shall be issued to or renewed for a person who does not meet
the requirement of 49 CFR 391.41(b)(11). The requirement may be
met with the aid of a hearing aid.
    (c-1) The Secretary may issue a CDL with a school bus
driver endorsement to allow a person to drive the type of bus
described in subsection (d-5) of Section 6-104 of this Code.
The CDL with a school bus driver endorsement may be issued only
to a person meeting the following requirements:
        (1) the person has submitted his or her fingerprints to
    the Department of State Police in the form and manner
    prescribed by the Department of State Police. These
    fingerprints shall be checked against the fingerprint
    records now and hereafter filed in the Department of State
    Police and Federal Bureau of Investigation criminal
    history records databases;
        (2) the person has passed a written test, administered
    by the Secretary of State, on charter bus operation,
    charter bus safety, and certain special traffic laws
    relating to school buses determined by the Secretary of
    State to be relevant to charter buses, and submitted to a
    review of the driver applicant's driving habits by the
    Secretary of State at the time the written test is given;
        (3) the person has demonstrated physical fitness to
    operate school buses by submitting the results of a medical
    examination, including tests for drug use; and
        (4) the person has not been convicted of committing or
    attempting to commit any one or more of the following
    offenses: (i) those offenses defined in Sections 8-1.2,
    9-1, 9-1.2, 9-2, 9-2.1, 9-3, 9-3.2, 9-3.3, 10-1, 10-2,
    10-3.1, 10-4, 10-5, 10-5.1, 10-6, 10-7, 10-9, 11-1.20,
    11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-6.5, 11-6.6,
    11-9, 11-9.1, 11-9.3, 11-9.4, 11-14, 11-14.1, 11-14.3,
    11-14.4, 11-15, 11-15.1, 11-16, 11-17, 11-17.1, 11-18,
    11-18.1, 11-19, 11-19.1, 11-19.2, 11-20, 11-20.1,
    11-20.1B, 11-20.3, 11-21, 11-22, 11-23, 11-24, 11-25,
    11-26, 11-30, 12-2.6, 12-3.1, 12-4, 12-4.1, 12-4.2,
    12-4.2-5, 12-4.3, 12-4.4, 12-4.5, 12-4.6, 12-4.7, 12-4.9,
    12-5.01, 12-6, 12-6.2, 12-7.1, 12-7.3, 12-7.4, 12-7.5,
    12-11, 12-13, 12-14, 12-14.1, 12-15, 12-16, 12-16.2,
    12-21.5, 12-21.6, 12-33, 12C-5, 12C-10, 12C-20, 12C-30,
    12C-45, 16-16, 16-16.1, 18-1, 18-2, 18-3, 18-4, 18-5, 19-6,
    20-1, 20-1.1, 20-1.2, 20-1.3, 20-2, 24-1, 24-1.1, 24-1.2,
    24-1.2-5, 24-1.6, 24-1.7, 24-2.1, 24-3.3, 24-3.5, 24-3.8,
    24-3.9, 31A-1, 31A-1.1, 33A-2, and 33D-1, and in subsection
    (b) of Section 8-1, and in subdivisions (a)(1), (a)(2),
    (b)(1), (e)(1), (e)(2), (e)(3), (e)(4), and (f)(1) of
    Section 12-3.05, and in subsection (a) and subsection (b),
    clause (1), of Section 12-4, and in subsection (A), clauses
    (a) and (b), of Section 24-3, and those offenses contained
    in Article 29D of the Criminal Code of 1961 or the Criminal
    Code of 2012; (ii) those offenses defined in the Cannabis
    Control Act except those offenses defined in subsections
    (a) and (b) of Section 4, and subsection (a) of Section 5
    of the Cannabis Control Act; (iii) those offenses defined
    in the Illinois Controlled Substances Act; (iv) those
    offenses defined in the Methamphetamine Control and
    Community Protection Act; (v) any offense committed or
    attempted in any other state or against the laws of the
    United States, which if committed or attempted in this
    State would be punishable as one or more of the foregoing
    offenses; (vi) the offenses defined in Sections 4.1 and 5.1
    of the Wrongs to Children Act or Section 11-9.1A of the
    Criminal Code of 1961 or the Criminal Code of 2012; (vii)
    those offenses defined in Section 6-16 of the Liquor
    Control Act of 1934; and (viii) those offenses defined in
    the Methamphetamine Precursor Control Act.
    The Department of State Police shall charge a fee for
conducting the criminal history records check, which shall be
deposited into the State Police Services Fund and may not
exceed the actual cost of the records check.
    (c-2) The Secretary shall issue a CDL with a school bus
endorsement to allow a person to drive a school bus as defined
in this Section. The CDL shall be issued according to the
requirements outlined in 49 C.F.R. 383. A person may not
operate a school bus as defined in this Section without a
school bus endorsement. The Secretary of State may adopt rules
consistent with Federal guidelines to implement this
subsection (c-2).
    (d) Commercial driver instruction permit. A commercial
driver instruction permit may be issued to any person holding a
valid Illinois driver's license if such person successfully
passes such tests as the Secretary determines to be necessary.
A commercial driver instruction permit shall not be issued to a
person who does not meet the requirements of 49 CFR 391.41
(b)(11), except for the renewal of a commercial driver
instruction permit for a person who possesses a commercial
instruction permit prior to the effective date of this
amendatory Act of 1999.
(Source: P.A. 96-1182, eff. 7-22-10; 96-1551, Article 1,
Section 95, eff. 7-1-11; 96-1551, Article 2, Section 1025, eff.
7-1-11; 97-208, eff. 1-1-12; 97-1108, eff. 1-1-13; 97-1109,
eff. 1-1-13; revised 9-20-12.)
 
    (625 ILCS 5/6-514)  (from Ch. 95 1/2, par. 6-514)
    Sec. 6-514. Commercial Driver's License (CDL) -
Disqualifications.
    (a) A person shall be disqualified from driving a
commercial motor vehicle for a period of not less than 12
months for the first violation of:
        (1) Refusing to submit to or failure to complete a test
    or tests to determine the driver's blood concentration of
    alcohol, other drug, or both, while driving a commercial
    motor vehicle or, if the driver is a CDL holder, while
    driving a non-CMV; or
        (2) Operating a commercial motor vehicle while the
    alcohol concentration of the person's blood, breath or
    urine is at least 0.04, or any amount of a drug, substance,
    or compound in the person's blood or urine resulting from
    the unlawful use or consumption of cannabis listed in the
    Cannabis Control Act, a controlled substance listed in the
    Illinois Controlled Substances Act, or methamphetamine as
    listed in the Methamphetamine Control and Community
    Protection Act as indicated by a police officer's sworn
    report or other verified evidence; or operating a
    non-commercial motor vehicle while the alcohol
    concentration of the person's blood, breath, or urine was
    above the legal limit defined in Section 11-501.1 or
    11-501.8 or any amount of a drug, substance, or compound in
    the person's blood or urine resulting from the unlawful use
    or consumption of cannabis listed in the Cannabis Control
    Act, a controlled substance listed in the Illinois
    Controlled Substances Act, or methamphetamine as listed in
    the Methamphetamine Control and Community Protection Act
    as indicated by a police officer's sworn report or other
    verified evidence while holding a commercial driver's
    license; or
        (3) Conviction for a first violation of:
            (i) Driving a commercial motor vehicle or, if the
        driver is a CDL holder, driving a non-CMV while under
        the influence of alcohol, or any other drug, or
        combination of drugs to a degree which renders such
        person incapable of safely driving; or
            (ii) Knowingly leaving the scene of an accident
        while operating a commercial motor vehicle or, if the
        driver is a CDL holder, while driving a non-CMV; or
            (iii) Driving a commercial motor vehicle or, if the
        driver is a CDL holder, driving a non-CMV while
        committing any felony; or
            (iv) Driving a commercial motor vehicle while the
        person's driving privileges or driver's license or
        permit is revoked, suspended, or cancelled or the
        driver is disqualified from operating a commercial
        motor vehicle; or
            (v) Causing a fatality through the negligent
        operation of a commercial motor vehicle, including but
        not limited to the crimes of motor vehicle
        manslaughter, homicide by a motor vehicle, and
        negligent homicide.
            As used in this subdivision (a)(3)(v), "motor
        vehicle manslaughter" means the offense of involuntary
        manslaughter if committed by means of a vehicle;
        "homicide by a motor vehicle" means the offense of
        first degree murder or second degree murder, if either
        offense is committed by means of a vehicle; and
        "negligent homicide" means reckless homicide under
        Section 9-3 of the Criminal Code of 1961 or the
        Criminal Code of 2012 and aggravated driving under the
        influence of alcohol, other drug or drugs,
        intoxicating compound or compounds, or any combination
        thereof under subdivision (d)(1)(F) of Section 11-501
        of this Code.
        If any of the above violations or refusals occurred
    while transporting hazardous material(s) required to be
    placarded, the person shall be disqualified for a period of
    not less than 3 years.
    (b) A person is disqualified for life for a second
conviction of any of the offenses specified in paragraph (a),
or any combination of those offenses, arising from 2 or more
separate incidents.
    (c) A person is disqualified from driving a commercial
motor vehicle for life if the person either (i) uses a
commercial motor vehicle in the commission of any felony
involving the manufacture, distribution, or dispensing of a
controlled substance, or possession with intent to
manufacture, distribute or dispense a controlled substance or
(ii) if the person is a CDL holder, uses a non-CMV in the
commission of a felony involving any of those activities.
    (d) The Secretary of State may, when the United States
Secretary of Transportation so authorizes, issue regulations
in which a disqualification for life under paragraph (b) may be
reduced to a period of not less than 10 years. If a reinstated
driver is subsequently convicted of another disqualifying
offense, as specified in subsection (a) of this Section, he or
she shall be permanently disqualified for life and shall be
ineligible to again apply for a reduction of the lifetime
disqualification.
    (e) A person is disqualified from driving a commercial
motor vehicle for a period of not less than 2 months if
convicted of 2 serious traffic violations, committed in a
commercial motor vehicle, non-CMV while holding a CDL, or any
combination thereof, arising from separate incidents,
occurring within a 3 year period, provided the serious traffic
violation committed in a non-CMV would result in the suspension
or revocation of the CDL holder's non-CMV privileges. However,
a person will be disqualified from driving a commercial motor
vehicle for a period of not less than 4 months if convicted of
3 serious traffic violations, committed in a commercial motor
vehicle, non-CMV while holding a CDL, or any combination
thereof, arising from separate incidents, occurring within a 3
year period, provided the serious traffic violation committed
in a non-CMV would result in the suspension or revocation of
the CDL holder's non-CMV privileges. If all the convictions
occurred in a non-CMV, the disqualification shall be entered
only if the convictions would result in the suspension or
revocation of the CDL holder's non-CMV privileges.
    (e-1) (Blank).
    (f) Notwithstanding any other provision of this Code, any
driver disqualified from operating a commercial motor vehicle,
pursuant to this UCDLA, shall not be eligible for restoration
of commercial driving privileges during any such period of
disqualification.
    (g) After suspending, revoking, or cancelling a commercial
driver's license, the Secretary of State must update the
driver's records to reflect such action within 10 days. After
suspending or revoking the driving privilege of any person who
has been issued a CDL or commercial driver instruction permit
from another jurisdiction, the Secretary shall originate
notification to such issuing jurisdiction within 10 days.
    (h) The "disqualifications" referred to in this Section
shall not be imposed upon any commercial motor vehicle driver,
by the Secretary of State, unless the prohibited action(s)
occurred after March 31, 1992.
    (i) A person is disqualified from driving a commercial
motor vehicle in accordance with the following:
        (1) For 6 months upon a first conviction of paragraph
    (2) of subsection (b) or subsection (b-3) of Section 6-507
    of this Code.
        (2) For 2 years upon a second conviction of paragraph
    (2) of subsection (b) or subsection (b-3) or any
    combination of paragraphs (2) or (3) of subsection (b) or
    subsections (b-3) or (b-5) of Section 6-507 of this Code
    within a 10-year period if the second conviction is a
    violation of paragraph (2) of subsection (b) or subsection
    (b-3).
        (3) For 3 years upon a third or subsequent conviction
    of paragraph (2) of subsection (b) or subsection (b-3) or
    any combination of paragraphs (2) or (3) of subsection (b)
    or subsections (b-3) or (b-5) of Section 6-507 of this Code
    within a 10-year period if the third or subsequent
    conviction is a violation of paragraph (2) of subsection
    (b) or subsection (b-3).
        (4) For one year upon a first conviction of paragraph
    (3) of subsection (b) or subsection (b-5) of Section 6-507
    of this Code.
        (5) For 3 years upon a second conviction of paragraph
    (3) of subsection (b) or subsection (b-5) or any
    combination of paragraphs (2) or (3) of subsection (b) or
    subsections (b-3) or (b-5) of Section 6-507 of this Code
    within a 10-year period if the second conviction is a
    violation of paragraph (3) of subsection (b) or (b-5).
        (6) For 5 years upon a third or subsequent conviction
    of paragraph (3) of subsection (b) or subsection (b-5) or
    any combination of paragraphs (2) or (3) of subsection (b)
    or subsections (b-3) or (b-5) of Section 6-507 of this Code
    within a 10-year period if the third or subsequent
    conviction is a violation of paragraph (3) of subsection
    (b) or (b-5).
    (j) Disqualification for railroad-highway grade crossing
violation.
        (1) General rule. A driver who is convicted of a
    violation of a federal, State, or local law or regulation
    pertaining to one of the following 6 offenses at a
    railroad-highway grade crossing must be disqualified from
    operating a commercial motor vehicle for the period of time
    specified in paragraph (2) of this subsection (j) if the
    offense was committed while operating a commercial motor
    vehicle:
            (i) For drivers who are not required to always
        stop, failing to slow down and check that the tracks
        are clear of an approaching train or railroad track
        equipment, as described in subsection (a-5) of Section
        11-1201 of this Code;
            (ii) For drivers who are not required to always
        stop, failing to stop before reaching the crossing, if
        the tracks are not clear, as described in subsection
        (a) of Section 11-1201 of this Code;
            (iii) For drivers who are always required to stop,
        failing to stop before driving onto the crossing, as
        described in Section 11-1202 of this Code;
            (iv) For all drivers, failing to have sufficient
        space to drive completely through the crossing without
        stopping, as described in subsection (b) of Section
        11-1425 of this Code;
            (v) For all drivers, failing to obey a traffic
        control device or the directions of an enforcement
        official at the crossing, as described in subdivision
        (a)2 of Section 11-1201 of this Code;
            (vi) For all drivers, failing to negotiate a
        crossing because of insufficient undercarriage
        clearance, as described in subsection (d-1) of Section
        11-1201 of this Code.
        (2) Duration of disqualification for railroad-highway
    grade crossing violation.
            (i) First violation. A driver must be disqualified
        from operating a commercial motor vehicle for not less
        than 60 days if the driver is convicted of a violation
        described in paragraph (1) of this subsection (j) and,
        in the three-year period preceding the conviction, the
        driver had no convictions for a violation described in
        paragraph (1) of this subsection (j).
            (ii) Second violation. A driver must be
        disqualified from operating a commercial motor vehicle
        for not less than 120 days if the driver is convicted
        of a violation described in paragraph (1) of this
        subsection (j) and, in the three-year period preceding
        the conviction, the driver had one other conviction for
        a violation described in paragraph (1) of this
        subsection (j) that was committed in a separate
        incident.
            (iii) Third or subsequent violation. A driver must
        be disqualified from operating a commercial motor
        vehicle for not less than one year if the driver is
        convicted of a violation described in paragraph (1) of
        this subsection (j) and, in the three-year period
        preceding the conviction, the driver had 2 or more
        other convictions for violations described in
        paragraph (1) of this subsection (j) that were
        committed in separate incidents.
    (k) Upon notification of a disqualification of a driver's
commercial motor vehicle privileges imposed by the U.S.
Department of Transportation, Federal Motor Carrier Safety
Administration, in accordance with 49 C.F.R. 383.52, the
Secretary of State shall immediately record to the driving
record the notice of disqualification and confirm to the driver
the action that has been taken.
(Source: P.A. 96-544, eff. 1-1-10; 96-1080, eff. 7-16-10;
96-1244, eff. 1-1-11; 97-333, eff. 8-12-11.)
 
    (625 ILCS 5/6-708)  (from Ch. 95 1/2, par. 6-708)
    Sec. 6-708. Construction and Severability. (a) This
compact shall be liberally construed so as to effectuate the
purposes thereof. The provisions of this compact shall be
severable and if any phrase, clause, sentence or provision of
this compact is declared to be contrary to the constitution of
any party state or of the United States or the applicability
thereof to any government, agency, person or circumstance is
held invalid, the validity of the remainder of this compact and
the applicability thereof to any government, agency, person or
circumstance shall not be affected thereby. If this compact
shall be held contrary to the constitution of any state party
thereto, the compact shall remain in full force and effect as
to the remaining states and in full force and effect as to the
state affected as to all severable matters.
    (b) As used in the compact, the term "licensing authority"
with reference to this state, means the Secretary of State. The
Secretary of State shall furnish to the appropriate authorities
of any other party state any information or documents
reasonably necessary to facilitate the administration of
Sections 6-702, 6-703 and 6-704 of the compact.
    (c) The compact administrator provided for in Section 6-706
of the compact shall not be entitled to any additional
compensation on account of his service as such administrator,
but shall be entitled to expenses incurred in connection with
his duties and responsibilities as such administrator, in the
same manner as for expenses incurred in connection with any
other duties or responsibilities of his office or employment.
    (d) As used in the compact, with reference to this state,
the term "executive head" shall mean the Governor.
    (e) The phrase "manslaughter or negligent homicide," as
used in subparagraph (1) of paragraph (a) of Section 6-703 of
the compact includes the offense of reckless homicide as
defined in Section 9-3 of the "Criminal Code of 1961 or the
Criminal Code of 2012," as heretofore or hereafter amended, or
in any predecessor statute, as well as the offenses of second
degree murder and involuntary manslaughter.
    The offense described in subparagraph (2) of paragraph (a)
of Section 6-703 of the compact includes any violation of
Section 11-501 of this Code or any similar provision of a local
ordinance.
    The offense described in subparagraph (4) of paragraph (a)
of Section 6-703 of the compact includes any violation of
paragraph (a) of Section 11-401 of this Code.
(Source: P.A. 85-951.)
 
    (625 ILCS 5/11-204.1)  (from Ch. 95 1/2, par. 11-204.1)
    Sec. 11-204.1. Aggravated fleeing or attempting to elude a
peace officer.
    (a) The offense of aggravated fleeing or attempting to
elude a peace officer is committed by any driver or operator of
a motor vehicle who flees or attempts to elude a peace officer,
after being given a visual or audible signal by a peace officer
in the manner prescribed in subsection (a) of Section 11-204 of
this Code, and such flight or attempt to elude:
        (1) is at a rate of speed at least 21 miles per hour
    over the legal speed limit;
        (2) causes bodily injury to any individual;
        (3) causes damage in excess of $300 to property;
        (4) involves disobedience of 2 or more official traffic
    control devices; or
        (5) involves the concealing or altering of the
    vehicle's registration plate.
    (b) Any person convicted of a first violation of this
Section shall be guilty of a Class 4 felony. Upon notice of
such a conviction the Secretary of State shall forthwith revoke
the driver's license of the person so convicted, as provided in
Section 6-205 of this Code. Any person convicted of a second or
subsequent violation of this Section shall be guilty of a Class
3 felony, and upon notice of such a conviction the Secretary of
State shall forthwith revoke the driver's license of the person
convicted, as provided in Section 6-205 of the Code.
    (c) The motor vehicle used in a violation of this Section
is subject to seizure and forfeiture as provided in Sections
36-1 and 36-2 of the Criminal Code of 2012 1961.
(Source: P.A. 96-328, eff. 8-11-09; 97-743, eff. 1-1-13.)
 
    (625 ILCS 5/11-208.7)
    Sec. 11-208.7. Administrative fees and procedures for
impounding vehicles for specified violations.
    (a) Any municipality may, consistent with this Section,
provide by ordinance procedures for the release of properly
impounded vehicles and for the imposition of a reasonable
administrative fee related to its administrative and
processing costs associated with the investigation, arrest,
and detention of an offender, or the removal, impoundment,
storage, and release of the vehicle. The administrative fee
imposed by the municipality may be in addition to any fees
charged for the towing and storage of an impounded vehicle. The
administrative fee shall be waived by the municipality upon
verifiable proof that the vehicle was stolen at the time the
vehicle was impounded.
    (b) Any ordinance establishing procedures for the release
of properly impounded vehicles under this Section may impose
fees for the following violations:
        (1) operation or use of a motor vehicle in the
    commission of, or in the attempt to commit, an offense for
    which a motor vehicle may be seized and forfeited pursuant
    to Section 36-1 of the Criminal Code of 2012 1961; or
        (2) driving under the influence of alcohol, another
    drug or drugs, an intoxicating compound or compounds, or
    any combination thereof, in violation of Section 11-501 of
    this Code; or
        (3) operation or use of a motor vehicle in the
    commission of, or in the attempt to commit, a felony or in
    violation of the Cannabis Control Act; or
        (4) operation or use of a motor vehicle in the
    commission of, or in the attempt to commit, an offense in
    violation of the Illinois Controlled Substances Act; or
        (5) operation or use of a motor vehicle in the
    commission of, or in the attempt to commit, an offense in
    violation of Section 24-1, 24-1.5, or 24-3.1 of the
    Criminal Code of 1961 or the Criminal Code of 2012; or
        (6) driving while a driver's license, permit, or
    privilege to operate a motor vehicle is suspended or
    revoked pursuant to Section 6-303 of this Code; except that
    vehicles shall not be subjected to seizure or impoundment
    if the suspension is for an unpaid citation (parking or
    moving) or due to failure to comply with emission testing;
    or
        (7) operation or use of a motor vehicle while
    soliciting, possessing, or attempting to solicit or
    possess cannabis or a controlled substance, as defined by
    the Cannabis Control Act or the Illinois Controlled
    Substances Act; or
        (8) operation or use of a motor vehicle with an expired
    driver's license, in violation of Section 6-101 of this
    Code, if the period of expiration is greater than one year;
    or
        (9) operation or use of a motor vehicle without ever
    having been issued a driver's license or permit, in
    violation of Section 6-101 of this Code, or operating a
    motor vehicle without ever having been issued a driver's
    license or permit due to a person's age; or
        (10) operation or use of a motor vehicle by a person
    against whom a warrant has been issued by a circuit clerk
    in Illinois for failing to answer charges that the driver
    violated Section 6-101, 6-303, or 11-501 of this Code; or
        (11) operation or use of a motor vehicle in the
    commission of, or in the attempt to commit, an offense in
    violation of Article 16 or 16A of the Criminal Code of 1961
    or the Criminal Code of 2012; or
        (12) operation or use of a motor vehicle in the
    commission of, or in the attempt to commit, any other
    misdemeanor or felony offense in violation of the Criminal
    Code of 1961 or the Criminal Code of 2012, when so provided
    by local ordinance.
    (c) The following shall apply to any fees imposed for
administrative and processing costs pursuant to subsection
(b):
        (1) All administrative fees and towing and storage
    charges shall be imposed on the registered owner of the
    motor vehicle or the agents of that owner.
        (2) The fees shall be in addition to (i) any other
    penalties that may be assessed by a court of law for the
    underlying violations; and (ii) any towing or storage fees,
    or both, charged by the towing company.
        (3) The fees shall be uniform for all similarly
    situated vehicles.
        (4) The fees shall be collected by and paid to the
    municipality imposing the fees.
        (5) The towing or storage fees, or both, shall be
    collected by and paid to the person, firm, or entity that
    tows and stores the impounded vehicle.
    (d) Any ordinance establishing procedures for the release
of properly impounded vehicles under this Section shall provide
for an opportunity for a hearing, as provided in subdivision
(b)(4) of Section 11-208.3 of this Code, and for the release of
the vehicle to the owner of record, lessee, or a lienholder of
record upon payment of all administrative fees and towing and
storage fees.
    (e) Any ordinance establishing procedures for the
impoundment and release of vehicles under this Section shall
include the following provisions concerning notice of
impoundment:
        (1) Whenever a police officer has cause to believe that
    a motor vehicle is subject to impoundment, the officer
    shall provide for the towing of the vehicle to a facility
    authorized by the municipality.
        (2) At the time the vehicle is towed, the municipality
    shall notify or make a reasonable attempt to notify the
    owner, lessee, or person identifying himself or herself as
    the owner or lessee of the vehicle, or any person who is
    found to be in control of the vehicle at the time of the
    alleged offense, of the fact of the seizure, and of the
    vehicle owner's or lessee's right to an administrative
    hearing.
        (3) The municipality shall also provide notice that the
    motor vehicle will remain impounded pending the completion
    of an administrative hearing, unless the owner or lessee of
    the vehicle or a lienholder posts with the municipality a
    bond equal to the administrative fee as provided by
    ordinance and pays for all towing and storage charges.
    (f) Any ordinance establishing procedures for the
impoundment and release of vehicles under this Section shall
include a provision providing that the registered owner or
lessee of the vehicle and any lienholder of record shall be
provided with a notice of hearing. The notice shall:
        (1) be served upon the owner, lessee, and any
    lienholder of record either by personal service or by first
    class mail to the interested party's address as registered
    with the Secretary of State;
        (2) be served upon interested parties within 10 days
    after a vehicle is impounded by the municipality; and
        (3) contain the date, time, and location of the
    administrative hearing. An initial hearing shall be
    scheduled and convened no later than 45 days after the date
    of the mailing of the notice of hearing.
    (g) In addition to the requirements contained in
subdivision (b)(4) of Section 11-208.3 of this Code relating to
administrative hearings, any ordinance providing for the
impoundment and release of vehicles under this Section shall
include the following requirements concerning administrative
hearings:
        (1) administrative hearings shall be conducted by a
    hearing officer who is an attorney licensed to practice law
    in this State for a minimum of 3 years;
        (2) at the conclusion of the administrative hearing,
    the hearing officer shall issue a written decision either
    sustaining or overruling the vehicle impoundment;
        (3) if the basis for the vehicle impoundment is
    sustained by the administrative hearing officer, any
    administrative fee posted to secure the release of the
    vehicle shall be forfeited to the municipality;
        (4) all final decisions of the administrative hearing
    officer shall be subject to review under the provisions of
    the Administrative Review Law; and
        (5) unless the administrative hearing officer
    overturns the basis for the vehicle impoundment, no vehicle
    shall be released to the owner, lessee, or lienholder of
    record until all administrative fees and towing and storage
    charges are paid.
    (h) Vehicles not retrieved from the towing facility or
storage facility within 35 days after the administrative
hearing officer issues a written decision shall be deemed
abandoned and disposed of in accordance with the provisions of
Article II of Chapter 4 of this Code.
    (i) Unless stayed by a court of competent jurisdiction, any
fine, penalty, or administrative fee imposed under this Section
which remains unpaid in whole or in part after the expiration
of the deadline for seeking judicial review under the
Administrative Review Law may be enforced in the same manner as
a judgment entered by a court of competent jurisdiction.
(Source: P.A. 97-109, eff. 1-1-12.)
 
    (625 ILCS 5/11-501)  (from Ch. 95 1/2, par. 11-501)
    Sec. 11-501. Driving while under the influence of alcohol,
other drug or drugs, intoxicating compound or compounds or any
combination thereof.
    (a) A person shall not drive or be in actual physical
control of any vehicle within this State while:
        (1) the alcohol concentration in the person's blood or
    breath is 0.08 or more based on the definition of blood and
    breath units in Section 11-501.2;
        (2) under the influence of alcohol;
        (3) under the influence of any intoxicating compound or
    combination of intoxicating compounds to a degree that
    renders the person incapable of driving safely;
        (4) under the influence of any other drug or
    combination of drugs to a degree that renders the person
    incapable of safely driving;
        (5) under the combined influence of alcohol, other drug
    or drugs, or intoxicating compound or compounds to a degree
    that renders the person incapable of safely driving; or
        (6) there is any amount of a drug, substance, or
    compound in the person's breath, blood, or urine resulting
    from the unlawful use or consumption of cannabis listed in
    the Cannabis Control Act, a controlled substance listed in
    the Illinois Controlled Substances Act, an intoxicating
    compound listed in the Use of Intoxicating Compounds Act,
    or methamphetamine as listed in the Methamphetamine
    Control and Community Protection Act.
    (b) The fact that any person charged with violating this
Section is or has been legally entitled to use alcohol, other
drug or drugs, or intoxicating compound or compounds, or any
combination thereof, shall not constitute a defense against any
charge of violating this Section.
    (c) Penalties.
        (1) Except as otherwise provided in this Section, any
    person convicted of violating subsection (a) of this
    Section is guilty of a Class A misdemeanor.
        (2) A person who violates subsection (a) or a similar
    provision a second time shall be sentenced to a mandatory
    minimum term of either 5 days of imprisonment or 240 hours
    of community service in addition to any other criminal or
    administrative sanction.
        (3) A person who violates subsection (a) is subject to
    6 months of imprisonment, an additional mandatory minimum
    fine of $1,000, and 25 days of community service in a
    program benefiting children if the person was transporting
    a person under the age of 16 at the time of the violation.
        (4) A person who violates subsection (a) a first time,
    if the alcohol concentration in his or her blood, breath,
    or urine was 0.16 or more based on the definition of blood,
    breath, or urine units in Section 11-501.2, shall be
    subject, in addition to any other penalty that may be
    imposed, to a mandatory minimum of 100 hours of community
    service and a mandatory minimum fine of $500.
        (5) A person who violates subsection (a) a second time,
    if at the time of the second violation the alcohol
    concentration in his or her blood, breath, or urine was
    0.16 or more based on the definition of blood, breath, or
    urine units in Section 11-501.2, shall be subject, in
    addition to any other penalty that may be imposed, to a
    mandatory minimum of 2 days of imprisonment and a mandatory
    minimum fine of $1,250.
    (d) Aggravated driving under the influence of alcohol,
other drug or drugs, or intoxicating compound or compounds, or
any combination thereof.
        (1) Every person convicted of committing a violation of
    this Section shall be guilty of aggravated driving under
    the influence of alcohol, other drug or drugs, or
    intoxicating compound or compounds, or any combination
    thereof if:
            (A) the person committed a violation of subsection
        (a) or a similar provision for the third or subsequent
        time;
            (B) the person committed a violation of subsection
        (a) while driving a school bus with persons 18 years of
        age or younger on board;
            (C) the person in committing a violation of
        subsection (a) was involved in a motor vehicle accident
        that resulted in great bodily harm or permanent
        disability or disfigurement to another, when the
        violation was a proximate cause of the injuries;
            (D) the person committed a violation of subsection
        (a) and has been previously convicted of violating
        Section 9-3 of the Criminal Code of 1961 or the
        Criminal Code of 2012 or a similar provision of a law
        of another state relating to reckless homicide in which
        the person was determined to have been under the
        influence of alcohol, other drug or drugs, or
        intoxicating compound or compounds as an element of the
        offense or the person has previously been convicted
        under subparagraph (C) or subparagraph (F) of this
        paragraph (1);
            (E) the person, in committing a violation of
        subsection (a) while driving at any speed in a school
        speed zone at a time when a speed limit of 20 miles per
        hour was in effect under subsection (a) of Section
        11-605 of this Code, was involved in a motor vehicle
        accident that resulted in bodily harm, other than great
        bodily harm or permanent disability or disfigurement,
        to another person, when the violation of subsection (a)
        was a proximate cause of the bodily harm;
            (F) the person, in committing a violation of
        subsection (a), was involved in a motor vehicle,
        snowmobile, all-terrain vehicle, or watercraft
        accident that resulted in the death of another person,
        when the violation of subsection (a) was a proximate
        cause of the death;
            (G) the person committed a violation of subsection
        (a) during a period in which the defendant's driving
        privileges are revoked or suspended, where the
        revocation or suspension was for a violation of
        subsection (a) or a similar provision, Section
        11-501.1, paragraph (b) of Section 11-401, or for
        reckless homicide as defined in Section 9-3 of the
        Criminal Code of 1961 or the Criminal Code of 2012;
            (H) the person committed the violation while he or
        she did not possess a driver's license or permit or a
        restricted driving permit or a judicial driving permit
        or a monitoring device driving permit;
            (I) the person committed the violation while he or
        she knew or should have known that the vehicle he or
        she was driving was not covered by a liability
        insurance policy;
            (J) the person in committing a violation of
        subsection (a) was involved in a motor vehicle accident
        that resulted in bodily harm, but not great bodily
        harm, to the child under the age of 16 being
        transported by the person, if the violation was the
        proximate cause of the injury; or
            (K) the person in committing a second violation of
        subsection (a) or a similar provision was transporting
        a person under the age of 16.
        (2)(A) Except as provided otherwise, a person
    convicted of aggravated driving under the influence of
    alcohol, other drug or drugs, or intoxicating compound or
    compounds, or any combination thereof is guilty of a Class
    4 felony.
        (B) A third violation of this Section or a similar
    provision is a Class 2 felony. If at the time of the third
    violation the alcohol concentration in his or her blood,
    breath, or urine was 0.16 or more based on the definition
    of blood, breath, or urine units in Section 11-501.2, a
    mandatory minimum of 90 days of imprisonment and a
    mandatory minimum fine of $2,500 shall be imposed in
    addition to any other criminal or administrative sanction.
    If at the time of the third violation, the defendant was
    transporting a person under the age of 16, a mandatory fine
    of $25,000 and 25 days of community service in a program
    benefiting children shall be imposed in addition to any
    other criminal or administrative sanction.
        (C) A fourth violation of this Section or a similar
    provision is a Class 2 felony, for which a sentence of
    probation or conditional discharge may not be imposed. If
    at the time of the violation, the alcohol concentration in
    the defendant's blood, breath, or urine was 0.16 or more
    based on the definition of blood, breath, or urine units in
    Section 11-501.2, a mandatory minimum fine of $5,000 shall
    be imposed in addition to any other criminal or
    administrative sanction. If at the time of the fourth
    violation, the defendant was transporting a person under
    the age of 16 a mandatory fine of $25,000 and 25 days of
    community service in a program benefiting children shall be
    imposed in addition to any other criminal or administrative
    sanction.
        (D) A fifth violation of this Section or a similar
    provision is a Class 1 felony, for which a sentence of
    probation or conditional discharge may not be imposed. If
    at the time of the violation, the alcohol concentration in
    the defendant's blood, breath, or urine was 0.16 or more
    based on the definition of blood, breath, or urine units in
    Section 11-501.2, a mandatory minimum fine of $5,000 shall
    be imposed in addition to any other criminal or
    administrative sanction. If at the time of the fifth
    violation, the defendant was transporting a person under
    the age of 16, a mandatory fine of $25,000, and 25 days of
    community service in a program benefiting children shall be
    imposed in addition to any other criminal or administrative
    sanction.
        (E) A sixth or subsequent violation of this Section or
    similar provision is a Class X felony. If at the time of
    the violation, the alcohol concentration in the
    defendant's blood, breath, or urine was 0.16 or more based
    on the definition of blood, breath, or urine units in
    Section 11-501.2, a mandatory minimum fine of $5,000 shall
    be imposed in addition to any other criminal or
    administrative sanction. If at the time of the violation,
    the defendant was transporting a person under the age of
    16, a mandatory fine of $25,000 and 25 days of community
    service in a program benefiting children shall be imposed
    in addition to any other criminal or administrative
    sanction.
        (F) For a violation of subparagraph (C) of paragraph
    (1) of this subsection (d), the defendant, if sentenced to
    a term of imprisonment, shall be sentenced to not less than
    one year nor more than 12 years.
        (G) A violation of subparagraph (F) of paragraph (1) of
    this subsection (d) is a Class 2 felony, for which the
    defendant, unless the court determines that extraordinary
    circumstances exist and require probation, shall be
    sentenced to: (i) a term of imprisonment of not less than 3
    years and not more than 14 years if the violation resulted
    in the death of one person; or (ii) a term of imprisonment
    of not less than 6 years and not more than 28 years if the
    violation resulted in the deaths of 2 or more persons.
        (H) For a violation of subparagraph (J) of paragraph
    (1) of this subsection (d), a mandatory fine of $2,500, and
    25 days of community service in a program benefiting
    children shall be imposed in addition to any other criminal
    or administrative sanction.
        (I) A violation of subparagraph (K) of paragraph (1) of
    this subsection (d), is a Class 2 felony and a mandatory
    fine of $2,500, and 25 days of community service in a
    program benefiting children shall be imposed in addition to
    any other criminal or administrative sanction. If the child
    being transported suffered bodily harm, but not great
    bodily harm, in a motor vehicle accident, and the violation
    was the proximate cause of that injury, a mandatory fine of
    $5,000 and 25 days of community service in a program
    benefiting children shall be imposed in addition to any
    other criminal or administrative sanction.
        (J) A violation of subparagraph (D) of paragraph (1) of
    this subsection (d) is a Class 3 felony, for which a
    sentence of probation or conditional discharge may not be
    imposed.
        (3) Any person sentenced under this subsection (d) who
    receives a term of probation or conditional discharge must
    serve a minimum term of either 480 hours of community
    service or 10 days of imprisonment as a condition of the
    probation or conditional discharge in addition to any other
    criminal or administrative sanction.
    (e) Any reference to a prior violation of subsection (a) or
a similar provision includes any violation of a provision of a
local ordinance or a provision of a law of another state or an
offense committed on a military installation that is similar to
a violation of subsection (a) of this Section.
    (f) The imposition of a mandatory term of imprisonment or
assignment of community service for a violation of this Section
shall not be suspended or reduced by the court.
    (g) Any penalty imposed for driving with a license that has
been revoked for a previous violation of subsection (a) of this
Section shall be in addition to the penalty imposed for any
subsequent violation of subsection (a).
    (h) For any prosecution under this Section, a certified
copy of the driving abstract of the defendant shall be admitted
as proof of any prior conviction.
(Source: P.A. 95-149, eff. 8-14-07; 95-355, eff. 1-1-08;
95-400, eff. 1-1-09; 95-578, eff. 6-1-08; 95-778, eff. 8-4-08;
95-876, eff. 8-21-08; 96-289, eff. 8-11-09.)
 
    (625 ILCS 5/11-501.1)
    Sec. 11-501.1. Suspension of drivers license; statutory
summary alcohol, other drug or drugs, or intoxicating compound
or compounds related suspension or revocation; implied
consent.
    (a) Any person who drives or is in actual physical control
of a motor vehicle upon the public highways of this State shall
be deemed to have given consent, subject to the provisions of
Section 11-501.2, to a chemical test or tests of blood, breath,
or urine for the purpose of determining the content of alcohol,
other drug or drugs, or intoxicating compound or compounds or
any combination thereof in the person's blood if arrested, as
evidenced by the issuance of a Uniform Traffic Ticket, for any
offense as defined in Section 11-501 or a similar provision of
a local ordinance, or if arrested for violating Section 11-401.
If a law enforcement officer has probable cause to believe the
person was under the influence of alcohol, other drug or drugs,
intoxicating compound or compounds, or any combination
thereof, the law enforcement officer shall request a chemical
test or tests which shall be administered at the direction of
the arresting officer. The law enforcement agency employing the
officer shall designate which of the aforesaid tests shall be
administered. A urine test may be administered even after a
blood or breath test or both has been administered. For
purposes of this Section, an Illinois law enforcement officer
of this State who is investigating the person for any offense
defined in Section 11-501 may travel into an adjoining state,
where the person has been transported for medical care, to
complete an investigation and to request that the person submit
to the test or tests set forth in this Section. The
requirements of this Section that the person be arrested are
inapplicable, but the officer shall issue the person a Uniform
Traffic Ticket for an offense as defined in Section 11-501 or a
similar provision of a local ordinance prior to requesting that
the person submit to the test or tests. The issuance of the
Uniform Traffic Ticket shall not constitute an arrest, but
shall be for the purpose of notifying the person that he or she
is subject to the provisions of this Section and of the
officer's belief of the existence of probable cause to arrest.
Upon returning to this State, the officer shall file the
Uniform Traffic Ticket with the Circuit Clerk of the county
where the offense was committed, and shall seek the issuance of
an arrest warrant or a summons for the person.
    (b) Any person who is dead, unconscious, or who is
otherwise in a condition rendering the person incapable of
refusal, shall be deemed not to have withdrawn the consent
provided by paragraph (a) of this Section and the test or tests
may be administered, subject to the provisions of Section
11-501.2.
    (c) A person requested to submit to a test as provided
above shall be warned by the law enforcement officer requesting
the test that a refusal to submit to the test will result in
the statutory summary suspension of the person's privilege to
operate a motor vehicle, as provided in Section 6-208.1 of this
Code, and will also result in the disqualification of the
person's privilege to operate a commercial motor vehicle, as
provided in Section 6-514 of this Code, if the person is a CDL
holder. The person shall also be warned that a refusal to
submit to the test, when the person was involved in a motor
vehicle accident that caused personal injury or death to
another, will result in the statutory summary revocation of the
person's privilege to operate a motor vehicle, as provided in
Section 6-208.1, and will also result in the disqualification
of the person's privilege to operate a commercial motor
vehicle, as provided in Section 6-514 of this Code, if the
person is a CDL holder. The person shall also be warned by the
law enforcement officer that if the person submits to the test
or tests provided in paragraph (a) of this Section and the
alcohol concentration in the person's blood or breath is 0.08
or greater, or any amount of a drug, substance, or compound
resulting from the unlawful use or consumption of cannabis as
covered by the Cannabis Control Act, a controlled substance
listed in the Illinois Controlled Substances Act, an
intoxicating compound listed in the Use of Intoxicating
Compounds Act, or methamphetamine as listed in the
Methamphetamine Control and Community Protection Act is
detected in the person's blood or urine, a statutory summary
suspension of the person's privilege to operate a motor
vehicle, as provided in Sections 6-208.1 and 11-501.1 of this
Code, and a disqualification of the person's privilege to
operate a commercial motor vehicle, as provided in Section
6-514 of this Code, if the person is a CDL holder, will be
imposed.
    A person who is under the age of 21 at the time the person
is requested to submit to a test as provided above shall, in
addition to the warnings provided for in this Section, be
further warned by the law enforcement officer requesting the
test that if the person submits to the test or tests provided
in paragraph (a) of this Section and the alcohol concentration
in the person's blood or breath is greater than 0.00 and less
than 0.08, a suspension of the person's privilege to operate a
motor vehicle, as provided under Sections 6-208.2 and 11-501.8
of this Code, will be imposed. The results of this test shall
be admissible in a civil or criminal action or proceeding
arising from an arrest for an offense as defined in Section
11-501 of this Code or a similar provision of a local ordinance
or pursuant to Section 11-501.4 in prosecutions for reckless
homicide brought under the Criminal Code of 1961 or the
Criminal Code of 2012. These test results, however, shall be
admissible only in actions or proceedings directly related to
the incident upon which the test request was made.
    (d) If the person refuses testing or submits to a test that
discloses an alcohol concentration of 0.08 or more, or any
amount of a drug, substance, or intoxicating compound in the
person's breath, blood, or urine resulting from the unlawful
use or consumption of cannabis listed in the Cannabis Control
Act, a controlled substance listed in the Illinois Controlled
Substances Act, an intoxicating compound listed in the Use of
Intoxicating Compounds Act, or methamphetamine as listed in the
Methamphetamine Control and Community Protection Act, the law
enforcement officer shall immediately submit a sworn report to
the circuit court of venue and the Secretary of State,
certifying that the test or tests was or were requested under
paragraph (a) and the person refused to submit to a test, or
tests, or submitted to testing that disclosed an alcohol
concentration of 0.08 or more.
    (e) Upon receipt of the sworn report of a law enforcement
officer submitted under paragraph (d), the Secretary of State
shall enter the statutory summary suspension or revocation and
disqualification for the periods specified in Sections 6-208.1
and 6-514, respectively, and effective as provided in paragraph
(g).
    If the person is a first offender as defined in Section
11-500 of this Code, and is not convicted of a violation of
Section 11-501 of this Code or a similar provision of a local
ordinance, then reports received by the Secretary of State
under this Section shall, except during the actual time the
Statutory Summary Suspension is in effect, be privileged
information and for use only by the courts, police officers,
prosecuting authorities or the Secretary of State, unless the
person is a CDL holder, is operating a commercial motor vehicle
or vehicle required to be placarded for hazardous materials, in
which case the suspension shall not be privileged. Reports
received by the Secretary of State under this Section shall
also be made available to the parent or guardian of a person
under the age of 18 years that holds an instruction permit or a
graduated driver's license, regardless of whether the
statutory summary suspension is in effect. A statutory summary
revocation shall not be privileged information.
    (f) The law enforcement officer submitting the sworn report
under paragraph (d) shall serve immediate notice of the
statutory summary suspension or revocation on the person and
the suspension or revocation and disqualification shall be
effective as provided in paragraph (g). In cases where the
blood alcohol concentration of 0.08 or greater or any amount of
a drug, substance, or compound resulting from the unlawful use
or consumption of cannabis as covered by the Cannabis Control
Act, a controlled substance listed in the Illinois Controlled
Substances Act, an intoxicating compound listed in the Use of
Intoxicating Compounds Act, or methamphetamine as listed in the
Methamphetamine Control and Community Protection Act is
established by a subsequent analysis of blood or urine
collected at the time of arrest, the arresting officer or
arresting agency shall give notice as provided in this Section
or by deposit in the United States mail of the notice in an
envelope with postage prepaid and addressed to the person at
his address as shown on the Uniform Traffic Ticket and the
statutory summary suspension and disqualification shall begin
as provided in paragraph (g). The officer shall confiscate any
Illinois driver's license or permit on the person at the time
of arrest. If the person has a valid driver's license or
permit, the officer shall issue the person a receipt, in a form
prescribed by the Secretary of State, that will allow that
person to drive during the periods provided for in paragraph
(g). The officer shall immediately forward the driver's license
or permit to the circuit court of venue along with the sworn
report provided for in paragraph (d).
    (g) The statutory summary suspension or revocation and
disqualification referred to in this Section shall take effect
on the 46th day following the date the notice of the statutory
summary suspension or revocation was given to the person.
    (h) The following procedure shall apply whenever a person
is arrested for any offense as defined in Section 11-501 or a
similar provision of a local ordinance:
    Upon receipt of the sworn report from the law enforcement
officer, the Secretary of State shall confirm the statutory
summary suspension or revocation by mailing a notice of the
effective date of the suspension or revocation to the person
and the court of venue. The Secretary of State shall also mail
notice of the effective date of the disqualification to the
person. However, should the sworn report be defective by not
containing sufficient information or be completed in error, the
confirmation of the statutory summary suspension or revocation
shall not be mailed to the person or entered to the record;
instead, the sworn report shall be forwarded to the court of
venue with a copy returned to the issuing agency identifying
any defect.
    (i) As used in this Section, "personal injury" includes any
Type A injury as indicated on the traffic accident report
completed by a law enforcement officer that requires immediate
professional attention in either a doctor's office or a medical
facility. A Type A injury includes severely bleeding wounds,
distorted extremities, and injuries that require the injured
party to be carried from the scene.
(Source: P.A. 96-1080, eff. 7-16-10; 96-1344, eff. 7-1-11;
97-333, eff. 8-12-11; 97-471, eff. 8-22-11.)
 
    (625 ILCS 5/11-501.4)  (from Ch. 95 1/2, par. 11-501.4)
    Sec. 11-501.4. Admissibility of chemical tests of blood or
urine conducted in the regular course of providing emergency
medical treatment.
    (a) Notwithstanding any other provision of law, the results
of blood or urine tests performed for the purpose of
determining the content of alcohol, other drug or drugs, or
intoxicating compound or compounds, or any combination
thereof, of an individual's blood or urine conducted upon
persons receiving medical treatment in a hospital emergency
room are admissible in evidence as a business record exception
to the hearsay rule only in prosecutions for any violation of
Section 11-501 of this Code or a similar provision of a local
ordinance, or in prosecutions for reckless homicide brought
under the Criminal Code of 1961 or the Criminal Code of 2012,
when each of the following criteria are met:
        (1) the chemical tests performed upon an individual's
    blood or urine were ordered in the regular course of
    providing emergency medical treatment and not at the
    request of law enforcement authorities;
        (2) the chemical tests performed upon an individual's
    blood or urine were performed by the laboratory routinely
    used by the hospital; and
        (3) results of chemical tests performed upon an
    individual's blood or urine are admissible into evidence
    regardless of the time that the records were prepared.
    (b) The confidentiality provisions of law pertaining to
medical records and medical treatment shall not be applicable
with regard to chemical tests performed upon an individual's
blood or urine under the provisions of this Section in
prosecutions as specified in subsection (a) of this Section. No
person shall be liable for civil damages as a result of the
evidentiary use of chemical testing of an individual's blood or
urine test results under this Section, or as a result of that
person's testimony made available under this Section.
(Source: P.A. 96-289, eff. 8-11-09.)
 
    (625 ILCS 5/11-501.4-1)
    Sec. 11-501.4-1. Reporting of test results of blood or
urine conducted in the regular course of providing emergency
medical treatment.
    (a) Notwithstanding any other provision of law, the results
of blood or urine tests performed for the purpose of
determining the content of alcohol, other drug or drugs, or
intoxicating compound or compounds, or any combination
thereof, in an individual's blood or urine conducted upon
persons receiving medical treatment in a hospital emergency
room for injuries resulting from a motor vehicle accident shall
be disclosed to the Department of State Police or local law
enforcement agencies of jurisdiction, upon request. Such blood
or urine tests are admissible in evidence as a business record
exception to the hearsay rule only in prosecutions for any
violation of Section 11-501 of this Code or a similar provision
of a local ordinance, or in prosecutions for reckless homicide
brought under the Criminal Code of 1961 or the Criminal Code of
2012.
    (b) The confidentiality provisions of law pertaining to
medical records and medical treatment shall not be applicable
with regard to tests performed upon an individual's blood or
urine under the provisions of subsection (a) of this Section.
No person shall be liable for civil damages or professional
discipline as a result of the disclosure or reporting of the
tests or the evidentiary use of an individual's blood or urine
test results under this Section or Section 11-501.4 or as a
result of that person's testimony made available under this
Section or Section 11-501.4, except for willful or wanton
misconduct.
(Source: P.A. 90-779, eff. 1-1-99; 91-125, eff. 1-1-00.)
 
    (625 ILCS 5/12-612)
    Sec. 12-612. False or secret compartment in a vehicle.
    (a) Offenses. It is unlawful for any person:
        (1) to own or operate with criminal intent any vehicle
    he or she knows to contain a false or secret compartment
    that is used or has been used to conceal a firearm as
    prohibited by paragraph (a)(4) of Section 24-1 or paragraph
    (a)(1) of Section 24-1.6 of the Criminal Code of 2012 1961,
    or controlled substance as prohibited by the Illinois
    Controlled Substances Act or the Methamphetamine Control
    and Community Protection Act; or
        (2) to install, create, build, or fabricate in any
    vehicle a false or secret compartment knowing that another
    person intends to use the compartment to conceal a firearm
    as prohibited by paragraph (a)(4) of Section 24-1 of the
    Criminal Code of 2012 1961, or controlled substance as
    prohibited by the Illinois Controlled Substances Act or the
    Methamphetamine Control and Community Protection Act.
    (b) Definitions. For purposes of this Section:
        (1) "False or secret compartment" means an enclosure
    integrated into a vehicle that is a modification of the
    vehicle as built by the original manufacturer.
        (2) "Vehicle" means any of the following vehicles
    without regard to whether the vehicles are private or
    commercial, including, but not limited to, cars, trucks,
    buses, aircraft, and watercraft.
    (c) Forfeiture. Any vehicle containing a false or secret
compartment used in violation of this Section, as well as any
items within that compartment, shall be subject to seizure by
the Department of State Police or by any municipal or other
local law enforcement agency within whose jurisdiction that
property is found as provided in Sections 36-1 and 36-2 of the
Criminal Code of 2012 1961 (720 ILCS 5/36-1 and 5/36-2). The
removal of the false or secret compartment from the vehicle, or
the promise to do so, shall not be the basis for a defense to
forfeiture of the motor vehicle under Section 36-2 of the
Criminal Code of 2012 1961 and shall not be the basis for the
court to release the vehicle to the owner.
    (d) Sentence. A violation of this Section is a Class 4
felony. The sentence imposed for violation of this Section
shall be served consecutively to any other sentence imposed in
connection with the firearm, controlled substance, or other
contraband concealed in the false or secret compartment.
    (e) For purposes of this Section, a new owner is not
responsible for any conduct that occurred or knowledge of
conduct that occurred prior to transfer of title.
(Source: P.A. 96-202, eff. 1-1-10.)
 
    (625 ILCS 5/16-108)
    Sec. 16-108. Claims of diplomatic immunity.
    (a) This Section applies only to an individual that
displays to a police officer a driver's license issued by the
U.S. Department of State or that otherwise claims immunities or
privileges under Title 22, Chapter 6 of the United States Code
with respect to the individual's violation of Section 9-3 or
Section 9-3.2 of the Criminal Code of 2012 1961 or his or her
violation of a traffic regulation governing the movement of
vehicles under this Code or a similar provision of a local
ordinance.
    (b) If a driver subject to this Section is stopped by a
police officer that has probable cause to believe that the
driver has committed a violation described in subsection (a) of
this Section, the police officer shall:
        (1) as soon as practicable contact the U.S. Department
    of State office in order to verify the driver's status and
    immunity, if any;
        (2) record all relevant information from any driver's
    license or identification card, including a driver's
    license or identification card issued by the U.S.
    Department of State; and
        (3) within 5 workdays after the date of the stop,
    forward the following to the Secretary of State of
    Illinois:
            (A) a vehicle accident report, if the driver was
        involved in a vehicle accident;
            (B) if a citation or charge was issued to the
        driver, a copy of the citation or charge; and
            (C) if a citation or charge was not issued to the
        driver, a written report of the incident.
    (c) Upon receiving material submitted under paragraph (3)
of subsection (b) of this Section, the Secretary of State
shall:
        (1) file each vehicle accident report, citation or
    charge, and incident report received;
        (2) keep convenient records or make suitable notations
    showing each:
            (A) conviction;
            (B) disposition of court supervision for any
        violation of Section 11-501 of this Code; and
            (C) vehicle accident; and
        (3) send a copy of each document and record described
    in paragraph (2) of this subsection (c) to the Bureau of
    Diplomatic Security, Office of Foreign Missions, of the
    U.S. Department of State.
    (d) This Section does not prohibit or limit the application
of any law to a criminal or motor vehicle violation by an
individual who has or claims immunities or privileges under
Title 22, Chapter 6 of the United States Code.
(Source: P.A. 92-160, eff. 7-25-01.)
 
    Section 580. The Snowmobile Registration and Safety Act is
amended by changing Sections 5-7.4 and 5-7.6 as follows:
 
    (625 ILCS 40/5-7.4)
    Sec. 5-7.4. Admissibility of chemical tests of blood or
urine conducted in the regular course of providing emergency
medical treatment.
    (a) Notwithstanding any other provision of law, the results
of blood or urine tests performed for the purpose of
determining the content of alcohol, other drug or drugs,
intoxicating compound or compounds, or any combination of them
in an individual's blood or urine conducted upon persons
receiving medical treatment in a hospital emergency room, are
admissible in evidence as a business record exception to the
hearsay rule only in prosecutions for a violation of Section
5-7 of this Act or a similar provision of a local ordinance or
in prosecutions for reckless homicide brought under the
Criminal Code of 1961 or the Criminal Code of 2012.
    The results of the tests are admissible only when each of
the following criteria are met:
        1. The chemical tests performed upon an individual's
    blood or urine were ordered in the regular course of
    providing emergency treatment and not at the request of law
    enforcement authorities; and
        2. The chemical tests performed upon an individual's
    blood or urine were performed by the laboratory routinely
    used by the hospital.
        3. (Blank).
    Results of chemical tests performed upon an individual's
blood or urine are admissible into evidence regardless of the
time that the records were prepared.
    (b) The confidentiality provisions of law pertaining to
medical records and medical treatment are not applicable with
regard to chemical tests performed upon a person's blood or
urine under the provisions of this Section in prosecutions as
specified in subsection (a) of this Section. No person shall be
liable for civil damages as a result of the evidentiary use of
the results of chemical testing of the individual's blood or
urine under this Section or as a result of that person's
testimony made available under this Section.
(Source: P.A. 96-289, eff. 8-11-09.)
 
    (625 ILCS 40/5-7.6)
    Sec. 5-7.6. Reporting of test results of blood or urine
conducted in the regular course of providing emergency medical
treatment.
    (a) Notwithstanding any other provision of law, the results
of blood or urine tests performed for the purpose of
determining the content of alcohol, other drug or drugs,
intoxicating compound or compounds, or any combination of them
in an individual's blood or urine, conducted upon persons
receiving medical treatment in a hospital emergency room for
injuries resulting from a snowmobile accident, shall be
disclosed to the Department of Natural Resources, or local law
enforcement agencies of jurisdiction, upon request. The blood
or urine tests are admissible in evidence as a business record
exception to the hearsay rule only in prosecutions for
violations of Section 5-7 of this Code or a similar provision
of a local ordinance, or in prosecutions for reckless homicide
brought under the Criminal Code of 1961 or the Criminal Code of
2012.
    (b) The confidentiality provisions of the law pertaining to
medical records and medical treatment shall not be applicable
with regard to tests performed upon an individual's blood or
urine under the provisions of subsection (a) of this Section.
No person shall be liable for civil damages or professional
discipline as a result of disclosure or reporting of the tests
or the evidentiary use of an individual's blood or urine test
results under this Section or Section 5-7.4 or as a result of
that person's testimony made available under this Section or
Section 5-7.4, except for willful or wanton misconduct.
(Source: P.A. 93-156, eff. 1-1-04.)
 
    Section 585. The Boat Registration and Safety Act is
amended by changing Sections 5-16a and 5-16a.1 as follows:
 
    (625 ILCS 45/5-16a)  (from Ch. 95 1/2, par. 315-11a)
    Sec. 5-16a. Admissibility of chemical tests of blood or
urine conducted in the regular course of providing emergency
medical treatment.
    (a) Notwithstanding any other provision of law, the written
results of blood or urine alcohol tests conducted upon persons
receiving medical treatment in a hospital emergency room are
admissible in evidence as a business record exception to the
hearsay rule only in prosecutions for any violation of Section
5-16 of this Act or a similar provision of a local ordinance or
in prosecutions for reckless homicide brought under the
Criminal Code of 1961 or the Criminal Code of 2012, when:
        (1) the chemical tests performed upon an individual's
    blood or urine were ordered in the regular course of
    providing emergency treatment and not at the request of law
    enforcement authorities; and
        (2) the chemical tests performed upon an individual's
    blood or urine were performed by the laboratory routinely
    used by the hospital.
    Results of chemical tests performed upon an individual's
blood or urine are admissible into evidence regardless of the
time that the records were prepared.
    (b) The confidentiality provisions of law pertaining to
medical records and medical treatment shall not be applicable
with regard to chemical tests performed upon an individual's
blood or urine under the provisions of this Section in
prosecutions as specified in subsection (a) of this Section. No
person shall be liable for civil damages as a result of the
evidentiary use of the results of chemical testing of an
individual's blood or urine under this Section or as a result
of that person's testimony made available under this Section.
(Source: P.A. 96-289, eff. 8-11-09.)
 
    (625 ILCS 45/5-16a.1)
    Sec. 5-16a.1. Reporting of test results of blood or urine
conducted in the regular course of providing emergency medical
treatment.
    (a) Notwithstanding any other provision of law, the results
of blood or urine tests performed for the purpose of
determining the content of alcohol, other drug or drugs,
intoxicating compound or compounds, or any combination of them
in an individual's blood or urine, conducted upon persons
receiving medical treatment in a hospital emergency room for
injuries resulting from a boating accident, shall be disclosed
to the Department of Natural Resources or local law enforcement
agencies of jurisdiction, upon request. The blood or urine
tests are admissible in evidence as a business record exception
to the hearsay rule only in prosecutions for violations of
Section 5-16 of this Code or a similar provision of a local
ordinance, or in prosecutions for reckless homicide brought
under the Criminal Code of 1961 or the Criminal Code of 2012.
    (b) The confidentiality provisions of the law pertaining to
medical records and medical treatment shall not be applicable
with regard to tests performed upon an individual's blood or
urine under the provisions of subsection (a) of this Section.
No person is liable for civil damages or professional
discipline as a result of disclosure or reporting of the tests
or the evidentiary use of an individual's blood or urine test
results under this Section or Section 5-16a, or as a result of
that person's testimony made available under this Section or
Section 5-16a, except for willful or wanton misconduct.
(Source: P.A. 93-156, eff. 1-1-04.)
 
    Section 590. The Clerks of Courts Act is amended by
changing Sections 27.3a, 27.5, and 27.6 as follows:
 
    (705 ILCS 105/27.3a)
    Sec. 27.3a. Fees for automated record keeping, probation
and court services operations, and State and Conservation
Police operations.
    1. The expense of establishing and maintaining automated
record keeping systems in the offices of the clerks of the
circuit court shall be borne by the county. To defray such
expense in any county having established such an automated
system or which elects to establish such a system, the county
board may require the clerk of the circuit court in their
county to charge and collect a court automation fee of not less
than $1 nor more than $15 to be charged and collected by the
clerk of the court. Such fee shall be paid at the time of
filing the first pleading, paper or other appearance filed by
each party in all civil cases or by the defendant in any
felony, traffic, misdemeanor, municipal ordinance, or
conservation case upon a judgment of guilty or grant of
supervision, provided that the record keeping system which
processes the case category for which the fee is charged is
automated or has been approved for automation by the county
board, and provided further that no additional fee shall be
required if more than one party is presented in a single
pleading, paper or other appearance. Such fee shall be
collected in the manner in which all other fees or costs are
collected.
    1.1. Starting on July 6, 2012 (the effective date of Public
Act 97-761) this amendatory Act of the 97th General Assembly
and pursuant to an administrative order from the chief judge of
the circuit or the presiding judge of the county authorizing
such collection, a clerk of the circuit court in any county
that imposes a fee pursuant to subsection 1 of this Section
shall also charge and collect an additional $10 operations fee
for probation and court services department operations.
    This additional fee shall be paid by the defendant in any
felony, traffic, misdemeanor, local ordinance, or conservation
case upon a judgment of guilty or grant of supervision, except
such $10 operations fee shall not be charged and collected in
cases governed by Supreme Court Rule 529 in which the bail
amount is $120 or less.
    1.2. With respect to the fee imposed and collected under
subsection 1.1 of this Section, each clerk shall transfer all
fees monthly to the county treasurer for deposit into the
probation and court services fund created under Section 15.1 of
the Probation and Probation Officers Act, and such monies shall
be disbursed from the fund only at the direction of the chief
judge of the circuit or another judge designated by the Chief
Circuit Judge in accordance with the policies and guidelines
approved by the Supreme Court.
    1.5. Starting on the effective date of this amendatory Act
of the 96th General Assembly, a clerk of the circuit court in
any county that imposes a fee pursuant to subsection 1 of this
Section, shall charge and collect an additional fee in an
amount equal to the amount of the fee imposed pursuant to
subsection 1 of this Section. This additional fee shall be paid
by the defendant in any felony, traffic, misdemeanor, or local
ordinance case upon a judgment of guilty or grant of
supervision. This fee shall not be paid by the defendant for
any conservation violation listed in subsection 1.6 of this
Section.
    1.6. Starting on July 1, 2012 (the effective date of Public
Act 97-46), a clerk of the circuit court in any county that
imposes a fee pursuant to subsection 1 of this Section shall
charge and collect an additional fee in an amount equal to the
amount of the fee imposed pursuant to subsection 1 of this
Section. This additional fee shall be paid by the defendant
upon a judgment of guilty or grant of supervision for a
conservation violation under the State Parks Act, the
Recreational Trails of Illinois Act, the Illinois Explosives
Act, the Timber Buyers Licensing Act, the Forest Products
Transportation Act, the Firearm Owners Identification Card
Act, the Environmental Protection Act, the Fish and Aquatic
Life Code, the Wildlife Code, the Cave Protection Act, the
Illinois Exotic Weed Act, the Illinois Forestry Development
Act, the Ginseng Harvesting Act, the Illinois Lake Management
Program Act, the Illinois Natural Areas Preservation Act, the
Illinois Open Land Trust Act, the Open Space Lands Acquisition
and Development Act, the Illinois Prescribed Burning Act, the
State Forest Act, the Water Use Act of 1983, the Illinois
Veteran, Youth, and Young Adult Conservation Jobs Act, the
Snowmobile Registration and Safety Act, the Boat Registration
and Safety Act, the Illinois Dangerous Animals Act, the Hunter
and Fishermen Interference Prohibition Act, the Wrongful Tree
Cutting Act, or Section 11-1426.1, 11-1426.2, 11-1427,
11-1427.1, 11-1427.2, 11-1427.3, 11-1427.4, or 11-1427.5 of
the Illinois Vehicle Code, or Section 48-3 or 48-10 of the
Criminal Code of 2012 1961.
    2. With respect to the fee imposed under subsection 1 of
this Section, each clerk shall commence such charges and
collections upon receipt of written notice from the chairman of
the county board together with a certified copy of the board's
resolution, which the clerk shall file of record in his office.
    3. With respect to the fee imposed under subsection 1 of
this Section, such fees shall be in addition to all other fees
and charges of such clerks, and assessable as costs, and may be
waived only if the judge specifically provides for the waiver
of the court automation fee. The fees shall be remitted monthly
by such clerk to the county treasurer, to be retained by him in
a special fund designated as the court automation fund. The
fund shall be audited by the county auditor, and the board
shall make expenditure from the fund in payment of any cost
related to the automation of court records, including hardware,
software, research and development costs and personnel related
thereto, provided that the expenditure is approved by the clerk
of the court and by the chief judge of the circuit court or his
designate.
    4. With respect to the fee imposed under subsection 1 of
this Section, such fees shall not be charged in any matter
coming to any such clerk on change of venue, nor in any
proceeding to review the decision of any administrative
officer, agency or body.
    5. With respect to the additional fee imposed under
subsection 1.5 of this Section, the fee shall be remitted by
the circuit clerk to the State Treasurer within one month after
receipt for deposit into the State Police Operations Assistance
Fund.
    6. With respect to the additional fees imposed under
subsection 1.5 of this Section, the Director of State Police
may direct the use of these fees for homeland security purposes
by transferring these fees on a quarterly basis from the State
Police Operations Assistance Fund into the Illinois Law
Enforcement Alarm Systems (ILEAS) Fund for homeland security
initiatives programs. The transferred fees shall be allocated,
subject to the approval of the ILEAS Executive Board, as
follows: (i) 66.6% shall be used for homeland security
initiatives and (ii) 33.3% shall be used for airborne
operations. The ILEAS Executive Board shall annually supply the
Director of State Police with a report of the use of these
fees.
    7. With respect to the additional fee imposed under
subsection 1.6 of this Section, the fee shall be remitted by
the circuit clerk to the State Treasurer within one month after
receipt for deposit into the Conservation Police Operations
Assistance Fund.
(Source: P.A. 96-1029, eff. 7-13-10; 97-46, eff. 7-1-12;
97-453, eff. 8-19-11; 97-738, eff. 7-5-12; 97-761, eff. 7-6-12;
97-813, eff. 7-13-12; 97-1108, eff. 1-1-13; revised 9-20-12.)
 
    (705 ILCS 105/27.5)  (from Ch. 25, par. 27.5)
    Sec. 27.5. (a) All fees, fines, costs, additional
penalties, bail balances assessed or forfeited, and any other
amount paid by a person to the circuit clerk that equals an
amount less than $55, except restitution under Section 5-5-6 of
the Unified Code of Corrections, reimbursement for the costs of
an emergency response as provided under Section 11-501 of the
Illinois Vehicle Code, any fees collected for attending a
traffic safety program under paragraph (c) of Supreme Court
Rule 529, any fee collected on behalf of a State's Attorney
under Section 4-2002 of the Counties Code or a sheriff under
Section 4-5001 of the Counties Code, or any cost imposed under
Section 124A-5 of the Code of Criminal Procedure of 1963, for
convictions, orders of supervision, or any other disposition
for a violation of Chapters 3, 4, 6, 11, and 12 of the Illinois
Vehicle Code, or a similar provision of a local ordinance, and
any violation of the Child Passenger Protection Act, or a
similar provision of a local ordinance, and except as otherwise
provided in this Section, shall be disbursed within 60 days
after receipt by the circuit clerk as follows: 47% shall be
disbursed to the entity authorized by law to receive the fine
imposed in the case; 12% shall be disbursed to the State
Treasurer; and 41% shall be disbursed to the county's general
corporate fund. Of the 12% disbursed to the State Treasurer,
1/6 shall be deposited by the State Treasurer into the Violent
Crime Victims Assistance Fund, 1/2 shall be deposited into the
Traffic and Criminal Conviction Surcharge Fund, and 1/3 shall
be deposited into the Drivers Education Fund. For fiscal years
1992 and 1993, amounts deposited into the Violent Crime Victims
Assistance Fund, the Traffic and Criminal Conviction Surcharge
Fund, or the Drivers Education Fund shall not exceed 110% of
the amounts deposited into those funds in fiscal year 1991. Any
amount that exceeds the 110% limit shall be distributed as
follows: 50% shall be disbursed to the county's general
corporate fund and 50% shall be disbursed to the entity
authorized by law to receive the fine imposed in the case. Not
later than March 1 of each year the circuit clerk shall submit
a report of the amount of funds remitted to the State Treasurer
under this Section during the preceding year based upon
independent verification of fines and fees. All counties shall
be subject to this Section, except that counties with a
population under 2,000,000 may, by ordinance, elect not to be
subject to this Section. For offenses subject to this Section,
judges shall impose one total sum of money payable for
violations. The circuit clerk may add on no additional amounts
except for amounts that are required by Sections 27.3a and
27.3c of this Act, Section 16-104c of the Illinois Vehicle
Code, and subsection (a) of Section 5-1101 of the Counties
Code, unless those amounts are specifically waived by the
judge. With respect to money collected by the circuit clerk as
a result of forfeiture of bail, ex parte judgment or guilty
plea pursuant to Supreme Court Rule 529, the circuit clerk
shall first deduct and pay amounts required by Sections 27.3a
and 27.3c of this Act. Unless a court ordered payment schedule
is implemented or fee requirements are waived pursuant to a
court order, the circuit clerk may add to any unpaid fees and
costs a delinquency amount equal to 5% of the unpaid fees that
remain unpaid after 30 days, 10% of the unpaid fees that remain
unpaid after 60 days, and 15% of the unpaid fees that remain
unpaid after 90 days. Notice to those parties may be made by
signage posting or publication. The additional delinquency
amounts collected under this Section shall be deposited in the
Circuit Court Clerk Operation and Administrative Fund to be
used to defray administrative costs incurred by the circuit
clerk in performing the duties required to collect and disburse
funds. This Section is a denial and limitation of home rule
powers and functions under subsection (h) of Section 6 of
Article VII of the Illinois Constitution.
    (b) The following amounts must be remitted to the State
Treasurer for deposit into the Illinois Animal Abuse Fund:
        (1) 50% of the amounts collected for felony offenses
    under Sections 3, 3.01, 3.02, 3.03, 4, 4.01, 4.03, 4.04, 5,
    5.01, 6, 7, 7.5, 7.15, and 16 of the Humane Care for
    Animals Act and Section 26-5 or 48-1 of the Criminal Code
    of 1961 or the Criminal Code of 2012;
        (2) 20% of the amounts collected for Class A and Class
    B misdemeanors under Sections 3, 3.01, 4, 4.01, 4.03, 4.04,
    5, 5.01, 6, 7, 7.1, 7.5, 7.15, and 16 of the Humane Care
    for Animals Act and Section 26-5 or 48-1 of the Criminal
    Code of 1961 or the Criminal Code of 2012; and
        (3) 50% of the amounts collected for Class C
    misdemeanors under Sections 4.01 and 7.1 of the Humane Care
    for Animals Act and Section 26-5 or 48-1 of the Criminal
    Code of 1961 or the Criminal Code of 2012.
    (c) Any person who receives a disposition of court
supervision for a violation of the Illinois Vehicle Code or a
similar provision of a local ordinance shall, in addition to
any other fines, fees, and court costs, pay an additional fee
of $29, to be disbursed as provided in Section 16-104c of the
Illinois Vehicle Code. In addition to the fee of $29, the
person shall also pay a fee of $6, if not waived by the court.
If this $6 fee is collected, $5.50 of the fee shall be
deposited into the Circuit Court Clerk Operation and
Administrative Fund created by the Clerk of the Circuit Court
and 50 cents of the fee shall be deposited into the Prisoner
Review Board Vehicle and Equipment Fund in the State treasury.
    (d) Any person convicted of, pleading guilty to, or placed
on supervision for a serious traffic violation, as defined in
Section 1-187.001 of the Illinois Vehicle Code, a violation of
Section 11-501 of the Illinois Vehicle Code, or a violation of
a similar provision of a local ordinance shall pay an
additional fee of $35, to be disbursed as provided in Section
16-104d of that Code.
    This subsection (d) becomes inoperative 7 years after the
effective date of Public Act 95-154.
    (e) In all counties having a population of 3,000,000 or
more inhabitants:
        (1) A person who is found guilty of or pleads guilty to
    violating subsection (a) of Section 11-501 of the Illinois
    Vehicle Code, including any person placed on court
    supervision for violating subsection (a), shall be fined
    $750 as provided for by subsection (f) of Section 11-501.01
    of the Illinois Vehicle Code, payable to the circuit clerk,
    who shall distribute the money pursuant to subsection (f)
    of Section 11-501.01 of the Illinois Vehicle Code.
        (2) When a crime laboratory DUI analysis fee of $150,
    provided for by Section 5-9-1.9 of the Unified Code of
    Corrections is assessed, it shall be disbursed by the
    circuit clerk as provided by subsection (f) of Section
    5-9-1.9 of the Unified Code of Corrections.
        (3) When a fine for a violation of subsection (a) of
    Section 11-605 of the Illinois Vehicle Code is $150 or
    greater, the additional $50 which is charged as provided
    for by subsection (f) of Section 11-605 of the Illinois
    Vehicle Code shall be disbursed by the circuit clerk to a
    school district or districts for school safety purposes as
    provided by subsection (f) of Section 11-605.
        (4) When a fine for a violation of subsection (a) of
    Section 11-1002.5 of the Illinois Vehicle Code is $150 or
    greater, the additional $50 which is charged as provided
    for by subsection (c) of Section 11-1002.5 of the Illinois
    Vehicle Code shall be disbursed by the circuit clerk to a
    school district or districts for school safety purposes as
    provided by subsection (c) of Section 11-1002.5 of the
    Illinois Vehicle Code.
        (5) When a mandatory drug court fee of up to $5 is
    assessed as provided in subsection (f) of Section 5-1101 of
    the Counties Code, it shall be disbursed by the circuit
    clerk as provided in subsection (f) of Section 5-1101 of
    the Counties Code.
        (6) When a mandatory teen court, peer jury, youth
    court, or other youth diversion program fee is assessed as
    provided in subsection (e) of Section 5-1101 of the
    Counties Code, it shall be disbursed by the circuit clerk
    as provided in subsection (e) of Section 5-1101 of the
    Counties Code.
        (7) When a Children's Advocacy Center fee is assessed
    pursuant to subsection (f-5) of Section 5-1101 of the
    Counties Code, it shall be disbursed by the circuit clerk
    as provided in subsection (f-5) of Section 5-1101 of the
    Counties Code.
        (8) When a victim impact panel fee is assessed pursuant
    to subsection (b) of Section 11-501.01 of the Illinois
    Vehicle Code, it shall be disbursed by the circuit clerk to
    the victim impact panel to be attended by the defendant.
        (9) When a new fee collected in traffic cases is
    enacted after January 1, 2010 (the effective date of Public
    Act 96-735), it shall be excluded from the percentage
    disbursement provisions of this Section unless otherwise
    indicated by law.
    (f) Any person who receives a disposition of court
supervision for a violation of Section 11-501 of the Illinois
Vehicle Code shall, in addition to any other fines, fees, and
court costs, pay an additional fee of $50, which shall be
collected by the circuit clerk and then remitted to the State
Treasurer for deposit into the Roadside Memorial Fund, a
special fund in the State treasury. However, the court may
waive the fee if full restitution is complied with. Subject to
appropriation, all moneys in the Roadside Memorial Fund shall
be used by the Department of Transportation to pay fees imposed
under subsection (f) of Section 20 of the Roadside Memorial
Act. The fee shall be remitted by the circuit clerk within one
month after receipt to the State Treasurer for deposit into the
Roadside Memorial Fund.
    (g) For any conviction or disposition of court supervision
for a violation of Section 11-1429 of the Illinois Vehicle
Code, the circuit clerk shall distribute the fines paid by the
person as specified by subsection (h) of Section 11-1429 of the
Illinois Vehicle Code.
(Source: P.A. 96-286, eff. 8-11-09; 96-576, eff. 8-18-09;
96-625, eff. 1-1-10; 96-667, eff. 8-25-09; 96-735, eff. 1-1-10;
96-1000, eff. 7-2-10; 96-1175, eff. 9-20-10; 96-1342, eff.
1-1-11; 97-333, eff. 8-12-11; 97-1108, eff. 1-1-13.)
 
    (705 ILCS 105/27.6)
    (Section as amended by P.A. 96-286, 96-576, 96-578, 96-625,
96-667, 96-1175, 96-1342, 97-434, 97-1051, and 97-1108)
    Sec. 27.6. (a) All fees, fines, costs, additional
penalties, bail balances assessed or forfeited, and any other
amount paid by a person to the circuit clerk equalling an
amount of $55 or more, except the fine imposed by Section
5-9-1.15 of the Unified Code of Corrections, the additional fee
required by subsections (b) and (c), restitution under Section
5-5-6 of the Unified Code of Corrections, contributions to a
local anti-crime program ordered pursuant to Section
5-6-3(b)(13) or Section 5-6-3.1(c)(13) of the Unified Code of
Corrections, reimbursement for the costs of an emergency
response as provided under Section 11-501 of the Illinois
Vehicle Code, any fees collected for attending a traffic safety
program under paragraph (c) of Supreme Court Rule 529, any fee
collected on behalf of a State's Attorney under Section 4-2002
of the Counties Code or a sheriff under Section 4-5001 of the
Counties Code, or any cost imposed under Section 124A-5 of the
Code of Criminal Procedure of 1963, for convictions, orders of
supervision, or any other disposition for a violation of
Chapters 3, 4, 6, 11, and 12 of the Illinois Vehicle Code, or a
similar provision of a local ordinance, and any violation of
the Child Passenger Protection Act, or a similar provision of a
local ordinance, and except as otherwise provided in this
Section shall be disbursed within 60 days after receipt by the
circuit clerk as follows: 44.5% shall be disbursed to the
entity authorized by law to receive the fine imposed in the
case; 16.825% shall be disbursed to the State Treasurer; and
38.675% shall be disbursed to the county's general corporate
fund. Of the 16.825% disbursed to the State Treasurer, 2/17
shall be deposited by the State Treasurer into the Violent
Crime Victims Assistance Fund, 5.052/17 shall be deposited into
the Traffic and Criminal Conviction Surcharge Fund, 3/17 shall
be deposited into the Drivers Education Fund, and 6.948/17
shall be deposited into the Trauma Center Fund. Of the 6.948/17
deposited into the Trauma Center Fund from the 16.825%
disbursed to the State Treasurer, 50% shall be disbursed to the
Department of Public Health and 50% shall be disbursed to the
Department of Healthcare and Family Services. For fiscal year
1993, amounts deposited into the Violent Crime Victims
Assistance Fund, the Traffic and Criminal Conviction Surcharge
Fund, or the Drivers Education Fund shall not exceed 110% of
the amounts deposited into those funds in fiscal year 1991. Any
amount that exceeds the 110% limit shall be distributed as
follows: 50% shall be disbursed to the county's general
corporate fund and 50% shall be disbursed to the entity
authorized by law to receive the fine imposed in the case. Not
later than March 1 of each year the circuit clerk shall submit
a report of the amount of funds remitted to the State Treasurer
under this Section during the preceding year based upon
independent verification of fines and fees. All counties shall
be subject to this Section, except that counties with a
population under 2,000,000 may, by ordinance, elect not to be
subject to this Section. For offenses subject to this Section,
judges shall impose one total sum of money payable for
violations. The circuit clerk may add on no additional amounts
except for amounts that are required by Sections 27.3a and
27.3c of this Act, unless those amounts are specifically waived
by the judge. With respect to money collected by the circuit
clerk as a result of forfeiture of bail, ex parte judgment or
guilty plea pursuant to Supreme Court Rule 529, the circuit
clerk shall first deduct and pay amounts required by Sections
27.3a and 27.3c of this Act. This Section is a denial and
limitation of home rule powers and functions under subsection
(h) of Section 6 of Article VII of the Illinois Constitution.
    (b) In addition to any other fines and court costs assessed
by the courts, any person convicted or receiving an order of
supervision for driving under the influence of alcohol or drugs
shall pay an additional fee of $100 to the clerk of the circuit
court. This amount, less 2 1/2% that shall be used to defray
administrative costs incurred by the clerk, shall be remitted
by the clerk to the Treasurer within 60 days after receipt for
deposit into the Trauma Center Fund. This additional fee of
$100 shall not be considered a part of the fine for purposes of
any reduction in the fine for time served either before or
after sentencing. Not later than March 1 of each year the
Circuit Clerk shall submit a report of the amount of funds
remitted to the State Treasurer under this subsection during
the preceding calendar year.
    (b-1) In addition to any other fines and court costs
assessed by the courts, any person convicted or receiving an
order of supervision for driving under the influence of alcohol
or drugs shall pay an additional fee of $5 to the clerk of the
circuit court. This amount, less 2 1/2% that shall be used to
defray administrative costs incurred by the clerk, shall be
remitted by the clerk to the Treasurer within 60 days after
receipt for deposit into the Spinal Cord Injury Paralysis Cure
Research Trust Fund. This additional fee of $5 shall not be
considered a part of the fine for purposes of any reduction in
the fine for time served either before or after sentencing. Not
later than March 1 of each year the Circuit Clerk shall submit
a report of the amount of funds remitted to the State Treasurer
under this subsection during the preceding calendar year.
    (c) In addition to any other fines and court costs assessed
by the courts, any person convicted for a violation of Sections
24-1.1, 24-1.2, or 24-1.5 of the Criminal Code of 1961 or the
Criminal Code of 2012 or a person sentenced for a violation of
the Cannabis Control Act, the Illinois Controlled Substances
Act, or the Methamphetamine Control and Community Protection
Act shall pay an additional fee of $100 to the clerk of the
circuit court. This amount, less 2 1/2% that shall be used to
defray administrative costs incurred by the clerk, shall be
remitted by the clerk to the Treasurer within 60 days after
receipt for deposit into the Trauma Center Fund. This
additional fee of $100 shall not be considered a part of the
fine for purposes of any reduction in the fine for time served
either before or after sentencing. Not later than March 1 of
each year the Circuit Clerk shall submit a report of the amount
of funds remitted to the State Treasurer under this subsection
during the preceding calendar year.
    (c-1) In addition to any other fines and court costs
assessed by the courts, any person sentenced for a violation of
the Cannabis Control Act, the Illinois Controlled Substances
Act, or the Methamphetamine Control and Community Protection
Act shall pay an additional fee of $5 to the clerk of the
circuit court. This amount, less 2 1/2% that shall be used to
defray administrative costs incurred by the clerk, shall be
remitted by the clerk to the Treasurer within 60 days after
receipt for deposit into the Spinal Cord Injury Paralysis Cure
Research Trust Fund. This additional fee of $5 shall not be
considered a part of the fine for purposes of any reduction in
the fine for time served either before or after sentencing. Not
later than March 1 of each year the Circuit Clerk shall submit
a report of the amount of funds remitted to the State Treasurer
under this subsection during the preceding calendar year.
    (d) The following amounts must be remitted to the State
Treasurer for deposit into the Illinois Animal Abuse Fund:
        (1) 50% of the amounts collected for felony offenses
    under Sections 3, 3.01, 3.02, 3.03, 4, 4.01, 4.03, 4.04, 5,
    5.01, 6, 7, 7.5, 7.15, and 16 of the Humane Care for
    Animals Act and Section 26-5 or 48-1 of the Criminal Code
    of 1961 or the Criminal Code of 2012;
        (2) 20% of the amounts collected for Class A and Class
    B misdemeanors under Sections 3, 3.01, 4, 4.01, 4.03, 4.04,
    5, 5.01, 6, 7, 7.1, 7.5, 7.15, and 16 of the Humane Care
    for Animals Act and Section 26-5 or 48-1 of the Criminal
    Code of 1961 or the Criminal Code of 2012; and
        (3) 50% of the amounts collected for Class C
    misdemeanors under Sections 4.01 and 7.1 of the Humane Care
    for Animals Act and Section 26-5 or 48-1 of the Criminal
    Code of 1961 or the Criminal Code of 2012.
    (e) Any person who receives a disposition of court
supervision for a violation of the Illinois Vehicle Code or a
similar provision of a local ordinance shall, in addition to
any other fines, fees, and court costs, pay an additional fee
of $29, to be disbursed as provided in Section 16-104c of the
Illinois Vehicle Code. In addition to the fee of $29, the
person shall also pay a fee of $6, if not waived by the court.
If this $6 fee is collected, $5.50 of the fee shall be
deposited into the Circuit Court Clerk Operation and
Administrative Fund created by the Clerk of the Circuit Court
and 50 cents of the fee shall be deposited into the Prisoner
Review Board Vehicle and Equipment Fund in the State treasury.
    (f) This Section does not apply to the additional child
pornography fines assessed and collected under Section
5-9-1.14 of the Unified Code of Corrections.
    (g) (Blank).
    (h) (Blank).
    (i) Of the amounts collected as fines under subsection (b)
of Section 3-712 of the Illinois Vehicle Code, 99% shall be
deposited into the Illinois Military Family Relief Fund and 1%
shall be deposited into the Circuit Court Clerk Operation and
Administrative Fund created by the Clerk of the Circuit Court
to be used to offset the costs incurred by the Circuit Court
Clerk in performing the additional duties required to collect
and disburse funds to entities of State and local government as
provided by law.
    (j) Any person convicted of, pleading guilty to, or placed
on supervision for a serious traffic violation, as defined in
Section 1-187.001 of the Illinois Vehicle Code, a violation of
Section 11-501 of the Illinois Vehicle Code, or a violation of
a similar provision of a local ordinance shall pay an
additional fee of $35, to be disbursed as provided in Section
16-104d of that Code.
    This subsection (j) becomes inoperative 7 years after the
effective date of Public Act 95-154.
    (k) For any conviction or disposition of court supervision
for a violation of Section 11-1429 of the Illinois Vehicle
Code, the circuit clerk shall distribute the fines paid by the
person as specified by subsection (h) of Section 11-1429 of the
Illinois Vehicle Code.
    (l) Any person who receives a disposition of court
supervision for a violation of Section 11-501 of the Illinois
Vehicle Code or a similar provision of a local ordinance shall,
in addition to any other fines, fees, and court costs, pay an
additional fee of $50, which shall be collected by the circuit
clerk and then remitted to the State Treasurer for deposit into
the Roadside Memorial Fund, a special fund in the State
treasury. However, the court may waive the fee if full
restitution is complied with. Subject to appropriation, all
moneys in the Roadside Memorial Fund shall be used by the
Department of Transportation to pay fees imposed under
subsection (f) of Section 20 of the Roadside Memorial Act. The
fee shall be remitted by the circuit clerk within one month
after receipt to the State Treasurer for deposit into the
Roadside Memorial Fund.
    (m) Of the amounts collected as fines under subsection (c)
of Section 411.4 of the Illinois Controlled Substances Act or
subsection (c) of Section 90 of the Methamphetamine Control and
Community Protection Act, 99% shall be deposited to the law
enforcement agency or fund specified and 1% shall be deposited
into the Circuit Court Clerk Operation and Administrative Fund
to be used to offset the costs incurred by the Circuit Court
Clerk in performing the additional duties required to collect
and disburse funds to entities of State and local government as
provided by law.
    (n) In addition to any other fines and court costs assessed
by the courts, any person who is convicted of or pleads guilty
to a violation of the Criminal Code of 1961 or the Criminal
Code of 2012, or a similar provision of a local ordinance, or
who is convicted of, pleads guilty to, or receives a
disposition of court supervision for a violation of the
Illinois Vehicle Code, or a similar provision of a local
ordinance, shall pay an additional fee of $15 to the clerk of
the circuit court. This additional fee of $15 shall not be
considered a part of the fine for purposes of any reduction in
the fine for time served either before or after sentencing.
This amount, less 2.5% that shall be used to defray
administrative costs incurred by the clerk, shall be remitted
by the clerk to the State Treasurer within 60 days after
receipt for deposit into the State Police Merit Board Public
Safety Fund.
(Source: P.A. 95-191, eff. 1-1-08; 95-291, eff. 1-1-08; 95-428,
eff. 8-24-07; 95-600, eff. 6-1-08; 95-876, eff. 8-21-08;
96-286, eff. 8-11-09; 96-576, eff. 8-18-09; 96-578, eff.
8-18-09; 96-625, eff. 1-1-10; 96-667, eff. 8-25-09; 96-1175,
eff. 9-20-10; 96-1342, eff. 1-1-11; 97-1051, eff. 1-1-13;
97-1108, eff. 1-1-13; revised 9-20-12.)
 
    (Section as amended by P.A. 96-576, 96-578, 96-625, 96-667,
96-735, 96-1175, 96-1342, 97-434, 97-1051, and 97-1108)
    Sec. 27.6. (a) All fees, fines, costs, additional
penalties, bail balances assessed or forfeited, and any other
amount paid by a person to the circuit clerk equalling an
amount of $55 or more, except the fine imposed by Section
5-9-1.15 of the Unified Code of Corrections, the additional fee
required by subsections (b) and (c), restitution under Section
5-5-6 of the Unified Code of Corrections, contributions to a
local anti-crime program ordered pursuant to Section
5-6-3(b)(13) or Section 5-6-3.1(c)(13) of the Unified Code of
Corrections, reimbursement for the costs of an emergency
response as provided under Section 11-501 of the Illinois
Vehicle Code, any fees collected for attending a traffic safety
program under paragraph (c) of Supreme Court Rule 529, any fee
collected on behalf of a State's Attorney under Section 4-2002
of the Counties Code or a sheriff under Section 4-5001 of the
Counties Code, or any cost imposed under Section 124A-5 of the
Code of Criminal Procedure of 1963, for convictions, orders of
supervision, or any other disposition for a violation of
Chapters 3, 4, 6, 11, and 12 of the Illinois Vehicle Code, or a
similar provision of a local ordinance, and any violation of
the Child Passenger Protection Act, or a similar provision of a
local ordinance, and except as otherwise provided in this
Section shall be disbursed within 60 days after receipt by the
circuit clerk as follows: 44.5% shall be disbursed to the
entity authorized by law to receive the fine imposed in the
case; 16.825% shall be disbursed to the State Treasurer; and
38.675% shall be disbursed to the county's general corporate
fund. Of the 16.825% disbursed to the State Treasurer, 2/17
shall be deposited by the State Treasurer into the Violent
Crime Victims Assistance Fund, 5.052/17 shall be deposited into
the Traffic and Criminal Conviction Surcharge Fund, 3/17 shall
be deposited into the Drivers Education Fund, and 6.948/17
shall be deposited into the Trauma Center Fund. Of the 6.948/17
deposited into the Trauma Center Fund from the 16.825%
disbursed to the State Treasurer, 50% shall be disbursed to the
Department of Public Health and 50% shall be disbursed to the
Department of Healthcare and Family Services. For fiscal year
1993, amounts deposited into the Violent Crime Victims
Assistance Fund, the Traffic and Criminal Conviction Surcharge
Fund, or the Drivers Education Fund shall not exceed 110% of
the amounts deposited into those funds in fiscal year 1991. Any
amount that exceeds the 110% limit shall be distributed as
follows: 50% shall be disbursed to the county's general
corporate fund and 50% shall be disbursed to the entity
authorized by law to receive the fine imposed in the case. Not
later than March 1 of each year the circuit clerk shall submit
a report of the amount of funds remitted to the State Treasurer
under this Section during the preceding year based upon
independent verification of fines and fees. All counties shall
be subject to this Section, except that counties with a
population under 2,000,000 may, by ordinance, elect not to be
subject to this Section. For offenses subject to this Section,
judges shall impose one total sum of money payable for
violations. The circuit clerk may add on no additional amounts
except for amounts that are required by Sections 27.3a and
27.3c of this Act, Section 16-104c of the Illinois Vehicle
Code, and subsection (a) of Section 5-1101 of the Counties
Code, unless those amounts are specifically waived by the
judge. With respect to money collected by the circuit clerk as
a result of forfeiture of bail, ex parte judgment or guilty
plea pursuant to Supreme Court Rule 529, the circuit clerk
shall first deduct and pay amounts required by Sections 27.3a
and 27.3c of this Act. Unless a court ordered payment schedule
is implemented or fee requirements are waived pursuant to court
order, the clerk of the court may add to any unpaid fees and
costs a delinquency amount equal to 5% of the unpaid fees that
remain unpaid after 30 days, 10% of the unpaid fees that remain
unpaid after 60 days, and 15% of the unpaid fees that remain
unpaid after 90 days. Notice to those parties may be made by
signage posting or publication. The additional delinquency
amounts collected under this Section shall be deposited in the
Circuit Court Clerk Operation and Administrative Fund to be
used to defray administrative costs incurred by the circuit
clerk in performing the duties required to collect and disburse
funds. This Section is a denial and limitation of home rule
powers and functions under subsection (h) of Section 6 of
Article VII of the Illinois Constitution.
    (b) In addition to any other fines and court costs assessed
by the courts, any person convicted or receiving an order of
supervision for driving under the influence of alcohol or drugs
shall pay an additional fee of $100 to the clerk of the circuit
court. This amount, less 2 1/2% that shall be used to defray
administrative costs incurred by the clerk, shall be remitted
by the clerk to the Treasurer within 60 days after receipt for
deposit into the Trauma Center Fund. This additional fee of
$100 shall not be considered a part of the fine for purposes of
any reduction in the fine for time served either before or
after sentencing. Not later than March 1 of each year the
Circuit Clerk shall submit a report of the amount of funds
remitted to the State Treasurer under this subsection during
the preceding calendar year.
    (b-1) In addition to any other fines and court costs
assessed by the courts, any person convicted or receiving an
order of supervision for driving under the influence of alcohol
or drugs shall pay an additional fee of $5 to the clerk of the
circuit court. This amount, less 2 1/2% that shall be used to
defray administrative costs incurred by the clerk, shall be
remitted by the clerk to the Treasurer within 60 days after
receipt for deposit into the Spinal Cord Injury Paralysis Cure
Research Trust Fund. This additional fee of $5 shall not be
considered a part of the fine for purposes of any reduction in
the fine for time served either before or after sentencing. Not
later than March 1 of each year the Circuit Clerk shall submit
a report of the amount of funds remitted to the State Treasurer
under this subsection during the preceding calendar year.
    (c) In addition to any other fines and court costs assessed
by the courts, any person convicted for a violation of Sections
24-1.1, 24-1.2, or 24-1.5 of the Criminal Code of 1961 or the
Criminal Code of 2012 or a person sentenced for a violation of
the Cannabis Control Act, the Illinois Controlled Substances
Act, or the Methamphetamine Control and Community Protection
Act shall pay an additional fee of $100 to the clerk of the
circuit court. This amount, less 2 1/2% that shall be used to
defray administrative costs incurred by the clerk, shall be
remitted by the clerk to the Treasurer within 60 days after
receipt for deposit into the Trauma Center Fund. This
additional fee of $100 shall not be considered a part of the
fine for purposes of any reduction in the fine for time served
either before or after sentencing. Not later than March 1 of
each year the Circuit Clerk shall submit a report of the amount
of funds remitted to the State Treasurer under this subsection
during the preceding calendar year.
    (c-1) In addition to any other fines and court costs
assessed by the courts, any person sentenced for a violation of
the Cannabis Control Act, the Illinois Controlled Substances
Act, or the Methamphetamine Control and Community Protection
Act shall pay an additional fee of $5 to the clerk of the
circuit court. This amount, less 2 1/2% that shall be used to
defray administrative costs incurred by the clerk, shall be
remitted by the clerk to the Treasurer within 60 days after
receipt for deposit into the Spinal Cord Injury Paralysis Cure
Research Trust Fund. This additional fee of $5 shall not be
considered a part of the fine for purposes of any reduction in
the fine for time served either before or after sentencing. Not
later than March 1 of each year the Circuit Clerk shall submit
a report of the amount of funds remitted to the State Treasurer
under this subsection during the preceding calendar year.
    (d) The following amounts must be remitted to the State
Treasurer for deposit into the Illinois Animal Abuse Fund:
        (1) 50% of the amounts collected for felony offenses
    under Sections 3, 3.01, 3.02, 3.03, 4, 4.01, 4.03, 4.04, 5,
    5.01, 6, 7, 7.5, 7.15, and 16 of the Humane Care for
    Animals Act and Section 26-5 or 48-1 of the Criminal Code
    of 1961 or the Criminal Code of 2012;
        (2) 20% of the amounts collected for Class A and Class
    B misdemeanors under Sections 3, 3.01, 4, 4.01, 4.03, 4.04,
    5, 5.01, 6, 7, 7.1, 7.5, 7.15, and 16 of the Humane Care
    for Animals Act and Section 26-5 or 48-1 of the Criminal
    Code of 1961 or the Criminal Code of 2012; and
        (3) 50% of the amounts collected for Class C
    misdemeanors under Sections 4.01 and 7.1 of the Humane Care
    for Animals Act and Section 26-5 or 48-1 of the Criminal
    Code of 1961 or the Criminal Code of 2012.
    (e) Any person who receives a disposition of court
supervision for a violation of the Illinois Vehicle Code or a
similar provision of a local ordinance shall, in addition to
any other fines, fees, and court costs, pay an additional fee
of $29, to be disbursed as provided in Section 16-104c of the
Illinois Vehicle Code. In addition to the fee of $29, the
person shall also pay a fee of $6, if not waived by the court.
If this $6 fee is collected, $5.50 of the fee shall be
deposited into the Circuit Court Clerk Operation and
Administrative Fund created by the Clerk of the Circuit Court
and 50 cents of the fee shall be deposited into the Prisoner
Review Board Vehicle and Equipment Fund in the State treasury.
    (f) This Section does not apply to the additional child
pornography fines assessed and collected under Section
5-9-1.14 of the Unified Code of Corrections.
    (g) Any person convicted of or pleading guilty to a serious
traffic violation, as defined in Section 1-187.001 of the
Illinois Vehicle Code, shall pay an additional fee of $35, to
be disbursed as provided in Section 16-104d of that Code. This
subsection (g) becomes inoperative 7 years after the effective
date of Public Act 95-154.
    (h) In all counties having a population of 3,000,000 or
more inhabitants,
        (1) A person who is found guilty of or pleads guilty to
    violating subsection (a) of Section 11-501 of the Illinois
    Vehicle Code, including any person placed on court
    supervision for violating subsection (a), shall be fined
    $750 as provided for by subsection (f) of Section 11-501.01
    of the Illinois Vehicle Code, payable to the circuit clerk,
    who shall distribute the money pursuant to subsection (f)
    of Section 11-501.01 of the Illinois Vehicle Code.
        (2) When a crime laboratory DUI analysis fee of $150,
    provided for by Section 5-9-1.9 of the Unified Code of
    Corrections is assessed, it shall be disbursed by the
    circuit clerk as provided by subsection (f) of Section
    5-9-1.9 of the Unified Code of Corrections.
        (3) When a fine for a violation of Section 11-605.1 of
    the Illinois Vehicle Code is $250 or greater, the person
    who violated that Section shall be charged an additional
    $125 as provided for by subsection (e) of Section 11-605.1
    of the Illinois Vehicle Code, which shall be disbursed by
    the circuit clerk to a State or county Transportation
    Safety Highway Hire-back Fund as provided by subsection (e)
    of Section 11-605.1 of the Illinois Vehicle Code.
        (4) When a fine for a violation of subsection (a) of
    Section 11-605 of the Illinois Vehicle Code is $150 or
    greater, the additional $50 which is charged as provided
    for by subsection (f) of Section 11-605 of the Illinois
    Vehicle Code shall be disbursed by the circuit clerk to a
    school district or districts for school safety purposes as
    provided by subsection (f) of Section 11-605.
        (5) When a fine for a violation of subsection (a) of
    Section 11-1002.5 of the Illinois Vehicle Code is $150 or
    greater, the additional $50 which is charged as provided
    for by subsection (c) of Section 11-1002.5 of the Illinois
    Vehicle Code shall be disbursed by the circuit clerk to a
    school district or districts for school safety purposes as
    provided by subsection (c) of Section 11-1002.5 of the
    Illinois Vehicle Code.
        (6) When a mandatory drug court fee of up to $5 is
    assessed as provided in subsection (f) of Section 5-1101 of
    the Counties Code, it shall be disbursed by the circuit
    clerk as provided in subsection (f) of Section 5-1101 of
    the Counties Code.
        (7) When a mandatory teen court, peer jury, youth
    court, or other youth diversion program fee is assessed as
    provided in subsection (e) of Section 5-1101 of the
    Counties Code, it shall be disbursed by the circuit clerk
    as provided in subsection (e) of Section 5-1101 of the
    Counties Code.
        (8) When a Children's Advocacy Center fee is assessed
    pursuant to subsection (f-5) of Section 5-1101 of the
    Counties Code, it shall be disbursed by the circuit clerk
    as provided in subsection (f-5) of Section 5-1101 of the
    Counties Code.
        (9) When a victim impact panel fee is assessed pursuant
    to subsection (b) of Section 11-501.01 of the Vehicle Code,
    it shall be disbursed by the circuit clerk to the victim
    impact panel to be attended by the defendant.
        (10) When a new fee collected in traffic cases is
    enacted after the effective date of this subsection (h), it
    shall be excluded from the percentage disbursement
    provisions of this Section unless otherwise indicated by
    law.
    (i) Of the amounts collected as fines under subsection (b)
of Section 3-712 of the Illinois Vehicle Code, 99% shall be
deposited into the Illinois Military Family Relief Fund and 1%
shall be deposited into the Circuit Court Clerk Operation and
Administrative Fund created by the Clerk of the Circuit Court
to be used to offset the costs incurred by the Circuit Court
Clerk in performing the additional duties required to collect
and disburse funds to entities of State and local government as
provided by law.
    (j) (Blank).
    (k) For any conviction or disposition of court supervision
for a violation of Section 11-1429 of the Illinois Vehicle
Code, the circuit clerk shall distribute the fines paid by the
person as specified by subsection (h) of Section 11-1429 of the
Illinois Vehicle Code.
    (l) Any person who receives a disposition of court
supervision for a violation of Section 11-501 of the Illinois
Vehicle Code or a similar provision of a local ordinance shall,
in addition to any other fines, fees, and court costs, pay an
additional fee of $50, which shall be collected by the circuit
clerk and then remitted to the State Treasurer for deposit into
the Roadside Memorial Fund, a special fund in the State
treasury. However, the court may waive the fee if full
restitution is complied with. Subject to appropriation, all
moneys in the Roadside Memorial Fund shall be used by the
Department of Transportation to pay fees imposed under
subsection (f) of Section 20 of the Roadside Memorial Act. The
fee shall be remitted by the circuit clerk within one month
after receipt to the State Treasurer for deposit into the
Roadside Memorial Fund.
    (m) Of the amounts collected as fines under subsection (c)
of Section 411.4 of the Illinois Controlled Substances Act or
subsection (c) of Section 90 of the Methamphetamine Control and
Community Protection Act, 99% shall be deposited to the law
enforcement agency or fund specified and 1% shall be deposited
into the Circuit Court Clerk Operation and Administrative Fund
to be used to offset the costs incurred by the Circuit Court
Clerk in performing the additional duties required to collect
and disburse funds to entities of State and local government as
provided by law.
    (n) In addition to any other fines and court costs assessed
by the courts, any person who is convicted of or pleads guilty
to a violation of the Criminal Code of 1961 or the Criminal
Code of 2012, or a similar provision of a local ordinance, or
who is convicted of, pleads guilty to, or receives a
disposition of court supervision for a violation of the
Illinois Vehicle Code, or a similar provision of a local
ordinance, shall pay an additional fee of $15 to the clerk of
the circuit court. This additional fee of $15 shall not be
considered a part of the fine for purposes of any reduction in
the fine for time served either before or after sentencing.
This amount, less 2.5% that shall be used to defray
administrative costs incurred by the clerk, shall be remitted
by the clerk to the State Treasurer within 60 days after
receipt for deposit into the State Police Merit Board Public
Safety Fund.
(Source: P.A. 96-576, eff. 8-18-09; 96-578, eff. 8-18-09;
96-625, eff. 1-1-10; 96-667, eff. 8-25-09; 96-735, eff. 1-1-10;
96-1175, eff. 9-20-10; 96-1342, eff. 1-1-11; 97-434, eff.
1-1-12; 97-1051, eff. 1-1-13; 97-1108, eff. 1-1-13; revised
9-20-12.)
 
    Section 595. The Juror Protection Act is amended by
changing Section 15 as follows:
 
    (705 ILCS 320/15)
    Sec. 15. Violation. Any attempt to contact a member of the
jury panel following that member's refusal to speak as outlined
in subsection (e) of Section 10 shall be deemed a violation of
Section 32-4 of the Criminal Code of 2012 1961.
(Source: P.A. 94-186, eff. 1-1-06.)
 
    Section 600. The Juvenile Court Act of 1987 is amended by
changing Sections 1-2, 1-3, 1-7, 1-8, 2-3, 2-10, 2-13, 2-17,
2-18, 2-25, 2-27, 3-19, 3-26, 3-40, 4-16, 4-23, 5-125, 5-130,
5-155, 5-170, 5-401.5, 5-407, 5-415, 5-605, 5-615, 5-710,
5-715, 5-730, 5-805, 5-901, and 5-905 as follows:
 
    (705 ILCS 405/1-2)  (from Ch. 37, par. 801-2)
    Sec. 1-2. Purpose and policy.
    (1) The purpose of this Act is to secure for each minor
subject hereto such care and guidance, preferably in his or her
own home, as will serve the safety and moral, emotional,
mental, and physical welfare of the minor and the best
interests of the community; to preserve and strengthen the
minor's family ties whenever possible, removing him or her from
the custody of his or her parents only when his or her safety
or welfare or the protection of the public cannot be adequately
safeguarded without removal; if the child is removed from the
custody of his or her parent, the Department of Children and
Family Services immediately shall consider concurrent
planning, as described in Section 5 of the Children and Family
Services Act so that permanency may occur at the earliest
opportunity; consideration should be given so that if
reunification fails or is delayed, the placement made is the
best available placement to provide permanency for the child;
and, when the minor is removed from his or her own family, to
secure for him or her custody, care and discipline as nearly as
possible equivalent to that which should be given by his or her
parents, and in cases where it should and can properly be done
to place the minor in a family home so that he or she may become
a member of the family by legal adoption or otherwise. Provided
that a ground for unfitness under the Adoption Act can be met,
it may be appropriate to expedite termination of parental
rights:
        (a) when reasonable efforts are inappropriate, or have
    been provided and were unsuccessful, and there are
    aggravating circumstances including, but not limited to,
    those cases in which (i) the child or another child of that
    child's parent was (A) abandoned, (B) tortured, or (C)
    chronically abused or (ii) the parent is criminally
    convicted of (A) first degree murder or second degree
    murder of any child, (B) attempt or conspiracy to commit
    first degree murder or second degree murder of any child,
    (C) solicitation to commit murder, solicitation to commit
    murder for hire, solicitation to commit second degree
    murder of any child, or aggravated assault in violation of
    subdivision (a)(13) of Section 12-2 of the Criminal Code of
    1961 or the Criminal Code of 2012, or (D) aggravated
    criminal sexual assault in violation of Section
    11-1.40(a)(1) or 12-14.1(a)(1) 12-14(b)(1) of the Criminal
    Code of 1961 or the Criminal Code of 2012; or
        (b) when the parental rights of a parent with respect
    to another child of the parent have been involuntarily
    terminated; or
        (c) in those extreme cases in which the parent's
    incapacity to care for the child, combined with an
    extremely poor prognosis for treatment or rehabilitation,
    justifies expedited termination of parental rights.
    (2) In all proceedings under this Act the court may direct
the course thereof so as promptly to ascertain the
jurisdictional facts and fully to gather information bearing
upon the current condition and future welfare of persons
subject to this Act. This Act shall be administered in a spirit
of humane concern, not only for the rights of the parties, but
also for the fears and the limits of understanding of all who
appear before the court.
    (3) In all procedures under this Act, the following shall
apply:
        (a) The procedural rights assured to the minor shall be
    the rights of adults unless specifically precluded by laws
    which enhance the protection of such minors.
        (b) Every child has a right to services necessary to
    his or her safety and proper development, including health,
    education and social services.
        (c) The parents' right to the custody of their child
    shall not prevail when the court determines that it is
    contrary to the health, safety, and best interests of the
    child.
    (4) This Act shall be liberally construed to carry out the
foregoing purpose and policy.
(Source: P.A. 89-704, eff. 8-16-97 (changed from 1-1-98 by P.A.
90-443); 90-27, eff. 1-1-98; 90-28, eff. 1-1-98; 90-443, eff.
8-16-97; 90-608, eff. 6-30-98.)
 
    (705 ILCS 405/1-3)  (from Ch. 37, par. 801-3)
    Sec. 1-3. Definitions. Terms used in this Act, unless the
context otherwise requires, have the following meanings
ascribed to them:
    (1) "Adjudicatory hearing" means a hearing to determine
whether the allegations of a petition under Section 2-13, 3-15
or 4-12 that a minor under 18 years of age is abused, neglected
or dependent, or requires authoritative intervention, or
addicted, respectively, are supported by a preponderance of the
evidence or whether the allegations of a petition under Section
5-520 that a minor is delinquent are proved beyond a reasonable
doubt.
    (2) "Adult" means a person 21 years of age or older.
    (3) "Agency" means a public or private child care facility
legally authorized or licensed by this State for placement or
institutional care or for both placement and institutional
care.
    (4) "Association" means any organization, public or
private, engaged in welfare functions which include services to
or on behalf of children but does not include "agency" as
herein defined.
    (4.05) Whenever a "best interest" determination is
required, the following factors shall be considered in the
context of the child's age and developmental needs:
        (a) the physical safety and welfare of the child,
    including food, shelter, health, and clothing;
        (b) the development of the child's identity;
        (c) the child's background and ties, including
    familial, cultural, and religious;
        (d) the child's sense of attachments, including:
            (i) where the child actually feels love,
        attachment, and a sense of being valued (as opposed to
        where adults believe the child should feel such love,
        attachment, and a sense of being valued);
            (ii) the child's sense of security;
            (iii) the child's sense of familiarity;
            (iv) continuity of affection for the child;
            (v) the least disruptive placement alternative for
        the child;
        (e) the child's wishes and long-term goals;
        (f) the child's community ties, including church,
    school, and friends;
        (g) the child's need for permanence which includes the
    child's need for stability and continuity of relationships
    with parent figures and with siblings and other relatives;
        (h) the uniqueness of every family and child;
        (i) the risks attendant to entering and being in
    substitute care; and
        (j) the preferences of the persons available to care
    for the child.
    (4.1) "Chronic truant" shall have the definition ascribed
to it in Section 26-2a of the School Code.
    (5) "Court" means the circuit court in a session or
division assigned to hear proceedings under this Act.
    (6) "Dispositional hearing" means a hearing to determine
whether a minor should be adjudged to be a ward of the court,
and to determine what order of disposition should be made in
respect to a minor adjudged to be a ward of the court.
    (7) "Emancipated minor" means any minor 16 years of age or
over who has been completely or partially emancipated under the
Emancipation of Minors Act or under this Act.
    (8) "Guardianship of the person" of a minor means the duty
and authority to act in the best interests of the minor,
subject to residual parental rights and responsibilities, to
make important decisions in matters having a permanent effect
on the life and development of the minor and to be concerned
with his or her general welfare. It includes but is not
necessarily limited to:
        (a) the authority to consent to marriage, to enlistment
    in the armed forces of the United States, or to a major
    medical, psychiatric, and surgical treatment; to represent
    the minor in legal actions; and to make other decisions of
    substantial legal significance concerning the minor;
        (b) the authority and duty of reasonable visitation,
    except to the extent that these have been limited in the
    best interests of the minor by court order;
        (c) the rights and responsibilities of legal custody
    except where legal custody has been vested in another
    person or agency; and
        (d) the power to consent to the adoption of the minor,
    but only if expressly conferred on the guardian in
    accordance with Section 2-29, 3-30, or 4-27.
    (9) "Legal custody" means the relationship created by an
order of court in the best interests of the minor which imposes
on the custodian the responsibility of physical possession of a
minor and the duty to protect, train and discipline him and to
provide him with food, shelter, education and ordinary medical
care, except as these are limited by residual parental rights
and responsibilities and the rights and responsibilities of the
guardian of the person, if any.
    (9.1) "Mentally capable adult relative" means a person 21
years of age or older who is not suffering from a mental
illness that prevents him or her from providing the care
necessary to safeguard the physical safety and welfare of a
minor who is left in that person's care by the parent or
parents or other person responsible for the minor's welfare.
    (10) "Minor" means a person under the age of 21 years
subject to this Act.
    (11) "Parent" means the father or mother of a child and
includes any adoptive parent. It also includes a man (i) whose
paternity is presumed or has been established under the law of
this or another jurisdiction or (ii) who has registered with
the Putative Father Registry in accordance with Section 12.1 of
the Adoption Act and whose paternity has not been ruled out
under the law of this or another jurisdiction. It does not
include a parent whose rights in respect to the minor have been
terminated in any manner provided by law. It does not include a
person who has been or could be determined to be a parent under
the Illinois Parentage Act of 1984, or similar parentage law in
any other state, if that person has been convicted of or pled
nolo contendere to a crime that resulted in the conception of
the child under Section 11-1.20, 11-1.30, 11-1.40, 11-11,
12-13, 12-14, 12-14.1, subsection (a) or (b) (but not
subsection (c)) of Section 11-1.50 or 12-15, or subsection (a),
(b), (c), (e), or (f) (but not subsection (d)) of Section
11-1.60 or 12-16 of the Criminal Code of 1961 or the Criminal
Code of 2012, or similar statute in another jurisdiction unless
upon motion of any party, other than the offender, to the
juvenile court proceedings the court finds it is in the child's
best interest to deem the offender a parent for purposes of the
juvenile court proceedings.
    (11.1) "Permanency goal" means a goal set by the court as
defined in subdivision (2) of Section 2-28.
    (11.2) "Permanency hearing" means a hearing to set the
permanency goal and to review and determine (i) the
appropriateness of the services contained in the plan and
whether those services have been provided, (ii) whether
reasonable efforts have been made by all the parties to the
service plan to achieve the goal, and (iii) whether the plan
and goal have been achieved.
    (12) "Petition" means the petition provided for in Section
2-13, 3-15, 4-12 or 5-520, including any supplemental petitions
thereunder in Section 3-15, 4-12 or 5-520.
    (12.1) "Physically capable adult relative" means a person
21 years of age or older who does not have a severe physical
disability or medical condition, or is not suffering from
alcoholism or drug addiction, that prevents him or her from
providing the care necessary to safeguard the physical safety
and welfare of a minor who is left in that person's care by the
parent or parents or other person responsible for the minor's
welfare.
    (12.2) "Post Permanency Sibling Contact Agreement" has the
meaning ascribed to the term in Section 7.4 of the Children and
Family Services Act.
    (13) "Residual parental rights and responsibilities" means
those rights and responsibilities remaining with the parent
after the transfer of legal custody or guardianship of the
person, including, but not necessarily limited to, the right to
reasonable visitation (which may be limited by the court in the
best interests of the minor as provided in subsection (8)(b) of
this Section), the right to consent to adoption, the right to
determine the minor's religious affiliation, and the
responsibility for his support.
    (14) "Shelter" means the temporary care of a minor in
physically unrestricting facilities pending court disposition
or execution of court order for placement.
    (14.1) "Sibling Contact Support Plan" has the meaning
ascribed to the term in Section 7.4 of the Children and Family
Services Act.
    (15) "Station adjustment" means the informal handling of an
alleged offender by a juvenile police officer.
    (16) "Ward of the court" means a minor who is so adjudged
under Section 2-22, 3-23, 4-20 or 5-705, after a finding of the
requisite jurisdictional facts, and thus is subject to the
dispositional powers of the court under this Act.
    (17) "Juvenile police officer" means a sworn police officer
who has completed a Basic Recruit Training Course, has been
assigned to the position of juvenile police officer by his or
her chief law enforcement officer and has completed the
necessary juvenile officers training as prescribed by the
Illinois Law Enforcement Training Standards Board, or in the
case of a State police officer, juvenile officer training
approved by the Director of the Department of State Police.
    (18) "Secure child care facility" means any child care
facility licensed by the Department of Children and Family
Services to provide secure living arrangements for children
under 18 years of age who are subject to placement in
facilities under the Children and Family Services Act and who
are not subject to placement in facilities for whom standards
are established by the Department of Corrections under Section
3-15-2 of the Unified Code of Corrections. "Secure child care
facility" also means a facility that is designed and operated
to ensure that all entrances and exits from the facility, a
building, or a distinct part of the building are under the
exclusive control of the staff of the facility, whether or not
the child has the freedom of movement within the perimeter of
the facility, building, or distinct part of the building.
(Source: P.A. 96-168, eff. 8-10-09; 97-568, eff. 8-25-11;
97-1076, eff. 8-24-12.)
 
    (705 ILCS 405/1-7)  (from Ch. 37, par. 801-7)
    Sec. 1-7. Confidentiality of law enforcement records.
    (A) Inspection and copying of law enforcement records
maintained by law enforcement agencies that relate to a minor
who has been arrested or taken into custody before his or her
17th birthday shall be restricted to the following:
        (1) Any local, State or federal law enforcement
    officers of any jurisdiction or agency when necessary for
    the discharge of their official duties during the
    investigation or prosecution of a crime or relating to a
    minor who has been adjudicated delinquent and there has
    been a previous finding that the act which constitutes the
    previous offense was committed in furtherance of criminal
    activities by a criminal street gang, or, when necessary
    for the discharge of its official duties in connection with
    a particular investigation of the conduct of a law
    enforcement officer, an independent agency or its staff
    created by ordinance and charged by a unit of local
    government with the duty of investigating the conduct of
    law enforcement officers. For purposes of this Section,
    "criminal street gang" has the meaning ascribed to it in
    Section 10 of the Illinois Streetgang Terrorism Omnibus
    Prevention Act.
        (2) Prosecutors, probation officers, social workers,
    or other individuals assigned by the court to conduct a
    pre-adjudication or pre-disposition investigation, and
    individuals responsible for supervising or providing
    temporary or permanent care and custody for minors pursuant
    to the order of the juvenile court, when essential to
    performing their responsibilities.
        (3) Prosecutors and probation officers:
            (a) in the course of a trial when institution of
        criminal proceedings has been permitted or required
        under Section 5-805; or
            (b) when institution of criminal proceedings has
        been permitted or required under Section 5-805 and such
        minor is the subject of a proceeding to determine the
        amount of bail; or
            (c) when criminal proceedings have been permitted
        or required under Section 5-805 and such minor is the
        subject of a pre-trial investigation, pre-sentence
        investigation, fitness hearing, or proceedings on an
        application for probation.
        (4) Adult and Juvenile Prisoner Review Board.
        (5) Authorized military personnel.
        (6) Persons engaged in bona fide research, with the
    permission of the Presiding Judge of the Juvenile Court and
    the chief executive of the respective law enforcement
    agency; provided that publication of such research results
    in no disclosure of a minor's identity and protects the
    confidentiality of the minor's record.
        (7) Department of Children and Family Services child
    protection investigators acting in their official
    capacity.
        (8) The appropriate school official only if the agency
    or officer believes that there is an imminent threat of
    physical harm to students, school personnel, or others who
    are present in the school or on school grounds.
             (A) Inspection and copying shall be limited to law
        enforcement records transmitted to the appropriate
        school official or officials whom the school has
        determined to have a legitimate educational or safety
        interest by a local law enforcement agency under a
        reciprocal reporting system established and maintained
        between the school district and the local law
        enforcement agency under Section 10-20.14 of the
        School Code concerning a minor enrolled in a school
        within the school district who has been arrested or
        taken into custody for any of the following offenses:
            (i) any violation of Article 24 of the Criminal
        Code of 1961 or the Criminal Code of 2012;
            (ii) a violation of the Illinois Controlled
        Substances Act;
            (iii) a violation of the Cannabis Control Act;
            (iv) a forcible felony as defined in Section 2-8 of
        the Criminal Code of 1961 or the Criminal Code of 2012;
            (v) a violation of the Methamphetamine Control and
        Community Protection Act;
            (vi) a violation of Section 1-2 of the Harassing
        and Obscene Communications Act;
            (vii) a violation of the Hazing Act; or
            (viii) a violation of Section 12-1, 12-2, 12-3,
        12-3.05, 12-3.1, 12-3.2, 12-3.4, 12-3.5, 12-5, 12-7.3,
        12-7.4, 12-7.5, 25-1, or 25-5 of the Criminal Code of
        1961 or the Criminal Code of 2012.
            The information derived from the law enforcement
        records shall be kept separate from and shall not
        become a part of the official school record of that
        child and shall not be a public record. The information
        shall be used solely by the appropriate school official
        or officials whom the school has determined to have a
        legitimate educational or safety interest to aid in the
        proper rehabilitation of the child and to protect the
        safety of students and employees in the school. If the
        designated law enforcement and school officials deem
        it to be in the best interest of the minor, the student
        may be referred to in-school or community based social
        services if those services are available.
        "Rehabilitation services" may include interventions by
        school support personnel, evaluation for eligibility
        for special education, referrals to community-based
        agencies such as youth services, behavioral healthcare
        service providers, drug and alcohol prevention or
        treatment programs, and other interventions as deemed
        appropriate for the student.
            (B) Any information provided to appropriate school
        officials whom the school has determined to have a
        legitimate educational or safety interest by local law
        enforcement officials about a minor who is the subject
        of a current police investigation that is directly
        related to school safety shall consist of oral
        information only, and not written law enforcement
        records, and shall be used solely by the appropriate
        school official or officials to protect the safety of
        students and employees in the school and aid in the
        proper rehabilitation of the child. The information
        derived orally from the local law enforcement
        officials shall be kept separate from and shall not
        become a part of the official school record of the
        child and shall not be a public record. This limitation
        on the use of information about a minor who is the
        subject of a current police investigation shall in no
        way limit the use of this information by prosecutors in
        pursuing criminal charges arising out of the
        information disclosed during a police investigation of
        the minor. For purposes of this paragraph,
        "investigation" means an official systematic inquiry
        by a law enforcement agency into actual or suspected
        criminal activity.
        (9) Mental health professionals on behalf of the
    Illinois Department of Corrections or the Department of
    Human Services or prosecutors who are evaluating,
    prosecuting, or investigating a potential or actual
    petition brought under the Sexually Violent Persons
    Commitment Act relating to a person who is the subject of
    juvenile law enforcement records or the respondent to a
    petition brought under the Sexually Violent Persons
    Commitment Act who is the subject of the juvenile law
    enforcement records sought. Any records and any
    information obtained from those records under this
    paragraph (9) may be used only in sexually violent persons
    commitment proceedings.
        (10) The president of a park district. Inspection and
    copying shall be limited to law enforcement records
    transmitted to the president of the park district by the
    Illinois State Police under Section 8-23 of the Park
    District Code or Section 16a-5 of the Chicago Park District
    Act concerning a person who is seeking employment with that
    park district and who has been adjudicated a juvenile
    delinquent for any of the offenses listed in subsection (c)
    of Section 8-23 of the Park District Code or subsection (c)
    of Section 16a-5 of the Chicago Park District Act.
        (B) (1) Except as provided in paragraph (2), no law
    enforcement officer or other person or agency may knowingly
    transmit to the Department of Corrections or the Department
    of State Police or to the Federal Bureau of Investigation
    any fingerprint or photograph relating to a minor who has
    been arrested or taken into custody before his or her 17th
    birthday, unless the court in proceedings under this Act
    authorizes the transmission or enters an order under
    Section 5-805 permitting or requiring the institution of
    criminal proceedings.
        (2) Law enforcement officers or other persons or
    agencies shall transmit to the Department of State Police
    copies of fingerprints and descriptions of all minors who
    have been arrested or taken into custody before their 17th
    birthday for the offense of unlawful use of weapons under
    Article 24 of the Criminal Code of 1961 or the Criminal
    Code of 2012, a Class X or Class 1 felony, a forcible
    felony as defined in Section 2-8 of the Criminal Code of
    1961 or the Criminal Code of 2012, or a Class 2 or greater
    felony under the Cannabis Control Act, the Illinois
    Controlled Substances Act, the Methamphetamine Control and
    Community Protection Act, or Chapter 4 of the Illinois
    Vehicle Code, pursuant to Section 5 of the Criminal
    Identification Act. Information reported to the Department
    pursuant to this Section may be maintained with records
    that the Department files pursuant to Section 2.1 of the
    Criminal Identification Act. Nothing in this Act prohibits
    a law enforcement agency from fingerprinting a minor taken
    into custody or arrested before his or her 17th birthday
    for an offense other than those listed in this paragraph
    (2).
    (C) The records of law enforcement officers, or of an
independent agency created by ordinance and charged by a unit
of local government with the duty of investigating the conduct
of law enforcement officers, concerning all minors under 17
years of age must be maintained separate from the records of
arrests and may not be open to public inspection or their
contents disclosed to the public except by order of the court
presiding over matters pursuant to this Act or when the
institution of criminal proceedings has been permitted or
required under Section 5-805 or such a person has been
convicted of a crime and is the subject of pre-sentence
investigation or proceedings on an application for probation or
when provided by law. For purposes of obtaining documents
pursuant to this Section, a civil subpoena is not an order of
the court.
        (1) In cases where the law enforcement, or independent
    agency, records concern a pending juvenile court case, the
    party seeking to inspect the records shall provide actual
    notice to the attorney or guardian ad litem of the minor
    whose records are sought.
        (2) In cases where the records concern a juvenile court
    case that is no longer pending, the party seeking to
    inspect the records shall provide actual notice to the
    minor or the minor's parent or legal guardian, and the
    matter shall be referred to the chief judge presiding over
    matters pursuant to this Act.
        (3) In determining whether the records should be
    available for inspection, the court shall consider the
    minor's interest in confidentiality and rehabilitation
    over the moving party's interest in obtaining the
    information. Any records obtained in violation of this
    subsection (C) shall not be admissible in any criminal or
    civil proceeding, or operate to disqualify a minor from
    subsequently holding public office or securing employment,
    or operate as a forfeiture of any public benefit, right,
    privilege, or right to receive any license granted by
    public authority.
    (D) Nothing contained in subsection (C) of this Section
shall prohibit the inspection or disclosure to victims and
witnesses of photographs contained in the records of law
enforcement agencies when the inspection and disclosure is
conducted in the presence of a law enforcement officer for the
purpose of the identification or apprehension of any person
subject to the provisions of this Act or for the investigation
or prosecution of any crime.
    (E) Law enforcement officers, and personnel of an
independent agency created by ordinance and charged by a unit
of local government with the duty of investigating the conduct
of law enforcement officers, may not disclose the identity of
any minor in releasing information to the general public as to
the arrest, investigation or disposition of any case involving
a minor.
    (F) Nothing contained in this Section shall prohibit law
enforcement agencies from communicating with each other by
letter, memorandum, teletype or intelligence alert bulletin or
other means the identity or other relevant information
pertaining to a person under 17 years of age if there are
reasonable grounds to believe that the person poses a real and
present danger to the safety of the public or law enforcement
officers. The information provided under this subsection (F)
shall remain confidential and shall not be publicly disclosed,
except as otherwise allowed by law.
    (G) Nothing in this Section shall prohibit the right of a
Civil Service Commission or appointing authority of any state,
county or municipality examining the character and fitness of
an applicant for employment with a law enforcement agency,
correctional institution, or fire department from obtaining
and examining the records of any law enforcement agency
relating to any record of the applicant having been arrested or
taken into custody before the applicant's 17th birthday.
(Source: P.A. 96-419, eff. 8-13-09; 97-700, eff. 6-22-12;
97-1083, eff. 8-24-12; 97-1104, eff. 1-1-13; revised 9-20-12.)
 
    (705 ILCS 405/1-8)  (from Ch. 37, par. 801-8)
    Sec. 1-8. Confidentiality and accessibility of juvenile
court records.
    (A) Inspection and copying of juvenile court records
relating to a minor who is the subject of a proceeding under
this Act shall be restricted to the following:
        (1) The minor who is the subject of record, his
    parents, guardian and counsel.
        (2) Law enforcement officers and law enforcement
    agencies when such information is essential to executing an
    arrest or search warrant or other compulsory process, or to
    conducting an ongoing investigation or relating to a minor
    who has been adjudicated delinquent and there has been a
    previous finding that the act which constitutes the
    previous offense was committed in furtherance of criminal
    activities by a criminal street gang.
        Before July 1, 1994, for the purposes of this Section,
    "criminal street gang" means any ongoing organization,
    association, or group of 3 or more persons, whether formal
    or informal, having as one of its primary activities the
    commission of one or more criminal acts and that has a
    common name or common identifying sign, symbol or specific
    color apparel displayed, and whose members individually or
    collectively engage in or have engaged in a pattern of
    criminal activity.
        Beginning July 1, 1994, for purposes of this Section,
    "criminal street gang" has the meaning ascribed to it in
    Section 10 of the Illinois Streetgang Terrorism Omnibus
    Prevention Act.
        (3) Judges, hearing officers, prosecutors, probation
    officers, social workers or other individuals assigned by
    the court to conduct a pre-adjudication or predisposition
    investigation, and individuals responsible for supervising
    or providing temporary or permanent care and custody for
    minors pursuant to the order of the juvenile court when
    essential to performing their responsibilities.
        (4) Judges, prosecutors and probation officers:
            (a) in the course of a trial when institution of
        criminal proceedings has been permitted or required
        under Section 5-805; or
            (b) when criminal proceedings have been permitted
        or required under Section 5-805 and a minor is the
        subject of a proceeding to determine the amount of
        bail; or
            (c) when criminal proceedings have been permitted
        or required under Section 5-805 and a minor is the
        subject of a pre-trial investigation, pre-sentence
        investigation or fitness hearing, or proceedings on an
        application for probation; or
            (d) when a minor becomes 17 years of age or older,
        and is the subject of criminal proceedings, including a
        hearing to determine the amount of bail, a pre-trial
        investigation, a pre-sentence investigation, a fitness
        hearing, or proceedings on an application for
        probation.
        (5) Adult and Juvenile Prisoner Review Boards.
        (6) Authorized military personnel.
        (7) Victims, their subrogees and legal
    representatives; however, such persons shall have access
    only to the name and address of the minor and information
    pertaining to the disposition or alternative adjustment
    plan of the juvenile court.
        (8) Persons engaged in bona fide research, with the
    permission of the presiding judge of the juvenile court and
    the chief executive of the agency that prepared the
    particular records; provided that publication of such
    research results in no disclosure of a minor's identity and
    protects the confidentiality of the record.
        (9) The Secretary of State to whom the Clerk of the
    Court shall report the disposition of all cases, as
    required in Section 6-204 of the Illinois Vehicle Code.
    However, information reported relative to these offenses
    shall be privileged and available only to the Secretary of
    State, courts, and police officers.
        (10) The administrator of a bonafide substance abuse
    student assistance program with the permission of the
    presiding judge of the juvenile court.
        (11) Mental health professionals on behalf of the
    Illinois Department of Corrections or the Department of
    Human Services or prosecutors who are evaluating,
    prosecuting, or investigating a potential or actual
    petition brought under the Sexually Violent Persons
    Commitment Act relating to a person who is the subject of
    juvenile court records or the respondent to a petition
    brought under the Sexually Violent Persons Commitment Act,
    who is the subject of juvenile court records sought. Any
    records and any information obtained from those records
    under this paragraph (11) may be used only in sexually
    violent persons commitment proceedings.
    (A-1) Findings and exclusions of paternity entered in
proceedings occurring under Article II of this Act shall be
disclosed, in a manner and form approved by the Presiding Judge
of the Juvenile Court, to the Department of Healthcare and
Family Services when necessary to discharge the duties of the
Department of Healthcare and Family Services under Article X of
the Illinois Public Aid Code.
    (B) A minor who is the victim in a juvenile proceeding
shall be provided the same confidentiality regarding
disclosure of identity as the minor who is the subject of
record.
    (C) Except as otherwise provided in this subsection (C),
juvenile court records shall not be made available to the
general public but may be inspected by representatives of
agencies, associations and news media or other properly
interested persons by general or special order of the court
presiding over matters pursuant to this Act.
        (0.1) In cases where the records concern a pending
    juvenile court case, the party seeking to inspect the
    juvenile court records shall provide actual notice to the
    attorney or guardian ad litem of the minor whose records
    are sought.
        (0.2) In cases where the records concern a juvenile
    court case that is no longer pending, the party seeking to
    inspect the juvenile court records shall provide actual
    notice to the minor or the minor's parent or legal
    guardian, and the matter shall be referred to the chief
    judge presiding over matters pursuant to this Act.
        (0.3) In determining whether the records should be
    available for inspection, the court shall consider the
    minor's interest in confidentiality and rehabilitation
    over the moving party's interest in obtaining the
    information. The State's Attorney, the minor, and the
    minor's parents, guardian, and counsel shall at all times
    have the right to examine court files and records. For
    purposes of obtaining documents pursuant to this Section, a
    civil subpoena is not an order of the court.
        (0.4) Any records obtained in violation of this
    subsection (C) shall not be admissible in any criminal or
    civil proceeding, or operate to disqualify a minor from
    subsequently holding public office, or operate as a
    forfeiture of any public benefit, right, privilege, or
    right to receive any license granted by public authority.
        (1) The court shall allow the general public to have
    access to the name, address, and offense of a minor who is
    adjudicated a delinquent minor under this Act under either
    of the following circumstances:
            (A) The adjudication of delinquency was based upon
        the minor's commission of first degree murder, attempt
        to commit first degree murder, aggravated criminal
        sexual assault, or criminal sexual assault; or
            (B) The court has made a finding that the minor was
        at least 13 years of age at the time the act was
        committed and the adjudication of delinquency was
        based upon the minor's commission of: (i) an act in
        furtherance of the commission of a felony as a member
        of or on behalf of a criminal street gang, (ii) an act
        involving the use of a firearm in the commission of a
        felony, (iii) an act that would be a Class X felony
        offense under or the minor's second or subsequent Class
        2 or greater felony offense under the Cannabis Control
        Act if committed by an adult, (iv) an act that would be
        a second or subsequent offense under Section 402 of the
        Illinois Controlled Substances Act if committed by an
        adult, (v) an act that would be an offense under
        Section 401 of the Illinois Controlled Substances Act
        if committed by an adult, (vi) an act that would be a
        second or subsequent offense under Section 60 of the
        Methamphetamine Control and Community Protection Act,
        or (vii) an act that would be an offense under another
        Section of the Methamphetamine Control and Community
        Protection Act.
        (2) The court shall allow the general public to have
    access to the name, address, and offense of a minor who is
    at least 13 years of age at the time the offense is
    committed and who is convicted, in criminal proceedings
    permitted or required under Section 5-4, under either of
    the following circumstances:
            (A) The minor has been convicted of first degree
        murder, attempt to commit first degree murder,
        aggravated criminal sexual assault, or criminal sexual
        assault,
            (B) The court has made a finding that the minor was
        at least 13 years of age at the time the offense was
        committed and the conviction was based upon the minor's
        commission of: (i) an offense in furtherance of the
        commission of a felony as a member of or on behalf of a
        criminal street gang, (ii) an offense involving the use
        of a firearm in the commission of a felony, (iii) a
        Class X felony offense under or a second or subsequent
        Class 2 or greater felony offense under the Cannabis
        Control Act, (iv) a second or subsequent offense under
        Section 402 of the Illinois Controlled Substances Act,
        (v) an offense under Section 401 of the Illinois
        Controlled Substances Act, (vi) an act that would be a
        second or subsequent offense under Section 60 of the
        Methamphetamine Control and Community Protection Act,
        or (vii) an act that would be an offense under another
        Section of the Methamphetamine Control and Community
        Protection Act.
    (D) Pending or following any adjudication of delinquency
for any offense defined in Sections 11-1.20 through 11-1.60 or
12-13 through 12-16 of the Criminal Code of 1961 or the
Criminal Code of 2012, the victim of any such offense shall
receive the rights set out in Sections 4 and 6 of the Bill of
Rights for Victims and Witnesses of Violent Crime Act; and the
juvenile who is the subject of the adjudication,
notwithstanding any other provision of this Act, shall be
treated as an adult for the purpose of affording such rights to
the victim.
    (E) Nothing in this Section shall affect the right of a
Civil Service Commission or appointing authority of any state,
county or municipality examining the character and fitness of
an applicant for employment with a law enforcement agency,
correctional institution, or fire department to ascertain
whether that applicant was ever adjudicated to be a delinquent
minor and, if so, to examine the records of disposition or
evidence which were made in proceedings under this Act.
    (F) Following any adjudication of delinquency for a crime
which would be a felony if committed by an adult, or following
any adjudication of delinquency for a violation of Section
24-1, 24-3, 24-3.1, or 24-5 of the Criminal Code of 1961 or the
Criminal Code of 2012, the State's Attorney shall ascertain
whether the minor respondent is enrolled in school and, if so,
shall provide a copy of the dispositional order to the
principal or chief administrative officer of the school. Access
to such juvenile records shall be limited to the principal or
chief administrative officer of the school and any guidance
counselor designated by him.
    (G) Nothing contained in this Act prevents the sharing or
disclosure of information or records relating or pertaining to
juveniles subject to the provisions of the Serious Habitual
Offender Comprehensive Action Program when that information is
used to assist in the early identification and treatment of
habitual juvenile offenders.
    (H) When a Court hearing a proceeding under Article II of
this Act becomes aware that an earlier proceeding under Article
II had been heard in a different county, that Court shall
request, and the Court in which the earlier proceedings were
initiated shall transmit, an authenticated copy of the Court
record, including all documents, petitions, and orders filed
therein and the minute orders, transcript of proceedings, and
docket entries of the Court.
    (I) The Clerk of the Circuit Court shall report to the
Department of State Police, in the form and manner required by
the Department of State Police, the final disposition of each
minor who has been arrested or taken into custody before his or
her 17th birthday for those offenses required to be reported
under Section 5 of the Criminal Identification Act. Information
reported to the Department under this Section may be maintained
with records that the Department files under Section 2.1 of the
Criminal Identification Act.
(Source: P.A. 96-212, eff. 8-10-09; 96-1551, eff. 7-1-11;
97-813, eff. 7-13-12.)
 
    (705 ILCS 405/2-3)  (from Ch. 37, par. 802-3)
    Sec. 2-3. Neglected or abused minor.
    (1) Those who are neglected include:
        (a) any minor under 18 years of age who is not
    receiving the proper or necessary support, education as
    required by law, or medical or other remedial care
    recognized under State law as necessary for a minor's
    well-being, or other care necessary for his or her
    well-being, including adequate food, clothing and shelter,
    or who is abandoned by his or her parent or parents or
    other person or persons responsible for the minor's
    welfare, except that a minor shall not be considered
    neglected for the sole reason that the minor's parent or
    parents or other person or persons responsible for the
    minor's welfare have left the minor in the care of an adult
    relative for any period of time, who the parent or parents
    or other person responsible for the minor's welfare know is
    both a mentally capable adult relative and physically
    capable adult relative, as defined by this Act; or
        (b) any minor under 18 years of age whose environment
    is injurious to his or her welfare; or
        (c) any newborn infant whose blood, urine, or meconium
    contains any amount of a controlled substance as defined in
    subsection (f) of Section 102 of the Illinois Controlled
    Substances Act, as now or hereafter amended, or a
    metabolite of a controlled substance, with the exception of
    controlled substances or metabolites of such substances,
    the presence of which in the newborn infant is the result
    of medical treatment administered to the mother or the
    newborn infant; or
        (d) any minor under the age of 14 years whose parent or
    other person responsible for the minor's welfare leaves the
    minor without supervision for an unreasonable period of
    time without regard for the mental or physical health,
    safety, or welfare of that minor; or
        (e) any minor who has been provided with interim crisis
    intervention services under Section 3-5 of this Act and
    whose parent, guardian, or custodian refuses to permit the
    minor to return home unless the minor is an immediate
    physical danger to himself, herself, or others living in
    the home.
    Whether the minor was left without regard for the mental or
physical health, safety, or welfare of that minor or the period
of time was unreasonable shall be determined by considering the
following factors, including but not limited to:
        (1) the age of the minor;
        (2) the number of minors left at the location;
        (3) special needs of the minor, including whether the
    minor is physically or mentally handicapped, or otherwise
    in need of ongoing prescribed medical treatment such as
    periodic doses of insulin or other medications;
        (4) the duration of time in which the minor was left
    without supervision;
        (5) the condition and location of the place where the
    minor was left without supervision;
        (6) the time of day or night when the minor was left
    without supervision;
        (7) the weather conditions, including whether the
    minor was left in a location with adequate protection from
    the natural elements such as adequate heat or light;
        (8) the location of the parent or guardian at the time
    the minor was left without supervision, the physical
    distance the minor was from the parent or guardian at the
    time the minor was without supervision;
        (9) whether the minor's movement was restricted, or the
    minor was otherwise locked within a room or other
    structure;
        (10) whether the minor was given a phone number of a
    person or location to call in the event of an emergency and
    whether the minor was capable of making an emergency call;
        (11) whether there was food and other provision left
    for the minor;
        (12) whether any of the conduct is attributable to
    economic hardship or illness and the parent, guardian or
    other person having physical custody or control of the
    child made a good faith effort to provide for the health
    and safety of the minor;
        (13) the age and physical and mental capabilities of
    the person or persons who provided supervision for the
    minor;
        (14) whether the minor was left under the supervision
    of another person;
        (15) any other factor that would endanger the health
    and safety of that particular minor.
    A minor shall not be considered neglected for the sole
reason that the minor has been relinquished in accordance with
the Abandoned Newborn Infant Protection Act.
    (2) Those who are abused include any minor under 18 years
of age whose parent or immediate family member, or any person
responsible for the minor's welfare, or any person who is in
the same family or household as the minor, or any individual
residing in the same home as the minor, or a paramour of the
minor's parent:
        (i) inflicts, causes to be inflicted, or allows to be
    inflicted upon such minor physical injury, by other than
    accidental means, which causes death, disfigurement,
    impairment of physical or emotional health, or loss or
    impairment of any bodily function;
        (ii) creates a substantial risk of physical injury to
    such minor by other than accidental means which would be
    likely to cause death, disfigurement, impairment of
    emotional health, or loss or impairment of any bodily
    function;
        (iii) commits or allows to be committed any sex offense
    against such minor, as such sex offenses are defined in the
    Criminal Code of 1961 or the Criminal Code of 2012, as
    amended, or in the Wrongs to Children Act, and extending
    those definitions of sex offenses to include minors under
    18 years of age;
        (iv) commits or allows to be committed an act or acts
    of torture upon such minor;
        (v) inflicts excessive corporal punishment;
        (vi) commits or allows to be committed the offense of
    involuntary servitude, involuntary sexual servitude of a
    minor, or trafficking in persons as defined in Section 10-9
    of the Criminal Code of 1961 or the Criminal Code of 2012,
    upon such minor; or
        (vii) allows, encourages or requires a minor to commit
    any act of prostitution, as defined in the Criminal Code of
    1961 or the Criminal Code of 2012, and extending those
    definitions to include minors under 18 years of age.
    A minor shall not be considered abused for the sole reason
that the minor has been relinquished in accordance with the
Abandoned Newborn Infant Protection Act.
    (3) This Section does not apply to a minor who would be
included herein solely for the purpose of qualifying for
financial assistance for himself, his parents, guardian or
custodian.
(Source: P.A. 96-168, eff. 8-10-09; 96-1464, eff. 8-20-10;
97-897, eff. 1-1-13.)
 
    (705 ILCS 405/2-10)  (from Ch. 37, par. 802-10)
    Sec. 2-10. Temporary custody hearing. At the appearance of
the minor before the court at the temporary custody hearing,
all witnesses present shall be examined before the court in
relation to any matter connected with the allegations made in
the petition.
    (1) If the court finds that there is not probable cause to
believe that the minor is abused, neglected or dependent it
shall release the minor and dismiss the petition.
    (2) If the court finds that there is probable cause to
believe that the minor is abused, neglected or dependent, the
court shall state in writing the factual basis supporting its
finding and the minor, his or her parent, guardian, custodian
and other persons able to give relevant testimony shall be
examined before the court. The Department of Children and
Family Services shall give testimony concerning indicated
reports of abuse and neglect, of which they are aware of
through the central registry, involving the minor's parent,
guardian or custodian. After such testimony, the court may,
consistent with the health, safety and best interests of the
minor, enter an order that the minor shall be released upon the
request of parent, guardian or custodian if the parent,
guardian or custodian appears to take custody. If it is
determined that a parent's, guardian's, or custodian's
compliance with critical services mitigates the necessity for
removal of the minor from his or her home, the court may enter
an Order of Protection setting forth reasonable conditions of
behavior that a parent, guardian, or custodian must observe for
a specified period of time, not to exceed 12 months, without a
violation; provided, however, that the 12-month period shall
begin anew after any violation. Custodian shall include any
agency of the State which has been given custody or wardship of
the child. If it is consistent with the health, safety and best
interests of the minor, the court may also prescribe shelter
care and order that the minor be kept in a suitable place
designated by the court or in a shelter care facility
designated by the Department of Children and Family Services or
a licensed child welfare agency; however, a minor charged with
a criminal offense under the Criminal Code of 1961 or the
Criminal Code of 2012 or adjudicated delinquent shall not be
placed in the custody of or committed to the Department of
Children and Family Services by any court, except a minor less
than 15 years of age and committed to the Department of
Children and Family Services under Section 5-710 of this Act or
a minor for whom an independent basis of abuse, neglect, or
dependency exists. An independent basis exists when the
allegations or adjudication of abuse, neglect, or dependency do
not arise from the same facts, incident, or circumstances which
give rise to a charge or adjudication of delinquency.
    In placing the minor, the Department or other agency shall,
to the extent compatible with the court's order, comply with
Section 7 of the Children and Family Services Act. In
determining the health, safety and best interests of the minor
to prescribe shelter care, the court must find that it is a
matter of immediate and urgent necessity for the safety and
protection of the minor or of the person or property of another
that the minor be placed in a shelter care facility or that he
or she is likely to flee the jurisdiction of the court, and
must further find that reasonable efforts have been made or
that, consistent with the health, safety and best interests of
the minor, no efforts reasonably can be made to prevent or
eliminate the necessity of removal of the minor from his or her
home. The court shall require documentation from the Department
of Children and Family Services as to the reasonable efforts
that were made to prevent or eliminate the necessity of removal
of the minor from his or her home or the reasons why no efforts
reasonably could be made to prevent or eliminate the necessity
of removal. When a minor is placed in the home of a relative,
the Department of Children and Family Services shall complete a
preliminary background review of the members of the minor's
custodian's household in accordance with Section 4.3 of the
Child Care Act of 1969 within 90 days of that placement. If the
minor is ordered placed in a shelter care facility of the
Department of Children and Family Services or a licensed child
welfare agency, the court shall, upon request of the
appropriate Department or other agency, appoint the Department
of Children and Family Services Guardianship Administrator or
other appropriate agency executive temporary custodian of the
minor and the court may enter such other orders related to the
temporary custody as it deems fit and proper, including the
provision of services to the minor or his family to ameliorate
the causes contributing to the finding of probable cause or to
the finding of the existence of immediate and urgent necessity.
    Where the Department of Children and Family Services
Guardianship Administrator is appointed as the executive
temporary custodian, the Department of Children and Family
Services shall file with the court and serve on the parties a
parent-child visiting plan, within 10 days, excluding weekends
and holidays, after the appointment. The parent-child visiting
plan shall set out the time and place of visits, the frequency
of visits, the length of visits, who shall be present at the
visits, and where appropriate, the minor's opportunities to
have telephone and mail communication with the parents.
    Where the Department of Children and Family Services
Guardianship Administrator is appointed as the executive
temporary custodian, and when the child has siblings in care,
the Department of Children and Family Services shall file with
the court and serve on the parties a sibling placement and
contact plan within 10 days, excluding weekends and holidays,
after the appointment. The sibling placement and contact plan
shall set forth whether the siblings are placed together, and
if they are not placed together, what, if any, efforts are
being made to place them together. If the Department has
determined that it is not in a child's best interest to be
placed with a sibling, the Department shall document in the
sibling placement and contact plan the basis for its
determination. For siblings placed separately, the sibling
placement and contact plan shall set the time and place for
visits, the frequency of the visits, the length of visits, who
shall be present for the visits, and where appropriate, the
child's opportunities to have contact with their siblings in
addition to in person contact. If the Department determines it
is not in the best interest of a sibling to have contact with a
sibling, the Department shall document in the sibling placement
and contact plan the basis for its determination. The sibling
placement and contact plan shall specify a date for development
of the Sibling Contact Support Plan, under subsection (f) of
Section 7.4 of the Children and Family Services Act, and shall
remain in effect until the Sibling Contact Support Plan is
developed.
     For good cause, the court may waive the requirement to
file the parent-child visiting plan or the sibling placement
and contact plan, or extend the time for filing either plan.
Any party may, by motion, request the court to review the
parent-child visiting plan to determine whether it is
reasonably calculated to expeditiously facilitate the
achievement of the permanency goal. A party may, by motion,
request the court to review the parent-child visiting plan or
the sibling placement and contact plan to determine whether it
is consistent with the minor's best interest. The court may
refer the parties to mediation where available. The frequency,
duration, and locations of visitation shall be measured by the
needs of the child and family, and not by the convenience of
Department personnel. Child development principles shall be
considered by the court in its analysis of how frequent
visitation should be, how long it should last, where it should
take place, and who should be present. If upon motion of the
party to review either plan and after receiving evidence, the
court determines that the parent-child visiting plan is not
reasonably calculated to expeditiously facilitate the
achievement of the permanency goal or that the restrictions
placed on parent-child contact or sibling placement or contact
are contrary to the child's best interests, the court shall put
in writing the factual basis supporting the determination and
enter specific findings based on the evidence. The court shall
enter an order for the Department to implement changes to the
parent-child visiting plan or sibling placement or contact
plan, consistent with the court's findings. At any stage of
proceeding, any party may by motion request the court to enter
any orders necessary to implement the parent-child visiting
plan, sibling placement or contact plan or subsequently
developed Sibling Contact Support Plan. Nothing under this
subsection (2) shall restrict the court from granting
discretionary authority to the Department to increase
opportunities for additional parent-child contacts or sibling
contacts, without further court orders. Nothing in this
subsection (2) shall restrict the Department from immediately
restricting or terminating parent-child contact or sibling
contacts, without either amending the parent-child visiting
plan or the sibling contact plan or obtaining a court order,
where the Department or its assigns reasonably believe that
continuation of the contact, as set out in the plan, would be
contrary to the child's health, safety, and welfare. The
Department shall file with the court and serve on the parties
any amendments to the plan within 10 days, excluding weekends
and holidays, of the change of the visitation.
    Acceptance of services shall not be considered an admission
of any allegation in a petition made pursuant to this Act, nor
may a referral of services be considered as evidence in any
proceeding pursuant to this Act, except where the issue is
whether the Department has made reasonable efforts to reunite
the family. In making its findings that it is consistent with
the health, safety and best interests of the minor to prescribe
shelter care, the court shall state in writing (i) the factual
basis supporting its findings concerning the immediate and
urgent necessity for the protection of the minor or of the
person or property of another and (ii) the factual basis
supporting its findings that reasonable efforts were made to
prevent or eliminate the removal of the minor from his or her
home or that no efforts reasonably could be made to prevent or
eliminate the removal of the minor from his or her home. The
parents, guardian, custodian, temporary custodian and minor
shall each be furnished a copy of such written findings. The
temporary custodian shall maintain a copy of the court order
and written findings in the case record for the child. The
order together with the court's findings of fact in support
thereof shall be entered of record in the court.
    Once the court finds that it is a matter of immediate and
urgent necessity for the protection of the minor that the minor
be placed in a shelter care facility, the minor shall not be
returned to the parent, custodian or guardian until the court
finds that such placement is no longer necessary for the
protection of the minor.
    If the child is placed in the temporary custody of the
Department of Children and Family Services for his or her
protection, the court shall admonish the parents, guardian,
custodian or responsible relative that the parents must
cooperate with the Department of Children and Family Services,
comply with the terms of the service plans, and correct the
conditions which require the child to be in care, or risk
termination of their parental rights.
    (3) If prior to the shelter care hearing for a minor
described in Sections 2-3, 2-4, 3-3 and 4-3 the moving party is
unable to serve notice on the party respondent, the shelter
care hearing may proceed ex-parte. A shelter care order from an
ex-parte hearing shall be endorsed with the date and hour of
issuance and shall be filed with the clerk's office and entered
of record. The order shall expire after 10 days from the time
it is issued unless before its expiration it is renewed, at a
hearing upon appearance of the party respondent, or upon an
affidavit of the moving party as to all diligent efforts to
notify the party respondent by notice as herein prescribed. The
notice prescribed shall be in writing and shall be personally
delivered to the minor or the minor's attorney and to the last
known address of the other person or persons entitled to
notice. The notice shall also state the nature of the
allegations, the nature of the order sought by the State,
including whether temporary custody is sought, and the
consequences of failure to appear and shall contain a notice
that the parties will not be entitled to further written
notices or publication notices of proceedings in this case,
including the filing of an amended petition or a motion to
terminate parental rights, except as required by Supreme Court
Rule 11; and shall explain the right of the parties and the
procedures to vacate or modify a shelter care order as provided
in this Section. The notice for a shelter care hearing shall be
substantially as follows:
NOTICE TO PARENTS AND CHILDREN
OF SHELTER CARE HEARING
        On ................ at ........., before the Honorable
    ................, (address:) ................., the State
    of Illinois will present evidence (1) that (name of child
    or children) ....................... are abused, neglected
    or dependent for the following reasons:
    .............................................. and (2)
    whether there is "immediate and urgent necessity" to remove
    the child or children from the responsible relative.
        YOUR FAILURE TO APPEAR AT THE HEARING MAY RESULT IN
    PLACEMENT of the child or children in foster care until a
    trial can be held. A trial may not be held for up to 90
    days. You will not be entitled to further notices of
    proceedings in this case, including the filing of an
    amended petition or a motion to terminate parental rights.
        At the shelter care hearing, parents have the following
    rights:
            1. To ask the court to appoint a lawyer if they
        cannot afford one.
            2. To ask the court to continue the hearing to
        allow them time to prepare.
            3. To present evidence concerning:
                a. Whether or not the child or children were
            abused, neglected or dependent.
                b. Whether or not there is "immediate and
            urgent necessity" to remove the child from home
            (including: their ability to care for the child,
            conditions in the home, alternative means of
            protecting the child other than removal).
                c. The best interests of the child.
            4. To cross examine the State's witnesses.
 
    The Notice for rehearings shall be substantially as
follows:
NOTICE OF PARENT'S AND CHILDREN'S RIGHTS
TO REHEARING ON TEMPORARY CUSTODY
        If you were not present at and did not have adequate
    notice of the Shelter Care Hearing at which temporary
    custody of ............... was awarded to
    ................, you have the right to request a full
    rehearing on whether the State should have temporary
    custody of ................. To request this rehearing,
    you must file with the Clerk of the Juvenile Court
    (address): ........................, in person or by
    mailing a statement (affidavit) setting forth the
    following:
            1. That you were not present at the shelter care
        hearing.
            2. That you did not get adequate notice (explaining
        how the notice was inadequate).
            3. Your signature.
            4. Signature must be notarized.
        The rehearing should be scheduled within 48 hours of
    your filing this affidavit.
        At the rehearing, your rights are the same as at the
    initial shelter care hearing. The enclosed notice explains
    those rights.
        At the Shelter Care Hearing, children have the
    following rights:
            1. To have a guardian ad litem appointed.
            2. To be declared competent as a witness and to
        present testimony concerning:
                a. Whether they are abused, neglected or
            dependent.
                b. Whether there is "immediate and urgent
            necessity" to be removed from home.
                c. Their best interests.
            3. To cross examine witnesses for other parties.
            4. To obtain an explanation of any proceedings and
        orders of the court.
    (4) If the parent, guardian, legal custodian, responsible
relative, minor age 8 or over, or counsel of the minor did not
have actual notice of or was not present at the shelter care
hearing, he or she may file an affidavit setting forth these
facts, and the clerk shall set the matter for rehearing not
later than 48 hours, excluding Sundays and legal holidays,
after the filing of the affidavit. At the rehearing, the court
shall proceed in the same manner as upon the original hearing.
    (5) Only when there is reasonable cause to believe that the
minor taken into custody is a person described in subsection
(3) of Section 5-105 may the minor be kept or detained in a
detention home or county or municipal jail. This Section shall
in no way be construed to limit subsection (6).
    (6) No minor under 16 years of age may be confined in a
jail or place ordinarily used for the confinement of prisoners
in a police station. Minors under 17 years of age must be kept
separate from confined adults and may not at any time be kept
in the same cell, room, or yard with adults confined pursuant
to the criminal law.
    (7) If the minor is not brought before a judicial officer
within the time period as specified in Section 2-9, the minor
must immediately be released from custody.
    (8) If neither the parent, guardian or custodian appears
within 24 hours to take custody of a minor released upon
request pursuant to subsection (2) of this Section, then the
clerk of the court shall set the matter for rehearing not later
than 7 days after the original order and shall issue a summons
directed to the parent, guardian or custodian to appear. At the
same time the probation department shall prepare a report on
the minor. If a parent, guardian or custodian does not appear
at such rehearing, the judge may enter an order prescribing
that the minor be kept in a suitable place designated by the
Department of Children and Family Services or a licensed child
welfare agency.
    (9) Notwithstanding any other provision of this Section any
interested party, including the State, the temporary
custodian, an agency providing services to the minor or family
under a service plan pursuant to Section 8.2 of the Abused and
Neglected Child Reporting Act, foster parent, or any of their
representatives, on notice to all parties entitled to notice,
may file a motion that it is in the best interests of the minor
to modify or vacate a temporary custody order on any of the
following grounds:
        (a) It is no longer a matter of immediate and urgent
    necessity that the minor remain in shelter care; or
        (b) There is a material change in the circumstances of
    the natural family from which the minor was removed and the
    child can be cared for at home without endangering the
    child's health or safety; or
        (c) A person not a party to the alleged abuse, neglect
    or dependency, including a parent, relative or legal
    guardian, is capable of assuming temporary custody of the
    minor; or
        (d) Services provided by the Department of Children and
    Family Services or a child welfare agency or other service
    provider have been successful in eliminating the need for
    temporary custody and the child can be cared for at home
    without endangering the child's health or safety.
    In ruling on the motion, the court shall determine whether
it is consistent with the health, safety and best interests of
the minor to modify or vacate a temporary custody order.
    The clerk shall set the matter for hearing not later than
14 days after such motion is filed. In the event that the court
modifies or vacates a temporary custody order but does not
vacate its finding of probable cause, the court may order that
appropriate services be continued or initiated in behalf of the
minor and his or her family.
    (10) When the court finds or has found that there is
probable cause to believe a minor is an abused minor as
described in subsection (2) of Section 2-3 and that there is an
immediate and urgent necessity for the abused minor to be
placed in shelter care, immediate and urgent necessity shall be
presumed for any other minor residing in the same household as
the abused minor provided:
        (a) Such other minor is the subject of an abuse or
    neglect petition pending before the court; and
        (b) A party to the petition is seeking shelter care for
    such other minor.
    Once the presumption of immediate and urgent necessity has
been raised, the burden of demonstrating the lack of immediate
and urgent necessity shall be on any party that is opposing
shelter care for the other minor.
(Source: P.A. 97-1076, eff. 8-24-12.)
 
    (705 ILCS 405/2-13)  (from Ch. 37, par. 802-13)
    Sec. 2-13. Petition.
    (1) Any adult person, any agency or association by its
representative may file, or the court on its own motion,
consistent with the health, safety and best interests of the
minor may direct the filing through the State's Attorney of a
petition in respect of a minor under this Act. The petition and
all subsequent court documents shall be entitled "In the
interest of ...., a minor".
    (2) The petition shall be verified but the statements may
be made upon information and belief. It shall allege that the
minor is abused, neglected, or dependent, with citations to the
appropriate provisions of this Act, and set forth (a) facts
sufficient to bring the minor under Section 2-3 or 2-4 and to
inform respondents of the cause of action, including, but not
limited to, a plain and concise statement of the factual
allegations that form the basis for the filing of the petition;
(b) the name, age and residence of the minor; (c) the names and
residences of his parents; (d) the name and residence of his
legal guardian or the person or persons having custody or
control of the minor, or of the nearest known relative if no
parent or guardian can be found; and (e) if the minor upon
whose behalf the petition is brought is sheltered in custody,
the date on which such temporary custody was ordered by the
court or the date set for a temporary custody hearing. If any
of the facts herein required are not known by the petitioner,
the petition shall so state.
    (3) The petition must allege that it is in the best
interests of the minor and of the public that he be adjudged a
ward of the court and may pray generally for relief available
under this Act. The petition need not specify any proposed
disposition following adjudication of wardship. The petition
may request that the minor remain in the custody of the parent,
guardian, or custodian under an Order of Protection.
    (4) If termination of parental rights and appointment of a
guardian of the person with power to consent to adoption of the
minor under Section 2-29 is sought, the petition shall so
state. If the petition includes this request, the prayer for
relief shall clearly and obviously state that the parents could
permanently lose their rights as a parent at this hearing.
    In addition to the foregoing, the petitioner, by motion,
may request the termination of parental rights and appointment
of a guardian of the person with power to consent to adoption
of the minor under Section 2-29 at any time after the entry of
a dispositional order under Section 2-22.
    (4.5) (a) With respect to any minors committed to its care
pursuant to this Act, the Department of Children and Family
Services shall request the State's Attorney to file a petition
or motion for termination of parental rights and appointment of
guardian of the person with power to consent to adoption of the
minor under Section 2-29 if:
        (i) a minor has been in foster care, as described in
    subsection (b), for 15 months of the most recent 22 months;
    or
        (ii) a minor under the age of 2 years has been
    previously determined to be abandoned at an adjudicatory
    hearing; or
        (iii) the parent is criminally convicted of (A) first
    degree murder or second degree murder of any child, (B)
    attempt or conspiracy to commit first degree murder or
    second degree murder of any child, (C) solicitation to
    commit murder of any child, solicitation to commit murder
    for hire of any child, or solicitation to commit second
    degree murder of any child, (D) aggravated battery,
    aggravated battery of a child, or felony domestic battery,
    any of which has resulted in serious injury to the minor or
    a sibling of the minor, (E) aggravated criminal sexual
    assault in violation of subdivision (a)(1) of Section
    11-1.40 or subdivision (a)(1) (b)(1) of Section 12-14.1
    12-14 of the Criminal Code of 1961 or the Criminal Code of
    2012, or (F) an offense in any other state the elements of
    which are similar and bear a substantial relationship to
    any of the foregoing offenses
unless:
        (i) the child is being cared for by a relative,
        (ii) the Department has documented in the case plan a
    compelling reason for determining that filing such
    petition would not be in the best interests of the child,
        (iii) the court has found within the preceding 12
    months that the Department has failed to make reasonable
    efforts to reunify the child and family, or
        (iv) paragraph (c) of this subsection (4.5) provides
    otherwise.
    (b) For purposes of this subsection, the date of entering
foster care is defined as the earlier of:
        (1) The date of a judicial finding at an adjudicatory
    hearing that the child is an abused, neglected, or
    dependent minor; or
        (2) 60 days after the date on which the child is
    removed from his or her parent, guardian, or legal
    custodian.
    (c) With respect to paragraph (a)(i), the following
transition rules shall apply:
        (1) If the child entered foster care after November 19,
    1997 and this amendatory Act of 1998 takes effect before
    the child has been in foster care for 15 months of the
    preceding 22 months, then the Department shall comply with
    the requirements of paragraph (a) of this subsection (4.5)
    for that child as soon as the child has been in foster care
    for 15 of the preceding 22 months.
        (2) If the child entered foster care after November 19,
    1997 and this amendatory Act of 1998 takes effect after the
    child has been in foster care for 15 of the preceding 22
    months, then the Department shall comply with the
    requirements of paragraph (a) of this subsection (4.5) for
    that child within 3 months after the end of the next
    regular session of the General Assembly.
        (3) If the child entered foster care prior to November
    19, 1997, then the Department shall comply with the
    requirements of paragraph (a) of this subsection (4.5) for
    that child in accordance with Department policy or rule.
    (d) If the State's Attorney determines that the
Department's request for filing of a petition or motion
conforms to the requirements set forth in subdivisions (a),
(b), and (c) of this subsection (4.5), then the State's
Attorney shall file the petition or motion as requested.
    (5) The court shall liberally allow the petitioner to amend
the petition to set forth a cause of action or to add, amend,
or supplement factual allegations that form the basis for a
cause of action up until 14 days before the adjudicatory
hearing. The petitioner may amend the petition after that date
and prior to the adjudicatory hearing if the court grants leave
to amend upon a showing of good cause. The court may allow
amendment of the petition to conform with the evidence at any
time prior to ruling. In all cases in which the court has
granted leave to amend based on new evidence or new
allegations, the court shall permit the respondent an adequate
opportunity to prepare a defense to the amended petition.
    (6) At any time before dismissal of the petition or before
final closing and discharge under Section 2-31, one or more
motions in the best interests of the minor may be filed. The
motion shall specify sufficient facts in support of the relief
requested.
(Source: P.A. 95-405, eff. 6-1-08.)
 
    (705 ILCS 405/2-17)  (from Ch. 37, par. 802-17)
    Sec. 2-17. Guardian ad litem.
    (1) Immediately upon the filing of a petition alleging that
the minor is a person described in Sections 2-3 or 2-4 of this
Article, the court shall appoint a guardian ad litem for the
minor if:
        (a) such petition alleges that the minor is an abused
    or neglected child; or
        (b) such petition alleges that charges alleging the
    commission of any of the sex offenses defined in Article 11
    or in Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50,
    11-1.60, 12-13, 12-14, 12-14.1, 12-15 or 12-16 of the
    Criminal Code of 1961 or the Criminal Code of 2012 , as
    amended, have been filed against a defendant in any court
    and that such minor is the alleged victim of the acts of
    defendant in the commission of such offense.
    Unless the guardian ad litem appointed pursuant to this
paragraph (1) is an attorney at law he shall be represented in
the performance of his duties by counsel. The guardian ad litem
shall represent the best interests of the minor and shall
present recommendations to the court consistent with that duty.
    (2) Before proceeding with the hearing, the court shall
appoint a guardian ad litem for the minor if
        (a) no parent, guardian, custodian or relative of the
    minor appears at the first or any subsequent hearing of the
    case;
        (b) the petition prays for the appointment of a
    guardian with power to consent to adoption; or
        (c) the petition for which the minor is before the
    court resulted from a report made pursuant to the Abused
    and Neglected Child Reporting Act.
    (3) The court may appoint a guardian ad litem for the minor
whenever it finds that there may be a conflict of interest
between the minor and his parents or other custodian or that it
is otherwise in the minor's best interest to do so.
    (4) Unless the guardian ad litem is an attorney, he shall
be represented by counsel.
    (5) The reasonable fees of a guardian ad litem appointed
under this Section shall be fixed by the court and charged to
the parents of the minor, to the extent they are able to pay.
If the parents are unable to pay those fees, they shall be paid
from the general fund of the county.
    (6) A guardian ad litem appointed under this Section, shall
receive copies of any and all classified reports of child abuse
and neglect made under the Abused and Neglected Child Reporting
Act in which the minor who is the subject of a report under the
Abused and Neglected Child Reporting Act, is also the minor for
whom the guardian ad litem is appointed under this Section.
    (7) The appointed guardian ad litem shall remain the
child's guardian ad litem throughout the entire juvenile trial
court proceedings, including permanency hearings and
termination of parental rights proceedings, unless there is a
substitution entered by order of the court.
    (8) The guardian ad litem or an agent of the guardian ad
litem shall have a minimum of one in-person contact with the
minor and one contact with one of the current foster parents or
caregivers prior to the adjudicatory hearing, and at least one
additional in-person contact with the child and one contact
with one of the current foster parents or caregivers after the
adjudicatory hearing but prior to the first permanency hearing
and one additional in-person contact with the child and one
contact with one of the current foster parents or caregivers
each subsequent year. For good cause shown, the judge may
excuse face-to-face interviews required in this subsection.
    (9) In counties with a population of 100,000 or more but
less than 3,000,000, each guardian ad litem must successfully
complete a training program approved by the Department of
Children and Family Services. The Department of Children and
Family Services shall provide training materials and documents
to guardians ad litem who are not mandated to attend the
training program. The Department of Children and Family
Services shall develop and distribute to all guardians ad litem
a bibliography containing information including but not
limited to the juvenile court process, termination of parental
rights, child development, medical aspects of child abuse, and
the child's need for safety and permanence.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (705 ILCS 405/2-18)  (from Ch. 37, par. 802-18)
    Sec. 2-18. Evidence.
    (1) At the adjudicatory hearing, the court shall first
consider only the question whether the minor is abused,
neglected or dependent. The standard of proof and the rules of
evidence in the nature of civil proceedings in this State are
applicable to proceedings under this Article. If the petition
also seeks the appointment of a guardian of the person with
power to consent to adoption of the minor under Section 2-29,
the court may also consider legally admissible evidence at the
adjudicatory hearing that one or more grounds of unfitness
exists under subdivision D of Section 1 of the Adoption Act.
    (2) In any hearing under this Act, the following shall
constitute prima facie evidence of abuse or neglect, as the
case may be:
        (a) proof that a minor has a medical diagnosis of
    battered child syndrome is prima facie evidence of abuse;
        (b) proof that a minor has a medical diagnosis of
    failure to thrive syndrome is prima facie evidence of
    neglect;
        (c) proof that a minor has a medical diagnosis of fetal
    alcohol syndrome is prima facie evidence of neglect;
        (d) proof that a minor has a medical diagnosis at birth
    of withdrawal symptoms from narcotics or barbiturates is
    prima facie evidence of neglect;
        (e) proof of injuries sustained by a minor or of the
    condition of a minor of such a nature as would ordinarily
    not be sustained or exist except by reason of the acts or
    omissions of the parent, custodian or guardian of such
    minor shall be prima facie evidence of abuse or neglect, as
    the case may be;
        (f) proof that a parent, custodian or guardian of a
    minor repeatedly used a drug, to the extent that it has or
    would ordinarily have the effect of producing in the user a
    substantial state of stupor, unconsciousness,
    intoxication, hallucination, disorientation or
    incompetence, or a substantial impairment of judgment, or a
    substantial manifestation of irrationality, shall be prima
    facie evidence of neglect;
        (g) proof that a parent, custodian, or guardian of a
    minor repeatedly used a controlled substance, as defined in
    subsection (f) of Section 102 of the Illinois Controlled
    Substances Act, in the presence of the minor or a sibling
    of the minor is prima facie evidence of neglect. "Repeated
    use", for the purpose of this subsection, means more than
    one use of a controlled substance as defined in subsection
    (f) of Section 102 of the Illinois Controlled Substances
    Act;
        (h) proof that a newborn infant's blood, urine, or
    meconium contains any amount of a controlled substance as
    defined in subsection (f) of Section 102 of the Illinois
    Controlled Substances Act, or a metabolite of a controlled
    substance, with the exception of controlled substances or
    metabolites of those substances, the presence of which is
    the result of medical treatment administered to the mother
    or the newborn, is prime facie evidence of neglect;
        (i) proof that a minor was present in a structure or
    vehicle in which the minor's parent, custodian, or guardian
    was involved in the manufacture of methamphetamine
    constitutes prima facie evidence of abuse and neglect;
        (j) proof that a parent, custodian, or guardian of a
    minor allows, encourages, or requires a minor to perform,
    offer, or agree to perform any act of sexual penetration as
    defined in Section 11-0.1 12-12 of the Criminal Code of
    2012 1961 for any money, property, token, object, or
    article or anything of value, or any touching or fondling
    of the sex organs of one person by another person, for any
    money, property, token, object, or article or anything of
    value, for the purpose of sexual arousal or gratification,
    constitutes prima facie evidence of abuse and neglect;
        (k) proof that a parent, custodian, or guardian of a
    minor commits or allows to be committed the offense of
    involuntary servitude, involuntary sexual servitude of a
    minor, or trafficking in persons as defined in Section 10-9
    of the Criminal Code of 1961 or the Criminal Code of 2012,
    upon such minor, constitutes prima facie evidence of abuse
    and neglect.
    (3) In any hearing under this Act, proof of the abuse,
neglect or dependency of one minor shall be admissible evidence
on the issue of the abuse, neglect or dependency of any other
minor for whom the respondent is responsible.
    (4) (a) Any writing, record, photograph or x-ray of any
hospital or public or private agency, whether in the form of an
entry in a book or otherwise, made as a memorandum or record of
any condition, act, transaction, occurrence or event relating
to a minor in an abuse, neglect or dependency proceeding, shall
be admissible in evidence as proof of that condition, act,
transaction, occurrence or event, if the court finds that the
document was made in the regular course of the business of the
hospital or agency and that it was in the regular course of
such business to make it, at the time of the act, transaction,
occurrence or event, or within a reasonable time thereafter. A
certification by the head or responsible employee of the
hospital or agency that the writing, record, photograph or
x-ray is the full and complete record of the condition, act,
transaction, occurrence or event and that it satisfies the
conditions of this paragraph shall be prima facie evidence of
the facts contained in such certification. A certification by
someone other than the head of the hospital or agency shall be
accompanied by a photocopy of a delegation of authority signed
by both the head of the hospital or agency and by such other
employee. All other circumstances of the making of the
memorandum, record, photograph or x-ray, including lack of
personal knowledge of the maker, may be proved to affect the
weight to be accorded such evidence, but shall not affect its
admissibility.
    (b) Any indicated report filed pursuant to the Abused and
Neglected Child Reporting Act shall be admissible in evidence.
    (c) Previous statements made by the minor relating to any
allegations of abuse or neglect shall be admissible in
evidence. However, no such statement, if uncorroborated and not
subject to cross-examination, shall be sufficient in itself to
support a finding of abuse or neglect.
    (d) There shall be a rebuttable presumption that a minor is
competent to testify in abuse or neglect proceedings. The court
shall determine how much weight to give to the minor's
testimony, and may allow the minor to testify in chambers with
only the court, the court reporter and attorneys for the
parties present.
    (e) The privileged character of communication between any
professional person and patient or client, except privilege
between attorney and client, shall not apply to proceedings
subject to this Article.
    (f) Proof of the impairment of emotional health or
impairment of mental or emotional condition as a result of the
failure of the respondent to exercise a minimum degree of care
toward a minor may include competent opinion or expert
testimony, and may include proof that such impairment lessened
during a period when the minor was in the care, custody or
supervision of a person or agency other than the respondent.
    (5) In any hearing under this Act alleging neglect for
failure to provide education as required by law under
subsection (1) of Section 2-3, proof that a minor under 13
years of age who is subject to compulsory school attendance
under the School Code is a chronic truant as defined under the
School Code shall be prima facie evidence of neglect by the
parent or guardian in any hearing under this Act and proof that
a minor who is 13 years of age or older who is subject to
compulsory school attendance under the School Code is a chronic
truant shall raise a rebuttable presumption of neglect by the
parent or guardian. This subsection (5) shall not apply in
counties with 2,000,000 or more inhabitants.
    (6) In any hearing under this Act, the court may take
judicial notice of prior sworn testimony or evidence admitted
in prior proceedings involving the same minor if (a) the
parties were either represented by counsel at such prior
proceedings or the right to counsel was knowingly waived and
(b) the taking of judicial notice would not result in admitting
hearsay evidence at a hearing where it would otherwise be
prohibited.
(Source: P.A. 96-1464, eff. 8-20-10; 97-897, eff. 1-1-13.)
 
    (705 ILCS 405/2-25)  (from Ch. 37, par. 802-25)
    Sec. 2-25. Order of protection.
    (1) The court may make an order of protection in assistance
of or as a condition of any other order authorized by this Act.
The order of protection shall be based on the health, safety
and best interests of the minor and may set forth reasonable
conditions of behavior to be observed for a specified period.
Such an order may require a person:
        (a) to stay away from the home or the minor;
        (b) to permit a parent to visit the minor at stated
    periods;
        (c) to abstain from offensive conduct against the
    minor, his parent or any person to whom custody of the
    minor is awarded;
        (d) to give proper attention to the care of the home;
        (e) to cooperate in good faith with an agency to which
    custody of a minor is entrusted by the court or with an
    agency or association to which the minor is referred by the
    court;
        (f) to prohibit and prevent any contact whatsoever with
    the respondent minor by a specified individual or
    individuals who are alleged in either a criminal or
    juvenile proceeding to have caused injury to a respondent
    minor or a sibling of a respondent minor;
        (g) to refrain from acts of commission or omission that
    tend to make the home not a proper place for the minor;
        (h) to refrain from contacting the minor and the foster
    parents in any manner that is not specified in writing in
    the case plan.
    (2) The court shall enter an order of protection to
prohibit and prevent any contact between a respondent minor or
a sibling of a respondent minor and any person named in a
petition seeking an order of protection who has been convicted
of heinous battery or aggravated battery under subdivision
(a)(2) of Section 12-3.05, aggravated battery of a child or
aggravated battery under subdivision (b)(1) of Section
12-3.05, criminal sexual assault, aggravated criminal sexual
assault, predatory criminal sexual assault of a child, criminal
sexual abuse, or aggravated criminal sexual abuse as described
in the Criminal Code of 1961 or the Criminal Code of 2012, or
has been convicted of an offense that resulted in the death of
a child, or has violated a previous order of protection under
this Section.
    (3) When the court issues an order of protection against
any person as provided by this Section, the court shall direct
a copy of such order to the Sheriff of that county. The Sheriff
shall furnish a copy of the order of protection to the
Department of State Police within 24 hours of receipt, in the
form and manner required by the Department. The Department of
State Police shall maintain a complete record and index of such
orders of protection and make this data available to all local
law enforcement agencies.
    (4) After notice and opportunity for hearing afforded to a
person subject to an order of protection, the order may be
modified or extended for a further specified period or both or
may be terminated if the court finds that the health, safety,
and best interests of the minor and the public will be served
thereby.
    (5) An order of protection may be sought at any time during
the course of any proceeding conducted pursuant to this Act if
such an order is consistent with the health, safety, and best
interests of the minor. Any person against whom an order of
protection is sought may retain counsel to represent him at a
hearing, and has rights to be present at the hearing, to be
informed prior to the hearing in writing of the contents of the
petition seeking a protective order and of the date, place and
time of such hearing, and to cross examine witnesses called by
the petitioner and to present witnesses and argument in
opposition to the relief sought in the petition.
    (6) Diligent efforts shall be made by the petitioner to
serve any person or persons against whom any order of
protection is sought with written notice of the contents of the
petition seeking a protective order and of the date, place and
time at which the hearing on the petition is to be held. When a
protective order is being sought in conjunction with a
temporary custody hearing, if the court finds that the person
against whom the protective order is being sought has been
notified of the hearing or that diligent efforts have been made
to notify such person, the court may conduct a hearing. If a
protective order is sought at any time other than in
conjunction with a temporary custody hearing, the court may not
conduct a hearing on the petition in the absence of the person
against whom the order is sought unless the petitioner has
notified such person by personal service at least 3 days before
the hearing or has sent written notice by first class mail to
such person's last known address at least 5 days before the
hearing.
    (7) A person against whom an order of protection is being
sought who is neither a parent, guardian, legal custodian or
responsible relative as described in Section 1-5 is not a party
or respondent as defined in that Section and shall not be
entitled to the rights provided therein. Such person does not
have a right to appointed counsel or to be present at any
hearing other than the hearing in which the order of protection
is being sought or a hearing directly pertaining to that order.
Unless the court orders otherwise, such person does not have a
right to inspect the court file.
    (8) All protective orders entered under this Section shall
be in writing. Unless the person against whom the order was
obtained was present in court when the order was issued, the
sheriff, other law enforcement official or special process
server shall promptly serve that order upon that person and
file proof of such service, in the manner provided for service
of process in civil proceedings. The person against whom the
protective order was obtained may seek a modification of the
order by filing a written motion to modify the order within 7
days after actual receipt by the person of a copy of the order.
Any modification of the order granted by the court must be
determined to be consistent with the best interests of the
minor.
    (9) If a petition is filed charging a violation of a
condition contained in the protective order and if the court
determines that this violation is of a critical service
necessary to the safety and welfare of the minor, the court may
proceed to findings and an order for temporary custody.
(Source: P.A. 96-1551, Article 1, Section 955, eff. 7-1-11;
96-1551, Article 2, Section 1030, eff. 7-1-11; 97-1109, eff.
1-1-13.)
 
    (705 ILCS 405/2-27)  (from Ch. 37, par. 802-27)
    Sec. 2-27. Placement; legal custody or guardianship.
    (1) If the court determines and puts in writing the factual
basis supporting the determination of whether the parents,
guardian, or legal custodian of a minor adjudged a ward of the
court are unfit or are unable, for some reason other than
financial circumstances alone, to care for, protect, train or
discipline the minor or are unwilling to do so, and that the
health, safety, and best interest of the minor will be
jeopardized if the minor remains in the custody of his or her
parents, guardian or custodian, the court may at this hearing
and at any later point:
        (a) place the minor in the custody of a suitable
    relative or other person as legal custodian or guardian;
        (a-5) with the approval of the Department of Children
    and Family Services, place the minor in the subsidized
    guardianship of a suitable relative or other person as
    legal guardian; "subsidized guardianship" means a private
    guardianship arrangement for children for whom the
    permanency goals of return home and adoption have been
    ruled out and who meet the qualifications for subsidized
    guardianship as defined by the Department of Children and
    Family Services in administrative rules;
        (b) place the minor under the guardianship of a
    probation officer;
        (c) commit the minor to an agency for care or
    placement, except an institution under the authority of the
    Department of Corrections or of the Department of Children
    and Family Services;
        (d) commit the minor to the Department of Children and
    Family Services for care and service; however, a minor
    charged with a criminal offense under the Criminal Code of
    1961 or the Criminal Code of 2012 or adjudicated delinquent
    shall not be placed in the custody of or committed to the
    Department of Children and Family Services by any court,
    except (i) a minor less than 15 years of age and committed
    to the Department of Children and Family Services under
    Section 5-710 of this Act, (ii) a minor for whom an
    independent basis of abuse, neglect, or dependency exists,
    or (iii) a minor for whom the court has granted a
    supplemental petition to reinstate wardship pursuant to
    subsection (2) of Section 2-33 of this Act. An independent
    basis exists when the allegations or adjudication of abuse,
    neglect, or dependency do not arise from the same facts,
    incident, or circumstances which give rise to a charge or
    adjudication of delinquency. The Department shall be given
    due notice of the pendency of the action and the
    Guardianship Administrator of the Department of Children
    and Family Services shall be appointed guardian of the
    person of the minor. Whenever the Department seeks to
    discharge a minor from its care and service, the
    Guardianship Administrator shall petition the court for an
    order terminating guardianship. The Guardianship
    Administrator may designate one or more other officers of
    the Department, appointed as Department officers by
    administrative order of the Department Director,
    authorized to affix the signature of the Guardianship
    Administrator to documents affecting the guardian-ward
    relationship of children for whom he or she has been
    appointed guardian at such times as he or she is unable to
    perform the duties of his or her office. The signature
    authorization shall include but not be limited to matters
    of consent of marriage, enlistment in the armed forces,
    legal proceedings, adoption, major medical and surgical
    treatment and application for driver's license. Signature
    authorizations made pursuant to the provisions of this
    paragraph shall be filed with the Secretary of State and
    the Secretary of State shall provide upon payment of the
    customary fee, certified copies of the authorization to any
    court or individual who requests a copy.
    (1.5) In making a determination under this Section, the
court shall also consider whether, based on health, safety, and
the best interests of the minor,
        (a) appropriate services aimed at family preservation
    and family reunification have been unsuccessful in
    rectifying the conditions that have led to a finding of
    unfitness or inability to care for, protect, train, or
    discipline the minor, or
        (b) no family preservation or family reunification
    services would be appropriate,
and if the petition or amended petition contained an allegation
that the parent is an unfit person as defined in subdivision
(D) of Section 1 of the Adoption Act, and the order of
adjudication recites that parental unfitness was established
by clear and convincing evidence, the court shall, when
appropriate and in the best interest of the minor, enter an
order terminating parental rights and appointing a guardian
with power to consent to adoption in accordance with Section
2-29.
    When making a placement, the court, wherever possible,
shall require the Department of Children and Family Services to
select a person holding the same religious belief as that of
the minor or a private agency controlled by persons of like
religious faith of the minor and shall require the Department
to otherwise comply with Section 7 of the Children and Family
Services Act in placing the child. In addition, whenever
alternative plans for placement are available, the court shall
ascertain and consider, to the extent appropriate in the
particular case, the views and preferences of the minor.
    (2) When a minor is placed with a suitable relative or
other person pursuant to item (a) of subsection (1), the court
shall appoint him or her the legal custodian or guardian of the
person of the minor. When a minor is committed to any agency,
the court shall appoint the proper officer or representative
thereof as legal custodian or guardian of the person of the
minor. Legal custodians and guardians of the person of the
minor have the respective rights and duties set forth in
subsection (9) of Section 1-3 except as otherwise provided by
order of court; but no guardian of the person may consent to
adoption of the minor unless that authority is conferred upon
him or her in accordance with Section 2-29. An agency whose
representative is appointed guardian of the person or legal
custodian of the minor may place the minor in any child care
facility, but the facility must be licensed under the Child
Care Act of 1969 or have been approved by the Department of
Children and Family Services as meeting the standards
established for such licensing. No agency may place a minor
adjudicated under Sections 2-3 or 2-4 in a child care facility
unless the placement is in compliance with the rules and
regulations for placement under this Section promulgated by the
Department of Children and Family Services under Section 5 of
the Children and Family Services Act. Like authority and
restrictions shall be conferred by the court upon any probation
officer who has been appointed guardian of the person of a
minor.
    (3) No placement by any probation officer or agency whose
representative is appointed guardian of the person or legal
custodian of a minor may be made in any out of State child care
facility unless it complies with the Interstate Compact on the
Placement of Children. Placement with a parent, however, is not
subject to that Interstate Compact.
    (4) The clerk of the court shall issue to the legal
custodian or guardian of the person a certified copy of the
order of court, as proof of his authority. No other process is
necessary as authority for the keeping of the minor.
    (5) Custody or guardianship granted under this Section
continues until the court otherwise directs, but not after the
minor reaches the age of 19 years except as set forth in
Section 2-31, or if the minor was previously committed to the
Department of Children and Family Services for care and service
and the court has granted a supplemental petition to reinstate
wardship pursuant to subsection (2) of Section 2-33.
    (6) (Blank).
(Source: P.A. 95-642, eff. 6-1-08; 96-581, eff. 1-1-10.)
 
    (705 ILCS 405/3-19)  (from Ch. 37, par. 803-19)
    Sec. 3-19. Guardian ad litem.
    (1) Immediately upon the filing of a petition alleging that
the minor requires authoritative intervention, the court may
appoint a guardian ad litem for the minor if
        (a) such petition alleges that the minor is the victim
    of sexual abuse or misconduct; or
        (b) such petition alleges that charges alleging the
    commission of any of the sex offenses defined in Article 11
    or in Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50,
    11-1.60, 12-13, 12-14, 12-14.1, 12-15 or 12-16 of the
    Criminal Code of 1961 or the Criminal Code of 2012 , as
    amended, have been filed against a defendant in any court
    and that such minor is the alleged victim of the acts of
    the defendant in the commission of such offense.
    (2) Unless the guardian ad litem appointed pursuant to
paragraph (1) is an attorney at law he shall be represented in
the performance of his duties by counsel.
    (3) Before proceeding with the hearing, the court shall
appoint a guardian ad litem for the minor if
        (a) no parent, guardian, custodian or relative of the
    minor appears at the first or any subsequent hearing of the
    case;
        (b) the petition prays for the appointment of a
    guardian with power to consent to adoption; or
        (c) the petition for which the minor is before the
    court resulted from a report made pursuant to the Abused
    and Neglected Child Reporting Act.
    (4) The court may appoint a guardian ad litem for the minor
whenever it finds that there may be a conflict of interest
between the minor and his parents or other custodian or that it
is otherwise in the minor's interest to do so.
    (5) The reasonable fees of a guardian ad litem appointed
under this Section shall be fixed by the court and charged to
the parents of the minor, to the extent they are able to pay.
If the parents are unable to pay those fees, they shall be paid
from the general fund of the county.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (705 ILCS 405/3-26)  (from Ch. 37, par. 803-26)
    Sec. 3-26. Order of protection.
    (1) The court may make an order of protection in assistance
of or as a condition of any other order authorized by this Act.
The order of protection may set forth reasonable conditions of
behavior to be observed for a specified period. Such an order
may require a person:
        (a) To stay away from the home or the minor;
        (b) To permit a parent to visit the minor at stated
    periods;
        (c) To abstain from offensive conduct against the
    minor, his parent or any person to whom custody of the
    minor is awarded;
        (d) To give proper attention to the care of the home;
        (e) To cooperate in good faith with an agency to which
    custody of a minor is entrusted by the court or with an
    agency or association to which the minor is referred by the
    court;
        (f) To prohibit and prevent any contact whatsoever with
    the respondent minor by a specified individual or
    individuals who are alleged in either a criminal or
    juvenile proceeding to have caused injury to a respondent
    minor or a sibling of a respondent minor;
        (g) To refrain from acts of commission or omission that
    tend to make the home not a proper place for the minor.
    (2) The court shall enter an order of protection to
prohibit and prevent any contact between a respondent minor or
a sibling of a respondent minor and any person named in a
petition seeking an order of protection who has been convicted
of heinous battery or aggravated battery under subdivision
(a)(2) of Section 12-3.05, aggravated battery of a child or
aggravated battery under subdivision (b)(1) of Section
12-3.05, criminal sexual assault, aggravated criminal sexual
assault, predatory criminal sexual assault of a child, criminal
sexual abuse, or aggravated criminal sexual abuse as described
in the Criminal Code of 1961 or the Criminal Code of 2012, or
has been convicted of an offense that resulted in the death of
a child, or has violated a previous order of protection under
this Section.
    (3) When the court issues an order of protection against
any person as provided by this Section, the court shall direct
a copy of such order to the Sheriff of that county. The Sheriff
shall furnish a copy of the order of protection to the
Department of State Police within 24 hours of receipt, in the
form and manner required by the Department. The Department of
State Police shall maintain a complete record and index of such
orders of protection and make this data available to all local
law enforcement agencies.
    (4) After notice and opportunity for hearing afforded to a
person subject to an order of protection, the order may be
modified or extended for a further specified period or both or
may be terminated if the court finds that the best interests of
the minor and the public will be served thereby.
    (5) An order of protection may be sought at any time during
the course of any proceeding conducted pursuant to this Act.
Any person against whom an order of protection is sought may
retain counsel to represent him at a hearing, and has rights to
be present at the hearing, to be informed prior to the hearing
in writing of the contents of the petition seeking a protective
order and of the date, place and time of such hearing, and to
cross examine witnesses called by the petitioner and to present
witnesses and argument in opposition to the relief sought in
the petition.
    (6) Diligent efforts shall be made by the petitioner to
serve any person or persons against whom any order of
protection is sought with written notice of the contents of the
petition seeking a protective order and of the date, place and
time at which the hearing on the petition is to be held. When a
protective order is being sought in conjunction with a shelter
care hearing, if the court finds that the person against whom
the protective order is being sought has been notified of the
hearing or that diligent efforts have been made to notify such
person, the court may conduct a hearing. If a protective order
is sought at any time other than in conjunction with a shelter
care hearing, the court may not conduct a hearing on the
petition in the absence of the person against whom the order is
sought unless the petitioner has notified such person by
personal service at least 3 days before the hearing or has sent
written notice by first class mail to such person's last known
address at least 5 days before the hearing.
    (7) A person against whom an order of protection is being
sought who is neither a parent, guardian, legal custodian or
responsible relative as described in Section 1-5 is not a party
or respondent as defined in that Section and shall not be
entitled to the rights provided therein. Such person does not
have a right to appointed counsel or to be present at any
hearing other than the hearing in which the order of protection
is being sought or a hearing directly pertaining to that order.
Unless the court orders otherwise, such person does not have a
right to inspect the court file.
    (8) All protective orders entered under this Section shall
be in writing. Unless the person against whom the order was
obtained was present in court when the order was issued, the
sheriff, other law enforcement official or special process
server shall promptly serve that order upon that person and
file proof of such service, in the manner provided for service
of process in civil proceedings. The person against whom the
protective order was obtained may seek a modification of the
order by filing a written motion to modify the order within 7
days after actual receipt by the person of a copy of the order.
(Source: P.A. 96-1551, Article 1, Section 995, eff. 7-1-11;
96-1551, Article 2, Section 1030, eff. 7-1-11; 97-1109, eff.
1-1-13.)
 
    (705 ILCS 405/3-40)
    Sec. 3-40. Minors involved in electronic dissemination of
indecent visual depictions in need of supervision.
    (a) For the purposes of this Section:
    "Computer" has the meaning ascribed to it in Section 17-0.5
of the Criminal Code of 2012 1961.
    "Electronic communication device" means an electronic
device, including but not limited to a wireless telephone,
personal digital assistant, or a portable or mobile computer,
that is capable of transmitting images or pictures.
    "Indecent visual depiction" means a depiction or portrayal
in any pose, posture, or setting involving a lewd exhibition of
the unclothed or transparently clothed genitals, pubic area,
buttocks, or, if such person is female, a fully or partially
developed breast of the person.
    "Minor" means a person under 18 years of age.
    (b) A minor shall not distribute or disseminate an indecent
visual depiction of another minor through the use of a computer
or electronic communication device.
    (c) Adjudication. A minor who violates subsection (b) of
this Section may be subject to a petition for adjudication and
adjudged a minor in need of supervision.
    (d) Kinds of dispositional orders. A minor found to be in
need of supervision under this Section may be:
        (1) ordered to obtain counseling or other supportive
    services to address the acts that led to the need for
    supervision; or
        (2) ordered to perform community service.
    (e) Nothing in this Section shall be construed to prohibit
a prosecution for disorderly conduct, public indecency, child
pornography, a violation of Article 26.5 Harassing and Obscene
Communications of the Criminal Code of 2012 1961, or any other
applicable provision of law.
(Source: P.A. 96-1087, eff. 1-1-11; 97-1108, eff. 1-1-13.)
 
    (705 ILCS 405/4-16)  (from Ch. 37, par. 804-16)
    Sec. 4-16. Guardian ad litem.
    (1) Immediately upon the filing of a petition alleging that
the minor is a person described in Section 4-3 of this Act, the
court may appoint a guardian ad litem for the minor if:
        (a) such petition alleges that the minor is the victim
    of sexual abuse or misconduct; or
        (b) such petition alleges that charges alleging the
    commission of any of the sex offenses defined in Article 11
    or in Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50,
    11-1.60, 12-13, 12-14, 12-14.1, 12-15 or 12-16 of the
    Criminal Code of 1961 or the Criminal Code of 2012 , as
    amended, have been filed against a defendant in any court
    and that such minor is the alleged victim of the acts of
    the defendant in the commission of such offense.
    Unless the guardian ad litem appointed pursuant to this
paragraph (1) is an attorney at law he shall be represented in
the performance of his duties by counsel.
    (2) Before proceeding with the hearing, the court shall
appoint a guardian ad litem for the minor if
        (a) no parent, guardian, custodian or relative of the
    minor appears at the first or any subsequent hearing of the
    case;
        (b) the petition prays for the appointment of a
    guardian with power to consent to adoption; or
        (c) the petition for which the minor is before the
    court resulted from a report made pursuant to the Abused
    and Neglected Child Reporting Act.
    (3) The court may appoint a guardian ad litem for the minor
whenever it finds that there may be a conflict of interest
between the minor and his parents or other custodian or that it
is otherwise in the minor's interest to do so.
    (4) Unless the guardian ad litem is an attorney, he shall
be represented by counsel.
    (5) The reasonable fees of a guardian ad litem appointed
under this Section shall be fixed by the court and charged to
the parents of the minor, to the extent they are able to pay.
If the parents are unable to pay those fees, they shall be paid
from the general fund of the county.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (705 ILCS 405/4-23)  (from Ch. 37, par. 804-23)
    Sec. 4-23. Order of protection.
    (1) The court may make an order of protection in assistance
of or as a condition of any other order authorized by this Act.
The order of protection may set forth reasonable conditions of
behavior to be observed for a specified period. Such an order
may require a person:
        (a) To stay away from the home or the minor;
        (b) To permit a parent to visit the minor at stated
    periods;
        (c) To abstain from offensive conduct against the
    minor, his parent or any person to whom custody of the
    minor is awarded;
        (d) To give proper attention to the care of the home;
        (e) To cooperate in good faith with an agency to which
    custody of a minor is entrusted by the court or with an
    agency or association to which the minor is referred by the
    court;
        (f) To prohibit and prevent any contact whatsoever with
    the respondent minor by a specified individual or
    individuals who are alleged in either a criminal or
    juvenile proceeding to have caused injury to a respondent
    minor or a sibling of a respondent minor;
        (g) To refrain from acts of commission or omission that
    tend to make the home not a proper place for the minor.
    (2) The court shall enter an order of protection to
prohibit and prevent any contact between a respondent minor or
a sibling of a respondent minor and any person named in a
petition seeking an order of protection who has been convicted
of heinous battery or aggravated battery under subdivision
(a)(2) of Section 12-3.05, aggravated battery of a child or
aggravated battery under subdivision (b)(1) of Section
12-3.05, criminal sexual assault, aggravated criminal sexual
assault, predatory criminal sexual assault of a child, criminal
sexual abuse, or aggravated criminal sexual abuse as described
in the Criminal Code of 1961 or the Criminal Code of 2012, or
has been convicted of an offense that resulted in the death of
a child, or has violated a previous order of protection under
this Section.
    (3) When the court issues an order of protection against
any person as provided by this Section, the court shall direct
a copy of such order to the Sheriff of that county. The Sheriff
shall furnish a copy of the order of protection to the
Department of State Police within 24 hours of receipt, in the
form and manner required by the Department. The Department of
State Police shall maintain a complete record and index of such
orders of protection and make this data available to all local
law enforcement agencies.
    (4) After notice and opportunity for hearing afforded to a
person subject to an order of protection, the order may be
modified or extended for a further specified period or both or
may be terminated if the court finds that the best interests of
the minor and the public will be served thereby.
    (5) An order of protection may be sought at any time during
the course of any proceeding conducted pursuant to this Act.
Any person against whom an order of protection is sought may
retain counsel to represent him at a hearing, and has rights to
be present at the hearing, to be informed prior to the hearing
in writing of the contents of the petition seeking a protective
order and of the date, place and time of such hearing, and to
cross examine witnesses called by the petitioner and to present
witnesses and argument in opposition to the relief sought in
the petition.
    (6) Diligent efforts shall be made by the petitioner to
serve any person or persons against whom any order of
protection is sought with written notice of the contents of the
petition seeking a protective order and of the date, place and
time at which the hearing on the petition is to be held. When a
protective order is being sought in conjunction with a shelter
care hearing, if the court finds that the person against whom
the protective order is being sought has been notified of the
hearing or that diligent efforts have been made to notify such
person, the court may conduct a hearing. If a protective order
is sought at any time other than in conjunction with a shelter
care hearing, the court may not conduct a hearing on the
petition in the absence of the person against whom the order is
sought unless the petitioner has notified such person by
personal service at least 3 days before the hearing or has sent
written notice by first class mail to such person's last known
address at least 5 days before the hearing.
    (7) A person against whom an order of protection is being
sought who is neither a parent, guardian, legal custodian or
responsible relative as described in Section 1-5 is not a party
or respondent as defined in that Section and shall not be
entitled to the rights provided therein. Such person does not
have a right to appointed counsel or to be present at any
hearing other than the hearing in which the order of protection
is being sought or a hearing directly pertaining to that order.
Unless the court orders otherwise, such person does not have a
right to inspect the court file.
    (8) All protective orders entered under this Section shall
be in writing. Unless the person against whom the order was
obtained was present in court when the order was issued, the
sheriff, other law enforcement official or special process
server shall promptly serve that order upon that person and
file proof of such service, in the manner provided for service
of process in civil proceedings. The person against whom the
protective order was obtained may seek a modification of the
order by filing a written motion to modify the order within 7
days after actual receipt by the person of a copy of the order.
(Source: P.A. 96-1551, Article 1, Section 955, eff. 7-1-11;
96-1551, Article 2, Section 1030, eff. 7-1-11; 97-1109, eff.
1-1-13.)
 
    (705 ILCS 405/5-125)
    Sec. 5-125. Concurrent jurisdiction. Any minor alleged to
have violated a traffic, boating, or fish and game law, or a
municipal or county ordinance, may be prosecuted for the
violation and if found guilty punished under any statute or
ordinance relating to the violation, without reference to the
procedures set out in this Article, except that any detention,
must be in compliance with this Article.
    For the purpose of this Section, "traffic violation" shall
include a violation of Section 9-3 of the Criminal Code of 1961
or the Criminal Code of 2012 relating to the offense of
reckless homicide, Section 11-501 of the Illinois Vehicle Code,
or any similar county or municipal ordinance.
(Source: P.A. 90-590, eff. 1-1-99.)
 
    (705 ILCS 405/5-130)
    Sec. 5-130. Excluded jurisdiction.
    (1) (a) The definition of delinquent minor under Section
5-120 of this Article shall not apply to any minor who at the
time of an offense was at least 15 years of age and who is
charged with: (i) first degree murder, (ii) aggravated criminal
sexual assault, (iii) aggravated battery with a firearm as
described in Section 12-4.2 or subdivision (e)(1), (e)(2),
(e)(3), or (e)(4) of Section 12-3.05 where the minor personally
discharged a firearm as defined in Section 2-15.5 of the
Criminal Code of 1961 or the Criminal Code of 2012, (iv) armed
robbery when the armed robbery was committed with a firearm, or
(v) aggravated vehicular hijacking when the hijacking was
committed with a firearm.
    These charges and all other charges arising out of the same
incident shall be prosecuted under the criminal laws of this
State.
    (b) (i) If before trial or plea an information or
indictment is filed that does not charge an offense specified
in paragraph (a) of this subsection (1) the State's Attorney
may proceed on any lesser charge or charges, but only in
Juvenile Court under the provisions of this Article. The
State's Attorney may proceed under the Criminal Code of 1961 on
a lesser charge if before trial the minor defendant knowingly
and with advice of counsel waives, in writing, his or her right
to have the matter proceed in Juvenile Court.
    (ii) If before trial or plea an information or indictment
is filed that includes one or more charges specified in
paragraph (a) of this subsection (1) and additional charges
that are not specified in that paragraph, all of the charges
arising out of the same incident shall be prosecuted under the
Criminal Code of 1961 or the Criminal Code of 2012.
    (c) (i) If after trial or plea the minor is convicted of
any offense covered by paragraph (a) of this subsection (1),
then, in sentencing the minor, the court shall have available
any or all dispositions prescribed for that offense under
Chapter V of the Unified Code of Corrections.
    (ii) If after trial or plea the court finds that the minor
committed an offense not covered by paragraph (a) of this
subsection (1), that finding shall not invalidate the verdict
or the prosecution of the minor under the criminal laws of the
State; however, unless the State requests a hearing for the
purpose of sentencing the minor under Chapter V of the Unified
Code of Corrections, the Court must proceed under Sections
5-705 and 5-710 of this Article. To request a hearing, the
State must file a written motion within 10 days following the
entry of a finding or the return of a verdict. Reasonable
notice of the motion shall be given to the minor or his or her
counsel. If the motion is made by the State, the court shall
conduct a hearing to determine if the minor should be sentenced
under Chapter V of the Unified Code of Corrections. In making
its determination, the court shall consider among other
matters: (a) whether there is evidence that the offense was
committed in an aggressive and premeditated manner; (b) the age
of the minor; (c) the previous history of the minor; (d)
whether there are facilities particularly available to the
Juvenile Court or the Department of Juvenile Justice for the
treatment and rehabilitation of the minor; (e) whether the
security of the public requires sentencing under Chapter V of
the Unified Code of Corrections; and (f) whether the minor
possessed a deadly weapon when committing the offense. The
rules of evidence shall be the same as if at trial. If after
the hearing the court finds that the minor should be sentenced
under Chapter V of the Unified Code of Corrections, then the
court shall sentence the minor accordingly having available to
it any or all dispositions so prescribed.
    (2) (Blank).
    (3) (a) The definition of delinquent minor under Section
5-120 of this Article shall not apply to any minor who at the
time of the offense was at least 15 years of age and who is
charged with a violation of the provisions of paragraph (1),
(3), (4), or (10) of subsection (a) of Section 24-1 of the
Criminal Code of 1961 or the Criminal Code of 2012 while in
school, regardless of the time of day or the time of year, or
on the real property comprising any school, regardless of the
time of day or the time of year. School is defined, for
purposes of this Section as any public or private elementary or
secondary school, community college, college, or university.
These charges and all other charges arising out of the same
incident shall be prosecuted under the criminal laws of this
State.
    (b) (i) If before trial or plea an information or
indictment is filed that does not charge an offense specified
in paragraph (a) of this subsection (3) the State's Attorney
may proceed on any lesser charge or charges, but only in
Juvenile Court under the provisions of this Article. The
State's Attorney may proceed under the criminal laws of this
State on a lesser charge if before trial the minor defendant
knowingly and with advice of counsel waives, in writing, his or
her right to have the matter proceed in Juvenile Court.
    (ii) If before trial or plea an information or indictment
is filed that includes one or more charges specified in
paragraph (a) of this subsection (3) and additional charges
that are not specified in that paragraph, all of the charges
arising out of the same incident shall be prosecuted under the
criminal laws of this State.
    (c) (i) If after trial or plea the minor is convicted of
any offense covered by paragraph (a) of this subsection (3),
then, in sentencing the minor, the court shall have available
any or all dispositions prescribed for that offense under
Chapter V of the Unified Code of Corrections.
    (ii) If after trial or plea the court finds that the minor
committed an offense not covered by paragraph (a) of this
subsection (3), that finding shall not invalidate the verdict
or the prosecution of the minor under the criminal laws of the
State; however, unless the State requests a hearing for the
purpose of sentencing the minor under Chapter V of the Unified
Code of Corrections, the Court must proceed under Sections
5-705 and 5-710 of this Article. To request a hearing, the
State must file a written motion within 10 days following the
entry of a finding or the return of a verdict. Reasonable
notice of the motion shall be given to the minor or his or her
counsel. If the motion is made by the State, the court shall
conduct a hearing to determine if the minor should be sentenced
under Chapter V of the Unified Code of Corrections. In making
its determination, the court shall consider among other
matters: (a) whether there is evidence that the offense was
committed in an aggressive and premeditated manner; (b) the age
of the minor; (c) the previous history of the minor; (d)
whether there are facilities particularly available to the
Juvenile Court or the Department of Juvenile Justice for the
treatment and rehabilitation of the minor; (e) whether the
security of the public requires sentencing under Chapter V of
the Unified Code of Corrections; and (f) whether the minor
possessed a deadly weapon when committing the offense. The
rules of evidence shall be the same as if at trial. If after
the hearing the court finds that the minor should be sentenced
under Chapter V of the Unified Code of Corrections, then the
court shall sentence the minor accordingly having available to
it any or all dispositions so prescribed.
    (4) (a) The definition of delinquent minor under Section
5-120 of this Article shall not apply to any minor who at the
time of an offense was at least 13 years of age and who is
charged with first degree murder committed during the course of
either aggravated criminal sexual assault, criminal sexual
assault, or aggravated kidnaping. However, this subsection (4)
does not include a minor charged with first degree murder based
exclusively upon the accountability provisions of the Criminal
Code of 1961 or the Criminal Code of 2012.
    (b) (i) If before trial or plea an information or
indictment is filed that does not charge first degree murder
committed during the course of aggravated criminal sexual
assault, criminal sexual assault, or aggravated kidnaping, the
State's Attorney may proceed on any lesser charge or charges,
but only in Juvenile Court under the provisions of this
Article. The State's Attorney may proceed under the criminal
laws of this State on a lesser charge if before trial the minor
defendant knowingly and with advice of counsel waives, in
writing, his or her right to have the matter proceed in
Juvenile Court.
    (ii) If before trial or plea an information or indictment
is filed that includes first degree murder committed during the
course of aggravated criminal sexual assault, criminal sexual
assault, or aggravated kidnaping, and additional charges that
are not specified in paragraph (a) of this subsection, all of
the charges arising out of the same incident shall be
prosecuted under the criminal laws of this State.
    (c) (i) If after trial or plea the minor is convicted of
first degree murder committed during the course of aggravated
criminal sexual assault, criminal sexual assault, or
aggravated kidnaping, in sentencing the minor, the court shall
have available any or all dispositions prescribed for that
offense under Chapter V of the Unified Code of Corrections.
    (ii) If the minor was not yet 15 years of age at the time of
the offense, and if after trial or plea the court finds that
the minor committed an offense other than first degree murder
committed during the course of either aggravated criminal
sexual assault, criminal sexual assault, or aggravated
kidnapping, the finding shall not invalidate the verdict or the
prosecution of the minor under the criminal laws of the State;
however, unless the State requests a hearing for the purpose of
sentencing the minor under Chapter V of the Unified Code of
Corrections, the Court must proceed under Sections 5-705 and
5-710 of this Article. To request a hearing, the State must
file a written motion within 10 days following the entry of a
finding or the return of a verdict. Reasonable notice of the
motion shall be given to the minor or his or her counsel. If
the motion is made by the State, the court shall conduct a
hearing to determine whether the minor should be sentenced
under Chapter V of the Unified Code of Corrections. In making
its determination, the court shall consider among other
matters: (a) whether there is evidence that the offense was
committed in an aggressive and premeditated manner; (b) the age
of the minor; (c) the previous delinquent history of the minor;
(d) whether there are facilities particularly available to the
Juvenile Court or the Department of Juvenile Justice for the
treatment and rehabilitation of the minor; (e) whether the best
interest of the minor and the security of the public require
sentencing under Chapter V of the Unified Code of Corrections;
and (f) whether the minor possessed a deadly weapon when
committing the offense. The rules of evidence shall be the same
as if at trial. If after the hearing the court finds that the
minor should be sentenced under Chapter V of the Unified Code
of Corrections, then the court shall sentence the minor
accordingly having available to it any or all dispositions so
prescribed.
    (5) (a) The definition of delinquent minor under Section
5-120 of this Article shall not apply to any minor who is
charged with a violation of subsection (a) of Section 31-6 or
Section 32-10 of the Criminal Code of 1961 or the Criminal Code
of 2012 when the minor is subject to prosecution under the
criminal laws of this State as a result of the application of
the provisions of Section 5-125, or subsection (1) or (2) of
this Section. These charges and all other charges arising out
of the same incident shall be prosecuted under the criminal
laws of this State.
    (b) (i) If before trial or plea an information or
indictment is filed that does not charge an offense specified
in paragraph (a) of this subsection (5), the State's Attorney
may proceed on any lesser charge or charges, but only in
Juvenile Court under the provisions of this Article. The
State's Attorney may proceed under the criminal laws of this
State on a lesser charge if before trial the minor defendant
knowingly and with advice of counsel waives, in writing, his or
her right to have the matter proceed in Juvenile Court.
    (ii) If before trial or plea an information or indictment
is filed that includes one or more charges specified in
paragraph (a) of this subsection (5) and additional charges
that are not specified in that paragraph, all of the charges
arising out of the same incident shall be prosecuted under the
criminal laws of this State.
    (c) (i) If after trial or plea the minor is convicted of
any offense covered by paragraph (a) of this subsection (5),
then, in sentencing the minor, the court shall have available
any or all dispositions prescribed for that offense under
Chapter V of the Unified Code of Corrections.
    (ii) If after trial or plea the court finds that the minor
committed an offense not covered by paragraph (a) of this
subsection (5), the conviction shall not invalidate the verdict
or the prosecution of the minor under the criminal laws of this
State; however, unless the State requests a hearing for the
purpose of sentencing the minor under Chapter V of the Unified
Code of Corrections, the Court must proceed under Sections
5-705 and 5-710 of this Article. To request a hearing, the
State must file a written motion within 10 days following the
entry of a finding or the return of a verdict. Reasonable
notice of the motion shall be given to the minor or his or her
counsel. If the motion is made by the State, the court shall
conduct a hearing to determine if whether the minor should be
sentenced under Chapter V of the Unified Code of Corrections.
In making its determination, the court shall consider among
other matters: (a) whether there is evidence that the offense
was committed in an aggressive and premeditated manner; (b) the
age of the minor; (c) the previous delinquent history of the
minor; (d) whether there are facilities particularly available
to the Juvenile Court or the Department of Juvenile Justice for
the treatment and rehabilitation of the minor; (e) whether the
security of the public requires sentencing under Chapter V of
the Unified Code of Corrections; and (f) whether the minor
possessed a deadly weapon when committing the offense. The
rules of evidence shall be the same as if at trial. If after
the hearing the court finds that the minor should be sentenced
under Chapter V of the Unified Code of Corrections, then the
court shall sentence the minor accordingly having available to
it any or all dispositions so prescribed.
    (6) The definition of delinquent minor under Section 5-120
of this Article shall not apply to any minor who, pursuant to
subsection (1) or (3) or Section 5-805 or 5-810, has previously
been placed under the jurisdiction of the criminal court and
has been convicted of a crime under an adult criminal or penal
statute. Such a minor shall be subject to prosecution under the
criminal laws of this State.
    (7) The procedures set out in this Article for the
investigation, arrest and prosecution of juvenile offenders
shall not apply to minors who are excluded from jurisdiction of
the Juvenile Court, except that minors under 17 years of age
shall be kept separate from confined adults.
    (8) Nothing in this Act prohibits or limits the prosecution
of any minor for an offense committed on or after his or her
17th birthday even though he or she is at the time of the
offense a ward of the court.
    (9) If an original petition for adjudication of wardship
alleges the commission by a minor 13 years of age or over of an
act that constitutes a crime under the laws of this State, the
minor, with the consent of his or her counsel, may, at any time
before commencement of the adjudicatory hearing, file with the
court a motion that criminal prosecution be ordered and that
the petition be dismissed insofar as the act or acts involved
in the criminal proceedings are concerned. If such a motion is
filed as herein provided, the court shall enter its order
accordingly.
    (10) If, prior to August 12, 2005 (the effective date of
Public Act 94-574), a minor is charged with a violation of
Section 401 of the Illinois Controlled Substances Act under the
criminal laws of this State, other than a minor charged with a
Class X felony violation of the Illinois Controlled Substances
Act or the Methamphetamine Control and Community Protection
Act, any party including the minor or the court sua sponte may,
before trial, move for a hearing for the purpose of trying and
sentencing the minor as a delinquent minor. To request a
hearing, the party must file a motion prior to trial.
Reasonable notice of the motion shall be given to all parties.
On its own motion or upon the filing of a motion by one of the
parties including the minor, the court shall conduct a hearing
to determine whether the minor should be tried and sentenced as
a delinquent minor under this Article. In making its
determination, the court shall consider among other matters:
    (a) The age of the minor;
    (b) Any previous delinquent or criminal history of the
minor;
    (c) Any previous abuse or neglect history of the minor;
    (d) Any mental health or educational history of the minor,
or both; and
    (e) Whether there is probable cause to support the charge,
whether the minor is charged through accountability, and
whether there is evidence the minor possessed a deadly weapon
or caused serious bodily harm during the offense.
    Any material that is relevant and reliable shall be
admissible at the hearing. In all cases, the judge shall enter
an order permitting prosecution under the criminal laws of
Illinois unless the judge makes a finding based on a
preponderance of the evidence that the minor would be amenable
to the care, treatment, and training programs available through
the facilities of the juvenile court based on an evaluation of
the factors listed in this subsection (10).
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (705 ILCS 405/5-155)
    Sec. 5-155. Any weapon in possession of a minor found to be
a delinquent under Section 5-105 for an offense involving the
use of a weapon or for being in possession of a weapon during
the commission of an offense shall be confiscated and disposed
of by the juvenile court whether the weapon is the property of
the minor or his or her parent or guardian. Disposition of the
weapon by the court shall be in accordance with Section 24-6 of
the Criminal Code of 2012 1961.
(Source: P.A. 90-590, eff. 1-1-99.)
 
    (705 ILCS 405/5-170)
    Sec. 5-170. Representation by counsel.
    (a) In a proceeding under this Article, a minor who was
under 13 years of age at the time of the commission of an act
that if committed by an adult would be a violation of Section
9-1, 9-1.2, 9-2, 9-2.1, 9-3, 9-3.2, 9-3.3, 11-1.20, 11-1.30,
11-1.40, 11-1.50, 11-1.60, 12-13, 12-14, 12-14.1, 12-15, or
12-16 of the Criminal Code of 1961 or the Criminal Code of 2012
must be represented by counsel during the entire custodial
interrogation of the minor.
    (b) In a judicial proceeding under this Article, a minor
may not waive the right to the assistance of counsel in his or
her defense.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (705 ILCS 405/5-401.5)
    Sec. 5-401.5. When statements by minor may be used.
    (a) In this Section, "custodial interrogation" means any
interrogation (i) during which a reasonable person in the
subject's position would consider himself or herself to be in
custody and (ii) during which a question is asked that is
reasonably likely to elicit an incriminating response.
    In this Section, "electronic recording" includes motion
picture, audiotape, videotape, or digital recording.
    In this Section, "place of detention" means a building or a
police station that is a place of operation for a municipal
police department or county sheriff department or other law
enforcement agency at which persons are or may be held in
detention in connection with criminal charges against those
persons or allegations that those persons are delinquent
minors.
    (b) An oral, written, or sign language statement of a minor
who, at the time of the commission of the offense was under the
age of 17 years, made as a result of a custodial interrogation
conducted at a police station or other place of detention on or
after the effective date of this amendatory Act of the 93rd
General Assembly shall be presumed to be inadmissible as
evidence against the minor in any criminal proceeding or
juvenile court proceeding, for an act that if committed by an
adult would be brought under Section 9-1, 9-1.2, 9-2, 9-2.1,
9-3, 9-3.2, or 9-3.3, of the Criminal Code of 1961 or the
Criminal Code of 2012, or under clause (d)(1)(F) of Section
11-501 of the Illinois Vehicle Code unless:
        (1) an electronic recording is made of the custodial
    interrogation; and
        (2) the recording is substantially accurate and not
    intentionally altered.
    (c) Every electronic recording required under this Section
must be preserved until such time as the minor's adjudication
for any offense relating to the statement is final and all
direct and habeas corpus appeals are exhausted, or the
prosecution of such offenses is barred by law.
    (d) If the court finds, by a preponderance of the evidence,
that the minor was subjected to a custodial interrogation in
violation of this Section, then any statements made by the
minor during or following that non-recorded custodial
interrogation, even if otherwise in compliance with this
Section, are presumed to be inadmissible in any criminal
proceeding or juvenile court proceeding against the minor
except for the purposes of impeachment.
    (e) Nothing in this Section precludes the admission (i) of
a statement made by the minor in open court in any criminal
proceeding or juvenile court proceeding, before a grand jury,
or at a preliminary hearing, (ii) of a statement made during a
custodial interrogation that was not recorded as required by
this Section because electronic recording was not feasible,
(iii) of a voluntary statement, whether or not the result of a
custodial interrogation, that has a bearing on the credibility
of the accused as a witness, (iv) of a spontaneous statement
that is not made in response to a question, (v) of a statement
made after questioning that is routinely asked during the
processing of the arrest of the suspect, (vi) of a statement
made during a custodial interrogation by a suspect who
requests, prior to making the statement, to respond to the
interrogator's questions only if an electronic recording is not
made of the statement, provided that an electronic recording is
made of the statement of agreeing to respond to the
interrogator's question, only if a recording is not made of the
statement, (vii) of a statement made during a custodial
interrogation that is conducted out-of-state, (viii) of a
statement given at a time when the interrogators are unaware
that a death has in fact occurred, or (ix) of any other
statement that may be admissible under law. The State shall
bear the burden of proving, by a preponderance of the evidence,
that one of the exceptions described in this subsection (e) is
applicable. Nothing in this Section precludes the admission of
a statement, otherwise inadmissible under this Section, that is
used only for impeachment and not as substantive evidence.
    (f) The presumption of inadmissibility of a statement made
by a suspect at a custodial interrogation at a police station
or other place of detention may be overcome by a preponderance
of the evidence that the statement was voluntarily given and is
reliable, based on the totality of the circumstances.
    (g) Any electronic recording of any statement made by a
minor during a custodial interrogation that is compiled by any
law enforcement agency as required by this Section for the
purposes of fulfilling the requirements of this Section shall
be confidential and exempt from public inspection and copying,
as provided under Section 7 of the Freedom of Information Act,
and the information shall not be transmitted to anyone except
as needed to comply with this Section.
    (h) A statement, admission, confession, or incriminating
information made by or obtained from a minor related to the
instant offense, as part of any behavioral health screening,
assessment, evaluation, or treatment, whether or not
court-ordered, shall not be admissible as evidence against the
minor on the issue of guilt only in the instant juvenile court
proceeding. The provisions of this subsection (h) are in
addition to and do not override any existing statutory and
constitutional prohibition on the admission into evidence in
delinquency proceedings of information obtained during
screening, assessment, or treatment.
(Source: P.A. 96-1251, eff. 1-1-11.)
 
    (705 ILCS 405/5-407)
    Sec. 5-407. Processing of juvenile in possession of a
firearm.
    (a) If a law enforcement officer detains a minor pursuant
to Section 10-27.1A of the School Code, the officer shall
deliver the minor to the nearest juvenile officer, in the
manner prescribed by subsection (2) of Section 5-405 of this
Act. The juvenile officer shall deliver the minor without
unnecessary delay to the court or to the place designated by
rule or order of court for the reception of minors. In no event
shall the minor be eligible for any other disposition by the
juvenile police officer, notwithstanding the provisions of
subsection (3) of Section 5-405 of this Act.
    (b) Minors not excluded from this Act's jurisdiction under
subsection (3)(a) of Section 5-130 of this Act shall be brought
before a judicial officer within 40 hours, exclusive of
Saturdays, Sundays, and court-designated holidays, for a
detention hearing to determine whether he or she shall be
further held in custody. If the court finds that there is
probable cause to believe that the minor is a delinquent minor
by virtue of his or her violation of item (4) of subsection (a)
of Section 24-1 of the Criminal Code of 1961 or the Criminal
Code of 2012 while on school grounds, that finding shall create
a presumption that immediate and urgent necessity exists under
subdivision (2) of Section 5-501 of this Act. Once the
presumption of immediate and urgent necessity has been raised,
the burden of demonstrating the lack of immediate and urgent
necessity shall be on any party that is opposing detention for
the minor. Should the court order detention pursuant to this
Section, the minor shall be detained, pending the results of a
court-ordered psychological evaluation to determine if the
minor is a risk to himself, herself, or others. Upon receipt of
the psychological evaluation, the court shall review the
determination regarding the existence of urgent and immediate
necessity. The court shall consider the psychological
evaluation in conjunction with the other factors identified in
subdivision (2) of Section 5-501 of this Act in order to make a
de novo determination regarding whether it is a matter of
immediate and urgent necessity for the protection of the minor
or of the person or property of another that the minor be
detained or placed in a shelter care facility. In addition to
the pre-trial conditions found in Section 5-505 of this Act,
the court may order the minor to receive counseling and any
other services recommended by the psychological evaluation as a
condition for release of the minor.
    (c) Upon making a determination that the student presents a
risk to himself, herself, or others, the court shall issue an
order restraining the student from entering the property of the
school if he or she has been suspended or expelled from the
school as a result of possessing a firearm. The order shall
restrain the student from entering the school and school owned
or leased property, including any conveyance owned, leased, or
contracted by the school to transport students to or from
school or a school-related activity. The order shall remain in
effect until such time as the court determines that the student
no longer presents a risk to himself, herself, or others.
    (d) Psychological evaluations ordered pursuant to
subsection (b) of this Section and statements made by the minor
during the course of these evaluations, shall not be admissible
on the issue of delinquency during the course of any
adjudicatory hearing held under this Act.
    (e) In this Section:
    "School" means any public or private elementary or
secondary school.
    "School grounds" includes the real property comprising any
school, any conveyance owned, leased, or contracted by a school
to transport students to or from school or a school-related
activity, or any public way within 1,000 feet of the real
property comprising any school.
(Source: P.A. 91-11, eff. 6-4-99.)
 
    (705 ILCS 405/5-415)
    Sec. 5-415. Setting of detention or shelter care hearing;
release.
    (1) Unless sooner released, a minor alleged to be a
delinquent minor taken into temporary custody must be brought
before a judicial officer within 40 hours for a detention or
shelter care hearing to determine whether he or she shall be
further held in custody. If a minor alleged to be a delinquent
minor taken into custody is hospitalized or is receiving
treatment for a physical or mental condition, and is unable to
be brought before a judicial officer for a detention or shelter
care hearing, the 40 hour period will not commence until the
minor is released from the hospital or place of treatment. If
the minor gives false information to law enforcement officials
regarding the minor's identity or age, the 40 hour period will
not commence until the court rules that the minor is subject to
this Act and not subject to prosecution under the Criminal Code
of 1961 or the Criminal Code of 2012. Any other delay
attributable to a minor alleged to be a delinquent minor who is
taken into temporary custody shall act to toll the 40 hour time
period. The 40 hour time period shall be tolled to allow
counsel for the minor to prepare for the detention or shelter
care hearing, upon a motion filed by such counsel and granted
by the court. In all cases, the 40 hour time period is
exclusive of Saturdays, Sundays and court-designated holidays.
    (2) If the State's Attorney or probation officer (or other
public officer designated by the court in a county having more
than 3,000,000 inhabitants) determines that the minor should be
retained in custody, he or she shall cause a petition to be
filed as provided in Section 5-520 of this Article, and the
clerk of the court shall set the matter for hearing on the
detention or shelter care hearing calendar. Immediately upon
the filing of a petition in the case of a minor retained in
custody, the court shall cause counsel to be appointed to
represent the minor. When a parent, legal guardian, custodian,
or responsible relative is present and so requests, the
detention or shelter care hearing shall be held immediately if
the court is in session and the State is ready to proceed,
otherwise at the earliest feasible time. In no event shall a
detention or shelter care hearing be held until the minor has
had adequate opportunity to consult with counsel. The probation
officer or such other public officer designated by the court in
a county having more than 3,000,000 inhabitants shall notify
the minor's parent, legal guardian, custodian, or responsible
relative of the time and place of the hearing. The notice may
be given orally.
    (3) The minor must be released from custody at the
expiration of the 40 hour period specified by this Section if
not brought before a judicial officer within that period.
    (4) After the initial 40 hour period has lapsed, the court
may review the minor's custodial status at any time prior to
the trial or sentencing hearing. If during this time period new
or additional information becomes available concerning the
minor's conduct, the court may conduct a hearing to determine
whether the minor should be placed in a detention or shelter
care facility. If the court finds that there is probable cause
that the minor is a delinquent minor and that it is a matter of
immediate and urgent necessity for the protection of the minor
or of the person or property of another, or that he or she is
likely to flee the jurisdiction of the court, the court may
order that the minor be placed in detention or shelter care.
(Source: P.A. 95-846, eff. 1-1-09.)
 
    (705 ILCS 405/5-605)
    Sec. 5-605. Trials, pleas, guilty but mentally ill and not
guilty by reason of insanity.
    (1) Method of trial. All delinquency proceedings shall be
heard by the court except those proceedings under this Act
where the right to trial by jury is specifically set forth. At
any time a minor may waive his or her right to trial by jury.
    (2) Pleas of guilty and guilty but mentally ill.
        (a) Before or during trial, a plea of guilty may be
    accepted when the court has informed the minor of the
    consequences of his or her plea and of the maximum penalty
    provided by law which may be imposed upon acceptance of the
    plea. Upon acceptance of a plea of guilty, the court shall
    determine the factual basis of a plea.
        (b) Before or during trial, a plea of guilty but
    mentally ill may be accepted by the court when:
            (i) the minor has undergone an examination by a
        clinical psychologist or psychiatrist and has waived
        his or her right to trial; and
            (ii) the judge has examined the psychiatric or
        psychological report or reports; and
            (iii) the judge has held a hearing, at which either
        party may present evidence, on the issue of the minor's
        mental health and, at the conclusion of the hearing, is
        satisfied that there is a factual basis that the minor
        was mentally ill at the time of the offense to which
        the plea is entered.
    (3) Trial by the court.
        (a) A trial shall be conducted in the presence of the
    minor unless he or she waives the right to be present. At
    the trial, the court shall consider the question whether
    the minor is delinquent. The standard of proof and the
    rules of evidence in the nature of criminal proceedings in
    this State are applicable to that consideration.
        (b) Upon conclusion of the trial the court shall enter
    a general finding, except that, when the affirmative
    defense of insanity has been presented during the trial and
    acquittal is based solely upon the defense of insanity, the
    court shall enter a finding of not guilty by reason of
    insanity. In the event of a finding of not guilty by reason
    of insanity, a hearing shall be held pursuant to the Mental
    Health and Developmental Disabilities Code to determine
    whether the minor is subject to involuntary admission.
        (c) When the minor has asserted a defense of insanity,
    the court may find the minor guilty but mentally ill if,
    after hearing all of the evidence, the court finds that:
            (i) the State has proven beyond a reasonable doubt
        that the minor is guilty of the offense charged; and
            (ii) the minor has failed to prove his or her
        insanity as required in subsection (b) of Section 3-2
        of the Criminal Code of 2012 1961, and subsections (a),
        (b) and (e) of Section 6-2 of the Criminal Code of 2012
        1961; and
            (iii) the minor has proven by a preponderance of
        the evidence that he was mentally ill, as defined in
        subsections (c) and (d) of Section 6-2 of the Criminal
        Code of 2012 1961 at the time of the offense.
    (4) Trial by court and jury.
        (a) Questions of law shall be decided by the court and
    questions of fact by the jury.
        (b) The jury shall consist of 12 members.
        (c) Upon request the parties shall be furnished with a
    list of prospective jurors with their addresses if known.
        (d) Each party may challenge jurors for cause. If a
    prospective juror has a physical impairment, the court
    shall consider the prospective juror's ability to perceive
    and appreciate the evidence when considering a challenge
    for cause.
        (e) A minor tried alone shall be allowed 7 peremptory
    challenges; except that, in a single trial of more than one
    minor, each minor shall be allowed 5 peremptory challenges.
    If several charges against a minor or minors are
    consolidated for trial, each minor shall be allowed
    peremptory challenges upon one charge only, which single
    charge shall be the charge against that minor authorizing
    the greatest maximum penalty. The State shall be allowed
    the same number of peremptory challenges as all of the
    minors.
        (f) After examination by the court, the jurors may be
    examined, passed upon, accepted and tendered by opposing
    counsel as provided by Supreme Court Rules.
        (g) After the jury is impaneled and sworn, the court
    may direct the selection of 2 alternate jurors who shall
    take the same oath as the regular jurors. Each party shall
    have one additional peremptory challenge for each
    alternate juror. If before the final submission of a cause
    a member of the jury dies or is discharged, he or she shall
    be replaced by an alternate juror in the order of
    selection.
        (h) A trial by the court and jury shall be conducted in
    the presence of the minor unless he or she waives the right
    to be present.
        (i) After arguments of counsel the court shall instruct
    the jury as to the law.
        (j) Unless the affirmative defense of insanity has been
    presented during the trial, the jury shall return a general
    verdict as to each offense charged. When the affirmative
    defense of insanity has been presented during the trial,
    the court shall provide the jury not only with general
    verdict forms but also with a special verdict form of not
    guilty by reason of insanity, as to each offense charged,
    and in the event the court shall separately instruct the
    jury that a special verdict of not guilty by reason of
    insanity may be returned instead of a general verdict but
    the special verdict requires a unanimous finding by the
    jury that the minor committed the acts charged but at the
    time of the commission of those acts the minor was insane.
    In the event of a verdict of not guilty by reason of
    insanity, a hearing shall be held pursuant to the Mental
    Health and Developmental Disabilities Code to determine
    whether the minor is subject to involuntary admission. When
    the affirmative defense of insanity has been presented
    during the trial, the court, where warranted by the
    evidence, shall also provide the jury with a special
    verdict form of guilty but mentally ill, as to each offense
    charged and shall separately instruct the jury that a
    special verdict of guilty but mentally ill may be returned
    instead of a general verdict, but that the special verdict
    requires a unanimous finding by the jury that: (i) the
    State has proven beyond a reasonable doubt that the minor
    is guilty of the offense charged; and (ii) the minor has
    failed to prove his or her insanity as required in
    subsection (b) of Section 3-2 of the Criminal Code of 2012
    1961 and subsections (a), (b) and (e) of Section 6-2 of the
    Criminal Code of 2012 1961; and (iii) the minor has proven
    by a preponderance of the evidence that he or she was
    mentally ill, as defined in subsections (c) and (d) of
    Section 6-2 of the Criminal Code of 2012 1961 at the time
    of the offense.
        (k) When, at the close of the State's evidence or at
    the close of all of the evidence, the evidence is
    insufficient to support a finding or verdict of guilty the
    court may and on motion of the minor shall make a finding
    or direct the jury to return a verdict of not guilty, enter
    a judgment of acquittal and discharge the minor.
        (l) When the jury retires to consider its verdict, an
    officer of the court shall be appointed to keep them
    together and to prevent conversation between the jurors and
    others; however, if any juror is deaf, the jury may be
    accompanied by and may communicate with a court-appointed
    interpreter during its deliberations. Upon agreement
    between the State and minor or his or her counsel, and the
    parties waive polling of the jury, the jury may seal and
    deliver its verdict to the clerk of the court, separate,
    and then return the verdict in open court at its next
    session.
        (m) In a trial, any juror who is a member of a panel or
    jury which has been impaneled and sworn as a panel or as a
    jury shall be permitted to separate from other jurors
    during every period of adjournment to a later day, until
    final submission of the cause to the jury for
    determination, except that no such separation shall be
    permitted in any trial after the court, upon motion by the
    minor or the State or upon its own motion, finds a
    probability that prejudice to the minor or to the State
    will result from the separation.
        (n) The members of the jury shall be entitled to take
    notes during the trial, and the sheriff of the county in
    which the jury is sitting shall provide them with writing
    materials for this purpose. The notes shall remain
    confidential, and shall be destroyed by the sheriff after
    the verdict has been returned or a mistrial declared.
        (o) A minor tried by the court and jury shall only be
    found guilty, guilty but mentally ill, not guilty or not
    guilty by reason of insanity, upon the unanimous verdict of
    the jury.
(Source: P.A. 90-590, eff. 1-1-99.)
 
    (705 ILCS 405/5-615)
    Sec. 5-615. Continuance under supervision.
    (1) The court may enter an order of continuance under
supervision for an offense other than first degree murder, a
Class X felony or a forcible felony (a) upon an admission or
stipulation by the appropriate respondent or minor respondent
of the facts supporting the petition and before proceeding to
adjudication, or after hearing the evidence at the trial, and
(b) in the absence of objection made in open court by the
minor, his or her parent, guardian, or legal custodian, the
minor's attorney or the State's Attorney.
    (2) If the minor, his or her parent, guardian, or legal
custodian, the minor's attorney or State's Attorney objects in
open court to any continuance and insists upon proceeding to
findings and adjudication, the court shall so proceed.
    (3) Nothing in this Section limits the power of the court
to order a continuance of the hearing for the production of
additional evidence or for any other proper reason.
    (4) When a hearing where a minor is alleged to be a
delinquent is continued pursuant to this Section, the period of
continuance under supervision may not exceed 24 months. The
court may terminate a continuance under supervision at any time
if warranted by the conduct of the minor and the ends of
justice.
    (5) When a hearing where a minor is alleged to be
delinquent is continued pursuant to this Section, the court
may, as conditions of the continuance under supervision,
require the minor to do any of the following:
        (a) not violate any criminal statute of any
    jurisdiction;
        (b) make a report to and appear in person before any
    person or agency as directed by the court;
        (c) work or pursue a course of study or vocational
    training;
        (d) undergo medical or psychotherapeutic treatment
    rendered by a therapist licensed under the provisions of
    the Medical Practice Act of 1987, the Clinical Psychologist
    Licensing Act, or the Clinical Social Work and Social Work
    Practice Act, or an entity licensed by the Department of
    Human Services as a successor to the Department of
    Alcoholism and Substance Abuse, for the provision of drug
    addiction and alcoholism treatment;
        (e) attend or reside in a facility established for the
    instruction or residence of persons on probation;
        (f) support his or her dependents, if any;
        (g) pay costs;
        (h) refrain from possessing a firearm or other
    dangerous weapon, or an automobile;
        (i) permit the probation officer to visit him or her at
    his or her home or elsewhere;
        (j) reside with his or her parents or in a foster home;
        (k) attend school;
        (k-5) with the consent of the superintendent of the
    facility, attend an educational program at a facility other
    than the school in which the offense was committed if he or
    she committed a crime of violence as defined in Section 2
    of the Crime Victims Compensation Act in a school, on the
    real property comprising a school, or within 1,000 feet of
    the real property comprising a school;
        (l) attend a non-residential program for youth;
        (m) contribute to his or her own support at home or in
    a foster home;
        (n) perform some reasonable public or community
    service;
        (o) make restitution to the victim, in the same manner
    and under the same conditions as provided in subsection (4)
    of Section 5-710, except that the "sentencing hearing"
    referred to in that Section shall be the adjudicatory
    hearing for purposes of this Section;
        (p) comply with curfew requirements as designated by
    the court;
        (q) refrain from entering into a designated geographic
    area except upon terms as the court finds appropriate. The
    terms may include consideration of the purpose of the
    entry, the time of day, other persons accompanying the
    minor, and advance approval by a probation officer;
        (r) refrain from having any contact, directly or
    indirectly, with certain specified persons or particular
    types of persons, including but not limited to members of
    street gangs and drug users or dealers;
        (r-5) undergo a medical or other procedure to have a
    tattoo symbolizing allegiance to a street gang removed from
    his or her body;
        (s) refrain from having in his or her body the presence
    of any illicit drug prohibited by the Cannabis Control Act,
    the Illinois Controlled Substances Act, or the
    Methamphetamine Control and Community Protection Act,
    unless prescribed by a physician, and submit samples of his
    or her blood or urine or both for tests to determine the
    presence of any illicit drug; or
        (t) comply with any other conditions as may be ordered
    by the court.
    (6) A minor whose case is continued under supervision under
subsection (5) shall be given a certificate setting forth the
conditions imposed by the court. Those conditions may be
reduced, enlarged, or modified by the court on motion of the
probation officer or on its own motion, or that of the State's
Attorney, or, at the request of the minor after notice and
hearing.
    (7) If a petition is filed charging a violation of a
condition of the continuance under supervision, the court shall
conduct a hearing. If the court finds that a condition of
supervision has not been fulfilled, the court may proceed to
findings and adjudication and disposition. The filing of a
petition for violation of a condition of the continuance under
supervision shall toll the period of continuance under
supervision until the final determination of the charge, and
the term of the continuance under supervision shall not run
until the hearing and disposition of the petition for
violation; provided where the petition alleges conduct that
does not constitute a criminal offense, the hearing must be
held within 30 days of the filing of the petition unless a
delay shall continue the tolling of the period of continuance
under supervision for the period of the delay.
    (8) When a hearing in which a minor is alleged to be a
delinquent for reasons that include a violation of Section
21-1.3 of the Criminal Code of 1961 or the Criminal Code of
2012 is continued under this Section, the court shall, as a
condition of the continuance under supervision, require the
minor to perform community service for not less than 30 and not
more than 120 hours, if community service is available in the
jurisdiction. The community service shall include, but need not
be limited to, the cleanup and repair of the damage that was
caused by the alleged violation or similar damage to property
located in the municipality or county in which the alleged
violation occurred. The condition may be in addition to any
other condition.
    (8.5) When a hearing in which a minor is alleged to be a
delinquent for reasons that include a violation of Section 3.02
or Section 3.03 of the Humane Care for Animals Act or paragraph
(d) of subsection (1) of Section 21-1 of the Criminal Code of
1961 or paragraph (4) of subsection (a) of Section 21-1 or the
Criminal Code of 2012 is continued under this Section, the
court shall, as a condition of the continuance under
supervision, require the minor to undergo medical or
psychiatric treatment rendered by a psychiatrist or
psychological treatment rendered by a clinical psychologist.
The condition may be in addition to any other condition.
    (9) When a hearing in which a minor is alleged to be a
delinquent is continued under this Section, the court, before
continuing the case, shall make a finding whether the offense
alleged to have been committed either: (i) was related to or in
furtherance of the activities of an organized gang or was
motivated by the minor's membership in or allegiance to an
organized gang, or (ii) is a violation of paragraph (13) of
subsection (a) of Section 12-2 or paragraph (2) of subsection
(c) of Section 12-2 of the Criminal Code of 1961 or the
Criminal Code of 2012, a violation of any Section of Article 24
of the Criminal Code of 1961 or the Criminal Code of 2012, or a
violation of any statute that involved the unlawful use of a
firearm. If the court determines the question in the
affirmative the court shall, as a condition of the continuance
under supervision and as part of or in addition to any other
condition of the supervision, require the minor to perform
community service for not less than 30 hours, provided that
community service is available in the jurisdiction and is
funded and approved by the county board of the county where the
offense was committed. The community service shall include, but
need not be limited to, the cleanup and repair of any damage
caused by an alleged violation of Section 21-1.3 of the
Criminal Code of 1961 or the Criminal Code of 2012 and similar
damage to property located in the municipality or county in
which the alleged violation occurred. When possible and
reasonable, the community service shall be performed in the
minor's neighborhood. For the purposes of this Section,
"organized gang" has the meaning ascribed to it in Section 10
of the Illinois Streetgang Terrorism Omnibus Prevention Act.
    (10) The court shall impose upon a minor placed on
supervision, as a condition of the supervision, a fee of $50
for each month of supervision ordered by the court, unless
after determining the inability of the minor placed on
supervision to pay the fee, the court assesses a lesser amount.
The court may not impose the fee on a minor who is made a ward
of the State under this Act while the minor is in placement.
The fee shall be imposed only upon a minor who is actively
supervised by the probation and court services department. A
court may order the parent, guardian, or legal custodian of the
minor to pay some or all of the fee on the minor's behalf.
    (11) If a minor is placed on supervision for a violation of
subsection (a-7) of Section 1 of the Prevention of Tobacco Use
by Minors Act, the court may, in its discretion, and upon
recommendation by the State's Attorney, order that minor and
his or her parents or legal guardian to attend a smoker's
education or youth diversion program as defined in that Act if
that program is available in the jurisdiction where the
offender resides. Attendance at a smoker's education or youth
diversion program shall be time-credited against any community
service time imposed for any first violation of subsection
(a-7) of Section 1 of that Act. In addition to any other
penalty that the court may impose for a violation of subsection
(a-7) of Section 1 of that Act, the court, upon request by the
State's Attorney, may in its discretion require the offender to
remit a fee for his or her attendance at a smoker's education
or youth diversion program.
    For purposes of this Section, "smoker's education program"
or "youth diversion program" includes, but is not limited to, a
seminar designed to educate a person on the physical and
psychological effects of smoking tobacco products and the
health consequences of smoking tobacco products that can be
conducted with a locality's youth diversion program.
    In addition to any other penalty that the court may impose
under this subsection (11):
        (a) If a minor violates subsection (a-7) of Section 1
    of the Prevention of Tobacco Use by Minors Act, the court
    may impose a sentence of 15 hours of community service or a
    fine of $25 for a first violation.
        (b) A second violation by a minor of subsection (a-7)
    of Section 1 of that Act that occurs within 12 months after
    the first violation is punishable by a fine of $50 and 25
    hours of community service.
        (c) A third or subsequent violation by a minor of
    subsection (a-7) of Section 1 of that Act that occurs
    within 12 months after the first violation is punishable by
    a $100 fine and 30 hours of community service.
        (d) Any second or subsequent violation not within the
    12-month time period after the first violation is
    punishable as provided for a first violation.
(Source: P.A. 96-179, eff. 8-10-09; 96-1414, eff. 1-1-11.)
 
    (705 ILCS 405/5-710)
    Sec. 5-710. Kinds of sentencing orders.
    (1) The following kinds of sentencing orders may be made in
respect of wards of the court:
        (a) Except as provided in Sections 5-805, 5-810, 5-815,
    a minor who is found guilty under Section 5-620 may be:
            (i) put on probation or conditional discharge and
        released to his or her parents, guardian or legal
        custodian, provided, however, that any such minor who
        is not committed to the Department of Juvenile Justice
        under this subsection and who is found to be a
        delinquent for an offense which is first degree murder,
        a Class X felony, or a forcible felony shall be placed
        on probation;
            (ii) placed in accordance with Section 5-740, with
        or without also being put on probation or conditional
        discharge;
            (iii) required to undergo a substance abuse
        assessment conducted by a licensed provider and
        participate in the indicated clinical level of care;
            (iv) placed in the guardianship of the Department
        of Children and Family Services, but only if the
        delinquent minor is under 15 years of age or, pursuant
        to Article II of this Act, a minor for whom an
        independent basis of abuse, neglect, or dependency
        exists. An independent basis exists when the
        allegations or adjudication of abuse, neglect, or
        dependency do not arise from the same facts, incident,
        or circumstances which give rise to a charge or
        adjudication of delinquency;
            (v) placed in detention for a period not to exceed
        30 days, either as the exclusive order of disposition
        or, where appropriate, in conjunction with any other
        order of disposition issued under this paragraph,
        provided that any such detention shall be in a juvenile
        detention home and the minor so detained shall be 10
        years of age or older. However, the 30-day limitation
        may be extended by further order of the court for a
        minor under age 15 committed to the Department of
        Children and Family Services if the court finds that
        the minor is a danger to himself or others. The minor
        shall be given credit on the sentencing order of
        detention for time spent in detention under Sections
        5-501, 5-601, 5-710, or 5-720 of this Article as a
        result of the offense for which the sentencing order
        was imposed. The court may grant credit on a sentencing
        order of detention entered under a violation of
        probation or violation of conditional discharge under
        Section 5-720 of this Article for time spent in
        detention before the filing of the petition alleging
        the violation. A minor shall not be deprived of credit
        for time spent in detention before the filing of a
        violation of probation or conditional discharge
        alleging the same or related act or acts;
            (vi) ordered partially or completely emancipated
        in accordance with the provisions of the Emancipation
        of Minors Act;
            (vii) subject to having his or her driver's license
        or driving privileges suspended for such time as
        determined by the court but only until he or she
        attains 18 years of age;
            (viii) put on probation or conditional discharge
        and placed in detention under Section 3-6039 of the
        Counties Code for a period not to exceed the period of
        incarceration permitted by law for adults found guilty
        of the same offense or offenses for which the minor was
        adjudicated delinquent, and in any event no longer than
        upon attainment of age 21; this subdivision (viii)
        notwithstanding any contrary provision of the law;
            (ix) ordered to undergo a medical or other
        procedure to have a tattoo symbolizing allegiance to a
        street gang removed from his or her body; or
            (x) placed in electronic home detention under Part
        7A of this Article.
        (b) A minor found to be guilty may be committed to the
    Department of Juvenile Justice under Section 5-750 if the
    minor is 13 years of age or older, provided that the
    commitment to the Department of Juvenile Justice shall be
    made only if a term of incarceration is permitted by law
    for adults found guilty of the offense for which the minor
    was adjudicated delinquent. The time during which a minor
    is in custody before being released upon the request of a
    parent, guardian or legal custodian shall be considered as
    time spent in detention.
        (c) When a minor is found to be guilty for an offense
    which is a violation of the Illinois Controlled Substances
    Act, the Cannabis Control Act, or the Methamphetamine
    Control and Community Protection Act and made a ward of the
    court, the court may enter a disposition order requiring
    the minor to undergo assessment, counseling or treatment in
    a substance abuse program approved by the Department of
    Human Services.
    (2) Any sentencing order other than commitment to the
Department of Juvenile Justice may provide for protective
supervision under Section 5-725 and may include an order of
protection under Section 5-730.
    (3) Unless the sentencing order expressly so provides, it
does not operate to close proceedings on the pending petition,
but is subject to modification until final closing and
discharge of the proceedings under Section 5-750.
    (4) In addition to any other sentence, the court may order
any minor found to be delinquent to make restitution, in
monetary or non-monetary form, under the terms and conditions
of Section 5-5-6 of the Unified Code of Corrections, except
that the "presentencing hearing" referred to in that Section
shall be the sentencing hearing for purposes of this Section.
The parent, guardian or legal custodian of the minor may be
ordered by the court to pay some or all of the restitution on
the minor's behalf, pursuant to the Parental Responsibility
Law. The State's Attorney is authorized to act on behalf of any
victim in seeking restitution in proceedings under this
Section, up to the maximum amount allowed in Section 5 of the
Parental Responsibility Law.
    (5) Any sentencing order where the minor is committed or
placed in accordance with Section 5-740 shall provide for the
parents or guardian of the estate of the minor to pay to the
legal custodian or guardian of the person of the minor such
sums as are determined by the custodian or guardian of the
person of the minor as necessary for the minor's needs. The
payments may not exceed the maximum amounts provided for by
Section 9.1 of the Children and Family Services Act.
    (6) Whenever the sentencing order requires the minor to
attend school or participate in a program of training, the
truant officer or designated school official shall regularly
report to the court if the minor is a chronic or habitual
truant under Section 26-2a of the School Code. Notwithstanding
any other provision of this Act, in instances in which
educational services are to be provided to a minor in a
residential facility where the minor has been placed by the
court, costs incurred in the provision of those educational
services must be allocated based on the requirements of the
School Code.
    (7) In no event shall a guilty minor be committed to the
Department of Juvenile Justice for a period of time in excess
of that period for which an adult could be committed for the
same act.
    (8) A minor found to be guilty for reasons that include a
violation of Section 21-1.3 of the Criminal Code of 1961 or the
Criminal Code of 2012 shall be ordered to perform community
service for not less than 30 and not more than 120 hours, if
community service is available in the jurisdiction. The
community service shall include, but need not be limited to,
the cleanup and repair of the damage that was caused by the
violation or similar damage to property located in the
municipality or county in which the violation occurred. The
order may be in addition to any other order authorized by this
Section.
    (8.5) A minor found to be guilty for reasons that include a
violation of Section 3.02 or Section 3.03 of the Humane Care
for Animals Act or paragraph (d) of subsection (1) of Section
21-1 of the Criminal Code of 1961 or paragraph (4) of
subsection (a) of Section 21-1 of the Criminal Code of 2012
shall be ordered to undergo medical or psychiatric treatment
rendered by a psychiatrist or psychological treatment rendered
by a clinical psychologist. The order may be in addition to any
other order authorized by this Section.
    (9) In addition to any other sentencing order, the court
shall order any minor found to be guilty for an act which would
constitute, predatory criminal sexual assault of a child,
aggravated criminal sexual assault, criminal sexual assault,
aggravated criminal sexual abuse, or criminal sexual abuse if
committed by an adult to undergo medical testing to determine
whether the defendant has any sexually transmissible disease
including a test for infection with human immunodeficiency
virus (HIV) or any other identified causative agency of
acquired immunodeficiency syndrome (AIDS). Any medical test
shall be performed only by appropriately licensed medical
practitioners and may include an analysis of any bodily fluids
as well as an examination of the minor's person. Except as
otherwise provided by law, the results of the test shall be
kept strictly confidential by all medical personnel involved in
the testing and must be personally delivered in a sealed
envelope to the judge of the court in which the sentencing
order was entered for the judge's inspection in camera. Acting
in accordance with the best interests of the victim and the
public, the judge shall have the discretion to determine to
whom the results of the testing may be revealed. The court
shall notify the minor of the results of the test for infection
with the human immunodeficiency virus (HIV). The court shall
also notify the victim if requested by the victim, and if the
victim is under the age of 15 and if requested by the victim's
parents or legal guardian, the court shall notify the victim's
parents or the legal guardian, of the results of the test for
infection with the human immunodeficiency virus (HIV). The
court shall provide information on the availability of HIV
testing and counseling at the Department of Public Health
facilities to all parties to whom the results of the testing
are revealed. The court shall order that the cost of any test
shall be paid by the county and may be taxed as costs against
the minor.
    (10) When a court finds a minor to be guilty the court
shall, before entering a sentencing order under this Section,
make a finding whether the offense committed either: (a) was
related to or in furtherance of the criminal activities of an
organized gang or was motivated by the minor's membership in or
allegiance to an organized gang, or (b) involved a violation of
subsection (a) of Section 12-7.1 of the Criminal Code of 1961
or the Criminal Code of 2012, a violation of any Section of
Article 24 of the Criminal Code of 1961 or the Criminal Code of
2012, or a violation of any statute that involved the wrongful
use of a firearm. If the court determines the question in the
affirmative, and the court does not commit the minor to the
Department of Juvenile Justice, the court shall order the minor
to perform community service for not less than 30 hours nor
more than 120 hours, provided that community service is
available in the jurisdiction and is funded and approved by the
county board of the county where the offense was committed. The
community service shall include, but need not be limited to,
the cleanup and repair of any damage caused by a violation of
Section 21-1.3 of the Criminal Code of 1961 or the Criminal
Code of 2012 and similar damage to property located in the
municipality or county in which the violation occurred. When
possible and reasonable, the community service shall be
performed in the minor's neighborhood. This order shall be in
addition to any other order authorized by this Section except
for an order to place the minor in the custody of the
Department of Juvenile Justice. For the purposes of this
Section, "organized gang" has the meaning ascribed to it in
Section 10 of the Illinois Streetgang Terrorism Omnibus
Prevention Act.
    (11) If the court determines that the offense was committed
in furtherance of the criminal activities of an organized gang,
as provided in subsection (10), and that the offense involved
the operation or use of a motor vehicle or the use of a
driver's license or permit, the court shall notify the
Secretary of State of that determination and of the period for
which the minor shall be denied driving privileges. If, at the
time of the determination, the minor does not hold a driver's
license or permit, the court shall provide that the minor shall
not be issued a driver's license or permit until his or her
18th birthday. If the minor holds a driver's license or permit
at the time of the determination, the court shall provide that
the minor's driver's license or permit shall be revoked until
his or her 21st birthday, or until a later date or occurrence
determined by the court. If the minor holds a driver's license
at the time of the determination, the court may direct the
Secretary of State to issue the minor a judicial driving
permit, also known as a JDP. The JDP shall be subject to the
same terms as a JDP issued under Section 6-206.1 of the
Illinois Vehicle Code, except that the court may direct that
the JDP be effective immediately.
    (12) If a minor is found to be guilty of a violation of
subsection (a-7) of Section 1 of the Prevention of Tobacco Use
by Minors Act, the court may, in its discretion, and upon
recommendation by the State's Attorney, order that minor and
his or her parents or legal guardian to attend a smoker's
education or youth diversion program as defined in that Act if
that program is available in the jurisdiction where the
offender resides. Attendance at a smoker's education or youth
diversion program shall be time-credited against any community
service time imposed for any first violation of subsection
(a-7) of Section 1 of that Act. In addition to any other
penalty that the court may impose for a violation of subsection
(a-7) of Section 1 of that Act, the court, upon request by the
State's Attorney, may in its discretion require the offender to
remit a fee for his or her attendance at a smoker's education
or youth diversion program.
    For purposes of this Section, "smoker's education program"
or "youth diversion program" includes, but is not limited to, a
seminar designed to educate a person on the physical and
psychological effects of smoking tobacco products and the
health consequences of smoking tobacco products that can be
conducted with a locality's youth diversion program.
    In addition to any other penalty that the court may impose
under this subsection (12):
        (a) If a minor violates subsection (a-7) of Section 1
    of the Prevention of Tobacco Use by Minors Act, the court
    may impose a sentence of 15 hours of community service or a
    fine of $25 for a first violation.
        (b) A second violation by a minor of subsection (a-7)
    of Section 1 of that Act that occurs within 12 months after
    the first violation is punishable by a fine of $50 and 25
    hours of community service.
        (c) A third or subsequent violation by a minor of
    subsection (a-7) of Section 1 of that Act that occurs
    within 12 months after the first violation is punishable by
    a $100 fine and 30 hours of community service.
        (d) Any second or subsequent violation not within the
    12-month time period after the first violation is
    punishable as provided for a first violation.
(Source: P.A. 95-337, eff. 6-1-08; 95-642, eff. 6-1-08; 95-844,
eff. 8-15-08; 95-876, eff. 8-21-08; 96-179, eff. 8-10-09;
96-293, eff. 1-1-10; 96-1000, eff. 7-2-10.)
 
    (705 ILCS 405/5-715)
    Sec. 5-715. Probation.
    (1) The period of probation or conditional discharge shall
not exceed 5 years or until the minor has attained the age of
21 years, whichever is less, except as provided in this Section
for a minor who is found to be guilty for an offense which is
first degree murder, a Class X felony or a forcible felony. The
juvenile court may terminate probation or conditional
discharge and discharge the minor at any time if warranted by
the conduct of the minor and the ends of justice; provided,
however, that the period of probation for a minor who is found
to be guilty for an offense which is first degree murder, a
Class X felony, or a forcible felony shall be at least 5 years.
    (2) The court may as a condition of probation or of
conditional discharge require that the minor:
        (a) not violate any criminal statute of any
    jurisdiction;
        (b) make a report to and appear in person before any
    person or agency as directed by the court;
        (c) work or pursue a course of study or vocational
    training;
        (d) undergo medical or psychiatric treatment, rendered
    by a psychiatrist or psychological treatment rendered by a
    clinical psychologist or social work services rendered by a
    clinical social worker, or treatment for drug addiction or
    alcoholism;
        (e) attend or reside in a facility established for the
    instruction or residence of persons on probation;
        (f) support his or her dependents, if any;
        (g) refrain from possessing a firearm or other
    dangerous weapon, or an automobile;
        (h) permit the probation officer to visit him or her at
    his or her home or elsewhere;
        (i) reside with his or her parents or in a foster home;
        (j) attend school;
        (j-5) with the consent of the superintendent of the
    facility, attend an educational program at a facility other
    than the school in which the offense was committed if he or
    she committed a crime of violence as defined in Section 2
    of the Crime Victims Compensation Act in a school, on the
    real property comprising a school, or within 1,000 feet of
    the real property comprising a school;
        (k) attend a non-residential program for youth;
        (l) make restitution under the terms of subsection (4)
    of Section 5-710;
        (m) contribute to his or her own support at home or in
    a foster home;
        (n) perform some reasonable public or community
    service;
        (o) participate with community corrections programs
    including unified delinquency intervention services
    administered by the Department of Human Services subject to
    Section 5 of the Children and Family Services Act;
        (p) pay costs;
        (q) serve a term of home confinement. In addition to
    any other applicable condition of probation or conditional
    discharge, the conditions of home confinement shall be that
    the minor:
            (i) remain within the interior premises of the
        place designated for his or her confinement during the
        hours designated by the court;
            (ii) admit any person or agent designated by the
        court into the minor's place of confinement at any time
        for purposes of verifying the minor's compliance with
        the conditions of his or her confinement; and
            (iii) use an approved electronic monitoring device
        if ordered by the court subject to Article 8A of
        Chapter V of the Unified Code of Corrections;
        (r) refrain from entering into a designated geographic
    area except upon terms as the court finds appropriate. The
    terms may include consideration of the purpose of the
    entry, the time of day, other persons accompanying the
    minor, and advance approval by a probation officer, if the
    minor has been placed on probation, or advance approval by
    the court, if the minor has been placed on conditional
    discharge;
        (s) refrain from having any contact, directly or
    indirectly, with certain specified persons or particular
    types of persons, including but not limited to members of
    street gangs and drug users or dealers;
        (s-5) undergo a medical or other procedure to have a
    tattoo symbolizing allegiance to a street gang removed from
    his or her body;
        (t) refrain from having in his or her body the presence
    of any illicit drug prohibited by the Cannabis Control Act,
    the Illinois Controlled Substances Act, or the
    Methamphetamine Control and Community Protection Act,
    unless prescribed by a physician, and shall submit samples
    of his or her blood or urine or both for tests to determine
    the presence of any illicit drug; or
        (u) comply with other conditions as may be ordered by
    the court.
    (3) The court may as a condition of probation or of
conditional discharge require that a minor found guilty on any
alcohol, cannabis, methamphetamine, or controlled substance
violation, refrain from acquiring a driver's license during the
period of probation or conditional discharge. If the minor is
in possession of a permit or license, the court may require
that the minor refrain from driving or operating any motor
vehicle during the period of probation or conditional
discharge, except as may be necessary in the course of the
minor's lawful employment.
    (3.5) The court shall, as a condition of probation or of
conditional discharge, require that a minor found to be guilty
and placed on probation for reasons that include a violation of
Section 3.02 or Section 3.03 of the Humane Care for Animals Act
or paragraph (4) of subsection (a) of Section 21-1 of the
Criminal Code of 2012 1961 undergo medical or psychiatric
treatment rendered by a psychiatrist or psychological
treatment rendered by a clinical psychologist. The condition
may be in addition to any other condition.
    (3.10) The court shall order that a minor placed on
probation or conditional discharge for a sex offense as defined
in the Sex Offender Management Board Act undergo and
successfully complete sex offender treatment. The treatment
shall be in conformance with the standards developed under the
Sex Offender Management Board Act and conducted by a treatment
provider approved by the Board. The treatment shall be at the
expense of the person evaluated based upon that person's
ability to pay for the treatment.
    (4) A minor on probation or conditional discharge shall be
given a certificate setting forth the conditions upon which he
or she is being released.
    (5) The court shall impose upon a minor placed on probation
or conditional discharge, as a condition of the probation or
conditional discharge, a fee of $50 for each month of probation
or conditional discharge supervision ordered by the court,
unless after determining the inability of the minor placed on
probation or conditional discharge to pay the fee, the court
assesses a lesser amount. The court may not impose the fee on a
minor who is made a ward of the State under this Act while the
minor is in placement. The fee shall be imposed only upon a
minor who is actively supervised by the probation and court
services department. The court may order the parent, guardian,
or legal custodian of the minor to pay some or all of the fee on
the minor's behalf.
    (6) The General Assembly finds that in order to protect the
public, the juvenile justice system must compel compliance with
the conditions of probation by responding to violations with
swift, certain, and fair punishments and intermediate
sanctions. The Chief Judge of each circuit shall adopt a system
of structured, intermediate sanctions for violations of the
terms and conditions of a sentence of supervision, probation or
conditional discharge, under this Act.
    The court shall provide as a condition of a disposition of
probation, conditional discharge, or supervision, that the
probation agency may invoke any sanction from the list of
intermediate sanctions adopted by the chief judge of the
circuit court for violations of the terms and conditions of the
sentence of probation, conditional discharge, or supervision,
subject to the provisions of Section 5-720 of this Act.
(Source: P.A. 96-1414, eff. 1-1-11; 97-1108, eff. 1-1-13.)
 
    (705 ILCS 405/5-730)
    Sec. 5-730. Order of protection.
    (1) The court may make an order of protection in assistance
of or as a condition of any other order authorized by this Act.
The order of protection may set forth reasonable conditions of
behavior to be observed for a specified period. The order may
require a person:
        (a) to stay away from the home or the minor;
        (b) to permit a parent to visit the minor at stated
    periods;
        (c) to abstain from offensive conduct against the
    minor, his or her parent or any person to whom custody of
    the minor is awarded;
        (d) to give proper attention to the care of the home;
        (e) to cooperate in good faith with an agency to which
    custody of a minor is entrusted by the court or with an
    agency or association to which the minor is referred by the
    court;
        (f) to prohibit and prevent any contact whatsoever with
    the respondent minor by a specified individual or
    individuals who are alleged in either a criminal or
    juvenile proceeding to have caused injury to a respondent
    minor or a sibling of a respondent minor;
        (g) to refrain from acts of commission or omission that
    tend to make the home not a proper place for the minor.
    (2) The court shall enter an order of protection to
prohibit and prevent any contact between a respondent minor or
a sibling of a respondent minor and any person named in a
petition seeking an order of protection who has been convicted
of heinous battery or aggravated battery under subdivision
(a)(2) of Section 12-3.05, aggravated battery of a child or
aggravated battery under subdivision (b)(1) of Section
12-3.05, criminal sexual assault, aggravated criminal sexual
assault, predatory criminal sexual assault of a child, criminal
sexual abuse, or aggravated criminal sexual abuse as described
in the Criminal Code of 1961 or the Criminal Code of 2012, or
has been convicted of an offense that resulted in the death of
a child, or has violated a previous order of protection under
this Section.
    (3) When the court issues an order of protection against
any person as provided by this Section, the court shall direct
a copy of such order to the sheriff of that county. The sheriff
shall furnish a copy of the order of protection to the
Department of State Police within 24 hours of receipt, in the
form and manner required by the Department. The Department of
State Police shall maintain a complete record and index of the
orders of protection and make this data available to all local
law enforcement agencies.
    (4) After notice and opportunity for hearing afforded to a
person subject to an order of protection, the order may be
modified or extended for a further specified period or both or
may be terminated if the court finds that the best interests of
the minor and the public will be served by the modification,
extension, or termination.
    (5) An order of protection may be sought at any time during
the course of any proceeding conducted under this Act. Any
person against whom an order of protection is sought may retain
counsel to represent him or her at a hearing, and has rights to
be present at the hearing, to be informed prior to the hearing
in writing of the contents of the petition seeking a protective
order and of the date, place, and time of the hearing, and to
cross-examine witnesses called by the petitioner and to present
witnesses and argument in opposition to the relief sought in
the petition.
    (6) Diligent efforts shall be made by the petitioner to
serve any person or persons against whom any order of
protection is sought with written notice of the contents of the
petition seeking a protective order and of the date, place and
time at which the hearing on the petition is to be held. When a
protective order is being sought in conjunction with a shelter
care or detention hearing, if the court finds that the person
against whom the protective order is being sought has been
notified of the hearing or that diligent efforts have been made
to notify the person, the court may conduct a hearing. If a
protective order is sought at any time other than in
conjunction with a shelter care or detention hearing, the court
may not conduct a hearing on the petition in the absence of the
person against whom the order is sought unless the petitioner
has notified the person by personal service at least 3 days
before the hearing or has sent written notice by first class
mail to the person's last known address at least 5 days before
the hearing.
    (7) A person against whom an order of protection is being
sought who is neither a parent, guardian, or legal custodian or
responsible relative as described in Section 1-5 of this Act or
is not a party or respondent as defined in that Section shall
not be entitled to the rights provided in that Section. The
person does not have a right to appointed counsel or to be
present at any hearing other than the hearing in which the
order of protection is being sought or a hearing directly
pertaining to that order. Unless the court orders otherwise,
the person does not have a right to inspect the court file.
    (8) All protective orders entered under this Section shall
be in writing. Unless the person against whom the order was
obtained was present in court when the order was issued, the
sheriff, other law enforcement official, or special process
server shall promptly serve that order upon that person and
file proof of that service, in the manner provided for service
of process in civil proceedings. The person against whom the
protective order was obtained may seek a modification of the
order by filing a written motion to modify the order within 7
days after actual receipt by the person of a copy of the order.
(Source: P.A. 96-1551, Article 1, Section 955, eff. 7-1-11;
96-1551, Article 2, Section 1030, eff. 7-1-11; 97-1109, eff.
1-1-13.)
 
    (705 ILCS 405/5-805)
    Sec. 5-805. Transfer of jurisdiction.
    (1) Mandatory transfers.
        (a) If a petition alleges commission by a minor 15
    years of age or older of an act that constitutes a forcible
    felony under the laws of this State, and if a motion by the
    State's Attorney to prosecute the minor under the criminal
    laws of Illinois for the alleged forcible felony alleges
    that (i) the minor has previously been adjudicated
    delinquent or found guilty for commission of an act that
    constitutes a felony under the laws of this State or any
    other state and (ii) the act that constitutes the offense
    was committed in furtherance of criminal activity by an
    organized gang, the Juvenile Judge assigned to hear and
    determine those motions shall, upon determining that there
    is probable cause that both allegations are true, enter an
    order permitting prosecution under the criminal laws of
    Illinois.
        (b) If a petition alleges commission by a minor 15
    years of age or older of an act that constitutes a felony
    under the laws of this State, and if a motion by a State's
    Attorney to prosecute the minor under the criminal laws of
    Illinois for the alleged felony alleges that (i) the minor
    has previously been adjudicated delinquent or found guilty
    for commission of an act that constitutes a forcible felony
    under the laws of this State or any other state and (ii)
    the act that constitutes the offense was committed in
    furtherance of criminal activities by an organized gang,
    the Juvenile Judge assigned to hear and determine those
    motions shall, upon determining that there is probable
    cause that both allegations are true, enter an order
    permitting prosecution under the criminal laws of
    Illinois.
        (c) If a petition alleges commission by a minor 15
    years of age or older of: (i) an act that constitutes an
    offense enumerated in the presumptive transfer provisions
    of subsection (2); and (ii) the minor has previously been
    adjudicated delinquent or found guilty of a forcible
    felony, the Juvenile Judge designated to hear and determine
    those motions shall, upon determining that there is
    probable cause that both allegations are true, enter an
    order permitting prosecution under the criminal laws of
    Illinois.
        (d) If a petition alleges commission by a minor 15
    years of age or older of an act that constitutes the
    offense of aggravated discharge of a firearm committed in a
    school, on the real property comprising a school, within
    1,000 feet of the real property comprising a school, at a
    school related activity, or on, boarding, or departing from
    any conveyance owned, leased, or contracted by a school or
    school district to transport students to or from school or
    a school related activity, regardless of the time of day or
    the time of year, the juvenile judge designated to hear and
    determine those motions shall, upon determining that there
    is probable cause that the allegations are true, enter an
    order permitting prosecution under the criminal laws of
    Illinois.
        For purposes of this paragraph (d) of subsection (1):
        "School" means a public or private elementary or
    secondary school, community college, college, or
    university.
        "School related activity" means any sporting, social,
    academic, or other activity for which students' attendance
    or participation is sponsored, organized, or funded in
    whole or in part by a school or school district.
    (2) Presumptive transfer.
        (a) If the State's Attorney files a petition, at any
    time prior to commencement of the minor's trial, to permit
    prosecution under the criminal laws and the petition
    alleges the commission by a minor 15 years of age or older
    of: (i) a Class X felony other than armed violence; (ii)
    aggravated discharge of a firearm; (iii) armed violence
    with a firearm when the predicate offense is a Class 1 or
    Class 2 felony and the State's Attorney's motion to
    transfer the case alleges that the offense committed is in
    furtherance of the criminal activities of an organized
    gang; (iv) armed violence with a firearm when the predicate
    offense is a violation of the Illinois Controlled
    Substances Act, a violation of the Cannabis Control Act, or
    a violation of the Methamphetamine Control and Community
    Protection Act; (v) armed violence when the weapon involved
    was a machine gun or other weapon described in subsection
    (a)(7) of Section 24-1 of the Criminal Code of 1961 or the
    Criminal Code of 2012; (vi) an act in violation of Section
    401 of the Illinois Controlled Substances Act which is a
    Class X felony, while in a school, regardless of the time
    of day or the time of year, or on any conveyance owned,
    leased, or contracted by a school to transport students to
    or from school or a school related activity, or on
    residential property owned, operated, or managed by a
    public housing agency or leased by a public housing agency
    as part of a scattered site or mixed-income development; or
    (vii) an act in violation of Section 401 of the Illinois
    Controlled Substances Act and the offense is alleged to
    have occurred while in a school or on a public way within
    1,000 feet of the real property comprising any school,
    regardless of the time of day or the time of year when the
    delivery or intended delivery of any amount of the
    controlled substance is to a person under 17 years of age,
    (to qualify for a presumptive transfer under paragraph (vi)
    or (vii) of this clause (2)(a), the violation cannot be
    based upon subsection (b) of Section 407 of the Illinois
    Controlled Substances Act) and, if the juvenile judge
    assigned to hear and determine motions to transfer a case
    for prosecution in the criminal court determines that there
    is probable cause to believe that the allegations in the
    petition and motion are true, there is a rebuttable
    presumption that the minor is not a fit and proper subject
    to be dealt with under the Juvenile Justice Reform
    Provisions of 1998 (Public Act 90-590), and that, except as
    provided in paragraph (b), the case should be transferred
    to the criminal court.
        (b) The judge shall enter an order permitting
    prosecution under the criminal laws of Illinois unless the
    judge makes a finding based on clear and convincing
    evidence that the minor would be amenable to the care,
    treatment, and training programs available through the
    facilities of the juvenile court based on an evaluation of
    the following:
            (i) the age of the minor;
            (ii) the history of the minor, including:
                (A) any previous delinquent or criminal
            history of the minor,
                (B) any previous abuse or neglect history of
            the minor, and
                (C) any mental health, physical or educational
            history of the minor or combination of these
            factors;
            (iii) the circumstances of the offense, including:
                (A) the seriousness of the offense,
                (B) whether the minor is charged through
            accountability,
                (C) whether there is evidence the offense was
            committed in an aggressive and premeditated
            manner,
                (D) whether there is evidence the offense
            caused serious bodily harm,
                (E) whether there is evidence the minor
            possessed a deadly weapon;
            (iv) the advantages of treatment within the
        juvenile justice system including whether there are
        facilities or programs, or both, particularly
        available in the juvenile system;
            (v) whether the security of the public requires
        sentencing under Chapter V of the Unified Code of
        Corrections:
                (A) the minor's history of services, including
            the minor's willingness to participate
            meaningfully in available services;
                (B) whether there is a reasonable likelihood
            that the minor can be rehabilitated before the
            expiration of the juvenile court's jurisdiction;
                (C) the adequacy of the punishment or
            services.
        In considering these factors, the court shall give
    greater weight to the seriousness of the alleged offense
    and the minor's prior record of delinquency than to the
    other factors listed in this subsection.
    For purposes of clauses (2)(a)(vi) and (vii):
    "School" means a public or private elementary or secondary
school, community college, college, or university.
    "School related activity" means any sporting, social,
academic, or other activity for which students' attendance or
participation is sponsored, organized, or funded in whole or in
part by a school or school district.
    (3) Discretionary transfer.
        (a) If a petition alleges commission by a minor 13
    years of age or over of an act that constitutes a crime
    under the laws of this State and, on motion of the State's
    Attorney to permit prosecution of the minor under the
    criminal laws, a Juvenile Judge assigned by the Chief Judge
    of the Circuit to hear and determine those motions, after
    hearing but before commencement of the trial, finds that
    there is probable cause to believe that the allegations in
    the motion are true and that it is not in the best
    interests of the public to proceed under this Act, the
    court may enter an order permitting prosecution under the
    criminal laws.
        (b) In making its determination on the motion to permit
    prosecution under the criminal laws, the court shall
    consider among other matters:
            (i) the age of the minor;
            (ii) the history of the minor, including:
                (A) any previous delinquent or criminal
            history of the minor,
                (B) any previous abuse or neglect history of
            the minor, and
                (C) any mental health, physical, or
            educational history of the minor or combination of
            these factors;
            (iii) the circumstances of the offense, including:
                (A) the seriousness of the offense,
                (B) whether the minor is charged through
            accountability,
                (C) whether there is evidence the offense was
            committed in an aggressive and premeditated
            manner,
                (D) whether there is evidence the offense
            caused serious bodily harm,
                (E) whether there is evidence the minor
            possessed a deadly weapon;
            (iv) the advantages of treatment within the
        juvenile justice system including whether there are
        facilities or programs, or both, particularly
        available in the juvenile system;
            (v) whether the security of the public requires
        sentencing under Chapter V of the Unified Code of
        Corrections:
                (A) the minor's history of services, including
            the minor's willingness to participate
            meaningfully in available services;
                (B) whether there is a reasonable likelihood
            that the minor can be rehabilitated before the
            expiration of the juvenile court's jurisdiction;
                (C) the adequacy of the punishment or
            services.
        In considering these factors, the court shall give
    greater weight to the seriousness of the alleged offense
    and the minor's prior record of delinquency than to the
    other factors listed in this subsection.
    (4) The rules of evidence for this hearing shall be the
same as under Section 5-705 of this Act. A minor must be
represented in court by counsel before the hearing may be
commenced.
    (5) If criminal proceedings are instituted, the petition
for adjudication of wardship shall be dismissed insofar as the
act or acts involved in the criminal proceedings. Taking of
evidence in a trial on petition for adjudication of wardship is
a bar to criminal proceedings based upon the conduct alleged in
the petition.
(Source: P.A. 94-556, eff. 9-11-05; 94-574, eff. 8-12-05;
95-331, eff. 8-21-07.)
 
    (705 ILCS 405/5-901)
    Sec. 5-901. Court file.
    (1) The Court file with respect to proceedings under this
Article shall consist of the petitions, pleadings, victim
impact statements, process, service of process, orders, writs
and docket entries reflecting hearings held and judgments and
decrees entered by the court. The court file shall be kept
separate from other records of the court.
        (a) The file, including information identifying the
    victim or alleged victim of any sex offense, shall be
    disclosed only to the following parties when necessary for
    discharge of their official duties:
            (i) A judge of the circuit court and members of the
        staff of the court designated by the judge;
            (ii) Parties to the proceedings and their
        attorneys;
            (iii) Victims and their attorneys, except in cases
        of multiple victims of sex offenses in which case the
        information identifying the nonrequesting victims
        shall be redacted;
            (iv) Probation officers, law enforcement officers
        or prosecutors or their staff;
            (v) Adult and juvenile Prisoner Review Boards.
        (b) The Court file redacted to remove any information
    identifying the victim or alleged victim of any sex offense
    shall be disclosed only to the following parties when
    necessary for discharge of their official duties:
            (i) Authorized military personnel;
            (ii) Persons engaged in bona fide research, with
        the permission of the judge of the juvenile court and
        the chief executive of the agency that prepared the
        particular recording: provided that publication of
        such research results in no disclosure of a minor's
        identity and protects the confidentiality of the
        record;
            (iii) The Secretary of State to whom the Clerk of
        the Court shall report the disposition of all cases, as
        required in Section 6-204 or Section 6-205.1 of the
        Illinois Vehicle Code. However, information reported
        relative to these offenses shall be privileged and
        available only to the Secretary of State, courts, and
        police officers;
            (iv) The administrator of a bonafide substance
        abuse student assistance program with the permission
        of the presiding judge of the juvenile court;
            (v) Any individual, or any public or private agency
        or institution, having custody of the juvenile under
        court order or providing educational, medical or
        mental health services to the juvenile or a
        court-approved advocate for the juvenile or any
        placement provider or potential placement provider as
        determined by the court.
    (3) A minor who is the victim or alleged victim in a
juvenile proceeding shall be provided the same confidentiality
regarding disclosure of identity as the minor who is the
subject of record. Information identifying victims and alleged
victims of sex offenses, shall not be disclosed or open to
public inspection under any circumstances. Nothing in this
Section shall prohibit the victim or alleged victim of any sex
offense from voluntarily disclosing his or her identity.
    (4) Relevant information, reports and records shall be made
available to the Department of Juvenile Justice when a juvenile
offender has been placed in the custody of the Department of
Juvenile Justice.
    (5) Except as otherwise provided in this subsection (5),
juvenile court records shall not be made available to the
general public but may be inspected by representatives of
agencies, associations and news media or other properly
interested persons by general or special order of the court.
The State's Attorney, the minor, his or her parents, guardian
and counsel shall at all times have the right to examine court
files and records.
        (a) The court shall allow the general public to have
    access to the name, address, and offense of a minor who is
    adjudicated a delinquent minor under this Act under either
    of the following circumstances:
            (i) The adjudication of delinquency was based upon
        the minor's commission of first degree murder, attempt
        to commit first degree murder, aggravated criminal
        sexual assault, or criminal sexual assault; or
            (ii) The court has made a finding that the minor
        was at least 13 years of age at the time the act was
        committed and the adjudication of delinquency was
        based upon the minor's commission of: (A) an act in
        furtherance of the commission of a felony as a member
        of or on behalf of a criminal street gang, (B) an act
        involving the use of a firearm in the commission of a
        felony, (C) an act that would be a Class X felony
        offense under or the minor's second or subsequent Class
        2 or greater felony offense under the Cannabis Control
        Act if committed by an adult, (D) an act that would be
        a second or subsequent offense under Section 402 of the
        Illinois Controlled Substances Act if committed by an
        adult, (E) an act that would be an offense under
        Section 401 of the Illinois Controlled Substances Act
        if committed by an adult, or (F) an act that would be
        an offense under the Methamphetamine Control and
        Community Protection Act if committed by an adult.
        (b) The court shall allow the general public to have
    access to the name, address, and offense of a minor who is
    at least 13 years of age at the time the offense is
    committed and who is convicted, in criminal proceedings
    permitted or required under Section 5-805, under either of
    the following circumstances:
            (i) The minor has been convicted of first degree
        murder, attempt to commit first degree murder,
        aggravated criminal sexual assault, or criminal sexual
        assault,
            (ii) The court has made a finding that the minor
        was at least 13 years of age at the time the offense
        was committed and the conviction was based upon the
        minor's commission of: (A) an offense in furtherance of
        the commission of a felony as a member of or on behalf
        of a criminal street gang, (B) an offense involving the
        use of a firearm in the commission of a felony, (C) a
        Class X felony offense under the Cannabis Control Act
        or a second or subsequent Class 2 or greater felony
        offense under the Cannabis Control Act, (D) a second or
        subsequent offense under Section 402 of the Illinois
        Controlled Substances Act, (E) an offense under
        Section 401 of the Illinois Controlled Substances Act,
        or (F) an offense under the Methamphetamine Control and
        Community Protection Act.
    (6) Nothing in this Section shall be construed to limit the
use of a adjudication of delinquency as evidence in any
juvenile or criminal proceeding, where it would otherwise be
admissible under the rules of evidence, including but not
limited to, use as impeachment evidence against any witness,
including the minor if he or she testifies.
    (7) Nothing in this Section shall affect the right of a
Civil Service Commission or appointing authority examining the
character and fitness of an applicant for a position as a law
enforcement officer to ascertain whether that applicant was
ever adjudicated to be a delinquent minor and, if so, to
examine the records or evidence which were made in proceedings
under this Act.
    (8) Following any adjudication of delinquency for a crime
which would be a felony if committed by an adult, or following
any adjudication of delinquency for a violation of Section
24-1, 24-3, 24-3.1, or 24-5 of the Criminal Code of 1961 or the
Criminal Code of 2012, the State's Attorney shall ascertain
whether the minor respondent is enrolled in school and, if so,
shall provide a copy of the sentencing order to the principal
or chief administrative officer of the school. Access to such
juvenile records shall be limited to the principal or chief
administrative officer of the school and any guidance counselor
designated by him or her.
    (9) Nothing contained in this Act prevents the sharing or
disclosure of information or records relating or pertaining to
juveniles subject to the provisions of the Serious Habitual
Offender Comprehensive Action Program when that information is
used to assist in the early identification and treatment of
habitual juvenile offenders.
    (11) The Clerk of the Circuit Court shall report to the
Department of State Police, in the form and manner required by
the Department of State Police, the final disposition of each
minor who has been arrested or taken into custody before his or
her 17th birthday for those offenses required to be reported
under Section 5 of the Criminal Identification Act. Information
reported to the Department under this Section may be maintained
with records that the Department files under Section 2.1 of the
Criminal Identification Act.
    (12) Information or records may be disclosed to the general
public when the court is conducting hearings under Section
5-805 or 5-810.
(Source: P.A. 94-556, eff. 9-11-05; 94-696, eff. 6-1-06.)
 
    (705 ILCS 405/5-905)
    Sec. 5-905. Law enforcement records.
    (1) Law Enforcement Records. Inspection and copying of law
enforcement records maintained by law enforcement agencies
that relate to a minor who has been arrested or taken into
custody before his or her 17th birthday shall be restricted to
the following and when necessary for the discharge of their
official duties:
        (a) A judge of the circuit court and members of the
    staff of the court designated by the judge;
        (b) Law enforcement officers, probation officers or
    prosecutors or their staff, or, when necessary for the
    discharge of its official duties in connection with a
    particular investigation of the conduct of a law
    enforcement officer, an independent agency or its staff
    created by ordinance and charged by a unit of local
    government with the duty of investigating the conduct of
    law enforcement officers;
        (c) The minor, the minor's parents or legal guardian
    and their attorneys, but only when the juvenile has been
    charged with an offense;
        (d) Adult and Juvenile Prisoner Review Boards;
        (e) Authorized military personnel;
        (f) Persons engaged in bona fide research, with the
    permission of the judge of juvenile court and the chief
    executive of the agency that prepared the particular
    recording: provided that publication of such research
    results in no disclosure of a minor's identity and protects
    the confidentiality of the record;
        (g) Individuals responsible for supervising or
    providing temporary or permanent care and custody of minors
    pursuant to orders of the juvenile court or directives from
    officials of the Department of Children and Family Services
    or the Department of Human Services who certify in writing
    that the information will not be disclosed to any other
    party except as provided under law or order of court;
        (h) The appropriate school official only if the agency
    or officer believes that there is an imminent threat of
    physical harm to students, school personnel, or others who
    are present in the school or on school grounds.
             (A) Inspection and copying shall be limited to law
        enforcement records transmitted to the appropriate
        school official or officials whom the school has
        determined to have a legitimate educational or safety
        interest by a local law enforcement agency under a
        reciprocal reporting system established and maintained
        between the school district and the local law
        enforcement agency under Section 10-20.14 of the
        School Code concerning a minor enrolled in a school
        within the school district who has been arrested or
        taken into custody for any of the following offenses:
                (i) any violation of Article 24 of the Criminal
            Code of 1961 or the Criminal Code of 2012;
                (ii) a violation of the Illinois Controlled
            Substances Act;
                (iii) a violation of the Cannabis Control Act;
                (iv) a forcible felony as defined in Section
            2-8 of the Criminal Code of 1961 or the Criminal
            Code of 2012;
                (v) a violation of the Methamphetamine Control
            and Community Protection Act;
                (vi) a violation of Section 1-2 of the
            Harassing and Obscene Communications Act;
                (vii) a violation of the Hazing Act; or
                (viii) a violation of Section 12-1, 12-2,
            12-3, 12-3.05, 12-3.1, 12-3.2, 12-3.4, 12-3.5,
            12-5, 12-7.3, 12-7.4, 12-7.5, 25-1, or 25-5 of the
            Criminal Code of 1961 or the Criminal Code of 2012.
            The information derived from the law enforcement
        records shall be kept separate from and shall not
        become a part of the official school record of that
        child and shall not be a public record. The information
        shall be used solely by the appropriate school official
        or officials whom the school has determined to have a
        legitimate educational or safety interest to aid in the
        proper rehabilitation of the child and to protect the
        safety of students and employees in the school. If the
        designated law enforcement and school officials deem
        it to be in the best interest of the minor, the student
        may be referred to in-school or community based social
        services if those services are available.
        "Rehabilitation services" may include interventions by
        school support personnel, evaluation for eligibility
        for special education, referrals to community-based
        agencies such as youth services, behavioral healthcare
        service providers, drug and alcohol prevention or
        treatment programs, and other interventions as deemed
        appropriate for the student.
            (B) Any information provided to appropriate school
        officials whom the school has determined to have a
        legitimate educational or safety interest by local law
        enforcement officials about a minor who is the subject
        of a current police investigation that is directly
        related to school safety shall consist of oral
        information only, and not written law enforcement
        records, and shall be used solely by the appropriate
        school official or officials to protect the safety of
        students and employees in the school and aid in the
        proper rehabilitation of the child. The information
        derived orally from the local law enforcement
        officials shall be kept separate from and shall not
        become a part of the official school record of the
        child and shall not be a public record. This limitation
        on the use of information about a minor who is the
        subject of a current police investigation shall in no
        way limit the use of this information by prosecutors in
        pursuing criminal charges arising out of the
        information disclosed during a police investigation of
        the minor. For purposes of this paragraph,
        "investigation" means an official systematic inquiry
        by a law enforcement agency into actual or suspected
        criminal activity; .
        (i) The president of a park district. Inspection and
    copying shall be limited to law enforcement records
    transmitted to the president of the park district by the
    Illinois State Police under Section 8-23 of the Park
    District Code or Section 16a-5 of the Chicago Park District
    Act concerning a person who is seeking employment with that
    park district and who has been adjudicated a juvenile
    delinquent for any of the offenses listed in subsection (c)
    of Section 8-23 of the Park District Code or subsection (c)
    of Section 16a-5 of the Chicago Park District Act.
    (2) Information identifying victims and alleged victims of
sex offenses, shall not be disclosed or open to public
inspection under any circumstances. Nothing in this Section
shall prohibit the victim or alleged victim of any sex offense
from voluntarily disclosing his or her identity.
    (2.5) If the minor is a victim of aggravated battery,
battery, attempted first degree murder, or other non-sexual
violent offense, the identity of the victim may be disclosed to
appropriate school officials, for the purpose of preventing
foreseeable future violence involving minors, by a local law
enforcement agency pursuant to an agreement established
between the school district and a local law enforcement agency
subject to the approval by the presiding judge of the juvenile
court.
    (3) Relevant information, reports and records shall be made
available to the Department of Juvenile Justice when a juvenile
offender has been placed in the custody of the Department of
Juvenile Justice.
    (4) Nothing in this Section shall prohibit the inspection
or disclosure to victims and witnesses of photographs contained
in the records of law enforcement agencies when the inspection
or disclosure is conducted in the presence of a law enforcement
officer for purposes of identification or apprehension of any
person in the course of any criminal investigation or
prosecution.
    (5) The records of law enforcement officers, or of an
independent agency created by ordinance and charged by a unit
of local government with the duty of investigating the conduct
of law enforcement officers, concerning all minors under 17
years of age must be maintained separate from the records of
adults and may not be open to public inspection or their
contents disclosed to the public except by order of the court
or when the institution of criminal proceedings has been
permitted under Section 5-130 or 5-805 or required under
Section 5-130 or 5-805 or such a person has been convicted of a
crime and is the subject of pre-sentence investigation or when
provided by law.
    (6) Except as otherwise provided in this subsection (6),
law enforcement officers, and personnel of an independent
agency created by ordinance and charged by a unit of local
government with the duty of investigating the conduct of law
enforcement officers, may not disclose the identity of any
minor in releasing information to the general public as to the
arrest, investigation or disposition of any case involving a
minor. Any victim or parent or legal guardian of a victim may
petition the court to disclose the name and address of the
minor and the minor's parents or legal guardian, or both. Upon
a finding by clear and convincing evidence that the disclosure
is either necessary for the victim to pursue a civil remedy
against the minor or the minor's parents or legal guardian, or
both, or to protect the victim's person or property from the
minor, then the court may order the disclosure of the
information to the victim or to the parent or legal guardian of
the victim only for the purpose of the victim pursuing a civil
remedy against the minor or the minor's parents or legal
guardian, or both, or to protect the victim's person or
property from the minor.
    (7) Nothing contained in this Section shall prohibit law
enforcement agencies when acting in their official capacity
from communicating with each other by letter, memorandum,
teletype or intelligence alert bulletin or other means the
identity or other relevant information pertaining to a person
under 17 years of age. The information provided under this
subsection (7) shall remain confidential and shall not be
publicly disclosed, except as otherwise allowed by law.
    (8) No person shall disclose information under this Section
except when acting in his or her official capacity and as
provided by law or order of court.
(Source: P.A. 96-419, eff. 8-13-09; 96-1414, eff. 1-1-11;
97-700, eff. 6-22-12; 97-1104, eff. 1-1-13; revised 9-20-12.)
 
    Section 605. The Criminal Code of 2012 is amended by
changing Sections 1-6, 2-13, 11-6, 11-6.5, 11-9.1, 11-9.1A,
11-9.3, 11-23, 16-1, 17-10.5, 19-6, 26.5-5, 33G-3, 36-1, 37-1,
and 48-8 as follows:
 
    (720 ILCS 5/1-6)  (from Ch. 38, par. 1-6)
    Sec. 1-6. Place of trial.
    (a) Generally.
    Criminal actions shall be tried in the county where the
offense was committed, except as otherwise provided by law. The
State is not required to prove during trial that the alleged
offense occurred in any particular county in this State. When a
defendant contests the place of trial under this Section, all
proceedings regarding this issue shall be conducted under
Section 114-1 of the Code of Criminal Procedure of 1963. All
objections of improper place of trial are waived by a defendant
unless made before trial.
    (b) Assailant and Victim in Different Counties.
    If a person committing an offense upon the person of
another is located in one county and his victim is located in
another county at the time of the commission of the offense,
trial may be had in either of said counties.
    (c) Death and Cause of Death in Different Places or
Undetermined.
    If cause of death is inflicted in one county and death
ensues in another county, the offender may be tried in either
county. If neither the county in which the cause of death was
inflicted nor the county in which death ensued are known before
trial, the offender may be tried in the county where the body
was found.
    (d) Offense Commenced Outside the State.
    If the commission of an offense commenced outside the State
is consummated within this State, the offender shall be tried
in the county where the offense is consummated.
    (e) Offenses Committed in Bordering Navigable Waters.
    If an offense is committed on any of the navigable waters
bordering on this State, the offender may be tried in any
county adjacent to such navigable water.
    (f) Offenses Committed while in Transit.
    If an offense is committed upon any railroad car, vehicle,
watercraft or aircraft passing within this State, and it cannot
readily be determined in which county the offense was
committed, the offender may be tried in any county through
which such railroad car, vehicle, watercraft or aircraft has
passed.
    (g) Theft.
    A person who commits theft of property may be tried in any
county in which he exerted control over such property.
    (h) Bigamy.
    A person who commits the offense of bigamy may be tried in
any county where the bigamous marriage or bigamous cohabitation
has occurred.
    (i) Kidnaping.
    A person who commits the offense of kidnaping may be tried
in any county in which his victim has traveled or has been
confined during the course of the offense.
    (j) Pandering.
    A person who commits the offense of pandering as set forth
in subdivision (a)(2)(A) or (a)(2)(B) of Section 11-14.3 may be
tried in any county in which the prostitution was practiced or
in any county in which any act in furtherance of the offense
shall have been committed.
    (k) Treason.
    A person who commits the offense of treason may be tried in
any county.
    (l) Criminal Defamation.
    If criminal defamation is spoken, printed or written in one
county and is received or circulated in another or other
counties, the offender shall be tried in the county where the
defamation is spoken, printed or written. If the defamation is
spoken, printed or written outside this state, or the offender
resides outside this state, the offender may be tried in any
county in this state in which the defamation was circulated or
received.
    (m) Inchoate Offenses.
    A person who commits an inchoate offense may be tried in
any county in which any act which is an element of the offense,
including the agreement in conspiracy, is committed.
    (n) Accountability for Conduct of Another.
    Where a person in one county solicits, aids, abets, agrees,
or attempts to aid another in the planning or commission of an
offense in another county, he may be tried for the offense in
either county.
    (o) Child Abduction.
    A person who commits the offense of child abduction may be
tried in any county in which his victim has traveled, been
detained, concealed or removed to during the course of the
offense. Notwithstanding the foregoing, unless for good cause
shown, the preferred place of trial shall be the county of the
residence of the lawful custodian.
    (p) A person who commits the offense of narcotics
racketeering may be tried in any county where cannabis or a
controlled substance which is the basis for the charge of
narcotics racketeering was used; acquired; transferred or
distributed to, from or through; or any county where any act
was performed to further the use; acquisition, transfer or
distribution of said cannabis or controlled substance; any
money, property, property interest, or any other asset
generated by narcotics activities was acquired, used, sold,
transferred or distributed to, from or through; or, any
enterprise interest obtained as a result of narcotics
racketeering was acquired, used, transferred or distributed
to, from or through, or where any activity was conducted by the
enterprise or any conduct to further the interests of such an
enterprise.
    (q) A person who commits the offense of money laundering
may be tried in any county where any part of a financial
transaction in criminally derived property took place or in any
county where any money or monetary instrument which is the
basis for the offense was acquired, used, sold, transferred or
distributed to, from or through.
    (r) A person who commits the offense of cannabis
trafficking or controlled substance trafficking may be tried in
any county.
    (s) A person who commits the offense of online sale of
stolen property, online theft by deception, or electronic
fencing may be tried in any county where any one or more
elements of the offense took place, regardless of whether the
element of the offense was the result of acts by the accused,
the victim or by another person, and regardless of whether the
defendant was ever physically present within the boundaries of
the county.
    (t) A person who commits the offense of identity theft or
aggravated identity theft may be tried in any one of the
following counties in which: (1) the offense occurred; (2) the
information used to commit the offense was illegally used; or
(3) the victim resides.
    If a person is charged with more than one violation of
identity theft or aggravated identity theft and those
violations may be tried in more than one county, any of those
counties is a proper venue for all of the violations.
(Source: P.A. 95-331, eff. 8-21-07; 96-1551, eff. 7-1-11.)
 
    (720 ILCS 5/2-13)  (from Ch. 38, par. 2-13)
    Sec. 2-13. "Peace officer". "Peace officer" means (i) any
person who by virtue of his office or public employment is
vested by law with a duty to maintain public order or to make
arrests for offenses, whether that duty extends to all offenses
or is limited to specific offenses, or (ii) any person who, by
statute, is granted and authorized to exercise powers similar
to those conferred upon any peace officer employed by a law
enforcement agency of this State.
    For purposes of Sections concerning unlawful use of
weapons, for the purposes of assisting an Illinois peace
officer in an arrest, or when the commission of any offense
under Illinois law is directly observed by the person, and
statutes involving the false personation of a peace officer,
false personation of a peace officer while carrying a deadly
weapon, false personation of a peace officer in attempting or
committing a felony, and false personation of a peace officer
in attempting or committing a forcible felony aggravated false
personation of a peace officer, then officers, agents, or
employees of the federal government commissioned by federal
statute to make arrests for violations of federal criminal laws
shall be considered "peace officers" under this Code,
including, but not limited to all criminal investigators of:
        (1) the United States Department of Justice, the
    Federal Bureau of Investigation, the Drug Enforcement
    Agency and the Department of Immigration and
    Naturalization;
        (2) the United States Department of the Treasury, the
    Secret Service, the Bureau of Alcohol, Tobacco and Firearms
    and the Customs Service;
        (3) the United States Internal Revenue Service;
        (4) the United States General Services Administration;
        (5) the United States Postal Service;
        (6) all United States Marshals or Deputy United States
    Marshals whose duties involve the enforcement of federal
    criminal laws; and
        (7) the United States Department of Defense.
(Source: P.A. 94-730, eff. 4-17-06; 94-846, eff. 1-1-07; 95-24,
eff. 1-1-08; 95-331, eff. 8-21-07; 95-750, eff. 7-23-08;
95-1007, eff. 12-15-08.)
 
    (720 ILCS 5/11-6)  (from Ch. 38, par. 11-6)
    Sec. 11-6. Indecent solicitation of a child.
    (a) A person of the age of 17 years and upwards commits
indecent solicitation of a child if the person, with the intent
that the offense of aggravated criminal sexual assault,
criminal sexual assault, predatory criminal sexual assault of a
child, or aggravated criminal sexual abuse be committed,
knowingly solicits a child or one whom he or she believes to be
a child to perform an act of sexual penetration or sexual
conduct as defined in Section 11-0.1 of this Code.
    (a-5) A person of the age of 17 years and upwards commits
indecent solicitation of a child if the person knowingly
discusses an act of sexual conduct or sexual penetration with a
child or with one whom he or she believes to be a child by means
of the Internet with the intent that the offense of aggravated
criminal sexual assault, predatory criminal sexual assault of a
child, or aggravated criminal sexual abuse be committed.
    (a-6) It is not a defense to subsection (a-5) that the
person did not solicit the child to perform sexual conduct or
sexual penetration with the person.
    (b) Definitions. As used in this Section:
        "Solicit" means to command, authorize, urge, incite,
    request, or advise another to perform an act by any means
    including, but not limited to, in person, over the phone,
    in writing, by computer, or by advertisement of any kind.
        "Child" means a person under 17 years of age.
        "Internet" has the meaning set forth in Section 16-0.1
    16J-5 of this Code.
        "Sexual penetration" or "sexual conduct" are defined
    in Section 11-0.1 of this Code.
    (c) Sentence. Indecent solicitation of a child under
subsection (a) is:
        (1) a Class 1 felony when the act, if done, would be
    predatory criminal sexual assault of a child or aggravated
    criminal sexual assault;
        (2) a Class 2 felony when the act, if done, would be
    criminal sexual assault;
        (3) a Class 3 felony when the act, if done, would be
    aggravated criminal sexual abuse.
    Indecent solicitation of a child under subsection (a-5) is
a Class 4 felony.
(Source: P.A. 95-143, eff. 1-1-08; 96-1551, eff. 7-1-11.)
 
    (720 ILCS 5/11-6.5)
    Sec. 11-6.5. Indecent solicitation of an adult.
    (a) A person commits indecent solicitation of an adult if
the person knowingly:
        (1) Arranges for a person 17 years of age or over to
    commit an act of sexual penetration as defined in Section
    11-0.1 with a person:
            (i) Under the age of 13 years; or
            (ii) Thirteen years of age or over but under the
        age of 17 years; or
        (2) Arranges for a person 17 years of age or over to
    commit an act of sexual conduct as defined in Section
    11-0.1 with a person:
            (i) Under the age of 13 years; or
            (ii) Thirteen years of age or older but under the
        age of 17 years.
    (b) Sentence.
        (1) Violation of paragraph (a)(1)(i) is a Class X
    felony.
        (2) Violation of paragraph (a)(1)(ii) is a Class 1
    felony.
        (3) Violation of paragraph (a)(2)(i) is a Class 2
    felony.
        (4) Violation of paragraph (a)(2)(ii) is a Class A
    misdemeanor.
    (c) For the purposes of this Section, "arranges" includes
but is not limited to oral or written communication and
communication by telephone, computer, or other electronic
means. "Computer" has the meaning ascribed to it in Section
17-0.5 16D-2 of this Code.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (720 ILCS 5/11-9.1)  (from Ch. 38, par. 11-9.1)
    Sec. 11-9.1. Sexual exploitation of a child.
    (a) A person commits sexual exploitation of a child if in
the presence or virtual presence, or both, of a child and with
knowledge that a child or one whom he or she believes to be a
child would view his or her acts, that person:
        (1) engages in a sexual act; or
        (2) exposes his or her sex organs, anus or breast for
    the purpose of sexual arousal or gratification of such
    person or the child or one whom he or she believes to be a
    child.
    (a-5) A person commits sexual exploitation of a child who
knowingly entices, coerces, or persuades a child to remove the
child's clothing for the purpose of sexual arousal or
gratification of the person or the child, or both.
    (b) Definitions. As used in this Section:
    "Sexual act" means masturbation, sexual conduct or sexual
penetration as defined in Section 11-0.1 of this Code.
    "Sex offense" means any violation of Article 11 of this
Code or Section 12-5.01 12-16.2 of this Code.
    "Child" means a person under 17 years of age.
    "Virtual presence" means an environment that is created
with software and presented to the user and or receiver via the
Internet, in such a way that the user appears in front of the
receiver on the computer monitor or screen or hand held
portable electronic device, usually through a web camming
program. "Virtual presence" includes primarily experiencing
through sight or sound, or both, a video image that can be
explored interactively at a personal computer or hand held
communication device, or both.
    "Webcam" means a video capturing device connected to a
computer or computer network that is designed to take digital
photographs or live or recorded video which allows for the live
transmission to an end user over the Internet.
    (c) Sentence.
        (1) Sexual exploitation of a child is a Class A
    misdemeanor. A second or subsequent violation of this
    Section or a substantially similar law of another state is
    a Class 4 felony.
        (2) Sexual exploitation of a child is a Class 4 felony
    if the person has been previously convicted of a sex
    offense.
        (3) Sexual exploitation of a child is a Class 4 felony
    if the victim was under 13 years of age at the time of the
    commission of the offense.
        (4) Sexual exploitation of a child is a Class 4 felony
    if committed by a person 18 years of age or older who is on
    or within 500 feet of elementary or secondary school
    grounds when children are present on the grounds.
(Source: P.A. 96-1090, eff. 1-1-11; 96-1098, eff. 1-1-11;
96-1551, eff. 7-1-11; 97-333, eff. 8-12-11.)
 
    (720 ILCS 5/11-9.1A)
    Sec. 11-9.1A. Permitting sexual abuse of a child.
    (a) A person responsible for a child's welfare commits
permitting sexual abuse of a child if the person has actual
knowledge of and permits an act of sexual abuse upon the child,
or permits the child to engage in prostitution as defined in
Section 11-14 of this the Criminal Code of 1961.
    (b) In this Section:
    "Actual knowledge" includes credible allegations made by
the child.
    "Child" means a minor under the age of 17 years.
    "Person responsible for the child's welfare" means the
child's parent, step-parent, legal guardian, or other person
having custody of a child, who is responsible for the child's
care at the time of the alleged sexual abuse.
    "Prostitution" means prostitution as defined in Section
11-14 of this the Criminal Code of 1961.
    "Sexual abuse" includes criminal sexual abuse or criminal
sexual assault as defined in Section 11-1.20, 11-1.30, 11-1.40,
11-1.50, or 11-1.60 of this the Criminal Code of 1961.
    (c) This Section does not apply to a person responsible for
the child's welfare who, having reason to believe that sexual
abuse has occurred, makes timely and reasonable efforts to stop
the sexual abuse by reporting the sexual abuse in conformance
with the Abused and Neglected Child Reporting Act or by
reporting the sexual abuse, or causing a report to be made, to
medical or law enforcement authorities or anyone who is a
mandated reporter under Section 4 of the Abused and Neglected
Child Reporting Act.
    (d) Whenever a law enforcement officer has reason to
believe that the child or the person responsible for the
child's welfare has been abused by a family or household member
as defined by the Illinois Domestic Violence Act of 1986, the
officer shall immediately use all reasonable means to prevent
further abuse under Section 112A-30 of the Code of Criminal
Procedure of 1963.
    (e) An order of protection under Section 111-8 of the Code
of Criminal Procedure of 1963 shall be sought in all cases
where there is reason to believe that a child has been sexually
abused by a family or household member. In considering
appropriate available remedies, it shall be presumed that
awarding physical care or custody to the abuser is not in the
child's best interest.
    (f) A person may not be charged with the offense of
permitting sexual abuse of a child under this Section until the
person who committed the offense is charged with criminal
sexual assault, aggravated criminal sexual assault, predatory
criminal sexual assault of a child, criminal sexual abuse,
aggravated criminal sexual abuse, or prostitution.
    (g) A person convicted of permitting the sexual abuse of a
child is guilty of a Class 1 felony. As a condition of any
sentence of supervision, probation, conditional discharge, or
mandatory supervised release, any person convicted under this
Section shall be ordered to undergo child sexual abuse,
domestic violence, or other appropriate counseling for a
specified duration with a qualified social or mental health
worker.
    (h) It is an affirmative defense to a charge of permitting
sexual abuse of a child under this Section that the person
responsible for the child's welfare had a reasonable
apprehension that timely action to stop the abuse or
prostitution would result in the imminent infliction of death,
great bodily harm, permanent disfigurement, or permanent
disability to that person or another in retaliation for
reporting.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (720 ILCS 5/11-9.3)
    Sec. 11-9.3. Presence within school zone by child sex
offenders prohibited; approaching, contacting, residing with,
or communicating with a child within certain places by child
sex offenders prohibited.
    (a) It is unlawful for a child sex offender to knowingly be
present in any school building, on real property comprising any
school, or in any conveyance owned, leased, or contracted by a
school to transport students to or from school or a school
related activity when persons under the age of 18 are present
in the building, on the grounds or in the conveyance, unless
the offender is a parent or guardian of a student attending the
school and the parent or guardian is: (i) attending a
conference at the school with school personnel to discuss the
progress of his or her child academically or socially, (ii)
participating in child review conferences in which evaluation
and placement decisions may be made with respect to his or her
child regarding special education services, or (iii) attending
conferences to discuss other student issues concerning his or
her child such as retention and promotion and notifies the
principal of the school of his or her presence at the school or
unless the offender has permission to be present from the
superintendent or the school board or in the case of a private
school from the principal. In the case of a public school, if
permission is granted, the superintendent or school board
president must inform the principal of the school where the sex
offender will be present. Notification includes the nature of
the sex offender's visit and the hours in which the sex
offender will be present in the school. The sex offender is
responsible for notifying the principal's office when he or she
arrives on school property and when he or she departs from
school property. If the sex offender is to be present in the
vicinity of children, the sex offender has the duty to remain
under the direct supervision of a school official.
    (a-5) It is unlawful for a child sex offender to knowingly
be present within 100 feet of a site posted as a pick-up or
discharge stop for a conveyance owned, leased, or contracted by
a school to transport students to or from school or a school
related activity when one or more persons under the age of 18
are present at the site.
    (a-10) It is unlawful for a child sex offender to knowingly
be present in any public park building or on real property
comprising any public park when persons under the age of 18 are
present in the building or on the grounds and to approach,
contact, or communicate with a child under 18 years of age,
unless the offender is a parent or guardian of a person under
18 years of age present in the building or on the grounds.
    (b) It is unlawful for a child sex offender to knowingly
loiter within 500 feet of a school building or real property
comprising any school while persons under the age of 18 are
present in the building or on the grounds, unless the offender
is a parent or guardian of a student attending the school and
the parent or guardian is: (i) attending a conference at the
school with school personnel to discuss the progress of his or
her child academically or socially, (ii) participating in child
review conferences in which evaluation and placement decisions
may be made with respect to his or her child regarding special
education services, or (iii) attending conferences to discuss
other student issues concerning his or her child such as
retention and promotion and notifies the principal of the
school of his or her presence at the school or has permission
to be present from the superintendent or the school board or in
the case of a private school from the principal. In the case of
a public school, if permission is granted, the superintendent
or school board president must inform the principal of the
school where the sex offender will be present. Notification
includes the nature of the sex offender's visit and the hours
in which the sex offender will be present in the school. The
sex offender is responsible for notifying the principal's
office when he or she arrives on school property and when he or
she departs from school property. If the sex offender is to be
present in the vicinity of children, the sex offender has the
duty to remain under the direct supervision of a school
official.
    (b-2) It is unlawful for a child sex offender to knowingly
loiter on a public way within 500 feet of a public park
building or real property comprising any public park while
persons under the age of 18 are present in the building or on
the grounds and to approach, contact, or communicate with a
child under 18 years of age, unless the offender is a parent or
guardian of a person under 18 years of age present in the
building or on the grounds.
    (b-5) It is unlawful for a child sex offender to knowingly
reside within 500 feet of a school building or the real
property comprising any school that persons under the age of 18
attend. Nothing in this subsection (b-5) prohibits a child sex
offender from residing within 500 feet of a school building or
the real property comprising any school that persons under 18
attend if the property is owned by the child sex offender and
was purchased before July 7, 2000 (the effective date of Public
Act 91-911).
    (b-10) It is unlawful for a child sex offender to knowingly
reside within 500 feet of a playground, child care institution,
day care center, part day child care facility, day care home,
group day care home, or a facility providing programs or
services exclusively directed toward persons under 18 years of
age. Nothing in this subsection (b-10) prohibits a child sex
offender from residing within 500 feet of a playground or a
facility providing programs or services exclusively directed
toward persons under 18 years of age if the property is owned
by the child sex offender and was purchased before July 7,
2000. Nothing in this subsection (b-10) prohibits a child sex
offender from residing within 500 feet of a child care
institution, day care center, or part day child care facility
if the property is owned by the child sex offender and was
purchased before June 26, 2006. Nothing in this subsection
(b-10) prohibits a child sex offender from residing within 500
feet of a day care home or group day care home if the property
is owned by the child sex offender and was purchased before
August 14, 2008 (the effective date of Public Act 95-821).
    (b-15) It is unlawful for a child sex offender to knowingly
reside within 500 feet of the victim of the sex offense.
Nothing in this subsection (b-15) prohibits a child sex
offender from residing within 500 feet of the victim if the
property in which the child sex offender resides is owned by
the child sex offender and was purchased before August 22,
2002.
    This subsection (b-15) does not apply if the victim of the
sex offense is 21 years of age or older.
    (b-20) It is unlawful for a child sex offender to knowingly
communicate, other than for a lawful purpose under Illinois
law, using the Internet or any other digital media, with a
person under 18 years of age or with a person whom he or she
believes to be a person under 18 years of age, unless the
offender is a parent or guardian of the person under 18 years
of age.
    (c) It is unlawful for a child sex offender to knowingly
operate, manage, be employed by, volunteer at, be associated
with, or knowingly be present at any: (i) facility providing
programs or services exclusively directed toward persons under
the age of 18; (ii) day care center; (iii) part day child care
facility; (iv) child care institution; (v) school providing
before and after school programs for children under 18 years of
age; (vi) day care home; or (vii) group day care home. This
does not prohibit a child sex offender from owning the real
property upon which the programs or services are offered or
upon which the day care center, part day child care facility,
child care institution, or school providing before and after
school programs for children under 18 years of age is located,
provided the child sex offender refrains from being present on
the premises for the hours during which: (1) the programs or
services are being offered or (2) the day care center, part day
child care facility, child care institution, or school
providing before and after school programs for children under
18 years of age, day care home, or group day care home is
operated.
    (c-2) It is unlawful for a child sex offender to
participate in a holiday event involving children under 18
years of age, including but not limited to distributing candy
or other items to children on Halloween, wearing a Santa Claus
costume on or preceding Christmas, being employed as a
department store Santa Claus, or wearing an Easter Bunny
costume on or preceding Easter. For the purposes of this
subsection, child sex offender has the meaning as defined in
this Section, but does not include as a sex offense under
paragraph (2) of subsection (d) of this Section, the offense
under subsection (c) of Section 11-1.50 of this Code. This
subsection does not apply to a child sex offender who is a
parent or guardian of children under 18 years of age that are
present in the home and other non-familial minors are not
present.
    (c-5) It is unlawful for a child sex offender to knowingly
operate, manage, be employed by, or be associated with any
county fair when persons under the age of 18 are present.
    (c-6) It is unlawful for a child sex offender who owns and
resides at residential real estate to knowingly rent any
residential unit within the same building in which he or she
resides to a person who is the parent or guardian of a child or
children under 18 years of age. This subsection shall apply
only to leases or other rental arrangements entered into after
January 1, 2009 (the effective date of Public Act 95-820).
    (c-7) It is unlawful for a child sex offender to knowingly
offer or provide any programs or services to persons under 18
years of age in his or her residence or the residence of
another or in any facility for the purpose of offering or
providing such programs or services, whether such programs or
services are offered or provided by contract, agreement,
arrangement, or on a volunteer basis.
    (c-8) It is unlawful for a child sex offender to knowingly
operate, whether authorized to do so or not, any of the
following vehicles: (1) a vehicle which is specifically
designed, constructed or modified and equipped to be used for
the retail sale of food or beverages, including but not limited
to an ice cream truck; (2) an authorized emergency vehicle; or
(3) a rescue vehicle.
    (d) Definitions. In this Section:
        (1) "Child sex offender" means any person who:
            (i) has been charged under Illinois law, or any
        substantially similar federal law or law of another
        state, with a sex offense set forth in paragraph (2) of
        this subsection (d) or the attempt to commit an
        included sex offense, and the victim is a person under
        18 years of age at the time of the offense; and:
                (A) is convicted of such offense or an attempt
            to commit such offense; or
                (B) is found not guilty by reason of insanity
            of such offense or an attempt to commit such
            offense; or
                (C) is found not guilty by reason of insanity
            pursuant to subsection (c) of Section 104-25 of the
            Code of Criminal Procedure of 1963 of such offense
            or an attempt to commit such offense; or
                (D) is the subject of a finding not resulting
            in an acquittal at a hearing conducted pursuant to
            subsection (a) of Section 104-25 of the Code of
            Criminal Procedure of 1963 for the alleged
            commission or attempted commission of such
            offense; or
                (E) is found not guilty by reason of insanity
            following a hearing conducted pursuant to a
            federal law or the law of another state
            substantially similar to subsection (c) of Section
            104-25 of the Code of Criminal Procedure of 1963 of
            such offense or of the attempted commission of such
            offense; or
                (F) is the subject of a finding not resulting
            in an acquittal at a hearing conducted pursuant to
            a federal law or the law of another state
            substantially similar to subsection (a) of Section
            104-25 of the Code of Criminal Procedure of 1963
            for the alleged violation or attempted commission
            of such offense; or
            (ii) is certified as a sexually dangerous person
        pursuant to the Illinois Sexually Dangerous Persons
        Act, or any substantially similar federal law or the
        law of another state, when any conduct giving rise to
        such certification is committed or attempted against a
        person less than 18 years of age; or
            (iii) is subject to the provisions of Section 2 of
        the Interstate Agreements on Sexually Dangerous
        Persons Act.
        Convictions that result from or are connected with the
    same act, or result from offenses committed at the same
    time, shall be counted for the purpose of this Section as
    one conviction. Any conviction set aside pursuant to law is
    not a conviction for purposes of this Section.
        (2) Except as otherwise provided in paragraph (2.5),
    "sex offense" means:
            (i) A violation of any of the following Sections of
        the Criminal Code of 1961 or the Criminal Code of 2012:
        10-4 (forcible detention), 10-7 (aiding or abetting
        child abduction under Section 10-5(b)(10)),
        10-5(b)(10) (child luring), 11-1.40 (predatory
        criminal sexual assault of a child), 11-6 (indecent
        solicitation of a child), 11-6.5 (indecent
        solicitation of an adult), 11-9.1 (sexual exploitation
        of a child), 11-9.2 (custodial sexual misconduct),
        11-9.5 (sexual misconduct with a person with a
        disability), 11-11 (sexual relations within families),
        11-14.3(a)(1) (promoting prostitution by advancing
        prostitution), 11-14.3(a)(2)(A) (promoting
        prostitution by profiting from prostitution by
        compelling a person to be a prostitute),
        11-14.3(a)(2)(C) (promoting prostitution by profiting
        from prostitution by means other than as described in
        subparagraphs (A) and (B) of paragraph (2) of
        subsection (a) of Section 11-14.3), 11-14.4 (promoting
        juvenile prostitution), 11-18.1 (patronizing a
        juvenile prostitute), 11-20.1 (child pornography),
        11-20.1B (aggravated child pornography), 11-21
        (harmful material), 11-25 (grooming), 11-26 (traveling
        to meet a minor), 12-33 (ritualized abuse of a child),
        11-20 (obscenity) (when that offense was committed in
        any school, on real property comprising any school, in
        any conveyance owned, leased, or contracted by a school
        to transport students to or from school or a school
        related activity, or in a public park), 11-30 (public
        indecency) (when committed in a school, on real
        property comprising a school, in any conveyance owned,
        leased, or contracted by a school to transport students
        to or from school or a school related activity, or in a
        public park). An attempt to commit any of these
        offenses.
            (ii) A violation of any of the following Sections
        of the Criminal Code of 1961 or the Criminal Code of
        2012, when the victim is a person under 18 years of
        age: 11-1.20 (criminal sexual assault), 11-1.30
        (aggravated criminal sexual assault), 11-1.50
        (criminal sexual abuse), 11-1.60 (aggravated criminal
        sexual abuse). An attempt to commit any of these
        offenses.
            (iii) A violation of any of the following Sections
        of the Criminal Code of 1961 or the Criminal Code of
        2012, when the victim is a person under 18 years of age
        and the defendant is not a parent of the victim:
            10-1 (kidnapping),
            10-2 (aggravated kidnapping),
            10-3 (unlawful restraint),
            10-3.1 (aggravated unlawful restraint),
            11-9.1(A) (permitting sexual abuse of a child).
            An attempt to commit any of these offenses.
            (iv) A violation of any former law of this State
        substantially equivalent to any offense listed in
        clause (2)(i) or (2)(ii) of subsection (d) of this
        Section.
        (2.5) For the purposes of subsections (b-5) and (b-10)
    only, a sex offense means:
            (i) A violation of any of the following Sections of
        the Criminal Code of 1961 or the Criminal Code of 2012:
             10-5(b)(10) (child luring), 10-7 (aiding or
        abetting child abduction under Section 10-5(b)(10)),
        11-1.40 (predatory criminal sexual assault of a
        child), 11-6 (indecent solicitation of a child),
        11-6.5 (indecent solicitation of an adult), 11-9.2
        (custodial sexual misconduct), 11-9.5 (sexual
        misconduct with a person with a disability), 11-11
        (sexual relations within families), 11-14.3(a)(1)
        (promoting prostitution by advancing prostitution),
        11-14.3(a)(2)(A) (promoting prostitution by profiting
        from prostitution by compelling a person to be a
        prostitute), 11-14.3(a)(2)(C) (promoting prostitution
        by profiting from prostitution by means other than as
        described in subparagraphs (A) and (B) of paragraph (2)
        of subsection (a) of Section 11-14.3), 11-14.4
        (promoting juvenile prostitution), 11-18.1
        (patronizing a juvenile prostitute), 11-20.1 (child
        pornography), 11-20.1B (aggravated child pornography),
        11-25 (grooming), 11-26 (traveling to meet a minor), or
        12-33 (ritualized abuse of a child). An attempt to
        commit any of these offenses.
            (ii) A violation of any of the following Sections
        of the Criminal Code of 1961 or the Criminal Code of
        2012, when the victim is a person under 18 years of
        age: 11-1.20 (criminal sexual assault), 11-1.30
        (aggravated criminal sexual assault), 11-1.60
        (aggravated criminal sexual abuse), and subsection (a)
        of Section 11-1.50 (criminal sexual abuse). An attempt
        to commit any of these offenses.
            (iii) A violation of any of the following Sections
        of the Criminal Code of 1961 or the Criminal Code of
        2012, when the victim is a person under 18 years of age
        and the defendant is not a parent of the victim:
            10-1 (kidnapping),
            10-2 (aggravated kidnapping),
            10-3 (unlawful restraint),
            10-3.1 (aggravated unlawful restraint),
            11-9.1(A) (permitting sexual abuse of a child).
            An attempt to commit any of these offenses.
            (iv) A violation of any former law of this State
        substantially equivalent to any offense listed in this
        paragraph (2.5) of this subsection.
        (3) A conviction for an offense of federal law or the
    law of another state that is substantially equivalent to
    any offense listed in paragraph (2) of subsection (d) of
    this Section shall constitute a conviction for the purpose
    of this Section. A finding or adjudication as a sexually
    dangerous person under any federal law or law of another
    state that is substantially equivalent to the Sexually
    Dangerous Persons Act shall constitute an adjudication for
    the purposes of this Section.
        (4) "Authorized emergency vehicle", "rescue vehicle",
    and "vehicle" have the meanings ascribed to them in
    Sections 1-105, 1-171.8 and 1-217, respectively, of the
    Illinois Vehicle Code.
        (5) "Child care institution" has the meaning ascribed
    to it in Section 2.06 of the Child Care Act of 1969.
        (6) "Day care center" has the meaning ascribed to it in
    Section 2.09 of the Child Care Act of 1969.
        (7) "Day care home" has the meaning ascribed to it in
    Section 2.18 of the Child Care Act of 1969.
        (8) "Facility providing programs or services directed
    towards persons under the age of 18" means any facility
    providing programs or services exclusively directed
    towards persons under the age of 18.
        (9) "Group day care home" has the meaning ascribed to
    it in Section 2.20 of the Child Care Act of 1969.
        (10) "Internet" has the meaning set forth in Section
    16-0.1 16J-5 of this Code.
        (11) "Loiter" means:
            (i) Standing, sitting idly, whether or not the
        person is in a vehicle, or remaining in or around
        school or public park property.
            (ii) Standing, sitting idly, whether or not the
        person is in a vehicle, or remaining in or around
        school or public park property, for the purpose of
        committing or attempting to commit a sex offense.
            (iii) Entering or remaining in a building in or
        around school property, other than the offender's
        residence.
        (12) "Part day child care facility" has the meaning
    ascribed to it in Section 2.10 of the Child Care Act of
    1969.
        (13) "Playground" means a piece of land owned or
    controlled by a unit of local government that is designated
    by the unit of local government for use solely or primarily
    for children's recreation.
        (14) "Public park" includes a park, forest preserve,
    bikeway, trail, or conservation area under the
    jurisdiction of the State or a unit of local government.
        (15) "School" means a public or private preschool or
    elementary or secondary school.
        (16) "School official" means the principal, a teacher,
    or any other certified employee of the school, the
    superintendent of schools or a member of the school board.
    (e) For the purposes of this Section, the 500 feet distance
shall be measured from: (1) the edge of the property of the
school building or the real property comprising the school that
is closest to the edge of the property of the child sex
offender's residence or where he or she is loitering, and (2)
the edge of the property comprising the public park building or
the real property comprising the public park, playground, child
care institution, day care center, part day child care
facility, or facility providing programs or services
exclusively directed toward persons under 18 years of age, or a
victim of the sex offense who is under 21 years of age, to the
edge of the child sex offender's place of residence or place
where he or she is loitering.
    (f) Sentence. A person who violates this Section is guilty
of a Class 4 felony.
(Source: P.A. 96-328, eff. 8-11-09; 96-710, eff. 1-1-10;
96-1551, eff. 7-1-11; 97-698, eff. 1-1-13; 97-699, eff. 1-1-13;
revised 7-10-12.)
 
    (720 ILCS 5/11-23)
    Sec. 11-23. Posting of identifying or graphic information
on a pornographic Internet site or possessing graphic
information with pornographic material.
    (a) A person at least 17 years of age who knowingly
discloses on an adult obscenity or child pornography Internet
site the name, address, telephone number, or e-mail address of
a person under 17 years of age at the time of the commission of
the offense or of a person at least 17 years of age without the
consent of the person at least 17 years of age is guilty of
posting of identifying information on a pornographic Internet
site.
    (a-5) Any person who knowingly places, posts, reproduces,
or maintains on an adult obscenity or child pornography
Internet site a photograph, video, or digital image of a person
under 18 years of age that is not child pornography under
Section 11-20.1, without the knowledge and consent of the
person under 18 years of age, is guilty of posting of graphic
information on a pornographic Internet site. This provision
applies even if the person under 18 years of age is fully or
properly clothed in the photograph, video, or digital image.
    (a-10) Any person who knowingly places, posts, reproduces,
or maintains on an adult obscenity or child pornography
Internet site, or possesses with obscene or child pornographic
material a photograph, video, or digital image of a person
under 18 years of age in which the child is posed in a
suggestive manner with the focus or concentration of the image
on the child's clothed genitals, clothed pubic area, clothed
buttocks area, or if the child is female, the breast exposed
through transparent clothing, and the photograph, video, or
digital image is not child pornography under Section 11-20.1,
is guilty of posting of graphic information on a pornographic
Internet site or possessing graphic information with
pornographic material.
    (b) Sentence. A person who violates subsection (a) of this
Section is guilty of a Class 4 felony if the victim is at least
17 years of age at the time of the offense and a Class 3 felony
if the victim is under 17 years of age at the time of the
offense. A person who violates subsection (a-5) of this Section
is guilty of a Class 4 felony. A person who violates subsection
(a-10) of this Section is guilty of a Class 3 felony.
    (c) Definitions. For purposes of this Section:
        (1) "Adult obscenity or child pornography Internet
    site" means a site on the Internet that contains material
    that is obscene as defined in Section 11-20 of this Code or
    that is child pornography as defined in Section 11-20.1 of
    this Code.
        (2) "Internet" has the meaning set forth in Section
    16-0.1 16J-5 of this Code.
(Source: P.A. 95-983, eff. 6-1-09; 96-1551, eff. 7-1-11.)
 
    (720 ILCS 5/16-1)  (from Ch. 38, par. 16-1)
    Sec. 16-1. Theft.
    (a) A person commits theft when he or she knowingly:
        (1) Obtains or exerts unauthorized control over
    property of the owner; or
        (2) Obtains by deception control over property of the
    owner; or
        (3) Obtains by threat control over property of the
    owner; or
        (4) Obtains control over stolen property knowing the
    property to have been stolen or under such circumstances as
    would reasonably induce him or her to believe that the
    property was stolen; or
        (5) Obtains or exerts control over property in the
    custody of any law enforcement agency which any law
    enforcement officer or any individual acting in behalf of a
    law enforcement agency explicitly represents to the person
    as being stolen or represents to the person such
    circumstances as would reasonably induce the person to
    believe that the property was stolen, and
            (A) Intends to deprive the owner permanently of the
        use or benefit of the property; or
            (B) Knowingly uses, conceals or abandons the
        property in such manner as to deprive the owner
        permanently of such use or benefit; or
            (C) Uses, conceals, or abandons the property
        knowing such use, concealment or abandonment probably
        will deprive the owner permanently of such use or
        benefit.
    (b) Sentence.
        (1) Theft of property not from the person and not
    exceeding $500 in value is a Class A misdemeanor.
        (1.1) Theft of property not from the person and not
    exceeding $500 in value is a Class 4 felony if the theft
    was committed in a school or place of worship or if the
    theft was of governmental property.
        (2) A person who has been convicted of theft of
    property not from the person and not exceeding $500 in
    value who has been previously convicted of any type of
    theft, robbery, armed robbery, burglary, residential
    burglary, possession of burglary tools, home invasion,
    forgery, a violation of Section 4-103, 4-103.1, 4-103.2, or
    4-103.3 of the Illinois Vehicle Code relating to the
    possession of a stolen or converted motor vehicle, or a
    violation of Section 17-36 of the Criminal Code of 1961 or
    the Criminal Code of 2012, or Section 8 of the Illinois
    Credit Card and Debit Card Act is guilty of a Class 4
    felony.
        (3) (Blank).
        (4) Theft of property from the person not exceeding
    $500 in value, or theft of property exceeding $500 and not
    exceeding $10,000 in value, is a Class 3 felony.
        (4.1) Theft of property from the person not exceeding
    $500 in value, or theft of property exceeding $500 and not
    exceeding $10,000 in value, is a Class 2 felony if the
    theft was committed in a school or place of worship or if
    the theft was of governmental property.
        (5) Theft of property exceeding $10,000 and not
    exceeding $100,000 in value is a Class 2 felony.
        (5.1) Theft of property exceeding $10,000 and not
    exceeding $100,000 in value is a Class 1 felony if the
    theft was committed in a school or place of worship or if
    the theft was of governmental property.
        (6) Theft of property exceeding $100,000 and not
    exceeding $500,000 in value is a Class 1 felony.
        (6.1) Theft of property exceeding $100,000 in value is
    a Class X felony if the theft was committed in a school or
    place of worship or if the theft was of governmental
    property.
        (6.2) Theft of property exceeding $500,000 and not
    exceeding $1,000,000 in value is a Class 1
    non-probationable felony.
        (6.3) Theft of property exceeding $1,000,000 in value
    is a Class X felony.
        (7) Theft by deception, as described by paragraph (2)
    of subsection (a) of this Section, in which the offender
    obtained money or property valued at $5,000 or more from a
    victim 60 years of age or older is a Class 2 felony.
        (8) Theft by deception, as described by paragraph (2)
    of subsection (a) of this Section, in which the offender
    falsely poses as a landlord or agent or employee of the
    landlord and obtains a rent payment or a security deposit
    from a tenant is a Class 3 felony if the rent payment or
    security deposit obtained does not exceed $500.
        (9) Theft by deception, as described by paragraph (2)
    of subsection (a) of this Section, in which the offender
    falsely poses as a landlord or agent or employee of the
    landlord and obtains a rent payment or a security deposit
    from a tenant is a Class 2 felony if the rent payment or
    security deposit obtained exceeds $500 and does not exceed
    $10,000.
        (10) Theft by deception, as described by paragraph (2)
    of subsection (a) of this Section, in which the offender
    falsely poses as a landlord or agent or employee of the
    landlord and obtains a rent payment or a security deposit
    from a tenant is a Class 1 felony if the rent payment or
    security deposit obtained exceeds $10,000 and does not
    exceed $100,000.
        (11) Theft by deception, as described by paragraph (2)
    of subsection (a) of this Section, in which the offender
    falsely poses as a landlord or agent or employee of the
    landlord and obtains a rent payment or a security deposit
    from a tenant is a Class X felony if the rent payment or
    security deposit obtained exceeds $100,000.
    (c) When a charge of theft of property exceeding a
specified value is brought, the value of the property involved
is an element of the offense to be resolved by the trier of
fact as either exceeding or not exceeding the specified value.
    (d) Theft by lessee; permissive inference. The trier of
fact may infer evidence that a person intends to deprive the
owner permanently of the use or benefit of the property (1) if
a lessee of the personal property of another fails to return it
to the owner within 10 days after written demand from the owner
for its return or (2) if a lessee of the personal property of
another fails to return it to the owner within 24 hours after
written demand from the owner for its return and the lessee had
presented identification to the owner that contained a
materially fictitious name, address, or telephone number. A
notice in writing, given after the expiration of the leasing
agreement, addressed and mailed, by registered mail, to the
lessee at the address given by him and shown on the leasing
agreement shall constitute proper demand.
    (e) Permissive inference; evidence of intent that a person
obtains by deception control over property. The trier of fact
may infer that a person "knowingly obtains by deception control
over property of the owner" when he or she fails to return,
within 45 days after written demand from the owner, the
downpayment and any additional payments accepted under a
promise, oral or in writing, to perform services for the owner
for consideration of $3,000 or more, and the promisor knowingly
without good cause failed to substantially perform pursuant to
the agreement after taking a down payment of 10% or more of the
agreed upon consideration. This provision shall not apply where
the owner initiated the suspension of performance under the
agreement, or where the promisor responds to the notice within
the 45-day notice period. A notice in writing, addressed and
mailed, by registered mail, to the promisor at the last known
address of the promisor, shall constitute proper demand.
    (f) Offender's interest in the property.
        (1) It is no defense to a charge of theft of property
    that the offender has an interest therein, when the owner
    also has an interest to which the offender is not entitled.
        (2) Where the property involved is that of the
    offender's spouse, no prosecution for theft may be
    maintained unless the parties were not living together as
    man and wife and were living in separate abodes at the time
    of the alleged theft.
(Source: P.A. 96-496, eff. 1-1-10; 96-534, eff. 8-14-09;
96-1000, eff. 7-2-10; 96-1301, eff. 1-1-11; 96-1532, eff.
1-1-12; 96-1551, eff. 7-1-11; 97-597, eff. 1-1-12.)
 
    (720 ILCS 5/17-10.5)
    Sec. 17-10.5. Insurance fraud.
    (a) Insurance fraud.
        (1) A person commits insurance fraud when he or she
    knowingly obtains, attempts to obtain, or causes to be
    obtained, by deception, control over the property of an
    insurance company or self-insured entity by the making of a
    false claim or by causing a false claim to be made on any
    policy of insurance issued by an insurance company or by
    the making of a false claim or by causing a false claim to
    be made to a self-insured entity, intending to deprive an
    insurance company or self-insured entity permanently of
    the use and benefit of that property.
        (2) A person commits health care benefits fraud against
    a provider, other than a governmental unit or agency, when
    he or she knowingly obtains or attempts to obtain, by
    deception, health care benefits and that obtaining or
    attempt to obtain health care benefits does not involve
    control over property of the provider.
    (b) Aggravated insurance fraud.
        (1) A person commits aggravated insurance fraud on a
    private entity when he or she commits insurance fraud 3 or
    more times within an 18-month period arising out of
    separate incidents or transactions.
        (2) A person commits being an organizer of an
    aggravated insurance fraud on a private entity conspiracy
    if aggravated insurance fraud on a private entity forms the
    basis for a charge of conspiracy under Section 8-2 of this
    Code and the person occupies a position of organizer,
    supervisor, financer, or other position of management
    within the conspiracy.
    (c) Conspiracy to commit insurance fraud. If aggravated
insurance fraud on a private entity forms the basis for charges
of conspiracy under Section 8-2 of this Code, the person or
persons with whom the accused is alleged to have agreed to
commit the 3 or more violations of this Section need not be the
same person or persons for each violation, as long as the
accused was a part of the common scheme or plan to engage in
each of the 3 or more alleged violations.
    If aggravated insurance fraud on a private entity forms the
basis for a charge of conspiracy under Section 8-2 of this
Code, and the accused occupies a position of organizer,
supervisor, financer, or other position of management within
the conspiracy, the person or persons with whom the accused is
alleged to have agreed to commit the 3 or more violations of
this Section need not be the same person or persons for each
violation as long as the accused occupied a position of
organizer, supervisor, financer, or other position of
management in each of the 3 or more alleged violations.
    (d) Sentence.
        (1) A violation of paragraph (a)(1) in which the value
    of the property obtained, attempted to be obtained, or
    caused to be obtained is $300 or less is a Class A
    misdemeanor.
        (2) A violation of paragraph (a)(1) in which the value
    of the property obtained, attempted to be obtained, or
    caused to be obtained is more than $300 but not more than
    $10,000 is a Class 3 felony.
        (3) A violation of paragraph (a)(1) in which the value
    of the property obtained, attempted to be obtained, or
    caused to be obtained is more than $10,000 but not more
    than $100,000 is a Class 2 felony.
        (4) A violation of paragraph (a)(1) in which the value
    of the property obtained, attempted to be obtained, or
    caused to be obtained is more than $100,000 is a Class 1
    felony.
        (5) A violation of paragraph (a)(2) is a Class A
    misdemeanor.
        (6) A violation of paragraph (b)(1) is a Class 1
    felony, regardless of the value of the property obtained,
    attempted to be obtained, or caused to be obtained.
        (7) A violation of paragraph (b)(2) is a Class X
    felony.
        (8) A person convicted of insurance fraud, vendor
    fraud, or a federal criminal violation associated with
    defrauding the Medicaid program shall be ordered to pay
    monetary restitution to the insurance company or
    self-insured entity or any other person for any financial
    loss sustained as a result of a violation of this Section,
    including any court costs and attorney's fees. An order of
    restitution shall include expenses incurred and paid by the
    State of Illinois or an insurance company or self-insured
    entity in connection with any medical evaluation or
    treatment services.
        (9) Notwithstanding Section 8-5 of this Code, a person
    may be convicted and sentenced both for the offense of
    conspiracy to commit insurance fraud or the offense of
    being an organizer of an aggravated insurance fraud
    conspiracy and for any other offense that is the object of
    the conspiracy.
    (e) Civil damages for insurance fraud.
        (1) A person who knowingly obtains, attempts to obtain,
    or causes to be obtained, by deception, control over the
    property of any insurance company by the making of a false
    claim or by causing a false claim to be made on a policy of
    insurance issued by an insurance company, or by the making
    of a false claim or by causing a false claim to be made to a
    self-insured entity, intending to deprive an insurance
    company or self-insured entity permanently of the use and
    benefit of that property, shall be civilly liable to the
    insurance company or self-insured entity that paid the
    claim or against whom the claim was made or to the subrogee
    of that insurance company or self-insured entity in an
    amount equal to either 3 times the value of the property
    wrongfully obtained or, if no property was wrongfully
    obtained, twice the value of the property attempted to be
    obtained, whichever amount is greater, plus reasonable
    attorney's fees.
        (2) An insurance company or self-insured entity that
    brings an action against a person under paragraph (1) of
    this subsection in bad faith shall be liable to that person
    for twice the value of the property claimed, plus
    reasonable attorney's fees. In determining whether an
    insurance company or self-insured entity acted in bad
    faith, the court shall relax the rules of evidence to allow
    for the introduction of any facts or other information on
    which the insurance company or self-insured entity may have
    relied in bringing an action under paragraph (1) of this
    subsection.
    (f) Determination of property value. For the purposes of
this Section, if the exact value of the property attempted to
be obtained is either not alleged by the claimant or not
specifically set by the terms of a policy of insurance, the
value of the property shall be the fair market replacement
value of the property claimed to be lost, the reasonable costs
of reimbursing a vendor or other claimant for services to be
rendered, or both.
    (g) Actions by State licensing agencies.
        (1) All State licensing agencies, the Illinois State
    Police, and the Department of Financial and Professional
    Regulation shall coordinate enforcement efforts relating
    to acts of insurance fraud.
        (2) If a person who is licensed or registered under the
    laws of the State of Illinois to engage in a business or
    profession is convicted of or pleads guilty to engaging in
    an act of insurance fraud, the Illinois State Police must
    forward to each State agency by which the person is
    licensed or registered a copy of the conviction or plea and
    all supporting evidence.
        (3) Any agency that receives information under this
    Section shall, not later than 6 months after the date on
    which it receives the information, publicly report the
    final action taken against the convicted person, including
    but not limited to the revocation or suspension of the
    license or any other disciplinary action taken.
    (h) Definitions. For the purposes of this Section,
"obtain", "obtains control", "deception", "property", and
"permanent deprivation" have the meanings ascribed to those
terms in Article 15 of this Code.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (720 ILCS 5/19-6)  (was 720 ILCS 5/12-11)
    Sec. 19-6. Home Invasion.
    (a) A person who is not a peace officer acting in the line
of duty commits home invasion when without authority he or she
knowingly enters the dwelling place of another when he or she
knows or has reason to know that one or more persons is present
or he or she knowingly enters the dwelling place of another and
remains in the dwelling place until he or she knows or has
reason to know that one or more persons is present or who
falsely represents himself or herself, including but not
limited to, falsely representing himself or herself to be a
representative of any unit of government or a construction,
telecommunications, or utility company, for the purpose of
gaining entry to the dwelling place of another when he or she
knows or has reason to know that one or more persons are
present and
        (1) While armed with a dangerous weapon, other than a
    firearm, uses force or threatens the imminent use of force
    upon any person or persons within the dwelling place
    whether or not injury occurs, or
        (2) Intentionally causes any injury, except as
    provided in subsection (a)(5), to any person or persons
    within the dwelling place, or
        (3) While armed with a firearm uses force or threatens
    the imminent use of force upon any person or persons within
    the dwelling place whether or not injury occurs, or
        (4) Uses force or threatens the imminent use of force
    upon any person or persons within the dwelling place
    whether or not injury occurs and during the commission of
    the offense personally discharges a firearm, or
        (5) Personally discharges a firearm that proximately
    causes great bodily harm, permanent disability, permanent
    disfigurement, or death to another person within the
    dwelling place, or
        (6) Commits, against any person or persons within that
    dwelling place, a violation of Section 11-1.20, 11-1.30,
    11-1.40, 11-1.50, or 11-1.60, 12-13, 12-14, 12-14.1,
    12-15, or 12-16 of this the Criminal Code of 1961.
    (b) It is an affirmative defense to a charge of home
invasion that the accused who knowingly enters the dwelling
place of another and remains in the dwelling place until he or
she knows or has reason to know that one or more persons is
present either immediately leaves the premises or surrenders to
the person or persons lawfully present therein without either
attempting to cause or causing serious bodily injury to any
person present therein.
    (c) Sentence. Home invasion in violation of subsection
(a)(1), (a)(2) or (a)(6) is a Class X felony. A violation of
subsection (a)(3) is a Class X felony for which 15 years shall
be added to the term of imprisonment imposed by the court. A
violation of subsection (a)(4) is a Class X felony for which 20
years shall be added to the term of imprisonment imposed by the
court. A violation of subsection (a)(5) is a Class X felony for
which 25 years or up to a term of natural life shall be added to
the term of imprisonment imposed by the court.
    (d) For purposes of this Section, "dwelling place of
another" includes a dwelling place where the defendant
maintains a tenancy interest but from which the defendant has
been barred by a divorce decree, judgment of dissolution of
marriage, order of protection, or other court order.
(Source: P.A. 96-1113, eff. 1-1-11; 96-1551, eff. 7-1-11;
97-1108, eff. 1-1-13.)
 
    (720 ILCS 5/26.5-5)
    Sec. 26.5-5. Sentence.
    (a) Except as provided in subsection (b), a person who
violates any of the provisions of Section 26.5-1, 26.5-2, or
26.5-3 of this Article is guilty of a Class B misdemeanor.
Except as provided in subsection (b), a second or subsequent
violation of Section 26.5-1, 26.5-2, or 26.5-3 of this Article
is a Class A misdemeanor, for which the court shall impose a
minimum of 14 days in jail or, if public or community service
is established in the county in which the offender was
convicted, 240 hours of public or community service.
    (b) In any of the following circumstances, a person who
violates Section 26.5-1, 26.5-2, or 26.5-3 of this Article
shall be guilty of a Class 4 felony:
        (1) The person has 3 or more prior violations in the
    last 10 years of harassment by telephone, harassment
    through electronic communications, or any similar offense
    of any other state;
        (2) The person has previously violated the harassment
    by telephone provisions, or the harassment through
    electronic communications provisions, or committed any
    similar offense in any other state with the same victim or
    a member of the victim's family or household;
        (3) At the time of the offense, the offender was under
    conditions of bail, probation, conditional discharge,
    mandatory supervised release or was the subject of an order
    of protection, in this or any other state, prohibiting
    contact with the victim or any member of the victim's
    family or household;
        (4) In the course of the offense, the offender
    threatened to kill the victim or any member of the victim's
    family or household;
        (5) The person has been convicted in the last 10 years
    of a forcible felony as defined in Section 2-8 of the
    Criminal Code of 1961 or the Criminal Code of 2012;
        (6) The person violates paragraph (5) of Section 26.5-2
    or paragraph (4) of Section 26.5-3; or
        (7) The person was at least 18 years of age at the time
    of the commission of the offense and the victim was under
    18 years of age at the time of the commission of the
    offense.
    (c) The court may order any person convicted under this
Article to submit to a psychiatric examination.
(Source: P.A. 97-1108, eff. 1-1-13.)
 
    (720 ILCS 5/33G-3)
    (Section scheduled to be repealed on June 11, 2017)
    Sec. 33G-3. Definitions. As used in this Article:
    (a) "Another state" means any State of the United States
(other than the State of Illinois), or the District of
Columbia, or the Commonwealth of Puerto Rico, or any territory
or possession of the United States, or any political
subdivision, or any department, agency, or instrumentality
thereof.
    (b) "Enterprise" includes:
        (1) any partnership, corporation, association,
    business or charitable trust, or other legal entity; and
        (2) any group of individuals or other legal entities,
    or any combination thereof, associated in fact although not
    itself a legal entity. An association in fact must be held
    together by a common purpose of engaging in a course of
    conduct, and it may be associated together for purposes
    that are both legal and illegal. An association in fact
    must:
            (A) have an ongoing organization or structure,
        either formal or informal;
            (B) the various members of the group must function
        as a continuing unit, even if the group changes
        membership by gaining or losing members over time; and
            (C) have an ascertainable structure distinct from
        that inherent in the conduct of a pattern of predicate
        activity.
    As used in this Article, "enterprise" includes licit and
illicit enterprises.
    (c) "Labor organization" includes any organization, labor
union, craft union, or any voluntary unincorporated
association designed to further the cause of the rights of
union labor that is constituted for the purpose, in whole or in
part, of collective bargaining or of dealing with employers
concerning grievances, terms or conditions of employment, or
apprenticeships or applications for apprenticeships, or of
other mutual aid or protection in connection with employment,
including apprenticeships or applications for apprenticeships.
    (d) "Operation or management" means directing or carrying
out the enterprise's affairs and is limited to any person who
knowingly serves as a leader, organizer, operator, manager,
director, supervisor, financier, advisor, recruiter, supplier,
or enforcer of an enterprise in violation of this Article.
    (e) "Predicate activity" means any act that is a Class 2
felony or higher and constitutes a violation or violations of
any of the following provisions of the laws of the State of
Illinois (as amended or revised as of the date the activity
occurred or, in the instance of a continuing offense, the date
that charges under this Article are filed in a particular
matter in the State of Illinois) or any act under the law of
another jurisdiction for an offense that could be charged as a
Class 2 felony or higher in this State:
        (1) under the Criminal Code of 1961 or the Criminal
    Code of 2012: 8-1.2 (solicitation of murder for hire), 9-1
    (first degree murder), 9-3.3 (drug-induced homicide), 10-1
    (kidnapping), 10-2 (aggravated kidnapping), 10-3.1
    (aggravated unlawful restraint), 10-4 (forcible
    detention), 10-5(b)(10) (child abduction), 10-9
    (trafficking in persons, involuntary servitude, and
    related offenses), 11-1.20 (criminal sexual assault),
    11-1.30 (aggravated criminal sexual assault), 11-1.40
    (predatory criminal sexual assault of a child), 11-1.60
    (aggravated criminal sexual abuse), 11-6 (indecent
    solicitation of a child), 11-6.5 (indecent solicitation of
    an adult), 11-14.3(a)(2)(A) and (a)(2)(B) (promoting
    prostitution), 11-14.4 (promoting juvenile prostitution),
    11-18.1 (patronizing a minor engaged in prostitution;
    patronizing a juvenile prostitute), 12-3.05 (aggravated
    battery), 12-6.4 (criminal street gang recruitment),
    12-6.5 (compelling organization membership of persons),
    12-7.3 (stalking), 12-7.4 (aggravated stalking), 12-7.5
    (cyberstalking), 12-11 or 19-6 (home invasion), 12-11.1 or
    18-6 (vehicular invasion), 18-1 (robbery; aggravated
    robbery), 18-2 (armed robbery), 18-3 (vehicular
    hijacking), 18-4 (aggravated vehicular hijacking), 18-5
    (aggravated robbery), 19-1 (burglary), 19-3 (residential
    burglary), 20-1 (arson; residential arson; place of
    worship arson), 20-1.1 (aggravated arson), 20-1.2
    (residential arson), 20-1.3 (place of worship arson),
    24-1.2 (aggravated discharge of a firearm), 24-1.2-5
    (aggravated discharge of a machine gun or silencer equipped
    firearm), 24-1.8 (unlawful possession of a firearm by a
    street gang member), 24-3.2 (unlawful discharge of firearm
    projectiles), 24-3.9 (aggravated possession of a stolen
    firearm), 24-3A (gunrunning), 26-5 or 48-1 (dog-fighting),
    29D-14.9 (terrorism), 29D-15 (soliciting support for
    terrorism), 29D-15.1 (causing a catastrophe), 29D-15.2
    (possession of a deadly substance), 29D-20 (making a
    terrorist threat), 29D-25 (falsely making a terrorist
    threat), 29D-29.9 (material support for terrorism), 29D-35
    (hindering prosecution of terrorism), 31A-1.2
    (unauthorized contraband in a penal institution), or 33A-3
    (armed violence);
        (2) under the Cannabis Control Act: Sections 5
    (manufacture or delivery of cannabis), 5.1 (cannabis
    trafficking), or 8 (production or possession of cannabis
    plants), provided the offense either involves more than 500
    grams of any substance containing cannabis or involves more
    than 50 cannabis sativa plants;
        (3) under the Illinois Controlled Substances Act:
    Sections 401 (manufacture or delivery of a controlled
    substance), 401.1 (controlled substance trafficking), 405
    (calculated criminal drug conspiracy), or 405.2 (street
    gang criminal drug conspiracy); or
        (4) under the Methamphetamine Control and Community
    Protection Act: Sections 15 (methamphetamine
    manufacturing), or 55 (methamphetamine delivery).
    (f) "Pattern of predicate activity" means:
        (1) at least 3 occurrences of predicate activity that
    are in some way related to each other and that have
    continuity between them, and that are separate acts. Acts
    are related to each other if they are not isolated events,
    including if they have similar purposes, or results, or
    participants, or victims, or are committed a similar way,
    or have other similar distinguishing characteristics, or
    are part of the affairs of the same enterprise. There is
    continuity between acts if they are ongoing over a
    substantial period, or if they are part of the regular way
    some entity does business or conducts its affairs; and
        (2) which occurs after the effective date of this
    Article, and the last of which falls within 3 years
    (excluding any period of imprisonment) after the first
    occurrence of predicate activity.
    (g) "Unlawful death" includes the following offenses:
under the Criminal Code of 1961 or the Criminal Code of 2012:
Sections 9-1 (first degree murder) or 9-2 (second degree
murder).
(Source: P.A. 97-686, eff. 6-11-12.)
 
    (720 ILCS 5/36-1)  (from Ch. 38, par. 36-1)
    Sec. 36-1. Seizure. Any vessel, vehicle or aircraft used
with the knowledge and consent of the owner in the commission
of, or in the attempt to commit as defined in Section 8-4 of
this Code, an offense prohibited by (a) Section 9-1, 9-3, 10-2,
11-1.20, 11-1.30, 11-1.40, 11-6, 11-14.4 except for keeping a
place of juvenile prostitution, 11-15.1, 11-19.1, 11-19.2,
11-20.1, 11-20.1B, 11-20.3, 12-4.1, 12-4.2, 12-4.2-5, 12-4.3,
12-4.6, 12-7.3, 12-7.4, 12-13, 12-14, 16-1 if the theft is of
precious metal or of scrap metal, 18-2, 19-1, 19-2, 19-3, 20-1,
20-2, 24-1.2, 24-1.2-5, 24-1.5, 28-1, or 29D-15.2 of this Code,
subdivision (a)(1), (a)(2), (a)(4), (b)(1), (e)(1), (e)(2),
(e)(3), (e)(4), (e)(5), (e)(6), or (e)(7) of Section 12-3.05,
paragraph (a) of Section 12-4 of this Code, paragraph (a) of
Section 11-1.50, paragraph (a) of Section 12-15, paragraph (a),
(c), or (d) of Section 11-1.60, or paragraphs (a), (c) or (d)
of Section 12-16 of this Code, or paragraph (a)(6) or (a)(7) of
Section 24-1 of this Code; (b) Section 21, 22, 23, 24 or 26 of
the Cigarette Tax Act if the vessel, vehicle or aircraft
contains more than 10 cartons of such cigarettes; (c) Section
28, 29 or 30 of the Cigarette Use Tax Act if the vessel,
vehicle or aircraft contains more than 10 cartons of such
cigarettes; (d) Section 44 of the Environmental Protection Act;
(e) 11-204.1 of the Illinois Vehicle Code; (f) (1) driving
under the influence of alcohol or other drug or drugs,
intoxicating compound or compounds or any combination thereof
under Section 11-501 of the Illinois Vehicle Code during a
period in which his or her driving privileges are revoked or
suspended where the revocation or suspension was for driving
under the influence of alcohol or other drug or drugs,
intoxicating compound or compounds or any combination thereof,
Section 11-501.1, paragraph (b) of Section 11-401, or for
reckless homicide as defined in Section 9-3 of the Criminal
Code of 1961 or the Criminal Code of 2012; (2) driving while
under the influence of alcohol, other drug or drugs,
intoxicating compound or compounds or any combination thereof
and has been previously convicted of reckless homicide or a
similar provision of a law of another state relating to
reckless homicide in which the person was determined to have
been under the influence of alcohol, other drug or drugs, or
intoxicating compound or compounds as an element of the offense
or the person has previously been convicted of committing a
violation of driving under the influence of alcohol or other
drug or drugs, intoxicating compound or compounds or any
combination thereof and was involved in a motor vehicle
accident that resulted in death, great bodily harm, or
permanent disability or disfigurement to another, when the
violation was a proximate cause of the death or injuries; (3)
the person committed a violation of driving under the influence
of alcohol or other drug or drugs, intoxicating compound or
compounds or any combination thereof under Section 11-501 of
the Illinois Vehicle Code or a similar provision for the third
or subsequent time; (4) the person committed the violation
while he or she did not possess a driver's license or permit or
a restricted driving permit or a judicial driving permit or a
monitoring device driving permit; or (5) the person committed
the violation while he or she knew or should have known that
the vehicle he or she was driving was not covered by a
liability insurance policy; (g) an offense described in
subsection (g) of Section 6-303 of the Illinois Vehicle Code;
or (h) an offense described in subsection (e) of Section 6-101
of the Illinois Vehicle Code; may be seized and delivered
forthwith to the sheriff of the county of seizure.
    Within 15 days after such delivery the sheriff shall give
notice of seizure to each person according to the following
method: Upon each such person whose right, title or interest is
of record in the office of the Secretary of State, the
Secretary of Transportation, the Administrator of the Federal
Aviation Agency, or any other Department of this State, or any
other state of the United States if such vessel, vehicle or
aircraft is required to be so registered, as the case may be,
by mailing a copy of the notice by certified mail to the
address as given upon the records of the Secretary of State,
the Department of Aeronautics, Department of Public Works and
Buildings or any other Department of this State or the United
States if such vessel, vehicle or aircraft is required to be so
registered. Within that 15 day period the sheriff shall also
notify the State's Attorney of the county of seizure about the
seizure.
    In addition, any mobile or portable equipment used in the
commission of an act which is in violation of Section 7g of the
Metropolitan Water Reclamation District Act shall be subject to
seizure and forfeiture under the same procedures provided in
this Article for the seizure and forfeiture of vessels,
vehicles and aircraft, and any such equipment shall be deemed a
vessel, vehicle or aircraft for purposes of this Article.
    When a person discharges a firearm at another individual
from a vehicle with the knowledge and consent of the owner of
the vehicle and with the intent to cause death or great bodily
harm to that individual and as a result causes death or great
bodily harm to that individual, the vehicle shall be subject to
seizure and forfeiture under the same procedures provided in
this Article for the seizure and forfeiture of vehicles used in
violations of clauses (a), (b), (c), or (d) of this Section.
    If the spouse of the owner of a vehicle seized for an
offense described in subsection (g) of Section 6-303 of the
Illinois Vehicle Code, a violation of subdivision (d)(1)(A),
(d)(1)(D), (d)(1)(G), (d)(1)(H), or (d)(1)(I) of Section
11-501 of the Illinois Vehicle Code, or Section 9-3 of this
Code makes a showing that the seized vehicle is the only source
of transportation and it is determined that the financial
hardship to the family as a result of the seizure outweighs the
benefit to the State from the seizure, the vehicle may be
forfeited to the spouse or family member and the title to the
vehicle shall be transferred to the spouse or family member who
is properly licensed and who requires the use of the vehicle
for employment or family transportation purposes. A written
declaration of forfeiture of a vehicle under this Section shall
be sufficient cause for the title to be transferred to the
spouse or family member. The provisions of this paragraph shall
apply only to one forfeiture per vehicle. If the vehicle is the
subject of a subsequent forfeiture proceeding by virtue of a
subsequent conviction of either spouse or the family member,
the spouse or family member to whom the vehicle was forfeited
under the first forfeiture proceeding may not utilize the
provisions of this paragraph in another forfeiture proceeding.
If the owner of the vehicle seized owns more than one vehicle,
the procedure set out in this paragraph may be used for only
one vehicle.
    Property declared contraband under Section 40 of the
Illinois Streetgang Terrorism Omnibus Prevention Act may be
seized and forfeited under this Article.
(Source: P.A. 96-313, eff. 1-1-10; 96-710, eff. 1-1-10;
96-1000, eff. 7-2-10; 96-1267, eff. 7-26-10; 96-1289, eff.
1-1-11; 96-1551, Article 1, Section 960, eff. 7-1-11; 96-1551,
Article 2, Section 1035, eff. 7-1-11; 97-333, eff. 8-12-11;
97-1109, eff. 1-1-13.)
 
    (720 ILCS 5/37-1)  (from Ch. 38, par. 37-1)
    Sec. 37-1. Maintaining Public Nuisance. Any building used
in the commission of offenses prohibited by Sections 9-1, 10-1,
10-2, 11-14, 11-15, 11-16, 11-17, 11-20, 11-20.1, 11-20.1B,
11-20.3, 11-21, 11-22, 12-5.1, 16-1, 20-2, 23-1, 23-1(a)(1),
24-1(a)(7), 24-3, 28-1, 28-3, 31-5 or 39A-1, or subdivision
(a)(1), (a)(2)(A), or (a)(2)(B) of Section 11-14.3, of this the
Criminal Code of 1961, or prohibited by the Illinois Controlled
Substances Act, the Methamphetamine Control and Community
Protection Act, or the Cannabis Control Act, or used in the
commission of an inchoate offense relative to any of the
aforesaid principal offenses, or any real property erected,
established, maintained, owned, leased, or used by a streetgang
for the purpose of conducting streetgang related activity as
defined in Section 10 of the Illinois Streetgang Terrorism
Omnibus Prevention Act is a public nuisance.
    (b) Sentence. A person convicted of knowingly maintaining
such a public nuisance commits a Class A misdemeanor. Each
subsequent offense under this Section is a Class 4 felony.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (720 ILCS 5/48-8)
    Sec. 48-8. Service animal Guide dog access.
    (a) When a blind, hearing impaired or physically
handicapped person with a physical, mental, or intellectual
disability requiring the use of a service animal or a person
who is subject to epilepsy or other seizure disorders is
accompanied by a service animal a dog which serves as a guide,
leader, seizure-alert, or seizure-response dog for the person
or when a trainer of a service animal guide, leader,
seizure-alert, or seizure-response dog is accompanied by a
service animal guide, leader, seizure-alert, or
seizure-response dog or a dog that is being trained to be a
guide, leader, seizure-alert, or seizure-response dog, neither
the person nor the service animal dog shall be denied the right
of entry and use of facilities of any public place of
accommodation as defined in Section 5-101 of the Illinois Human
Rights Act, if the dog is wearing a harness and the person
presents credentials for inspection issued by a school for
training guide, leader, seizure-alert, or seizure-response
dogs.
    For the purposes of this Section, "service animal" means a
dog or miniature horse trained or being trained as a hearing
animal, a guide animal, an assistance animal, a seizure alert
animal, a mobility animal, a psychiatric service animal, an
autism service animal, or an animal trained for any other
physical, mental, or intellectual disability. "Service animal"
includes a miniature horse that a public place of accommodation
shall make reasonable accommodation so long as the public place
of accommodation takes into consideration: (1) the type, size,
and weight of the miniature horse and whether the facility can
accommodate its features; (2) whether the handler has
sufficient control of the miniature horse; (3) whether the
miniature horse is housebroken; and (4) whether the miniature
horse's presence in the facility compromises legitimate safety
requirements necessary for operation.
    (b) A person who knowingly violates this Section commits a
Class C misdemeanor.
(Source: P.A. 97-1108, eff. 1-1-13; incorporates 97-956, eff.
8-14-12; revised 10-3-12.)
 
    (720 ILCS 5/Art. 16C rep.)
    (720 ILCS 5/Art. 16D rep.)
    (720 ILCS 5/Art. 17B rep.)
    Section 610. The Criminal Code of 2012 is amended by
repealing Articles 16C, 16D, and 17B.
 
    Section 620. The Cannabis Control Act is amended by
changing Section 10 as follows:
 
    (720 ILCS 550/10)  (from Ch. 56 1/2, par. 710)
    Sec. 10. (a) Whenever any person who has not previously
been convicted of, or placed on probation or court supervision
for, any offense under this Act or any law of the United States
or of any State relating to cannabis, or controlled substances
as defined in the Illinois Controlled Substances Act, pleads
guilty to or is found guilty of violating Sections 4(a), 4(b),
4(c), 5(a), 5(b), 5(c) or 8 of this Act, the court may, without
entering a judgment and with the consent of such person,
sentence him to probation.
    (b) When a person is placed on probation, the court shall
enter an order specifying a period of probation of 24 months,
and shall defer further proceedings in the case until the
conclusion of the period or until the filing of a petition
alleging violation of a term or condition of probation.
    (c) The conditions of probation shall be that the person:
(1) not violate any criminal statute of any jurisdiction; (2)
refrain from possession of a firearm or other dangerous weapon;
(3) submit to periodic drug testing at a time and in a manner
as ordered by the court, but no less than 3 times during the
period of the probation, with the cost of the testing to be
paid by the probationer; and (4) perform no less than 30 hours
of community service, provided community service is available
in the jurisdiction and is funded and approved by the county
board.
    (d) The court may, in addition to other conditions, require
that the person:
        (1) make a report to and appear in person before or
    participate with the court or such courts, person, or
    social service agency as directed by the court in the order
    of probation;
        (2) pay a fine and costs;
        (3) work or pursue a course of study or vocational
    training;
        (4) undergo medical or psychiatric treatment; or
    treatment for drug addiction or alcoholism;
        (5) attend or reside in a facility established for the
    instruction or residence of defendants on probation;
        (6) support his dependents;
        (7) refrain from possessing a firearm or other
    dangerous weapon;
        (7-5) refrain from having in his or her body the
    presence of any illicit drug prohibited by the Cannabis
    Control Act, the Illinois Controlled Substances Act, or the
    Methamphetamine Control and Community Protection Act,
    unless prescribed by a physician, and submit samples of his
    or her blood or urine or both for tests to determine the
    presence of any illicit drug;
        (8) and in addition, if a minor:
            (i) reside with his parents or in a foster home;
            (ii) attend school;
            (iii) attend a non-residential program for youth;
            (iv) contribute to his own support at home or in a
        foster home.
    (e) Upon violation of a term or condition of probation, the
court may enter a judgment on its original finding of guilt and
proceed as otherwise provided.
    (f) Upon fulfillment of the terms and conditions of
probation, the court shall discharge such person and dismiss
the proceedings against him.
    (g) A disposition of probation is considered to be a
conviction for the purposes of imposing the conditions of
probation and for appeal, however, discharge and dismissal
under this Section is not a conviction for purposes of
disqualification or disabilities imposed by law upon
conviction of a crime (including the additional penalty imposed
for subsequent offenses under Section 4(c), 4(d), 5(c) or 5(d)
of this Act).
    (h) Discharge and dismissal under this Section, Section 410
of the Illinois Controlled Substances Act, Section 70 of the
Methamphetamine Control and Community Protection Act, Section
5-6-3.3 of the Unified Code of Corrections, or subsection (c)
of Section 11-14 of the Criminal Code of 1961 or the Criminal
Code of 2012 may occur only once with respect to any person.
    (i) If a person is convicted of an offense under this Act,
the Illinois Controlled Substances Act, or the Methamphetamine
Control and Community Protection Act within 5 years subsequent
to a discharge and dismissal under this Section, the discharge
and dismissal under this Section shall be admissible in the
sentencing proceeding for that conviction as a factor in
aggravation.
(Source: P.A. 97-1118, eff. 1-1-13.)
 
    Section 625. The Illinois Controlled Substances Act is
amended by changing Section 410 as follows:
 
    (720 ILCS 570/410)  (from Ch. 56 1/2, par. 1410)
    Sec. 410. (a) Whenever any person who has not previously
been convicted of, or placed on probation or court supervision
for any offense under this Act or any law of the United States
or of any State relating to cannabis or controlled substances,
pleads guilty to or is found guilty of possession of a
controlled or counterfeit substance under subsection (c) of
Section 402 or of unauthorized possession of prescription form
under Section 406.2, the court, without entering a judgment and
with the consent of such person, may sentence him or her to
probation.
    (b) When a person is placed on probation, the court shall
enter an order specifying a period of probation of 24 months
and shall defer further proceedings in the case until the
conclusion of the period or until the filing of a petition
alleging violation of a term or condition of probation.
    (c) The conditions of probation shall be that the person:
(1) not violate any criminal statute of any jurisdiction; (2)
refrain from possessing a firearm or other dangerous weapon;
(3) submit to periodic drug testing at a time and in a manner
as ordered by the court, but no less than 3 times during the
period of the probation, with the cost of the testing to be
paid by the probationer; and (4) perform no less than 30 hours
of community service, provided community service is available
in the jurisdiction and is funded and approved by the county
board.
    (d) The court may, in addition to other conditions, require
that the person:
        (1) make a report to and appear in person before or
    participate with the court or such courts, person, or
    social service agency as directed by the court in the order
    of probation;
        (2) pay a fine and costs;
        (3) work or pursue a course of study or vocational
    training;
        (4) undergo medical or psychiatric treatment; or
    treatment or rehabilitation approved by the Illinois
    Department of Human Services;
        (5) attend or reside in a facility established for the
    instruction or residence of defendants on probation;
        (6) support his or her dependents;
        (6-5) refrain from having in his or her body the
    presence of any illicit drug prohibited by the Cannabis
    Control Act, the Illinois Controlled Substances Act, or the
    Methamphetamine Control and Community Protection Act,
    unless prescribed by a physician, and submit samples of his
    or her blood or urine or both for tests to determine the
    presence of any illicit drug;
        (7) and in addition, if a minor:
            (i) reside with his or her parents or in a foster
        home;
            (ii) attend school;
            (iii) attend a non-residential program for youth;
            (iv) contribute to his or her own support at home
        or in a foster home.
    (e) Upon violation of a term or condition of probation, the
court may enter a judgment on its original finding of guilt and
proceed as otherwise provided.
    (f) Upon fulfillment of the terms and conditions of
probation, the court shall discharge the person and dismiss the
proceedings against him or her.
    (g) A disposition of probation is considered to be a
conviction for the purposes of imposing the conditions of
probation and for appeal, however, discharge and dismissal
under this Section is not a conviction for purposes of this Act
or for purposes of disqualifications or disabilities imposed by
law upon conviction of a crime.
    (h) There may be only one discharge and dismissal under
this Section, Section 10 of the Cannabis Control Act, Section
70 of the Methamphetamine Control and Community Protection Act,
Section 5-6-3.3 of the Unified Code of Corrections, or
subsection (c) of Section 11-14 of the Criminal Code of 1961 or
the Criminal Code of 2012 with respect to any person.
    (i) If a person is convicted of an offense under this Act,
the Cannabis Control Act, or the Methamphetamine Control and
Community Protection Act within 5 years subsequent to a
discharge and dismissal under this Section, the discharge and
dismissal under this Section shall be admissible in the
sentencing proceeding for that conviction as evidence in
aggravation.
(Source: P.A. 97-334, eff. 1-1-12; 97-1118, eff. 1-1-13.)
 
    Section 630. The Methamphetamine Control and Community
Protection Act is amended by changing Section 70 as follows:
 
    (720 ILCS 646/70)
    Sec. 70. Probation.
    (a) Whenever any person who has not previously been
convicted of, or placed on probation or court supervision for
any offense under this Act, the Illinois Controlled Substances
Act, the Cannabis Control Act, or any law of the United States
or of any state relating to cannabis or controlled substances,
pleads guilty to or is found guilty of possession of less than
15 grams of methamphetamine under paragraph (1) or (2) of
subsection (b) of Section 60 of this Act, the court, without
entering a judgment and with the consent of the person, may
sentence him or her to probation.
    (b) When a person is placed on probation, the court shall
enter an order specifying a period of probation of 24 months
and shall defer further proceedings in the case until the
conclusion of the period or until the filing of a petition
alleging violation of a term or condition of probation.
    (c) The conditions of probation shall be that the person:
        (1) not violate any criminal statute of any
    jurisdiction;
        (2) refrain from possessing a firearm or other
    dangerous weapon;
        (3) submit to periodic drug testing at a time and in a
    manner as ordered by the court, but no less than 3 times
    during the period of the probation, with the cost of the
    testing to be paid by the probationer; and
        (4) perform no less than 30 hours of community service,
    if community service is available in the jurisdiction and
    is funded and approved by the county board.
    (d) The court may, in addition to other conditions, require
that the person take one or more of the following actions:
        (1) make a report to and appear in person before or
    participate with the court or such courts, person, or
    social service agency as directed by the court in the order
    of probation;
        (2) pay a fine and costs;
        (3) work or pursue a course of study or vocational
    training;
        (4) undergo medical or psychiatric treatment; or
    treatment or rehabilitation approved by the Illinois
    Department of Human Services;
        (5) attend or reside in a facility established for the
    instruction or residence of defendants on probation;
        (6) support his or her dependents;
        (7) refrain from having in his or her body the presence
    of any illicit drug prohibited by this Act, the Cannabis
    Control Act, or the Illinois Controlled Substances Act,
    unless prescribed by a physician, and submit samples of his
    or her blood or urine or both for tests to determine the
    presence of any illicit drug; or
        (8) if a minor:
            (i) reside with his or her parents or in a foster
        home;
            (ii) attend school;
            (iii) attend a non-residential program for youth;
        or
            (iv) contribute to his or her own support at home
        or in a foster home.
    (e) Upon violation of a term or condition of probation, the
court may enter a judgment on its original finding of guilt and
proceed as otherwise provided.
    (f) Upon fulfillment of the terms and conditions of
probation, the court shall discharge the person and dismiss the
proceedings against the person.
    (g) A disposition of probation is considered to be a
conviction for the purposes of imposing the conditions of
probation and for appeal, however, discharge and dismissal
under this Section is not a conviction for purposes of this Act
or for purposes of disqualifications or disabilities imposed by
law upon conviction of a crime.
    (h) There may be only one discharge and dismissal under
this Section, Section 410 of the Illinois Controlled Substances
Act, Section 10 of the Cannabis Control Act, Section 5-6-3.3 of
the Unified Code of Corrections, or subsection (c) of Section
11-14 of the Criminal Code of 1961 or the Criminal Code of 2012
with respect to any person.
    (i) If a person is convicted of an offense under this Act,
the Cannabis Control Act, or the Illinois Controlled Substances
Act within 5 years subsequent to a discharge and dismissal
under this Section, the discharge and dismissal under this
Section are admissible in the sentencing proceeding for that
conviction as evidence in aggravation.
(Source: P.A. 97-1118, eff. 1-1-13.)
 
    Section 635. The Code of Criminal Procedure of 1963 is
amended by changing Sections 102-2, 103-2.1, 103-8, 108-4,
108-12, 108B-3, 108B-7.5, 108B-8, 109-3, 110-2, 110-4, 110-5,
110-5.1, 110-6, 110-6.3, 110-7, 110-10, 110-12, 111-1, 111-2,
111-3, 111-4, 111-8, 112A-3, 112A-11.1, 112A-11.2, 112A-14,
112A-16, 112A-23, 112A-26, 112A-30, 114-1, 114-4, 114-11,
114-12, 115-3, 115-4, 115-6, 115-7, 115-7.2, 115-7.3, 115-10,
115-10.2a, 115-10.3, 115-10.6, 115-11, 115-11.1, 115-13,
115-15, 115-16, 115-17b, 116-2.1, 116-4, 124B-10, 124B-100,
124B-300, 124B-405, 124B-415, 124B-420, 124B-500, 124B-600,
124B-610, 124B-700, 124B-710, 124B-800, 124B-905, and
124B-1000 as follows:
 
    (725 ILCS 5/102-2)  (from Ch. 38, par. 102-2)
    Sec. 102-2. Reference to criminal code for words and
phrases not described.
    A word or phrase not described in this Code but which is
described in Article 2 of the "Criminal Code of 2012 1961",
approved July 28, 1961, as heretofore and hereafter amended,
shall have the meaning therein described, except when a
particular context in this Code clearly requires a different
meaning.
(Source: Laws 1963, p. 2836.)
 
    (725 ILCS 5/103-2.1)
    Sec. 103-2.1. When statements by accused may be used.
    (a) In this Section, "custodial interrogation" means any
interrogation during which (i) a reasonable person in the
subject's position would consider himself or herself to be in
custody and (ii) during which a question is asked that is
reasonably likely to elicit an incriminating response.
    In this Section, "place of detention" means a building or a
police station that is a place of operation for a municipal
police department or county sheriff department or other law
enforcement agency, not a courthouse, that is owned or operated
by a law enforcement agency at which persons are or may be held
in detention in connection with criminal charges against those
persons.
    In this Section, "electronic recording" includes motion
picture, audiotape, or videotape, or digital recording.
    (b) An oral, written, or sign language statement of an
accused made as a result of a custodial interrogation at a
police station or other place of detention shall be presumed to
be inadmissible as evidence against the accused in any criminal
proceeding brought under Section 9-1, 9-1.2, 9-2, 9-2.1, 9-3,
9-3.2, or 9-3.3 of the Criminal Code of 1961 or the Criminal
Code of 2012 or under clause (d)(1)(F) of Section 11-501 of the
Illinois Vehicle Code unless:
        (1) an electronic recording is made of the custodial
    interrogation; and
        (2) the recording is substantially accurate and not
    intentionally altered.
    (c) Every electronic recording required under this Section
must be preserved until such time as the defendant's conviction
for any offense relating to the statement is final and all
direct and habeas corpus appeals are exhausted, or the
prosecution of such offenses is barred by law.
    (d) If the court finds, by a preponderance of the evidence,
that the defendant was subjected to a custodial interrogation
in violation of this Section, then any statements made by the
defendant during or following that non-recorded custodial
interrogation, even if otherwise in compliance with this
Section, are presumed to be inadmissible in any criminal
proceeding against the defendant except for the purposes of
impeachment.
    (e) Nothing in this Section precludes the admission (i) of
a statement made by the accused in open court at his or her
trial, before a grand jury, or at a preliminary hearing, (ii)
of a statement made during a custodial interrogation that was
not recorded as required by this Section, because electronic
recording was not feasible, (iii) of a voluntary statement,
whether or not the result of a custodial interrogation, that
has a bearing on the credibility of the accused as a witness,
(iv) of a spontaneous statement that is not made in response to
a question, (v) of a statement made after questioning that is
routinely asked during the processing of the arrest of the
suspect, (vi) of a statement made during a custodial
interrogation by a suspect who requests, prior to making the
statement, to respond to the interrogator's questions only if
an electronic recording is not made of the statement, provided
that an electronic recording is made of the statement of
agreeing to respond to the interrogator's question, only if a
recording is not made of the statement, (vii) of a statement
made during a custodial interrogation that is conducted
out-of-state, (viii) of a statement given at a time when the
interrogators are unaware that a death has in fact occurred, or
(ix) of any other statement that may be admissible under law.
The State shall bear the burden of proving, by a preponderance
of the evidence, that one of the exceptions described in this
subsection (e) is applicable. Nothing in this Section precludes
the admission of a statement, otherwise inadmissible under this
Section, that is used only for impeachment and not as
substantive evidence.
    (f) The presumption of inadmissibility of a statement made
by a suspect at a custodial interrogation at a police station
or other place of detention may be overcome by a preponderance
of the evidence that the statement was voluntarily given and is
reliable, based on the totality of the circumstances.
    (g) Any electronic recording of any statement made by an
accused during a custodial interrogation that is compiled by
any law enforcement agency as required by this Section for the
purposes of fulfilling the requirements of this Section shall
be confidential and exempt from public inspection and copying,
as provided under Section 7 of the Freedom of Information Act,
and the information shall not be transmitted to anyone except
as needed to comply with this Section.
(Source: P.A. 93-206, eff. 7-18-05; 93-517, eff. 8-6-05;
94-117, eff. 7-5-05.)
 
    (725 ILCS 5/103-8)  (from Ch. 38, par. 103-8)
    Sec. 103-8. Mandatory duty of officers.
    Any peace officer who intentionally prevents the exercise
by an accused of any right conferred by this Article or who
intentionally fails to perform any act required of him by this
Article shall be guilty of official misconduct and may be
punished in accordance with Section 33-3 of the "Criminal Code
of 2012 1961" approved July 28, 1961, as heretofore and
hereafter amended.
(Source: Laws 1963, p. 2836.)
 
    (725 ILCS 5/108-4)  (from Ch. 38, par. 108-4)
    Sec. 108-4. Issuance of search warrant.
    (a) All warrants upon written complaint shall state the
time and date of issuance and be the warrants of the judge
issuing the same and not the warrants of the court in which he
is then sitting and such warrants need not bear the seal of the
court or clerk thereof. The complaint on which the warrant is
issued need not be filed with the clerk of the court nor with
the court if there is no clerk until the warrant has been
executed or has been returned "not executed".
    The search warrant upon written complaint may be issued
electronically or electromagnetically by use of a facsimile
transmission machine and any such warrant shall have the same
validity as a written search warrant.
    (b) Warrant upon oral testimony.
        (1) General rule. When the offense in connection with
    which a search warrant is sought constitutes terrorism or
    any related offense as defined in Article 29D of the
    Criminal Code of 2012 1961, and if the circumstances make
    it reasonable to dispense, in whole or in part, with a
    written affidavit, a judge may issue a warrant based upon
    sworn testimony communicated by telephone or other
    appropriate means, including facsimile transmission.
        (2) Application. The person who is requesting the
    warrant shall prepare a document to be known as a duplicate
    original warrant and shall read such duplicate original
    warrant, verbatim, to the judge. The judge shall enter,
    verbatim, what is so read to the judge on a document to be
    known as the original warrant. The judge may direct that
    the warrant be modified.
        (3) Issuance. If the judge is satisfied that the
    offense in connection with which the search warrant is
    sought constitutes terrorism or any related offense as
    defined in Article 29D of the Criminal Code of 2012 1961,
    that the circumstances are such as to make it reasonable to
    dispense with a written affidavit, and that grounds for the
    application exist or that there is probable cause to
    believe that they exist, the judge shall order the issuance
    of a warrant by directing the person requesting the warrant
    to sign the judge's name on the duplicate original warrant.
    The judge shall immediately sign the original warrant and
    enter on the face of the original warrant the exact time
    when the warrant was ordered to be issued. The finding of
    probable cause for a warrant upon oral testimony may be
    based on the same kind of evidence as is sufficient for a
    warrant upon affidavit.
        (4) Recording and certification of testimony. When a
    caller informs the judge that the purpose of the call is to
    request a warrant, the judge shall immediately place under
    oath each person whose testimony forms a basis of the
    application and each person applying for that warrant. If a
    voice recording device is available, the judge shall record
    by means of the device all of the call after the caller
    informs the judge that the purpose of the call is to
    request a warrant, otherwise a stenographic or longhand
    verbatim record shall be made. If a voice recording device
    is used or a stenographic record made, the judge shall have
    the record transcribed, shall certify the accuracy of the
    transcription, and shall file a copy of the original record
    and the transcription with the court. If a longhand
    verbatim record is made, the judge shall file a signed copy
    with the court.
        (5) Contents. The contents of a warrant upon oral
    testimony shall be the same as the contents of a warrant
    upon affidavit.
        (6) Additional rule for execution. The person who
    executes the warrant shall enter the exact time of
    execution on the face of the duplicate original warrant.
        (7) Motion to suppress based on failure to obtain a
    written affidavit. Evidence obtained pursuant to a warrant
    issued under this subsection (b) is not subject to a motion
    to suppress on the ground that the circumstances were not
    such as to make it reasonable to dispense with a written
    affidavit, absent a finding of bad faith. All other grounds
    to move to suppress are preserved.
        (8) This subsection (b) is inoperative on and after
    January 1, 2005.
        (9) No evidence obtained pursuant to this subsection
    (b) shall be inadmissible in a court of law by virtue of
    subdivision (8).
(Source: P.A. 95-331, eff. 8-21-07.)
 
    (725 ILCS 5/108-12)  (from Ch. 38, par. 108-12)
    Sec. 108-12. Disposition of obscene material. In the case
of any material seized which is alleged to have been possessed
or used or intended to be used contrary to, or is evidence of a
violation of, Section 11-20 of the "Criminal Code of 1961 or
the Criminal Code of 2012 ", approved July 28, 1961, as
heretofore and hereafter amended, the court before which the
material is returned shall, upon written request of any person
from whom the material was seized or any person claiming
ownership or other right to possession of such material, enter
an order providing for a hearing to determine the obscene
nature thereof not more than 10 days after such return. If the
material is determined to be obscene it shall be held pending
further proceedings as provided by Section 108-11 of this Code.
If the material is determined not to be obscene it shall be
returned to the person from whom or place from which it was
seized, or to the person claiming ownership or other right to
possession of such material; provided that enough of the record
material may be retained by the State for purposes of appellate
proceedings. The decision of the court upon this hearing shall
not be admissible as evidence in any other proceeding nor shall
it be res judicata of any question in any other proceeding.
(Source: P.A. 83-334.)
 
    (725 ILCS 5/108B-3)  (from Ch. 38, par. 108B-3)
    Sec. 108B-3. Authorization for the interception of private
communication.
    (a) The State's Attorney, or a person designated in writing
or by law to act for him and to perform his duties during his
absence or disability, may authorize, in writing, an ex parte
application to the chief judge of a court of competent
jurisdiction for an order authorizing the interception of a
private communication when no party has consented to the
interception and (i) the interception may provide evidence of,
or may assist in the apprehension of a person who has
committed, is committing or is about to commit, a violation of
Section 8-1(b) (solicitation of murder), 8-1.2 (solicitation
of murder for hire), 9-1 (first degree murder), 10-9
(involuntary servitude, involuntary sexual servitude of a
minor, or trafficking in persons), paragraph (1), (2), or (3)
of subsection (a) of Section 11-14.4 (promoting juvenile
prostitution), subdivision (a)(2)(A) or (a)(2)(B) of Section
11-14.3 (promoting prostitution), 11-15.1 (soliciting for a
minor engaged in prostitution), 11-16 (pandering), 11-17.1
(keeping a place of juvenile prostitution), 11-18.1
(patronizing a minor engaged in prostitution), 11-19.1
(juvenile pimping and aggravated juvenile pimping), or 29B-1
(money laundering) of the Criminal Code of 1961 or the Criminal
Code of 2012, Section 401, 401.1 (controlled substance
trafficking), 405, 405.1 (criminal drug conspiracy) or 407 of
the Illinois Controlled Substances Act or any Section of the
Methamphetamine Control and Community Protection Act, a
violation of Section 24-2.1, 24-2.2, 24-3, 24-3.1, 24-3.3,
24-3.4, 24-4, or 24-5 or subsection 24-1(a)(4), 24-1(a)(6),
24-1(a)(7), 24-1(a)(9), 24-1(a)(10), or 24-1(c) of the
Criminal Code of 1961 or the Criminal Code of 2012 or
conspiracy to commit money laundering or conspiracy to commit
first degree murder; (ii) in response to a clear and present
danger of imminent death or great bodily harm to persons
resulting from: (1) a kidnapping or the holding of a hostage by
force or the threat of the imminent use of force; or (2) the
occupation by force or the threat of the imminent use of force
of any premises, place, vehicle, vessel or aircraft; (iii) to
aid an investigation or prosecution of a civil action brought
under the Illinois Streetgang Terrorism Omnibus Prevention Act
when there is probable cause to believe the interception of the
private communication will provide evidence that a streetgang
is committing, has committed, or will commit a second or
subsequent gang-related offense or that the interception of the
private communication will aid in the collection of a judgment
entered under that Act; or (iv) upon information and belief
that a streetgang has committed, is committing, or is about to
commit a felony.
    (b) The State's Attorney or a person designated in writing
or by law to act for the State's Attorney and to perform his or
her duties during his or her absence or disability, may
authorize, in writing, an ex parte application to the chief
judge of a circuit court for an order authorizing the
interception of a private communication when no party has
consented to the interception and the interception may provide
evidence of, or may assist in the apprehension of a person who
has committed, is committing or is about to commit, a violation
of an offense under Article 29D of the Criminal Code of 1961 or
the Criminal Code of 2012.
    (b-1) Subsection (b) is inoperative on and after January 1,
2005.
    (b-2) No conversations recorded or monitored pursuant to
subsection (b) shall be made inadmissible in a court of law by
virtue of subsection (b-1).
    (c) As used in this Section, "streetgang" and
"gang-related" have the meanings ascribed to them in Section 10
of the Illinois Streetgang Terrorism Omnibus Prevention Act.
(Source: P.A. 96-710, eff. 1-1-10; 96-1464, eff. 8-20-10;
97-897, eff. 1-1-13.)
 
    (725 ILCS 5/108B-7.5)
    Sec. 108B-7.5. Applicability.
    (a) The requirements of subdivisions (a)(3)(iv) and
(a)(3)(v) of Section 108B-4, subdivision (1)(b) of Section
108B-5, and subdivision (a)(3) of Section 108B-7 of this
Article relating to the specification of the facilities from
which, or the place where, the communication is to be
intercepted do not apply if:
        (1) in the case of an application with respect to the
    interception of an oral communication:
            (A) the application is by the State's Attorney, or
        a person designated in writing or by law to act for the
        State's Attorney and to perform his or her duties
        during his or her absence or disability;
            (B) the application contains a full and complete
        statement as to why such specification is not practical
        and identifies the person committing the offense and
        whose communications are to be intercepted;
            (C) the judge finds that such specification is not
        practical; and
            (D) the order sought is in connection with an
        investigation of a violation of Article 29D of the
        Criminal Code of 1961 or the Criminal Code of 2012.
        (2) in the case of an application with respect to a
    wire or electronic communication:
            (A) the application is by the State's Attorney, or
        a person designated in writing or by law to act for the
        State's Attorney and to perform his or her duties
        during his or her absence or disability;
            (B) the application identifies the person believed
        to be committing the offense and whose communications
        are to be intercepted and the applicant makes a showing
        that there is probable cause to believe that the
        person's actions could have the effect of thwarting
        interception from a specified facility;
            (C) the judge finds that such showing has been
        adequately made;
            (D) the order authorizing or approving the
        interception is limited to interception only for such
        time as it is reasonable to presume that the person
        identified in the application is or was reasonably
        proximate to the instrument through which such
        communication will be or was transmitted; and
            (E) the order sought is in connection with an
        investigation of a violation of Article 29D of the
        Criminal Code of 1961 or the Criminal Code of 2012.
    (b) An interception of a communication under an order with
respect to which the requirements of subdivisions (a)(3)(iv)
and (a)(3)(v) of Section 108B-4, subdivision (1)(b) of Section
108B-5, and subdivision (a)(3) of Section 108B-7 of this
Article do not apply by reason of this Section shall not begin
until the place where the communication is to be intercepted is
ascertained by the person implementing the interception order.
A provider of wire or electronic communications service that
has received an order as provided for in subdivision (a)(2) may
upon notice to the People move the court to modify or quash the
order on the ground that its assistance with respect to the
interception cannot be performed in a timely or reasonable
fashion. The court shall decide such a motion expeditiously.
(Source: P.A. 92-854, eff. 12-5-02.)
 
    (725 ILCS 5/108B-8)  (from Ch. 38, par. 108B-8)
    Sec. 108B-8. Emergency use of eavesdropping device.
    (a) Whenever, upon informal application by the State's
Attorney, a chief judge of competent jurisdiction determines
that:
        (1) there may be grounds upon which an order could be
    issued under this Article;
        (2) there is probable cause to believe that an
    emergency situation exists with respect to the
    investigation of an offense enumerated in Section 108B-3;
    and
        (3) there is probable cause to believe that a
    substantial danger to life or limb exists justifying the
    authorization for immediate interception of a private
    communication before formal application for an order could
    with due diligence be submitted to him and acted upon; the
    chief judge may grant oral approval for an interception,
    without an order, conditioned upon the filing with him,
    within 48 hours, of an application for an order under
    Section 108B-4 which shall also recite the oral approval
    under this Section and be retroactive to the time of the
    oral approval.
    (b) Interception under oral approval under this Section
shall immediately terminate when the communication sought is
obtained or when the application for an order is denied,
whichever is earlier.
    (c) In the event no formal application for an order is
subsequently made under this Section, the content of any
private communication intercepted under oral approval under
this Section shall be treated as having been obtained in
violation of this Article.
    (d) In the event no application for an order is made under
this Section or an application made under this Section is
subsequently denied, the judge shall cause an inventory to be
served under Section 108B-11 of this Article and shall require
the tape or other recording of the intercepted communication to
be delivered to, and sealed by, the judge. The evidence shall
be retained by the court, and it shall not be used or disclosed
in any legal proceeding, except a civil action brought by an
aggrieved person under Section 14-6 of the Criminal Code of
1961 or the Criminal Code of 2012, or as otherwise authorized
by the order of a court of competent jurisdiction. In addition
to other remedies or penalties provided by law, failure to
deliver any tape or other recording to the chief judge shall be
punishable as contempt by the judge directing the delivery.
(Source: P.A. 92-854, eff. 12-5-02.)
 
    (725 ILCS 5/109-3)  (from Ch. 38, par. 109-3)
    Sec. 109-3. Preliminary examination.) (a) The judge shall
hold the defendant to answer to the court having jurisdiction
of the offense if from the evidence it appears there is
probable cause to believe an offense has been committed by the
defendant, as provided in Section 109-3.1 of this Code, if the
offense is a felony.
    (b) If the defendant waives preliminary examination the
judge shall hold him to answer and may, or on the demand of the
prosecuting attorney shall, cause the witnesses for the State
to be examined. After hearing the testimony if it appears that
there is not probable cause to believe the defendant guilty of
any offense the judge shall discharge him.
    (c) During the examination of any witness or when the
defendant is making a statement or testifying the judge may and
on the request of the defendant or State shall exclude all
other witnesses. He may also cause the witnesses to be kept
separate and to be prevented from communicating with each other
until all are examined.
    (d) If the defendant is held to answer the judge may
require any material witness for the State or defendant to
enter into a written undertaking to appear at the trial, and
may provide for the forfeiture of a sum certain in the event
the witness does not appear at the trial. Any witness who
refuses to execute a recognizance may be committed by the judge
to the custody of the sheriff until trial or further order of
the court having jurisdiction of the cause. Any witness who
executes a recognizance and fails to comply with its terms
shall, in addition to any forfeiture provided in the
recognizance, be subject to the penalty provided in Section
32-10 of the "Criminal Code of 2012 1961", approved July 28,
1961, as heretofore and hereafter amended, for violation of
bail bond.
    (e) During preliminary hearing or examination the
defendant may move for an order of suppression of evidence
pursuant to Section 114-11 or 114-12 of this Act or for other
reasons, and may move for dismissal of the charge pursuant to
Section 114-1 of this Act or for other reasons.
(Source: P.A. 83-644.)
 
    (725 ILCS 5/110-2)  (from Ch. 38, par. 110-2)
    Sec. 110-2. Release on own recognizance. When from all the
circumstances the court is of the opinion that the defendant
will appear as required either before or after conviction and
the defendant will not pose a danger to any person or the
community and that the defendant will comply with all
conditions of bond, which shall include the defendant's current
address with a written admonishment to the defendant that he or
she must comply with the provisions of Section 110-12 of this
Code regarding any change in his or her address, the defendant
may be released on his or her own recognizance. The defendant's
address shall at all times remain a matter of public record
with the clerk of the court. A failure to appear as required by
such recognizance shall constitute an offense subject to the
penalty provided in Section 32-10 of the "Criminal Code of 2012
1961", approved July 28, 1961, as heretofore and hereafter
amended, for violation of the bail bond, and any obligated sum
fixed in the recognizance shall be forfeited and collected in
accordance with subsection (g) of Section 110-7 of this Code.
    This Section shall be liberally construed to effectuate the
purpose of relying upon contempt of court proceedings or
criminal sanctions instead of financial loss to assure the
appearance of the defendant, and that the defendant will not
pose a danger to any person or the community and that the
defendant will comply with all conditions of bond. Monetary
bail should be set only when it is determined that no other
conditions of release will reasonably assure the defendant's
appearance in court, that the defendant does not present a
danger to any person or the community and that the defendant
will comply with all conditions of bond.
    The State may appeal any order permitting release by
personal recognizance.
(Source: P.A. 89-377, eff. 8-18-95.)
 
    (725 ILCS 5/110-4)  (from Ch. 38, par. 110-4)
    Sec. 110-4. Bailable Offenses.
    (a) All persons shall be bailable before conviction, except
the following offenses where the proof is evident or the
presumption great that the defendant is guilty of the offense:
capital offenses; offenses for which a sentence of life
imprisonment may be imposed as a consequence of conviction;
felony offenses for which a sentence of imprisonment, without
conditional and revocable release, shall be imposed by law as a
consequence of conviction, where the court after a hearing,
determines that the release of the defendant would pose a real
and present threat to the physical safety of any person or
persons; stalking or aggravated stalking, where the court,
after a hearing, determines that the release of the defendant
would pose a real and present threat to the physical safety of
the alleged victim of the offense and denial of bail is
necessary to prevent fulfillment of the threat upon which the
charge is based; or unlawful use of weapons in violation of
item (4) of subsection (a) of Section 24-1 of the Criminal Code
of 1961 or the Criminal Code of 2012 when that offense occurred
in a school or in any conveyance owned, leased, or contracted
by a school to transport students to or from school or a
school-related activity, or on any public way within 1,000 feet
of real property comprising any school, where the court, after
a hearing, determines that the release of the defendant would
pose a real and present threat to the physical safety of any
person and denial of bail is necessary to prevent fulfillment
of that threat; or making a terrorist threat in violation of
Section 29D-20 of the Criminal Code of 1961 or the Criminal
Code of 2012 or an attempt to commit the offense of making a
terrorist threat, where the court, after a hearing, determines
that the release of the defendant would pose a real and present
threat to the physical safety of any person and denial of bail
is necessary to prevent fulfillment of that threat.
    (b) A person seeking release on bail who is charged with a
capital offense or an offense for which a sentence of life
imprisonment may be imposed shall not be bailable until a
hearing is held wherein such person has the burden of
demonstrating that the proof of his guilt is not evident and
the presumption is not great.
    (c) Where it is alleged that bail should be denied to a
person upon the grounds that the person presents a real and
present threat to the physical safety of any person or persons,
the burden of proof of such allegations shall be upon the
State.
    (d) When it is alleged that bail should be denied to a
person charged with stalking or aggravated stalking upon the
grounds set forth in Section 110-6.3 of this Code, the burden
of proof of those allegations shall be upon the State.
(Source: P.A. 95-952, eff. 8-29-08.)
 
    (725 ILCS 5/110-5)  (from Ch. 38, par. 110-5)
    Sec. 110-5. Determining the amount of bail and conditions
of release.
    (a) In determining the amount of monetary bail or
conditions of release, if any, which will reasonably assure the
appearance of a defendant as required or the safety of any
other person or the community and the likelihood of compliance
by the defendant with all the conditions of bail, the court
shall, on the basis of available information, take into account
such matters as the nature and circumstances of the offense
charged, whether the evidence shows that as part of the offense
there was a use of violence or threatened use of violence,
whether the offense involved corruption of public officials or
employees, whether there was physical harm or threats of
physical harm to any public official, public employee, judge,
prosecutor, juror or witness, senior citizen, child or
handicapped person, whether evidence shows that during the
offense or during the arrest the defendant possessed or used a
firearm, machine gun, explosive or metal piercing ammunition or
explosive bomb device or any military or paramilitary armament,
whether the evidence shows that the offense committed was
related to or in furtherance of the criminal activities of an
organized gang or was motivated by the defendant's membership
in or allegiance to an organized gang, the condition of the
victim, any written statement submitted by the victim or
proffer or representation by the State regarding the impact
which the alleged criminal conduct has had on the victim and
the victim's concern, if any, with further contact with the
defendant if released on bail, whether the offense was based on
racial, religious, sexual orientation or ethnic hatred, the
likelihood of the filing of a greater charge, the likelihood of
conviction, the sentence applicable upon conviction, the
weight of the evidence against such defendant, whether there
exists motivation or ability to flee, whether there is any
verification as to prior residence, education, or family ties
in the local jurisdiction, in another county, state or foreign
country, the defendant's employment, financial resources,
character and mental condition, past conduct, prior use of
alias names or dates of birth, and length of residence in the
community, the consent of the defendant to periodic drug
testing in accordance with Section 110-6.5, whether a foreign
national defendant is lawfully admitted in the United States of
America, whether the government of the foreign national
maintains an extradition treaty with the United States by which
the foreign government will extradite to the United States its
national for a trial for a crime allegedly committed in the
United States, whether the defendant is currently subject to
deportation or exclusion under the immigration laws of the
United States, whether the defendant, although a United States
citizen, is considered under the law of any foreign state a
national of that state for the purposes of extradition or
non-extradition to the United States, the amount of unrecovered
proceeds lost as a result of the alleged offense, the source of
bail funds tendered or sought to be tendered for bail, whether
from the totality of the court's consideration, the loss of
funds posted or sought to be posted for bail will not deter the
defendant from flight, whether the evidence shows that the
defendant is engaged in significant possession, manufacture,
or delivery of a controlled substance or cannabis, either
individually or in consort with others, whether at the time of
the offense charged he was on bond or pre-trial release pending
trial, probation, periodic imprisonment or conditional
discharge pursuant to this Code or the comparable Code of any
other state or federal jurisdiction, whether the defendant is
on bond or pre-trial release pending the imposition or
execution of sentence or appeal of sentence for any offense
under the laws of Illinois or any other state or federal
jurisdiction, whether the defendant is under parole or
mandatory supervised release or work release from the Illinois
Department of Corrections or any penal institution or
corrections department of any state or federal jurisdiction,
the defendant's record of convictions, whether the defendant
has been convicted of a misdemeanor or ordinance offense in
Illinois or similar offense in other state or federal
jurisdiction within the 10 years preceding the current charge
or convicted of a felony in Illinois, whether the defendant was
convicted of an offense in another state or federal
jurisdiction that would be a felony if committed in Illinois
within the 20 years preceding the current charge or has been
convicted of such felony and released from the penitentiary
within 20 years preceding the current charge if a penitentiary
sentence was imposed in Illinois or other state or federal
jurisdiction, the defendant's records of juvenile adjudication
of delinquency in any jurisdiction, any record of appearance or
failure to appear by the defendant at court proceedings,
whether there was flight to avoid arrest or prosecution,
whether the defendant escaped or attempted to escape to avoid
arrest, whether the defendant refused to identify himself, or
whether there was a refusal by the defendant to be
fingerprinted as required by law. Information used by the court
in its findings or stated in or offered in connection with this
Section may be by way of proffer based upon reliable
information offered by the State or defendant. All evidence
shall be admissible if it is relevant and reliable regardless
of whether it would be admissible under the rules of evidence
applicable at criminal trials. If the State presents evidence
that the offense committed by the defendant was related to or
in furtherance of the criminal activities of an organized gang
or was motivated by the defendant's membership in or allegiance
to an organized gang, and if the court determines that the
evidence may be substantiated, the court shall prohibit the
defendant from associating with other members of the organized
gang as a condition of bail or release. For the purposes of
this Section, "organized gang" has the meaning ascribed to it
in Section 10 of the Illinois Streetgang Terrorism Omnibus
Prevention Act.
    (b) The amount of bail shall be:
        (1) Sufficient to assure compliance with the
    conditions set forth in the bail bond, which shall include
    the defendant's current address with a written
    admonishment to the defendant that he or she must comply
    with the provisions of Section 110-12 regarding any change
    in his or her address. The defendant's address shall at all
    times remain a matter of public record with the clerk of
    the court.
        (2) Not oppressive.
        (3) Considerate of the financial ability of the
    accused.
        (4) When a person is charged with a drug related
    offense involving possession or delivery of cannabis or
    possession or delivery of a controlled substance as defined
    in the Cannabis Control Act, the Illinois Controlled
    Substances Act, or the Methamphetamine Control and
    Community Protection Act, the full street value of the
    drugs seized shall be considered. "Street value" shall be
    determined by the court on the basis of a proffer by the
    State based upon reliable information of a law enforcement
    official contained in a written report as to the amount
    seized and such proffer may be used by the court as to the
    current street value of the smallest unit of the drug
    seized.
    (b-5) Upon the filing of a written request demonstrating
reasonable cause, the State's Attorney may request a source of
bail hearing either before or after the posting of any funds.
If the hearing is granted, before the posting of any bail, the
accused must file a written notice requesting that the court
conduct a source of bail hearing. The notice must be
accompanied by justifying affidavits stating the legitimate
and lawful source of funds for bail. At the hearing, the court
shall inquire into any matters stated in any justifying
affidavits, and may also inquire into matters appropriate to
the determination which shall include, but are not limited to,
the following:
        (1) the background, character, reputation, and
    relationship to the accused of any surety; and
        (2) the source of any money or property deposited by
    any surety, and whether any such money or property
    constitutes the fruits of criminal or unlawful conduct; and
        (3) the source of any money posted as cash bail, and
    whether any such money constitutes the fruits of criminal
    or unlawful conduct; and
        (4) the background, character, reputation, and
    relationship to the accused of the person posting cash
    bail.
    Upon setting the hearing, the court shall examine, under
oath, any persons who may possess material information.
    The State's Attorney has a right to attend the hearing, to
call witnesses and to examine any witness in the proceeding.
The court shall, upon request of the State's Attorney, continue
the proceedings for a reasonable period to allow the State's
Attorney to investigate the matter raised in any testimony or
affidavit. If the hearing is granted after the accused has
posted bail, the court shall conduct a hearing consistent with
this subsection (b-5). At the conclusion of the hearing, the
court must issue an order either approving of disapproving the
bail.
    (c) When a person is charged with an offense punishable by
fine only the amount of the bail shall not exceed double the
amount of the maximum penalty.
    (d) When a person has been convicted of an offense and only
a fine has been imposed the amount of the bail shall not exceed
double the amount of the fine.
    (e) The State may appeal any order granting bail or setting
a given amount for bail.
    (f) When a person is charged with a violation of an order
of protection under Section 12-3.4 or 12-30 of the Criminal
Code of 1961 or the Criminal Code of 2012,
        (1) whether the alleged incident involved harassment
    or abuse, as defined in the Illinois Domestic Violence Act
    of 1986;
        (2) whether the person has a history of domestic
    violence, as defined in the Illinois Domestic Violence Act,
    or a history of other criminal acts;
        (3) based on the mental health of the person;
        (4) whether the person has a history of violating the
    orders of any court or governmental entity;
        (5) whether the person has been, or is, potentially a
    threat to any other person;
        (6) whether the person has access to deadly weapons or
    a history of using deadly weapons;
        (7) whether the person has a history of abusing alcohol
    or any controlled substance;
        (8) based on the severity of the alleged incident that
    is the basis of the alleged offense, including, but not
    limited to, the duration of the current incident, and
    whether the alleged incident involved physical injury,
    sexual assault, strangulation, abuse during the alleged
    victim's pregnancy, abuse of pets, or forcible entry to
    gain access to the alleged victim;
        (9) whether a separation of the person from the alleged
    victim or a termination of the relationship between the
    person and the alleged victim has recently occurred or is
    pending;
        (10) whether the person has exhibited obsessive or
    controlling behaviors toward the alleged victim,
    including, but not limited to, stalking, surveillance, or
    isolation of the alleged victim or victim's family member
    or members;
        (11) whether the person has expressed suicidal or
    homicidal ideations;
        (12) based on any information contained in the
    complaint and any police reports, affidavits, or other
    documents accompanying the complaint,
the court may, in its discretion, order the respondent to
undergo a risk assessment evaluation conducted by an Illinois
Department of Human Services approved partner abuse
intervention program provider, pretrial service, probation, or
parole agency. These agencies shall have access to summaries of
the defendant's criminal history, which shall not include
victim interviews or information, for the risk evaluation.
Based on the information collected from the 12 points to be
considered at a bail hearing for a violation of an order of
protection, the results of any risk evaluation conducted and
the other circumstances of the violation, the court may order
that the person, as a condition of bail, be placed under
electronic surveillance as provided in Section 5-8A-7 of the
Unified Code of Corrections.
(Source: P.A. 95-773, eff. 1-1-09; 96-688, eff. 8-25-09;
96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/110-5.1)
    Sec. 110-5.1. Bail; certain persons charged with violent
crimes against family or household members.
    (a) Subject to subsection (c), a person who is charged with
a violent crime shall appear before the court for the setting
of bail if the alleged victim was a family or household member
at the time of the alleged offense, and if any of the following
applies:
        (1) the person charged, at the time of the alleged
    offense, was subject to the terms of an order of protection
    issued under Section 112A-14 of this Code or Section 214 of
    the Illinois Domestic Violence Act of 1986 or previously
    was convicted of a violation of an order of protection
    under Section 12-3.4 or 12-30 of the Criminal Code of 1961
    or the Criminal Code of 2012 or a violent crime if the
    victim was a family or household member at the time of the
    offense or a violation of a substantially similar municipal
    ordinance or law of this or any other state or the United
    States if the victim was a family or household member at
    the time of the offense;
        (2) the arresting officer indicates in a police report
    or other document accompanying the complaint any of the
    following:
            (A) that the arresting officer observed on the
        alleged victim objective manifestations of physical
        harm that the arresting officer reasonably believes
        are a result of the alleged offense;
            (B) that the arresting officer reasonably believes
        that the person had on the person's person at the time
        of the alleged offense a deadly weapon;
            (C) that the arresting officer reasonably believes
        that the person presents a credible threat of serious
        physical harm to the alleged victim or to any other
        person if released on bail before trial.
    (b) To the extent that information about any of the
following is available to the court, the court shall consider
all of the following, in addition to any other circumstances
considered by the court, before setting bail for a person who
appears before the court pursuant to subsection (a):
        (1) whether the person has a history of domestic
    violence or a history of other violent acts;
        (2) the mental health of the person;
        (3) whether the person has a history of violating the
    orders of any court or governmental entity;
        (4) whether the person is potentially a threat to any
    other person;
        (5) whether the person has access to deadly weapons or
    a history of using deadly weapons;
        (6) whether the person has a history of abusing alcohol
    or any controlled substance;
        (7) the severity of the alleged violence that is the
    basis of the alleged offense, including, but not limited
    to, the duration of the alleged violent incident, and
    whether the alleged violent incident involved serious
    physical injury, sexual assault, strangulation, abuse
    during the alleged victim's pregnancy, abuse of pets, or
    forcible entry to gain access to the alleged victim;
        (8) whether a separation of the person from the alleged
    victim or a termination of the relationship between the
    person and the alleged victim has recently occurred or is
    pending;
        (9) whether the person has exhibited obsessive or
    controlling behaviors toward the alleged victim,
    including, but not limited to, stalking, surveillance, or
    isolation of the alleged victim;
        (10) whether the person has expressed suicidal or
    homicidal ideations;
        (11) any information contained in the complaint and any
    police reports, affidavits, or other documents
    accompanying the complaint.
    (c) Upon the court's own motion or the motion of a party
and upon any terms that the court may direct, a court may
permit a person who is required to appear before it by
subsection (a) to appear by video conferencing equipment. If,
in the opinion of the court, the appearance in person or by
video conferencing equipment of a person who is charged with a
misdemeanor and who is required to appear before the court by
subsection (a) is not practicable, the court may waive the
appearance and release the person on bail on one or both of the
following types of bail in an amount set by the court:
        (1) a bail bond secured by a deposit of 10% of the
    amount of the bond in cash;
        (2) a surety bond, a bond secured by real estate or
    securities as allowed by law, or the deposit of cash, at
    the option of the person.
    Subsection (a) does not create a right in a person to
appear before the court for the setting of bail or prohibit a
court from requiring any person charged with a violent crime
who is not described in subsection (a) from appearing before
the court for the setting of bail.
    (d) As used in this Section:
        (1) "Violent crime" has the meaning ascribed to it in
    Section 3 of the Rights of Crime Victims and Witnesses Act.
        (2) "Family or household member" has the meaning
    ascribed to it in Section 112A-3 of this Code.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/110-6)  (from Ch. 38, par. 110-6)
    Sec. 110-6. (a) Upon verified application by the State or
the defendant or on its own motion the court before which the
proceeding is pending may increase or reduce the amount of bail
or may alter the conditions of the bail bond or grant bail
where it has been previously revoked or denied. If bail has
been previously revoked pursuant to subsection (f) of this
Section or if bail has been denied to the defendant pursuant to
subsection (e) of Section 110-6.1 or subsection (e) of Section
110-6.3, the defendant shall be required to present a verified
application setting forth in detail any new facts not known or
obtainable at the time of the previous revocation or denial of
bail proceedings. If the court grants bail where it has been
previously revoked or denied, the court shall state on the
record of the proceedings the findings of facts and conclusion
of law upon which such order is based.
    (b) Violation of the conditions of Section 110-10 of this
Code or any special conditions of bail as ordered by the court
shall constitute grounds for the court to increase the amount
of bail, or otherwise alter the conditions of bail, or, where
the alleged offense committed on bail is a forcible felony in
Illinois or a Class 2 or greater offense under the Illinois
Controlled Substances Act, the Cannabis Control Act, or the
Methamphetamine Control and Community Protection Act, revoke
bail pursuant to the appropriate provisions of subsection (e)
of this Section.
    (c) Reasonable notice of such application by the defendant
shall be given to the State.
    (d) Reasonable notice of such application by the State
shall be given to the defendant, except as provided in
subsection (e).
    (e) Upon verified application by the State stating facts or
circumstances constituting a violation or a threatened
violation of any of the conditions of the bail bond the court
may issue a warrant commanding any peace officer to bring the
defendant without unnecessary delay before the court for a
hearing on the matters set forth in the application. If the
actual court before which the proceeding is pending is absent
or otherwise unavailable another court may issue a warrant
pursuant to this Section. When the defendant is charged with a
felony offense and while free on bail is charged with a
subsequent felony offense and is the subject of a proceeding
set forth in Section 109-1 or 109-3 of this Code, upon the
filing of a verified petition by the State alleging a violation
of Section 110-10 (a) (4) of this Code, the court shall without
prior notice to the defendant, grant leave to file such
application and shall order the transfer of the defendant and
the application without unnecessary delay to the court before
which the previous felony matter is pending for a hearing as
provided in subsection (b) or this subsection of this Section.
The defendant shall be held without bond pending transfer to
and a hearing before such court. At the conclusion of the
hearing based on a violation of the conditions of Section
110-10 of this Code or any special conditions of bail as
ordered by the court the court may enter an order increasing
the amount of bail or alter the conditions of bail as deemed
appropriate.
    (f) Where the alleged violation consists of the violation
of one or more felony statutes of any jurisdiction which would
be a forcible felony in Illinois or a Class 2 or greater
offense under the Illinois Controlled Substances Act, the
Cannabis Control Act, or the Methamphetamine Control and
Community Protection Act and the defendant is on bail for the
alleged commission of a felony, or where the defendant is on
bail for a felony domestic battery (enhanced pursuant to
subsection (b) of Section 12-3.2 of the Criminal Code of 1961
or the Criminal Code of 2012), aggravated domestic battery,
aggravated battery, unlawful restraint, aggravated unlawful
restraint or domestic battery in violation of item (1) of
subsection (a) of Section 12-3.2 of the Criminal Code of 1961
or the Criminal Code of 2012 against a family or household
member as defined in Section 112A-3 of this Code and the
violation is an offense of domestic battery against the same
victim the court shall, on the motion of the State or its own
motion, revoke bail in accordance with the following
provisions:
        (1) The court shall hold the defendant without bail
    pending the hearing on the alleged breach; however, if the
    defendant is not admitted to bail the hearing shall be
    commenced within 10 days from the date the defendant is
    taken into custody or the defendant may not be held any
    longer without bail, unless delay is occasioned by the
    defendant. Where defendant occasions the delay, the
    running of the 10 day period is temporarily suspended and
    resumes at the termination of the period of delay. Where
    defendant occasions the delay with 5 or fewer days
    remaining in the 10 day period, the court may grant a
    period of up to 5 additional days to the State for good
    cause shown. The State, however, shall retain the right to
    proceed to hearing on the alleged violation at any time,
    upon reasonable notice to the defendant and the court.
        (2) At a hearing on the alleged violation the State has
    the burden of going forward and proving the violation by
    clear and convincing evidence. The evidence shall be
    presented in open court with the opportunity to testify, to
    present witnesses in his behalf, and to cross-examine
    witnesses if any are called by the State, and
    representation by counsel and if the defendant is indigent
    to have counsel appointed for him. The rules of evidence
    applicable in criminal trials in this State shall not
    govern the admissibility of evidence at such hearing.
    Information used by the court in its findings or stated in
    or offered in connection with hearings for increase or
    revocation of bail may be by way of proffer based upon
    reliable information offered by the State or defendant. All
    evidence shall be admissible if it is relevant and reliable
    regardless of whether it would be admissible under the
    rules of evidence applicable at criminal trials. A motion
    by the defendant to suppress evidence or to suppress a
    confession shall not be entertained at such a hearing.
    Evidence that proof may have been obtained as a result of
    an unlawful search and seizure or through improper
    interrogation is not relevant to this hearing.
        (3) Upon a finding by the court that the State has
    established by clear and convincing evidence that the
    defendant has committed a forcible felony or a Class 2 or
    greater offense under the Illinois Controlled Substances
    Act, the Cannabis Control Act, or the Methamphetamine
    Control and Community Protection Act while admitted to
    bail, or where the defendant is on bail for a felony
    domestic battery (enhanced pursuant to subsection (b) of
    Section 12-3.2 of the Criminal Code of 1961 or the Criminal
    Code of 2012), aggravated domestic battery, aggravated
    battery, unlawful restraint, aggravated unlawful restraint
    or domestic battery in violation of item (1) of subsection
    (a) of Section 12-3.2 of the Criminal Code of 1961 or the
    Criminal Code of 2012 against a family or household member
    as defined in Section 112A-3 of this Code and the violation
    is an offense of domestic battery, against the same victim,
    the court shall revoke the bail of the defendant and hold
    the defendant for trial without bail. Neither the finding
    of the court nor any transcript or other record of the
    hearing shall be admissible in the State's case in chief,
    but shall be admissible for impeachment, or as provided in
    Section 115-10.1 of this Code or in a perjury proceeding.
        (4) If the bail of any defendant is revoked pursuant to
    paragraph (f) (3) of this Section, the defendant may demand
    and shall be entitled to be brought to trial on the offense
    with respect to which he was formerly released on bail
    within 90 days after the date on which his bail was
    revoked. If the defendant is not brought to trial within
    the 90 day period required by the preceding sentence, he
    shall not be held longer without bail. In computing the 90
    day period, the court shall omit any period of delay
    resulting from a continuance granted at the request of the
    defendant.
        (5) If the defendant either is arrested on a warrant
    issued pursuant to this Code or is arrested for an
    unrelated offense and it is subsequently discovered that
    the defendant is a subject of another warrant or warrants
    issued pursuant to this Code, the defendant shall be
    transferred promptly to the court which issued such
    warrant. If, however, the defendant appears initially
    before a court other than the court which issued such
    warrant, the non-issuing court shall not alter the amount
    of bail heretofore set on such warrant unless the court
    sets forth on the record of proceedings the conclusions of
    law and facts which are the basis for such altering of
    another court's bond. The non-issuing court shall not alter
    another courts bail set on a warrant unless the interests
    of justice and public safety are served by such action.
    (g) The State may appeal any order where the court has
increased or reduced the amount of bail or altered the
conditions of the bail bond or granted bail where it has
previously been revoked.
(Source: P.A. 93-417, eff. 8-5-03; 94-556, eff. 9-11-05.)
 
    (725 ILCS 5/110-6.3)  (from Ch. 38, par. 110-6.3)
    Sec. 110-6.3. Denial of bail in stalking and aggravated
stalking offenses.
    (a) Upon verified petition by the State, the court shall
hold a hearing to determine whether bail should be denied to a
defendant who is charged with stalking or aggravated stalking,
when it is alleged that the defendant's admission to bail poses
a real and present threat to the physical safety of the alleged
victim of the offense, and denial of release on bail or
personal recognizance is necessary to prevent fulfillment of
the threat upon which the charge is based.
        (1) A petition may be filed without prior notice to the
    defendant at the first appearance before a judge, or within
    21 calendar days, except as provided in Section 110-6,
    after arrest and release of the defendant upon reasonable
    notice to defendant; provided that while the petition is
    pending before the court, the defendant if previously
    released shall not be detained.
        (2) The hearing shall be held immediately upon the
    defendant's appearance before the court, unless for good
    cause shown the defendant or the State seeks a continuance.
    A continuance on motion of the defendant may not exceed 5
    calendar days, and the defendant may be held in custody
    during the continuance. A continuance on the motion of the
    State may not exceed 3 calendar days; however, the
    defendant may be held in custody during the continuance
    under this provision if the defendant has been previously
    found to have violated an order of protection or has been
    previously convicted of, or granted court supervision for,
    any of the offenses set forth in Sections 11-1.20, 11-1.30,
    11-1.40, 11-1.50, 11-1.60, 12-2, 12-3.05, 12-3.2, 12-3.3,
    12-4, 12-4.1, 12-7.3, 12-7.4, 12-13, 12-14, 12-14.1, 12-15
    or 12-16 of the Criminal Code of 1961 or the Criminal Code
    of 2012, against the same person as the alleged victim of
    the stalking or aggravated stalking offense.
    (b) The court may deny bail to the defendant when, after
the hearing, it is determined that:
        (1) the proof is evident or the presumption great that
    the defendant has committed the offense of stalking or
    aggravated stalking; and
        (2) the defendant poses a real and present threat to
    the physical safety of the alleged victim of the offense;
    and
        (3) the denial of release on bail or personal
    recognizance is necessary to prevent fulfillment of the
    threat upon which the charge is based; and
        (4) the court finds that no condition or combination of
    conditions set forth in subsection (b) of Section 110-10 of
    this Code, including mental health treatment at a community
    mental health center, hospital, or facility of the
    Department of Human Services, can reasonably assure the
    physical safety of the alleged victim of the offense.
    (c) Conduct of the hearings.
        (1) The hearing on the defendant's culpability and
    threat to the alleged victim of the offense shall be
    conducted in accordance with the following provisions:
            (A) Information used by the court in its findings
        or stated in or offered at the hearing may be by way of
        proffer based upon reliable information offered by the
        State or by defendant. Defendant has the right to be
        represented by counsel, and if he is indigent, to have
        counsel appointed for him. Defendant shall have the
        opportunity to testify, to present witnesses in his own
        behalf, and to cross-examine witnesses if any are
        called by the State. The defendant has the right to
        present witnesses in his favor. When the ends of
        justice so require, the court may exercise its
        discretion and compel the appearance of a complaining
        witness. The court shall state on the record reasons
        for granting a defense request to compel the presence
        of a complaining witness. Cross-examination of a
        complaining witness at the pretrial detention hearing
        for the purpose of impeaching the witness' credibility
        is insufficient reason to compel the presence of the
        witness. In deciding whether to compel the appearance
        of a complaining witness, the court shall be
        considerate of the emotional and physical well-being
        of the witness. The pretrial detention hearing is not
        to be used for the purposes of discovery, and the post
        arraignment rules of discovery do not apply. The State
        shall tender to the defendant, prior to the hearing,
        copies of defendant's criminal history, if any, if
        available, and any written or recorded statements and
        the substance of any oral statements made by any
        person, if relied upon by the State. The rules
        concerning the admissibility of evidence in criminal
        trials do not apply to the presentation and
        consideration of information at the hearing. At the
        trial concerning the offense for which the hearing was
        conducted neither the finding of the court nor any
        transcript or other record of the hearing shall be
        admissible in the State's case in chief, but shall be
        admissible for impeachment, or as provided in Section
        115-10.1 of this Code, or in a perjury proceeding.
            (B) A motion by the defendant to suppress evidence
        or to suppress a confession shall not be entertained.
        Evidence that proof may have been obtained as the
        result of an unlawful search and seizure or through
        improper interrogation is not relevant to this state of
        the prosecution.
        (2) The facts relied upon by the court to support a
    finding that:
            (A) the defendant poses a real and present threat
        to the physical safety of the alleged victim of the
        offense; and
            (B) the denial of release on bail or personal
        recognizance is necessary to prevent fulfillment of
        the threat upon which the charge is based;
    shall be supported by clear and convincing evidence
    presented by the State.
    (d) Factors to be considered in making a determination of
the threat to the alleged victim of the offense. The court may,
in determining whether the defendant poses, at the time of the
hearing, a real and present threat to the physical safety of
the alleged victim of the offense, consider but shall not be
limited to evidence or testimony concerning:
        (1) The nature and circumstances of the offense
    charged;
        (2) The history and characteristics of the defendant
    including:
            (A) Any evidence of the defendant's prior criminal
        history indicative of violent, abusive or assaultive
        behavior, or lack of that behavior. The evidence may
        include testimony or documents received in juvenile
        proceedings, criminal, quasi-criminal, civil
        commitment, domestic relations or other proceedings;
            (B) Any evidence of the defendant's psychological,
        psychiatric or other similar social history that tends
        to indicate a violent, abusive, or assaultive nature,
        or lack of any such history.
        (3) The nature of the threat which is the basis of the
    charge against the defendant;
        (4) Any statements made by, or attributed to the
    defendant, together with the circumstances surrounding
    them;
        (5) The age and physical condition of any person
    assaulted by the defendant;
        (6) Whether the defendant is known to possess or have
    access to any weapon or weapons;
        (7) Whether, at the time of the current offense or any
    other offense or arrest, the defendant was on probation,
    parole, mandatory supervised release or other release from
    custody pending trial, sentencing, appeal or completion of
    sentence for an offense under federal or state law;
        (8) Any other factors, including those listed in
    Section 110-5 of this Code, deemed by the court to have a
    reasonable bearing upon the defendant's propensity or
    reputation for violent, abusive or assaultive behavior, or
    lack of that behavior.
    (e) The court shall, in any order denying bail to a person
charged with stalking or aggravated stalking:
        (1) briefly summarize the evidence of the defendant's
    culpability and its reasons for concluding that the
    defendant should be held without bail;
        (2) direct that the defendant be committed to the
    custody of the sheriff for confinement in the county jail
    pending trial;
        (3) direct that the defendant be given a reasonable
    opportunity for private consultation with counsel, and for
    communication with others of his choice by visitation, mail
    and telephone; and
        (4) direct that the sheriff deliver the defendant as
    required for appearances in connection with court
    proceedings.
    (f) If the court enters an order for the detention of the
defendant under subsection (e) of this Section, the defendant
shall be brought to trial on the offense for which he is
detained within 90 days after the date on which the order for
detention was entered. If the defendant is not brought to trial
within the 90 day period required by this subsection (f), he
shall not be held longer without bail. In computing the 90 day
period, the court shall omit any period of delay resulting from
a continuance granted at the request of the defendant. The
court shall immediately notify the alleged victim of the
offense that the defendant has been admitted to bail under this
subsection.
    (g) Any person shall be entitled to appeal any order
entered under this Section denying bail to the defendant.
    (h) The State may appeal any order entered under this
Section denying any motion for denial of bail.
    (i) Nothing in this Section shall be construed as modifying
or limiting in any way the defendant's presumption of innocence
in further criminal proceedings.
(Source: P.A. 96-1551, Article 1, Section 965, eff. 7-1-11;
96-1551, Article 2, Section 1040, eff. 7-1-11; 97-1109, eff.
1-1-13.)
 
    (725 ILCS 5/110-7)  (from Ch. 38, par. 110-7)
    Sec. 110-7. Deposit of Bail Security.
    (a) The person for whom bail has been set shall execute the
bail bond and deposit with the clerk of the court before which
the proceeding is pending a sum of money equal to 10% of the
bail, but in no event shall such deposit be less than $25. The
clerk of the court shall provide a space on each form for a
person other than the accused who has provided the money for
the posting of bail to so indicate and a space signed by an
accused who has executed the bail bond indicating whether a
person other than the accused has provided the money for the
posting of bail. The form shall also include a written notice
to such person who has provided the defendant with the money
for the posting of bail indicating that the bail may be used to
pay costs, attorney's fees, fines, or other purposes authorized
by the court and if the defendant fails to comply with the
conditions of the bail bond, the court shall enter an order
declaring the bail to be forfeited. The written notice must be:
(1) distinguishable from the surrounding text; (2) in bold type
or underscored; and (3) in a type size at least 2 points larger
than the surrounding type. When a person for whom bail has been
set is charged with an offense under the Illinois Controlled
Substances Act or the Methamphetamine Control and Community
Protection Act which is a Class X felony, or making a terrorist
threat in violation of Section 29D-20 of the Criminal Code of
1961 or the Criminal Code of 2012 or an attempt to commit the
offense of making a terrorist threat, the court may require the
defendant to deposit a sum equal to 100% of the bail. Where any
person is charged with a forcible felony while free on bail and
is the subject of proceedings under Section 109-3 of this Code
the judge conducting the preliminary examination may also
conduct a hearing upon the application of the State pursuant to
the provisions of Section 110-6 of this Code to increase or
revoke the bail for that person's prior alleged offense.
    (b) Upon depositing this sum and any bond fee authorized by
law, the person shall be released from custody subject to the
conditions of the bail bond.
    (c) Once bail has been given and a charge is pending or is
thereafter filed in or transferred to a court of competent
jurisdiction the latter court shall continue the original bail
in that court subject to the provisions of Section 110-6 of
this Code.
    (d) After conviction the court may order that the original
bail stand as bail pending appeal or deny, increase or reduce
bail subject to the provisions of Section 110-6.2.
    (e) After the entry of an order by the trial court allowing
or denying bail pending appeal either party may apply to the
reviewing court having jurisdiction or to a justice thereof
sitting in vacation for an order increasing or decreasing the
amount of bail or allowing or denying bail pending appeal
subject to the provisions of Section 110-6.2.
    (f) When the conditions of the bail bond have been
performed and the accused has been discharged from all
obligations in the cause the clerk of the court shall return to
the accused or to the defendant's designee by an assignment
executed at the time the bail amount is deposited, unless the
court orders otherwise, 90% of the sum which had been deposited
and shall retain as bail bond costs 10% of the amount
deposited. However, in no event shall the amount retained by
the clerk as bail bond costs be less than $5. Bail bond
deposited by or on behalf of a defendant in one case may be
used, in the court's discretion, to satisfy financial
obligations of that same defendant incurred in a different case
due to a fine, court costs, restitution or fees of the
defendant's attorney of record. In counties with a population
of 3,000,000 or more, the court shall not order bail bond
deposited by or on behalf of a defendant in one case to be used
to satisfy financial obligations of that same defendant in a
different case until the bail bond is first used to satisfy
court costs and attorney's fees in the case in which the bail
bond has been deposited and any other unpaid child support
obligations are satisfied. In counties with a population of
less than 3,000,000, the court shall not order bail bond
deposited by or on behalf of a defendant in one case to be used
to satisfy financial obligations of that same defendant in a
different case until the bail bond is first used to satisfy
court costs in the case in which the bail bond has been
deposited.
    At the request of the defendant the court may order such
90% of defendant's bail deposit, or whatever amount is
repayable to defendant from such deposit, to be paid to
defendant's attorney of record.
    (g) If the accused does not comply with the conditions of
the bail bond the court having jurisdiction shall enter an
order declaring the bail to be forfeited. Notice of such order
of forfeiture shall be mailed forthwith to the accused at his
last known address. If the accused does not appear and
surrender to the court having jurisdiction within 30 days from
the date of the forfeiture or within such period satisfy the
court that appearance and surrender by the accused is
impossible and without his fault the court shall enter judgment
for the State if the charge for which the bond was given was a
felony or misdemeanor, or if the charge was quasi-criminal or
traffic, judgment for the political subdivision of the State
which prosecuted the case, against the accused for the amount
of the bail and costs of the court proceedings; however, in
counties with a population of less than 3,000,000, instead of
the court entering a judgment for the full amount of the bond
the court may, in its discretion, enter judgment for the cash
deposit on the bond, less costs, retain the deposit for further
disposition or, if a cash bond was posted for failure to appear
in a matter involving enforcement of child support or
maintenance, the amount of the cash deposit on the bond, less
outstanding costs, may be awarded to the person or entity to
whom the child support or maintenance is due. The deposit made
in accordance with paragraph (a) shall be applied to the
payment of costs. If judgment is entered and any amount of such
deposit remains after the payment of costs it shall be applied
to payment of the judgment and transferred to the treasury of
the municipal corporation wherein the bond was taken if the
offense was a violation of any penal ordinance of a political
subdivision of this State, or to the treasury of the county
wherein the bond was taken if the offense was a violation of
any penal statute of this State. The balance of the judgment
may be enforced and collected in the same manner as a judgment
entered in a civil action.
    (h) After a judgment for a fine and court costs or either
is entered in the prosecution of a cause in which a deposit had
been made in accordance with paragraph (a) the balance of such
deposit, after deduction of bail bond costs, shall be applied
to the payment of the judgment.
    (i) When a court appearance is required for an alleged
violation of the Criminal Code of 1961, the Criminal Code of
2012, the Illinois Vehicle Code, the Wildlife Code, the Fish
and Aquatic Life Code, the Child Passenger Protection Act, or a
comparable offense of a unit of local government as specified
in Supreme Court Rule 551, and if the accused does not appear
in court on the date set for appearance or any date to which
the case may be continued and the court issues an arrest
warrant for the accused, based upon his or her failure to
appear when having so previously been ordered to appear by the
court, the accused upon his or her admission to bail shall be
assessed by the court a fee of $75. Payment of the fee shall be
a condition of release unless otherwise ordered by the court.
The fee shall be in addition to any bail that the accused is
required to deposit for the offense for which the accused has
been charged and may not be used for the payment of court costs
or fines assessed for the offense. The clerk of the court shall
remit $70 of the fee assessed to the arresting agency who
brings the offender in on the arrest warrant. If the Department
of State Police is the arresting agency, $70 of the fee
assessed shall be remitted by the clerk of the court to the
State Treasurer within one month after receipt for deposit into
the State Police Operations Assistance Fund. The clerk of the
court shall remit $5 of the fee assessed to the Circuit Court
Clerk Operation and Administrative Fund as provided in Section
27.3d of the Clerks of Courts Act.
(Source: P.A. 96-1431, eff. 1-1-11; 97-175, eff. 1-1-12.)
 
    (725 ILCS 5/110-10)  (from Ch. 38, par. 110-10)
    Sec. 110-10. Conditions of bail bond.
    (a) If a person is released prior to conviction, either
upon payment of bail security or on his or her own
recognizance, the conditions of the bail bond shall be that he
or she will:
        (1) Appear to answer the charge in the court having
    jurisdiction on a day certain and thereafter as ordered by
    the court until discharged or final order of the court;
        (2) Submit himself or herself to the orders and process
    of the court;
        (3) Not depart this State without leave of the court;
        (4) Not violate any criminal statute of any
    jurisdiction;
        (5) At a time and place designated by the court,
    surrender all firearms in his or her possession to a law
    enforcement officer designated by the court to take custody
    of and impound the firearms and physically surrender his or
    her Firearm Owner's Identification Card to the clerk of the
    circuit court when the offense the person has been charged
    with is a forcible felony, stalking, aggravated stalking,
    domestic battery, any violation of the Illinois Controlled
    Substances Act, the Methamphetamine Control and Community
    Protection Act, or the Cannabis Control Act that is
    classified as a Class 2 or greater felony, or any felony
    violation of Article 24 of the Criminal Code of 1961 or the
    Criminal Code of 2012; the court may, however, forgo the
    imposition of this condition when the circumstances of the
    case clearly do not warrant it or when its imposition would
    be impractical; if the Firearm Owner's Identification Card
    is confiscated, the clerk of the circuit court shall mail
    the confiscated card to the Illinois State Police; all
    legally possessed firearms shall be returned to the person
    upon the charges being dismissed, or if the person is found
    not guilty, unless the finding of not guilty is by reason
    of insanity; and
        (6) At a time and place designated by the court, submit
    to a psychological evaluation when the person has been
    charged with a violation of item (4) of subsection (a) of
    Section 24-1 of the Criminal Code of 1961 or the Criminal
    Code of 2012 and that violation occurred in a school or in
    any conveyance owned, leased, or contracted by a school to
    transport students to or from school or a school-related
    activity, or on any public way within 1,000 feet of real
    property comprising any school.
    Psychological evaluations ordered pursuant to this Section
shall be completed promptly and made available to the State,
the defendant, and the court. As a further condition of bail
under these circumstances, the court shall order the defendant
to refrain from entering upon the property of the school,
including any conveyance owned, leased, or contracted by a
school to transport students to or from school or a
school-related activity, or on any public way within 1,000 feet
of real property comprising any school. Upon receipt of the
psychological evaluation, either the State or the defendant may
request a change in the conditions of bail, pursuant to Section
110-6 of this Code. The court may change the conditions of bail
to include a requirement that the defendant follow the
recommendations of the psychological evaluation, including
undergoing psychiatric treatment. The conclusions of the
psychological evaluation and any statements elicited from the
defendant during its administration are not admissible as
evidence of guilt during the course of any trial on the charged
offense, unless the defendant places his or her mental
competency in issue.
    (b) The court may impose other conditions, such as the
following, if the court finds that such conditions are
reasonably necessary to assure the defendant's appearance in
court, protect the public from the defendant, or prevent the
defendant's unlawful interference with the orderly
administration of justice:
        (1) Report to or appear in person before such person or
    agency as the court may direct;
        (2) Refrain from possessing a firearm or other
    dangerous weapon;
        (3) Refrain from approaching or communicating with
    particular persons or classes of persons;
        (4) Refrain from going to certain described
    geographical areas or premises;
        (5) Refrain from engaging in certain activities or
    indulging in intoxicating liquors or in certain drugs;
        (6) Undergo treatment for drug addiction or
    alcoholism;
        (7) Undergo medical or psychiatric treatment;
        (8) Work or pursue a course of study or vocational
    training;
        (9) Attend or reside in a facility designated by the
    court;
        (10) Support his or her dependents;
        (11) If a minor resides with his or her parents or in a
    foster home, attend school, attend a non-residential
    program for youths, and contribute to his or her own
    support at home or in a foster home;
        (12) Observe any curfew ordered by the court;
        (13) Remain in the custody of such designated person or
    organization agreeing to supervise his release. Such third
    party custodian shall be responsible for notifying the
    court if the defendant fails to observe the conditions of
    release which the custodian has agreed to monitor, and
    shall be subject to contempt of court for failure so to
    notify the court;
        (14) Be placed under direct supervision of the Pretrial
    Services Agency, Probation Department or Court Services
    Department in a pretrial bond home supervision capacity
    with or without the use of an approved electronic
    monitoring device subject to Article 8A of Chapter V of the
    Unified Code of Corrections;
        (14.1) The court shall impose upon a defendant who is
    charged with any alcohol, cannabis, methamphetamine, or
    controlled substance violation and is placed under direct
    supervision of the Pretrial Services Agency, Probation
    Department or Court Services Department in a pretrial bond
    home supervision capacity with the use of an approved
    monitoring device, as a condition of such bail bond, a fee
    that represents costs incidental to the electronic
    monitoring for each day of such bail supervision ordered by
    the court, unless after determining the inability of the
    defendant to pay the fee, the court assesses a lesser fee
    or no fee as the case may be. The fee shall be collected by
    the clerk of the circuit court. The clerk of the circuit
    court shall pay all monies collected from this fee to the
    county treasurer for deposit in the substance abuse
    services fund under Section 5-1086.1 of the Counties Code;
        (14.2) The court shall impose upon all defendants,
    including those defendants subject to paragraph (14.1)
    above, placed under direct supervision of the Pretrial
    Services Agency, Probation Department or Court Services
    Department in a pretrial bond home supervision capacity
    with the use of an approved monitoring device, as a
    condition of such bail bond, a fee which shall represent
    costs incidental to such electronic monitoring for each day
    of such bail supervision ordered by the court, unless after
    determining the inability of the defendant to pay the fee,
    the court assesses a lesser fee or no fee as the case may
    be. The fee shall be collected by the clerk of the circuit
    court. The clerk of the circuit court shall pay all monies
    collected from this fee to the county treasurer who shall
    use the monies collected to defray the costs of
    corrections. The county treasurer shall deposit the fee
    collected in the county working cash fund under Section
    6-27001 or Section 6-29002 of the Counties Code, as the
    case may be;
        (14.3) The Chief Judge of the Judicial Circuit may
    establish reasonable fees to be paid by a person receiving
    pretrial services while under supervision of a pretrial
    services agency, probation department, or court services
    department. Reasonable fees may be charged for pretrial
    services including, but not limited to, pretrial
    supervision, diversion programs, electronic monitoring,
    victim impact services, drug and alcohol testing, DNA
    testing, GPS electronic monitoring, assessments and
    evaluations related to domestic violence and other
    victims, and victim mediation services. The person
    receiving pretrial services may be ordered to pay all costs
    incidental to pretrial services in accordance with his or
    her ability to pay those costs;
        (14.4) For persons charged with violating Section
    11-501 of the Illinois Vehicle Code, refrain from operating
    a motor vehicle not equipped with an ignition interlock
    device, as defined in Section 1-129.1 of the Illinois
    Vehicle Code, pursuant to the rules promulgated by the
    Secretary of State for the installation of ignition
    interlock devices. Under this condition the court may allow
    a defendant who is not self-employed to operate a vehicle
    owned by the defendant's employer that is not equipped with
    an ignition interlock device in the course and scope of the
    defendant's employment;
        (15) Comply with the terms and conditions of an order
    of protection issued by the court under the Illinois
    Domestic Violence Act of 1986 or an order of protection
    issued by the court of another state, tribe, or United
    States territory;
        (16) Under Section 110-6.5 comply with the conditions
    of the drug testing program; and
        (17) Such other reasonable conditions as the court may
    impose.
    (c) When a person is charged with an offense under Section
11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 12-13, 12-14,
12-14.1, 12-15 or 12-16 of the "Criminal Code of 1961" or the
Criminal Code of 2012, involving a victim who is a minor under
18 years of age living in the same household with the defendant
at the time of the offense, in granting bail or releasing the
defendant on his own recognizance, the judge shall impose
conditions to restrict the defendant's access to the victim
which may include, but are not limited to conditions that he
will:
        1. Vacate the Household.
        2. Make payment of temporary support to his dependents.
        3. Refrain from contact or communication with the child
    victim, except as ordered by the court.
    (d) When a person is charged with a criminal offense and
the victim is a family or household member as defined in
Article 112A, conditions shall be imposed at the time of the
defendant's release on bond that restrict the defendant's
access to the victim. Unless provided otherwise by the court,
the restrictions shall include requirements that the defendant
do the following:
        (1) refrain from contact or communication with the
    victim for a minimum period of 72 hours following the
    defendant's release; and
        (2) refrain from entering or remaining at the victim's
    residence for a minimum period of 72 hours following the
    defendant's release.
    (e) Local law enforcement agencies shall develop
standardized bond forms for use in cases involving family or
household members as defined in Article 112A, including
specific conditions of bond as provided in subsection (d).
Failure of any law enforcement department to develop or use
those forms shall in no way limit the applicability and
enforcement of subsections (d) and (f).
    (f) If the defendant is admitted to bail after conviction
the conditions of the bail bond shall be that he will, in
addition to the conditions set forth in subsections (a) and (b)
hereof:
        (1) Duly prosecute his appeal;
        (2) Appear at such time and place as the court may
    direct;
        (3) Not depart this State without leave of the court;
        (4) Comply with such other reasonable conditions as the
    court may impose; and
        (5) If the judgment is affirmed or the cause reversed
    and remanded for a new trial, forthwith surrender to the
    officer from whose custody he was bailed.
    (g) Upon a finding of guilty for any felony offense, the
defendant shall physically surrender, at a time and place
designated by the court, any and all firearms in his or her
possession and his or her Firearm Owner's Identification Card
as a condition of remaining on bond pending sentencing.
(Source: P.A. 96-340, eff. 8-11-09; 96-1551, eff. 7-1-11;
97-401, eff. 1-1-12; 97-1109, eff. 1-1-13.)
 
    (725 ILCS 5/110-12)  (from Ch. 38, par. 110-12)
    Sec. 110-12. Notice of change of address.
    A defendant who has been admitted to bail shall file a
written notice with the clerk of the court before which the
proceeding is pending of any change in his or her address
within 24 hours after such change, except that a defendant who
has been admitted to bail for a forcible felony as defined in
Section 2-8 of the Criminal Code of 2012 1961 shall file a
written notice with the clerk of the court before which the
proceeding is pending and the clerk shall immediately deliver a
time stamped copy of the written notice to the State's Attorney
charged with the prosecution within 24 hours prior to such
change. The address of a defendant who has been admitted to
bail shall at all times remain a matter of public record with
the clerk of the court.
(Source: P.A. 89-377, eff. 8-18-95.)
 
    (725 ILCS 5/111-1)  (from Ch. 38, par. 111-1)
    Sec. 111-1. Methods of prosecution.
    When authorized by law a prosecution may be commenced by:
    (a) A complaint;
    (b) An information;
    (c) An indictment.
    Upon commencement of a prosecution for a violation of
Section 11-501 of the The Illinois Vehicle Code, or a similar
provision of a local ordinance, or Section 9-3 of the Criminal
Code of 1961 or the Criminal Code of 2012 , as amended, relating
to the offense of reckless homicide, the victims of these
offenses shall have all the rights under this Section as they
do in Section 4 of the Bill of Rights for Victims and Witnesses
of Violent Crime Act.
    For the purposes of this Section "victim" shall mean an
individual who has suffered personal injury as a result of the
commission of a violation of Section 11-501 of the The Illinois
Vehicle Code, or a similar provision of a local ordinance, or
Section 9-3 of the Criminal Code of 1961 or the Criminal Code
of 2012 , as amended, relating to the offense of reckless
homicide. In regard to a violation of Section 9-3 of the
Criminal Code of 1961 or the Criminal Code of 2012 , as amended,
relating to the offense of reckless homicide, "victim" shall
also include, but not be limited to, spouse, guardian, parent,
or other family member.
(Source: P.A. 84-272.)
 
    (725 ILCS 5/111-2)  (from Ch. 38, par. 111-2)
    Sec. 111-2. Commencement of prosecutions.
    (a) All prosecutions of felonies shall be by information or
by indictment. No prosecution may be pursued by information
unless a preliminary hearing has been held or waived in
accordance with Section 109-3 and at that hearing probable
cause to believe the defendant committed an offense was found,
and the provisions of Section 109-3.1 of this Code have been
complied with.
    (b) All other prosecutions may be by indictment,
information or complaint.
    (c) Upon the filing of an information or indictment in open
court charging the defendant with the commission of a sex
offense defined in any Section of Article 11 of the Criminal
Code of 1961 or the Criminal Code of 2012, as amended, and a
minor as defined in Section 1-3 of the Juvenile Court Act of
1987, as amended, is alleged to be the victim of the commission
of the acts of the defendant in the commission of such offense,
the court may appoint a guardian ad litem for the minor as
provided in Section 2-17, 3-19, 4-16 or 5-610 of the Juvenile
Court Act of 1987.
    (d) Upon the filing of an information or indictment in open
court, the court shall immediately issue a warrant for the
arrest of each person charged with an offense directed to a
peace officer or some other person specifically named
commanding him to arrest such person.
    (e) When the offense is bailable, the judge shall endorse
on the warrant the amount of bail required by the order of the
court, and if the court orders the process returnable
forthwith, the warrant shall require that the accused be
arrested and brought immediately into court.
    (f) Where the prosecution of a felony is by information or
complaint after preliminary hearing, or after a waiver of
preliminary hearing in accordance with paragraph (a) of this
Section, such prosecution may be for all offenses, arising from
the same transaction or conduct of a defendant even though the
complaint or complaints filed at the preliminary hearing
charged only one or some of the offenses arising from that
transaction or conduct.
(Source: P.A. 90-590, eff. 1-1-99.)
 
    (725 ILCS 5/111-3)  (from Ch. 38, par. 111-3)
    Sec. 111-3. Form of charge.
    (a) A charge shall be in writing and allege the commission
of an offense by:
        (1) Stating the name of the offense;
        (2) Citing the statutory provision alleged to have been
    violated;
        (3) Setting forth the nature and elements of the
    offense charged;
        (4) Stating the date and county of the offense as
    definitely as can be done; and
        (5) Stating the name of the accused, if known, and if
    not known, designate the accused by any name or description
    by which he can be identified with reasonable certainty.
    (b) An indictment shall be signed by the foreman of the
Grand Jury and an information shall be signed by the State's
Attorney and sworn to by him or another. A complaint shall be
sworn to and signed by the complainant; provided, that when a
peace officer observes the commission of a misdemeanor and is
the complaining witness, the signing of the complaint by the
peace officer is sufficient to charge the defendant with the
commission of the offense, and the complaint need not be sworn
to if the officer signing the complaint certifies that the
statements set forth in the complaint are true and correct and
are subject to the penalties provided by law for false
certification under Section 1-109 of the Code of Civil
Procedure and perjury under Section 32-2 of the Criminal Code
of 2012 1961; and further provided , however, that when a
citation is issued on a Uniform Traffic Ticket or Uniform
Conservation Ticket (in a form prescribed by the Conference of
Chief Circuit Judges and filed with the Supreme Court), the
copy of such Uniform Ticket which is filed with the circuit
court constitutes a complaint to which the defendant may plead,
unless he specifically requests that a verified complaint be
filed.
    (c) When the State seeks an enhanced sentence because of a
prior conviction, the charge shall also state the intention to
seek an enhanced sentence and shall state such prior conviction
so as to give notice to the defendant. However, the fact of
such prior conviction and the State's intention to seek an
enhanced sentence are not elements of the offense and may not
be disclosed to the jury during trial unless otherwise
permitted by issues properly raised during such trial. For the
purposes of this Section, "enhanced sentence" means a sentence
which is increased by a prior conviction from one
classification of offense to another higher level
classification of offense set forth in Section 5-4.5-10 of the
Unified Code of Corrections (730 ILCS 5/5-4.5-10); it does not
include an increase in the sentence applied within the same
level of classification of offense.
    (c-5) Notwithstanding any other provision of law, in all
cases in which the imposition of the death penalty is not a
possibility, if an alleged fact (other than the fact of a prior
conviction) is not an element of an offense but is sought to be
used to increase the range of penalties for the offense beyond
the statutory maximum that could otherwise be imposed for the
offense, the alleged fact must be included in the charging
instrument or otherwise provided to the defendant through a
written notification before trial, submitted to a trier of fact
as an aggravating factor, and proved beyond a reasonable doubt.
Failure to prove the fact beyond a reasonable doubt is not a
bar to a conviction for commission of the offense, but is a bar
to increasing, based on that fact, the range of penalties for
the offense beyond the statutory maximum that could otherwise
be imposed for that offense. Nothing in this subsection (c-5)
requires the imposition of a sentence that increases the range
of penalties for the offense beyond the statutory maximum that
could otherwise be imposed for the offense if the imposition of
that sentence is not required by law.
    (d) At any time prior to trial, the State on motion shall
be permitted to amend the charge, whether brought by
indictment, information or complaint, to make the charge comply
with subsection (c) or (c-5) of this Section. Nothing in
Section 103-5 of this Code precludes such an amendment or a
written notification made in accordance with subsection (c-5)
of this Section.
    (e) The provisions of subsection (a) of Section 5-4.5-95 of
the Unified Code of Corrections (730 ILCS 5/5-4.5-95) shall not
be affected by this Section.
(Source: P.A. 95-1052, eff. 7-1-09; 96-1206, eff. 1-1-11.)
 
    (725 ILCS 5/111-4)
    Sec. 111-4. Joinder of offenses and defendants.
    (a) Two or more offenses may be charged in the same
indictment, information or complaint in a separate count for
each offense if the offenses charged, whether felonies or
misdemeanors or both, are based on the same act or on 2 or more
acts which are part of the same comprehensive transaction.
    (b) Two or more defendants may be charged in the same
indictment, information or complaint if they are alleged to
have participated in the same act or in the same comprehensive
transaction out of which the offense or offenses arose. Such
defendants may be charged in one or more counts together or
separately and all of the defendants need not be charged in
each count.
    (c) Two or more acts or transactions in violation of any
provision or provisions of Sections 8A-2, 8A-3, 8A-4, 8A-4A and
8A-5 of the Illinois Public Aid Code, Section 14 of the
Illinois Wage Payment and Collection Act, Sections 16-1,
16-1.3, 16-2, 16-3, 16-5, 16-7, 16-8, 16-10, 16-25, 16-30,
16A-3, 16B-2, 16G-15, 16G-20, 16H-15, 16H-20, 16H-25, 16H-30,
16H-45, 16H-50, 16H-55, 17-1, 17-3, 17-6, 17-30, 17-56, or
17-60, or item (ii) of subsection (a) or (b) of Section 17-9,
or subdivision (a)(2) of Section 17-10.5, or subsection (a),
(b), (c), (d), (g), (h), or (i) of Section 17-10.6, or
subsection (a) of Section 17-32 of the Criminal Code of 1961 or
the Criminal Code of 2012 and Section 118 of Division I of the
Criminal Jurisprudence Act, may be charged as a single offense
in a single count of the same indictment, information or
complaint, if such acts or transactions by one or more
defendants are in furtherance of a single intention and design
or if the property, labor or services obtained are of the same
person or are of several persons having a common interest in
such property, labor or services. In such a charge, the period
between the dates of the first and the final such acts or
transactions may be alleged as the date of the offense and, if
any such act or transaction by any defendant was committed in
the county where the prosecution was commenced, such county may
be alleged as the county of the offense.
(Source: P.A. 96-354, eff. 8-13-09; 96-1207, eff. 7-22-10;
96-1407, eff. 1-1-11; 96-1551, eff. 7-1-11; 97-333, eff.
8-12-11; 97-597, eff. 1-1-12.)
 
    (725 ILCS 5/111-8)  (from Ch. 38, par. 111-8)
    Sec. 111-8. Orders of protection to prohibit domestic
violence.
    (a) Whenever a violation of Section 9-1, 9-2, 9-3, 10-3,
10-3.1, 10-4, 10-5, 11-1.20, 11-1.30, 11-1.40, 11-1.50,
11-1.60, 11-14.3 that involves soliciting for a prostitute,
11-14.4 that involves soliciting for a juvenile prostitute,
11-15, 11-15.1, 11-20.1, 11-20.1B, 11-20.3, 11-20a, 12-1,
12-2, 12-3, 12-3.05, 12-3.2, 12-3.3, 12-3.5, 12-4, 12-4.1,
12-4.3, 12-4.6, 12-5, 12-6, 12-6.3, 12-7.3, 12-7.4, 12-7.5,
12-11, 12-13, 12-14, 12-14.1, 12-15, 12-16, 19-4, 19-6, 21-1,
21-2, 21-3, or 26.5-2 of the Criminal Code of 1961 or the
Criminal Code of 2012 or Section 1-1 of the Harassing and
Obscene Communications Act is alleged in an information,
complaint or indictment on file, and the alleged offender and
victim are family or household members, as defined in the
Illinois Domestic Violence Act, as now or hereafter amended,
the People through the respective State's Attorneys may by
separate petition and upon notice to the defendant, except as
provided in subsection (c) herein, request the court to issue
an order of protection.
    (b) In addition to any other remedies specified in Section
208 of the Illinois Domestic Violence Act, as now or hereafter
amended, the order may direct the defendant to initiate no
contact with the alleged victim or victims who are family or
household members and to refrain from entering the residence,
school or place of business of the alleged victim or victims.
    (c) The court may grant emergency relief without notice
upon a showing of immediate and present danger of abuse to the
victim or minor children of the victim and may enter a
temporary order pending notice and full hearing on the matter.
(Source: P.A. 96-1551, Article 1, Section 965, eff. 7-1-11;
P.A. 96-1551, Article 2, Section 1040, eff. 7-1-11; 97-1108,
eff. 1-1-13; 97-1109, eff. 1-1-13.)
 
    (725 ILCS 5/112A-3)  (from Ch. 38, par. 112A-3)
    Sec. 112A-3. Definitions. For the purposes of this Article,
the following terms shall have the following meanings:
    (1) "Abuse" means physical abuse, harassment, intimidation
of a dependent, interference with personal liberty or willful
deprivation but does not include reasonable direction of a
minor child by a parent or person in loco parentis.
    (2) "Domestic violence" means abuse as described in
paragraph (1).
    (3) "Family or household members" include spouses, former
spouses, parents, children, stepchildren and other persons
related by blood or by present or prior marriage, persons who
share or formerly shared a common dwelling, persons who have or
allegedly have a child in common, persons who share or
allegedly share a blood relationship through a child, persons
who have or have had a dating or engagement relationship,
persons with disabilities and their personal assistants, and
caregivers as defined in paragraph (3) of subsection (b) of
Section 12-21 or in subsection (e) of Section 12-4.4a of the
Criminal Code of 2012 1961. For purposes of this paragraph,
neither a casual acquaintanceship nor ordinary fraternization
between 2 individuals in business or social contexts shall be
deemed to constitute a dating relationship.
    (4) "Harassment" means knowing conduct which is not
necessary to accomplish a purpose which is reasonable under the
circumstances; would cause a reasonable person emotional
distress; and does cause emotional distress to the petitioner.
Unless the presumption is rebutted by a preponderance of the
evidence, the following types of conduct shall be presumed to
cause emotional distress:
        (i) creating a disturbance at petitioner's place of
    employment or school;
        (ii) repeatedly telephoning petitioner's place of
    employment, home or residence;
        (iii) repeatedly following petitioner about in a
    public place or places;
        (iv) repeatedly keeping petitioner under surveillance
    by remaining present outside his or her home, school, place
    of employment, vehicle or other place occupied by
    petitioner or by peering in petitioner's windows;
        (v) improperly concealing a minor child from
    petitioner, repeatedly threatening to improperly remove a
    minor child of petitioner's from the jurisdiction or from
    the physical care of petitioner, repeatedly threatening to
    conceal a minor child from petitioner, or making a single
    such threat following an actual or attempted improper
    removal or concealment, unless respondent was fleeing from
    an incident or pattern of domestic violence; or
        (vi) threatening physical force, confinement or
    restraint on one or more occasions.
    (5) "Interference with personal liberty" means committing
or threatening physical abuse, harassment, intimidation or
willful deprivation so as to compel another to engage in
conduct from which she or he has a right to abstain or to
refrain from conduct in which she or he has a right to engage.
    (6) "Intimidation of a dependent" means subjecting a person
who is dependent because of age, health or disability to
participation in or the witnessing of: physical force against
another or physical confinement or restraint of another which
constitutes physical abuse as defined in this Article,
regardless of whether the abused person is a family or
household member.
    (7) "Order of protection" means an emergency order, interim
order or plenary order, granted pursuant to this Article, which
includes any or all of the remedies authorized by Section
112A-14 of this Code.
    (8) "Petitioner" may mean not only any named petitioner for
the order of protection and any named victim of abuse on whose
behalf the petition is brought, but also any other person
protected by this Article.
    (9) "Physical abuse" includes sexual abuse and means any of
the following:
        (i) knowing or reckless use of physical force,
    confinement or restraint;
        (ii) knowing, repeated and unnecessary sleep
    deprivation; or
        (iii) knowing or reckless conduct which creates an
    immediate risk of physical harm.
    (9.5) "Stay away" means for the respondent to refrain from
both physical presence and nonphysical contact with the
petitioner whether direct, indirect (including, but not
limited to, telephone calls, mail, email, faxes, and written
notes), or through third parties who may or may not know about
the order of protection.
    (10) "Willful deprivation" means wilfully denying a person
who because of age, health or disability requires medication,
medical care, shelter, accessible shelter or services, food,
therapeutic device, or other physical assistance, and thereby
exposing that person to the risk of physical, mental or
emotional harm, except with regard to medical care and
treatment when such dependent person has expressed the intent
to forgo such medical care or treatment. This paragraph does
not create any new affirmative duty to provide support to
dependent persons.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/112A-11.1)
    Sec. 112A-11.1. Procedure for determining whether certain
misdemeanor crimes are crimes of domestic violence for purposes
of federal law.
    (a) When a defendant has been charged with a violation of
Section 12-1, 12-2, 12-3, 12-3.2, 12-3.4, or 12-3.5 of the
Criminal Code of 1961 or the Criminal Code of 2012, the State
may, at arraignment or no later than 45 days after arraignment,
for the purpose of notification to the Department of State
Police Firearm Owner's Identification Card Office, serve on the
defendant and file with the court a notice alleging that
conviction of the offense would subject the defendant to the
prohibitions of 18 U.S.C. 922(g)(9) because of the relationship
between the defendant and the alleged victim and the nature of
the alleged offense.
    (b) The notice shall include the name of the person alleged
to be the victim of the crime and shall specify the nature of
the alleged relationship as set forth in 18 U.S.C.
921(a)(33)(A)(ii). It shall also specify the element of the
charged offense which requires the use or attempted use of
physical force, or the threatened use of a deadly weapon, as
set forth 18 U.S.C. 921(a)(33)(A)(ii). It shall also include
notice that the defendant is entitled to a hearing on the
allegation contained in the notice and that if the allegation
is sustained, that determination and conviction shall be
reported to the Department of State Police Firearm Owner's
Identification Card Office.
    (c) After having been notified as provided in subsection
(b) of this Section, the defendant may stipulate or admit,
orally on the record or in writing, that conviction of the
offense would subject the defendant to the prohibitions of 18
U.S.C. 922(g)(9). In that case, the applicability of 18 U.S.C.
922(g)(9) shall be deemed established for purposes of Section
112A-11.2. If the defendant denies the applicability of 18
U.S.C. 922(g)(9) as alleged in the notice served by the State,
or stands mute with respect to that allegation, then the State
shall bear the burden to prove beyond a reasonable doubt that
the offense is one to which the prohibitions of 18 U.S.C.
922(g)(9) apply. The court may consider reliable hearsay
evidence submitted by either party provided that it is relevant
to the determination of the allegation. Facts previously proven
at trial or elicited at the time of entry of a plea of guilty
shall be deemed established beyond a reasonable doubt and shall
not be relitigated. At the conclusion of the hearing, or upon a
stipulation or admission, as applicable, the court shall make a
specific written determination with respect to the allegation.
(Source: P.A. 97-1131, eff. 1-1-13.)
 
    (725 ILCS 5/112A-11.2)
    Sec. 112A-11.2. Notification to the Department of State
Police Firearm Owner's Identification Card Office of
determinations in certain misdemeanor cases. Upon judgment of
conviction of a violation of Section 12-1, 12-2, 12-3, 12-3.2,
12-3.4, or 12-3.5 of the Criminal Code of 1961 or the Criminal
Code of 2012 when the defendant has been determined, under
Section 112A-11.1, to be subject to the prohibitions of 18
U.S.C. 922(g)(9), the circuit court clerk shall include
notification and a copy of the written determination in a
report of the conviction to the Department of State Police
Firearm Owner's Identification Card Office to enable the office
to report that determination to the Federal Bureau of
Investigation and assist the Bureau in identifying persons
prohibited from purchasing and possessing a firearm pursuant to
the provisions of 18 U.S.C. 922.
(Source: P.A. 97-1131, eff. 1-1-13.)
 
    (725 ILCS 5/112A-14)  (from Ch. 38, par. 112A-14)
    Sec. 112A-14. Order of protection; remedies.
    (a) Issuance of order. If the court finds that petitioner
has been abused by a family or household member, as defined in
this Article, an order of protection prohibiting such abuse
shall issue; provided that petitioner must also satisfy the
requirements of one of the following Sections, as appropriate:
Section 112A-17 on emergency orders, Section 112A-18 on interim
orders, or Section 112A-19 on plenary orders. Petitioner shall
not be denied an order of protection because petitioner or
respondent is a minor. The court, when determining whether or
not to issue an order of protection, shall not require physical
manifestations of abuse on the person of the victim.
Modification and extension of prior orders of protection shall
be in accordance with this Article.
    (b) Remedies and standards. The remedies to be included in
an order of protection shall be determined in accordance with
this Section and one of the following Sections, as appropriate:
Section 112A-17 on emergency orders, Section 112A-18 on interim
orders, and Section 112A-19 on plenary orders. The remedies
listed in this subsection shall be in addition to other civil
or criminal remedies available to petitioner.
        (1) Prohibition of abuse. Prohibit respondent's
    harassment, interference with personal liberty,
    intimidation of a dependent, physical abuse or willful
    deprivation, as defined in this Article, if such abuse has
    occurred or otherwise appears likely to occur if not
    prohibited.
        (2) Grant of exclusive possession of residence.
    Prohibit respondent from entering or remaining in any
    residence, household, or premises of the petitioner,
    including one owned or leased by respondent, if petitioner
    has a right to occupancy thereof. The grant of exclusive
    possession of the residence, household, or premises shall
    not affect title to real property, nor shall the court be
    limited by the standard set forth in Section 701 of the
    Illinois Marriage and Dissolution of Marriage Act.
            (A) Right to occupancy. A party has a right to
        occupancy of a residence or household if it is solely
        or jointly owned or leased by that party, that party's
        spouse, a person with a legal duty to support that
        party or a minor child in that party's care, or by any
        person or entity other than the opposing party that
        authorizes that party's occupancy (e.g., a domestic
        violence shelter). Standards set forth in subparagraph
        (B) shall not preclude equitable relief.
            (B) Presumption of hardships. If petitioner and
        respondent each has the right to occupancy of a
        residence or household, the court shall balance (i) the
        hardships to respondent and any minor child or
        dependent adult in respondent's care resulting from
        entry of this remedy with (ii) the hardships to
        petitioner and any minor child or dependent adult in
        petitioner's care resulting from continued exposure to
        the risk of abuse (should petitioner remain at the
        residence or household) or from loss of possession of
        the residence or household (should petitioner leave to
        avoid the risk of abuse). When determining the balance
        of hardships, the court shall also take into account
        the accessibility of the residence or household.
        Hardships need not be balanced if respondent does not
        have a right to occupancy.
            The balance of hardships is presumed to favor
        possession by petitioner unless the presumption is
        rebutted by a preponderance of the evidence, showing
        that the hardships to respondent substantially
        outweigh the hardships to petitioner and any minor
        child or dependent adult in petitioner's care. The
        court, on the request of petitioner or on its own
        motion, may order respondent to provide suitable,
        accessible, alternate housing for petitioner instead
        of excluding respondent from a mutual residence or
        household.
        (3) Stay away order and additional prohibitions. Order
    respondent to stay away from petitioner or any other person
    protected by the order of protection, or prohibit
    respondent from entering or remaining present at
    petitioner's school, place of employment, or other
    specified places at times when petitioner is present, or
    both, if reasonable, given the balance of hardships.
    Hardships need not be balanced for the court to enter a
    stay away order or prohibit entry if respondent has no
    right to enter the premises.
        If an order of protection grants petitioner exclusive
    possession of the residence, or prohibits respondent from
    entering the residence, or orders respondent to stay away
    from petitioner or other protected persons, then the court
    may allow respondent access to the residence to remove
    items of clothing and personal adornment used exclusively
    by respondent, medications, and other items as the court
    directs. The right to access shall be exercised on only one
    occasion as the court directs and in the presence of an
    agreed-upon adult third party or law enforcement officer.
        (4) Counseling. Require or recommend the respondent to
    undergo counseling for a specified duration with a social
    worker, psychologist, clinical psychologist, psychiatrist,
    family service agency, alcohol or substance abuse program,
    mental health center guidance counselor, agency providing
    services to elders, program designed for domestic violence
    abusers or any other guidance service the court deems
    appropriate. The court may order the respondent in any
    intimate partner relationship to report to an Illinois
    Department of Human Services protocol approved partner
    abuse intervention program for an assessment and to follow
    all recommended treatment.
        (5) Physical care and possession of the minor child. In
    order to protect the minor child from abuse, neglect, or
    unwarranted separation from the person who has been the
    minor child's primary caretaker, or to otherwise protect
    the well-being of the minor child, the court may do either
    or both of the following: (i) grant petitioner physical
    care or possession of the minor child, or both, or (ii)
    order respondent to return a minor child to, or not remove
    a minor child from, the physical care of a parent or person
    in loco parentis.
        If a court finds, after a hearing, that respondent has
    committed abuse (as defined in Section 112A-3) of a minor
    child, there shall be a rebuttable presumption that
    awarding physical care to respondent would not be in the
    minor child's best interest.
        (6) Temporary legal custody. Award temporary legal
    custody to petitioner in accordance with this Section, the
    Illinois Marriage and Dissolution of Marriage Act, the
    Illinois Parentage Act of 1984, and this State's Uniform
    Child-Custody Jurisdiction and Enforcement Act.
        If a court finds, after a hearing, that respondent has
    committed abuse (as defined in Section 112A-3) of a minor
    child, there shall be a rebuttable presumption that
    awarding temporary legal custody to respondent would not be
    in the child's best interest.
        (7) Visitation. Determine the visitation rights, if
    any, of respondent in any case in which the court awards
    physical care or temporary legal custody of a minor child
    to petitioner. The court shall restrict or deny
    respondent's visitation with a minor child if the court
    finds that respondent has done or is likely to do any of
    the following: (i) abuse or endanger the minor child during
    visitation; (ii) use the visitation as an opportunity to
    abuse or harass petitioner or petitioner's family or
    household members; (iii) improperly conceal or detain the
    minor child; or (iv) otherwise act in a manner that is not
    in the best interests of the minor child. The court shall
    not be limited by the standards set forth in Section 607.1
    of the Illinois Marriage and Dissolution of Marriage Act.
    If the court grants visitation, the order shall specify
    dates and times for the visitation to take place or other
    specific parameters or conditions that are appropriate. No
    order for visitation shall refer merely to the term
    "reasonable visitation".
        Petitioner may deny respondent access to the minor
    child if, when respondent arrives for visitation,
    respondent is under the influence of drugs or alcohol and
    constitutes a threat to the safety and well-being of
    petitioner or petitioner's minor children or is behaving in
    a violent or abusive manner.
        If necessary to protect any member of petitioner's
    family or household from future abuse, respondent shall be
    prohibited from coming to petitioner's residence to meet
    the minor child for visitation, and the parties shall
    submit to the court their recommendations for reasonable
    alternative arrangements for visitation. A person may be
    approved to supervise visitation only after filing an
    affidavit accepting that responsibility and acknowledging
    accountability to the court.
        (8) Removal or concealment of minor child. Prohibit
    respondent from removing a minor child from the State or
    concealing the child within the State.
        (9) Order to appear. Order the respondent to appear in
    court, alone or with a minor child, to prevent abuse,
    neglect, removal or concealment of the child, to return the
    child to the custody or care of the petitioner or to permit
    any court-ordered interview or examination of the child or
    the respondent.
        (10) Possession of personal property. Grant petitioner
    exclusive possession of personal property and, if
    respondent has possession or control, direct respondent to
    promptly make it available to petitioner, if:
            (i) petitioner, but not respondent, owns the
        property; or
            (ii) the parties own the property jointly; sharing
        it would risk abuse of petitioner by respondent or is
        impracticable; and the balance of hardships favors
        temporary possession by petitioner.
        If petitioner's sole claim to ownership of the property
    is that it is marital property, the court may award
    petitioner temporary possession thereof under the
    standards of subparagraph (ii) of this paragraph only if a
    proper proceeding has been filed under the Illinois
    Marriage and Dissolution of Marriage Act, as now or
    hereafter amended.
        No order under this provision shall affect title to
    property.
        (11) Protection of property. Forbid the respondent
    from taking, transferring, encumbering, concealing,
    damaging or otherwise disposing of any real or personal
    property, except as explicitly authorized by the court, if:
            (i) petitioner, but not respondent, owns the
        property; or
            (ii) the parties own the property jointly, and the
        balance of hardships favors granting this remedy.
        If petitioner's sole claim to ownership of the property
    is that it is marital property, the court may grant
    petitioner relief under subparagraph (ii) of this
    paragraph only if a proper proceeding has been filed under
    the Illinois Marriage and Dissolution of Marriage Act, as
    now or hereafter amended.
        The court may further prohibit respondent from
    improperly using the financial or other resources of an
    aged member of the family or household for the profit or
    advantage of respondent or of any other person.
        (11.5) Protection of animals. Grant the petitioner the
    exclusive care, custody, or control of any animal owned,
    possessed, leased, kept, or held by either the petitioner
    or the respondent or a minor child residing in the
    residence or household of either the petitioner or the
    respondent and order the respondent to stay away from the
    animal and forbid the respondent from taking,
    transferring, encumbering, concealing, harming, or
    otherwise disposing of the animal.
        (12) Order for payment of support. Order respondent to
    pay temporary support for the petitioner or any child in
    the petitioner's care or custody, when the respondent has a
    legal obligation to support that person, in accordance with
    the Illinois Marriage and Dissolution of Marriage Act,
    which shall govern, among other matters, the amount of
    support, payment through the clerk and withholding of
    income to secure payment. An order for child support may be
    granted to a petitioner with lawful physical care or
    custody of a child, or an order or agreement for physical
    care or custody, prior to entry of an order for legal
    custody. Such a support order shall expire upon entry of a
    valid order granting legal custody to another, unless
    otherwise provided in the custody order.
        (13) Order for payment of losses. Order respondent to
    pay petitioner for losses suffered as a direct result of
    the abuse. Such losses shall include, but not be limited
    to, medical expenses, lost earnings or other support,
    repair or replacement of property damaged or taken,
    reasonable attorney's fees, court costs and moving or other
    travel expenses, including additional reasonable expenses
    for temporary shelter and restaurant meals.
            (i) Losses affecting family needs. If a party is
        entitled to seek maintenance, child support or
        property distribution from the other party under the
        Illinois Marriage and Dissolution of Marriage Act, as
        now or hereafter amended, the court may order
        respondent to reimburse petitioner's actual losses, to
        the extent that such reimbursement would be
        "appropriate temporary relief", as authorized by
        subsection (a)(3) of Section 501 of that Act.
            (ii) Recovery of expenses. In the case of an
        improper concealment or removal of a minor child, the
        court may order respondent to pay the reasonable
        expenses incurred or to be incurred in the search for
        and recovery of the minor child, including but not
        limited to legal fees, court costs, private
        investigator fees, and travel costs.
        (14) Prohibition of entry. Prohibit the respondent
    from entering or remaining in the residence or household
    while the respondent is under the influence of alcohol or
    drugs and constitutes a threat to the safety and well-being
    of the petitioner or the petitioner's children.
        (14.5) Prohibition of firearm possession.
            (a) Prohibit a respondent against whom an order of
        protection was issued from possessing any firearms
        during the duration of the order if the order:
                (1) was issued after a hearing of which such
            person received actual notice, and at which such
            person had an opportunity to participate;
                (2) restrains such person from harassing,
            stalking, or threatening an intimate partner of
            such person or child of such intimate partner or
            person, or engaging in other conduct that would
            place an intimate partner in reasonable fear of
            bodily injury to the partner or child; and
                (3)(i) includes a finding that such person
            represents a credible threat to the physical
            safety of such intimate partner or child; or (ii)
            by its terms explicitly prohibits the use,
            attempted use, or threatened use of physical force
            against such intimate partner or child that would
            reasonably be expected to cause bodily injury.
        Any firearms in the possession of the respondent,
        except as provided in subsection (b), shall be ordered
        by the court to be turned over to the local law
        enforcement agency for safekeeping. The court shall
        issue an order that the respondent's Firearm Owner's
        Identification Card be turned over to the local law
        enforcement agency, which in turn shall immediately
        mail the card to the Department of State Police Firearm
        Owner's Identification Card Office for safekeeping.
        The period of safekeeping shall be for the duration of
        the order of protection. The firearm or firearms and
        Firearm Owner's Identification Card, if unexpired,
        shall at the respondent's request be returned to the
        respondent at expiration of the order of protection.
            (b) If the respondent is a peace officer as defined
        in Section 2-13 of the Criminal Code of 2012 1961, the
        court shall order that any firearms used by the
        respondent in the performance of his or her duties as a
        peace officer be surrendered to the chief law
        enforcement executive of the agency in which the
        respondent is employed, who shall retain the firearms
        for safekeeping for the duration of the order of
        protection.
            (c) Upon expiration of the period of safekeeping,
        if the firearms or Firearm Owner's Identification Card
        cannot be returned to respondent because respondent
        cannot be located, fails to respond to requests to
        retrieve the firearms, or is not lawfully eligible to
        possess a firearm, upon petition from the local law
        enforcement agency, the court may order the local law
        enforcement agency to destroy the firearms, use the
        firearms for training purposes, or for any other
        application as deemed appropriate by the local law
        enforcement agency; or that the firearms be turned over
        to a third party who is lawfully eligible to possess
        firearms, and who does not reside with respondent.
        (15) Prohibition of access to records. If an order of
    protection prohibits respondent from having contact with
    the minor child, or if petitioner's address is omitted
    under subsection (b) of Section 112A-5, or if necessary to
    prevent abuse or wrongful removal or concealment of a minor
    child, the order shall deny respondent access to, and
    prohibit respondent from inspecting, obtaining, or
    attempting to inspect or obtain, school or any other
    records of the minor child who is in the care of
    petitioner.
        (16) Order for payment of shelter services. Order
    respondent to reimburse a shelter providing temporary
    housing and counseling services to the petitioner for the
    cost of the services, as certified by the shelter and
    deemed reasonable by the court.
        (17) Order for injunctive relief. Enter injunctive
    relief necessary or appropriate to prevent further abuse of
    a family or household member or to effectuate one of the
    granted remedies, if supported by the balance of hardships.
    If the harm to be prevented by the injunction is abuse or
    any other harm that one of the remedies listed in
    paragraphs (1) through (16) of this subsection is designed
    to prevent, no further evidence is necessary to establish
    that the harm is an irreparable injury.
    (c) Relevant factors; findings.
        (1) In determining whether to grant a specific remedy,
    other than payment of support, the court shall consider
    relevant factors, including but not limited to the
    following:
            (i) the nature, frequency, severity, pattern and
        consequences of the respondent's past abuse of the
        petitioner or any family or household member,
        including the concealment of his or her location in
        order to evade service of process or notice, and the
        likelihood of danger of future abuse to petitioner or
        any member of petitioner's or respondent's family or
        household; and
            (ii) the danger that any minor child will be abused
        or neglected or improperly removed from the
        jurisdiction, improperly concealed within the State or
        improperly separated from the child's primary
        caretaker.
        (2) In comparing relative hardships resulting to the
    parties from loss of possession of the family home, the
    court shall consider relevant factors, including but not
    limited to the following:
            (i) availability, accessibility, cost, safety,
        adequacy, location and other characteristics of
        alternate housing for each party and any minor child or
        dependent adult in the party's care;
            (ii) the effect on the party's employment; and
            (iii) the effect on the relationship of the party,
        and any minor child or dependent adult in the party's
        care, to family, school, church and community.
        (3) Subject to the exceptions set forth in paragraph
    (4) of this subsection, the court shall make its findings
    in an official record or in writing, and shall at a minimum
    set forth the following:
            (i) That the court has considered the applicable
        relevant factors described in paragraphs (1) and (2) of
        this subsection.
            (ii) Whether the conduct or actions of respondent,
        unless prohibited, will likely cause irreparable harm
        or continued abuse.
            (iii) Whether it is necessary to grant the
        requested relief in order to protect petitioner or
        other alleged abused persons.
        (4) For purposes of issuing an ex parte emergency order
    of protection, the court, as an alternative to or as a
    supplement to making the findings described in paragraphs
    (c)(3)(i) through (c)(3)(iii) of this subsection, may use
    the following procedure:
        When a verified petition for an emergency order of
    protection in accordance with the requirements of Sections
    112A-5 and 112A-17 is presented to the court, the court
    shall examine petitioner on oath or affirmation. An
    emergency order of protection shall be issued by the court
    if it appears from the contents of the petition and the
    examination of petitioner that the averments are
    sufficient to indicate abuse by respondent and to support
    the granting of relief under the issuance of the emergency
    order of protection.
        (5) Never married parties. No rights or
    responsibilities for a minor child born outside of marriage
    attach to a putative father until a father and child
    relationship has been established under the Illinois
    Parentage Act of 1984. Absent such an adjudication, no
    putative father shall be granted temporary custody of the
    minor child, visitation with the minor child, or physical
    care and possession of the minor child, nor shall an order
    of payment for support of the minor child be entered.
    (d) Balance of hardships; findings. If the court finds that
the balance of hardships does not support the granting of a
remedy governed by paragraph (2), (3), (10), (11), or (16) of
subsection (b) of this Section, which may require such
balancing, the court's findings shall so indicate and shall
include a finding as to whether granting the remedy will result
in hardship to respondent that would substantially outweigh the
hardship to petitioner from denial of the remedy. The findings
shall be an official record or in writing.
    (e) Denial of remedies. Denial of any remedy shall not be
based, in whole or in part, on evidence that:
        (1) Respondent has cause for any use of force, unless
    that cause satisfies the standards for justifiable use of
    force provided by Article 7 VII of the Criminal Code of
    2012 1961;
        (2) Respondent was voluntarily intoxicated;
        (3) Petitioner acted in self-defense or defense of
    another, provided that, if petitioner utilized force, such
    force was justifiable under Article 7 VII of the Criminal
    Code of 2012 1961;
        (4) Petitioner did not act in self-defense or defense
    of another;
        (5) Petitioner left the residence or household to avoid
    further abuse by respondent;
        (6) Petitioner did not leave the residence or household
    to avoid further abuse by respondent;
        (7) Conduct by any family or household member excused
    the abuse by respondent, unless that same conduct would
    have excused such abuse if the parties had not been family
    or household members.
(Source: P.A. 96-701, eff. 1-1-10; 96-1239, eff. 1-1-11;
97-158, eff. 1-1-12; 97-1131, eff. 1-1-13.)
 
    (725 ILCS 5/112A-16)  (from Ch. 38, par. 112A-16)
    Sec. 112A-16. Accountability for Actions of Others. For the
purposes of issuing an order of protection, deciding what
remedies should be included and enforcing the order, Article 5
of the Criminal Code of 2012 1961 shall govern whether
respondent is legally accountable for the conduct of another
person.
(Source: P.A. 84-1305.)
 
    (725 ILCS 5/112A-23)  (from Ch. 38, par. 112A-23)
    Sec. 112A-23. Enforcement of orders of protection.
    (a) When violation is crime. A violation of any order of
protection, whether issued in a civil, quasi-criminal
proceeding, shall be enforced by a criminal court when:
        (1) The respondent commits the crime of violation of an
    order of protection pursuant to Section 12-3.4 or 12-30 of
    the Criminal Code of 1961 or the Criminal Code of 2012, by
    having knowingly violated:
            (i) remedies described in paragraphs (1), (2),
        (3), (14), or (14.5) of subsection (b) of Section
        112A-14,
            (ii) a remedy, which is substantially similar to
        the remedies authorized under paragraphs (1), (2),
        (3), (14) or (14.5) of subsection (b) of Section 214 of
        the Illinois Domestic Violence Act of 1986, in a valid
        order of protection, which is authorized under the laws
        of another state, tribe or United States territory,
            (iii) or any other remedy when the act constitutes
        a crime against the protected parties as defined by the
        Criminal Code of 1961 or the Criminal Code of 2012.
    Prosecution for a violation of an order of protection shall
not bar concurrent prosecution for any other crime, including
any crime that may have been committed at the time of the
violation of the order of protection; or
        (2) The respondent commits the crime of child abduction
    pursuant to Section 10-5 of the Criminal Code of 1961 or
    the Criminal Code of 2012, by having knowingly violated:
            (i) remedies described in paragraphs (5), (6) or
        (8) of subsection (b) of Section 112A-14, or
            (ii) a remedy, which is substantially similar to
        the remedies authorized under paragraphs (1), (5),
        (6), or (8) of subsection (b) of Section 214 of the
        Illinois Domestic Violence Act of 1986, in a valid
        order of protection, which is authorized under the laws
        of another state, tribe or United States territory.
    (b) When violation is contempt of court. A violation of any
valid order of protection, whether issued in a civil or
criminal proceeding, may be enforced through civil or criminal
contempt procedures, as appropriate, by any court with
jurisdiction, regardless where the act or acts which violated
the order of protection were committed, to the extent
consistent with the venue provisions of this Article. Nothing
in this Article shall preclude any Illinois court from
enforcing any valid order of protection issued in another
state. Illinois courts may enforce orders of protection through
both criminal prosecution and contempt proceedings, unless the
action which is second in time is barred by collateral estoppel
or the constitutional prohibition against double jeopardy.
        (1) In a contempt proceeding where the petition for a
    rule to show cause sets forth facts evidencing an immediate
    danger that the respondent will flee the jurisdiction,
    conceal a child, or inflict physical abuse on the
    petitioner or minor children or on dependent adults in
    petitioner's care, the court may order the attachment of
    the respondent without prior service of the rule to show
    cause or the petition for a rule to show cause. Bond shall
    be set unless specifically denied in writing.
        (2) A petition for a rule to show cause for violation
    of an order of protection shall be treated as an expedited
    proceeding.
    (c) Violation of custody or support orders. A violation of
remedies described in paragraphs (5), (6), (8), or (9) of
subsection (b) of Section 112A-14 may be enforced by any remedy
provided by Section 611 of the Illinois Marriage and
Dissolution of Marriage Act. The court may enforce any order
for support issued under paragraph (12) of subsection (b) of
Section 112A-14 in the manner provided for under Parts V and
VII of the Illinois Marriage and Dissolution of Marriage Act.
    (d) Actual knowledge. An order of protection may be
enforced pursuant to this Section if the respondent violates
the order after respondent has actual knowledge of its contents
as shown through one of the following means:
        (1) By service, delivery, or notice under Section
    112A-10.
        (2) By notice under Section 112A-11.
        (3) By service of an order of protection under Section
    112A-22.
        (4) By other means demonstrating actual knowledge of
    the contents of the order.
    (e) The enforcement of an order of protection in civil or
criminal court shall not be affected by either of the
following:
        (1) The existence of a separate, correlative order
    entered under Section 112A-15.
        (2) Any finding or order entered in a conjoined
    criminal proceeding.
    (f) Circumstances. The court, when determining whether or
not a violation of an order of protection has occurred, shall
not require physical manifestations of abuse on the person of
the victim.
    (g) Penalties.
        (1) Except as provided in paragraph (3) of this
    subsection, where the court finds the commission of a crime
    or contempt of court under subsections (a) or (b) of this
    Section, the penalty shall be the penalty that generally
    applies in such criminal or contempt proceedings, and may
    include one or more of the following: incarceration,
    payment of restitution, a fine, payment of attorneys' fees
    and costs, or community service.
        (2) The court shall hear and take into account evidence
    of any factors in aggravation or mitigation before deciding
    an appropriate penalty under paragraph (1) of this
    subsection.
        (3) To the extent permitted by law, the court is
    encouraged to:
            (i) increase the penalty for the knowing violation
        of any order of protection over any penalty previously
        imposed by any court for respondent's violation of any
        order of protection or penal statute involving
        petitioner as victim and respondent as defendant;
            (ii) impose a minimum penalty of 24 hours
        imprisonment for respondent's first violation of any
        order of protection; and
            (iii) impose a minimum penalty of 48 hours
        imprisonment for respondent's second or subsequent
        violation of an order of protection
    unless the court explicitly finds that an increased penalty
    or that period of imprisonment would be manifestly unjust.
        (4) In addition to any other penalties imposed for a
    violation of an order of protection, a criminal court may
    consider evidence of any violations of an order of
    protection:
            (i) to increase, revoke or modify the bail bond on
        an underlying criminal charge pursuant to Section
        110-6;
            (ii) to revoke or modify an order of probation,
        conditional discharge or supervision, pursuant to
        Section 5-6-4 of the Unified Code of Corrections;
            (iii) to revoke or modify a sentence of periodic
        imprisonment, pursuant to Section 5-7-2 of the Unified
        Code of Corrections.
(Source: P.A. 95-331, eff. 8-21-07; 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/112A-26)  (from Ch. 38, par. 112A-26)
    Sec. 112A-26. Arrest without warrant.
    (a) Any law enforcement officer may make an arrest without
warrant if the officer has probable cause to believe that the
person has committed or is committing any crime, including but
not limited to violation of an order of protection, under
Section 12-3.4 or 12-30 of the Criminal Code of 1961 or the
Criminal Code of 2012, even if the crime was not committed in
the presence of the officer.
    (b) The law enforcement officer may verify the existence of
an order of protection by telephone or radio communication with
his or her law enforcement agency or by referring to the copy
of the order provided by petitioner or respondent.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/112A-30)  (from Ch. 38, par. 112A-30)
    Sec. 112A-30. Assistance by law enforcement officers.
    (a) Whenever a law enforcement officer has reason to
believe that a person has been abused by a family or household
member, the officer shall immediately use all reasonable means
to prevent further abuse, including:
        (1) Arresting the abusing party, where appropriate;
        (2) If there is probable cause to believe that
    particular weapons were used to commit the incident of
    abuse, subject to constitutional limitations, seizing and
    taking inventory of the weapons;
        (3) Accompanying the victim of abuse to his or her
    place of residence for a reasonable period of time to
    remove necessary personal belongings and possessions;
        (4) Offering the victim of abuse immediate and adequate
    information (written in a language appropriate for the
    victim or in Braille or communicated in appropriate sign
    language), which shall include a summary of the procedures
    and relief available to victims of abuse under subsection
    (c) of Section 112A-17 and the officer's name and badge
    number;
        (5) Providing the victim with one referral to an
    accessible service agency;
        (6) Advising the victim of abuse about seeking medical
    attention and preserving evidence (specifically including
    photographs of injury or damage and damaged clothing or
    other property); and
        (7) Providing or arranging accessible transportation
    for the victim of abuse (and, at the victim's request, any
    minors or dependents in the victim's care) to a medical
    facility for treatment of injuries or to a nearby place of
    shelter or safety; or, after the close of court business
    hours, providing or arranging for transportation for the
    victim (and, at the victim's request, any minors or
    dependents in the victim's care) to the nearest available
    circuit judge or associate judge so the victim may file a
    petition for an emergency order of protection under
    subsection (c) of Section 112A-17. When a victim of abuse
    chooses to leave the scene of the offense, it shall be
    presumed that it is in the best interests of any minors or
    dependents in the victim's care to remain with the victim
    or a person designated by the victim, rather than to remain
    with the abusing party.
    (b) Whenever a law enforcement officer does not exercise
arrest powers or otherwise initiate criminal proceedings, the
officer shall:
        (1) Make a police report of the investigation of any
    bona fide allegation of an incident of abuse and the
    disposition of the investigation, in accordance with
    subsection (a) of Section 112A-29;
        (2) Inform the victim of abuse of the victim's right to
    request that a criminal proceeding be initiated where
    appropriate, including specific times and places for
    meeting with the State's Attorney's office, a warrant
    officer, or other official in accordance with local
    procedure; and
        (3) Advise the victim of the importance of seeking
    medical attention and preserving evidence (specifically
    including photographs of injury or damage and damaged
    clothing or other property).
    (c) Except as provided by Section 24-6 of the Criminal Code
of 2012 1961 or under a court order, any weapon seized under
subsection (a)(2) shall be returned forthwith to the person
from whom it was seized when it is no longer needed for
evidentiary purposes.
(Source: P.A. 87-1186; 88-498.)
 
    (725 ILCS 5/114-1)  (from Ch. 38, par. 114-1)
    Sec. 114-1. Motion to dismiss charge.
    (a) Upon the written motion of the defendant made prior to
trial before or after a plea has been entered the court may
dismiss the indictment, information or complaint upon any of
the following grounds:
        (1) The defendant has not been placed on trial in
    compliance with Section 103-5 of this Code.
        (2) The prosecution of the offense is barred by
    Sections 3-3 through 3-8 of the Criminal Code of 2012 1961,
    as heretofore and hereafter amended.
        (3) The defendant has received immunity from
    prosecution for the offense charged.
        (4) The indictment was returned by a Grand Jury which
    was improperly selected and which results in substantial
    injustice to the defendant.
        (5) The indictment was returned by a Grand Jury which
    acted contrary to Article 112 of this Code and which
    results in substantial injustice to the defendant.
        (6) The court in which the charge has been filed does
    not have jurisdiction.
        (7) The county is an improper place of trial.
        (8) The charge does not state an offense.
        (9) The indictment is based solely upon the testimony
    of an incompetent witness.
        (10) The defendant is misnamed in the charge and the
    misnomer results in substantial injustice to the
    defendant.
        (11) The requirements of Section 109-3.1 have not been
    complied with.
    (b) The court shall require any motion to dismiss to be
filed within a reasonable time after the defendant has been
arraigned. Any motion not filed within such time or an
extension thereof shall not be considered by the court and the
grounds therefor, except as to subsections (a)(6) and (a)(8) of
this Section, are waived.
    (c) If the motion presents only an issue of law the court
shall determine it without the necessity of further pleadings.
If the motion alleges facts not of record in the case the State
shall file an answer admitting or denying each of the factual
allegations of the motion.
    (d) When an issue of fact is presented by a motion to
dismiss and the answer of the State the court shall conduct a
hearing and determine the issues.
    (d-5) When a defendant seeks dismissal of the charge upon
the ground set forth in subsection (a)(7) of this Section, the
defendant shall make a prima facie showing that the county is
an improper place of trial. Upon such showing, the State shall
have the burden of proving, by a preponderance of the evidence,
that the county is the proper place of trial.
    (e) Dismissal of the charge upon the grounds set forth in
subsections (a)(4) through (a)(11) of this Section shall not
prevent the return of a new indictment or the filing of a new
charge, and upon such dismissal the court may order that the
defendant be held in custody or, if the defendant had been
previously released on bail, that the bail be continued for a
specified time pending the return of a new indictment or the
filing of a new charge.
    (f) If the court determines that the motion to dismiss
based upon the grounds set forth in subsections (a)(6) and
(a)(7) is well founded it may, instead of dismissal, order the
cause transferred to a court of competent jurisdiction or to a
proper place of trial.
(Source: P.A. 92-16, eff. 6-28-01.)
 
    (725 ILCS 5/114-4)  (from Ch. 38, par. 114-4)
    Sec. 114-4. Motion for continuance.
    (a) The defendant or the State may move for a continuance.
If the motion is made more than 30 days after arraignment the
court shall require that it be in writing and supported by
affidavit.
    (b) A written motion for continuance made by defendant more
than 30 days after arraignment may be granted when:
        (1) Counsel for the defendant is ill, has died, or is
    held to trial in another cause; or
        (2) Counsel for the defendant has been unable to
    prepare for trial because of illness or because he has been
    held to trial in another cause; or
        (3) A material witness is unavailable and the defense
    will be prejudiced by the absence of his testimony;
    however, this shall not be a ground for continuance if the
    State will stipulate that the testimony of the witness
    would be as alleged; or
        (4) The defendant cannot stand trial because of
    physical or mental incompetency; or
        (5) Pre-trial publicity concerning the case has caused
    a prejudice against defendant on the part of the community;
    or
        (6) The amendment of a charge or a bill of particulars
    has taken the defendant by surprise and he cannot fairly
    defend against such an amendment without a continuance.
    (c) A written motion for continuance made by the State more
than 30 days after arraignment may be granted when:
        (1) The prosecutor assigned to the case is ill, has
    died, or is held to trial in another cause; or
        (2) A material witness is unavailable and the
    prosecution will be prejudiced by the absence of his
    testimony; however this shall not be a ground for
    continuance if the defendant will stipulate that the
    testimony of the witness would be as alleged; or
        (3) Pre-trial publicity concerning the case has caused
    a prejudice against the prosecution on the part of the
    community.
    (d) The court may upon the written motion of either party
or upon the court's own motion order a continuance for grounds
not stated in subsections (b) and (c) of this Section if he
finds that the interests of justice so require.
    (e) All motions for continuance are addressed to the
discretion of the trial court and shall be considered in the
light of the diligence shown on the part of the movant. Where 1
year has expired since the filing of an information or
indictments, filed after January 1, 1980, if the court finds
that the State has failed to use due diligence in bringing the
case to trial, the court may, after a hearing had on the cause,
on its own motion, dismiss the information or indictment. Any
demand that the defendant had made for a speedy trial under
Section 103-5 of this code shall not abate if the State files a
new information or the grand jury reindicts in the cause.
    After a hearing has been held upon the issue of the State's
diligence and the court has found that the State has failed to
use due diligence in pursuing the prosecution, the court may
not dismiss the indictment or information without granting the
State one more court date upon which to proceed. Such date
shall be not less than 14 nor more than 30 days from the date of
the court's finding. If the State is not prepared to proceed
upon that date, the court shall dismiss the indictment or
information, as provided in this Section.
    (f) After trial has begun a reasonably brief continuance
may be granted to either side in the interests of justice.
    (g) During the time the General Assembly is in session, the
court shall, on motion of either party or on its own motion,
grant a continuance where the party or his attorney is a member
of either house of the General Assembly whose presence is
necessary for the full, fair trial of the cause and, in the
case of an attorney, where the attorney was retained by the
party before the cause was set for trial.
    (h) This Section shall be construed to the end that
criminal cases are tried with due diligence consonant with the
rights of the defendant and the State to a speedy, fair and
impartial trial.
    (i) Physical incapacity of a defendant may be grounds for a
continuance at any time. If, upon written motion of the
defendant or the State or upon the court's own motion, and
after presentation of affidavits or evidence, the court
determines that the defendant is physically unable to appear in
court or to assist in his defense, or that such appearance
would endanger his health or result in substantial prejudice, a
continuance shall be granted. If such continuance precedes the
appearance of counsel for such defendant the court shall
simultaneously appoint counsel in the manner prescribed by
Section 113-3 of this Act. Such continuance shall suspend the
provisions of Section 103-5 of this Act, which periods of time
limitation shall commence anew when the court, after
presentation of additional affidavits or evidence, has
determined that such physical incapacity has been
substantially removed.
    (j) In actions arising out of building code violations or
violations of municipal ordinances caused by the failure of a
building or structure to conform to the minimum standards of
health and safety, the court shall grant a continuance only
upon a written motion by the party seeking the continuance
specifying the reason why such continuance should be granted.
    (k) In prosecutions for violations of Section 10-1, 10-2,
11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 12-13, 12-14,
12-14.1, 12-15 or 12-16 of the "Criminal Code of 1961" or the
Criminal Code of 2012 involving a victim or witness who is a
minor under 18 years of age, the court shall, in ruling on any
motion or other request for a delay or continuance of
proceedings, consider and give weight to the adverse impact the
delay or continuance may have on the well-being of a child or
witness.
    (l) The court shall consider the age of the victim and the
condition of the victim's health when ruling on a motion for a
continuance.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/114-11)  (from Ch. 38, par. 114-11)
    Sec. 114-11. Motion to Suppress Confession.
    (a) Prior to the trial of any criminal case a defendant may
move to suppress as evidence any confession given by him on the
ground that it was not voluntary.
    (b) The motion shall be in writing and state facts showing
wherein the confession is involuntary.
    (c) If the allegations of the motion state facts which, if
true, show that the confession was not voluntarily made the
court shall conduct a hearing into the merits of the motion.
    (d) The burden of going forward with the evidence and the
burden of proving that a confession was voluntary shall be on
the State. Objection to the failure of the State to call all
material witnesses on the issue of whether the confession was
voluntary must be made in the trial court.
    (e) The motion shall be made only before a court with
jurisdiction to try the offense.
    (f) The issue of the admissibility of the confession shall
not be submitted to the jury. The circumstances surrounding the
making of the confession may be submitted to the jury as
bearing upon the credibility or the weight to be given to the
confession.
    (g) The motion shall be made before trial unless
opportunity therefor did not exist or the defendant was not
aware of the grounds for the motion. If the motion is made
during trial, and the court determines that the motion is not
untimely, and the court conducts a hearing on the merits and
enters an order suppressing the confession, the court shall
terminate the trial with respect to every defendant who was a
party to the hearing and who was within the scope of the order
of suppression, without further proceedings, unless the State
files a written notice that there will be no interlocutory
appeal from such order of suppression. In the event of such
termination, the court shall proceed with the trial of other
defendants not thus affected. Such termination of trial shall
be proper and shall not bar subsequent prosecution of the
identical charges and defendants; however, if after such
termination the State fails to prosecute the interlocutory
appeal until a determination of the merits of the appeal by the
reviewing court, the termination shall be improper within the
meaning of subparagraph (a) (3) of Section 3-4 of the "Criminal
Code of 2012 1961", approved July 28, 1961, as amended, and
subsequent prosecution of such defendants upon such charges
shall be barred.
(Source: P.A. 76-1096.)
 
    (725 ILCS 5/114-12)  (from Ch. 38, par. 114-12)
    Sec. 114-12. Motion to Suppress Evidence Illegally Seized.
(a) A defendant aggrieved by an unlawful search and seizure may
move the court for the return of property and to suppress as
evidence anything so obtained on the ground that:
    (1) The search and seizure without a warrant was illegal;
or
    (2) The search and seizure with a warrant was illegal
because the warrant is insufficient on its face; the evidence
seized is not that described in the warrant; there was not
probable cause for the issuance of the warrant; or, the warrant
was illegally executed.
    (b) The motion shall be in writing and state facts showing
wherein the search and seizure were unlawful. The judge shall
receive evidence on any issue of fact necessary to determine
the motion and the burden of proving that the search and
seizure were unlawful shall be on the defendant. If the motion
is granted the property shall be restored, unless otherwise
subject to lawful detention, and it shall not be admissible in
evidence against the movant at any trial.
    (1) If a defendant seeks to suppress evidence because of
the conduct of a peace officer in obtaining the evidence, the
State may urge that the peace officer's conduct was taken in a
reasonable and objective good faith belief that the conduct was
proper and that the evidence discovered should not be
suppressed if otherwise admissible. The court shall not
suppress evidence which is otherwise admissible in a criminal
proceeding if the court determines that the evidence was seized
by a peace officer who acted in good faith.
    (2) "Good faith" means whenever a peace officer obtains
evidence:
    (i) pursuant to a search or an arrest warrant obtained from
a neutral and detached judge, which warrant is free from
obvious defects other than non-deliberate errors in
preparation and contains no material misrepresentation by any
agent of the State, and the officer reasonably believed the
warrant to be valid; or
    (ii) pursuant to a warrantless search incident to an arrest
for violation of a statute or local ordinance which is later
declared unconstitutional or otherwise invalidated.
    (3) This amendatory Act of 1987 shall not be construed to
limit the enforcement of any appropriate civil remedy or
criminal sanction in actions pursuant to other provisions of
law against any individual or government entity found to have
conducted an unreasonable search or seizure.
    (4) This amendatory Act of 1987 does not apply to unlawful
electronic eavesdropping or wiretapping.
    (c) The motion shall be made before trial unless
opportunity therefor did not exist or the defendant was not
aware of the grounds for the motion. If the motion is made
during trial, and the court determines that the motion is not
untimely, and the court conducts a hearing on the merits and
enters an order suppressing the evidence, the court shall
terminate the trial with respect to every defendant who was a
party to the hearing and who was within the scope of the order
of suppression, without further proceedings, unless the State
files a written notice that there will be no interlocutory
appeal from such order of suppression. In the event of such
termination, the court shall proceed with the trial of other
defendants not thus affected. Such termination of trial shall
be proper and shall not bar subsequent prosecution of the
identical charges and defendants; however, if after such
termination the State fails to prosecute the interlocutory
appeal until a determination of the merits of the appeal by the
reviewing court, the termination shall be improper within the
meaning of subparagraph (a) (3) of Section 3-4 of the "Criminal
Code of 2012 1961", approved July 28, 1961, as amended, and
subsequent prosecution of such defendants upon such charges
shall be barred.
    (d) The motion shall be made only before a court with
jurisdiction to try the offense.
    (e) The order or judgment granting or denying the motion
shall state the findings of facts and conclusions of law upon
which the order or judgment is based.
(Source: P.A. 85-388.)
 
    (725 ILCS 5/115-3)  (from Ch. 38, par. 115-3)
    Sec. 115-3. Trial by the Court. (a) A trial shall be
conducted in the presence of the defendant unless he waives the
right to be present.
    (b) Upon conclusion of the trial the court shall enter a
general finding, except that, when the affirmative defense of
insanity has been presented during the trial and acquittal is
based solely upon the defense of insanity, the court shall
enter a finding of not guilty by reason of insanity. In the
event of a finding of not guilty by reason of insanity, a
hearing shall be held pursuant to the Mental Health and
Developmental Disabilities Code to determine whether the
defendant is subject to involuntary admission.
    (c) When the defendant has asserted a defense of insanity,
the court may find the defendant guilty but mentally ill if,
after hearing all of the evidence, the court finds that:
    (1) the State has proven beyond a reasonable doubt that the
defendant is guilty of the offense charged; and
    (2) the defendant has failed to prove his insanity as
required in subsection (b) of Section 3-2 of the Criminal Code
of 2012 1961, as amended, and subsections (a), (b) and (e) of
Section 6-2 of the Criminal Code of 2012 1961, as amended; and
    (3) the defendant has proven by a preponderance of the
evidence that he was mentally ill, as defined in subsections
(c) and (d) of Section 6-2 of the Criminal Code of 2012 1961,
as amended, at the time of the offense.
(Source: P.A. 86-392.)
 
    (725 ILCS 5/115-4)  (from Ch. 38, par. 115-4)
    Sec. 115-4. Trial by Court and Jury.) (a) Questions of law
shall be decided by the court and questions of fact by the
jury.
    (b) The jury shall consist of 12 members.
    (c) Upon request the parties shall be furnished with a list
of prospective jurors with their addresses if known.
    (d) Each party may challenge jurors for cause. If a
prospective juror has a physical impairment, the court shall
consider such prospective juror's ability to perceive and
appreciate the evidence when considering a challenge for cause.
    (e) A defendant tried alone shall be allowed 20 peremptory
challenges in a capital case, 10 in a case in which the
punishment may be imprisonment in the penitentiary, and 5 in
all other cases; except that, in a single trial of more than
one defendant, each defendant shall be allowed 12 peremptory
challenges in a capital case, 6 in a case in which the
punishment may be imprisonment in the penitentiary, and 3 in
all other cases. If several charges against a defendant or
defendants are consolidated for trial, each defendant shall be
allowed peremptory challenges upon one charge only, which
single charge shall be the charge against that defendant
authorizing the greatest maximum penalty. The State shall be
allowed the same number of peremptory challenges as all of the
defendants.
    (f) After examination by the court the jurors may be
examined, passed upon, accepted and tendered by opposing
counsel as provided by Supreme Court rules.
    (g) After the jury is impaneled and sworn the court may
direct the selection of 2 alternate jurors who shall take the
same oath as the regular jurors. Each party shall have one
additional peremptory challenge for each alternate juror. If
before the final submission of a cause a member of the jury
dies or is discharged he shall be replaced by an alternate
juror in the order of selection.
    (h) A trial by the court and jury shall be conducted in the
presence of the defendant unless he waives the right to be
present.
    (i) After arguments of counsel the court shall instruct the
jury as to the law.
    (j) Unless the affirmative defense of insanity has been
presented during the trial, the jury shall return a general
verdict as to each offense charged. When the affirmative
defense of insanity has been presented during the trial, the
court shall provide the jury not only with general verdict
forms but also with a special verdict form of not guilty by
reason of insanity, as to each offense charged, and in such
event the court shall separately instruct the jury that a
special verdict of not guilty by reason of insanity may be
returned instead of a general verdict but such special verdict
requires a unanimous finding by the jury that the defendant
committed the acts charged but at the time of the commission of
those acts the defendant was insane. In the event of a verdict
of not guilty by reason of insanity, a hearing shall be held
pursuant to the Mental Health and Developmental Disabilities
Code to determine whether the defendant is subject to
involuntary admission. When the affirmative defense of
insanity has been presented during the trial, the court, where
warranted by the evidence, shall also provide the jury with a
special verdict form of guilty but mentally ill, as to each
offense charged and shall separately instruct the jury that a
special verdict of guilty but mentally ill may be returned
instead of a general verdict, but that such special verdict
requires a unanimous finding by the jury that: (1) the State
has proven beyond a reasonable doubt that the defendant is
guilty of the offense charged; and (2) the defendant has failed
to prove his insanity as required in subsection (b) of Section
3-2 of the Criminal Code of 2012 1961, as amended, and
subsections (a), (b) and (e) of Section 6-2 of the Criminal
Code of 2012 1961, as amended; and (3) the defendant has proven
by a preponderance of the evidence that he was mentally ill, as
defined in subsections (c) and (d) of Section 6-2 of the
Criminal Code of 2012 1961, as amended, at the time of the
offense.
    (k) When, at the close of the State's evidence or at the
close of all of the evidence, the evidence is insufficient to
support a finding or verdict of guilty the court may and on
motion of the defendant shall make a finding or direct the jury
to return a verdict of not guilty, enter a judgment of
acquittal and discharge the defendant.
    (l) When the jury retires to consider its verdict an
officer of the court shall be appointed to keep them together
and to prevent conversation between the jurors and others;
however, if any juror is deaf, the jury may be accompanied by
and may communicate with a court-appointed interpreter during
its deliberations. Upon agreement between the State and
defendant or his counsel the jury may seal and deliver its
verdict to the clerk of the court, separate, and then return
such verdict in open court at its next session.
    (m) In the trial of a capital or other offense, any juror
who is a member of a panel or jury which has been impaneled and
sworn as a panel or as a jury shall be permitted to separate
from other such jurors during every period of adjournment to a
later day, until final submission of the cause to the jury for
determination, except that no such separation shall be
permitted in any trial after the court, upon motion by the
defendant or the State or upon its own motion, finds a
probability that prejudice to the defendant or to the State
will result from such separation.
    (n) The members of the jury shall be entitled to take notes
during the trial, and the sheriff of the county in which the
jury is sitting shall provide them with writing materials for
this purpose. Such notes shall remain confidential, and shall
be destroyed by the sheriff after the verdict has been returned
or a mistrial declared.
    (o) A defendant tried by the court and jury shall only be
found guilty, guilty but mentally ill, not guilty or not guilty
by reason of insanity, upon the unanimous verdict of the jury.
(Source: P.A. 86-392.)
 
    (725 ILCS 5/115-6)  (from Ch. 38, par. 115-6)
    Sec. 115-6. Appointment of Psychiatrist or Clinical
Psychologist. If the defendant has given notice that he may
rely upon the defense of insanity as defined in Section 6-2 of
the Criminal Code of 2012 1961 or the defendant indicates that
he intends to plead guilty but mentally ill or the defense of
intoxicated or drugged condition as defined in Section 6-3 of
the Criminal Code of 2012 1961 or if the facts and
circumstances of the case justify a reasonable belief that the
aforesaid defenses may be raised, the Court shall, on motion of
the State, order the defendant to submit to examination by at
least one clinical psychologist or psychiatrist, to be named by
the prosecuting attorney. The Court shall also order the
defendant to submit to an examination by one neurologist, one
clinical psychologist and one electroencephalographer to be
named by the prosecuting attorney if the State asks for one or
more of such additional examinations. The Court may order
additional examinations if the Court finds that additional
examinations by additional experts will be of substantial value
in the determination of issues of insanity or drugged
conditions. The reports of such experts shall be made available
to the defense. Any statements made by defendant to such
experts shall not be admissible against the defendant unless he
raises the defense of insanity or the defense of drugged
condition, in which case they shall be admissible only on the
issue of whether he was insane or drugged. The refusal of the
defendant to cooperate in such examinations shall not
automatically preclude the raising of the aforesaid defenses
but shall preclude the defendant from offering expert evidence
or testimony tending to support such defenses if the expert
evidence or testimony is based upon the expert's examination of
the defendant. If the Court, after a hearing, determines to its
satisfaction that the defendant's refusal to cooperate was
unreasonable it may, in its sound discretion, bar any or all
evidence upon the defense asserted.
(Source: P.A. 82-553.)
 
    (725 ILCS 5/115-7)  (from Ch. 38, par. 115-7)
    Sec. 115-7. a. In prosecutions for predatory criminal
sexual assault of a child, aggravated criminal sexual assault,
criminal sexual assault, aggravated criminal sexual abuse,
criminal sexual abuse, or criminal transmission of HIV; and in
prosecutions for battery and aggravated battery, when the
commission of the offense involves sexual penetration or sexual
conduct as defined in Section 11-0.1 of the Criminal Code of
2012 1961; and with the trial or retrial of the offenses
formerly known as rape, deviate sexual assault, indecent
liberties with a child, and aggravated indecent liberties with
a child, the prior sexual activity or the reputation of the
alleged victim or corroborating witness under Section 115-7.3
of this Code is inadmissible except (1) as evidence concerning
the past sexual conduct of the alleged victim or corroborating
witness under Section 115-7.3 of this Code with the accused
when this evidence is offered by the accused upon the issue of
whether the alleged victim or corroborating witness under
Section 115-7.3 of this Code consented to the sexual conduct
with respect to which the offense is alleged; or (2) when
constitutionally required to be admitted.
    b. No evidence admissible under this Section shall be
introduced unless ruled admissible by the trial judge after an
offer of proof has been made at a hearing to be held in camera
in order to determine whether the defense has evidence to
impeach the witness in the event that prior sexual activity
with the defendant is denied. Such offer of proof shall include
reasonably specific information as to the date, time and place
of the past sexual conduct between the alleged victim or
corroborating witness under Section 115-7.3 of this Code and
the defendant. Unless the court finds that reasonably specific
information as to date, time or place, or some combination
thereof, has been offered as to prior sexual activity with the
defendant, counsel for the defendant shall be ordered to
refrain from inquiring into prior sexual activity between the
alleged victim or corroborating witness under Section 115-7.3
of this Code and the defendant. The court shall not admit
evidence under this Section unless it determines at the hearing
that the evidence is relevant and the probative value of the
evidence outweighs the danger of unfair prejudice. The evidence
shall be admissible at trial to the extent an order made by the
court specifies the evidence that may be admitted and areas
with respect to which the alleged victim or corroborating
witness under Section 115-7.3 of this Code may be examined or
cross examined.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/115-7.2)  (from Ch. 38, par. 115-7.2)
    Sec. 115-7.2. In a prosecution for an illegal sexual act
perpetrated upon a victim, including but not limited to
prosecutions for violations of Sections 11-1.20 through
11-1.60 or 12-13 through 12-16 of the Criminal Code of 1961 or
the Criminal Code of 2012, or ritualized abuse of a child under
Section 12-33 of the Criminal Code of 1961 or the Criminal Code
of 2012, testimony by an expert, qualified by the court
relating to any recognized and accepted form of post-traumatic
stress syndrome shall be admissible as evidence.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/115-7.3)
    Sec. 115-7.3. Evidence in certain cases.
    (a) This Section applies to criminal cases in which:
        (1) the defendant is accused of predatory criminal
    sexual assault of a child, aggravated criminal sexual
    assault, criminal sexual assault, aggravated criminal
    sexual abuse, criminal sexual abuse, child pornography,
    aggravated child pornography, or criminal transmission of
    HIV;
        (2) the defendant is accused of battery, aggravated
    battery, first degree murder, or second degree murder when
    the commission of the offense involves sexual penetration
    or sexual conduct as defined in Section 11-0.1 of the
    Criminal Code of 2012 1961; or
        (3) the defendant is tried or retried for any of the
    offenses formerly known as rape, deviate sexual assault,
    indecent liberties with a child, or aggravated indecent
    liberties with a child.
    (b) If the defendant is accused of an offense set forth in
paragraph (1) or (2) of subsection (a) or the defendant is
tried or retried for any of the offenses set forth in paragraph
(3) of subsection (a), evidence of the defendant's commission
of another offense or offenses set forth in paragraph (1), (2),
or (3) of subsection (a), or evidence to rebut that proof or an
inference from that proof, may be admissible (if that evidence
is otherwise admissible under the rules of evidence) and may be
considered for its bearing on any matter to which it is
relevant.
    (c) In weighing the probative value of the evidence against
undue prejudice to the defendant, the court may consider:
        (1) the proximity in time to the charged or predicate
    offense;
        (2) the degree of factual similarity to the charged or
    predicate offense; or
        (3) other relevant facts and circumstances.
    (d) In a criminal case in which the prosecution intends to
offer evidence under this Section, it must disclose the
evidence, including statements of witnesses or a summary of the
substance of any testimony, at a reasonable time in advance of
trial, or during trial if the court excuses pretrial notice on
good cause shown.
    (e) In a criminal case in which evidence is offered under
this Section, proof may be made by specific instances of
conduct, testimony as to reputation, or testimony in the form
of an expert opinion, except that the prosecution may offer
reputation testimony only after the opposing party has offered
that testimony.
    (f) In prosecutions for a violation of Section 10-2,
11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 12-3.05, 12-4,
12-13, 12-14, 12-14.1, 12-15, 12-16, or 18-5 of the Criminal
Code of 1961 or the Criminal Code of 2012, involving the
involuntary delivery of a controlled substance to a victim, no
inference may be made about the fact that a victim did not
consent to a test for the presence of controlled substances.
(Source: P.A. 96-1551, eff. 7-1-11; 97-1109, eff. 1-1-13.)
 
    (725 ILCS 5/115-10)  (from Ch. 38, par. 115-10)
    Sec. 115-10. Certain hearsay exceptions.
    (a) In a prosecution for a physical or sexual act
perpetrated upon or against a child under the age of 13, or a
person who was a moderately, severely, or profoundly
intellectually disabled person as defined in this Code and in
Section 2-10.1 of the Criminal Code of 1961 or the Criminal
Code of 2012 at the time the act was committed, including but
not limited to prosecutions for violations of Sections 11-1.20
through 11-1.60 or 12-13 through 12-16 of the Criminal Code of
1961 or the Criminal Code of 2012 and prosecutions for
violations of Sections 10-1 (kidnapping), 10-2 (aggravated
kidnapping), 10-3 (unlawful restraint), 10-3.1 (aggravated
unlawful restraint), 10-4 (forcible detention), 10-5 (child
abduction), 10-6 (harboring a runaway), 10-7 (aiding or
abetting child abduction), 11-9 (public indecency), 11-11
(sexual relations within families), 11-21 (harmful material),
12-1 (assault), 12-2 (aggravated assault), 12-3 (battery),
12-3.2 (domestic battery), 12-3.3 (aggravated domestic
battery), 12-3.05 or 12-4 (aggravated battery), 12-4.1
(heinous battery), 12-4.2 (aggravated battery with a firearm),
12-4.3 (aggravated battery of a child), 12-4.7 (drug induced
infliction of great bodily harm), 12-5 (reckless conduct), 12-6
(intimidation), 12-6.1 or 12-6.5 (compelling organization
membership of persons), 12-7.1 (hate crime), 12-7.3
(stalking), 12-7.4 (aggravated stalking), 12-10 or 12C-35
(tattooing the body of a minor), 12-11 or 19-6 (home invasion),
12-21.5 or 12C-10 (child abandonment), 12-21.6 or 12C-5
(endangering the life or health of a child) or 12-32 (ritual
mutilation) of the Criminal Code of 1961 or the Criminal Code
of 2012 or any sex offense as defined in subsection (B) of
Section 2 of the Sex Offender Registration Act, the following
evidence shall be admitted as an exception to the hearsay rule:
        (1) testimony by the victim of an out of court
    statement made by the victim that he or she complained of
    such act to another; and
        (2) testimony of an out of court statement made by the
    victim describing any complaint of such act or matter or
    detail pertaining to any act which is an element of an
    offense which is the subject of a prosecution for a sexual
    or physical act against that victim.
    (b) Such testimony shall only be admitted if:
        (1) The court finds in a hearing conducted outside the
    presence of the jury that the time, content, and
    circumstances of the statement provide sufficient
    safeguards of reliability; and
        (2) The child or moderately, severely, or profoundly
    intellectually disabled person either:
            (A) testifies at the proceeding; or
            (B) is unavailable as a witness and there is
        corroborative evidence of the act which is the subject
        of the statement; and
        (3) In a case involving an offense perpetrated against
    a child under the age of 13, the out of court statement was
    made before the victim attained 13 years of age or within 3
    months after the commission of the offense, whichever
    occurs later, but the statement may be admitted regardless
    of the age of the victim at the time of the proceeding.
    (c) If a statement is admitted pursuant to this Section,
the court shall instruct the jury that it is for the jury to
determine the weight and credibility to be given the statement
and that, in making the determination, it shall consider the
age and maturity of the child, or the intellectual capabilities
of the moderately, severely, or profoundly intellectually
disabled person, the nature of the statement, the circumstances
under which the statement was made, and any other relevant
factor.
    (d) The proponent of the statement shall give the adverse
party reasonable notice of his intention to offer the statement
and the particulars of the statement.
    (e) Statements described in paragraphs (1) and (2) of
subsection (a) shall not be excluded on the basis that they
were obtained as a result of interviews conducted pursuant to a
protocol adopted by a Child Advocacy Advisory Board as set
forth in subsections (c), (d), and (e) of Section 3 of the
Children's Advocacy Center Act or that an interviewer or
witness to the interview was or is an employee, agent, or
investigator of a State's Attorney's office.
(Source: P.A. 96-710, eff. 1-1-10; 96-1551, Article 1, Section
965, eff. 7-1-11; 96-1551, Article 2, Section 1040, eff.
7-1-11; 97-227, eff. 1-1-12; 97-1108, eff. 1-1-13; 97-1109,
eff. 1-1-13; revised 9-20-12.)
 
    (725 ILCS 5/115-10.2a)
    Sec. 115-10.2a. Admissibility of prior statements in
domestic violence prosecutions when the witness is unavailable
to testify.
    (a) In a domestic violence prosecution, a statement, made
by an individual identified in Section 201 of the Illinois
Domestic Violence Act of 1986 as a person protected by that
Act, that is not specifically covered by any other hearsay
exception but having equivalent circumstantial guarantees of
trustworthiness, is not excluded by the hearsay rule if the
declarant is identified as unavailable as defined in subsection
(c) and if the court determines that:
        (1) the statement is offered as evidence of a material
    fact; and
        (2) the statement is more probative on the point for
    which it is offered than any other evidence which the
    proponent can procure through reasonable efforts; and
        (3) the general purposes of this Section and the
    interests of justice will best be served by admission of
    the statement into evidence.
    (b) A statement may not be admitted under this exception
unless the proponent of it makes known to the adverse party
sufficiently in advance of the trial or hearing to provide the
adverse party with a fair opportunity to prepare to meet it,
the proponent's intention to offer the statement, and the
particulars of the statement, including the name and address of
the declarant.
    (c) Unavailability as a witness includes circumstances in
which the declarant:
        (1) is exempted by ruling of the court on the ground of
    privilege from testifying concerning the subject matter of
    the declarant's statement; or
        (2) persists in refusing to testify concerning the
    subject matter of the declarant's statement despite an
    order of the court to do so; or
        (3) testifies to a lack of memory of the subject matter
    of the declarant's statement; or
        (4) is unable to be present or to testify at the
    hearing because of health or then existing physical or
    mental illness or infirmity; or
        (5) is absent from the hearing and the proponent of the
    statement has been unable to procure the declarant's
    attendance by process or other reasonable means; or
        (6) is a crime victim as defined in Section 3 of the
    Rights of Crime Victims and Witnesses Act and the failure
    of the declarant to testify is caused by the defendant's
    intimidation of the declarant as defined in Section 12-6 of
    the Criminal Code of 2012 1961.
    (d) A declarant is not unavailable as a witness if
exemption, refusal, claim of lack of memory, inability, or
absence is due to the procurement or wrongdoing of the
proponent of a statement for purpose of preventing the witness
from attending or testifying.
    (e) Nothing in this Section shall render a prior statement
inadmissible for purposes of impeachment because the statement
was not recorded or otherwise fails to meet the criteria set
forth in this Section.
(Source: P.A. 93-443, eff. 8-5-03.)
 
    (725 ILCS 5/115-10.3)
    Sec. 115-10.3. Hearsay exception regarding elder adults.
    (a) In a prosecution for a physical act, abuse, neglect, or
financial exploitation perpetrated upon or against an eligible
adult, as defined in the Elder Abuse and Neglect Act, who has
been diagnosed by a physician to suffer from (i) any form of
dementia, developmental disability, or other form of mental
incapacity or (ii) any physical infirmity, including but not
limited to prosecutions for violations of Sections 10-1, 10-2,
10-3, 10-3.1, 10-4, 11-1.20, 11-1.30, 11-1.40, 11-1.50,
11-1.60, 11-11, 12-1, 12-2, 12-3, 12-3.05, 12-3.2, 12-3.3,
12-4, 12-4.1, 12-4.2, 12-4.5, 12-4.6, 12-4.7, 12-5, 12-6,
12-7.3, 12-7.4, 12-11, 12-11.1, 12-13, 12-14, 12-15, 12-16,
12-21, 16-1, 16-1.3, 17-1, 17-3, 17-56, 18-1, 18-2, 18-3, 18-4,
18-5, 18-6, 19-6, 20-1.1, 24-1.2, and 33A-2, or subsection (b)
of Section 12-4.4a, or subsection (a) of Section 17-32, of the
Criminal Code of 1961 or the Criminal Code of 2012, the
following evidence shall be admitted as an exception to the
hearsay rule:
        (1) testimony by an eligible adult, of an out of court
    statement made by the eligible adult, that he or she
    complained of such act to another; and
        (2) testimony of an out of court statement made by the
    eligible adult, describing any complaint of such act or
    matter or detail pertaining to any act which is an element
    of an offense which is the subject of a prosecution for a
    physical act, abuse, neglect, or financial exploitation
    perpetrated upon or against the eligible adult.
    (b) Such testimony shall only be admitted if:
        (1) The court finds in a hearing conducted outside the
    presence of the jury that the time, content, and
    circumstances of the statement provide sufficient
    safeguards of reliability; and
        (2) The eligible adult either:
            (A) testifies at the proceeding; or
            (B) is unavailable as a witness and there is
        corroborative evidence of the act which is the subject
        of the statement.
    (c) If a statement is admitted pursuant to this Section,
the court shall instruct the jury that it is for the jury to
determine the weight and credibility to be given the statement
and that, in making the determination, it shall consider the
condition of the eligible adult, the nature of the statement,
the circumstances under which the statement was made, and any
other relevant factor.
    (d) The proponent of the statement shall give the adverse
party reasonable notice of his or her intention to offer the
statement and the particulars of the statement.
(Source: P.A. 96-1551, Article 1, Section 965, eff. 7-1-11;
96-1551, Article 2, Section 1040, eff. 7-1-11; 96-1551, Article
10, Section 10-145, eff. 7-1-11; 97-1108, eff. 1-1-13; 97-1109,
eff. 1-1-13.)
 
    (725 ILCS 5/115-10.6)
    Sec. 115-10.6. Hearsay exception for intentional murder of
a witness.
    (a) A statement is not rendered inadmissible by the hearsay
rule if it is offered against a party that has killed the
declarant in violation of clauses (a)(1) and (a)(2) of Section
9-1 of the Criminal Code of 1961 or the Criminal Code of 2012
intending to procure the unavailability of the declarant as a
witness in a criminal or civil proceeding.
    (b) While intent to procure the unavailability of the
witness is a necessary element for the introduction of the
statements, it need not be the sole motivation behind the
murder which procured the unavailability of the declarant as a
witness.
    (c) The murder of the declarant may, but need not, be the
subject of the trial at which the statement is being offered.
If the murder of the declarant is not the subject of the trial
at which the statement is being offered, the murder need not
have ever been prosecuted.
    (d) The proponent of the statements shall give the adverse
party reasonable written notice of its intention to offer the
statements and the substance of the particulars of each
statement of the declarant. For purposes of this Section,
identifying the location of the statements in tendered
discovery shall be sufficient to satisfy the substance of the
particulars of the statement.
    (e) The admissibility of the statements shall be determined
by the court at a pretrial hearing. At the hearing, the
proponent of the statement bears the burden of establishing 3
criteria by a preponderance of the evidence:
        (1) first, that the adverse party murdered the
    declarant and that the murder was intended to cause the
    unavailability of the declarant as a witness;
        (2) second, that the time, content, and circumstances
    of the statements provide sufficient safeguards of
    reliability;
        (3) third, the interests of justice will best be served
    by admission of the statement into evidence.
    (f) The court shall make specific findings as to each of
these criteria on the record before ruling on the admissibility
of said statements.
    (g) This Section in no way precludes or changes the
application of the existing common law doctrine of forfeiture
by wrongdoing.
(Source: P.A. 95-1004, eff. 12-8-08.)
 
    (725 ILCS 5/115-11)  (from Ch. 38, par. 115-11)
    Sec. 115-11. In a prosecution for a criminal offense
defined in Article 11 or in Section 11-1.20, 11-1.30, 11-1.40,
11-1.50, 11-1.60, 12-13, 12-14, 12-14.1, 12-15 or 12-16 of the
"Criminal Code of 1961 or the Criminal Code of 2012 ", where the
alleged victim of the offense is a minor under 18 years of age,
the court may exclude from the proceedings while the victim is
testifying, all persons, who, in the opinion of the court, do
not have a direct interest in the case, except the media.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/115-11.1)  (from Ch. 38, par. 115-11.1)
    Sec. 115-11.1. Use of "Rape". The use of the word "rape",
"rapist", or any derivative of "rape" by any victim, witness,
State's Attorney, defense attorney, judge or other court
personnel in any prosecutions of offenses in Sections 11-1.20
through 11-1.60 or 12-13 through 12-16 of the Criminal Code of
1961 or the Criminal Code of 2012 , as amended, is not
inadmissible.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/115-13)  (from Ch. 38, par. 115-13)
    Sec. 115-13. In a prosecution for violation of Section
11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 12-13, 12-14,
12-14.1, 12-15 or 12-16 of the "Criminal Code of 1961 or the
Criminal Code of 2012 ", statements made by the victim to
medical personnel for purposes of medical diagnosis or
treatment including descriptions of the cause of symptom, pain
or sensations, or the inception or general character of the
cause or external source thereof insofar as reasonably
pertinent to diagnosis or treatment shall be admitted as an
exception to the hearsay rule.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/115-15)
    Sec. 115-15. Laboratory reports.
    (a) In any criminal prosecution for a violation of the
Cannabis Control Act, the Illinois Controlled Substances Act,
or the Methamphetamine Control and Community Protection Act, a
laboratory report from the Department of State Police, Division
of Forensic Services, that is signed and sworn to by the person
performing an analysis and that states (1) that the substance
that is the basis of the alleged violation has been weighed and
analyzed, and (2) the person's findings as to the contents,
weight and identity of the substance, and (3) that it contains
any amount of a controlled substance or cannabis is prima facie
evidence of the contents, identity and weight of the substance.
Attached to the report shall be a copy of a notarized statement
by the signer of the report giving the name of the signer and
stating (i) that he or she is an employee of the Department of
State Police, Division of Forensic Services, (ii) the name and
location of the laboratory where the analysis was performed,
(iii) that performing the analysis is a part of his or her
regular duties, and (iv) that the signer is qualified by
education, training and experience to perform the analysis. The
signer shall also allege that scientifically accepted tests
were performed with due caution and that the evidence was
handled in accordance with established and accepted procedures
while in the custody of the laboratory.
    (a-5) In any criminal prosecution for reckless homicide
under Section 9-3 of the Criminal Code of 1961 or the Criminal
Code of 2012, or driving under the influence of alcohol, other
drug, or combination of both, in violation of Section 11-501 of
the Illinois Vehicle Code or in any civil action held under a
statutory summary suspension or revocation hearing under
Section 2-118.1 of the Illinois Vehicle Code, a laboratory
report from the Department of State Police, Division of
Forensic Services, that is signed and sworn to by the person
performing an analysis, and that states that the sample of
blood or urine was tested for alcohol or drugs, and contains
the person's findings as to the presence and amount of alcohol
or drugs and type of drug is prima facie evidence of the
presence, content, and amount of the alcohol or drugs analyzed
in the blood or urine. Attached to the report must be a copy of
a notarized statement by the signer of the report giving the
name of the signer and stating (1) that he or she is an
employee of the Department of State Police, Division of
Forensic Services, (2) the name and location of the laboratory
where the analysis was performed, (3) that performing the
analysis is a part of his or her regular duties, (4) that the
signer is qualified by education, training, and experience to
perform the analysis, and (5) that scientifically accepted
tests were performed with due caution and that the evidence was
handled in accordance with established and accepted procedures
while in the custody of the laboratory.
    (b) The State's Attorney shall serve a copy of the report
on the attorney of record for the accused, or on the accused if
he or she has no attorney, before any proceeding in which the
report is to be used against the accused other than at a
preliminary hearing or grand jury hearing when the report may
be used without having been previously served upon the accused.
    (c) The report shall not be prima facie evidence if the
accused or his or her attorney demands the testimony of the
person signing the report by serving the demand upon the
State's Attorney within 7 days from the accused or his or her
attorney's receipt of the report.
(Source: P.A. 96-1344, eff. 7-1-11.)
 
    (725 ILCS 5/115-16)
    Sec. 115-16. Witness disqualification. No person shall be
disqualified as a witness in a criminal case or proceeding by
reason of his or her interest in the event of the case or
proceeding, as a party or otherwise, or by reason of his or her
having been convicted of a crime; but the interest or
conviction may be shown for the purpose of affecting the
credibility of the witness. A defendant in a criminal case or
proceeding shall only at his or her own request be deemed a
competent witness, and the person's neglect to testify shall
not create a presumption against the person, nor shall the
court permit a reference or comment to be made to or upon that
neglect.
    In criminal cases, husband and wife may testify for or
against each other. Neither, however, may testify as to any
communication or admission made by either of them to the other
or as to any conversation between them during marriage, except
in cases in which either is charged with an offense against the
person or property of the other, in case of spouse abandonment,
when the interests of their child or children or of any child
or children in either spouse's care, custody, or control are
directly involved, when either is charged with or under
investigation for an offense under Section 11-1.20, 11-1.30,
11-1.40, 11-1.50, 11-1.60, 12-13, 12-14, 12-14.1, 12-15, or
12-16 of the Criminal Code of 1961 or the Criminal Code of 2012
and the victim is a minor under 18 years of age in either
spouse's care, custody, or control at the time of the offense,
or as to matters in which either has acted as agent of the
other.
(Source: P.A. 96-1242, eff. 7-23-10; 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/115-17b)
    Sec. 115-17b. Administrative subpoenas.
    (a) Definitions. As used in this Section:
        "Electronic communication services" and "remote
    computing services" have the same meaning as provided in
    the Electronic Communications Privacy Act in Chapter 121
    (commencing with Section 2701) of Part I of Title 18 of the
    United States Code Annotated.
        "Offense involving the sexual exploitation of
    children" means an offense under Section 11-1.20, 11-1.30,
    11-1.40, 11-1.50, 11-1.60, 11-6, 11-6.5, 11-6.6, 11-9.1,
    11-14.4, 11-15.1, 11-17.1, 11-18.1, 11-19.1, 11-19.2,
    11-20.1, 11-20.1B, 11-20.3, 11-21, 11-23, 11-25, 11-26,
    12-13, 12-14, 12-14.1, 12-15, or 12-16 of the Criminal Code
    of 1961 or the Criminal Code of 2012 or any attempt to
    commit any of these offenses when the victim is under 18
    years of age.
    (b) Subpoenas duces tecum. In any criminal investigation of
an offense involving the sexual exploitation of children, the
Attorney General, or his or her designee, or a State's
Attorney, or his or her designee, may issue in writing and
cause to be served subpoenas duces tecum to providers of
electronic communication services or remote computing services
requiring the production of records relevant to the
investigation. Any such request for records shall not extend
beyond requiring the provider to disclose the information
specified in 18 U.S.C. 2703(c)(2). Any subpoena duces tecum
issued under this Section shall be made returnable to the Chief
Judge of the Circuit Court for the Circuit in which the State's
Attorney resides, or his or her designee, or for subpoenas
issued by the Attorney General, the subpoena shall be made
returnable to the Chief Judge of the Circuit Court for the
Circuit to which the investigation pertains, or his or her
designee, to determine whether the documents are privileged and
whether the subpoena is unreasonable or oppressive.
    (c) Contents of subpoena. A subpoena under this Section
shall describe the records or other things required to be
produced and prescribe a return date within a reasonable period
of time within which the objects or records can be assembled
and made available.
    (c-5) Contemporaneous notice to Chief Judge. Whenever a
subpoena is issued under this Section, the Attorney General or
his or her designee or the State's Attorney or his of her
designee shall be required to provide a copy of the subpoena to
the Chief Judge of the county in which the subpoena is
returnable.
    (d) Modifying or quashing subpoena. At any time before the
return date specified in the subpoena, the person or entity to
whom the subpoena is directed may petition for an order
modifying or quashing the subpoena on the grounds that the
subpoena is oppressive or unreasonable or that the subpoena
seeks privileged documents or records.
    (e) Ex parte order. An Illinois circuit court for the
circuit in which the subpoena is or will be issued, upon
application of the Attorney General, or his or her designee, or
State's Attorney, or his or her designee, may issue an ex parte
order that no person or entity disclose to any other person or
entity (other than persons necessary to comply with the
subpoena) the existence of such subpoena for a period of up to
90 days.
        (1) Such order may be issued upon a showing that the
    things being sought may be relevant to the investigation
    and there is reason to believe that such disclosure may
    result in:
            (A) endangerment to the life or physical safety of
        any person;
            (B) flight to avoid prosecution;
            (C) destruction of or tampering with evidence;
            (D) intimidation of potential witnesses; or
            (E) otherwise seriously jeopardizing an
        investigation or unduly delaying a trial.
        (2) An order under this Section may be renewed for
    additional periods of up to 90 days upon a showing that the
    circumstances described in paragraph (1) of this
    subsection (e) continue to exist.
    (f) Enforcement. A witness who is duly subpoenaed who
neglects or refuses to comply with the subpoena shall be
proceeded against and punished for contempt of the court. A
subpoena duces tecum issued under this Section may be enforced
pursuant to the Uniform Act to Secure the Attendance of
Witnesses from Within or Without a State in Criminal
Proceedings.
    (g) Immunity from civil liability. Notwithstanding any
federal, State, or local law, any person, including officers,
agents, and employees, receiving a subpoena under this Section,
who complies in good faith with the subpoena and thus produces
the materials sought, shall not be liable in any court of
Illinois to any customer or other person for such production or
for nondisclosure of that production to the customer.
(Source: P.A. 97-475, eff. 8-22-11.)
 
    (725 ILCS 5/116-2.1)
    Sec. 116-2.1. Motion to vacate prostitution convictions
for sex trafficking victims.
    (a) A motion under this Section may be filed at any time
following the entry of a verdict or finding of guilty where the
conviction was under Section 11-14 (prostitution) or Section
11-14.2 (first offender; felony prostitution) of the Criminal
Code of 1961 or the Criminal Code of 2012 or a similar local
ordinance and the defendant's participation in the offense was
a result of having been a trafficking victim under Section 10-9
(involuntary servitude, involuntary sexual servitude of a
minor, or trafficking in persons) of the Criminal Code of 1961
or the Criminal Code of 2012; or a victim of a severe form of
trafficking under the federal Trafficking Victims Protection
Act (22 U.S.C. Section 7102(13)); provided that:
        (1) a motion under this Section shall state why the
    facts giving rise to this motion were not presented to the
    trial court, and shall be made with due diligence, after
    the defendant has ceased to be a victim of such trafficking
    or has sought services for victims of such trafficking,
    subject to reasonable concerns for the safety of the
    defendant, family members of the defendant, or other
    victims of such trafficking that may be jeopardized by the
    bringing of such motion, or for other reasons consistent
    with the purpose of this Section; and
        (2) reasonable notice of the motion shall be served
    upon the State.
    (b) The court may grant the motion if, in the discretion of
the court, the violation was a result of the defendant having
been a victim of human trafficking. Evidence of such may
include, but is not limited to:
        (1) certified records of federal or State court
    proceedings which demonstrate that the defendant was a
    victim of a trafficker charged with a trafficking offense
    under Section 10-9 of the Criminal Code of 1961 or the
    Criminal Code of 2012, or under 22 U.S.C. Chapter 78;
        (2) certified records of "approval notices" or "law
    enforcement certifications" generated from federal
    immigration proceedings available to such victims; or
        (3) a sworn statement from a trained professional staff
    of a victim services organization, an attorney, a member of
    the clergy, or a medical or other professional from whom
    the defendant has sought assistance in addressing the
    trauma associated with being trafficked.
    Alternatively, the court may consider such other evidence
as it deems of sufficient credibility and probative value in
determining whether the defendant is a trafficking victim or
victim of a severe form of trafficking.
    (c) If the court grants a motion under this Section, it
must vacate the conviction and may take such additional action
as is appropriate in the circumstances.
(Source: P.A. 97-267, eff. 1-1-12; 97-897, eff. 1-1-13.)
 
    (725 ILCS 5/116-4)
    Sec. 116-4. Preservation of evidence for forensic testing.
    (a) Before or after the trial in a prosecution for a
violation of Section 11-1.20, 11-1.30, 11-1.40, 11-1.50,
11-1.60, 12-13, 12-14, 12-14.1, 12-15, or 12-16 of the Criminal
Code of 1961 or the Criminal Code of 2012 or in a prosecution
for an offense defined in Article 9 of that Code, or in a
prosecution for an attempt in violation of Section 8-4 of that
Code of any of the above-enumerated offenses, unless otherwise
provided herein under subsection (b) or (c), a law enforcement
agency or an agent acting on behalf of the law enforcement
agency shall preserve, subject to a continuous chain of
custody, any physical evidence in their possession or control
that is reasonably likely to contain forensic evidence,
including, but not limited to, fingerprints or biological
material secured in relation to a trial and with sufficient
documentation to locate that evidence.
    (b) After a judgment of conviction is entered, the evidence
shall either be impounded with the Clerk of the Circuit Court
or shall be securely retained by a law enforcement agency.
Retention shall be permanent in cases where a sentence of death
is imposed. Retention shall be until the completion of the
sentence, including the period of mandatory supervised release
for the offense, or January 1, 2006, whichever is later, for
any conviction for an offense or an attempt of an offense
defined in Article 9 of the Criminal Code of 1961 or the
Criminal Code of 2012 or in Section 11-1.20, 11-1.30, 11-1.40,
11-1.50, 11-1.60, 12-13, 12-14, 12-14.1, 12-15, or 12-16 of the
Criminal Code of 1961 or the Criminal Code of 2012 or for 7
years following any conviction for any other felony for which
the defendant's genetic profile may be taken by a law
enforcement agency and submitted for comparison in a forensic
DNA database for unsolved offenses.
    (c) After a judgment of conviction is entered, the law
enforcement agency required to retain evidence described in
subsection (a) may petition the court with notice to the
defendant or, in cases where the defendant has died, his
estate, his attorney of record, or an attorney appointed for
that purpose by the court for entry of an order allowing it to
dispose of evidence if, after a hearing, the court determines
by a preponderance of the evidence that:
        (1) it has no significant value for forensic science
    analysis and should be returned to its rightful owner,
    destroyed, used for training purposes, or as otherwise
    provided by law; or
        (2) it has no significant value for forensic science
    analysis and is of a size, bulk, or physical character not
    usually retained by the law enforcement agency and cannot
    practicably be retained by the law enforcement agency; or
        (3) there no longer exists a reasonable basis to
    require the preservation of the evidence because of the
    death of the defendant; however, this paragraph (3) does
    not apply if a sentence of death was imposed.
    (d) The court may order the disposition of the evidence if
the defendant is allowed the opportunity to take reasonable
measures to remove or preserve portions of the evidence in
question for future testing.
    (d-5) Any order allowing the disposition of evidence
pursuant to subsection (c) or (d) shall be a final and
appealable order. No evidence shall be disposed of until 30
days after the order is entered, and if a notice of appeal is
filed, no evidence shall be disposed of until the mandate has
been received by the circuit court from the appellate court.
    (d-10) All records documenting the possession, control,
storage, and destruction of evidence and all police reports,
evidence control or inventory records, and other reports cited
in this Section, including computer records, must be retained
for as long as the evidence exists and may not be disposed of
without the approval of the Local Records Commission.
    (e) In this Section, "law enforcement agency" includes any
of the following or an agent acting on behalf of any of the
following: a municipal police department, county sheriff's
office, any prosecuting authority, the Department of State
Police, or any other State, university, county, federal, or
municipal police unit or police force.
    "Biological material" includes, but is not limited to, any
blood, hair, saliva, or semen from which genetic marker
groupings may be obtained.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/124B-10)
    Sec. 124B-10. Applicability; offenses. This Article
applies to forfeiture of property in connection with the
following:
        (1) A violation of Section 10-9 or 10A-10 of the
    Criminal Code of 1961 or the Criminal Code of 2012
    (involuntary servitude; involuntary servitude of a minor;
    or trafficking in persons).
        (2) A violation of subdivision (a)(1) of Section
    11-14.4 of the Criminal Code of 1961 or the Criminal Code
    of 2012 (promoting juvenile prostitution) or a violation of
    Section 11-17.1 of the Criminal Code of 1961 (keeping a
    place of juvenile prostitution).
        (3) A violation of subdivision (a)(4) of Section
    11-14.4 of the Criminal Code of 1961 or the Criminal Code
    of 2012 (promoting juvenile prostitution) or a violation of
    Section 11-19.2 of the Criminal Code of 1961 (exploitation
    of a child).
        (4) A second or subsequent violation of Section 11-20
    of the Criminal Code of 1961 or the Criminal Code of 2012
    (obscenity).
        (5) A second or subsequent violation of Section 11-20.1
    of the Criminal Code of 1961 or the Criminal Code of 2012
    (child pornography).
        (6) A violation of Section 11-20.1B or 11-20.3 of the
    Criminal Code of 1961 (aggravated child pornography).
        (7) A violation of Section 12C-65 of the Criminal Code
    of 2012 or Article 44 of the Criminal Code of 1961
    (unlawful transfer of a telecommunications device to a
    minor).
        (8) A violation of Section 17-50 or Section 16D-5 of
    the Criminal Code of 2012 or the Criminal Code of 1961
    (computer fraud).
        (9) A felony violation of Section 17-6.3 or Article 17B
    of the Criminal Code of 2012 or the Criminal Code of 1961
    (WIC fraud).
        (10) A felony violation of Section 48-1 of the Criminal
    Code of 2012 or Section 26-5 of the Criminal Code of 1961
    (dog fighting).
        (11) A violation of Article 29D of the Criminal Code of
    1961 or the Criminal Code of 2012 (terrorism).
        (12) A felony violation of Section 4.01 of the Humane
    Care for Animals Act (animals in entertainment).
(Source: P.A. 96-712, eff. 1-1-10; 96-1551, eff. 7-1-11;
97-897, eff. 1-1-13; 97-1108, eff. 1-1-13; 97-1109, eff.
1-1-13; revised 9-20-12.)
 
    (725 ILCS 5/124B-100)
    Sec. 124B-100. Definition; "offense". For purposes of this
Article, "offense" is defined as follows:
        (1) In the case of forfeiture authorized under Section
    10A-15 of the Criminal Code of 1961 or Section 10-9 of the
    Criminal Code of 2012, "offense" means the offense of
    involuntary servitude, involuntary servitude of a minor,
    or trafficking in persons in violation of Section 10-9 or
    10A-10 of those Codes that Code.
        (2) In the case of forfeiture authorized under
    subdivision (a)(1) of Section 11-14.4, or Section 11-17.1,
    of the Criminal Code of 1961 or the Criminal Code of 2012,
    "offense" means the offense of promoting juvenile
    prostitution or keeping a place of juvenile prostitution in
    violation of subdivision (a)(1) of Section 11-14.4, or
    Section 11-17.1, of those Codes that Code.
        (3) In the case of forfeiture authorized under
    subdivision (a)(4) of Section 11-14.4, or Section 11-19.2,
    of the Criminal Code of 1961 or the Criminal Code of 2012,
    "offense" means the offense of promoting juvenile
    prostitution or exploitation of a child in violation of
    subdivision (a)(4) of Section 11-14.4, or Section 11-19.2,
    of those Codes that Code.
        (4) In the case of forfeiture authorized under Section
    11-20 of the Criminal Code of 1961 or the Criminal Code of
    2012, "offense" means the offense of obscenity in violation
    of that Section.
        (5) In the case of forfeiture authorized under Section
    11-20.1 of the Criminal Code of 1961 or the Criminal Code
    of 2012, "offense" means the offense of child pornography
    in violation of Section 11-20.1 of that Code.
        (6) In the case of forfeiture authorized under Section
    11-20.1B or 11-20.3 of the Criminal Code of 1961, "offense"
    means the offense of aggravated child pornography in
    violation of Section 11-20.1B or 11-20.3 of that Code.
        (7) In the case of forfeiture authorized under Section
    12C-65 of the Criminal Code of 2012 or Article 44 of the
    Criminal Code of 1961, "offense" means the offense of
    unlawful transfer of a telecommunications device to a minor
    in violation of Section 12C-65 or Article 44 of those Codes
    that Code.
        (8) In the case of forfeiture authorized under Section
    17-50 or 16D-5 of the Criminal Code of 1961 or the Criminal
    Code of 2012, "offense" means the offense of computer fraud
    in violation of Section 17-50 or 16D-5 of those Codes that
    Code.
        (9) In the case of forfeiture authorized under Section
    17-6.3 or Article 17B of the Criminal Code of 1961 or the
    Criminal Code of 2012, "offense" means any felony violation
    of Section 17-6.3 or Article 17B of those Codes that Code.
        (10) In the case of forfeiture authorized under Section
    29D-65 of the Criminal Code of 1961 or the Criminal Code of
    2012, "offense" means any offense under Article 29D of that
    Code.
        (11) In the case of forfeiture authorized under Section
    4.01 of the Humane Care for Animals Act, Section 26-5 of
    the Criminal Code of 1961, or Section 48-1 of the Criminal
    Code of 2012 1961, "offense" means any felony offense under
    either of those Sections.
        (12) In the case of forfeiture authorized under Section
    124B-1000(b) of the Code of Criminal Procedure of 1963,
    "offense" means an offense in violation of prohibited by
    the Criminal Code of 1961, the Criminal Code of 2012, the
    Illinois Controlled Substances Act, the Cannabis Control
    Act, or the Methamphetamine Control and Community
    Protection Act, or an offense involving a
    telecommunications device possessed by a person on the real
    property of any elementary or secondary school without
    authority of the school principal.
(Source: P.A. 96-712, eff. 1-1-10; 96-1551, eff. 7-1-11;
97-897, eff. 1-1-13; 97-1108, eff. 1-1-13; 97-1109, eff.
1-1-13; revised 9-20-12.)
 
    (725 ILCS 5/124B-300)
    Sec. 124B-300. Persons and property subject to forfeiture.
A person who commits the offense of involuntary servitude,
involuntary servitude of a minor, or trafficking of persons for
forced labor or services under Section 10A-10 or Section 10-9
of the Criminal Code of 1961 or the Criminal Code of 2012 shall
forfeit to the State of Illinois any profits or proceeds and
any property he or she has acquired or maintained in violation
of Section 10A-10 or Section 10-9 of the Criminal Code of 1961
or the Criminal Code of 2012 that the sentencing court
determines, after a forfeiture hearing under this Article, to
have been acquired or maintained as a result of maintaining a
person in involuntary servitude or participating in
trafficking of persons for forced labor or services.
(Source: P.A. 96-712, eff. 1-1-10.)
 
    (725 ILCS 5/124B-405)
    Sec. 124B-405. Persons and property subject to forfeiture.
A person who has been convicted previously of the offense of
obscenity under Section 11-20 of the Criminal Code of 1961 or
the Criminal Code of 2012 and who is convicted of a second or
subsequent offense of obscenity under that Section shall
forfeit the following to the State of Illinois:
        (1) Any property constituting or derived from any
    proceeds that the person obtained, directly or indirectly,
    as a result of the offense.
        (2) Any of the person's property used in any manner,
    wholly or in part, to commit the offense.
(Source: P.A. 96-712, eff. 1-1-10.)
 
    (725 ILCS 5/124B-415)
    Sec. 124B-415. Order to destroy property. If the Attorney
General or State's Attorney believes any property forfeited and
seized under this Part 400 describes, depicts, or portrays any
of the acts or activities described in subsection (b) of
Section 11-20 of the Criminal Code of 1961 or the Criminal Code
of 2012, the Attorney General or State's Attorney shall apply
to the court for an order to destroy that property. If the
court determines that the property describes, depicts, or
portrays such acts or activities it shall order the Attorney
General or State's Attorney to destroy the property.
(Source: P.A. 96-712, eff. 1-1-10.)
 
    (725 ILCS 5/124B-420)
    Sec. 124B-420. Distribution of property and sale proceeds.
    (a) All moneys and the sale proceeds of all other property
forfeited and seized under this Part 400 shall be distributed
as follows:
        (1) 50% shall be distributed to the unit of local
    government whose officers or employees conducted the
    investigation into the offense and caused the arrest or
    arrests and prosecution leading to the forfeiture, except
    that if the investigation, arrest or arrests, and
    prosecution leading to the forfeiture were undertaken by
    the sheriff, this portion shall be distributed to the
    county for deposit into a special fund in the county
    treasury appropriated to the sheriff. Amounts distributed
    to the county for the sheriff or to units of local
    government under this paragraph shall be used for
    enforcement of laws or ordinances governing obscenity and
    child pornography. If the investigation, arrest or
    arrests, and prosecution leading to the forfeiture were
    undertaken solely by a State agency, however, the portion
    designated in this paragraph shall be paid into the State
    treasury to be used for enforcement of laws governing
    obscenity and child pornography.
        (2) 25% shall be distributed to the county in which the
    prosecution resulting in the forfeiture was instituted,
    deposited into a special fund in the county treasury, and
    appropriated to the State's Attorney for use in the
    enforcement of laws governing obscenity and child
    pornography.
        (3) 25% shall be distributed to the Office of the
    State's Attorneys Appellate Prosecutor and deposited into
    the Obscenity Profits Forfeiture Fund, which is hereby
    created in the State treasury, to be used by the Office of
    the State's Attorneys Appellate Prosecutor for additional
    expenses incurred in prosecuting appeals arising under
    Sections 11-20, 11-20.1, 11-20.1B, and 11-20.3 of the
    Criminal Code of 1961 or the Criminal Code of 2012. Any
    amounts remaining in the Fund after all additional expenses
    have been paid shall be used by the Office to reduce the
    participating county contributions to the Office on a
    pro-rated basis as determined by the board of governors of
    the Office of the State's Attorneys Appellate Prosecutor
    based on the populations of the participating counties.
    (b) Before any distribution under subsection (a), the
Attorney General or State's Attorney shall retain from the
forfeited moneys or sale proceeds, or both, sufficient moneys
to cover expenses related to the administration and sale of the
forfeited property.
(Source: P.A. 96-712, eff. 1-1-10; 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/124B-500)
    Sec. 124B-500. Persons and property subject to forfeiture.
A person who commits the offense of promoting juvenile
prostitution, keeping a place of juvenile prostitution,
exploitation of a child, child pornography, or aggravated child
pornography under subdivision (a)(1) or (a)(4) of Section
11-14.4 or under Section 11-17.1, 11-19.2, 11-20.1, 11-20.1B,
or 11-20.3 of the Criminal Code of 1961 or the Criminal Code of
2012 shall forfeit the following property to the State of
Illinois:
        (1) Any profits or proceeds and any property the person
    has acquired or maintained in violation of subdivision
    (a)(1) or (a)(4) of Section 11-14.4 or in violation of
    Section 11-17.1, 11-19.2, 11-20.1, 11-20.1B, or 11-20.3 of
    the Criminal Code of 1961 or the Criminal Code of 2012 that
    the sentencing court determines, after a forfeiture
    hearing under this Article, to have been acquired or
    maintained as a result of keeping a place of juvenile
    prostitution, exploitation of a child, child pornography,
    or aggravated child pornography.
        (2) Any interest in, securities of, claim against, or
    property or contractual right of any kind affording a
    source of influence over any enterprise that the person has
    established, operated, controlled, or conducted in
    violation of subdivision (a)(1) or (a)(4) of Section
    11-14.4 or in violation of Section 11-17.1, 11-19.2,
    11-20.1, 11-20.1B, or 11-20.3 of the Criminal Code of 1961
    or the Criminal Code of 2012 that the sentencing court
    determines, after a forfeiture hearing under this Article,
    to have been acquired or maintained as a result of keeping
    a place of juvenile prostitution, exploitation of a child,
    child pornography, or aggravated child pornography.
        (3) Any computer that contains a depiction of child
    pornography in any encoded or decoded format in violation
    of Section 11-20.1, 11-20.1B, or 11-20.3 of the Criminal
    Code of 1961 or the Criminal Code of 2012. For purposes of
    this paragraph (3), "computer" has the meaning ascribed to
    it in Section 17-0.5 16D-2 of the Criminal Code of 2012
    1961.
(Source: P.A. 96-712, eff. 1-1-10; 96-1551, eff. 7-1-11.)
 
    (725 ILCS 5/124B-600)
    Sec. 124B-600. Persons and property subject to forfeiture.
A person who commits the offense of computer fraud as set forth
in Section 16D-5 or Section 17-50 of the Criminal Code of 1961
or the Criminal Code of 2012 shall forfeit any property that
the sentencing court determines, after a forfeiture hearing
under this Article, the person has acquired or maintained,
directly or indirectly, in whole or in part, as a result of
that offense. The person shall also forfeit any interest in,
securities of, claim against, or contractual right of any kind
that affords the person a source of influence over any
enterprise that the person has established, operated,
controlled, conducted, or participated in conducting, if the
person's relationship to or connection with any such thing or
activity directly or indirectly, in whole or in part, is
traceable to any item or benefit that the person has obtained
or acquired through computer fraud.
(Source: P.A. 96-712, eff. 1-1-10; 97-1108, eff. 1-1-13.)
 
    (725 ILCS 5/124B-610)
    Sec. 124B-610. Computer used in commission of felony;
forfeiture. If a person commits a felony under any provision of
the Criminal Code of 1961 or the Criminal Code of 2012 or
another statute and the instrumentality used in the commission
of the offense, or in connection with or in furtherance of a
scheme or design to commit the offense, is a computer owned by
the defendant (or, if the defendant is a minor, owned by the
minor's parent or legal guardian), the computer is subject to
forfeiture under this Article. A computer, or any part of a
computer, is not subject to forfeiture under this Article,
however, under either of the following circumstances:
        (1) The computer accessed in the commission of the
    offense was owned or leased by the victim or an innocent
    third party at the time the offense was committed.
        (2) The rights of a creditor, lienholder, or person
    having a security interest in the computer at the time the
    offense was committed will be adversely affected.
(Source: P.A. 96-712, eff. 1-1-10.)
 
    (725 ILCS 5/124B-700)
    Sec. 124B-700. Persons and property subject to forfeiture.
A person who commits a felony violation of Article 17B or
Section 17-6.3 of the Criminal Code of 1961 or the Criminal
Code of 2012 shall forfeit any property that the sentencing
court determines, after a forfeiture hearing under this
Article, (i) the person has acquired, in whole or in part, as a
result of committing the violation or (ii) the person has
maintained or used, in whole or in part, to facilitate,
directly or indirectly, the commission of the violation. The
person shall also forfeit any interest in, securities of, claim
against, or contractual right of any kind that affords the
person a source of influence over any enterprise that the
person has established, operated, controlled, conducted, or
participated in conducting, if the person's relationship to or
connection with any such thing or activity directly or
indirectly, in whole or in part, is traceable to any item or
benefit that the person has obtained or acquired as a result of
a felony violation of Article 17B or Section 17-6.3 of the
Criminal Code of 1961 or the Criminal Code of 2012. Property
subject to forfeiture under this Part 700 includes the
following:
        (1) All moneys, things of value, books, records, and
    research products and materials that are used or intended
    to be used in committing a felony violation of Article 17B
    or Section 17-6.3 of the Criminal Code of 1961 or the
    Criminal Code of 2012.
        (2) Everything of value furnished, or intended to be
    furnished, in exchange for a substance in violation of
    Article 17B or Section 17-6.3 of the Criminal Code of 1961
    or the Criminal Code of 2012; all proceeds traceable to
    that exchange; and all moneys, negotiable instruments, and
    securities used or intended to be used to commit or in any
    manner to facilitate the commission of a felony violation
    of Article 17B or Section 17-6.3 of the Criminal Code of
    1961 or the Criminal Code of 2012.
        (3) All real property, including any right, title, and
    interest (including, but not limited to, any leasehold
    interest or the beneficial interest in a land trust) in the
    whole of any lot or tract of land and any appurtenances or
    improvements, that is used or intended to be used, in any
    manner or part, to commit or in any manner to facilitate
    the commission of a felony violation of Article 17B or
    Section 17-6.3 of the Criminal Code of 1961 or the Criminal
    Code of 2012 or that is the proceeds of any act that
    constitutes a felony violation of Article 17B or Section
    17-6.3 of the Criminal Code of 1961 or the Criminal Code of
    2012.
(Source: P.A. 96-712, eff. 1-1-10; 97-1108, eff. 1-1-13.)
 
    (725 ILCS 5/124B-710)
    Sec. 124B-710. Sale of forfeited property by Director of
State Police; return to seizing agency or prosecutor.
    (a) The court shall authorize the Director of State Police
to seize any property declared forfeited under this Article on
terms and conditions the court deems proper.
    (b) When property is forfeited under this Part 700, the
Director of State Police shall sell the property unless the
property is required by law to be destroyed or is harmful to
the public. The Director shall distribute the proceeds of the
sale, together with any moneys forfeited or seized, in
accordance with Section 124B-715.
    (c) On the application of the seizing agency or prosecutor
who was responsible for the investigation, arrest, and
prosecution that lead to the forfeiture, however, the Director
may return any item of forfeited property to the seizing agency
or prosecutor for official use in the enforcement of laws
relating to Article 17B or Section 17-6.3 of the Criminal Code
of 1961 or the Criminal Code of 2012 if the agency or
prosecutor can demonstrate that the item requested would be
useful to the agency or prosecutor in their enforcement
efforts. When any real property returned to the seizing agency
is sold by the agency or its unit of government, the proceeds
of the sale shall be delivered to the Director and distributed
in accordance with Section 124B-715.
(Source: P.A. 96-712, eff. 1-1-10; 97-1108, eff. 1-1-13.)
 
    (725 ILCS 5/124B-800)
    Sec. 124B-800. Persons and property subject to forfeiture.
    (a) A person who commits an offense under Article 29D of
the Criminal Code of 1961 or the Criminal Code of 2012 shall
forfeit any property that the sentencing court determines,
after a forfeiture hearing under this Article, (i) the person
has acquired or maintained, directly or indirectly, in whole or
in part, as a result of the offense or (ii) the person used,
was about to use, or intended to use in connection with the
offense. The person shall also forfeit any interest in,
securities of, claim against, or contractual right of any kind
that affords the person a source of influence over any
enterprise that the person has established, operated,
controlled, conducted, or participated in conducting, if the
person's relationship to or connection with any such thing or
activity directly or indirectly, in whole or in part, is
traceable to any item or benefit that the person has obtained
or acquired as a result of a violation of Article 29D of the
Criminal Code of 1961 or the Criminal Code of 2012 or that the
person used, was about to use, or intended to use in connection
with a violation of Article 29D of the Criminal Code of 1961 or
the Criminal Code of 2012.
    (b) For purposes of this Part 800, "person" has the meaning
given in Section 124B-115 of this Code and, in addition to that
meaning, includes, without limitation, any charitable
organization, whether incorporated or unincorporated, any
professional fund raiser, professional solicitor, limited
liability company, association, joint stock company,
association, trust, trustee, or any group of people formally or
informally affiliated or associated for a common purpose, and
any officer, director, partner, member, or agent of any person.
(Source: P.A. 96-712, eff. 1-1-10.)
 
    (725 ILCS 5/124B-905)
    Sec. 124B-905. Persons and property subject to forfeiture.
A person who commits a felony violation of Section 4.01 of the
Humane Care for Animals Act or a felony violation of Section
48-1 or Section 26-5 of the Criminal Code of 2012 or of the
Criminal Code of 1961 shall forfeit the following:
        (1) Any moneys, profits, or proceeds the person
    acquired, in whole or in part, as a result of committing
    the violation.
        (2) Any real property or interest in real property that
    the sentencing court determines, after a forfeiture
    hearing under this Article, (i) the person has acquired, in
    whole or in part, as a result of committing the violation
    or (ii) the person has maintained or used, in whole or in
    part, to facilitate, directly or indirectly, the
    commission of the violation. Real property subject to
    forfeiture under this Part 900 includes property that
    belongs to any of the following:
            (A) The person organizing the show, exhibition,
        program, or other activity described in subsections
        (a) through (g) of Section 4.01 of the Humane Care for
        Animals Act, or Section 48-1 of the Criminal Code of
        2012, or Section 26-5 of the Criminal Code of 1961.
            (B) Any other person participating in the activity
        described in subsections (a) through (g) of Section
        4.01 of the Humane Care for Animals Act, or Section
        48-1 of the Criminal Code of 2012, or Section 26-5 of
        the Criminal Code of 1961 who is related to the
        organization and operation of the activity.
            (C) Any person who knowingly allowed the
        activities to occur on his or her premises.
    The person shall also forfeit any interest in, securities
of, claim against, or contractual right of any kind that
affords the person a source of influence over any enterprise
that the person has established, operated, controlled,
conducted, or participated in conducting, if the person's
relationship to or connection with any such thing or activity
directly or indirectly, in whole or in part, is traceable to
any item or benefit that the person has obtained or acquired as
a result of a felony violation of Section 4.01 of the Humane
Care for Animals Act, or a felony violation of Section 48-1 of
the Criminal Code of 2012 or Section 26-5 of the Criminal Code
of 1961.
(Source: P.A. 96-712, eff. 1-1-10; 97-1108, eff. 1-1-13.)
 
    (725 ILCS 5/124B-1000)
    Sec. 124B-1000. Persons and property subject to
forfeiture.
    (a) A person who commits the offense of unlawful transfer
of a telecommunications device to a minor in violation of
Section 12C-65 or Article 44 of the Criminal Code of 2012 or of
the Criminal Code of 1961 shall forfeit any telecommunications
device used in the commission of the offense or which
constitutes evidence of the commission of such offense.
    (b) A person who commits an offense prohibited by the
Criminal Code of 1961, the Criminal Code of 2012, the Illinois
Controlled Substances Act, the Cannabis Control Act, or the
Methamphetamine Control and Community Protection Act, or an
offense involving a telecommunications device possessed by a
person on the real property of any elementary or secondary
school without authority of the school principal shall forfeit
any telecommunications device used in the commission of the
offense or which constitutes evidence of the commission of such
offense. A person who is not a student of the particular
elementary or secondary school, who is on school property as an
invitee of the school, and who has possession of a
telecommunications device for lawful and legitimate purposes,
shall not need to obtain authority from the school principal to
possess the telecommunications device on school property.
(Source: P.A. 97-1109, eff. 1-1-13.)
 
    Section 640. The Bill of Rights for Children is amended by
changing Section 3 as follows:
 
    (725 ILCS 115/3)  (from Ch. 38, par. 1353)
    Sec. 3. Rights to present child impact statement.
    (a) In any case where a defendant has been convicted of a
violent crime involving a child or a juvenile has been
adjudicated a delinquent for any offense defined in Sections
11-6, 11-20.1, 11-20.1B, and 11-20.3 and in Sections 11-1.20
through 11-1.60 or 12-13 through 12-16 of the Criminal Code of
1961 or the Criminal Code of 2012, except those in which both
parties have agreed to the imposition of a specific sentence,
and a parent or legal guardian of the child involved is present
in the courtroom at the time of the sentencing or the
disposition hearing, the parent or legal guardian upon his or
her request shall have the right to address the court regarding
the impact which the defendant's criminal conduct or the
juvenile's delinquent conduct has had upon the child. If the
parent or legal guardian chooses to exercise this right, the
impact statement must have been prepared in writing in
conjunction with the Office of the State's Attorney prior to
the initial hearing or sentencing, before it can be presented
orally at the sentencing hearing. The court shall consider any
statements made by the parent or legal guardian, along with all
other appropriate factors in determining the sentence of the
defendant or disposition of such juvenile.
    (b) The crime victim has the right to prepare a victim
impact statement and present it to the office of the State's
Attorney at any time during the proceedings.
    (c) This Section shall apply to any child victims of any
offense defined in Sections 11-1.20 through 11-1.60 or 12-13
through 12-16 of the Criminal Code of 1961 or the Criminal Code
of 2012 during any dispositional hearing under Section 5-705 of
the Juvenile Court Act of 1987 which takes place pursuant to an
adjudication of delinquency for any such offense.
(Source: P.A. 96-292, eff. 1-1-10; 96-1551, eff. 7-1-11.)
 
    Section 645. The Rights of Crime Victims and Witnesses Act
is amended by changing Section 3 as follows:
 
    (725 ILCS 120/3)  (from Ch. 38, par. 1403)
    Sec. 3. The terms used in this Act, unless the context
clearly requires otherwise, shall have the following meanings:
    (a) "Crime victim" and "victim" mean (1) a person
physically injured in this State as a result of a violent crime
perpetrated or attempted against that person or (2) a person
who suffers injury to or loss of property as a result of a
violent crime perpetrated or attempted against that person or
(3) a single representative who may be the spouse, parent,
child or sibling of a person killed as a result of a violent
crime perpetrated against the person killed or the spouse,
parent, child or sibling of any person granted rights under
this Act who is physically or mentally incapable of exercising
such rights, except where the spouse, parent, child or sibling
is also the defendant or prisoner or (4) any person against
whom a violent crime has been committed or (5) any person who
has suffered personal injury as a result of a violation of
Section 11-501 of the Illinois Vehicle Code, or of a similar
provision of a local ordinance, or of Section 9-3 of the
Criminal Code of 1961 or the Criminal Code of 2012 , as amended
or (6) in proceedings under the Juvenile Court Act of 1987,
both parents, legal guardians, foster parents, or a single
adult representative of a minor or disabled person who is a
crime victim.
    (b) "Witness" means any person who personally observed the
commission of a violent crime and who will testify on behalf of
the State of Illinois in the criminal prosecution of the
violent crime.
    (c) "Violent Crime" means any felony in which force or
threat of force was used against the victim, or any offense
involving sexual exploitation, sexual conduct or sexual
penetration, or a violation of Section 11-20.1, 11-20.1B, or
11-20.3 of the Criminal Code of 1961 or the Criminal Code of
2012, domestic battery, violation of an order of protection,
stalking, or any misdemeanor which results in death or great
bodily harm to the victim or any violation of Section 9-3 of
the Criminal Code of 1961 or the Criminal Code of 2012, or
Section 11-501 of the Illinois Vehicle Code, or a similar
provision of a local ordinance, if the violation resulted in
personal injury or death, and includes any action committed by
a juvenile that would be a violent crime if committed by an
adult. For the purposes of this paragraph, "personal injury"
shall include any Type A injury as indicated on the traffic
accident report completed by a law enforcement officer that
requires immediate professional attention in either a doctor's
office or medical facility. A type A injury shall include
severely bleeding wounds, distorted extremities, and injuries
that require the injured party to be carried from the scene.
    (d) "Sentencing Hearing" means any hearing where a sentence
is imposed by the court on a convicted defendant and includes
hearings conducted pursuant to Sections 5-6-4, 5-6-4.1, 5-7-2
and 5-7-7 of the Unified Code of Corrections.
    (e) "Court proceedings" includes the preliminary hearing,
any hearing the effect of which may be the release of the
defendant from custody or to alter the conditions of bond, the
trial, sentencing hearing, notice of appeal, any modification
of sentence, probation revocation hearings or parole hearings.
    (f) "Concerned citizen" includes relatives of the victim,
friends of the victim, witnesses to the crime, or any other
person associated with the victim or prisoner.
(Source: P.A. 96-292, eff. 1-1-10; 96-875, eff. 1-22-10;
96-1551, eff. 7-1-11; 97-572, eff. 1-1-12.)
 
    Section 650. The Narcotics Profit Forfeiture Act is amended
by changing Section 4 as follows:
 
    (725 ILCS 175/4)  (from Ch. 56 1/2, par. 1654)
    Sec. 4. A person commits narcotics racketeering when he:
    (a) Receives income knowing such income to be derived,
directly or indirectly, from a pattern of narcotics activity in
which he participated, or for which he is accountable under
Section 5-2 of the Criminal Code of 2012 1961; or
    (b) Receives income, knowing such income to be derived,
directly or indirectly, from a pattern of narcotics activity in
which he participated, or for which he is accountable under
Section 5-2 of the Criminal Code of 2012 1961, and he uses or
invests, directly or indirectly, any part of such income, or
the proceeds of such income, in acquisition of any interest in,
or the establishment or operation of, any enterprise doing
business in the State of Illinois; or
    (c) Knowingly, through a pattern of narcotics activity in
which he participated, or for which he is accountable under
Section 5-2 of the Criminal Code of 2012 1961, acquires or
maintains, directly or indirectly, any interest in or contract
of any enterprise which is engaged in, or the activities of
which affect, business in the State of Illinois; or
    (d) Being a person employed by or associated with any
enterprise doing business in the State of Illinois, he
knowingly conducts or participates, directly or indirectly, in
the conduct of such enterprise's affairs through a pattern of
narcotics activity in which he participated, or for which he is
accountable under Section 5-2 of the Criminal Code of 2012
1961.
(Source: P.A. 82-940.)
 
    Section 655. The Sex Offense Victim Polygraph Act is
amended by changing Section 1 as follows:
 
    (725 ILCS 200/1)  (from Ch. 38, par. 1551)
    Sec. 1. Lie Detector Tests.
    (a) No law enforcement officer, State's Attorney or other
official shall ask or require an alleged victim of an offense
described in Sections 11-1.20 through 11-1.60 or 12-13 through
12-16 of the Criminal Code of 1961 or the Criminal Code of
2012 , as amended, to submit to a polygraph examination or any
form of a mechanical or electrical lie detector test.
    (b) A victim's refusal to submit to a polygraph or any form
of a mechanical or electrical lie detector test shall not
mitigate against the investigation, charging or prosecution of
the pending case as originally charged.
(Source: P.A. 96-1273, eff. 1-1-11; 96-1551, eff. 7-1-11.)
 
    Section 660. The Sexually Violent Persons Commitment Act is
amended by changing Section 5 as follows:
 
    (725 ILCS 207/5)
    Sec. 5. Definitions. As used in this Act, the term:
    (a) "Department" means the Department of Human Services.
    (b) "Mental disorder" means a congenital or acquired
condition affecting the emotional or volitional capacity that
predisposes a person to engage in acts of sexual violence.
    (c) "Secretary" means the Secretary of Human Services.
    (d) "Sexually motivated" means that one of the purposes for
an act is for the actor's sexual arousal or gratification.
    (e) "Sexually violent offense" means any of the following:
        (1) Any crime specified in Section 11-1.20, 11-1.30,
    11-1.40, 11-1.60, 11-6, 11-20.1, 11-20.1B, 11-20.3, 12-13,
    12-14, 12-14.1, or 12-16 of the Criminal Code of 1961 or
    the Criminal Code of 2012; or
        (1.5) Any former law of this State specified in Section
    11-1 (rape), 11-3 (deviate sexual assault), 11-4 (indecent
    liberties with a child) or 11-4.1 (aggravated indecent
    liberties with a child) of the Criminal Code of 1961; or
        (2) First degree murder, if it is determined by the
    agency with jurisdiction to have been sexually motivated;
    or
        (3) Any solicitation, conspiracy or attempt to commit a
    crime under paragraph (e)(1) or (e)(2) of this Section.
    (f) "Sexually violent person" means a person who has been
convicted of a sexually violent offense, has been adjudicated
delinquent for a sexually violent offense, or has been found
not guilty of a sexually violent offense by reason of insanity
and who is dangerous because he or she suffers from a mental
disorder that makes it substantially probable that the person
will engage in acts of sexual violence.
(Source: P.A. 96-292, eff. 1-1-10; 96-328, eff. 8-11-09;
96-1551, eff. 7-1-11.)
 
    Section 665. The Statewide Grand Jury Act is amended by
changing Sections 2, 3, and 4 as follows:
 
    (725 ILCS 215/2)  (from Ch. 38, par. 1702)
    Sec. 2. (a) County grand juries and State's Attorneys have
always had and shall continue to have primary responsibility
for investigating, indicting, and prosecuting persons who
violate the criminal laws of the State of Illinois. However, in
recent years organized terrorist activity directed against
innocent civilians and certain criminal enterprises have
developed that require investigation, indictment, and
prosecution on a statewide or multicounty level. The criminal
enterprises exist as a result of the allure of profitability
present in narcotic activity, the unlawful sale and transfer of
firearms, and streetgang related felonies and organized
terrorist activity is supported by the contribution of money
and expert assistance from geographically diverse sources. In
order to shut off the life blood of terrorism and weaken or
eliminate the criminal enterprises, assets, and property used
to further these offenses must be frozen, and any profit must
be removed. State statutes exist that can accomplish that goal.
Among them are the offense of money laundering, the Cannabis
and Controlled Substances Tax Act, violations of Article 29D of
the Criminal Code of 1961 or the Criminal Code of 2012, the
Narcotics Profit Forfeiture Act, and gunrunning. Local
prosecutors need investigative personnel and specialized
training to attack and eliminate these profits. In light of the
transitory and complex nature of conduct that constitutes these
criminal activities, the many diverse property interests that
may be used, acquired directly or indirectly as a result of
these criminal activities, and the many places that illegally
obtained property may be located, it is the purpose of this Act
to create a limited, multicounty Statewide Grand Jury with
authority to investigate, indict, and prosecute: narcotic
activity, including cannabis and controlled substance
trafficking, narcotics racketeering, money laundering,
violations of the Cannabis and Controlled Substances Tax Act,
and violations of Article 29D of the Criminal Code of 1961 or
the Criminal Code of 2012; the unlawful sale and transfer of
firearms; gunrunning; and streetgang related felonies.
    (b) A Statewide Grand Jury may also investigate, indict,
and prosecute violations facilitated by the use of a computer
of any of the following offenses: indecent solicitation of a
child, sexual exploitation of a child, soliciting for a
juvenile prostitute, keeping a place of juvenile prostitution,
juvenile pimping, child pornography, aggravated child
pornography, or promoting juvenile prostitution except as
described in subdivision (a)(4) of Section 11-14.4 of the
Criminal Code of 1961 or the Criminal Code of 2012.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (725 ILCS 215/3)  (from Ch. 38, par. 1703)
    Sec. 3. Written application for the appointment of a
Circuit Judge to convene and preside over a Statewide Grand
Jury, with jurisdiction extending throughout the State, shall
be made to the Chief Justice of the Supreme Court. Upon such
written application, the Chief Justice of the Supreme Court
shall appoint a Circuit Judge from the circuit where the
Statewide Grand Jury is being sought to be convened, who shall
make a determination that the convening of a Statewide Grand
Jury is necessary.
    In such application the Attorney General shall state that
the convening of a Statewide Grand Jury is necessary because of
an alleged offense or offenses set forth in this Section
involving more than one county of the State and identifying any
such offense alleged; and
        (a) that he or she believes that the grand jury
    function for the investigation and indictment of the
    offense or offenses cannot effectively be performed by a
    county grand jury together with the reasons for such
    belief, and
          (b)(1) that each State's Attorney with jurisdiction
        over an offense or offenses to be investigated has
        consented to the impaneling of the Statewide Grand
        Jury, or
            (2) if one or more of the State's Attorneys having
        jurisdiction over an offense or offenses to be
        investigated fails to consent to the impaneling of the
        Statewide Grand Jury, the Attorney General shall set
        forth good cause for impaneling the Statewide Grand
        Jury.
    If the Circuit Judge determines that the convening of a
Statewide Grand Jury is necessary, he or she shall convene and
impanel the Statewide Grand Jury with jurisdiction extending
throughout the State to investigate and return indictments:
        (a) For violations of any of the following or for any
    other criminal offense committed in the course of violating
    any of the following: Article 29D of the Criminal Code of
    1961 or the Criminal Code of 2012, the Illinois Controlled
    Substances Act, the Cannabis Control Act, the
    Methamphetamine Control and Community Protection Act, the
    Narcotics Profit Forfeiture Act, or the Cannabis and
    Controlled Substances Tax Act; a streetgang related felony
    offense; Section 24-2.1, 24-2.2, 24-3, 24-3A, 24-3.1,
    24-3.3, 24-3.4, 24-4, or 24-5 or subsection 24-1(a)(4),
    24-1(a)(6), 24-1(a)(7), 24-1(a)(9), 24-1(a)(10), or
    24-1(c) of the Criminal Code of 1961 or the Criminal Code
    of 2012; or a money laundering offense; provided that the
    violation or offense involves acts occurring in more than
    one county of this State; and
        (a-5) For violations facilitated by the use of a
    computer, including the use of the Internet, the World Wide
    Web, electronic mail, message board, newsgroup, or any
    other commercial or noncommercial on-line service, of any
    of the following offenses: indecent solicitation of a
    child, sexual exploitation of a child, soliciting for a
    juvenile prostitute, keeping a place of juvenile
    prostitution, juvenile pimping, child pornography,
    aggravated child pornography, or promoting juvenile
    prostitution except as described in subdivision (a)(4) of
    Section 11-14.4 of the Criminal Code of 1961 or the
    Criminal Code of 2012; and
        (b) For the offenses of perjury, subornation of
    perjury, communicating with jurors and witnesses, and
    harassment of jurors and witnesses, as they relate to
    matters before the Statewide Grand Jury.
    "Streetgang related" has the meaning ascribed to it in
Section 10 of the Illinois Streetgang Terrorism Omnibus
Prevention Act.
    Upon written application by the Attorney General for the
convening of an additional Statewide Grand Jury, the Chief
Justice of the Supreme Court shall appoint a Circuit Judge from
the circuit for which the additional Statewide Grand Jury is
sought. The Circuit Judge shall determine the necessity for an
additional Statewide Grand Jury in accordance with the
provisions of this Section. No more than 2 Statewide Grand
Juries may be empaneled at any time.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (725 ILCS 215/4)  (from Ch. 38, par. 1704)
    Sec. 4. (a) The presiding judge of the Statewide Grand Jury
will receive recommendations from the Attorney General as to
the county in which the Grand Jury will sit. Prior to making
the recommendations, the Attorney General shall obtain the
permission of the local State's Attorney to use his or her
county for the site of the Statewide Grand Jury. Upon receiving
the Attorney General's recommendations, the presiding judge
will choose one of those recommended locations as the site
where the Grand Jury shall sit.
    Any indictment by a Statewide Grand Jury shall be returned
to the Circuit Judge presiding over the Statewide Grand Jury
and shall include a finding as to the county or counties in
which the alleged offense was committed. Thereupon, the judge
shall, by order, designate the county of venue for the purpose
of trial. The judge may also, by order, direct the
consolidation of an indictment returned by a county grand jury
with an indictment returned by the Statewide Grand Jury and set
venue for trial.
    (b) Venue for purposes of trial for the offense of
narcotics racketeering shall be proper in any county where:
        (1) Cannabis or a controlled substance which is the
    basis for the charge of narcotics racketeering was used;
    acquired; transferred or distributed to, from or through;
    or any county where any act was performed to further the
    use; acquisition, transfer or distribution of said
    cannabis or controlled substance; or
        (2) Any money, property, property interest, or any
    other asset generated by narcotics activities was
    acquired, used, sold, transferred or distributed to, from
    or through; or,
        (3) Any enterprise interest obtained as a result of
    narcotics racketeering was acquired, used, transferred or
    distributed to, from or through, or where any activity was
    conducted by the enterprise or any conduct to further the
    interests of such an enterprise.
    (c) Venue for purposes of trial for the offense of money
laundering shall be proper in any county where any part of a
financial transaction in criminally derived property took
place, or in any county where any money or monetary interest
which is the basis for the offense, was acquired, used, sold,
transferred or distributed to, from, or through.
    (d) A person who commits the offense of cannabis
trafficking or controlled substance trafficking may be tried in
any county.
    (e) Venue for purposes of trial for any violation of
Article 29D of the Criminal Code of 1961 or the Criminal Code
of 2012 may be in the county in which an act of terrorism
occurs, the county in which material support or resources are
provided or solicited, the county in which criminal assistance
is rendered, or any county in which any act in furtherance of
any violation of Article 29D of the Criminal Code of 1961 or
the Criminal Code of 2012 occurs.
(Source: P.A. 92-854, eff. 12-5-02.)
 
    Section 670. The Unified Code of Corrections is amended by
changing Sections 3-1-2, 3-3-2, 3-3-7, 3-6-3, 3-6-4, 3-10-7,
3-14-1.5, 3-14-2, 5-3-2, 5-3-4, 5-4-1, 5-4-3, 5-4-3.1,
5-4-3.2, 5-4.5-20, 5-5-3, 5-5-3.2, 5-5-5, 5-5-6, 5-6-1, 5-6-3,
5-6-3.1, 5-8-1, 5-8-1.2, 5-8-4, 5-8A-6, 5-9-1.3, 5-9-1.7,
5-9-1.8, 5-9-1.10, 5-9-1.14, 5-9-1.16, 5-9-1.19, and 5-9-1.20
as follows:
 
    (730 ILCS 5/3-1-2)  (from Ch. 38, par. 1003-1-2)
    Sec. 3-1-2. Definitions.
    (a) "Chief Administrative Officer" means the person
designated by the Director to exercise the powers and duties of
the Department of Corrections in regard to committed persons
within a correctional institution or facility, and includes the
superintendent of any juvenile institution or facility.
    (a-5) "Sex offense" for the purposes of paragraph (16) of
subsection (a) of Section 3-3-7, paragraph (10) of subsection
(a) of Section 5-6-3, and paragraph (18) of subsection (c) of
Section 5-6-3.1 only means:
        (i) A violation of any of the following Sections of the
    Criminal Code of 1961 or the Criminal Code of 2012: 10-7
    (aiding or abetting child abduction under Section
    10-5(b)(10)), 10-5(b)(10) (child luring), 11-6 (indecent
    solicitation of a child), 11-6.5 (indecent solicitation of
    an adult), 11-14.4 (promoting juvenile prostitution),
    11-15.1 (soliciting for a juvenile prostitute), 11-17.1
    (keeping a place of juvenile prostitution), 11-18.1
    (patronizing a juvenile prostitute), 11-19.1 (juvenile
    pimping), 11-19.2 (exploitation of a child), 11-20.1
    (child pornography), 11-20.1B or 11-20.3 (aggravated child
    pornography), 11-1.40 or 12-14.1 (predatory criminal
    sexual assault of a child), or 12-33 (ritualized abuse of a
    child). An attempt to commit any of these offenses.
        (ii) A violation of any of the following Sections of
    the Criminal Code of 1961 or the Criminal Code of 2012:
    11-1.20 or 12-13 (criminal sexual assault), 11-1.30 or
    12-14 (aggravated criminal sexual assault), 11-1.60 or
    12-16 (aggravated criminal sexual abuse), and subsection
    (a) of Section 11-1.50 or subsection (a) of Section 12-15
    (criminal sexual abuse). An attempt to commit any of these
    offenses.
        (iii) A violation of any of the following Sections of
    the Criminal Code of 1961 or the Criminal Code of 2012 when
    the defendant is not a parent of the victim:
            10-1 (kidnapping),
            10-2 (aggravated kidnapping),
            10-3 (unlawful restraint),
            10-3.1 (aggravated unlawful restraint).
            An attempt to commit any of these offenses.
        (iv) A violation of any former law of this State
    substantially equivalent to any offense listed in this
    subsection (a-5).
    An offense violating federal law or the law of another
state that is substantially equivalent to any offense listed in
this subsection (a-5) shall constitute a sex offense for the
purpose of this subsection (a-5). A finding or adjudication as
a sexually dangerous person under any federal law or law of
another state that is substantially equivalent to the Sexually
Dangerous Persons Act shall constitute an adjudication for a
sex offense for the purposes of this subsection (a-5).
    (b) "Commitment" means a judicially determined placement
in the custody of the Department of Corrections on the basis of
delinquency or conviction.
    (c) "Committed Person" is a person committed to the
Department, however a committed person shall not be considered
to be an employee of the Department of Corrections for any
purpose, including eligibility for a pension, benefits, or any
other compensation or rights or privileges which may be
provided to employees of the Department.
    (c-5) "Computer scrub software" means any third-party
added software, designed to delete information from the
computer unit, the hard drive, or other software, which would
eliminate and prevent discovery of browser activity, including
but not limited to Internet history, address bar or bars, cache
or caches, and/or cookies, and which would over-write files in
a way so as to make previous computer activity, including but
not limited to website access, more difficult to discover.
    (d) "Correctional Institution or Facility" means any
building or part of a building where committed persons are kept
in a secured manner.
    (e) In the case of functions performed before the effective
date of this amendatory Act of the 94th General Assembly,
"Department" means the Department of Corrections of this State.
In the case of functions performed on or after the effective
date of this amendatory Act of the 94th General Assembly,
"Department" has the meaning ascribed to it in subsection
(f-5).
    (f) In the case of functions performed before the effective
date of this amendatory Act of the 94th General Assembly,
"Director" means the Director of the Department of Corrections.
In the case of functions performed on or after the effective
date of this amendatory Act of the 94th General Assembly,
"Director" has the meaning ascribed to it in subsection (f-5).
    (f-5) In the case of functions performed on or after the
effective date of this amendatory Act of the 94th General
Assembly, references to "Department" or "Director" refer to
either the Department of Corrections or the Director of
Corrections or to the Department of Juvenile Justice or the
Director of Juvenile Justice unless the context is specific to
the Department of Juvenile Justice or the Director of Juvenile
Justice.
    (g) "Discharge" means the final termination of a commitment
to the Department of Corrections.
    (h) "Discipline" means the rules and regulations for the
maintenance of order and the protection of persons and property
within the institutions and facilities of the Department and
their enforcement.
    (i) "Escape" means the intentional and unauthorized
absence of a committed person from the custody of the
Department.
    (j) "Furlough" means an authorized leave of absence from
the Department of Corrections for a designated purpose and
period of time.
    (k) "Parole" means the conditional and revocable release of
a committed person under the supervision of a parole officer.
    (l) "Prisoner Review Board" means the Board established in
Section 3-3-1(a), independent of the Department, to review
rules and regulations with respect to good time credits, to
hear charges brought by the Department against certain
prisoners alleged to have violated Department rules with
respect to good time credits, to set release dates for certain
prisoners sentenced under the law in effect prior to the
effective date of this Amendatory Act of 1977, to hear requests
and make recommendations to the Governor with respect to
pardon, reprieve or commutation, to set conditions for parole
and mandatory supervised release and determine whether
violations of those conditions justify revocation of parole or
release, and to assume all other functions previously exercised
by the Illinois Parole and Pardon Board.
    (m) Whenever medical treatment, service, counseling, or
care is referred to in this Unified Code of Corrections, such
term may be construed by the Department or Court, within its
discretion, to include treatment, service or counseling by a
Christian Science practitioner or nursing care appropriate
therewith whenever request therefor is made by a person subject
to the provisions of this Act.
    (n) "Victim" shall have the meaning ascribed to it in
subsection (a) of Section 3 of the Bill of Rights for Victims
and Witnesses of Violent Crime Act.
    (o) "Wrongfully imprisoned person" means a person who has
been discharged from a prison of this State and has received:
        (1) a pardon from the Governor stating that such pardon
    is issued on the ground of innocence of the crime for which
    he or she was imprisoned; or
        (2) a certificate of innocence from the Circuit Court
    as provided in Section 2-702 of the Code of Civil
    Procedure.
(Source: P.A. 96-362, eff. 1-1-10; 96-710, eff. 1-1-10;
96-1000, eff. 7-2-10; 96-1550, eff. 7-1-11; 96-1551, eff.
7-1-11; 97-1109, eff. 1-1-13.)
 
    (730 ILCS 5/3-3-2)  (from Ch. 38, par. 1003-3-2)
    Sec. 3-3-2. Powers and Duties.
    (a) The Parole and Pardon Board is abolished and the term
"Parole and Pardon Board" as used in any law of Illinois, shall
read "Prisoner Review Board." After the effective date of this
amendatory Act of 1977, the Prisoner Review Board shall provide
by rule for the orderly transition of all files, records, and
documents of the Parole and Pardon Board and for such other
steps as may be necessary to effect an orderly transition and
shall:
        (1) hear by at least one member and through a panel of
    at least 3 members decide, cases of prisoners who were
    sentenced under the law in effect prior to the effective
    date of this amendatory Act of 1977, and who are eligible
    for parole;
        (2) hear by at least one member and through a panel of
    at least 3 members decide, the conditions of parole and the
    time of discharge from parole, impose sanctions for
    violations of parole, and revoke parole for those sentenced
    under the law in effect prior to this amendatory Act of
    1977; provided that the decision to parole and the
    conditions of parole for all prisoners who were sentenced
    for first degree murder or who received a minimum sentence
    of 20 years or more under the law in effect prior to
    February 1, 1978 shall be determined by a majority vote of
    the Prisoner Review Board. One representative supporting
    parole and one representative opposing parole will be
    allowed to speak. Their comments shall be limited to making
    corrections and filling in omissions to the Board's
    presentation and discussion;
        (3) hear by at least one member and through a panel of
    at least 3 members decide, the conditions of mandatory
    supervised release and the time of discharge from mandatory
    supervised release, impose sanctions for violations of
    mandatory supervised release, and revoke mandatory
    supervised release for those sentenced under the law in
    effect after the effective date of this amendatory Act of
    1977;
        (3.5) hear by at least one member and through a panel
    of at least 3 members decide, the conditions of mandatory
    supervised release and the time of discharge from mandatory
    supervised release, to impose sanctions for violations of
    mandatory supervised release and revoke mandatory
    supervised release for those serving extended supervised
    release terms pursuant to paragraph (4) of subsection (d)
    of Section 5-8-1;
        (4) hear by at least one 1 member and through a panel
    of at least 3 members, decide cases brought by the
    Department of Corrections against a prisoner in the custody
    of the Department for alleged violation of Department rules
    with respect to sentence credits under Section 3-6-3 of
    this Code in which the Department seeks to revoke sentence
    credits, if the amount of time at issue exceeds 30 days or
    when, during any 12 month period, the cumulative amount of
    credit revoked exceeds 30 days except where the infraction
    is committed or discovered within 60 days of scheduled
    release. In such cases, the Department of Corrections may
    revoke up to 30 days of sentence credit. The Board may
    subsequently approve the revocation of additional sentence
    credit, if the Department seeks to revoke sentence credit
    in excess of thirty days. However, the Board shall not be
    empowered to review the Department's decision with respect
    to the loss of 30 days of sentence credit for any prisoner
    or to increase any penalty beyond the length requested by
    the Department;
        (5) hear by at least one member and through a panel of
    at least 3 members decide, the release dates for certain
    prisoners sentenced under the law in existence prior to the
    effective date of this amendatory Act of 1977, in
    accordance with Section 3-3-2.1 of this Code;
        (6) hear by at least one member and through a panel of
    at least 3 members decide, all requests for pardon,
    reprieve or commutation, and make confidential
    recommendations to the Governor;
        (7) comply with the requirements of the Open Parole
    Hearings Act;
        (8) hear by at least one member and, through a panel of
    at least 3 members, decide cases brought by the Department
    of Corrections against a prisoner in the custody of the
    Department for court dismissal of a frivolous lawsuit
    pursuant to Section 3-6-3(d) of this Code in which the
    Department seeks to revoke up to 180 days of sentence
    credit, and if the prisoner has not accumulated 180 days of
    sentence credit at the time of the dismissal, then all
    sentence credit accumulated by the prisoner shall be
    revoked;
        (9) hear by at least 3 members, and, through a panel of
    at least 3 members, decide whether to grant certificates of
    relief from disabilities or certificates of good conduct as
    provided in Article 5.5 of Chapter V; and
        (10) upon a petition by a person who has been convicted
    of a Class 3 or Class 4 felony and who meets the
    requirements of this paragraph, hear by at least 3 members
    and, with the unanimous vote of a panel of 3 members, issue
    a certificate of eligibility for sealing recommending that
    the court order the sealing of all official records of the
    arresting authority, the circuit court clerk, and the
    Department of State Police concerning the arrest and
    conviction for the Class 3 or 4 felony. A person may not
    apply to the Board for a certificate of eligibility for
    sealing:
            (A) until 5 years have elapsed since the expiration
        of his or her sentence;
            (B) until 5 years have elapsed since any arrests or
        detentions by a law enforcement officer for an alleged
        violation of law, other than a petty offense, traffic
        offense, conservation offense, or local ordinance
        offense;
            (C) if convicted of a violation of the Cannabis
        Control Act, Illinois Controlled Substances Act, the
        Methamphetamine Control and Community Protection Act,
        the Methamphetamine Precursor Control Act, or the
        Methamphetamine Precursor Tracking Act unless the
        petitioner has completed a drug abuse program for the
        offense on which sealing is sought and provides proof
        that he or she has completed the program successfully;
            (D) if convicted of:
                (i) a sex offense described in Article 11 or
            Sections 12-13, 12-14, 12-14.1, 12-15, or 12-16 of
            the Criminal Code of 1961 or the Criminal Code of
            2012;
                (ii) aggravated assault;
                (iii) aggravated battery;
                (iv) domestic battery;
                (v) aggravated domestic battery;
                (vi) violation of an order of protection;
                (vii) an offense under the Criminal Code of
            1961 or the Criminal Code of 2012 involving a
            firearm;
                (viii) driving while under the influence of
            alcohol, other drug or drugs, intoxicating
            compound or compounds or any combination thereof;
                (ix) aggravated driving while under the
            influence of alcohol, other drug or drugs,
            intoxicating compound or compounds or any
            combination thereof; or
                (x) any crime defined as a crime of violence
            under Section 2 of the Crime Victims Compensation
            Act.
    If a person has applied to the Board for a certificate of
eligibility for sealing and the Board denies the certificate,
the person must wait at least 4 years before filing again or
filing for pardon from the Governor unless the Chairman of the
Prisoner Review Board grants a waiver.
    The decision to issue or refrain from issuing a certificate
of eligibility for sealing shall be at the Board's sole
discretion, and shall not give rise to any cause of action
against either the Board or its members.
    The Board may only authorize the sealing of Class 3 and 4
felony convictions of the petitioner from one information or
indictment under this paragraph (10). A petitioner may only
receive one certificate of eligibility for sealing under this
provision for life.
    (a-5) The Prisoner Review Board, with the cooperation of
and in coordination with the Department of Corrections and the
Department of Central Management Services, shall implement a
pilot project in 3 correctional institutions providing for the
conduct of hearings under paragraphs (1) and (4) of subsection
(a) of this Section through interactive video conferences. The
project shall be implemented within 6 months after the
effective date of this amendatory Act of 1996. Within 6 months
after the implementation of the pilot project, the Prisoner
Review Board, with the cooperation of and in coordination with
the Department of Corrections and the Department of Central
Management Services, shall report to the Governor and the
General Assembly regarding the use, costs, effectiveness, and
future viability of interactive video conferences for Prisoner
Review Board hearings.
    (b) Upon recommendation of the Department the Board may
restore sentence credit previously revoked.
    (c) The Board shall cooperate with the Department in
promoting an effective system of parole and mandatory
supervised release.
    (d) The Board shall promulgate rules for the conduct of its
work, and the Chairman shall file a copy of such rules and any
amendments thereto with the Director and with the Secretary of
State.
    (e) The Board shall keep records of all of its official
actions and shall make them accessible in accordance with law
and the rules of the Board.
    (f) The Board or one who has allegedly violated the
conditions of his parole or mandatory supervised release may
require by subpoena the attendance and testimony of witnesses
and the production of documentary evidence relating to any
matter under investigation or hearing. The Chairman of the
Board may sign subpoenas which shall be served by any agent or
public official authorized by the Chairman of the Board, or by
any person lawfully authorized to serve a subpoena under the
laws of the State of Illinois. The attendance of witnesses, and
the production of documentary evidence, may be required from
any place in the State to a hearing location in the State
before the Chairman of the Board or his designated agent or
agents or any duly constituted Committee or Subcommittee of the
Board. Witnesses so summoned shall be paid the same fees and
mileage that are paid witnesses in the circuit courts of the
State, and witnesses whose depositions are taken and the
persons taking those depositions are each entitled to the same
fees as are paid for like services in actions in the circuit
courts of the State. Fees and mileage shall be vouchered for
payment when the witness is discharged from further attendance.
    In case of disobedience to a subpoena, the Board may
petition any circuit court of the State for an order requiring
the attendance and testimony of witnesses or the production of
documentary evidence or both. A copy of such petition shall be
served by personal service or by registered or certified mail
upon the person who has failed to obey the subpoena, and such
person shall be advised in writing that a hearing upon the
petition will be requested in a court room to be designated in
such notice before the judge hearing motions or extraordinary
remedies at a specified time, on a specified date, not less
than 10 nor more than 15 days after the deposit of the copy of
the written notice and petition in the U.S. mails addressed to
the person at his last known address or after the personal
service of the copy of the notice and petition upon such
person. The court upon the filing of such a petition, may order
the person refusing to obey the subpoena to appear at an
investigation or hearing, or to there produce documentary
evidence, if so ordered, or to give evidence relative to the
subject matter of that investigation or hearing. Any failure to
obey such order of the circuit court may be punished by that
court as a contempt of court.
    Each member of the Board and any hearing officer designated
by the Board shall have the power to administer oaths and to
take the testimony of persons under oath.
    (g) Except under subsection (a) of this Section, a majority
of the members then appointed to the Prisoner Review Board
shall constitute a quorum for the transaction of all business
of the Board.
    (h) The Prisoner Review Board shall annually transmit to
the Director a detailed report of its work for the preceding
calendar year. The annual report shall also be transmitted to
the Governor for submission to the Legislature.
(Source: P.A. 96-875, eff. 1-22-10; 97-697, eff. 6-22-12;
97-1120, eff. 1-1-13; revised 9-20-12.)
 
    (730 ILCS 5/3-3-7)  (from Ch. 38, par. 1003-3-7)
    Sec. 3-3-7. Conditions of Parole or Mandatory Supervised
Release.
    (a) The conditions of parole or mandatory supervised
release shall be such as the Prisoner Review Board deems
necessary to assist the subject in leading a law-abiding life.
The conditions of every parole and mandatory supervised release
are that the subject:
        (1) not violate any criminal statute of any
    jurisdiction during the parole or release term;
        (2) refrain from possessing a firearm or other
    dangerous weapon;
        (3) report to an agent of the Department of
    Corrections;
        (4) permit the agent to visit him or her at his or her
    home, employment, or elsewhere to the extent necessary for
    the agent to discharge his or her duties;
        (5) attend or reside in a facility established for the
    instruction or residence of persons on parole or mandatory
    supervised release;
        (6) secure permission before visiting or writing a
    committed person in an Illinois Department of Corrections
    facility;
        (7) report all arrests to an agent of the Department of
    Corrections as soon as permitted by the arresting authority
    but in no event later than 24 hours after release from
    custody and immediately report service or notification of
    an order of protection, a civil no contact order, or a
    stalking no contact order to an agent of the Department of
    Corrections;
        (7.5) if convicted of a sex offense as defined in the
    Sex Offender Management Board Act, the individual shall
    undergo and successfully complete sex offender treatment
    conducted in conformance with the standards developed by
    the Sex Offender Management Board Act by a treatment
    provider approved by the Board;
        (7.6) if convicted of a sex offense as defined in the
    Sex Offender Management Board Act, refrain from residing at
    the same address or in the same condominium unit or
    apartment unit or in the same condominium complex or
    apartment complex with another person he or she knows or
    reasonably should know is a convicted sex offender or has
    been placed on supervision for a sex offense; the
    provisions of this paragraph do not apply to a person
    convicted of a sex offense who is placed in a Department of
    Corrections licensed transitional housing facility for sex
    offenders, or is in any facility operated or licensed by
    the Department of Children and Family Services or by the
    Department of Human Services, or is in any licensed medical
    facility;
        (7.7) if convicted for an offense that would qualify
    the accused as a sexual predator under the Sex Offender
    Registration Act on or after January 1, 2007 (the effective
    date of Public Act 94-988), wear an approved electronic
    monitoring device as defined in Section 5-8A-2 for the
    duration of the person's parole, mandatory supervised
    release term, or extended mandatory supervised release
    term and if convicted for an offense of criminal sexual
    assault, aggravated criminal sexual assault, predatory
    criminal sexual assault of a child, criminal sexual abuse,
    aggravated criminal sexual abuse, or ritualized abuse of a
    child committed on or after August 11, 2009 (the effective
    date of Public Act 96-236) when the victim was under 18
    years of age at the time of the commission of the offense
    and the defendant used force or the threat of force in the
    commission of the offense wear an approved electronic
    monitoring device as defined in Section 5-8A-2 that has
    Global Positioning System (GPS) capability for the
    duration of the person's parole, mandatory supervised
    release term, or extended mandatory supervised release
    term;
        (7.8) if convicted for an offense committed on or after
    June 1, 2008 (the effective date of Public Act 95-464) that
    would qualify the accused as a child sex offender as
    defined in Section 11-9.3 or 11-9.4 of the Criminal Code of
    1961 or the Criminal Code of 2012, refrain from
    communicating with or contacting, by means of the Internet,
    a person who is not related to the accused and whom the
    accused reasonably believes to be under 18 years of age;
    for purposes of this paragraph (7.8), "Internet" has the
    meaning ascribed to it in Section 16-0.1 of the Criminal
    Code of 2012 1961; and a person is not related to the
    accused if the person is not: (i) the spouse, brother, or
    sister of the accused; (ii) a descendant of the accused;
    (iii) a first or second cousin of the accused; or (iv) a
    step-child or adopted child of the accused;
        (7.9) if convicted under Section 11-6, 11-20.1,
    11-20.1B, 11-20.3, or 11-21 of the Criminal Code of 1961 or
    the Criminal Code of 2012, consent to search of computers,
    PDAs, cellular phones, and other devices under his or her
    control that are capable of accessing the Internet or
    storing electronic files, in order to confirm Internet
    protocol addresses reported in accordance with the Sex
    Offender Registration Act and compliance with conditions
    in this Act;
        (7.10) if convicted for an offense that would qualify
    the accused as a sex offender or sexual predator under the
    Sex Offender Registration Act on or after June 1, 2008 (the
    effective date of Public Act 95-640), not possess
    prescription drugs for erectile dysfunction;
        (7.11) if convicted for an offense under Section 11-6,
    11-9.1, 11-14.4 that involves soliciting for a juvenile
    prostitute, 11-15.1, 11-20.1, 11-20.1B, 11-20.3, or 11-21
    of the Criminal Code of 1961 or the Criminal Code of 2012,
    or any attempt to commit any of these offenses, committed
    on or after June 1, 2009 (the effective date of Public Act
    95-983):
            (i) not access or use a computer or any other
        device with Internet capability without the prior
        written approval of the Department;
            (ii) submit to periodic unannounced examinations
        of the offender's computer or any other device with
        Internet capability by the offender's supervising
        agent, a law enforcement officer, or assigned computer
        or information technology specialist, including the
        retrieval and copying of all data from the computer or
        device and any internal or external peripherals and
        removal of such information, equipment, or device to
        conduct a more thorough inspection;
            (iii) submit to the installation on the offender's
        computer or device with Internet capability, at the
        offender's expense, of one or more hardware or software
        systems to monitor the Internet use; and
            (iv) submit to any other appropriate restrictions
        concerning the offender's use of or access to a
        computer or any other device with Internet capability
        imposed by the Board, the Department or the offender's
        supervising agent;
        (7.12) if convicted of a sex offense as defined in the
    Sex Offender Registration Act committed on or after January
    1, 2010 (the effective date of Public Act 96-262), refrain
    from accessing or using a social networking website as
    defined in Section 17-0.5 of the Criminal Code of 2012
    1961;
        (7.13) if convicted of a sex offense as defined in
    Section 2 of the Sex Offender Registration Act committed on
    or after January 1, 2010 (the effective date of Public Act
    96-362) that requires the person to register as a sex
    offender under that Act, may not knowingly use any computer
    scrub software on any computer that the sex offender uses;
        (8) obtain permission of an agent of the Department of
    Corrections before leaving the State of Illinois;
        (9) obtain permission of an agent of the Department of
    Corrections before changing his or her residence or
    employment;
        (10) consent to a search of his or her person,
    property, or residence under his or her control;
        (11) refrain from the use or possession of narcotics or
    other controlled substances in any form, or both, or any
    paraphernalia related to those substances and submit to a
    urinalysis test as instructed by a parole agent of the
    Department of Corrections;
        (12) not frequent places where controlled substances
    are illegally sold, used, distributed, or administered;
        (13) not knowingly associate with other persons on
    parole or mandatory supervised release without prior
    written permission of his or her parole agent and not
    associate with persons who are members of an organized gang
    as that term is defined in the Illinois Streetgang
    Terrorism Omnibus Prevention Act;
        (14) provide true and accurate information, as it
    relates to his or her adjustment in the community while on
    parole or mandatory supervised release or to his or her
    conduct while incarcerated, in response to inquiries by his
    or her parole agent or of the Department of Corrections;
        (15) follow any specific instructions provided by the
    parole agent that are consistent with furthering
    conditions set and approved by the Prisoner Review Board or
    by law, exclusive of placement on electronic detention, to
    achieve the goals and objectives of his or her parole or
    mandatory supervised release or to protect the public.
    These instructions by the parole agent may be modified at
    any time, as the agent deems appropriate;
        (16) if convicted of a sex offense as defined in
    subsection (a-5) of Section 3-1-2 of this Code, unless the
    offender is a parent or guardian of the person under 18
    years of age present in the home and no non-familial minors
    are present, not participate in a holiday event involving
    children under 18 years of age, such as distributing candy
    or other items to children on Halloween, wearing a Santa
    Claus costume on or preceding Christmas, being employed as
    a department store Santa Claus, or wearing an Easter Bunny
    costume on or preceding Easter;
        (17) if convicted of a violation of an order of
    protection under Section 12-3.4 or Section 12-30 of the
    Criminal Code of 1961 or the Criminal Code of 2012, be
    placed under electronic surveillance as provided in
    Section 5-8A-7 of this Code;
        (18) comply with the terms and conditions of an order
    of protection issued pursuant to the Illinois Domestic
    Violence Act of 1986; an order of protection issued by the
    court of another state, tribe, or United States territory;
    a no contact order issued pursuant to the Civil No Contact
    Order Act; or a no contact order issued pursuant to the
    Stalking No Contact Order Act; and
        (19) if convicted of a violation of the Methamphetamine
    Control and Community Protection Act, the Methamphetamine
    Precursor Control Act, or a methamphetamine related
    offense, be:
            (A) prohibited from purchasing, possessing, or
        having under his or her control any product containing
        pseudoephedrine unless prescribed by a physician; and
            (B) prohibited from purchasing, possessing, or
        having under his or her control any product containing
        ammonium nitrate.
    (b) The Board may in addition to other conditions require
that the subject:
        (1) work or pursue a course of study or vocational
    training;
        (2) undergo medical or psychiatric treatment, or
    treatment for drug addiction or alcoholism;
        (3) attend or reside in a facility established for the
    instruction or residence of persons on probation or parole;
        (4) support his dependents;
        (5) (blank);
        (6) (blank);
        (7) (blank);
        (7.5) if convicted for an offense committed on or after
    the effective date of this amendatory Act of the 95th
    General Assembly that would qualify the accused as a child
    sex offender as defined in Section 11-9.3 or 11-9.4 of the
    Criminal Code of 1961 or the Criminal Code of 2012, refrain
    from communicating with or contacting, by means of the
    Internet, a person who is related to the accused and whom
    the accused reasonably believes to be under 18 years of
    age; for purposes of this paragraph (7.5), "Internet" has
    the meaning ascribed to it in Section 16-0.1 of the
    Criminal Code of 2012 1961; and a person is related to the
    accused if the person is: (i) the spouse, brother, or
    sister of the accused; (ii) a descendant of the accused;
    (iii) a first or second cousin of the accused; or (iv) a
    step-child or adopted child of the accused;
        (7.6) if convicted for an offense committed on or after
    June 1, 2009 (the effective date of Public Act 95-983) that
    would qualify as a sex offense as defined in the Sex
    Offender Registration Act:
            (i) not access or use a computer or any other
        device with Internet capability without the prior
        written approval of the Department;
            (ii) submit to periodic unannounced examinations
        of the offender's computer or any other device with
        Internet capability by the offender's supervising
        agent, a law enforcement officer, or assigned computer
        or information technology specialist, including the
        retrieval and copying of all data from the computer or
        device and any internal or external peripherals and
        removal of such information, equipment, or device to
        conduct a more thorough inspection;
            (iii) submit to the installation on the offender's
        computer or device with Internet capability, at the
        offender's expense, of one or more hardware or software
        systems to monitor the Internet use; and
            (iv) submit to any other appropriate restrictions
        concerning the offender's use of or access to a
        computer or any other device with Internet capability
        imposed by the Board, the Department or the offender's
        supervising agent; and
        (8) in addition, if a minor:
            (i) reside with his parents or in a foster home;
            (ii) attend school;
            (iii) attend a non-residential program for youth;
        or
            (iv) contribute to his own support at home or in a
        foster home.
    (b-1) In addition to the conditions set forth in
subsections (a) and (b), persons required to register as sex
offenders pursuant to the Sex Offender Registration Act, upon
release from the custody of the Illinois Department of
Corrections, may be required by the Board to comply with the
following specific conditions of release:
        (1) reside only at a Department approved location;
        (2) comply with all requirements of the Sex Offender
    Registration Act;
        (3) notify third parties of the risks that may be
    occasioned by his or her criminal record;
        (4) obtain the approval of an agent of the Department
    of Corrections prior to accepting employment or pursuing a
    course of study or vocational training and notify the
    Department prior to any change in employment, study, or
    training;
        (5) not be employed or participate in any volunteer
    activity that involves contact with children, except under
    circumstances approved in advance and in writing by an
    agent of the Department of Corrections;
        (6) be electronically monitored for a minimum of 12
    months from the date of release as determined by the Board;
        (7) refrain from entering into a designated geographic
    area except upon terms approved in advance by an agent of
    the Department of Corrections. The terms may include
    consideration of the purpose of the entry, the time of day,
    and others accompanying the person;
        (8) refrain from having any contact, including written
    or oral communications, directly or indirectly, personally
    or by telephone, letter, or through a third party with
    certain specified persons including, but not limited to,
    the victim or the victim's family without the prior written
    approval of an agent of the Department of Corrections;
        (9) refrain from all contact, directly or indirectly,
    personally, by telephone, letter, or through a third party,
    with minor children without prior identification and
    approval of an agent of the Department of Corrections;
        (10) neither possess or have under his or her control
    any material that is sexually oriented, sexually
    stimulating, or that shows male or female sex organs or any
    pictures depicting children under 18 years of age nude or
    any written or audio material describing sexual
    intercourse or that depicts or alludes to sexual activity,
    including but not limited to visual, auditory, telephonic,
    or electronic media, or any matter obtained through access
    to any computer or material linked to computer access use;
        (11) not patronize any business providing sexually
    stimulating or sexually oriented entertainment nor utilize
    "900" or adult telephone numbers;
        (12) not reside near, visit, or be in or about parks,
    schools, day care centers, swimming pools, beaches,
    theaters, or any other places where minor children
    congregate without advance approval of an agent of the
    Department of Corrections and immediately report any
    incidental contact with minor children to the Department;
        (13) not possess or have under his or her control
    certain specified items of contraband related to the
    incidence of sexually offending as determined by an agent
    of the Department of Corrections;
        (14) may be required to provide a written daily log of
    activities if directed by an agent of the Department of
    Corrections;
        (15) comply with all other special conditions that the
    Department may impose that restrict the person from
    high-risk situations and limit access to potential
    victims;
        (16) take an annual polygraph exam;
        (17) maintain a log of his or her travel; or
        (18) obtain prior approval of his or her parole officer
    before driving alone in a motor vehicle.
    (c) The conditions under which the parole or mandatory
supervised release is to be served shall be communicated to the
person in writing prior to his release, and he shall sign the
same before release. A signed copy of these conditions,
including a copy of an order of protection where one had been
issued by the criminal court, shall be retained by the person
and another copy forwarded to the officer in charge of his
supervision.
    (d) After a hearing under Section 3-3-9, the Prisoner
Review Board may modify or enlarge the conditions of parole or
mandatory supervised release.
    (e) The Department shall inform all offenders committed to
the Department of the optional services available to them upon
release and shall assist inmates in availing themselves of such
optional services upon their release on a voluntary basis.
    (f) (Blank).
(Source: P.A. 96-236, eff. 8-11-09; 96-262, eff. 1-1-10;
96-328, eff. 8-11-09; 96-362, eff. 1-1-10; 96-1000, eff.
7-2-10; 96-1539, eff. 3-4-11; 96-1551, Article 2, Section 1065,
eff. 7-1-11; 96-1551, Article 10, Section 10-150, eff. 7-1-11;
97-50, eff. 6-28-11; 97-531, eff. 1-1-12; 97-560, eff. 1-1-12;
97-597, eff. 1-1-12; 97-1109, eff. 1-1-13.)
 
    (730 ILCS 5/3-6-3)  (from Ch. 38, par. 1003-6-3)
    Sec. 3-6-3. Rules and Regulations for Sentence Credit.
        (a) (1) The Department of Corrections shall prescribe
    rules and regulations for awarding and revoking sentence
    credit for persons committed to the Department which shall
    be subject to review by the Prisoner Review Board.
        (1.5) As otherwise provided by law, sentence credit may
    be awarded for the following:
            (A) successful completion of programming while in
        custody of the Department or while in custody prior to
        sentencing;
            (B) compliance with the rules and regulations of
        the Department; or
            (C) service to the institution, service to a
        community, or service to the State.
        (2) The rules and regulations on sentence credit shall
    provide, with respect to offenses listed in clause (i),
    (ii), or (iii) of this paragraph (2) committed on or after
    June 19, 1998 or with respect to the offense listed in
    clause (iv) of this paragraph (2) committed on or after
    June 23, 2005 (the effective date of Public Act 94-71) or
    with respect to offense listed in clause (vi) committed on
    or after June 1, 2008 (the effective date of Public Act
    95-625) or with respect to the offense of being an armed
    habitual criminal committed on or after August 2, 2005 (the
    effective date of Public Act 94-398) or with respect to the
    offenses listed in clause (v) of this paragraph (2)
    committed on or after August 13, 2007 (the effective date
    of Public Act 95-134) or with respect to the offense of
    aggravated domestic battery committed on or after July 23,
    2010 (the effective date of Public Act 96-1224) or with
    respect to the offense of attempt to commit terrorism
    committed on or after January 1, 2013 (the effective date
    of Public Act 97-990) this amendatory Act of the 97th
    General Assembly, the following:
            (i) that a prisoner who is serving a term of
        imprisonment for first degree murder or for the offense
        of terrorism shall receive no sentence credit and shall
        serve the entire sentence imposed by the court;
            (ii) that a prisoner serving a sentence for attempt
        to commit terrorism, attempt to commit first degree
        murder, solicitation of murder, solicitation of murder
        for hire, intentional homicide of an unborn child,
        predatory criminal sexual assault of a child,
        aggravated criminal sexual assault, criminal sexual
        assault, aggravated kidnapping, aggravated battery
        with a firearm as described in Section 12-4.2 or
        subdivision (e)(1), (e)(2), (e)(3), or (e)(4) of
        Section 12-3.05, heinous battery as described in
        Section 12-4.1 or subdivision (a)(2) of Section
        12-3.05, being an armed habitual criminal, aggravated
        battery of a senior citizen as described in Section
        12-4.6 or subdivision (a)(4) of Section 12-3.05, or
        aggravated battery of a child as described in Section
        12-4.3 or subdivision (b)(1) of Section 12-3.05 shall
        receive no more than 4.5 days of sentence credit for
        each month of his or her sentence of imprisonment;
            (iii) that a prisoner serving a sentence for home
        invasion, armed robbery, aggravated vehicular
        hijacking, aggravated discharge of a firearm, or armed
        violence with a category I weapon or category II
        weapon, when the court has made and entered a finding,
        pursuant to subsection (c-1) of Section 5-4-1 of this
        Code, that the conduct leading to conviction for the
        enumerated offense resulted in great bodily harm to a
        victim, shall receive no more than 4.5 days of sentence
        credit for each month of his or her sentence of
        imprisonment;
            (iv) that a prisoner serving a sentence for
        aggravated discharge of a firearm, whether or not the
        conduct leading to conviction for the offense resulted
        in great bodily harm to the victim, shall receive no
        more than 4.5 days of sentence credit for each month of
        his or her sentence of imprisonment;
            (v) that a person serving a sentence for
        gunrunning, narcotics racketeering, controlled
        substance trafficking, methamphetamine trafficking,
        drug-induced homicide, aggravated
        methamphetamine-related child endangerment, money
        laundering pursuant to clause (c) (4) or (5) of Section
        29B-1 of the Criminal Code of 1961 or the Criminal Code
        of 2012, or a Class X felony conviction for delivery of
        a controlled substance, possession of a controlled
        substance with intent to manufacture or deliver,
        calculated criminal drug conspiracy, criminal drug
        conspiracy, street gang criminal drug conspiracy,
        participation in methamphetamine manufacturing,
        aggravated participation in methamphetamine
        manufacturing, delivery of methamphetamine, possession
        with intent to deliver methamphetamine, aggravated
        delivery of methamphetamine, aggravated possession
        with intent to deliver methamphetamine,
        methamphetamine conspiracy when the substance
        containing the controlled substance or methamphetamine
        is 100 grams or more shall receive no more than 7.5
        days sentence credit for each month of his or her
        sentence of imprisonment;
            (vi) that a prisoner serving a sentence for a
        second or subsequent offense of luring a minor shall
        receive no more than 4.5 days of sentence credit for
        each month of his or her sentence of imprisonment; and
            (vii) that a prisoner serving a sentence for
        aggravated domestic battery shall receive no more than
        4.5 days of sentence credit for each month of his or
        her sentence of imprisonment.
        (2.1) For all offenses, other than those enumerated in
    subdivision (a)(2)(i), (ii), or (iii) committed on or after
    June 19, 1998 or subdivision (a)(2)(iv) committed on or
    after June 23, 2005 (the effective date of Public Act
    94-71) or subdivision (a)(2)(v) committed on or after
    August 13, 2007 (the effective date of Public Act 95-134)
    or subdivision (a)(2)(vi) committed on or after June 1,
    2008 (the effective date of Public Act 95-625) or
    subdivision (a)(2)(vii) committed on or after July 23, 2010
    (the effective date of Public Act 96-1224), and other than
    the offense of aggravated driving under the influence of
    alcohol, other drug or drugs, or intoxicating compound or
    compounds, or any combination thereof as defined in
    subparagraph (F) of paragraph (1) of subsection (d) of
    Section 11-501 of the Illinois Vehicle Code, and other than
    the offense of aggravated driving under the influence of
    alcohol, other drug or drugs, or intoxicating compound or
    compounds, or any combination thereof as defined in
    subparagraph (C) of paragraph (1) of subsection (d) of
    Section 11-501 of the Illinois Vehicle Code committed on or
    after January 1, 2011 (the effective date of Public Act
    96-1230), the rules and regulations shall provide that a
    prisoner who is serving a term of imprisonment shall
    receive one day of sentence credit for each day of his or
    her sentence of imprisonment or recommitment under Section
    3-3-9. Each day of sentence credit shall reduce by one day
    the prisoner's period of imprisonment or recommitment
    under Section 3-3-9.
        (2.2) A prisoner serving a term of natural life
    imprisonment or a prisoner who has been sentenced to death
    shall receive no sentence credit.
        (2.3) The rules and regulations on sentence credit
    shall provide that a prisoner who is serving a sentence for
    aggravated driving under the influence of alcohol, other
    drug or drugs, or intoxicating compound or compounds, or
    any combination thereof as defined in subparagraph (F) of
    paragraph (1) of subsection (d) of Section 11-501 of the
    Illinois Vehicle Code, shall receive no more than 4.5 days
    of sentence credit for each month of his or her sentence of
    imprisonment.
        (2.4) The rules and regulations on sentence credit
    shall provide with respect to the offenses of aggravated
    battery with a machine gun or a firearm equipped with any
    device or attachment designed or used for silencing the
    report of a firearm or aggravated discharge of a machine
    gun or a firearm equipped with any device or attachment
    designed or used for silencing the report of a firearm,
    committed on or after July 15, 1999 (the effective date of
    Public Act 91-121), that a prisoner serving a sentence for
    any of these offenses shall receive no more than 4.5 days
    of sentence credit for each month of his or her sentence of
    imprisonment.
        (2.5) The rules and regulations on sentence credit
    shall provide that a prisoner who is serving a sentence for
    aggravated arson committed on or after July 27, 2001 (the
    effective date of Public Act 92-176) shall receive no more
    than 4.5 days of sentence credit for each month of his or
    her sentence of imprisonment.
        (2.6) The rules and regulations on sentence credit
    shall provide that a prisoner who is serving a sentence for
    aggravated driving under the influence of alcohol, other
    drug or drugs, or intoxicating compound or compounds or any
    combination thereof as defined in subparagraph (C) of
    paragraph (1) of subsection (d) of Section 11-501 of the
    Illinois Vehicle Code committed on or after January 1, 2011
    (the effective date of Public Act 96-1230) shall receive no
    more than 4.5 days of sentence credit for each month of his
    or her sentence of imprisonment.
        (3) The rules and regulations shall also provide that
    the Director may award up to 180 days additional sentence
    credit for good conduct in specific instances as the
    Director deems proper. The good conduct may include, but is
    not limited to, compliance with the rules and regulations
    of the Department, service to the Department, service to a
    community, or service to the State. However, the Director
    shall not award more than 90 days of sentence credit for
    good conduct to any prisoner who is serving a sentence for
    conviction of first degree murder, reckless homicide while
    under the influence of alcohol or any other drug, or
    aggravated driving under the influence of alcohol, other
    drug or drugs, or intoxicating compound or compounds, or
    any combination thereof as defined in subparagraph (F) of
    paragraph (1) of subsection (d) of Section 11-501 of the
    Illinois Vehicle Code, aggravated kidnapping, kidnapping,
    predatory criminal sexual assault of a child, aggravated
    criminal sexual assault, criminal sexual assault, deviate
    sexual assault, aggravated criminal sexual abuse,
    aggravated indecent liberties with a child, indecent
    liberties with a child, child pornography, heinous battery
    as described in Section 12-4.1 or subdivision (a)(2) of
    Section 12-3.05, aggravated battery of a spouse,
    aggravated battery of a spouse with a firearm, stalking,
    aggravated stalking, aggravated battery of a child as
    described in Section 12-4.3 or subdivision (b)(1) of
    Section 12-3.05, endangering the life or health of a child,
    or cruelty to a child. Notwithstanding the foregoing,
    sentence credit for good conduct shall not be awarded on a
    sentence of imprisonment imposed for conviction of: (i) one
    of the offenses enumerated in subdivision (a)(2)(i), (ii),
    or (iii) when the offense is committed on or after June 19,
    1998 or subdivision (a)(2)(iv) when the offense is
    committed on or after June 23, 2005 (the effective date of
    Public Act 94-71) or subdivision (a)(2)(v) when the offense
    is committed on or after August 13, 2007 (the effective
    date of Public Act 95-134) or subdivision (a)(2)(vi) when
    the offense is committed on or after June 1, 2008 (the
    effective date of Public Act 95-625) or subdivision
    (a)(2)(vii) when the offense is committed on or after July
    23, 2010 (the effective date of Public Act 96-1224), (ii)
    aggravated driving under the influence of alcohol, other
    drug or drugs, or intoxicating compound or compounds, or
    any combination thereof as defined in subparagraph (F) of
    paragraph (1) of subsection (d) of Section 11-501 of the
    Illinois Vehicle Code, (iii) one of the offenses enumerated
    in subdivision (a)(2.4) when the offense is committed on or
    after July 15, 1999 (the effective date of Public Act
    91-121), (iv) aggravated arson when the offense is
    committed on or after July 27, 2001 (the effective date of
    Public Act 92-176), (v) offenses that may subject the
    offender to commitment under the Sexually Violent Persons
    Commitment Act, or (vi) aggravated driving under the
    influence of alcohol, other drug or drugs, or intoxicating
    compound or compounds or any combination thereof as defined
    in subparagraph (C) of paragraph (1) of subsection (d) of
    Section 11-501 of the Illinois Vehicle Code committed on or
    after January 1, 2011 (the effective date of Public Act
    96-1230).
    Eligible inmates for an award of sentence credit under this
paragraph (3) may be selected to receive the credit at the
Director's or his or her designee's sole discretion.
Consideration may be based on, but not limited to, any
available risk assessment analysis on the inmate, any history
of conviction for violent crimes as defined by the Rights of
Crime Victims and Witnesses Act, facts and circumstances of the
inmate's holding offense or offenses, and the potential for
rehabilitation.
    The Director shall not award sentence credit under this
paragraph (3) to an inmate unless the inmate has served a
minimum of 60 days of the sentence; except nothing in this
paragraph shall be construed to permit the Director to extend
an inmate's sentence beyond that which was imposed by the
court. Prior to awarding credit under this paragraph (3), the
Director shall make a written determination that the inmate:
            (A) is eligible for the sentence credit;
            (B) has served a minimum of 60 days, or as close to
        60 days as the sentence will allow; and
            (C) has met the eligibility criteria established
        by rule.
        The Director shall determine the form and content of
    the written determination required in this subsection.
        (3.5) The Department shall provide annual written
    reports to the Governor and the General Assembly on the
    award of sentence credit for good conduct, with the first
    report due January 1, 2014. The Department must publish
    both reports on its website within 48 hours of transmitting
    the reports to the Governor and the General Assembly. The
    reports must include:
            (A) the number of inmates awarded sentence credit
        for good conduct;
            (B) the average amount of sentence credit for good
        conduct awarded;
            (C) the holding offenses of inmates awarded
        sentence credit for good conduct; and
            (D) the number of sentence credit for good conduct
        revocations.
        (4) The rules and regulations shall also provide that
    the sentence credit accumulated and retained under
    paragraph (2.1) of subsection (a) of this Section by any
    inmate during specific periods of time in which such inmate
    is engaged full-time in substance abuse programs,
    correctional industry assignments, educational programs,
    behavior modification programs, life skills courses, or
    re-entry planning provided by the Department under this
    paragraph (4) and satisfactorily completes the assigned
    program as determined by the standards of the Department,
    shall be multiplied by a factor of 1.25 for program
    participation before August 11, 1993 and 1.50 for program
    participation on or after that date. The rules and
    regulations shall also provide that sentence credit,
    subject to the same offense limits and multiplier provided
    in this paragraph, may be provided to an inmate who was
    held in pre-trial detention prior to his or her current
    commitment to the Department of Corrections and
    successfully completed a full-time, 60-day or longer
    substance abuse program, educational program, behavior
    modification program, life skills course, or re-entry
    planning provided by the county department of corrections
    or county jail. Calculation of this county program credit
    shall be done at sentencing as provided in Section
    5-4.5-100 of this Code and shall be included in the
    sentencing order. However, no inmate shall be eligible for
    the additional sentence credit under this paragraph (4) or
    (4.1) of this subsection (a) while assigned to a boot camp
    or electronic detention, or if convicted of an offense
    enumerated in subdivision (a)(2)(i), (ii), or (iii) of this
    Section that is committed on or after June 19, 1998 or
    subdivision (a)(2)(iv) of this Section that is committed on
    or after June 23, 2005 (the effective date of Public Act
    94-71) or subdivision (a)(2)(v) of this Section that is
    committed on or after August 13, 2007 (the effective date
    of Public Act 95-134) or subdivision (a)(2)(vi) when the
    offense is committed on or after June 1, 2008 (the
    effective date of Public Act 95-625) or subdivision
    (a)(2)(vii) when the offense is committed on or after July
    23, 2010 (the effective date of Public Act 96-1224), or if
    convicted of aggravated driving under the influence of
    alcohol, other drug or drugs, or intoxicating compound or
    compounds or any combination thereof as defined in
    subparagraph (F) of paragraph (1) of subsection (d) of
    Section 11-501 of the Illinois Vehicle Code, or if
    convicted of aggravated driving under the influence of
    alcohol, other drug or drugs, or intoxicating compound or
    compounds or any combination thereof as defined in
    subparagraph (C) of paragraph (1) of subsection (d) of
    Section 11-501 of the Illinois Vehicle Code committed on or
    after January 1, 2011 (the effective date of Public Act
    96-1230), or if convicted of an offense enumerated in
    paragraph (a)(2.4) of this Section that is committed on or
    after July 15, 1999 (the effective date of Public Act
    91-121), or first degree murder, a Class X felony, criminal
    sexual assault, felony criminal sexual abuse, aggravated
    criminal sexual abuse, aggravated battery with a firearm as
    described in Section 12-4.2 or subdivision (e)(1), (e)(2),
    (e)(3), or (e)(4) of Section 12-3.05, or any predecessor or
    successor offenses with the same or substantially the same
    elements, or any inchoate offenses relating to the
    foregoing offenses. No inmate shall be eligible for the
    additional good conduct credit under this paragraph (4) who
    (i) has previously received increased good conduct credit
    under this paragraph (4) and has subsequently been
    convicted of a felony, or (ii) has previously served more
    than one prior sentence of imprisonment for a felony in an
    adult correctional facility.
        Educational, vocational, substance abuse, behavior
    modification programs, life skills courses, re-entry
    planning, and correctional industry programs under which
    sentence credit may be increased under this paragraph (4)
    and paragraph (4.1) of this subsection (a) shall be
    evaluated by the Department on the basis of documented
    standards. The Department shall report the results of these
    evaluations to the Governor and the General Assembly by
    September 30th of each year. The reports shall include data
    relating to the recidivism rate among program
    participants.
        Availability of these programs shall be subject to the
    limits of fiscal resources appropriated by the General
    Assembly for these purposes. Eligible inmates who are
    denied immediate admission shall be placed on a waiting
    list under criteria established by the Department. The
    inability of any inmate to become engaged in any such
    programs by reason of insufficient program resources or for
    any other reason established under the rules and
    regulations of the Department shall not be deemed a cause
    of action under which the Department or any employee or
    agent of the Department shall be liable for damages to the
    inmate.
        (4.1) The rules and regulations shall also provide that
    an additional 60 days of sentence credit shall be awarded
    to any prisoner who passes the high school level Test of
    General Educational Development (GED) while the prisoner
    is committed to the Department of Corrections. The sentence
    credit awarded under this paragraph (4.1) shall be in
    addition to, and shall not affect, the award of sentence
    credit under any other paragraph of this Section, but shall
    also be pursuant to the guidelines and restrictions set
    forth in paragraph (4) of subsection (a) of this Section.
    The sentence credit provided for in this paragraph shall be
    available only to those prisoners who have not previously
    earned a high school diploma or a GED. If, after an award
    of the GED sentence credit has been made and the Department
    determines that the prisoner was not eligible, then the
    award shall be revoked. The Department may also award 60
    days of sentence credit to any committed person who passed
    the high school level Test of General Educational
    Development (GED) while he or she was held in pre-trial
    detention prior to the current commitment to the Department
    of Corrections.
        (4.5) The rules and regulations on sentence credit
    shall also provide that when the court's sentencing order
    recommends a prisoner for substance abuse treatment and the
    crime was committed on or after September 1, 2003 (the
    effective date of Public Act 93-354), the prisoner shall
    receive no sentence credit awarded under clause (3) of this
    subsection (a) unless he or she participates in and
    completes a substance abuse treatment program. The
    Director may waive the requirement to participate in or
    complete a substance abuse treatment program and award the
    sentence credit in specific instances if the prisoner is
    not a good candidate for a substance abuse treatment
    program for medical, programming, or operational reasons.
    Availability of substance abuse treatment shall be subject
    to the limits of fiscal resources appropriated by the
    General Assembly for these purposes. If treatment is not
    available and the requirement to participate and complete
    the treatment has not been waived by the Director, the
    prisoner shall be placed on a waiting list under criteria
    established by the Department. The Director may allow a
    prisoner placed on a waiting list to participate in and
    complete a substance abuse education class or attend
    substance abuse self-help meetings in lieu of a substance
    abuse treatment program. A prisoner on a waiting list who
    is not placed in a substance abuse program prior to release
    may be eligible for a waiver and receive sentence credit
    under clause (3) of this subsection (a) at the discretion
    of the Director.
        (4.6) The rules and regulations on sentence credit
    shall also provide that a prisoner who has been convicted
    of a sex offense as defined in Section 2 of the Sex
    Offender Registration Act shall receive no sentence credit
    unless he or she either has successfully completed or is
    participating in sex offender treatment as defined by the
    Sex Offender Management Board. However, prisoners who are
    waiting to receive treatment, but who are unable to do so
    due solely to the lack of resources on the part of the
    Department, may, at the Director's sole discretion, be
    awarded sentence credit at a rate as the Director shall
    determine.
        (5) Whenever the Department is to release any inmate
    earlier than it otherwise would because of a grant of
    sentence credit for good conduct under paragraph (3) of
    subsection (a) of this Section given at any time during the
    term, the Department shall give reasonable notice of the
    impending release not less than 14 days prior to the date
    of the release to the State's Attorney of the county where
    the prosecution of the inmate took place, and if
    applicable, the State's Attorney of the county into which
    the inmate will be released. The Department must also make
    identification information and a recent photo of the inmate
    being released accessible on the Internet by means of a
    hyperlink labeled "Community Notification of Inmate Early
    Release" on the Department's World Wide Web homepage. The
    identification information shall include the inmate's:
    name, any known alias, date of birth, physical
    characteristics, residence address, commitment offense and
    county where conviction was imposed. The identification
    information shall be placed on the website within 3 days of
    the inmate's release and the information may not be removed
    until either: completion of the first year of mandatory
    supervised release or return of the inmate to custody of
    the Department.
    (b) Whenever a person is or has been committed under
several convictions, with separate sentences, the sentences
shall be construed under Section 5-8-4 in granting and
forfeiting of sentence credit.
    (c) The Department shall prescribe rules and regulations
for revoking sentence credit, including revoking sentence
credit awarded for good conduct under paragraph (3) of
subsection (a) of this Section. The Department shall prescribe
rules and regulations for suspending or reducing the rate of
accumulation of sentence credit for specific rule violations,
during imprisonment. These rules and regulations shall provide
that no inmate may be penalized more than one year of sentence
credit for any one infraction.
    When the Department seeks to revoke, suspend or reduce the
rate of accumulation of any sentence credits for an alleged
infraction of its rules, it shall bring charges therefor
against the prisoner sought to be so deprived of sentence
credits before the Prisoner Review Board as provided in
subparagraph (a)(4) of Section 3-3-2 of this Code, if the
amount of credit at issue exceeds 30 days or when during any 12
month period, the cumulative amount of credit revoked exceeds
30 days except where the infraction is committed or discovered
within 60 days of scheduled release. In those cases, the
Department of Corrections may revoke up to 30 days of sentence
credit. The Board may subsequently approve the revocation of
additional sentence credit, if the Department seeks to revoke
sentence credit in excess of 30 days. However, the Board shall
not be empowered to review the Department's decision with
respect to the loss of 30 days of sentence credit within any
calendar year for any prisoner or to increase any penalty
beyond the length requested by the Department.
    The Director of the Department of Corrections, in
appropriate cases, may restore up to 30 days of sentence
credits which have been revoked, suspended or reduced. Any
restoration of sentence credits in excess of 30 days shall be
subject to review by the Prisoner Review Board. However, the
Board may not restore sentence credit in excess of the amount
requested by the Director.
    Nothing contained in this Section shall prohibit the
Prisoner Review Board from ordering, pursuant to Section
3-3-9(a)(3)(i)(B), that a prisoner serve up to one year of the
sentence imposed by the court that was not served due to the
accumulation of sentence credit.
    (d) If a lawsuit is filed by a prisoner in an Illinois or
federal court against the State, the Department of Corrections,
or the Prisoner Review Board, or against any of their officers
or employees, and the court makes a specific finding that a
pleading, motion, or other paper filed by the prisoner is
frivolous, the Department of Corrections shall conduct a
hearing to revoke up to 180 days of sentence credit by bringing
charges against the prisoner sought to be deprived of the
sentence credits before the Prisoner Review Board as provided
in subparagraph (a)(8) of Section 3-3-2 of this Code. If the
prisoner has not accumulated 180 days of sentence credit at the
time of the finding, then the Prisoner Review Board may revoke
all sentence credit accumulated by the prisoner.
    For purposes of this subsection (d):
        (1) "Frivolous" means that a pleading, motion, or other
    filing which purports to be a legal document filed by a
    prisoner in his or her lawsuit meets any or all of the
    following criteria:
            (A) it lacks an arguable basis either in law or in
        fact;
            (B) it is being presented for any improper purpose,
        such as to harass or to cause unnecessary delay or
        needless increase in the cost of litigation;
            (C) the claims, defenses, and other legal
        contentions therein are not warranted by existing law
        or by a nonfrivolous argument for the extension,
        modification, or reversal of existing law or the
        establishment of new law;
            (D) the allegations and other factual contentions
        do not have evidentiary support or, if specifically so
        identified, are not likely to have evidentiary support
        after a reasonable opportunity for further
        investigation or discovery; or
            (E) the denials of factual contentions are not
        warranted on the evidence, or if specifically so
        identified, are not reasonably based on a lack of
        information or belief.
        (2) "Lawsuit" means a motion pursuant to Section 116-3
    of the Code of Criminal Procedure of 1963, a habeas corpus
    action under Article X of the Code of Civil Procedure or
    under federal law (28 U.S.C. 2254), a petition for claim
    under the Court of Claims Act, an action under the federal
    Civil Rights Act (42 U.S.C. 1983), or a second or
    subsequent petition for post-conviction relief under
    Article 122 of the Code of Criminal Procedure of 1963
    whether filed with or without leave of court or a second or
    subsequent petition for relief from judgment under Section
    2-1401 of the Code of Civil Procedure.
    (e) Nothing in Public Act 90-592 or 90-593 affects the
validity of Public Act 89-404.
    (f) Whenever the Department is to release any inmate who
has been convicted of a violation of an order of protection
under Section 12-3.4 or 12-30 of the Criminal Code of 1961 or
the Criminal Code of 2012, earlier than it otherwise would
because of a grant of sentence credit, the Department, as a
condition of release, shall require that the person, upon
release, be placed under electronic surveillance as provided in
Section 5-8A-7 of this Code.
(Source: P.A. 96-860, eff. 1-15-10; 96-1110, eff. 7-19-10;
96-1128, eff. 1-1-11; 96-1200, eff. 7-22-10; 96-1224, eff.
7-23-10; 96-1230, eff. 1-1-11; 96-1551, eff. 7-1-11; 97-333,
eff. 8-12-11; 97-697, eff. 6-22-12; 97-990, eff. 1-1-13;
revised 8-23-12.)
 
    (730 ILCS 5/3-6-4)  (from Ch. 38, par. 1003-6-4)
    Sec. 3-6-4. Enforcement of Discipline - Escape.
    (a) A committed person who escapes or attempts to escape
from an institution or facility of the Department of
Corrections, or escapes or attempts to escape while in the
custody of an employee of the Department of Corrections, or
holds or participates in the holding of any person as a hostage
by force, threat or violence, or while participating in any
disturbance, demonstration or riot, causes, directs or
participates in the destruction of any property is guilty of a
Class 2 felony. A committed person who fails to return from
furlough or from work and day release is guilty of a Class 3
felony.
    (b) If one or more committed persons injures or attempts to
injure in a violent manner any employee, officer, guard, other
peace officer or any other committed person or damages or
attempts to damage any building or workshop, or any
appurtenances thereof, or attempts to escape, or disobeys or
resists any lawful command, the employees, officers, guards and
other peace officers shall use all suitable means to defend
themselves, to enforce the observance of discipline, to secure
the persons of the offenders, and prevent such attempted
violence or escape; and said employees, officers, guards, or
other peace officers, or any of them, shall, in the attempt to
prevent the escape of any such person, or in attempting to
retake any such person who has escaped, or in attempting to
prevent or suppress violence by a committed person against
another person, a riot, revolt, mutiny or insurrection, be
justified in the use of force, including force likely to cause
death or great bodily harm under Section 7-8 of the Criminal
Code of 2012 1961 which he reasonably believed necessary.
    As used in this Section, "committed person" includes a
person held in detention in a secure facility or committed as a
sexually violent person and held in a secure facility under the
Sexually Violent Persons Commitment Act; and "peace officer"
means any officer or member of any duly organized State, county
or municipal police unit or police force.
    (c) The Department shall establish procedures to provide
immediate notification of the escape of any person, as defined
in subsection (a) of this Section, to the persons specified in
subsection (c) of Section 3-14-1 of this Code.
(Source: P.A. 97-1083, eff. 8-24-12.)
 
    (730 ILCS 5/3-10-7)  (from Ch. 38, par. 1003-10-7)
    Sec. 3-10-7. Interdivisional Transfers.
    (a) In any case where a minor was originally prosecuted
under the provisions of the Criminal Code of 1961 or the
Criminal Code of 2012 , as amended, and sentenced under the
provisions of this Act pursuant to Section 2-7 of the Juvenile
Court Act or Section 5-805 of the Juvenile Court Act of 1987
and committed to the Department of Juvenile Justice under
Section 5-8-6, the Department of Juvenile Justice shall, within
30 days of the date that the minor reaches the age of 17, send
formal notification to the sentencing court and the State's
Attorney of the county from which the minor was sentenced
indicating the day upon which the minor offender will achieve
the age of 17. Within 90 days of receipt of that notice, the
sentencing court shall conduct a hearing, pursuant to the
provisions of subsection (c) of this Section to determine
whether or not the minor shall continue to remain under the
auspices of the Department of Juvenile Justice or be
transferred to the Department of Corrections.
    The minor shall be served with notice of the date of the
hearing, shall be present at the hearing, and has the right to
counsel at the hearing. The minor, with the consent of his or
her counsel or guardian may waive his presence at hearing.
    (b) Unless sooner paroled under Section 3-3-3, the
confinement of a minor person committed for an indeterminate
sentence in a criminal proceeding shall terminate at the
expiration of the maximum term of imprisonment, and he shall
thereupon be released to serve a period of parole under Section
5-8-1, but if the maximum term of imprisonment does not expire
until after his 21st birthday, he shall continue to be subject
to the control and custody of the Department of Juvenile
Justice, and on his 21st birthday, he shall be transferred to
the Department of Corrections. If such person is on parole on
his 21st birthday, his parole supervision may be transferred to
the Department of Corrections.
    (c) Any interdivisional transfer hearing conducted
pursuant to subsection (a) of this Section shall consider all
available information which may bear upon the issue of
transfer. All evidence helpful to the court in determining the
question of transfer, including oral and written reports
containing hearsay, may be relied upon to the extent of its
probative value, even though not competent for the purposes of
an adjudicatory hearing. The court shall consider, along with
any other relevant matter, the following:
        1. The nature of the offense for which the minor was
    found guilty and the length of the sentence the minor has
    to serve and the record and previous history of the minor.
        2. The record of the minor's adjustment within the
    Department of Juvenile Justice, including, but not limited
    to, reports from the minor's counselor, any escapes,
    attempted escapes or violent or disruptive conduct on the
    part of the minor, any tickets received by the minor,
    summaries of classes attended by the minor, and any record
    of work performed by the minor while in the institution.
        3. The relative maturity of the minor based upon the
    physical, psychological and emotional development of the
    minor.
        4. The record of the rehabilitative progress of the
    minor and an assessment of the vocational potential of the
    minor.
        5. An assessment of the necessity for transfer of the
    minor, including, but not limited to, the availability of
    space within the Department of Corrections, the
    disciplinary and security problem which the minor has
    presented to the Department of Juvenile Justice and the
    practicability of maintaining the minor in a juvenile
    facility, whether resources have been exhausted within the
    Department of Juvenile Justice, the availability of
    rehabilitative and vocational programs within the
    Department of Corrections, and the anticipated ability of
    the minor to adjust to confinement within an adult
    institution based upon the minor's physical size and
    maturity.
    All relevant factors considered under this subsection need
not be resolved against the juvenile in order to justify such
transfer. Access to social records, probation reports or any
other reports which are considered by the court for the purpose
of transfer shall be made available to counsel for the juvenile
at least 30 days prior to the date of the transfer hearing. The
Sentencing Court, upon granting a transfer order, shall
accompany such order with a statement of reasons.
    (d) Whenever the Director of Juvenile Justice or his
designee determines that the interests of safety, security and
discipline require the transfer to the Department of
Corrections of a person 17 years or older who was prosecuted
under the provisions of the Criminal Code of 1961 or the
Criminal Code of 2012 , as amended, and sentenced under the
provisions of this Act pursuant to Section 2-7 of the Juvenile
Court Act or Section 5-805 of the Juvenile Court Act of 1987
and committed to the Department of Juvenile Justice under
Section 5-8-6, the Director or his designee may authorize the
emergency transfer of such person, unless the transfer of the
person is governed by subsection (e) of this Section. The
sentencing court shall be provided notice of any emergency
transfer no later than 3 days after the emergency transfer.
Upon motion brought within 60 days of the emergency transfer by
the sentencing court or any party, the sentencing court may
conduct a hearing pursuant to the provisions of subsection (c)
of this Section in order to determine whether the person shall
remain confined in the Department of Corrections.
    (e) The Director of Juvenile Justice or his designee may
authorize the permanent transfer to the Department of
Corrections of any person 18 years or older who was prosecuted
under the provisions of the Criminal Code of 1961 or the
Criminal Code of 2012 , as amended, and sentenced under the
provisions of this Act pursuant to Section 2-7 of the Juvenile
Court Act or Section 5-805 of the Juvenile Court Act of 1987
and committed to the Department of Juvenile Justice under
Section 5-8-6 of this Act. The Director of Juvenile Justice or
his designee shall be governed by the following factors in
determining whether to authorize the permanent transfer of the
person to the Department of Corrections:
        1. The nature of the offense for which the person was
    found guilty and the length of the sentence the person has
    to serve and the record and previous history of the person.
        2. The record of the person's adjustment within the
    Department of Juvenile Justice, including, but not limited
    to, reports from the person's counselor, any escapes,
    attempted escapes or violent or disruptive conduct on the
    part of the person, any tickets received by the person,
    summaries of classes attended by the person, and any record
    of work performed by the person while in the institution.
        3. The relative maturity of the person based upon the
    physical, psychological and emotional development of the
    person.
        4. The record of the rehabilitative progress of the
    person and an assessment of the vocational potential of the
    person.
        5. An assessment of the necessity for transfer of the
    person, including, but not limited to, the availability of
    space within the Department of Corrections, the
    disciplinary and security problem which the person has
    presented to the Department of Juvenile Justice and the
    practicability of maintaining the person in a juvenile
    facility, whether resources have been exhausted within the
    Department of Juvenile Justice, the availability of
    rehabilitative and vocational programs within the
    Department of Corrections, and the anticipated ability of
    the person to adjust to confinement within an adult
    institution based upon the person's physical size and
    maturity.
(Source: P.A. 97-1083, eff. 8-24-12.)
 
    (730 ILCS 5/3-14-1.5)
    Sec. 3-14-1.5. Parole agents and parole supervisors;
off-duty firearms. Subsections 24-1(a)(4) and 24-1(a)(10) and
Section 24-1.6 of the Criminal Code of 2012 1961 do not apply
to parole agents and parole supervisors who meet the following
conditions:
    (1) The parole agent or parole supervisor must receive
training in the use of firearms while off-duty conducted by the
Illinois Law Enforcement Training Standards Board and be
certified as having successfully completing such training by
the Board. The Board shall determine the amount of such
training and the course content for such training. The parole
agent or parole supervisor shall requalify for the firearms
training annually at a State range certified by the Illinois
Law Enforcement Training Standards Board. The expenses of such
retraining shall be paid by the parole agent or parole
supervisor and moneys for such requalification shall be
expended at the request of the Illinois Law Enforcement
Training Standards Board.
    (2) The parole agent or parole supervisor shall purchase
such firearm at his or her own expense and shall register the
firearm with the Illinois Department of State Police and with
any other local law enforcement agencies that require such
registration.
    (3) The parole agent or parole supervisor may not carry any
Illinois Department of Corrections State issued firearm while
off-duty. A person who violates this paragraph (3) is subject
to disciplinary action by the Illinois Department of
Corrections.
    (4) Parole agents and supervisors who are discharged from
employment of the Illinois Department of Corrections shall no
longer be considered law enforcement officials and all their
rights as law enforcement officials shall be revoked
permanently.
(Source: P.A. 96-230, eff. 1-1-10; 97-333, eff. 8-12-11.)
 
    (730 ILCS 5/3-14-2)  (from Ch. 38, par. 1003-14-2)
    Sec. 3-14-2. Supervision on Parole, Mandatory Supervised
Release and Release by Statute.
    (a) The Department shall retain custody of all persons
placed on parole or mandatory supervised release or released
pursuant to Section 3-3-10 of this Code and shall supervise
such persons during their parole or release period in accord
with the conditions set by the Prisoner Review Board. Such
conditions shall include referral to an alcohol or drug abuse
treatment program, as appropriate, if such person has
previously been identified as having an alcohol or drug abuse
problem. Such conditions may include that the person use an
approved electronic monitoring device subject to Article 8A of
Chapter V.
    (b) The Department shall assign personnel to assist persons
eligible for parole in preparing a parole plan. Such Department
personnel shall make a report of their efforts and findings to
the Prisoner Review Board prior to its consideration of the
case of such eligible person.
    (c) A copy of the conditions of his parole or release shall
be signed by the parolee or releasee and given to him and to
his supervising officer who shall report on his progress under
the rules and regulations of the Prisoner Review Board. The
supervising officer shall report violations to the Prisoner
Review Board and shall have the full power of peace officers in
the arrest and retaking of any parolees or releasees or the
officer may request the Department to issue a warrant for the
arrest of any parolee or releasee who has allegedly violated
his parole or release conditions.
    (c-1) The supervising officer shall request the Department
to issue a parole violation warrant, and the Department shall
issue a parole violation warrant, under the following
circumstances:
        (1) if the parolee or releasee commits an act that
    constitutes a felony using a firearm or knife,
        (2) if applicable, fails to comply with the
    requirements of the Sex Offender Registration Act,
        (3) if the parolee or releasee is charged with:
            (A) a felony offense of domestic battery under
        Section 12-3.2 of the Criminal Code of 1961 or the
        Criminal Code of 2012,
            (B) aggravated domestic battery under Section
        12-3.3 of the Criminal Code of 1961 or the Criminal
        Code of 2012,
            (C) stalking under Section 12-7.3 of the Criminal
        Code of 1961 or the Criminal Code of 2012,
            (D) aggravated stalking under Section 12-7.4 of
        the Criminal Code of 1961 or the Criminal Code of 2012,
            (E) violation of an order of protection under
        Section 12-3.4 or 12-30 of the Criminal Code of 1961 or
        the Criminal Code of 2012, or
            (F) any offense that would require registration as
        a sex offender under the Sex Offender Registration Act,
        or
        (4) if the parolee or releasee is on parole or
    mandatory supervised release for a murder, a Class X felony
    or a Class 1 felony violation of the Criminal Code of 1961
    or the Criminal Code of 2012, or any felony that requires
    registration as a sex offender under the Sex Offender
    Registration Act and commits an act that constitutes first
    degree murder, a Class X felony, a Class 1 felony, a Class
    2 felony, or a Class 3 felony.
     A sheriff or other peace officer may detain an alleged
parole or release violator until a warrant for his return to
the Department can be issued. The parolee or releasee may be
delivered to any secure place until he can be transported to
the Department. The officer or the Department shall file a
violation report with notice of charges with the Prisoner
Review Board.
    (d) The supervising officer shall regularly advise and
consult with the parolee or releasee, assist him in adjusting
to community life, inform him of the restoration of his rights
on successful completion of sentence under Section 5-5-5. If
the parolee or releasee has been convicted of a sex offense as
defined in the Sex Offender Management Board Act, the
supervising officer shall periodically, but not less than once
a month, verify that the parolee or releasee is in compliance
with paragraph (7.6) of subsection (a) of Section 3-3-7.
    (e) Supervising officers shall receive specialized
training in the special needs of female releasees or parolees
including the family reunification process.
    (f) The supervising officer shall keep such records as the
Prisoner Review Board or Department may require. All records
shall be entered in the master file of the individual.
(Source: P.A. 96-282, eff. 1-1-10; 96-1447, eff. 8-20-10;
97-389, eff. 8-15-11.)
 
    (730 ILCS 5/5-3-2)  (from Ch. 38, par. 1005-3-2)
    Sec. 5-3-2. Presentence Report.
    (a) In felony cases, the presentence report shall set
forth:
        (1) the defendant's history of delinquency or
    criminality, physical and mental history and condition,
    family situation and background, economic status,
    education, occupation and personal habits;
        (2) information about special resources within the
    community which might be available to assist the
    defendant's rehabilitation, including treatment centers,
    residential facilities, vocational training services,
    correctional manpower programs, employment opportunities,
    special educational programs, alcohol and drug abuse
    programming, psychiatric and marriage counseling, and
    other programs and facilities which could aid the
    defendant's successful reintegration into society;
        (3) the effect the offense committed has had upon the
    victim or victims thereof, and any compensatory benefit
    that various sentencing alternatives would confer on such
    victim or victims;
        (4) information concerning the defendant's status
    since arrest, including his record if released on his own
    recognizance, or the defendant's achievement record if
    released on a conditional pre-trial supervision program;
        (5) when appropriate, a plan, based upon the personal,
    economic and social adjustment needs of the defendant,
    utilizing public and private community resources as an
    alternative to institutional sentencing;
        (6) any other matters that the investigatory officer
    deems relevant or the court directs to be included; and
        (7) information concerning defendant's eligibility for
    a sentence to a county impact incarceration program under
    Section 5-8-1.2 of this Code.
    (b) The investigation shall include a physical and mental
examination of the defendant when so ordered by the court. If
the court determines that such an examination should be made,
it shall issue an order that the defendant submit to
examination at such time and place as designated by the court
and that such examination be conducted by a physician,
psychologist or psychiatrist designated by the court. Such an
examination may be conducted in a court clinic if so ordered by
the court. The cost of such examination shall be paid by the
county in which the trial is held.
    (b-5) In cases involving felony sex offenses in which the
offender is being considered for probation only or any felony
offense that is sexually motivated as defined in the Sex
Offender Management Board Act in which the offender is being
considered for probation only, the investigation shall include
a sex offender evaluation by an evaluator approved by the Board
and conducted in conformance with the standards developed under
the Sex Offender Management Board Act. In cases in which the
offender is being considered for any mandatory prison sentence,
the investigation shall not include a sex offender evaluation.
    (c) In misdemeanor, business offense or petty offense
cases, except as specified in subsection (d) of this Section,
when a presentence report has been ordered by the court, such
presentence report shall contain information on the
defendant's history of delinquency or criminality and shall
further contain only those matters listed in any of paragraphs
(1) through (6) of subsection (a) or in subsection (b) of this
Section as are specified by the court in its order for the
report.
    (d) In cases under Sections 11-1.50, 12-15, and 12-3.4 or
12-30 of the Criminal Code of 1961 or the Criminal Code of
2012, as amended, the presentence report shall set forth
information about alcohol, drug abuse, psychiatric, and
marriage counseling or other treatment programs and
facilities, information on the defendant's history of
delinquency or criminality, and shall contain those additional
matters listed in any of paragraphs (1) through (6) of
subsection (a) or in subsection (b) of this Section as are
specified by the court.
    (e) Nothing in this Section shall cause the defendant to be
held without bail or to have his bail revoked for the purpose
of preparing the presentence report or making an examination.
(Source: P.A. 96-322, eff. 1-1-10; 96-1551, Article 1, Section
970, eff. 7-1-11; 96-1551, Article 2, Section 1065, eff.
7-1-11; 97-1109, eff. 1-1-13.)
 
    (730 ILCS 5/5-3-4)  (from Ch. 38, par. 1005-3-4)
    Sec. 5-3-4. Disclosure of Reports.
    (a) Any report made pursuant to this Article or Section
5-705 of the Juvenile Court Act of 1987 shall be filed of
record with the court in a sealed envelope.
    (b) Presentence reports shall be open for inspection only
as follows:
        (1) to the sentencing court;
        (2) to the state's attorney and the defendant's
    attorney at least 3 days prior to the imposition of
    sentence, unless such 3 day requirement is waived;
        (3) to an appellate court in which the conviction or
    sentence is subject to review;
        (4) to any department, agency or institution to which
    the defendant is committed;
        (5) to any probation department of whom courtesy
    probation is requested;
        (6) to any probation department assigned by a court of
    lawful jurisdiction to conduct a presentence report;
        (7) to any other person only as ordered by the court;
    and
        (8) to any mental health professional on behalf of the
    Illinois Department of Corrections or the Department of
    Human Services or to a prosecutor who is evaluating or
    investigating a potential or actual petition brought under
    the Sexually Violent Persons Commitment Act relating to a
    person who is the subject of a presentence report or the
    respondent to a petition brought under the Sexually Violent
    Persons Commitment Act who is the subject of the
    presentence report sought. Any records and any information
    obtained from those records under this paragraph (8) may be
    used only in sexually violent persons commitment
    proceedings.
    (c) Presentence reports shall be filed of record with the
court within 60 days of a verdict or finding of guilty for any
offense involving an illegal sexual act perpetrated upon a
victim, including but not limited to offenses for violations of
Article 12 of the Criminal Code of 1961 or the Criminal Code of
2012, or any offense determined by the court or the probation
department to be sexually motivated, as defined in the Sex
Offender Management Board Act.
    (d) A complaint, information or indictment shall not be
quashed or dismissed nor shall any person in custody for an
offense be discharged from custody because of noncompliance
with subsection (c) of this Section.
(Source: P.A. 92-415, eff. 8-17-01; 93-970, eff. 8-20-04.)
 
    (730 ILCS 5/5-4-1)  (from Ch. 38, par. 1005-4-1)
    Sec. 5-4-1. Sentencing Hearing.
    (a) Except when the death penalty is sought under hearing
procedures otherwise specified, after a determination of
guilt, a hearing shall be held to impose the sentence. However,
prior to the imposition of sentence on an individual being
sentenced for an offense based upon a charge for a violation of
Section 11-501 of the Illinois Vehicle Code or a similar
provision of a local ordinance, the individual must undergo a
professional evaluation to determine if an alcohol or other
drug abuse problem exists and the extent of such a problem.
Programs conducting these evaluations shall be licensed by the
Department of Human Services. However, if the individual is not
a resident of Illinois, the court may, in its discretion,
accept an evaluation from a program in the state of such
individual's residence. The court may in its sentencing order
approve an eligible defendant for placement in a Department of
Corrections impact incarceration program as provided in
Section 5-8-1.1 or 5-8-1.3. The court may in its sentencing
order recommend a defendant for placement in a Department of
Corrections substance abuse treatment program as provided in
paragraph (a) of subsection (1) of Section 3-2-2 conditioned
upon the defendant being accepted in a program by the
Department of Corrections. At the hearing the court shall:
        (1) consider the evidence, if any, received upon the
    trial;
        (2) consider any presentence reports;
        (3) consider the financial impact of incarceration
    based on the financial impact statement filed with the
    clerk of the court by the Department of Corrections;
        (4) consider evidence and information offered by the
    parties in aggravation and mitigation;
        (4.5) consider substance abuse treatment, eligibility
    screening, and an assessment, if any, of the defendant by
    an agent designated by the State of Illinois to provide
    assessment services for the Illinois courts;
        (5) hear arguments as to sentencing alternatives;
        (6) afford the defendant the opportunity to make a
    statement in his own behalf;
        (7) afford the victim of a violent crime or a violation
    of Section 11-501 of the Illinois Vehicle Code, or a
    similar provision of a local ordinance, or a qualified
    individual affected by: (i) a violation of Section 405,
    405.1, 405.2, or 407 of the Illinois Controlled Substances
    Act or a violation of Section 55 or Section 65 of the
    Methamphetamine Control and Community Protection Act, or
    (ii) a Class 4 felony violation of Section 11-14, 11-14.3
    except as described in subdivisions (a)(2)(A) and
    (a)(2)(B), 11-15, 11-17, 11-18, 11-18.1, or 11-19 of the
    Criminal Code of 1961 or the Criminal Code of 2012,
    committed by the defendant the opportunity to make a
    statement concerning the impact on the victim and to offer
    evidence in aggravation or mitigation; provided that the
    statement and evidence offered in aggravation or
    mitigation must first be prepared in writing in conjunction
    with the State's Attorney before it may be presented orally
    at the hearing. Any sworn testimony offered by the victim
    is subject to the defendant's right to cross-examine. All
    statements and evidence offered under this paragraph (7)
    shall become part of the record of the court. For the
    purpose of this paragraph (7), "qualified individual"
    means any person who (i) lived or worked within the
    territorial jurisdiction where the offense took place when
    the offense took place; and (ii) is familiar with various
    public places within the territorial jurisdiction where
    the offense took place when the offense took place. For the
    purposes of this paragraph (7), "qualified individual"
    includes any peace officer, or any member of any duly
    organized State, county, or municipal peace unit assigned
    to the territorial jurisdiction where the offense took
    place when the offense took place;
        (8) in cases of reckless homicide afford the victim's
    spouse, guardians, parents or other immediate family
    members an opportunity to make oral statements;
        (9) in cases involving a felony sex offense as defined
    under the Sex Offender Management Board Act, consider the
    results of the sex offender evaluation conducted pursuant
    to Section 5-3-2 of this Act; and
        (10) make a finding of whether a motor vehicle was used
    in the commission of the offense for which the defendant is
    being sentenced.
    (b) All sentences shall be imposed by the judge based upon
his independent assessment of the elements specified above and
any agreement as to sentence reached by the parties. The judge
who presided at the trial or the judge who accepted the plea of
guilty shall impose the sentence unless he is no longer sitting
as a judge in that court. Where the judge does not impose
sentence at the same time on all defendants who are convicted
as a result of being involved in the same offense, the
defendant or the State's Attorney may advise the sentencing
court of the disposition of any other defendants who have been
sentenced.
    (c) In imposing a sentence for a violent crime or for an
offense of operating or being in physical control of a vehicle
while under the influence of alcohol, any other drug or any
combination thereof, or a similar provision of a local
ordinance, when such offense resulted in the personal injury to
someone other than the defendant, the trial judge shall specify
on the record the particular evidence, information, factors in
mitigation and aggravation or other reasons that led to his
sentencing determination. The full verbatim record of the
sentencing hearing shall be filed with the clerk of the court
and shall be a public record.
    (c-1) In imposing a sentence for the offense of aggravated
kidnapping for ransom, home invasion, armed robbery,
aggravated vehicular hijacking, aggravated discharge of a
firearm, or armed violence with a category I weapon or category
II weapon, the trial judge shall make a finding as to whether
the conduct leading to conviction for the offense resulted in
great bodily harm to a victim, and shall enter that finding and
the basis for that finding in the record.
    (c-2) If the defendant is sentenced to prison, other than
when a sentence of natural life imprisonment or a sentence of
death is imposed, at the time the sentence is imposed the judge
shall state on the record in open court the approximate period
of time the defendant will serve in custody according to the
then current statutory rules and regulations for sentence
credit found in Section 3-6-3 and other related provisions of
this Code. This statement is intended solely to inform the
public, has no legal effect on the defendant's actual release,
and may not be relied on by the defendant on appeal.
    The judge's statement, to be given after pronouncing the
sentence, other than when the sentence is imposed for one of
the offenses enumerated in paragraph (a)(3) of Section 3-6-3,
shall include the following:
    "The purpose of this statement is to inform the public of
the actual period of time this defendant is likely to spend in
prison as a result of this sentence. The actual period of
prison time served is determined by the statutes of Illinois as
applied to this sentence by the Illinois Department of
Corrections and the Illinois Prisoner Review Board. In this
case, assuming the defendant receives all of his or her
sentence credit, the period of estimated actual custody is ...
years and ... months, less up to 180 days additional sentence
credit for good conduct. If the defendant, because of his or
her own misconduct or failure to comply with the institutional
regulations, does not receive those credits, the actual time
served in prison will be longer. The defendant may also receive
an additional one-half day sentence credit for each day of
participation in vocational, industry, substance abuse, and
educational programs as provided for by Illinois statute."
    When the sentence is imposed for one of the offenses
enumerated in paragraph (a)(3) of Section 3-6-3, other than
when the sentence is imposed for one of the offenses enumerated
in paragraph (a)(2) of Section 3-6-3 committed on or after June
19, 1998, and other than when the sentence is imposed for
reckless homicide as defined in subsection (e) of Section 9-3
of the Criminal Code of 1961 or the Criminal Code of 2012 if
the offense was committed on or after January 1, 1999, and
other than when the sentence is imposed for aggravated arson if
the offense was committed on or after July 27, 2001 (the
effective date of Public Act 92-176), and other than when the
sentence is imposed for aggravated driving under the influence
of alcohol, other drug or drugs, or intoxicating compound or
compounds, or any combination thereof as defined in
subparagraph (C) of paragraph (1) of subsection (d) of Section
11-501 of the Illinois Vehicle Code committed on or after
January 1, 2011 (the effective date of Public Act 96-1230), the
judge's statement, to be given after pronouncing the sentence,
shall include the following:
    "The purpose of this statement is to inform the public of
the actual period of time this defendant is likely to spend in
prison as a result of this sentence. The actual period of
prison time served is determined by the statutes of Illinois as
applied to this sentence by the Illinois Department of
Corrections and the Illinois Prisoner Review Board. In this
case, assuming the defendant receives all of his or her
sentence credit, the period of estimated actual custody is ...
years and ... months, less up to 90 days additional sentence
credit for good conduct. If the defendant, because of his or
her own misconduct or failure to comply with the institutional
regulations, does not receive those credits, the actual time
served in prison will be longer. The defendant may also receive
an additional one-half day sentence credit for each day of
participation in vocational, industry, substance abuse, and
educational programs as provided for by Illinois statute."
    When the sentence is imposed for one of the offenses
enumerated in paragraph (a)(2) of Section 3-6-3, other than
first degree murder, and the offense was committed on or after
June 19, 1998, and when the sentence is imposed for reckless
homicide as defined in subsection (e) of Section 9-3 of the
Criminal Code of 1961 or the Criminal Code of 2012 if the
offense was committed on or after January 1, 1999, and when the
sentence is imposed for aggravated driving under the influence
of alcohol, other drug or drugs, or intoxicating compound or
compounds, or any combination thereof as defined in
subparagraph (F) of paragraph (1) of subsection (d) of Section
11-501 of the Illinois Vehicle Code, and when the sentence is
imposed for aggravated arson if the offense was committed on or
after July 27, 2001 (the effective date of Public Act 92-176),
and when the sentence is imposed for aggravated driving under
the influence of alcohol, other drug or drugs, or intoxicating
compound or compounds, or any combination thereof as defined in
subparagraph (C) of paragraph (1) of subsection (d) of Section
11-501 of the Illinois Vehicle Code committed on or after
January 1, 2011 (the effective date of Public Act 96-1230), the
judge's statement, to be given after pronouncing the sentence,
shall include the following:
    "The purpose of this statement is to inform the public of
the actual period of time this defendant is likely to spend in
prison as a result of this sentence. The actual period of
prison time served is determined by the statutes of Illinois as
applied to this sentence by the Illinois Department of
Corrections and the Illinois Prisoner Review Board. In this
case, the defendant is entitled to no more than 4 1/2 days of
sentence credit for each month of his or her sentence of
imprisonment. Therefore, this defendant will serve at least 85%
of his or her sentence. Assuming the defendant receives 4 1/2
days credit for each month of his or her sentence, the period
of estimated actual custody is ... years and ... months. If the
defendant, because of his or her own misconduct or failure to
comply with the institutional regulations receives lesser
credit, the actual time served in prison will be longer."
    When a sentence of imprisonment is imposed for first degree
murder and the offense was committed on or after June 19, 1998,
the judge's statement, to be given after pronouncing the
sentence, shall include the following:
    "The purpose of this statement is to inform the public of
the actual period of time this defendant is likely to spend in
prison as a result of this sentence. The actual period of
prison time served is determined by the statutes of Illinois as
applied to this sentence by the Illinois Department of
Corrections and the Illinois Prisoner Review Board. In this
case, the defendant is not entitled to sentence credit.
Therefore, this defendant will serve 100% of his or her
sentence."
    When the sentencing order recommends placement in a
substance abuse program for any offense that results in
incarceration in a Department of Corrections facility and the
crime was committed on or after September 1, 2003 (the
effective date of Public Act 93-354), the judge's statement, in
addition to any other judge's statement required under this
Section, to be given after pronouncing the sentence, shall
include the following:
    "The purpose of this statement is to inform the public of
the actual period of time this defendant is likely to spend in
prison as a result of this sentence. The actual period of
prison time served is determined by the statutes of Illinois as
applied to this sentence by the Illinois Department of
Corrections and the Illinois Prisoner Review Board. In this
case, the defendant shall receive no sentence credit for good
conduct under clause (3) of subsection (a) of Section 3-6-3
until he or she participates in and completes a substance abuse
treatment program or receives a waiver from the Director of
Corrections pursuant to clause (4.5) of subsection (a) of
Section 3-6-3."
    (c-4) Before the sentencing hearing and as part of the
presentence investigation under Section 5-3-1, the court shall
inquire of the defendant whether the defendant is currently
serving in or is a veteran of the Armed Forces of the United
States. If the defendant is currently serving in the Armed
Forces of the United States or is a veteran of the Armed Forces
of the United States and has been diagnosed as having a mental
illness by a qualified psychiatrist or clinical psychologist or
physician, the court may:
        (1) order that the officer preparing the presentence
    report consult with the United States Department of
    Veterans Affairs, Illinois Department of Veterans'
    Affairs, or another agency or person with suitable
    knowledge or experience for the purpose of providing the
    court with information regarding treatment options
    available to the defendant, including federal, State, and
    local programming; and
        (2) consider the treatment recommendations of any
    diagnosing or treating mental health professionals
    together with the treatment options available to the
    defendant in imposing sentence.
    For the purposes of this subsection (c-4), "qualified
psychiatrist" means a reputable physician licensed in Illinois
to practice medicine in all its branches, who has specialized
in the diagnosis and treatment of mental and nervous disorders
for a period of not less than 5 years.
    (c-6) In imposing a sentence, the trial judge shall
specify, on the record, the particular evidence and other
reasons which led to his or her determination that a motor
vehicle was used in the commission of the offense.
    (d) When the defendant is committed to the Department of
Corrections, the State's Attorney shall and counsel for the
defendant may file a statement with the clerk of the court to
be transmitted to the department, agency or institution to
which the defendant is committed to furnish such department,
agency or institution with the facts and circumstances of the
offense for which the person was committed together with all
other factual information accessible to them in regard to the
person prior to his commitment relative to his habits,
associates, disposition and reputation and any other facts and
circumstances which may aid such department, agency or
institution during its custody of such person. The clerk shall
within 10 days after receiving any such statements transmit a
copy to such department, agency or institution and a copy to
the other party, provided, however, that this shall not be
cause for delay in conveying the person to the department,
agency or institution to which he has been committed.
    (e) The clerk of the court shall transmit to the
department, agency or institution, if any, to which the
defendant is committed, the following:
        (1) the sentence imposed;
        (2) any statement by the court of the basis for
    imposing the sentence;
        (3) any presentence reports;
        (3.5) any sex offender evaluations;
        (3.6) any substance abuse treatment eligibility
    screening and assessment of the defendant by an agent
    designated by the State of Illinois to provide assessment
    services for the Illinois courts;
        (4) the number of days, if any, which the defendant has
    been in custody and for which he is entitled to credit
    against the sentence, which information shall be provided
    to the clerk by the sheriff;
        (4.1) any finding of great bodily harm made by the
    court with respect to an offense enumerated in subsection
    (c-1);
        (5) all statements filed under subsection (d) of this
    Section;
        (6) any medical or mental health records or summaries
    of the defendant;
        (7) the municipality where the arrest of the offender
    or the commission of the offense has occurred, where such
    municipality has a population of more than 25,000 persons;
        (8) all statements made and evidence offered under
    paragraph (7) of subsection (a) of this Section; and
        (9) all additional matters which the court directs the
    clerk to transmit.
    (f) In cases in which the court finds that a motor vehicle
was used in the commission of the offense for which the
defendant is being sentenced, the clerk of the court shall,
within 5 days thereafter, forward a report of such conviction
to the Secretary of State.
(Source: P.A. 96-86, eff. 1-1-10; 96-1180, eff. 1-1-11;
96-1230, eff. 1-1-11; 96-1551, eff. 7-1-11; 97-333, eff.
8-12-11; 97-697, eff. 6-22-12.)
 
    (730 ILCS 5/5-4-3)  (from Ch. 38, par. 1005-4-3)
    Sec. 5-4-3. Specimens; genetic marker groups.
    (a) Any person convicted of, found guilty under the
Juvenile Court Act of 1987 for, or who received a disposition
of court supervision for, a qualifying offense or attempt of a
qualifying offense, convicted or found guilty of any offense
classified as a felony under Illinois law, convicted or found
guilty of any offense requiring registration under the Sex
Offender Registration Act, found guilty or given supervision
for any offense classified as a felony under the Juvenile Court
Act of 1987, convicted or found guilty of, under the Juvenile
Court Act of 1987, any offense requiring registration under the
Sex Offender Registration Act, or institutionalized as a
sexually dangerous person under the Sexually Dangerous Persons
Act, or committed as a sexually violent person under the
Sexually Violent Persons Commitment Act shall, regardless of
the sentence or disposition imposed, be required to submit
specimens of blood, saliva, or tissue to the Illinois
Department of State Police in accordance with the provisions of
this Section, provided such person is:
        (1) convicted of a qualifying offense or attempt of a
    qualifying offense on or after July 1, 1990 and sentenced
    to a term of imprisonment, periodic imprisonment, fine,
    probation, conditional discharge or any other form of
    sentence, or given a disposition of court supervision for
    the offense;
        (1.5) found guilty or given supervision under the
    Juvenile Court Act of 1987 for a qualifying offense or
    attempt of a qualifying offense on or after January 1,
    1997;
        (2) ordered institutionalized as a sexually dangerous
    person on or after July 1, 1990;
        (3) convicted of a qualifying offense or attempt of a
    qualifying offense before July 1, 1990 and is presently
    confined as a result of such conviction in any State
    correctional facility or county jail or is presently
    serving a sentence of probation, conditional discharge or
    periodic imprisonment as a result of such conviction;
        (3.5) convicted or found guilty of any offense
    classified as a felony under Illinois law or found guilty
    or given supervision for such an offense under the Juvenile
    Court Act of 1987 on or after August 22, 2002;
        (4) presently institutionalized as a sexually
    dangerous person or presently institutionalized as a
    person found guilty but mentally ill of a sexual offense or
    attempt to commit a sexual offense; or
        (4.5) ordered committed as a sexually violent person on
    or after the effective date of the Sexually Violent Persons
    Commitment Act.
    (a-1) Any person incarcerated in a facility of the Illinois
Department of Corrections or the Illinois Department of
Juvenile Justice on or after August 22, 2002, whether for a
term of years, natural life, or a sentence of death, who has
not yet submitted a specimen of blood, saliva, or tissue shall
be required to submit a specimen of blood, saliva, or tissue
prior to his or her final discharge, or release on parole or
mandatory supervised release, as a condition of his or her
parole or mandatory supervised release, or within 6 months from
August 13, 2009 (the effective date of Public Act 96-426),
whichever is sooner. A person incarcerated on or after August
13, 2009 (the effective date of Public Act 96-426) shall be
required to submit a specimen within 45 days of incarceration,
or prior to his or her final discharge, or release on parole or
mandatory supervised release, as a condition of his or her
parole or mandatory supervised release, whichever is sooner.
These specimens shall be placed into the State or national DNA
database, to be used in accordance with other provisions of
this Section, by the Illinois State Police.
    (a-2) Any person sentenced to life imprisonment in a
facility of the Illinois Department of Corrections after the
effective date of this amendatory Act of the 94th General
Assembly or sentenced to death after the effective date of this
amendatory Act of the 94th General Assembly shall be required
to provide a specimen of blood, saliva, or tissue within 45
days after sentencing or disposition at a collection site
designated by the Illinois Department of State Police. Any
person serving a sentence of life imprisonment in a facility of
the Illinois Department of Corrections on the effective date of
this amendatory Act of the 94th General Assembly or any person
who is under a sentence of death on the effective date of this
amendatory Act of the 94th General Assembly shall be required
to provide a specimen of blood, saliva, or tissue upon request
at a collection site designated by the Illinois Department of
State Police.
    (a-3) Any person seeking transfer to or residency in
Illinois under Sections 3-3-11.05 through 3-3-11.5 of this
Code, the Interstate Compact for Adult Offender Supervision, or
the Interstate Agreements on Sexually Dangerous Persons Act
shall be required to provide a specimen of blood, saliva, or
tissue within 45 days after transfer to or residency in
Illinois at a collection site designated by the Illinois
Department of State Police.
    (a-3.1) Any person required by an order of the court to
submit a DNA specimen shall be required to provide a specimen
of blood, saliva, or tissue within 45 days after the court
order at a collection site designated by the Illinois
Department of State Police.
    (a-3.2) On or after January 1, 2012 (the effective date of
Public Act 97-383), any person arrested for any of the
following offenses, after an indictment has been returned by a
grand jury, or following a hearing pursuant to Section 109-3 of
the Code of Criminal Procedure of 1963 and a judge finds there
is probable cause to believe the arrestee has committed one of
the designated offenses, or an arrestee has waived a
preliminary hearing shall be required to provide a specimen of
blood, saliva, or tissue within 14 days after such indictment
or hearing at a collection site designated by the Illinois
Department of State Police:
        (A) first degree murder;
        (B) home invasion;
        (C) predatory criminal sexual assault of a child;
        (D) aggravated criminal sexual assault; or
        (E) criminal sexual assault.
    (a-3.3) Any person required to register as a sex offender
under the Sex Offender Registration Act, regardless of the date
of conviction as set forth in subsection (c-5.2) shall be
required to provide a specimen of blood, saliva, or tissue
within the time period prescribed in subsection (c-5.2) at a
collection site designated by the Illinois Department of State
Police.
    (a-5) Any person who was otherwise convicted of or received
a disposition of court supervision for any other offense under
the Criminal Code of 1961 or the Criminal Code of 2012 or who
was found guilty or given supervision for such a violation
under the Juvenile Court Act of 1987, may, regardless of the
sentence imposed, be required by an order of the court to
submit specimens of blood, saliva, or tissue to the Illinois
Department of State Police in accordance with the provisions of
this Section.
    (b) Any person required by paragraphs (a)(1), (a)(1.5),
(a)(2), (a)(3.5), and (a-5) to provide specimens of blood,
saliva, or tissue shall provide specimens of blood, saliva, or
tissue within 45 days after sentencing or disposition at a
collection site designated by the Illinois Department of State
Police.
    (c) Any person required by paragraphs (a)(3), (a)(4), and
(a)(4.5) to provide specimens of blood, saliva, or tissue shall
be required to provide such specimens prior to final discharge
or within 6 months from August 13, 2009 (the effective date of
Public Act 96-426), whichever is sooner. These specimens shall
be placed into the State or national DNA database, to be used
in accordance with other provisions of this Act, by the
Illinois State Police.
    (c-5) Any person required by paragraph (a-3) to provide
specimens of blood, saliva, or tissue shall, where feasible, be
required to provide the specimens before being accepted for
conditioned residency in Illinois under the interstate compact
or agreement, but no later than 45 days after arrival in this
State.
    (c-5.2) Unless it is determined that a registered sex
offender has previously submitted a specimen of blood, saliva,
or tissue that has been placed into the State DNA database, a
person registering as a sex offender shall be required to
submit a specimen at the time of his or her initial
registration pursuant to the Sex Offender Registration Act or,
for a person registered as a sex offender on or prior to
January 1, 2012 (the effective date of Public Act 97-383),
within one year of January 1, 2012 (the effective date of
Public Act 97-383) or at the time of his or her next required
registration.
    (c-6) The Illinois Department of State Police may determine
which type of specimen or specimens, blood, saliva, or tissue,
is acceptable for submission to the Division of Forensic
Services for analysis. The Illinois Department of State Police
may require the submission of fingerprints from anyone required
to give a specimen under this Act.
    (d) The Illinois Department of State Police shall provide
all equipment and instructions necessary for the collection of
blood specimens. The collection of specimens shall be performed
in a medically approved manner. Only a physician authorized to
practice medicine, a registered nurse or other qualified person
trained in venipuncture may withdraw blood for the purposes of
this Act. The specimens shall thereafter be forwarded to the
Illinois Department of State Police, Division of Forensic
Services, for analysis and categorizing into genetic marker
groupings.
    (d-1) The Illinois Department of State Police shall provide
all equipment and instructions necessary for the collection of
saliva specimens. The collection of saliva specimens shall be
performed in a medically approved manner. Only a person trained
in the instructions promulgated by the Illinois State Police on
collecting saliva may collect saliva for the purposes of this
Section. The specimens shall thereafter be forwarded to the
Illinois Department of State Police, Division of Forensic
Services, for analysis and categorizing into genetic marker
groupings.
    (d-2) The Illinois Department of State Police shall provide
all equipment and instructions necessary for the collection of
tissue specimens. The collection of tissue specimens shall be
performed in a medically approved manner. Only a person trained
in the instructions promulgated by the Illinois State Police on
collecting tissue may collect tissue for the purposes of this
Section. The specimens shall thereafter be forwarded to the
Illinois Department of State Police, Division of Forensic
Services, for analysis and categorizing into genetic marker
groupings.
    (d-5) To the extent that funds are available, the Illinois
Department of State Police shall contract with qualified
personnel and certified laboratories for the collection,
analysis, and categorization of known specimens, except as
provided in subsection (n) of this Section.
    (d-6) Agencies designated by the Illinois Department of
State Police and the Illinois Department of State Police may
contract with third parties to provide for the collection or
analysis of DNA, or both, of an offender's blood, saliva, and
tissue specimens, except as provided in subsection (n) of this
Section.
    (e) The genetic marker groupings shall be maintained by the
Illinois Department of State Police, Division of Forensic
Services.
    (f) The genetic marker grouping analysis information
obtained pursuant to this Act shall be confidential and shall
be released only to peace officers of the United States, of
other states or territories, of the insular possessions of the
United States, of foreign countries duly authorized to receive
the same, to all peace officers of the State of Illinois and to
all prosecutorial agencies, and to defense counsel as provided
by Section 116-5 of the Code of Criminal Procedure of 1963. The
genetic marker grouping analysis information obtained pursuant
to this Act shall be used only for (i) valid law enforcement
identification purposes and as required by the Federal Bureau
of Investigation for participation in the National DNA
database, (ii) technology validation purposes, (iii) a
population statistics database, (iv) quality assurance
purposes if personally identifying information is removed, (v)
assisting in the defense of the criminally accused pursuant to
Section 116-5 of the Code of Criminal Procedure of 1963, or
(vi) identifying and assisting in the prosecution of a person
who is suspected of committing a sexual assault as defined in
Section 1a of the Sexual Assault Survivors Emergency Treatment
Act. Notwithstanding any other statutory provision to the
contrary, all information obtained under this Section shall be
maintained in a single State data base, which may be uploaded
into a national database, and which information may be subject
to expungement only as set forth in subsection (f-1).
    (f-1) Upon receipt of notification of a reversal of a
conviction based on actual innocence, or of the granting of a
pardon pursuant to Section 12 of Article V of the Illinois
Constitution, if that pardon document specifically states that
the reason for the pardon is the actual innocence of an
individual whose DNA record has been stored in the State or
national DNA identification index in accordance with this
Section by the Illinois Department of State Police, the DNA
record shall be expunged from the DNA identification index, and
the Department shall by rule prescribe procedures to ensure
that the record and any specimens, analyses, or other documents
relating to such record, whether in the possession of the
Department or any law enforcement or police agency, or any
forensic DNA laboratory, including any duplicates or copies
thereof, are destroyed and a letter is sent to the court
verifying the expungement is completed. For specimens required
to be collected prior to conviction, unless the individual has
other charges or convictions that require submission of a
specimen, the DNA record for an individual shall be expunged
from the DNA identification databases and the specimen
destroyed upon receipt of a certified copy of a final court
order for each charge against an individual in which the charge
has been dismissed, resulted in acquittal, or that the charge
was not filed within the applicable time period. The Department
shall by rule prescribe procedures to ensure that the record
and any specimens in the possession or control of the
Department are destroyed and a letter is sent to the court
verifying the expungement is completed.
    (f-5) Any person who intentionally uses genetic marker
grouping analysis information, or any other information
derived from a DNA specimen, beyond the authorized uses as
provided under this Section, or any other Illinois law, is
guilty of a Class 4 felony, and shall be subject to a fine of
not less than $5,000.
    (f-6) The Illinois Department of State Police may contract
with third parties for the purposes of implementing this
amendatory Act of the 93rd General Assembly, except as provided
in subsection (n) of this Section. Any other party contracting
to carry out the functions of this Section shall be subject to
the same restrictions and requirements of this Section insofar
as applicable, as the Illinois Department of State Police, and
to any additional restrictions imposed by the Illinois
Department of State Police.
    (g) For the purposes of this Section, "qualifying offense"
means any of the following:
        (1) any violation or inchoate violation of Section
    11-1.50, 11-1.60, 11-6, 11-9.1, 11-11, 11-18.1, 12-15, or
    12-16 of the Criminal Code of 1961 or the Criminal Code of
    2012;
        (1.1) any violation or inchoate violation of Section
    9-1, 9-2, 10-1, 10-2, 12-11, 12-11.1, 18-1, 18-2, 18-3,
    18-4, 18-6, 19-1, or 19-2, or 19-6 of the Criminal Code of
    1961 or the Criminal Code of 2012 for which persons are
    convicted on or after July 1, 2001;
        (2) any former statute of this State which defined a
    felony sexual offense;
        (3) (blank);
        (4) any inchoate violation of Section 9-3.1, 9-3.4,
    11-9.3, 12-7.3, or 12-7.4 of the Criminal Code of 1961 or
    the Criminal Code of 2012; or
        (5) any violation or inchoate violation of Article 29D
    of the Criminal Code of 1961 or the Criminal Code of 2012.
    (g-5) (Blank).
    (h) The Illinois Department of State Police shall be the
State central repository for all genetic marker grouping
analysis information obtained pursuant to this Act. The
Illinois Department of State Police may promulgate rules for
the form and manner of the collection of blood, saliva, or
tissue specimens and other procedures for the operation of this
Act. The provisions of the Administrative Review Law shall
apply to all actions taken under the rules so promulgated.
    (i) (1) A person required to provide a blood, saliva, or
    tissue specimen shall cooperate with the collection of the
    specimen and any deliberate act by that person intended to
    impede, delay or stop the collection of the blood, saliva,
    or tissue specimen is a Class 4 felony.
        (2) In the event that a person's DNA specimen is not
    adequate for any reason, the person shall provide another
    DNA specimen for analysis. Duly authorized law enforcement
    and corrections personnel may employ reasonable force in
    cases in which an individual refuses to provide a DNA
    specimen required under this Act.
    (j) Any person required by subsection (a), or any person
who was previously required by subsection (a-3.2), to submit
specimens of blood, saliva, or tissue to the Illinois
Department of State Police for analysis and categorization into
genetic marker grouping, in addition to any other disposition,
penalty, or fine imposed, shall pay an analysis fee of $250. If
the analysis fee is not paid at the time of sentencing, the
court shall establish a fee schedule by which the entire amount
of the analysis fee shall be paid in full, such schedule not to
exceed 24 months from the time of conviction. The inability to
pay this analysis fee shall not be the sole ground to
incarcerate the person.
    (k) All analysis and categorization fees provided for by
subsection (j) shall be regulated as follows:
        (1) The State Offender DNA Identification System Fund
    is hereby created as a special fund in the State Treasury.
        (2) All fees shall be collected by the clerk of the
    court and forwarded to the State Offender DNA
    Identification System Fund for deposit. The clerk of the
    circuit court may retain the amount of $10 from each
    collected analysis fee to offset administrative costs
    incurred in carrying out the clerk's responsibilities
    under this Section.
        (3) Fees deposited into the State Offender DNA
    Identification System Fund shall be used by Illinois State
    Police crime laboratories as designated by the Director of
    State Police. These funds shall be in addition to any
    allocations made pursuant to existing laws and shall be
    designated for the exclusive use of State crime
    laboratories. These uses may include, but are not limited
    to, the following:
            (A) Costs incurred in providing analysis and
        genetic marker categorization as required by
        subsection (d).
            (B) Costs incurred in maintaining genetic marker
        groupings as required by subsection (e).
            (C) Costs incurred in the purchase and maintenance
        of equipment for use in performing analyses.
            (D) Costs incurred in continuing research and
        development of new techniques for analysis and genetic
        marker categorization.
            (E) Costs incurred in continuing education,
        training, and professional development of forensic
        scientists regularly employed by these laboratories.
    (l) The failure of a person to provide a specimen, or of
any person or agency to collect a specimen, shall in no way
alter the obligation of the person to submit such specimen, or
the authority of the Illinois Department of State Police or
persons designated by the Department to collect the specimen,
or the authority of the Illinois Department of State Police to
accept, analyze and maintain the specimen or to maintain or
upload results of genetic marker grouping analysis information
into a State or national database.
    (m) If any provision of this amendatory Act of the 93rd
General Assembly is held unconstitutional or otherwise
invalid, the remainder of this amendatory Act of the 93rd
General Assembly is not affected.
    (n) Neither the Department of State Police, the Division of
Forensic Services, nor any laboratory of the Division of
Forensic Services may contract out forensic testing for the
purpose of an active investigation or a matter pending before a
court of competent jurisdiction without the written consent of
the prosecuting agency. For the purposes of this subsection
(n), "forensic testing" includes the analysis of physical
evidence in an investigation or other proceeding for the
prosecution of a violation of the Criminal Code of 1961 or the
Criminal Code of 2012 or for matters adjudicated under the
Juvenile Court Act of 1987, and includes the use of forensic
databases and databanks, including DNA, firearm, and
fingerprint databases, and expert testimony.
    (o) Mistake does not invalidate a database match. The
detention, arrest, or conviction of a person based upon a
database match or database information is not invalidated if it
is determined that the specimen was obtained or placed in the
database by mistake.
    (p) This Section may be referred to as the Illinois DNA
Database Law of 2011.
(Source: P.A. 96-426, eff. 8-13-09; 96-642, eff. 8-24-09;
96-1000, eff. 7-2-10; 96-1551, eff. 7-1-11; 97-383, eff.
1-1-12; 97-1109, eff. 1-1-13.)
 
    (730 ILCS 5/5-4-3.1)  (from Ch. 38, par. 1005-4-3.1)
    Sec. 5-4-3.1. Sentencing Hearing for Sex Offenses.
    (a) Except for good cause shown by written motion, any
person adjudged guilty of any offense involving an illegal
sexual act perpetrated upon a victim, including but not limited
to offenses for violations of Article 12 of the Criminal Code
of 1961 or the Criminal Code of 2012, or any offense determined
by the court or the probation department to be sexually
motivated, as defined in the Sex Offender Management Board Act,
shall be sentenced within 65 days of a verdict or finding of
guilt for the offense.
    (b) The court shall set the sentencing date at the time the
verdict or finding of guilt is entered by the court.
    (c) Any motion for continuance shall be in writing and
supported by affidavit and in compliance with Section 114-4 of
the Code of Criminal Procedure of 1963, and the victim shall be
notified of the date and time of hearing and shall be provided
an opportunity to address the court on the impact the
continuance may have on the victim's well-being.
    (d) A complaint, information or indictment shall not be
quashed or dismissed, nor shall any person in custody for an
offense be discharged from custody because of non-compliance
with this Section.
(Source: P.A. 93-970, eff. 8-20-04.)
 
    (730 ILCS 5/5-4-3.2)
    Sec. 5-4-3.2. Collection and storage of Internet protocol
addresses.
    (a) Cyber-crimes Location Database. The Attorney General
is hereby authorized to establish and maintain the "Illinois
Cyber-crimes Location Database" (ICLD) to collect, store, and
use Internet protocol (IP) addresses for purposes of
investigating and prosecuting child exploitation crimes on the
Internet.
    (b) "Internet protocol address" means the string of numbers
by which a location on the Internet is identified by routers or
other computers connected to the Internet.
    (c) Collection of Internet Protocol addresses.
        (1) Collection upon commitment under the Sexually
    Dangerous Persons Act. Upon motion for a defendant's
    confinement under the Sexually Dangerous Persons Act for
    criminal charges under Section 11-6, 11-20.1, 11-20.1B,
    11-20.3, or 11-21 of the Criminal Code of 1961 or the
    Criminal Code of 2012, the State's Attorney or Attorney
    General shall record all Internet protocol (IP) addresses
    which the defendant may access from his or her residence or
    place of employment, registered in his or her name, or
    otherwise has under his or her control or custody.
        (2) Collection upon conviction. Upon conviction for
    crimes under Section 11-6, 11-20.1, 11-20.1B, 11-20.3, or
    11-21 of the Criminal Code of 1961 or the Criminal Code of
    2012, a State's Attorney shall record from defendants all
    Internet protocol (IP) addresses which the defendant may
    access from his or her residence or place of employment,
    registered in his or her name, or otherwise has under his
    or her control or custody, regardless of the sentence or
    disposition imposed.
    (d) Storage and use of the Database. Internet protocol (IP)
addresses recorded pursuant to this Section shall be submitted
to the Attorney General for storage and use in the Illinois
Cyber-crimes Location Database. The Attorney General and its
designated agents may access the database for the purpose of
investigation and prosecution of crimes listed in this Section.
In addition, the Attorney General is authorized to share
information stored in the database with the National Center for
Missing and Exploited Children (NCMEC) and any federal, state,
or local law enforcement agencies for the investigation or
prosecution of child exploitation crimes.
(Source: P.A. 95-579, eff. 8-31-07; 96-1551, eff. 7-1-11.)
 
    (730 ILCS 5/5-4.5-20)
    Sec. 5-4.5-20. FIRST DEGREE MURDER; SENTENCE. For first
degree murder:
    (a) TERM. The defendant shall be sentenced to imprisonment
or, if appropriate, death under Section 9-1 of the Criminal
Code of 1961 or the Criminal Code of 2012 (720 ILCS 5/9-1).
Imprisonment shall be for a determinate term of (1) not less
than 20 years and not more than 60 years; (2) not less than 60
years and not more than 100 years when an extended term is
imposed under Section 5-8-2 (730 ILCS 5/5-8-2); or (3) natural
life as provided in Section 5-8-1 (730 ILCS 5/5-8-1).
    (b) PERIODIC IMPRISONMENT. A term of periodic imprisonment
shall not be imposed.
    (c) IMPACT INCARCERATION. The impact incarceration program
or the county impact incarceration program is not an authorized
disposition.
    (d) PROBATION; CONDITIONAL DISCHARGE. A period of
probation or conditional discharge shall not be imposed.
    (e) FINE. Fines may be imposed as provided in Section
5-4.5-50(b) (730 ILCS 5/5-4.5-50(b)).
    (f) RESTITUTION. See Section 5-5-6 (730 ILCS 5/5-5-6)
concerning restitution.
    (g) CONCURRENT OR CONSECUTIVE SENTENCE. The sentence shall
be concurrent or consecutive as provided in Section 5-8-4 (730
ILCS 5/5-8-4) and Section 5-4.5-50 (730 ILCS 5/5-4.5-50).
    (h) DRUG COURT. Drug court is not an authorized
disposition.
    (i) CREDIT FOR HOME DETENTION. See Section 5-4.5-100 (730
ILCS 5/5-4.5-100) concerning no credit for time spent in home
detention prior to judgment.
    (j) SENTENCE CREDIT. See Section 3-6-3 (730 ILCS 5/3-6-3)
for rules and regulations for sentence credit.
    (k) ELECTRONIC HOME DETENTION. Electronic home detention
is not an authorized disposition, except in limited
circumstances as provided in Section 5-8A-3 (730 ILCS
5/5-8A-3).
    (l) PAROLE; MANDATORY SUPERVISED RELEASE. Except as
provided in Section 3-3-8 (730 ILCS 5/3-3-8), the parole or
mandatory supervised release term shall be 3 years upon release
from imprisonment.
(Source: P.A. 97-697, eff. 6-22-12.)
 
    (730 ILCS 5/5-5-3)  (from Ch. 38, par. 1005-5-3)
    Sec. 5-5-3. Disposition.
    (a) (Blank).
    (b) (Blank).
    (c) (1) (Blank).
        (2) A period of probation, a term of periodic
    imprisonment or conditional discharge shall not be imposed
    for the following offenses. The court shall sentence the
    offender to not less than the minimum term of imprisonment
    set forth in this Code for the following offenses, and may
    order a fine or restitution or both in conjunction with
    such term of imprisonment:
            (A) First degree murder where the death penalty is
        not imposed.
            (B) Attempted first degree murder.
            (C) A Class X felony.
            (D) A violation of Section 401.1 or 407 of the
        Illinois Controlled Substances Act, or a violation of
        subdivision (c)(1.5) or (c)(2) of Section 401 of that
        Act which relates to more than 5 grams of a substance
        containing cocaine, fentanyl, or an analog thereof.
            (D-5) A violation of subdivision (c)(1) of Section
        401 of the Illinois Controlled Substances Act which
        relates to 3 or more grams of a substance containing
        heroin or an analog thereof.
            (E) A violation of Section 5.1 or 9 of the Cannabis
        Control Act.
            (F) A Class 2 or greater felony if the offender had
        been convicted of a Class 2 or greater felony,
        including any state or federal conviction for an
        offense that contained, at the time it was committed,
        the same elements as an offense now (the date of the
        offense committed after the prior Class 2 or greater
        felony) classified as a Class 2 or greater felony,
        within 10 years of the date on which the offender
        committed the offense for which he or she is being
        sentenced, except as otherwise provided in Section
        40-10 of the Alcoholism and Other Drug Abuse and
        Dependency Act.
            (F-5) A violation of Section 24-1, 24-1.1, or
        24-1.6 of the Criminal Code of 1961 or the Criminal
        Code of 2012 for which imprisonment is prescribed in
        those Sections.
            (G) Residential burglary, except as otherwise
        provided in Section 40-10 of the Alcoholism and Other
        Drug Abuse and Dependency Act.
            (H) Criminal sexual assault.
            (I) Aggravated battery of a senior citizen as
        described in Section 12-4.6 or subdivision (a)(4) of
        Section 12-3.05 of the Criminal Code of 1961 or the
        Criminal Code of 2012.
            (J) A forcible felony if the offense was related to
        the activities of an organized gang.
            Before July 1, 1994, for the purposes of this
        paragraph, "organized gang" means an association of 5
        or more persons, with an established hierarchy, that
        encourages members of the association to perpetrate
        crimes or provides support to the members of the
        association who do commit crimes.
            Beginning July 1, 1994, for the purposes of this
        paragraph, "organized gang" has the meaning ascribed
        to it in Section 10 of the Illinois Streetgang
        Terrorism Omnibus Prevention Act.
            (K) Vehicular hijacking.
            (L) A second or subsequent conviction for the
        offense of hate crime when the underlying offense upon
        which the hate crime is based is felony aggravated
        assault or felony mob action.
            (M) A second or subsequent conviction for the
        offense of institutional vandalism if the damage to the
        property exceeds $300.
            (N) A Class 3 felony violation of paragraph (1) of
        subsection (a) of Section 2 of the Firearm Owners
        Identification Card Act.
            (O) A violation of Section 12-6.1 or 12-6.5 of the
        Criminal Code of 1961 or the Criminal Code of 2012.
            (P) A violation of paragraph (1), (2), (3), (4),
        (5), or (7) of subsection (a) of Section 11-20.1 of the
        Criminal Code of 1961 or the Criminal Code of 2012.
            (Q) A violation of subsection (b) or (b-5) of
        Section 20-1, Section 20-1.2, or Section 20-1.3 of the
        Criminal Code of 1961 or the Criminal Code of 2012.
            (R) A violation of Section 24-3A of the Criminal
        Code of 1961 or the Criminal Code of 2012.
            (S) (Blank).
            (T) A second or subsequent violation of the
        Methamphetamine Control and Community Protection Act.
            (U) A second or subsequent violation of Section
        6-303 of the Illinois Vehicle Code committed while his
        or her driver's license, permit, or privilege was
        revoked because of a violation of Section 9-3 of the
        Criminal Code of 1961 or the Criminal Code of 2012,
        relating to the offense of reckless homicide, or a
        similar provision of a law of another state.
            (V) A violation of paragraph (4) of subsection (c)
        of Section 11-20.1B or paragraph (4) of subsection (c)
        of Section 11-20.3 of the Criminal Code of 1961, or
        paragraph (6) of subsection (a) of Section 11-20.1 of
        the Criminal Code of 2012 when the victim is under 13
        years of age and the defendant has previously been
        convicted under the laws of this State or any other
        state of the offense of child pornography, aggravated
        child pornography, aggravated criminal sexual abuse,
        aggravated criminal sexual assault, predatory criminal
        sexual assault of a child, or any of the offenses
        formerly known as rape, deviate sexual assault,
        indecent liberties with a child, or aggravated
        indecent liberties with a child where the victim was
        under the age of 18 years or an offense that is
        substantially equivalent to those offenses.
            (W) A violation of Section 24-3.5 of the Criminal
        Code of 1961 or the Criminal Code of 2012.
            (X) A violation of subsection (a) of Section 31-1a
        of the Criminal Code of 1961 or the Criminal Code of
        2012.
            (Y) A conviction for unlawful possession of a
        firearm by a street gang member when the firearm was
        loaded or contained firearm ammunition.
            (Z) A Class 1 felony committed while he or she was
        serving a term of probation or conditional discharge
        for a felony.
            (AA) Theft of property exceeding $500,000 and not
        exceeding $1,000,000 in value.
            (BB) Laundering of criminally derived property of
        a value exceeding $500,000.
            (CC) Knowingly selling, offering for sale, holding
        for sale, or using 2,000 or more counterfeit items or
        counterfeit items having a retail value in the
        aggregate of $500,000 or more.
            (DD) A conviction for aggravated assault under
        paragraph (6) of subsection (c) of Section 12-2 of the
        Criminal Code of 1961 or the Criminal Code of 2012 if
        the firearm is aimed toward the person against whom the
        firearm is being used.
        (3) (Blank).
        (4) A minimum term of imprisonment of not less than 10
    consecutive days or 30 days of community service shall be
    imposed for a violation of paragraph (c) of Section 6-303
    of the Illinois Vehicle Code.
        (4.1) (Blank).
        (4.2) Except as provided in paragraphs (4.3) and (4.8)
    of this subsection (c), a minimum of 100 hours of community
    service shall be imposed for a second violation of Section
    6-303 of the Illinois Vehicle Code.
        (4.3) A minimum term of imprisonment of 30 days or 300
    hours of community service, as determined by the court,
    shall be imposed for a second violation of subsection (c)
    of Section 6-303 of the Illinois Vehicle Code.
        (4.4) Except as provided in paragraphs (4.5), (4.6),
    and (4.9) of this subsection (c), a minimum term of
    imprisonment of 30 days or 300 hours of community service,
    as determined by the court, shall be imposed for a third or
    subsequent violation of Section 6-303 of the Illinois
    Vehicle Code.
        (4.5) A minimum term of imprisonment of 30 days shall
    be imposed for a third violation of subsection (c) of
    Section 6-303 of the Illinois Vehicle Code.
        (4.6) Except as provided in paragraph (4.10) of this
    subsection (c), a minimum term of imprisonment of 180 days
    shall be imposed for a fourth or subsequent violation of
    subsection (c) of Section 6-303 of the Illinois Vehicle
    Code.
        (4.7) A minimum term of imprisonment of not less than
    30 consecutive days, or 300 hours of community service,
    shall be imposed for a violation of subsection (a-5) of
    Section 6-303 of the Illinois Vehicle Code, as provided in
    subsection (b-5) of that Section.
        (4.8) A mandatory prison sentence shall be imposed for
    a second violation of subsection (a-5) of Section 6-303 of
    the Illinois Vehicle Code, as provided in subsection (c-5)
    of that Section. The person's driving privileges shall be
    revoked for a period of not less than 5 years from the date
    of his or her release from prison.
        (4.9) A mandatory prison sentence of not less than 4
    and not more than 15 years shall be imposed for a third
    violation of subsection (a-5) of Section 6-303 of the
    Illinois Vehicle Code, as provided in subsection (d-2.5) of
    that Section. The person's driving privileges shall be
    revoked for the remainder of his or her life.
        (4.10) A mandatory prison sentence for a Class 1 felony
    shall be imposed, and the person shall be eligible for an
    extended term sentence, for a fourth or subsequent
    violation of subsection (a-5) of Section 6-303 of the
    Illinois Vehicle Code, as provided in subsection (d-3.5) of
    that Section. The person's driving privileges shall be
    revoked for the remainder of his or her life.
        (5) The court may sentence a corporation or
    unincorporated association convicted of any offense to:
            (A) a period of conditional discharge;
            (B) a fine;
            (C) make restitution to the victim under Section
        5-5-6 of this Code.
        (5.1) In addition to any other penalties imposed, and
    except as provided in paragraph (5.2) or (5.3), a person
    convicted of violating subsection (c) of Section 11-907 of
    the Illinois Vehicle Code shall have his or her driver's
    license, permit, or privileges suspended for at least 90
    days but not more than one year, if the violation resulted
    in damage to the property of another person.
        (5.2) In addition to any other penalties imposed, and
    except as provided in paragraph (5.3), a person convicted
    of violating subsection (c) of Section 11-907 of the
    Illinois Vehicle Code shall have his or her driver's
    license, permit, or privileges suspended for at least 180
    days but not more than 2 years, if the violation resulted
    in injury to another person.
        (5.3) In addition to any other penalties imposed, a
    person convicted of violating subsection (c) of Section
    11-907 of the Illinois Vehicle Code shall have his or her
    driver's license, permit, or privileges suspended for 2
    years, if the violation resulted in the death of another
    person.
        (5.4) In addition to any other penalties imposed, a
    person convicted of violating Section 3-707 of the Illinois
    Vehicle Code shall have his or her driver's license,
    permit, or privileges suspended for 3 months and until he
    or she has paid a reinstatement fee of $100.
        (5.5) In addition to any other penalties imposed, a
    person convicted of violating Section 3-707 of the Illinois
    Vehicle Code during a period in which his or her driver's
    license, permit, or privileges were suspended for a
    previous violation of that Section shall have his or her
    driver's license, permit, or privileges suspended for an
    additional 6 months after the expiration of the original
    3-month suspension and until he or she has paid a
    reinstatement fee of $100.
        (6) (Blank).
        (7) (Blank).
        (8) (Blank).
        (9) A defendant convicted of a second or subsequent
    offense of ritualized abuse of a child may be sentenced to
    a term of natural life imprisonment.
        (10) (Blank).
        (11) The court shall impose a minimum fine of $1,000
    for a first offense and $2,000 for a second or subsequent
    offense upon a person convicted of or placed on supervision
    for battery when the individual harmed was a sports
    official or coach at any level of competition and the act
    causing harm to the sports official or coach occurred
    within an athletic facility or within the immediate
    vicinity of the athletic facility at which the sports
    official or coach was an active participant of the athletic
    contest held at the athletic facility. For the purposes of
    this paragraph (11), "sports official" means a person at an
    athletic contest who enforces the rules of the contest,
    such as an umpire or referee; "athletic facility" means an
    indoor or outdoor playing field or recreational area where
    sports activities are conducted; and "coach" means a person
    recognized as a coach by the sanctioning authority that
    conducted the sporting event.
        (12) A person may not receive a disposition of court
    supervision for a violation of Section 5-16 of the Boat
    Registration and Safety Act if that person has previously
    received a disposition of court supervision for a violation
    of that Section.
        (13) A person convicted of or placed on court
    supervision for an assault or aggravated assault when the
    victim and the offender are family or household members as
    defined in Section 103 of the Illinois Domestic Violence
    Act of 1986 or convicted of domestic battery or aggravated
    domestic battery may be required to attend a Partner Abuse
    Intervention Program under protocols set forth by the
    Illinois Department of Human Services under such terms and
    conditions imposed by the court. The costs of such classes
    shall be paid by the offender.
    (d) In any case in which a sentence originally imposed is
vacated, the case shall be remanded to the trial court. The
trial court shall hold a hearing under Section 5-4-1 of the
Unified Code of Corrections which may include evidence of the
defendant's life, moral character and occupation during the
time since the original sentence was passed. The trial court
shall then impose sentence upon the defendant. The trial court
may impose any sentence which could have been imposed at the
original trial subject to Section 5-5-4 of the Unified Code of
Corrections. If a sentence is vacated on appeal or on
collateral attack due to the failure of the trier of fact at
trial to determine beyond a reasonable doubt the existence of a
fact (other than a prior conviction) necessary to increase the
punishment for the offense beyond the statutory maximum
otherwise applicable, either the defendant may be re-sentenced
to a term within the range otherwise provided or, if the State
files notice of its intention to again seek the extended
sentence, the defendant shall be afforded a new trial.
    (e) In cases where prosecution for aggravated criminal
sexual abuse under Section 11-1.60 or 12-16 of the Criminal
Code of 1961 or the Criminal Code of 2012 results in conviction
of a defendant who was a family member of the victim at the
time of the commission of the offense, the court shall consider
the safety and welfare of the victim and may impose a sentence
of probation only where:
        (1) the court finds (A) or (B) or both are appropriate:
            (A) the defendant is willing to undergo a court
        approved counseling program for a minimum duration of 2
        years; or
            (B) the defendant is willing to participate in a
        court approved plan including but not limited to the
        defendant's:
                (i) removal from the household;
                (ii) restricted contact with the victim;
                (iii) continued financial support of the
            family;
                (iv) restitution for harm done to the victim;
            and
                (v) compliance with any other measures that
            the court may deem appropriate; and
        (2) the court orders the defendant to pay for the
    victim's counseling services, to the extent that the court
    finds, after considering the defendant's income and
    assets, that the defendant is financially capable of paying
    for such services, if the victim was under 18 years of age
    at the time the offense was committed and requires
    counseling as a result of the offense.
    Probation may be revoked or modified pursuant to Section
5-6-4; except where the court determines at the hearing that
the defendant violated a condition of his or her probation
restricting contact with the victim or other family members or
commits another offense with the victim or other family
members, the court shall revoke the defendant's probation and
impose a term of imprisonment.
    For the purposes of this Section, "family member" and
"victim" shall have the meanings ascribed to them in Section
11-0.1 of the Criminal Code of 2012 1961.
    (f) (Blank).
    (g) Whenever a defendant is convicted of an offense under
Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-14,
11-14.3, 11-14.4 except for an offense that involves keeping a
place of juvenile prostitution, 11-15, 11-15.1, 11-16, 11-17,
11-18, 11-18.1, 11-19, 11-19.1, 11-19.2, 12-13, 12-14,
12-14.1, 12-15 or 12-16 of the Criminal Code of 1961 or the
Criminal Code of 2012, the defendant shall undergo medical
testing to determine whether the defendant has any sexually
transmissible disease, including a test for infection with
human immunodeficiency virus (HIV) or any other identified
causative agent of acquired immunodeficiency syndrome (AIDS).
Any such medical test shall be performed only by appropriately
licensed medical practitioners and may include an analysis of
any bodily fluids as well as an examination of the defendant's
person. Except as otherwise provided by law, the results of
such test shall be kept strictly confidential by all medical
personnel involved in the testing and must be personally
delivered in a sealed envelope to the judge of the court in
which the conviction was entered for the judge's inspection in
camera. Acting in accordance with the best interests of the
victim and the public, the judge shall have the discretion to
determine to whom, if anyone, the results of the testing may be
revealed. The court shall notify the defendant of the test
results. The court shall also notify the victim if requested by
the victim, and if the victim is under the age of 15 and if
requested by the victim's parents or legal guardian, the court
shall notify the victim's parents or legal guardian of the test
results. The court shall provide information on the
availability of HIV testing and counseling at Department of
Public Health facilities to all parties to whom the results of
the testing are revealed and shall direct the State's Attorney
to provide the information to the victim when possible. A
State's Attorney may petition the court to obtain the results
of any HIV test administered under this Section, and the court
shall grant the disclosure if the State's Attorney shows it is
relevant in order to prosecute a charge of criminal
transmission of HIV under Section 12-5.01 or 12-16.2 of the
Criminal Code of 1961 or the Criminal Code of 2012 against the
defendant. The court shall order that the cost of any such test
shall be paid by the county and may be taxed as costs against
the convicted defendant.
    (g-5) When an inmate is tested for an airborne communicable
disease, as determined by the Illinois Department of Public
Health including but not limited to tuberculosis, the results
of the test shall be personally delivered by the warden or his
or her designee in a sealed envelope to the judge of the court
in which the inmate must appear for the judge's inspection in
camera if requested by the judge. Acting in accordance with the
best interests of those in the courtroom, the judge shall have
the discretion to determine what if any precautions need to be
taken to prevent transmission of the disease in the courtroom.
    (h) Whenever a defendant is convicted of an offense under
Section 1 or 2 of the Hypodermic Syringes and Needles Act, the
defendant shall undergo medical testing to determine whether
the defendant has been exposed to human immunodeficiency virus
(HIV) or any other identified causative agent of acquired
immunodeficiency syndrome (AIDS). Except as otherwise provided
by law, the results of such test shall be kept strictly
confidential by all medical personnel involved in the testing
and must be personally delivered in a sealed envelope to the
judge of the court in which the conviction was entered for the
judge's inspection in camera. Acting in accordance with the
best interests of the public, the judge shall have the
discretion to determine to whom, if anyone, the results of the
testing may be revealed. The court shall notify the defendant
of a positive test showing an infection with the human
immunodeficiency virus (HIV). The court shall provide
information on the availability of HIV testing and counseling
at Department of Public Health facilities to all parties to
whom the results of the testing are revealed and shall direct
the State's Attorney to provide the information to the victim
when possible. A State's Attorney may petition the court to
obtain the results of any HIV test administered under this
Section, and the court shall grant the disclosure if the
State's Attorney shows it is relevant in order to prosecute a
charge of criminal transmission of HIV under Section 12-5.01 or
12-16.2 of the Criminal Code of 1961 or the Criminal Code of
2012 against the defendant. The court shall order that the cost
of any such test shall be paid by the county and may be taxed as
costs against the convicted defendant.
    (i) All fines and penalties imposed under this Section for
any violation of Chapters 3, 4, 6, and 11 of the Illinois
Vehicle Code, or a similar provision of a local ordinance, and
any violation of the Child Passenger Protection Act, or a
similar provision of a local ordinance, shall be collected and
disbursed by the circuit clerk as provided under Section 27.5
of the Clerks of Courts Act.
    (j) In cases when prosecution for any violation of Section
11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-8, 11-9,
11-11, 11-14, 11-14.3, 11-14.4, 11-15, 11-15.1, 11-16, 11-17,
11-17.1, 11-18, 11-18.1, 11-19, 11-19.1, 11-19.2, 11-20.1,
11-20.1B, 11-20.3, 11-21, 11-30, 11-40, 12-13, 12-14, 12-14.1,
12-15, or 12-16 of the Criminal Code of 1961 or the Criminal
Code of 2012, any violation of the Illinois Controlled
Substances Act, any violation of the Cannabis Control Act, or
any violation of the Methamphetamine Control and Community
Protection Act results in conviction, a disposition of court
supervision, or an order of probation granted under Section 10
of the Cannabis Control Act, Section 410 of the Illinois
Controlled Substance Act, or Section 70 of the Methamphetamine
Control and Community Protection Act of a defendant, the court
shall determine whether the defendant is employed by a facility
or center as defined under the Child Care Act of 1969, a public
or private elementary or secondary school, or otherwise works
with children under 18 years of age on a daily basis. When a
defendant is so employed, the court shall order the Clerk of
the Court to send a copy of the judgment of conviction or order
of supervision or probation to the defendant's employer by
certified mail. If the employer of the defendant is a school,
the Clerk of the Court shall direct the mailing of a copy of
the judgment of conviction or order of supervision or probation
to the appropriate regional superintendent of schools. The
regional superintendent of schools shall notify the State Board
of Education of any notification under this subsection.
    (j-5) A defendant at least 17 years of age who is convicted
of a felony and who has not been previously convicted of a
misdemeanor or felony and who is sentenced to a term of
imprisonment in the Illinois Department of Corrections shall as
a condition of his or her sentence be required by the court to
attend educational courses designed to prepare the defendant
for a high school diploma and to work toward a high school
diploma or to work toward passing the high school level Test of
General Educational Development (GED) or to work toward
completing a vocational training program offered by the
Department of Corrections. If a defendant fails to complete the
educational training required by his or her sentence during the
term of incarceration, the Prisoner Review Board shall, as a
condition of mandatory supervised release, require the
defendant, at his or her own expense, to pursue a course of
study toward a high school diploma or passage of the GED test.
The Prisoner Review Board shall revoke the mandatory supervised
release of a defendant who wilfully fails to comply with this
subsection (j-5) upon his or her release from confinement in a
penal institution while serving a mandatory supervised release
term; however, the inability of the defendant after making a
good faith effort to obtain financial aid or pay for the
educational training shall not be deemed a wilful failure to
comply. The Prisoner Review Board shall recommit the defendant
whose mandatory supervised release term has been revoked under
this subsection (j-5) as provided in Section 3-3-9. This
subsection (j-5) does not apply to a defendant who has a high
school diploma or has successfully passed the GED test. This
subsection (j-5) does not apply to a defendant who is
determined by the court to be developmentally disabled or
otherwise mentally incapable of completing the educational or
vocational program.
    (k) (Blank).
    (l) (A) Except as provided in paragraph (C) of subsection
    (l), whenever a defendant, who is an alien as defined by
    the Immigration and Nationality Act, is convicted of any
    felony or misdemeanor offense, the court after sentencing
    the defendant may, upon motion of the State's Attorney,
    hold sentence in abeyance and remand the defendant to the
    custody of the Attorney General of the United States or his
    or her designated agent to be deported when:
            (1) a final order of deportation has been issued
        against the defendant pursuant to proceedings under
        the Immigration and Nationality Act, and
            (2) the deportation of the defendant would not
        deprecate the seriousness of the defendant's conduct
        and would not be inconsistent with the ends of justice.
        Otherwise, the defendant shall be sentenced as
    provided in this Chapter V.
        (B) If the defendant has already been sentenced for a
    felony or misdemeanor offense, or has been placed on
    probation under Section 10 of the Cannabis Control Act,
    Section 410 of the Illinois Controlled Substances Act, or
    Section 70 of the Methamphetamine Control and Community
    Protection Act, the court may, upon motion of the State's
    Attorney to suspend the sentence imposed, commit the
    defendant to the custody of the Attorney General of the
    United States or his or her designated agent when:
            (1) a final order of deportation has been issued
        against the defendant pursuant to proceedings under
        the Immigration and Nationality Act, and
            (2) the deportation of the defendant would not
        deprecate the seriousness of the defendant's conduct
        and would not be inconsistent with the ends of justice.
        (C) This subsection (l) does not apply to offenders who
    are subject to the provisions of paragraph (2) of
    subsection (a) of Section 3-6-3.
        (D) Upon motion of the State's Attorney, if a defendant
    sentenced under this Section returns to the jurisdiction of
    the United States, the defendant shall be recommitted to
    the custody of the county from which he or she was
    sentenced. Thereafter, the defendant shall be brought
    before the sentencing court, which may impose any sentence
    that was available under Section 5-5-3 at the time of
    initial sentencing. In addition, the defendant shall not be
    eligible for additional sentence credit for good conduct as
    provided under Section 3-6-3.
    (m) A person convicted of criminal defacement of property
under Section 21-1.3 of the Criminal Code of 1961 or the
Criminal Code of 2012, in which the property damage exceeds
$300 and the property damaged is a school building, shall be
ordered to perform community service that may include cleanup,
removal, or painting over the defacement.
    (n) The court may sentence a person convicted of a
violation of Section 12-19, 12-21, 16-1.3, or 17-56, or
subsection (a) or (b) of Section 12-4.4a, of the Criminal Code
of 1961 or the Criminal Code of 2012 (i) to an impact
incarceration program if the person is otherwise eligible for
that program under Section 5-8-1.1, (ii) to community service,
or (iii) if the person is an addict or alcoholic, as defined in
the Alcoholism and Other Drug Abuse and Dependency Act, to a
substance or alcohol abuse program licensed under that Act.
    (o) Whenever a person is convicted of a sex offense as
defined in Section 2 of the Sex Offender Registration Act, the
defendant's driver's license or permit shall be subject to
renewal on an annual basis in accordance with the provisions of
license renewal established by the Secretary of State.
(Source: P.A. 96-348, eff. 8-12-09; 96-400, eff. 8-13-09;
96-829, eff. 12-3-09; 96-1200, eff. 7-22-10; 96-1551, Article
1, Section 970, eff. 7-1-11; 96-1551, Article 2, Section 1065,
eff. 7-1-11; 96-1551, Article 10, Section 10-150, eff. 7-1-11;
97-159, eff. 7-21-11; 97-697, eff. 6-22-12; 97-917, eff.
8-9-12; 97-1108, eff. 1-1-13; 97-1109, eff. 1-1-13; revised
9-20-12.)
 
    (730 ILCS 5/5-5-3.2)
    Sec. 5-5-3.2. Factors in Aggravation and Extended-Term
Sentencing.
    (a) The following factors shall be accorded weight in favor
of imposing a term of imprisonment or may be considered by the
court as reasons to impose a more severe sentence under Section
5-8-1 or Article 4.5 of Chapter V:
        (1) the defendant's conduct caused or threatened
    serious harm;
        (2) the defendant received compensation for committing
    the offense;
        (3) the defendant has a history of prior delinquency or
    criminal activity;
        (4) the defendant, by the duties of his office or by
    his position, was obliged to prevent the particular offense
    committed or to bring the offenders committing it to
    justice;
        (5) the defendant held public office at the time of the
    offense, and the offense related to the conduct of that
    office;
        (6) the defendant utilized his professional reputation
    or position in the community to commit the offense, or to
    afford him an easier means of committing it;
        (7) the sentence is necessary to deter others from
    committing the same crime;
        (8) the defendant committed the offense against a
    person 60 years of age or older or such person's property;
        (9) the defendant committed the offense against a
    person who is physically handicapped or such person's
    property;
        (10) by reason of another individual's actual or
    perceived race, color, creed, religion, ancestry, gender,
    sexual orientation, physical or mental disability, or
    national origin, the defendant committed the offense
    against (i) the person or property of that individual; (ii)
    the person or property of a person who has an association
    with, is married to, or has a friendship with the other
    individual; or (iii) the person or property of a relative
    (by blood or marriage) of a person described in clause (i)
    or (ii). For the purposes of this Section, "sexual
    orientation" means heterosexuality, homosexuality, or
    bisexuality;
        (11) the offense took place in a place of worship or on
    the grounds of a place of worship, immediately prior to,
    during or immediately following worship services. For
    purposes of this subparagraph, "place of worship" shall
    mean any church, synagogue or other building, structure or
    place used primarily for religious worship;
        (12) the defendant was convicted of a felony committed
    while he was released on bail or his own recognizance
    pending trial for a prior felony and was convicted of such
    prior felony, or the defendant was convicted of a felony
    committed while he was serving a period of probation,
    conditional discharge, or mandatory supervised release
    under subsection (d) of Section 5-8-1 for a prior felony;
        (13) the defendant committed or attempted to commit a
    felony while he was wearing a bulletproof vest. For the
    purposes of this paragraph (13), a bulletproof vest is any
    device which is designed for the purpose of protecting the
    wearer from bullets, shot or other lethal projectiles;
        (14) the defendant held a position of trust or
    supervision such as, but not limited to, family member as
    defined in Section 11-0.1 of the Criminal Code of 2012
    1961, teacher, scout leader, baby sitter, or day care
    worker, in relation to a victim under 18 years of age, and
    the defendant committed an offense in violation of Section
    11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-11,
    11-14.4 except for an offense that involves keeping a place
    of juvenile prostitution, 11-15.1, 11-19.1, 11-19.2,
    11-20.1, 11-20.1B, 11-20.3, 12-13, 12-14, 12-14.1, 12-15
    or 12-16 of the Criminal Code of 1961 or the Criminal Code
    of 2012 against that victim;
        (15) the defendant committed an offense related to the
    activities of an organized gang. For the purposes of this
    factor, "organized gang" has the meaning ascribed to it in
    Section 10 of the Streetgang Terrorism Omnibus Prevention
    Act;
        (16) the defendant committed an offense in violation of
    one of the following Sections while in a school, regardless
    of the time of day or time of year; on any conveyance
    owned, leased, or contracted by a school to transport
    students to or from school or a school related activity; on
    the real property of a school; or on a public way within
    1,000 feet of the real property comprising any school:
    Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30, 11-1.40,
    11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1, 11-18.1,
    11-19.1, 11-19.2, 12-2, 12-4, 12-4.1, 12-4.2, 12-4.3,
    12-6, 12-6.1, 12-6.5, 12-13, 12-14, 12-14.1, 12-15, 12-16,
    18-2, or 33A-2, or Section 12-3.05 except for subdivision
    (a)(4) or (g)(1), of the Criminal Code of 1961 or the
    Criminal Code of 2012;
        (16.5) the defendant committed an offense in violation
    of one of the following Sections while in a day care
    center, regardless of the time of day or time of year; on
    the real property of a day care center, regardless of the
    time of day or time of year; or on a public way within
    1,000 feet of the real property comprising any day care
    center, regardless of the time of day or time of year:
    Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30, 11-1.40,
    11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1, 11-18.1,
    11-19.1, 11-19.2, 12-2, 12-4, 12-4.1, 12-4.2, 12-4.3,
    12-6, 12-6.1, 12-6.5, 12-13, 12-14, 12-14.1, 12-15, 12-16,
    18-2, or 33A-2, or Section 12-3.05 except for subdivision
    (a)(4) or (g)(1), of the Criminal Code of 1961 or the
    Criminal Code of 2012;
        (17) the defendant committed the offense by reason of
    any person's activity as a community policing volunteer or
    to prevent any person from engaging in activity as a
    community policing volunteer. For the purpose of this
    Section, "community policing volunteer" has the meaning
    ascribed to it in Section 2-3.5 of the Criminal Code of
    2012 1961;
        (18) the defendant committed the offense in a nursing
    home or on the real property comprising a nursing home. For
    the purposes of this paragraph (18), "nursing home" means a
    skilled nursing or intermediate long term care facility
    that is subject to license by the Illinois Department of
    Public Health under the Nursing Home Care Act, the
    Specialized Mental Health Rehabilitation Act, or the ID/DD
    Community Care Act;
        (19) the defendant was a federally licensed firearm
    dealer and was previously convicted of a violation of
    subsection (a) of Section 3 of the Firearm Owners
    Identification Card Act and has now committed either a
    felony violation of the Firearm Owners Identification Card
    Act or an act of armed violence while armed with a firearm;
        (20) the defendant (i) committed the offense of
    reckless homicide under Section 9-3 of the Criminal Code of
    1961 or the Criminal Code of 2012 or the offense of driving
    under the influence of alcohol, other drug or drugs,
    intoxicating compound or compounds or any combination
    thereof under Section 11-501 of the Illinois Vehicle Code
    or a similar provision of a local ordinance and (ii) was
    operating a motor vehicle in excess of 20 miles per hour
    over the posted speed limit as provided in Article VI of
    Chapter 11 of the Illinois Vehicle Code;
        (21) the defendant (i) committed the offense of
    reckless driving or aggravated reckless driving under
    Section 11-503 of the Illinois Vehicle Code and (ii) was
    operating a motor vehicle in excess of 20 miles per hour
    over the posted speed limit as provided in Article VI of
    Chapter 11 of the Illinois Vehicle Code;
        (22) the defendant committed the offense against a
    person that the defendant knew, or reasonably should have
    known, was a member of the Armed Forces of the United
    States serving on active duty. For purposes of this clause
    (22), the term "Armed Forces" means any of the Armed Forces
    of the United States, including a member of any reserve
    component thereof or National Guard unit called to active
    duty;
        (23) the defendant committed the offense against a
    person who was elderly, disabled, or infirm by taking
    advantage of a family or fiduciary relationship with the
    elderly, disabled, or infirm person;
        (24) the defendant committed any offense under Section
    11-20.1 of the Criminal Code of 1961 or the Criminal Code
    of 2012 and possessed 100 or more images;
        (25) the defendant committed the offense while the
    defendant or the victim was in a train, bus, or other
    vehicle used for public transportation;
        (26) the defendant committed the offense of child
    pornography or aggravated child pornography, specifically
    including paragraph (1), (2), (3), (4), (5), or (7) of
    subsection (a) of Section 11-20.1 of the Criminal Code of
    1961 or the Criminal Code of 2012 where a child engaged in,
    solicited for, depicted in, or posed in any act of sexual
    penetration or bound, fettered, or subject to sadistic,
    masochistic, or sadomasochistic abuse in a sexual context
    and specifically including paragraph (1), (2), (3), (4),
    (5), or (7) of subsection (a) of Section 11-20.1B or
    Section 11-20.3 of the Criminal Code of 1961 where a child
    engaged in, solicited for, depicted in, or posed in any act
    of sexual penetration or bound, fettered, or subject to
    sadistic, masochistic, or sadomasochistic abuse in a
    sexual context;
        (27) the defendant committed the offense of first
    degree murder, assault, aggravated assault, battery,
    aggravated battery, robbery, armed robbery, or aggravated
    robbery against a person who was a veteran and the
    defendant knew, or reasonably should have known, that the
    person was a veteran performing duties as a representative
    of a veterans' organization. For the purposes of this
    paragraph (27), "veteran" means an Illinois resident who
    has served as a member of the United States Armed Forces, a
    member of the Illinois National Guard, or a member of the
    United States Reserve Forces; and "veterans' organization"
    means an organization comprised of members of which
    substantially all are individuals who are veterans or
    spouses, widows, or widowers of veterans, the primary
    purpose of which is to promote the welfare of its members
    and to provide assistance to the general public in such a
    way as to confer a public benefit; or
        (28) the defendant committed the offense of assault,
    aggravated assault, battery, aggravated battery, robbery,
    armed robbery, or aggravated robbery against a person that
    the defendant knew or reasonably should have known was a
    letter carrier or postal worker while that person was
    performing his or her duties delivering mail for the United
    States Postal Service.
    For the purposes of this Section:
    "School" is defined as a public or private elementary or
secondary school, community college, college, or university.
    "Day care center" means a public or private State certified
and licensed day care center as defined in Section 2.09 of the
Child Care Act of 1969 that displays a sign in plain view
stating that the property is a day care center.
    "Public transportation" means the transportation or
conveyance of persons by means available to the general public,
and includes paratransit services.
    (b) The following factors, related to all felonies, may be
considered by the court as reasons to impose an extended term
sentence under Section 5-8-2 upon any offender:
        (1) When a defendant is convicted of any felony, after
    having been previously convicted in Illinois or any other
    jurisdiction of the same or similar class felony or greater
    class felony, when such conviction has occurred within 10
    years after the previous conviction, excluding time spent
    in custody, and such charges are separately brought and
    tried and arise out of different series of acts; or
        (2) When a defendant is convicted of any felony and the
    court finds that the offense was accompanied by
    exceptionally brutal or heinous behavior indicative of
    wanton cruelty; or
        (3) When a defendant is convicted of any felony
    committed against:
            (i) a person under 12 years of age at the time of
        the offense or such person's property;
            (ii) a person 60 years of age or older at the time
        of the offense or such person's property; or
            (iii) a person physically handicapped at the time
        of the offense or such person's property; or
        (4) When a defendant is convicted of any felony and the
    offense involved any of the following types of specific
    misconduct committed as part of a ceremony, rite,
    initiation, observance, performance, practice or activity
    of any actual or ostensible religious, fraternal, or social
    group:
            (i) the brutalizing or torturing of humans or
        animals;
            (ii) the theft of human corpses;
            (iii) the kidnapping of humans;
            (iv) the desecration of any cemetery, religious,
        fraternal, business, governmental, educational, or
        other building or property; or
            (v) ritualized abuse of a child; or
        (5) When a defendant is convicted of a felony other
    than conspiracy and the court finds that the felony was
    committed under an agreement with 2 or more other persons
    to commit that offense and the defendant, with respect to
    the other individuals, occupied a position of organizer,
    supervisor, financier, or any other position of management
    or leadership, and the court further finds that the felony
    committed was related to or in furtherance of the criminal
    activities of an organized gang or was motivated by the
    defendant's leadership in an organized gang; or
        (6) When a defendant is convicted of an offense
    committed while using a firearm with a laser sight attached
    to it. For purposes of this paragraph, "laser sight" has
    the meaning ascribed to it in Section 26-7 of the Criminal
    Code of 2012 1961; or
        (7) When a defendant who was at least 17 years of age
    at the time of the commission of the offense is convicted
    of a felony and has been previously adjudicated a
    delinquent minor under the Juvenile Court Act of 1987 for
    an act that if committed by an adult would be a Class X or
    Class 1 felony when the conviction has occurred within 10
    years after the previous adjudication, excluding time
    spent in custody; or
        (8) When a defendant commits any felony and the
    defendant used, possessed, exercised control over, or
    otherwise directed an animal to assault a law enforcement
    officer engaged in the execution of his or her official
    duties or in furtherance of the criminal activities of an
    organized gang in which the defendant is engaged.
    (c) The following factors may be considered by the court as
reasons to impose an extended term sentence under Section 5-8-2
(730 ILCS 5/5-8-2) upon any offender for the listed offenses:
        (1) When a defendant is convicted of first degree
    murder, after having been previously convicted in Illinois
    of any offense listed under paragraph (c)(2) of Section
    5-5-3 (730 ILCS 5/5-5-3), when that conviction has occurred
    within 10 years after the previous conviction, excluding
    time spent in custody, and the charges are separately
    brought and tried and arise out of different series of
    acts.
        (1.5) When a defendant is convicted of first degree
    murder, after having been previously convicted of domestic
    battery (720 ILCS 5/12-3.2) or aggravated domestic battery
    (720 ILCS 5/12-3.3) committed on the same victim or after
    having been previously convicted of violation of an order
    of protection (720 ILCS 5/12-30) in which the same victim
    was the protected person.
        (2) When a defendant is convicted of voluntary
    manslaughter, second degree murder, involuntary
    manslaughter, or reckless homicide in which the defendant
    has been convicted of causing the death of more than one
    individual.
        (3) When a defendant is convicted of aggravated
    criminal sexual assault or criminal sexual assault, when
    there is a finding that aggravated criminal sexual assault
    or criminal sexual assault was also committed on the same
    victim by one or more other individuals, and the defendant
    voluntarily participated in the crime with the knowledge of
    the participation of the others in the crime, and the
    commission of the crime was part of a single course of
    conduct during which there was no substantial change in the
    nature of the criminal objective.
        (4) If the victim was under 18 years of age at the time
    of the commission of the offense, when a defendant is
    convicted of aggravated criminal sexual assault or
    predatory criminal sexual assault of a child under
    subsection (a)(1) of Section 11-1.40 or subsection (a)(1)
    of Section 12-14.1 of the Criminal Code of 1961 or the
    Criminal Code of 2012 (720 ILCS 5/11-1.40 or 5/12-14.1).
        (5) When a defendant is convicted of a felony violation
    of Section 24-1 of the Criminal Code of 1961 or the
    Criminal Code of 2012 (720 ILCS 5/24-1) and there is a
    finding that the defendant is a member of an organized
    gang.
        (6) When a defendant was convicted of unlawful use of
    weapons under Section 24-1 of the Criminal Code of 1961 or
    the Criminal Code of 2012 (720 ILCS 5/24-1) for possessing
    a weapon that is not readily distinguishable as one of the
    weapons enumerated in Section 24-1 of the Criminal Code of
    1961 or the Criminal Code of 2012 (720 ILCS 5/24-1).
        (7) When a defendant is convicted of an offense
    involving the illegal manufacture of a controlled
    substance under Section 401 of the Illinois Controlled
    Substances Act (720 ILCS 570/401), the illegal manufacture
    of methamphetamine under Section 25 of the Methamphetamine
    Control and Community Protection Act (720 ILCS 646/25), or
    the illegal possession of explosives and an emergency
    response officer in the performance of his or her duties is
    killed or injured at the scene of the offense while
    responding to the emergency caused by the commission of the
    offense. In this paragraph, "emergency" means a situation
    in which a person's life, health, or safety is in jeopardy;
    and "emergency response officer" means a peace officer,
    community policing volunteer, fireman, emergency medical
    technician-ambulance, emergency medical
    technician-intermediate, emergency medical
    technician-paramedic, ambulance driver, other medical
    assistance or first aid personnel, or hospital emergency
    room personnel.
    (d) For the purposes of this Section, "organized gang" has
the meaning ascribed to it in Section 10 of the Illinois
Streetgang Terrorism Omnibus Prevention Act.
    (e) The court may impose an extended term sentence under
Article 4.5 of Chapter V upon an offender who has been
convicted of a felony violation of Section 11-1.20, 11-1.30,
11-1.40, 11-1.50, 11-1.60, 12-13, 12-14, 12-14.1, 12-15, or
12-16 of the Criminal Code of 1961 or the Criminal Code of 2012
when the victim of the offense is under 18 years of age at the
time of the commission of the offense and, during the
commission of the offense, the victim was under the influence
of alcohol, regardless of whether or not the alcohol was
supplied by the offender; and the offender, at the time of the
commission of the offense, knew or should have known that the
victim had consumed alcohol.
(Source: P.A. 96-41, eff. 1-1-10; 96-292, eff. 1-1-10; 96-328,
eff. 8-11-09; 96-339, eff. 7-1-10; 96-1000, eff. 7-2-10;
96-1200, eff. 7-22-10; 96-1228, eff. 1-1-11; 96-1390, eff.
1-1-11; 96-1551, Article 1, Section 970, eff. 7-1-11; 96-1551,
Article 2, Section 1065, eff. 7-1-11; 97-38, eff. 6-28-11,
97-227, eff. 1-1-12; 97-333, eff. 8-12-11; 97-693, eff. 1-1-13;
97-1108, eff. 1-1-13; 97-1109, eff. 1-1-13; revised 9-20-12.)
 
    (730 ILCS 5/5-5-5)  (from Ch. 38, par. 1005-5-5)
    Sec. 5-5-5. Loss and Restoration of Rights.
    (a) Conviction and disposition shall not entail the loss by
the defendant of any civil rights, except under this Section
and Sections 29-6 and 29-10 of The Election Code, as now or
hereafter amended.
    (b) A person convicted of a felony shall be ineligible to
hold an office created by the Constitution of this State until
the completion of his sentence.
    (c) A person sentenced to imprisonment shall lose his right
to vote until released from imprisonment.
    (d) On completion of sentence of imprisonment or upon
discharge from probation, conditional discharge or periodic
imprisonment, or at any time thereafter, all license rights and
privileges granted under the authority of this State which have
been revoked or suspended because of conviction of an offense
shall be restored unless the authority having jurisdiction of
such license rights finds after investigation and hearing that
restoration is not in the public interest. This paragraph (d)
shall not apply to the suspension or revocation of a license to
operate a motor vehicle under the Illinois Vehicle Code.
    (e) Upon a person's discharge from incarceration or parole,
or upon a person's discharge from probation or at any time
thereafter, the committing court may enter an order certifying
that the sentence has been satisfactorily completed when the
court believes it would assist in the rehabilitation of the
person and be consistent with the public welfare. Such order
may be entered upon the motion of the defendant or the State or
upon the court's own motion.
    (f) Upon entry of the order, the court shall issue to the
person in whose favor the order has been entered a certificate
stating that his behavior after conviction has warranted the
issuance of the order.
    (g) This Section shall not affect the right of a defendant
to collaterally attack his conviction or to rely on it in bar
of subsequent proceedings for the same offense.
    (h) No application for any license specified in subsection
(i) of this Section granted under the authority of this State
shall be denied by reason of an eligible offender who has
obtained a certificate of relief from disabilities, as defined
in Article 5.5 of this Chapter, having been previously
convicted of one or more criminal offenses, or by reason of a
finding of lack of "good moral character" when the finding is
based upon the fact that the applicant has previously been
convicted of one or more criminal offenses, unless:
        (1) there is a direct relationship between one or more
    of the previous criminal offenses and the specific license
    sought; or
        (2) the issuance of the license would involve an
    unreasonable risk to property or to the safety or welfare
    of specific individuals or the general public.
    In making such a determination, the licensing agency shall
consider the following factors:
        (1) the public policy of this State, as expressed in
    Article 5.5 of this Chapter, to encourage the licensure and
    employment of persons previously convicted of one or more
    criminal offenses;
        (2) the specific duties and responsibilities
    necessarily related to the license being sought;
        (3) the bearing, if any, the criminal offenses or
    offenses for which the person was previously convicted will
    have on his or her fitness or ability to perform one or
    more such duties and responsibilities;
        (4) the time which has elapsed since the occurrence of
    the criminal offense or offenses;
        (5) the age of the person at the time of occurrence of
    the criminal offense or offenses;
        (6) the seriousness of the offense or offenses;
        (7) any information produced by the person or produced
    on his or her behalf in regard to his or her rehabilitation
    and good conduct, including a certificate of relief from
    disabilities issued to the applicant, which certificate
    shall create a presumption of rehabilitation in regard to
    the offense or offenses specified in the certificate; and
        (8) the legitimate interest of the licensing agency in
    protecting property, and the safety and welfare of specific
    individuals or the general public.
    (i) A certificate of relief from disabilities shall be
issued only for a license or certification issued under the
following Acts:
        (1) the Animal Welfare Act; except that a certificate
    of relief from disabilities may not be granted to provide
    for the issuance or restoration of a license under the
    Animal Welfare Act for any person convicted of violating
    Section 3, 3.01, 3.02, 3.03, 3.03-1, or 4.01 of the Humane
    Care for Animals Act or Section 26-5 or 48-1 of the
    Criminal Code of 1961 or the Criminal Code of 2012;
        (2) the Illinois Athletic Trainers Practice Act;
        (3) the Barber, Cosmetology, Esthetics, Hair Braiding,
    and Nail Technology Act of 1985;
        (4) the Boiler and Pressure Vessel Repairer Regulation
    Act;
        (5) the Boxing and Full-contact Martial Arts Act;
        (6) the Illinois Certified Shorthand Reporters Act of
    1984;
        (7) the Illinois Farm Labor Contractor Certification
    Act;
        (8) the Interior Design Title Act;
        (9) the Illinois Professional Land Surveyor Act of
    1989;
        (10) the Illinois Landscape Architecture Act of 1989;
        (11) the Marriage and Family Therapy Licensing Act;
        (12) the Private Employment Agency Act;
        (13) the Professional Counselor and Clinical
    Professional Counselor Licensing and Practice Act;
        (14) the Real Estate License Act of 2000;
        (15) the Illinois Roofing Industry Licensing Act;
        (16) the Professional Engineering Practice Act of
    1989;
        (17) the Water Well and Pump Installation Contractor's
    License Act;
        (18) the Electrologist Licensing Act;
        (19) the Auction License Act;
        (20) the Illinois Architecture Practice Act of 1989;
        (21) the Dietetic and Nutrition Services Practice Act;
        (22) the Environmental Health Practitioner Licensing
    Act;
        (23) the Funeral Directors and Embalmers Licensing
    Code;
        (24) the Land Sales Registration Act of 1999;
        (25) the Professional Geologist Licensing Act;
        (26) the Illinois Public Accounting Act; and
        (27) the Structural Engineering Practice Act of 1989.
(Source: P.A. 96-1246, eff. 1-1-11; 97-119, eff. 7-14-11;
97-706, eff. 6-25-12; 97-1108, eff. 1-1-13; revised 9-20-12.)
 
    (730 ILCS 5/5-5-6)  (from Ch. 38, par. 1005-5-6)
    Sec. 5-5-6. In all convictions for offenses in violation of
the Criminal Code of 1961 or the Criminal Code of 2012 or of
Section 11-501 of the Illinois Vehicle Code in which the person
received any injury to his or her person or damage to his or
her real or personal property as a result of the criminal act
of the defendant, the court shall order restitution as provided
in this Section. In all other cases, except cases in which
restitution is required under this Section, the court must at
the sentence hearing determine whether restitution is an
appropriate sentence to be imposed on each defendant convicted
of an offense. If the court determines that an order directing
the offender to make restitution is appropriate, the offender
may be sentenced to make restitution. The court may consider
restitution an appropriate sentence to be imposed on each
defendant convicted of an offense in addition to a sentence of
imprisonment. The sentence of the defendant to a term of
imprisonment is not a mitigating factor that prevents the court
from ordering the defendant to pay restitution. If the offender
is sentenced to make restitution the Court shall determine the
restitution as hereinafter set forth:
        (a) At the sentence hearing, the court shall determine
    whether the property may be restored in kind to the
    possession of the owner or the person entitled to
    possession thereof; or whether the defendant is possessed
    of sufficient skill to repair and restore property damaged;
    or whether the defendant should be required to make
    restitution in cash, for out-of-pocket expenses, damages,
    losses, or injuries found to have been proximately caused
    by the conduct of the defendant or another for whom the
    defendant is legally accountable under the provisions of
    Article 5 V of the Criminal Code of 1961 or the Criminal
    Code of 2012.
        (b) In fixing the amount of restitution to be paid in
    cash, the court shall allow credit for property returned in
    kind, for property damages ordered to be repaired by the
    defendant, and for property ordered to be restored by the
    defendant; and after granting the credit, the court shall
    assess the actual out-of-pocket expenses, losses, damages,
    and injuries suffered by the victim named in the charge and
    any other victims who may also have suffered out-of-pocket
    expenses, losses, damages, and injuries proximately caused
    by the same criminal conduct of the defendant, and
    insurance carriers who have indemnified the named victim or
    other victims for the out-of-pocket expenses, losses,
    damages, or injuries, provided that in no event shall
    restitution be ordered to be paid on account of pain and
    suffering. When a victim's out-of-pocket expenses have
    been paid pursuant to the Crime Victims Compensation Act,
    the court shall order restitution be paid to the
    compensation program. If a defendant is placed on
    supervision for, or convicted of, domestic battery, the
    defendant shall be required to pay restitution to any
    domestic violence shelter in which the victim and any other
    family or household members lived because of the domestic
    battery. The amount of the restitution shall equal the
    actual expenses of the domestic violence shelter in
    providing housing and any other services for the victim and
    any other family or household members living at the
    shelter. If a defendant fails to pay restitution in the
    manner or within the time period specified by the court,
    the court may enter an order directing the sheriff to seize
    any real or personal property of a defendant to the extent
    necessary to satisfy the order of restitution and dispose
    of the property by public sale. All proceeds from such sale
    in excess of the amount of restitution plus court costs and
    the costs of the sheriff in conducting the sale shall be
    paid to the defendant. The defendant convicted of domestic
    battery, if a person under 18 years of age was present and
    witnessed the domestic battery of the victim, is liable to
    pay restitution for the cost of any counseling required for
    the child at the discretion of the court.
        (c) In cases where more than one defendant is
    accountable for the same criminal conduct that results in
    out-of-pocket expenses, losses, damages, or injuries, each
    defendant shall be ordered to pay restitution in the amount
    of the total actual out-of-pocket expenses, losses,
    damages, or injuries to the victim proximately caused by
    the conduct of all of the defendants who are legally
    accountable for the offense.
            (1) In no event shall the victim be entitled to
        recover restitution in excess of the actual
        out-of-pocket expenses, losses, damages, or injuries,
        proximately caused by the conduct of all of the
        defendants.
            (2) As between the defendants, the court may
        apportion the restitution that is payable in
        proportion to each co-defendant's culpability in the
        commission of the offense.
            (3) In the absence of a specific order apportioning
        the restitution, each defendant shall bear his pro rata
        share of the restitution.
            (4) As between the defendants, each defendant
        shall be entitled to a pro rata reduction in the total
        restitution required to be paid to the victim for
        amounts of restitution actually paid by co-defendants,
        and defendants who shall have paid more than their pro
        rata share shall be entitled to refunds to be computed
        by the court as additional amounts are paid by
        co-defendants.
        (d) In instances where a defendant has more than one
    criminal charge pending against him in a single case, or
    more than one case, and the defendant stands convicted of
    one or more charges, a plea agreement negotiated by the
    State's Attorney and the defendants may require the
    defendant to make restitution to victims of charges that
    have been dismissed or which it is contemplated will be
    dismissed under the terms of the plea agreement, and under
    the agreement, the court may impose a sentence of
    restitution on the charge or charges of which the defendant
    has been convicted that would require the defendant to make
    restitution to victims of other offenses as provided in the
    plea agreement.
        (e) The court may require the defendant to apply the
    balance of the cash bond, after payment of court costs, and
    any fine that may be imposed to the payment of restitution.
        (f) Taking into consideration the ability of the
    defendant to pay, including any real or personal property
    or any other assets of the defendant, the court shall
    determine whether restitution shall be paid in a single
    payment or in installments, and shall fix a period of time
    not in excess of 5 years, except for violations of Sections
    16-1.3 and 17-56 of the Criminal Code of 1961 or the
    Criminal Code of 2012, or the period of time specified in
    subsection (f-1), not including periods of incarceration,
    within which payment of restitution is to be paid in full.
    Complete restitution shall be paid in as short a time
    period as possible. However, if the court deems it
    necessary and in the best interest of the victim, the court
    may extend beyond 5 years the period of time within which
    the payment of restitution is to be paid. If the defendant
    is ordered to pay restitution and the court orders that
    restitution is to be paid over a period greater than 6
    months, the court shall order that the defendant make
    monthly payments; the court may waive this requirement of
    monthly payments only if there is a specific finding of
    good cause for waiver.
        (f-1)(1) In addition to any other penalty prescribed by
    law and any restitution ordered under this Section that did
    not include long-term physical health care costs, the court
    may, upon conviction of any misdemeanor or felony, order a
    defendant to pay restitution to a victim in accordance with
    the provisions of this subsection (f-1) if the victim has
    suffered physical injury as a result of the offense that is
    reasonably probable to require or has required long-term
    physical health care for more than 3 months. As used in
    this subsection (f-1) "long-term physical health care"
    includes mental health care.
        (2) The victim's estimate of long-term physical health
    care costs may be made as part of a victim impact statement
    under Section 6 of the Rights of Crime Victims and
    Witnesses Act or made separately. The court shall enter the
    long-term physical health care restitution order at the
    time of sentencing. An order of restitution made under this
    subsection (f-1) shall fix a monthly amount to be paid by
    the defendant for as long as long-term physical health care
    of the victim is required as a result of the offense. The
    order may exceed the length of any sentence imposed upon
    the defendant for the criminal activity. The court shall
    include as a special finding in the judgment of conviction
    its determination of the monthly cost of long-term physical
    health care.
        (3) After a sentencing order has been entered, the
    court may from time to time, on the petition of either the
    defendant or the victim, or upon its own motion, enter an
    order for restitution for long-term physical care or modify
    the existing order for restitution for long-term physical
    care as to the amount of monthly payments. Any modification
    of the order shall be based only upon a substantial change
    of circumstances relating to the cost of long-term physical
    health care or the financial condition of either the
    defendant or the victim. The petition shall be filed as
    part of the original criminal docket.
        (g) In addition to the sentences provided for in
    Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60,
    11-19.2, 11-20.1, 11-20.1B, 11-20.3, 12-13, 12-14,
    12-14.1, 12-15, and 12-16, and subdivision (a)(4) of
    Section 11-14.4, of the Criminal Code of 1961 or the
    Criminal Code of 2012, the court may order any person who
    is convicted of violating any of those Sections or who was
    charged with any of those offenses and which charge was
    reduced to another charge as a result of a plea agreement
    under subsection (d) of this Section to meet all or any
    portion of the financial obligations of treatment,
    including but not limited to medical, psychiatric, or
    rehabilitative treatment or psychological counseling,
    prescribed for the victim or victims of the offense.
        The payments shall be made by the defendant to the
    clerk of the circuit court and transmitted by the clerk to
    the appropriate person or agency as directed by the court.
    Except as otherwise provided in subsection (f-1), the order
    may require such payments to be made for a period not to
    exceed 5 years after sentencing, not including periods of
    incarceration.
        (h) The judge may enter an order of withholding to
    collect the amount of restitution owed in accordance with
    Part 8 of Article XII of the Code of Civil Procedure.
        (i) A sentence of restitution may be modified or
    revoked by the court if the offender commits another
    offense, or the offender fails to make restitution as
    ordered by the court, but no sentence to make restitution
    shall be revoked unless the court shall find that the
    offender has had the financial ability to make restitution,
    and he has wilfully refused to do so. When the offender's
    ability to pay restitution was established at the time an
    order of restitution was entered or modified, or when the
    offender's ability to pay was based on the offender's
    willingness to make restitution as part of a plea agreement
    made at the time the order of restitution was entered or
    modified, there is a rebuttable presumption that the facts
    and circumstances considered by the court at the hearing at
    which the order of restitution was entered or modified
    regarding the offender's ability or willingness to pay
    restitution have not materially changed. If the court shall
    find that the defendant has failed to make restitution and
    that the failure is not wilful, the court may impose an
    additional period of time within which to make restitution.
    The length of the additional period shall not be more than
    2 years. The court shall retain all of the incidents of the
    original sentence, including the authority to modify or
    enlarge the conditions, and to revoke or further modify the
    sentence if the conditions of payment are violated during
    the additional period.
        (j) The procedure upon the filing of a Petition to
    Revoke a sentence to make restitution shall be the same as
    the procedures set forth in Section 5-6-4 of this Code
    governing violation, modification, or revocation of
    Probation, of Conditional Discharge, or of Supervision.
        (k) Nothing contained in this Section shall preclude
    the right of any party to proceed in a civil action to
    recover for any damages incurred due to the criminal
    misconduct of the defendant.
        (l) Restitution ordered under this Section shall not be
    subject to disbursement by the circuit clerk under Section
    27.5 of the Clerks of Courts Act.
        (m) A restitution order under this Section is a
    judgment lien in favor of the victim that:
            (1) Attaches to the property of the person subject
        to the order;
            (2) May be perfected in the same manner as provided
        in Part 3 of Article 9 of the Uniform Commercial Code;
            (3) May be enforced to satisfy any payment that is
        delinquent under the restitution order by the person in
        whose favor the order is issued or the person's
        assignee; and
            (4) Expires in the same manner as a judgment lien
        created in a civil proceeding.
        When a restitution order is issued under this Section,
    the issuing court shall send a certified copy of the order
    to the clerk of the circuit court in the county where the
    charge was filed. Upon receiving the order, the clerk shall
    enter and index the order in the circuit court judgment
    docket.
        (n) An order of restitution under this Section does not
    bar a civil action for:
            (1) Damages that the court did not require the
        person to pay to the victim under the restitution order
        but arise from an injury or property damages that is
        the basis of restitution ordered by the court; and
            (2) Other damages suffered by the victim.
    The restitution order is not discharged by the completion
of the sentence imposed for the offense.
    A restitution order under this Section is not discharged by
the liquidation of a person's estate by a receiver. A
restitution order under this Section may be enforced in the
same manner as judgment liens are enforced under Article XII of
the Code of Civil Procedure.
    The provisions of Section 2-1303 of the Code of Civil
Procedure, providing for interest on judgments, apply to
judgments for restitution entered under this Section.
(Source: P.A. 96-290, eff. 8-11-09; 96-1551, eff. 7-1-11;
97-482, eff. 1-1-12; 97-817, eff. 1-1-13.)
 
    (730 ILCS 5/5-6-1)  (from Ch. 38, par. 1005-6-1)
    (Text of Section before amendment by P.A. 97-831)
    Sec. 5-6-1. Sentences of Probation and of Conditional
Discharge and Disposition of Supervision. The General Assembly
finds that in order to protect the public, the criminal justice
system must compel compliance with the conditions of probation
by responding to violations with swift, certain and fair
punishments and intermediate sanctions. The Chief Judge of each
circuit shall adopt a system of structured, intermediate
sanctions for violations of the terms and conditions of a
sentence of probation, conditional discharge or disposition of
supervision.
    (a) Except where specifically prohibited by other
provisions of this Code, the court shall impose a sentence of
probation or conditional discharge upon an offender unless,
having regard to the nature and circumstance of the offense,
and to the history, character and condition of the offender,
the court is of the opinion that:
        (1) his imprisonment or periodic imprisonment is
    necessary for the protection of the public; or
        (2) probation or conditional discharge would deprecate
    the seriousness of the offender's conduct and would be
    inconsistent with the ends of justice; or
        (3) a combination of imprisonment with concurrent or
    consecutive probation when an offender has been admitted
    into a drug court program under Section 20 of the Drug
    Court Treatment Act is necessary for the protection of the
    public and for the rehabilitation of the offender.
    The court shall impose as a condition of a sentence of
probation, conditional discharge, or supervision, that the
probation agency may invoke any sanction from the list of
intermediate sanctions adopted by the chief judge of the
circuit court for violations of the terms and conditions of the
sentence of probation, conditional discharge, or supervision,
subject to the provisions of Section 5-6-4 of this Act.
    (b) The court may impose a sentence of conditional
discharge for an offense if the court is of the opinion that
neither a sentence of imprisonment nor of periodic imprisonment
nor of probation supervision is appropriate.
    (b-1) Subsections (a) and (b) of this Section do not apply
to a defendant charged with a misdemeanor or felony under the
Illinois Vehicle Code or reckless homicide under Section 9-3 of
the Criminal Code of 1961 or the Criminal Code of 2012 if the
defendant within the past 12 months has been convicted of or
pleaded guilty to a misdemeanor or felony under the Illinois
Vehicle Code or reckless homicide under Section 9-3 of the
Criminal Code of 1961 or the Criminal Code of 2012.
    (c) The court may, upon a plea of guilty or a stipulation
by the defendant of the facts supporting the charge or a
finding of guilt, defer further proceedings and the imposition
of a sentence, and enter an order for supervision of the
defendant, if the defendant is not charged with: (i) a Class A
misdemeanor, as defined by the following provisions of the
Criminal Code of 1961 or the Criminal Code of 2012: Sections
11-9.1; 12-3.2; 11-1.50 or 12-15; 26-5 or 48-1; 31-1; 31-6;
31-7; paragraphs (2) and (3) of subsection (a) of Section 21-1;
paragraph (1) through (5), (8), (10), and (11) of subsection
(a) of Section 24-1; (ii) a Class A misdemeanor violation of
Section 3.01, 3.03-1, or 4.01 of the Humane Care for Animals
Act; or (iii) a felony. If the defendant is not barred from
receiving an order for supervision as provided in this
subsection, the court may enter an order for supervision after
considering the circumstances of the offense, and the history,
character and condition of the offender, if the court is of the
opinion that:
        (1) the offender is not likely to commit further
    crimes;
        (2) the defendant and the public would be best served
    if the defendant were not to receive a criminal record; and
        (3) in the best interests of justice an order of
    supervision is more appropriate than a sentence otherwise
    permitted under this Code.
    (c-5) Subsections (a), (b), and (c) of this Section do not
apply to a defendant charged with a second or subsequent
violation of Section 6-303 of the Illinois Vehicle Code
committed while his or her driver's license, permit or
privileges were revoked because of a violation of Section 9-3
of the Criminal Code of 1961 or the Criminal Code of 2012,
relating to the offense of reckless homicide, or a similar
provision of a law of another state.
    (d) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 11-501 of the Illinois
Vehicle Code or a similar provision of a local ordinance when
the defendant has previously been:
        (1) convicted for a violation of Section 11-501 of the
    Illinois Vehicle Code or a similar provision of a local
    ordinance or any similar law or ordinance of another state;
    or
        (2) assigned supervision for a violation of Section
    11-501 of the Illinois Vehicle Code or a similar provision
    of a local ordinance or any similar law or ordinance of
    another state; or
        (3) pleaded guilty to or stipulated to the facts
    supporting a charge or a finding of guilty to a violation
    of Section 11-503 of the Illinois Vehicle Code or a similar
    provision of a local ordinance or any similar law or
    ordinance of another state, and the plea or stipulation was
    the result of a plea agreement.
    The court shall consider the statement of the prosecuting
authority with regard to the standards set forth in this
Section.
    (e) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 16-25 or 16A-3 of the
Criminal Code of 1961 or the Criminal Code of 2012 if said
defendant has within the last 5 years been:
        (1) convicted for a violation of Section 16-25 or 16A-3
    of the Criminal Code of 1961 or the Criminal Code of 2012;
    or
        (2) assigned supervision for a violation of Section
    16-25 or 16A-3 of the Criminal Code of 1961 or the Criminal
    Code of 2012.
    The court shall consider the statement of the prosecuting
authority with regard to the standards set forth in this
Section.
    (f) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Sections 15-111, 15-112,
15-301, paragraph (b) of Section 6-104, Section 11-605, Section
11-1002.5, or Section 11-1414 of the Illinois Vehicle Code or a
similar provision of a local ordinance.
    (g) Except as otherwise provided in paragraph (i) of this
Section, the provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 3-707, 3-708, 3-710,
or 5-401.3 of the Illinois Vehicle Code or a similar provision
of a local ordinance if the defendant has within the last 5
years been:
        (1) convicted for a violation of Section 3-707, 3-708,
    3-710, or 5-401.3 of the Illinois Vehicle Code or a similar
    provision of a local ordinance; or
        (2) assigned supervision for a violation of Section
    3-707, 3-708, 3-710, or 5-401.3 of the Illinois Vehicle
    Code or a similar provision of a local ordinance.
    The court shall consider the statement of the prosecuting
authority with regard to the standards set forth in this
Section.
    (h) The provisions of paragraph (c) shall not apply to a
defendant under the age of 21 years charged with violating a
serious traffic offense as defined in Section 1-187.001 of the
Illinois Vehicle Code:
        (1) unless the defendant, upon payment of the fines,
    penalties, and costs provided by law, agrees to attend and
    successfully complete a traffic safety program approved by
    the court under standards set by the Conference of Chief
    Circuit Judges. The accused shall be responsible for
    payment of any traffic safety program fees. If the accused
    fails to file a certificate of successful completion on or
    before the termination date of the supervision order, the
    supervision shall be summarily revoked and conviction
    entered. The provisions of Supreme Court Rule 402 relating
    to pleas of guilty do not apply in cases when a defendant
    enters a guilty plea under this provision; or
        (2) if the defendant has previously been sentenced
    under the provisions of paragraph (c) on or after January
    1, 1998 for any serious traffic offense as defined in
    Section 1-187.001 of the Illinois Vehicle Code.
    (h-1) The provisions of paragraph (c) shall not apply to a
defendant under the age of 21 years charged with an offense
against traffic regulations governing the movement of vehicles
or any violation of Section 6-107 or Section 12-603.1 of the
Illinois Vehicle Code, unless the defendant, upon payment of
the fines, penalties, and costs provided by law, agrees to
attend and successfully complete a traffic safety program
approved by the court under standards set by the Conference of
Chief Circuit Judges. The accused shall be responsible for
payment of any traffic safety program fees. If the accused
fails to file a certificate of successful completion on or
before the termination date of the supervision order, the
supervision shall be summarily revoked and conviction entered.
The provisions of Supreme Court Rule 402 relating to pleas of
guilty do not apply in cases when a defendant enters a guilty
plea under this provision.
    (i) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 3-707 of the Illinois
Vehicle Code or a similar provision of a local ordinance if the
defendant has been assigned supervision for a violation of
Section 3-707 of the Illinois Vehicle Code or a similar
provision of a local ordinance.
    (j) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 6-303 of the Illinois
Vehicle Code or a similar provision of a local ordinance when
the revocation or suspension was for a violation of Section
11-501 or a similar provision of a local ordinance or a
violation of Section 11-501.1 or paragraph (b) of Section
11-401 of the Illinois Vehicle Code if the defendant has within
the last 10 years been:
        (1) convicted for a violation of Section 6-303 of the
    Illinois Vehicle Code or a similar provision of a local
    ordinance; or
        (2) assigned supervision for a violation of Section
    6-303 of the Illinois Vehicle Code or a similar provision
    of a local ordinance.
    (k) The provisions of paragraph (c) shall not apply to a
defendant charged with violating any provision of the Illinois
Vehicle Code or a similar provision of a local ordinance that
governs the movement of vehicles if, within the 12 months
preceding the date of the defendant's arrest, the defendant has
been assigned court supervision on 2 occasions for a violation
that governs the movement of vehicles under the Illinois
Vehicle Code or a similar provision of a local ordinance. The
provisions of this paragraph (k) do not apply to a defendant
charged with violating Section 11-501 of the Illinois Vehicle
Code or a similar provision of a local ordinance.
    (l) A defendant charged with violating any provision of the
Illinois Vehicle Code or a similar provision of a local
ordinance who receives a disposition of supervision under
subsection (c) shall pay an additional fee of $29, to be
collected as provided in Sections 27.5 and 27.6 of the Clerks
of Courts Act. In addition to the $29 fee, the person shall
also pay a fee of $6, which, if not waived by the court, shall
be collected as provided in Sections 27.5 and 27.6 of the
Clerks of Courts Act. The $29 fee shall be disbursed as
provided in Section 16-104c of the Illinois Vehicle Code. If
the $6 fee is collected, $5.50 of the fee shall be deposited
into the Circuit Court Clerk Operation and Administrative Fund
created by the Clerk of the Circuit Court and 50 cents of the
fee shall be deposited into the Prisoner Review Board Vehicle
and Equipment Fund in the State treasury.
    (m) Any person convicted of, pleading guilty to, or placed
on supervision for a serious traffic violation, as defined in
Section 1-187.001 of the Illinois Vehicle Code, a violation of
Section 11-501 of the Illinois Vehicle Code, or a violation of
a similar provision of a local ordinance shall pay an
additional fee of $35, to be disbursed as provided in Section
16-104d of that Code.
    This subsection (m) becomes inoperative 7 years after
October 13, 2007 (the effective date of Public Act 95-154).
    (n) The provisions of paragraph (c) shall not apply to any
person under the age of 18 who commits an offense against
traffic regulations governing the movement of vehicles or any
violation of Section 6-107 or Section 12-603.1 of the Illinois
Vehicle Code, except upon personal appearance of the defendant
in court and upon the written consent of the defendant's parent
or legal guardian, executed before the presiding judge. The
presiding judge shall have the authority to waive this
requirement upon the showing of good cause by the defendant.
    (o) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 6-303 of the Illinois
Vehicle Code or a similar provision of a local ordinance when
the suspension was for a violation of Section 11-501.1 of the
Illinois Vehicle Code and when:
        (1) at the time of the violation of Section 11-501.1 of
    the Illinois Vehicle Code, the defendant was a first
    offender pursuant to Section 11-500 of the Illinois Vehicle
    Code and the defendant failed to obtain a monitoring device
    driving permit; or
        (2) at the time of the violation of Section 11-501.1 of
    the Illinois Vehicle Code, the defendant was a first
    offender pursuant to Section 11-500 of the Illinois Vehicle
    Code, had subsequently obtained a monitoring device
    driving permit, but was driving a vehicle not equipped with
    a breath alcohol ignition interlock device as defined in
    Section 1-129.1 of the Illinois Vehicle Code.
    (p) The provisions of paragraph (c) shall not apply to a
defendant charged with violating subsection (b) of Section
11-601.5 of the Illinois Vehicle Code or a similar provision of
a local ordinance.
(Source: P.A. 96-253, eff. 8-11-09; 96-286, eff. 8-11-09;
96-328, eff. 8-11-09; 96-625, eff. 1-1-10; 96-1000, eff.
7-2-10; 96-1002, eff. 1-1-11; 96-1175, eff. 9-20-10; 96-1551,
eff. 7-1-11; 97-333, eff. 8-12-11; 97-597, eff. 1-1-12;
97-1108, eff. 1-1-13.)
 
    (Text of Section after amendment by P.A. 97-831)
    Sec. 5-6-1. Sentences of Probation and of Conditional
Discharge and Disposition of Supervision. The General Assembly
finds that in order to protect the public, the criminal justice
system must compel compliance with the conditions of probation
by responding to violations with swift, certain and fair
punishments and intermediate sanctions. The Chief Judge of each
circuit shall adopt a system of structured, intermediate
sanctions for violations of the terms and conditions of a
sentence of probation, conditional discharge or disposition of
supervision.
    (a) Except where specifically prohibited by other
provisions of this Code, the court shall impose a sentence of
probation or conditional discharge upon an offender unless,
having regard to the nature and circumstance of the offense,
and to the history, character and condition of the offender,
the court is of the opinion that:
        (1) his imprisonment or periodic imprisonment is
    necessary for the protection of the public; or
        (2) probation or conditional discharge would deprecate
    the seriousness of the offender's conduct and would be
    inconsistent with the ends of justice; or
        (3) a combination of imprisonment with concurrent or
    consecutive probation when an offender has been admitted
    into a drug court program under Section 20 of the Drug
    Court Treatment Act is necessary for the protection of the
    public and for the rehabilitation of the offender.
    The court shall impose as a condition of a sentence of
probation, conditional discharge, or supervision, that the
probation agency may invoke any sanction from the list of
intermediate sanctions adopted by the chief judge of the
circuit court for violations of the terms and conditions of the
sentence of probation, conditional discharge, or supervision,
subject to the provisions of Section 5-6-4 of this Act.
    (b) The court may impose a sentence of conditional
discharge for an offense if the court is of the opinion that
neither a sentence of imprisonment nor of periodic imprisonment
nor of probation supervision is appropriate.
    (b-1) Subsections (a) and (b) of this Section do not apply
to a defendant charged with a misdemeanor or felony under the
Illinois Vehicle Code or reckless homicide under Section 9-3 of
the Criminal Code of 1961 or the Criminal Code of 2012 if the
defendant within the past 12 months has been convicted of or
pleaded guilty to a misdemeanor or felony under the Illinois
Vehicle Code or reckless homicide under Section 9-3 of the
Criminal Code of 1961 or the Criminal Code of 2012.
    (c) The court may, upon a plea of guilty or a stipulation
by the defendant of the facts supporting the charge or a
finding of guilt, defer further proceedings and the imposition
of a sentence, and enter an order for supervision of the
defendant, if the defendant is not charged with: (i) a Class A
misdemeanor, as defined by the following provisions of the
Criminal Code of 1961 or the Criminal Code of 2012: Sections
11-9.1; 12-3.2; 11-1.50 or 12-15; 26-5 or 48-1; 31-1; 31-6;
31-7; paragraphs (2) and (3) of subsection (a) of Section 21-1;
paragraph (1) through (5), (8), (10), and (11) of subsection
(a) of Section 24-1; (ii) a Class A misdemeanor violation of
Section 3.01, 3.03-1, or 4.01 of the Humane Care for Animals
Act; or (iii) a felony. If the defendant is not barred from
receiving an order for supervision as provided in this
subsection, the court may enter an order for supervision after
considering the circumstances of the offense, and the history,
character and condition of the offender, if the court is of the
opinion that:
        (1) the offender is not likely to commit further
    crimes;
        (2) the defendant and the public would be best served
    if the defendant were not to receive a criminal record; and
        (3) in the best interests of justice an order of
    supervision is more appropriate than a sentence otherwise
    permitted under this Code.
    (c-5) Subsections (a), (b), and (c) of this Section do not
apply to a defendant charged with a second or subsequent
violation of Section 6-303 of the Illinois Vehicle Code
committed while his or her driver's license, permit or
privileges were revoked because of a violation of Section 9-3
of the Criminal Code of 1961 or the Criminal Code of 2012,
relating to the offense of reckless homicide, or a similar
provision of a law of another state.
    (d) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 11-501 of the Illinois
Vehicle Code or a similar provision of a local ordinance when
the defendant has previously been:
        (1) convicted for a violation of Section 11-501 of the
    Illinois Vehicle Code or a similar provision of a local
    ordinance or any similar law or ordinance of another state;
    or
        (2) assigned supervision for a violation of Section
    11-501 of the Illinois Vehicle Code or a similar provision
    of a local ordinance or any similar law or ordinance of
    another state; or
        (3) pleaded guilty to or stipulated to the facts
    supporting a charge or a finding of guilty to a violation
    of Section 11-503 of the Illinois Vehicle Code or a similar
    provision of a local ordinance or any similar law or
    ordinance of another state, and the plea or stipulation was
    the result of a plea agreement.
    The court shall consider the statement of the prosecuting
authority with regard to the standards set forth in this
Section.
    (e) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 16-25 or 16A-3 of the
Criminal Code of 1961 or the Criminal Code of 2012 if said
defendant has within the last 5 years been:
        (1) convicted for a violation of Section 16-25 or 16A-3
    of the Criminal Code of 1961 or the Criminal Code of 2012;
    or
        (2) assigned supervision for a violation of Section
    16-25 or 16A-3 of the Criminal Code of 1961 or the Criminal
    Code of 2012.
    The court shall consider the statement of the prosecuting
authority with regard to the standards set forth in this
Section.
    (f) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Sections 15-111, 15-112,
15-301, paragraph (b) of Section 6-104, Section 11-605, Section
11-1002.5, or Section 11-1414 of the Illinois Vehicle Code or a
similar provision of a local ordinance.
    (g) Except as otherwise provided in paragraph (i) of this
Section, the provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 3-707, 3-708, 3-710,
or 5-401.3 of the Illinois Vehicle Code or a similar provision
of a local ordinance if the defendant has within the last 5
years been:
        (1) convicted for a violation of Section 3-707, 3-708,
    3-710, or 5-401.3 of the Illinois Vehicle Code or a similar
    provision of a local ordinance; or
        (2) assigned supervision for a violation of Section
    3-707, 3-708, 3-710, or 5-401.3 of the Illinois Vehicle
    Code or a similar provision of a local ordinance.
    The court shall consider the statement of the prosecuting
authority with regard to the standards set forth in this
Section.
    (h) The provisions of paragraph (c) shall not apply to a
defendant under the age of 21 years charged with violating a
serious traffic offense as defined in Section 1-187.001 of the
Illinois Vehicle Code:
        (1) unless the defendant, upon payment of the fines,
    penalties, and costs provided by law, agrees to attend and
    successfully complete a traffic safety program approved by
    the court under standards set by the Conference of Chief
    Circuit Judges. The accused shall be responsible for
    payment of any traffic safety program fees. If the accused
    fails to file a certificate of successful completion on or
    before the termination date of the supervision order, the
    supervision shall be summarily revoked and conviction
    entered. The provisions of Supreme Court Rule 402 relating
    to pleas of guilty do not apply in cases when a defendant
    enters a guilty plea under this provision; or
        (2) if the defendant has previously been sentenced
    under the provisions of paragraph (c) on or after January
    1, 1998 for any serious traffic offense as defined in
    Section 1-187.001 of the Illinois Vehicle Code.
    (h-1) The provisions of paragraph (c) shall not apply to a
defendant under the age of 21 years charged with an offense
against traffic regulations governing the movement of vehicles
or any violation of Section 6-107 or Section 12-603.1 of the
Illinois Vehicle Code, unless the defendant, upon payment of
the fines, penalties, and costs provided by law, agrees to
attend and successfully complete a traffic safety program
approved by the court under standards set by the Conference of
Chief Circuit Judges. The accused shall be responsible for
payment of any traffic safety program fees. If the accused
fails to file a certificate of successful completion on or
before the termination date of the supervision order, the
supervision shall be summarily revoked and conviction entered.
The provisions of Supreme Court Rule 402 relating to pleas of
guilty do not apply in cases when a defendant enters a guilty
plea under this provision.
    (i) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 3-707 of the Illinois
Vehicle Code or a similar provision of a local ordinance if the
defendant has been assigned supervision for a violation of
Section 3-707 of the Illinois Vehicle Code or a similar
provision of a local ordinance.
    (j) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 6-303 of the Illinois
Vehicle Code or a similar provision of a local ordinance when
the revocation or suspension was for a violation of Section
11-501 or a similar provision of a local ordinance or a
violation of Section 11-501.1 or paragraph (b) of Section
11-401 of the Illinois Vehicle Code if the defendant has within
the last 10 years been:
        (1) convicted for a violation of Section 6-303 of the
    Illinois Vehicle Code or a similar provision of a local
    ordinance; or
        (2) assigned supervision for a violation of Section
    6-303 of the Illinois Vehicle Code or a similar provision
    of a local ordinance.
    (k) The provisions of paragraph (c) shall not apply to a
defendant charged with violating any provision of the Illinois
Vehicle Code or a similar provision of a local ordinance that
governs the movement of vehicles if, within the 12 months
preceding the date of the defendant's arrest, the defendant has
been assigned court supervision on 2 occasions for a violation
that governs the movement of vehicles under the Illinois
Vehicle Code or a similar provision of a local ordinance. The
provisions of this paragraph (k) do not apply to a defendant
charged with violating Section 11-501 of the Illinois Vehicle
Code or a similar provision of a local ordinance.
    (l) A defendant charged with violating any provision of the
Illinois Vehicle Code or a similar provision of a local
ordinance who receives a disposition of supervision under
subsection (c) shall pay an additional fee of $29, to be
collected as provided in Sections 27.5 and 27.6 of the Clerks
of Courts Act. In addition to the $29 fee, the person shall
also pay a fee of $6, which, if not waived by the court, shall
be collected as provided in Sections 27.5 and 27.6 of the
Clerks of Courts Act. The $29 fee shall be disbursed as
provided in Section 16-104c of the Illinois Vehicle Code. If
the $6 fee is collected, $5.50 of the fee shall be deposited
into the Circuit Court Clerk Operation and Administrative Fund
created by the Clerk of the Circuit Court and 50 cents of the
fee shall be deposited into the Prisoner Review Board Vehicle
and Equipment Fund in the State treasury.
    (m) Any person convicted of, pleading guilty to, or placed
on supervision for a serious traffic violation, as defined in
Section 1-187.001 of the Illinois Vehicle Code, a violation of
Section 11-501 of the Illinois Vehicle Code, or a violation of
a similar provision of a local ordinance shall pay an
additional fee of $35, to be disbursed as provided in Section
16-104d of that Code.
    This subsection (m) becomes inoperative 7 years after
October 13, 2007 (the effective date of Public Act 95-154).
    (n) The provisions of paragraph (c) shall not apply to any
person under the age of 18 who commits an offense against
traffic regulations governing the movement of vehicles or any
violation of Section 6-107 or Section 12-603.1 of the Illinois
Vehicle Code, except upon personal appearance of the defendant
in court and upon the written consent of the defendant's parent
or legal guardian, executed before the presiding judge. The
presiding judge shall have the authority to waive this
requirement upon the showing of good cause by the defendant.
    (o) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 6-303 of the Illinois
Vehicle Code or a similar provision of a local ordinance when
the suspension was for a violation of Section 11-501.1 of the
Illinois Vehicle Code and when:
        (1) at the time of the violation of Section 11-501.1 of
    the Illinois Vehicle Code, the defendant was a first
    offender pursuant to Section 11-500 of the Illinois Vehicle
    Code and the defendant failed to obtain a monitoring device
    driving permit; or
        (2) at the time of the violation of Section 11-501.1 of
    the Illinois Vehicle Code, the defendant was a first
    offender pursuant to Section 11-500 of the Illinois Vehicle
    Code, had subsequently obtained a monitoring device
    driving permit, but was driving a vehicle not equipped with
    a breath alcohol ignition interlock device as defined in
    Section 1-129.1 of the Illinois Vehicle Code.
    (p) The provisions of paragraph (c) shall not apply to a
defendant charged with violating Section 11-601.5 of the
Illinois Vehicle Code or a similar provision of a local
ordinance.
    (q) The provisions of paragraph (c) shall not apply to a
defendant charged with violating subsection (b) of Section
11-601 of the Illinois Vehicle Code when the defendant was
operating a vehicle, in an urban district, at a speed in excess
of 25 miles per hour over the posted speed limit.
(Source: P.A. 96-253, eff. 8-11-09; 96-286, eff. 8-11-09;
96-328, eff. 8-11-09; 96-625, eff. 1-1-10; 96-1000, eff.
7-2-10; 96-1002, eff. 1-1-11; 96-1175, eff. 9-20-10; 96-1551,
eff. 7-1-11; 97-333, eff. 8-12-11; 97-597, eff. 1-1-12; 97-831,
eff. 7-1-13; 97-1108, eff. 1-1-13; revised 9-20-12.)
 
    (730 ILCS 5/5-6-3)  (from Ch. 38, par. 1005-6-3)
    Sec. 5-6-3. Conditions of Probation and of Conditional
Discharge.
    (a) The conditions of probation and of conditional
discharge shall be that the person:
        (1) not violate any criminal statute of any
    jurisdiction;
        (2) report to or appear in person before such person or
    agency as directed by the court;
        (3) refrain from possessing a firearm or other
    dangerous weapon where the offense is a felony or, if a
    misdemeanor, the offense involved the intentional or
    knowing infliction of bodily harm or threat of bodily harm;
        (4) not leave the State without the consent of the
    court or, in circumstances in which the reason for the
    absence is of such an emergency nature that prior consent
    by the court is not possible, without the prior
    notification and approval of the person's probation
    officer. Transfer of a person's probation or conditional
    discharge supervision to another state is subject to
    acceptance by the other state pursuant to the Interstate
    Compact for Adult Offender Supervision;
        (5) permit the probation officer to visit him at his
    home or elsewhere to the extent necessary to discharge his
    duties;
        (6) perform no less than 30 hours of community service
    and not more than 120 hours of community service, if
    community service is available in the jurisdiction and is
    funded and approved by the county board where the offense
    was committed, where the offense was related to or in
    furtherance of the criminal activities of an organized gang
    and was motivated by the offender's membership in or
    allegiance to an organized gang. The community service
    shall include, but not be limited to, the cleanup and
    repair of any damage caused by a violation of Section
    21-1.3 of the Criminal Code of 1961 or the Criminal Code of
    2012 and similar damage to property located within the
    municipality or county in which the violation occurred.
    When possible and reasonable, the community service should
    be performed in the offender's neighborhood. For purposes
    of this Section, "organized gang" has the meaning ascribed
    to it in Section 10 of the Illinois Streetgang Terrorism
    Omnibus Prevention Act;
        (7) if he or she is at least 17 years of age and has
    been sentenced to probation or conditional discharge for a
    misdemeanor or felony in a county of 3,000,000 or more
    inhabitants and has not been previously convicted of a
    misdemeanor or felony, may be required by the sentencing
    court to attend educational courses designed to prepare the
    defendant for a high school diploma and to work toward a
    high school diploma or to work toward passing the high
    school level Test of General Educational Development (GED)
    or to work toward completing a vocational training program
    approved by the court. The person on probation or
    conditional discharge must attend a public institution of
    education to obtain the educational or vocational training
    required by this clause (7). The court shall revoke the
    probation or conditional discharge of a person who wilfully
    fails to comply with this clause (7). The person on
    probation or conditional discharge shall be required to pay
    for the cost of the educational courses or GED test, if a
    fee is charged for those courses or test. The court shall
    resentence the offender whose probation or conditional
    discharge has been revoked as provided in Section 5-6-4.
    This clause (7) does not apply to a person who has a high
    school diploma or has successfully passed the GED test.
    This clause (7) does not apply to a person who is
    determined by the court to be developmentally disabled or
    otherwise mentally incapable of completing the educational
    or vocational program;
        (8) if convicted of possession of a substance
    prohibited by the Cannabis Control Act, the Illinois
    Controlled Substances Act, or the Methamphetamine Control
    and Community Protection Act after a previous conviction or
    disposition of supervision for possession of a substance
    prohibited by the Cannabis Control Act or Illinois
    Controlled Substances Act or after a sentence of probation
    under Section 10 of the Cannabis Control Act, Section 410
    of the Illinois Controlled Substances Act, or Section 70 of
    the Methamphetamine Control and Community Protection Act
    and upon a finding by the court that the person is
    addicted, undergo treatment at a substance abuse program
    approved by the court;
        (8.5) if convicted of a felony sex offense as defined
    in the Sex Offender Management Board Act, the person shall
    undergo and successfully complete sex offender treatment
    by a treatment provider approved by the Board and conducted
    in conformance with the standards developed under the Sex
    Offender Management Board Act;
        (8.6) if convicted of a sex offense as defined in the
    Sex Offender Management Board Act, refrain from residing at
    the same address or in the same condominium unit or
    apartment unit or in the same condominium complex or
    apartment complex with another person he or she knows or
    reasonably should know is a convicted sex offender or has
    been placed on supervision for a sex offense; the
    provisions of this paragraph do not apply to a person
    convicted of a sex offense who is placed in a Department of
    Corrections licensed transitional housing facility for sex
    offenders;
        (8.7) if convicted for an offense committed on or after
    June 1, 2008 (the effective date of Public Act 95-464) that
    would qualify the accused as a child sex offender as
    defined in Section 11-9.3 or 11-9.4 of the Criminal Code of
    1961 or the Criminal Code of 2012, refrain from
    communicating with or contacting, by means of the Internet,
    a person who is not related to the accused and whom the
    accused reasonably believes to be under 18 years of age;
    for purposes of this paragraph (8.7), "Internet" has the
    meaning ascribed to it in Section 16-0.1 of the Criminal
    Code of 2012 1961; and a person is not related to the
    accused if the person is not: (i) the spouse, brother, or
    sister of the accused; (ii) a descendant of the accused;
    (iii) a first or second cousin of the accused; or (iv) a
    step-child or adopted child of the accused;
        (8.8) if convicted for an offense under Section 11-6,
    11-9.1, 11-14.4 that involves soliciting for a juvenile
    prostitute, 11-15.1, 11-20.1, 11-20.1B, 11-20.3, or 11-21
    of the Criminal Code of 1961 or the Criminal Code of 2012,
    or any attempt to commit any of these offenses, committed
    on or after June 1, 2009 (the effective date of Public Act
    95-983):
            (i) not access or use a computer or any other
        device with Internet capability without the prior
        written approval of the offender's probation officer,
        except in connection with the offender's employment or
        search for employment with the prior approval of the
        offender's probation officer;
            (ii) submit to periodic unannounced examinations
        of the offender's computer or any other device with
        Internet capability by the offender's probation
        officer, a law enforcement officer, or assigned
        computer or information technology specialist,
        including the retrieval and copying of all data from
        the computer or device and any internal or external
        peripherals and removal of such information,
        equipment, or device to conduct a more thorough
        inspection;
            (iii) submit to the installation on the offender's
        computer or device with Internet capability, at the
        offender's expense, of one or more hardware or software
        systems to monitor the Internet use; and
            (iv) submit to any other appropriate restrictions
        concerning the offender's use of or access to a
        computer or any other device with Internet capability
        imposed by the offender's probation officer;
        (8.9) if convicted of a sex offense as defined in the
    Sex Offender Registration Act committed on or after January
    1, 2010 (the effective date of Public Act 96-262), refrain
    from accessing or using a social networking website as
    defined in Section 17-0.5 of the Criminal Code of 2012
    1961;
        (9) if convicted of a felony or of any misdemeanor
    violation of Section 12-1, 12-2, 12-3, 12-3.2, 12-3.4, or
    12-3.5 of the Criminal Code of 1961 or the Criminal Code of
    2012 that was determined, pursuant to Section 112A-11.1 of
    the Code of Criminal Procedure of 1963, to trigger the
    prohibitions of 18 U.S.C. 922(g)(9), physically surrender
    at a time and place designated by the court, his or her
    Firearm Owner's Identification Card and any and all
    firearms in his or her possession. The Court shall return
    to the Department of State Police Firearm Owner's
    Identification Card Office the person's Firearm Owner's
    Identification Card;
        (10) if convicted of a sex offense as defined in
    subsection (a-5) of Section 3-1-2 of this Code, unless the
    offender is a parent or guardian of the person under 18
    years of age present in the home and no non-familial minors
    are present, not participate in a holiday event involving
    children under 18 years of age, such as distributing candy
    or other items to children on Halloween, wearing a Santa
    Claus costume on or preceding Christmas, being employed as
    a department store Santa Claus, or wearing an Easter Bunny
    costume on or preceding Easter;
        (11) if convicted of a sex offense as defined in
    Section 2 of the Sex Offender Registration Act committed on
    or after January 1, 2010 (the effective date of Public Act
    96-362) that requires the person to register as a sex
    offender under that Act, may not knowingly use any computer
    scrub software on any computer that the sex offender uses;
    and
        (12) if convicted of a violation of the Methamphetamine
    Control and Community Protection Act, the Methamphetamine
    Precursor Control Act, or a methamphetamine related
    offense:
            (A) prohibited from purchasing, possessing, or
        having under his or her control any product containing
        pseudoephedrine unless prescribed by a physician; and
            (B) prohibited from purchasing, possessing, or
        having under his or her control any product containing
        ammonium nitrate.
    (b) The Court may in addition to other reasonable
conditions relating to the nature of the offense or the
rehabilitation of the defendant as determined for each
defendant in the proper discretion of the Court require that
the person:
        (1) serve a term of periodic imprisonment under Article
    7 for a period not to exceed that specified in paragraph
    (d) of Section 5-7-1;
        (2) pay a fine and costs;
        (3) work or pursue a course of study or vocational
    training;
        (4) undergo medical, psychological or psychiatric
    treatment; or treatment for drug addiction or alcoholism;
        (5) attend or reside in a facility established for the
    instruction or residence of defendants on probation;
        (6) support his dependents;
        (7) and in addition, if a minor:
            (i) reside with his parents or in a foster home;
            (ii) attend school;
            (iii) attend a non-residential program for youth;
            (iv) contribute to his own support at home or in a
        foster home;
            (v) with the consent of the superintendent of the
        facility, attend an educational program at a facility
        other than the school in which the offense was
        committed if he or she is convicted of a crime of
        violence as defined in Section 2 of the Crime Victims
        Compensation Act committed in a school, on the real
        property comprising a school, or within 1,000 feet of
        the real property comprising a school;
        (8) make restitution as provided in Section 5-5-6 of
    this Code;
        (9) perform some reasonable public or community
    service;
        (10) serve a term of home confinement. In addition to
    any other applicable condition of probation or conditional
    discharge, the conditions of home confinement shall be that
    the offender:
            (i) remain within the interior premises of the
        place designated for his confinement during the hours
        designated by the court;
            (ii) admit any person or agent designated by the
        court into the offender's place of confinement at any
        time for purposes of verifying the offender's
        compliance with the conditions of his confinement; and
            (iii) if further deemed necessary by the court or
        the Probation or Court Services Department, be placed
        on an approved electronic monitoring device, subject
        to Article 8A of Chapter V;
            (iv) for persons convicted of any alcohol,
        cannabis or controlled substance violation who are
        placed on an approved monitoring device as a condition
        of probation or conditional discharge, the court shall
        impose a reasonable fee for each day of the use of the
        device, as established by the county board in
        subsection (g) of this Section, unless after
        determining the inability of the offender to pay the
        fee, the court assesses a lesser fee or no fee as the
        case may be. This fee shall be imposed in addition to
        the fees imposed under subsections (g) and (i) of this
        Section. The fee shall be collected by the clerk of the
        circuit court. The clerk of the circuit court shall pay
        all monies collected from this fee to the county
        treasurer for deposit in the substance abuse services
        fund under Section 5-1086.1 of the Counties Code; and
            (v) for persons convicted of offenses other than
        those referenced in clause (iv) above and who are
        placed on an approved monitoring device as a condition
        of probation or conditional discharge, the court shall
        impose a reasonable fee for each day of the use of the
        device, as established by the county board in
        subsection (g) of this Section, unless after
        determining the inability of the defendant to pay the
        fee, the court assesses a lesser fee or no fee as the
        case may be. This fee shall be imposed in addition to
        the fees imposed under subsections (g) and (i) of this
        Section. The fee shall be collected by the clerk of the
        circuit court. The clerk of the circuit court shall pay
        all monies collected from this fee to the county
        treasurer who shall use the monies collected to defray
        the costs of corrections. The county treasurer shall
        deposit the fee collected in the probation and court
        services fund.
        (11) comply with the terms and conditions of an order
    of protection issued by the court pursuant to the Illinois
    Domestic Violence Act of 1986, as now or hereafter amended,
    or an order of protection issued by the court of another
    state, tribe, or United States territory. A copy of the
    order of protection shall be transmitted to the probation
    officer or agency having responsibility for the case;
        (12) reimburse any "local anti-crime program" as
    defined in Section 7 of the Anti-Crime Advisory Council Act
    for any reasonable expenses incurred by the program on the
    offender's case, not to exceed the maximum amount of the
    fine authorized for the offense for which the defendant was
    sentenced;
        (13) contribute a reasonable sum of money, not to
    exceed the maximum amount of the fine authorized for the
    offense for which the defendant was sentenced, (i) to a
    "local anti-crime program", as defined in Section 7 of the
    Anti-Crime Advisory Council Act, or (ii) for offenses under
    the jurisdiction of the Department of Natural Resources, to
    the fund established by the Department of Natural Resources
    for the purchase of evidence for investigation purposes and
    to conduct investigations as outlined in Section 805-105 of
    the Department of Natural Resources (Conservation) Law;
        (14) refrain from entering into a designated
    geographic area except upon such terms as the court finds
    appropriate. Such terms may include consideration of the
    purpose of the entry, the time of day, other persons
    accompanying the defendant, and advance approval by a
    probation officer, if the defendant has been placed on
    probation or advance approval by the court, if the
    defendant was placed on conditional discharge;
        (15) refrain from having any contact, directly or
    indirectly, with certain specified persons or particular
    types of persons, including but not limited to members of
    street gangs and drug users or dealers;
        (16) refrain from having in his or her body the
    presence of any illicit drug prohibited by the Cannabis
    Control Act, the Illinois Controlled Substances Act, or the
    Methamphetamine Control and Community Protection Act,
    unless prescribed by a physician, and submit samples of his
    or her blood or urine or both for tests to determine the
    presence of any illicit drug;
        (17) if convicted for an offense committed on or after
    June 1, 2008 (the effective date of Public Act 95-464) that
    would qualify the accused as a child sex offender as
    defined in Section 11-9.3 or 11-9.4 of the Criminal Code of
    1961 or the Criminal Code of 2012, refrain from
    communicating with or contacting, by means of the Internet,
    a person who is related to the accused and whom the accused
    reasonably believes to be under 18 years of age; for
    purposes of this paragraph (17), "Internet" has the meaning
    ascribed to it in Section 16-0.1 of the Criminal Code of
    2012 1961; and a person is related to the accused if the
    person is: (i) the spouse, brother, or sister of the
    accused; (ii) a descendant of the accused; (iii) a first or
    second cousin of the accused; or (iv) a step-child or
    adopted child of the accused;
        (18) if convicted for an offense committed on or after
    June 1, 2009 (the effective date of Public Act 95-983) that
    would qualify as a sex offense as defined in the Sex
    Offender Registration Act:
            (i) not access or use a computer or any other
        device with Internet capability without the prior
        written approval of the offender's probation officer,
        except in connection with the offender's employment or
        search for employment with the prior approval of the
        offender's probation officer;
            (ii) submit to periodic unannounced examinations
        of the offender's computer or any other device with
        Internet capability by the offender's probation
        officer, a law enforcement officer, or assigned
        computer or information technology specialist,
        including the retrieval and copying of all data from
        the computer or device and any internal or external
        peripherals and removal of such information,
        equipment, or device to conduct a more thorough
        inspection;
            (iii) submit to the installation on the offender's
        computer or device with Internet capability, at the
        subject's expense, of one or more hardware or software
        systems to monitor the Internet use; and
            (iv) submit to any other appropriate restrictions
        concerning the offender's use of or access to a
        computer or any other device with Internet capability
        imposed by the offender's probation officer; and
        (19) refrain from possessing a firearm or other
    dangerous weapon where the offense is a misdemeanor that
    did not involve the intentional or knowing infliction of
    bodily harm or threat of bodily harm.
    (c) The court may as a condition of probation or of
conditional discharge require that a person under 18 years of
age found guilty of any alcohol, cannabis or controlled
substance violation, refrain from acquiring a driver's license
during the period of probation or conditional discharge. If
such person is in possession of a permit or license, the court
may require that the minor refrain from driving or operating
any motor vehicle during the period of probation or conditional
discharge, except as may be necessary in the course of the
minor's lawful employment.
    (d) An offender sentenced to probation or to conditional
discharge shall be given a certificate setting forth the
conditions thereof.
    (e) Except where the offender has committed a fourth or
subsequent violation of subsection (c) of Section 6-303 of the
Illinois Vehicle Code, the court shall not require as a
condition of the sentence of probation or conditional discharge
that the offender be committed to a period of imprisonment in
excess of 6 months. This 6 month limit shall not include
periods of confinement given pursuant to a sentence of county
impact incarceration under Section 5-8-1.2.
    Persons committed to imprisonment as a condition of
probation or conditional discharge shall not be committed to
the Department of Corrections.
    (f) The court may combine a sentence of periodic
imprisonment under Article 7 or a sentence to a county impact
incarceration program under Article 8 with a sentence of
probation or conditional discharge.
    (g) An offender sentenced to probation or to conditional
discharge and who during the term of either undergoes mandatory
drug or alcohol testing, or both, or is assigned to be placed
on an approved electronic monitoring device, shall be ordered
to pay all costs incidental to such mandatory drug or alcohol
testing, or both, and all costs incidental to such approved
electronic monitoring in accordance with the defendant's
ability to pay those costs. The county board with the
concurrence of the Chief Judge of the judicial circuit in which
the county is located shall establish reasonable fees for the
cost of maintenance, testing, and incidental expenses related
to the mandatory drug or alcohol testing, or both, and all
costs incidental to approved electronic monitoring, involved
in a successful probation program for the county. The
concurrence of the Chief Judge shall be in the form of an
administrative order. The fees shall be collected by the clerk
of the circuit court. The clerk of the circuit court shall pay
all moneys collected from these fees to the county treasurer
who shall use the moneys collected to defray the costs of drug
testing, alcohol testing, and electronic monitoring. The
county treasurer shall deposit the fees collected in the county
working cash fund under Section 6-27001 or Section 6-29002 of
the Counties Code, as the case may be.
    (h) Jurisdiction over an offender may be transferred from
the sentencing court to the court of another circuit with the
concurrence of both courts. Further transfers or retransfers of
jurisdiction are also authorized in the same manner. The court
to which jurisdiction has been transferred shall have the same
powers as the sentencing court. The probation department within
the circuit to which jurisdiction has been transferred may
impose probation fees upon receiving the transferred offender,
as provided in subsection (i). The probation department from
the original sentencing court shall retain all probation fees
collected prior to the transfer.
    (i) The court shall impose upon an offender sentenced to
probation after January 1, 1989 or to conditional discharge
after January 1, 1992 or to community service under the
supervision of a probation or court services department after
January 1, 2004, as a condition of such probation or
conditional discharge or supervised community service, a fee of
$50 for each month of probation or conditional discharge
supervision or supervised community service ordered by the
court, unless after determining the inability of the person
sentenced to probation or conditional discharge or supervised
community service to pay the fee, the court assesses a lesser
fee. The court may not impose the fee on a minor who is made a
ward of the State under the Juvenile Court Act of 1987 while
the minor is in placement. The fee shall be imposed only upon
an offender who is actively supervised by the probation and
court services department. The fee shall be collected by the
clerk of the circuit court. The clerk of the circuit court
shall pay all monies collected from this fee to the county
treasurer for deposit in the probation and court services fund
under Section 15.1 of the Probation and Probation Officers Act.
    A circuit court may not impose a probation fee under this
subsection (i) in excess of $25 per month unless the circuit
court has adopted, by administrative order issued by the chief
judge, a standard probation fee guide determining an offender's
ability to pay Of the amount collected as a probation fee, up
to $5 of that fee collected per month may be used to provide
services to crime victims and their families.
    The Court may only waive probation fees based on an
offender's ability to pay. The probation department may
re-evaluate an offender's ability to pay every 6 months, and,
with the approval of the Director of Court Services or the
Chief Probation Officer, adjust the monthly fee amount. An
offender may elect to pay probation fees due in a lump sum. Any
offender that has been assigned to the supervision of a
probation department, or has been transferred either under
subsection (h) of this Section or under any interstate compact,
shall be required to pay probation fees to the department
supervising the offender, based on the offender's ability to
pay.
    This amendatory Act of the 93rd General Assembly deletes
the $10 increase in the fee under this subsection that was
imposed by Public Act 93-616. This deletion is intended to
control over any other Act of the 93rd General Assembly that
retains or incorporates that fee increase.
    (i-5) In addition to the fees imposed under subsection (i)
of this Section, in the case of an offender convicted of a
felony sex offense (as defined in the Sex Offender Management
Board Act) or an offense that the court or probation department
has determined to be sexually motivated (as defined in the Sex
Offender Management Board Act), the court or the probation
department shall assess additional fees to pay for all costs of
treatment, assessment, evaluation for risk and treatment, and
monitoring the offender, based on that offender's ability to
pay those costs either as they occur or under a payment plan.
    (j) All fines and costs imposed under this Section for any
violation of Chapters 3, 4, 6, and 11 of the Illinois Vehicle
Code, or a similar provision of a local ordinance, and any
violation of the Child Passenger Protection Act, or a similar
provision of a local ordinance, shall be collected and
disbursed by the circuit clerk as provided under Section 27.5
of the Clerks of Courts Act.
    (k) Any offender who is sentenced to probation or
conditional discharge for a felony sex offense as defined in
the Sex Offender Management Board Act or any offense that the
court or probation department has determined to be sexually
motivated as defined in the Sex Offender Management Board Act
shall be required to refrain from any contact, directly or
indirectly, with any persons specified by the court and shall
be available for all evaluations and treatment programs
required by the court or the probation department.
    (l) The court may order an offender who is sentenced to
probation or conditional discharge for a violation of an order
of protection be placed under electronic surveillance as
provided in Section 5-8A-7 of this Code.
(Source: P.A. 96-262, eff. 1-1-10; 96-328, eff. 8-11-09;
96-362, eff. 1-1-10; 96-695, eff. 8-25-09; 96-1000, eff.
7-2-10; 96-1414, eff. 1-1-11; 96-1551, Article 2, Section 1065,
eff. 7-1-11; 96-1551, Article 10, Section 10-150, eff. 7-1-11;
97-454, eff. 1-1-12; 97-560, eff. 1-1-12; 97-597, eff. 1-1-12;
97-1109, eff. 1-1-13; 97-1131, eff. 1-1-13.)
 
    (730 ILCS 5/5-6-3.1)  (from Ch. 38, par. 1005-6-3.1)
    Sec. 5-6-3.1. Incidents and Conditions of Supervision.
    (a) When a defendant is placed on supervision, the court
shall enter an order for supervision specifying the period of
such supervision, and shall defer further proceedings in the
case until the conclusion of the period.
    (b) The period of supervision shall be reasonable under all
of the circumstances of the case, but may not be longer than 2
years, unless the defendant has failed to pay the assessment
required by Section 10.3 of the Cannabis Control Act, Section
411.2 of the Illinois Controlled Substances Act, or Section 80
of the Methamphetamine Control and Community Protection Act, in
which case the court may extend supervision beyond 2 years.
Additionally, the court shall order the defendant to perform no
less than 30 hours of community service and not more than 120
hours of community service, if community service is available
in the jurisdiction and is funded and approved by the county
board where the offense was committed, when the offense (1) was
related to or in furtherance of the criminal activities of an
organized gang or was motivated by the defendant's membership
in or allegiance to an organized gang; or (2) is a violation of
any Section of Article 24 of the Criminal Code of 1961 or the
Criminal Code of 2012 where a disposition of supervision is not
prohibited by Section 5-6-1 of this Code. The community service
shall include, but not be limited to, the cleanup and repair of
any damage caused by violation of Section 21-1.3 of the
Criminal Code of 1961 or the Criminal Code of 2012 and similar
damages to property located within the municipality or county
in which the violation occurred. Where possible and reasonable,
the community service should be performed in the offender's
neighborhood.
    For the purposes of this Section, "organized gang" has the
meaning ascribed to it in Section 10 of the Illinois Streetgang
Terrorism Omnibus Prevention Act.
    (c) The court may in addition to other reasonable
conditions relating to the nature of the offense or the
rehabilitation of the defendant as determined for each
defendant in the proper discretion of the court require that
the person:
        (1) make a report to and appear in person before or
    participate with the court or such courts, person, or
    social service agency as directed by the court in the order
    of supervision;
        (2) pay a fine and costs;
        (3) work or pursue a course of study or vocational
    training;
        (4) undergo medical, psychological or psychiatric
    treatment; or treatment for drug addiction or alcoholism;
        (5) attend or reside in a facility established for the
    instruction or residence of defendants on probation;
        (6) support his dependents;
        (7) refrain from possessing a firearm or other
    dangerous weapon;
        (8) and in addition, if a minor:
            (i) reside with his parents or in a foster home;
            (ii) attend school;
            (iii) attend a non-residential program for youth;
            (iv) contribute to his own support at home or in a
        foster home; or
            (v) with the consent of the superintendent of the
        facility, attend an educational program at a facility
        other than the school in which the offense was
        committed if he or she is placed on supervision for a
        crime of violence as defined in Section 2 of the Crime
        Victims Compensation Act committed in a school, on the
        real property comprising a school, or within 1,000 feet
        of the real property comprising a school;
        (9) make restitution or reparation in an amount not to
    exceed actual loss or damage to property and pecuniary loss
    or make restitution under Section 5-5-6 to a domestic
    violence shelter. The court shall determine the amount and
    conditions of payment;
        (10) perform some reasonable public or community
    service;
        (11) comply with the terms and conditions of an order
    of protection issued by the court pursuant to the Illinois
    Domestic Violence Act of 1986 or an order of protection
    issued by the court of another state, tribe, or United
    States territory. If the court has ordered the defendant to
    make a report and appear in person under paragraph (1) of
    this subsection, a copy of the order of protection shall be
    transmitted to the person or agency so designated by the
    court;
        (12) reimburse any "local anti-crime program" as
    defined in Section 7 of the Anti-Crime Advisory Council Act
    for any reasonable expenses incurred by the program on the
    offender's case, not to exceed the maximum amount of the
    fine authorized for the offense for which the defendant was
    sentenced;
        (13) contribute a reasonable sum of money, not to
    exceed the maximum amount of the fine authorized for the
    offense for which the defendant was sentenced, (i) to a
    "local anti-crime program", as defined in Section 7 of the
    Anti-Crime Advisory Council Act, or (ii) for offenses under
    the jurisdiction of the Department of Natural Resources, to
    the fund established by the Department of Natural Resources
    for the purchase of evidence for investigation purposes and
    to conduct investigations as outlined in Section 805-105 of
    the Department of Natural Resources (Conservation) Law;
        (14) refrain from entering into a designated
    geographic area except upon such terms as the court finds
    appropriate. Such terms may include consideration of the
    purpose of the entry, the time of day, other persons
    accompanying the defendant, and advance approval by a
    probation officer;
        (15) refrain from having any contact, directly or
    indirectly, with certain specified persons or particular
    types of person, including but not limited to members of
    street gangs and drug users or dealers;
        (16) refrain from having in his or her body the
    presence of any illicit drug prohibited by the Cannabis
    Control Act, the Illinois Controlled Substances Act, or the
    Methamphetamine Control and Community Protection Act,
    unless prescribed by a physician, and submit samples of his
    or her blood or urine or both for tests to determine the
    presence of any illicit drug;
        (17) refrain from operating any motor vehicle not
    equipped with an ignition interlock device as defined in
    Section 1-129.1 of the Illinois Vehicle Code; under this
    condition the court may allow a defendant who is not
    self-employed to operate a vehicle owned by the defendant's
    employer that is not equipped with an ignition interlock
    device in the course and scope of the defendant's
    employment; and
        (18) if placed on supervision for a sex offense as
    defined in subsection (a-5) of Section 3-1-2 of this Code,
    unless the offender is a parent or guardian of the person
    under 18 years of age present in the home and no
    non-familial minors are present, not participate in a
    holiday event involving children under 18 years of age,
    such as distributing candy or other items to children on
    Halloween, wearing a Santa Claus costume on or preceding
    Christmas, being employed as a department store Santa
    Claus, or wearing an Easter Bunny costume on or preceding
    Easter.
    (d) The court shall defer entering any judgment on the
charges until the conclusion of the supervision.
    (e) At the conclusion of the period of supervision, if the
court determines that the defendant has successfully complied
with all of the conditions of supervision, the court shall
discharge the defendant and enter a judgment dismissing the
charges.
    (f) Discharge and dismissal upon a successful conclusion of
a disposition of supervision shall be deemed without
adjudication of guilt and shall not be termed a conviction for
purposes of disqualification or disabilities imposed by law
upon conviction of a crime. Two years after the discharge and
dismissal under this Section, unless the disposition of
supervision was for a violation of Sections 3-707, 3-708,
3-710, 5-401.3, or 11-503 of the Illinois Vehicle Code or a
similar provision of a local ordinance, or for a violation of
Sections 12-3.2, 16-25, or 16A-3 of the Criminal Code of 1961
or the Criminal Code of 2012, in which case it shall be 5 years
after discharge and dismissal, a person may have his record of
arrest sealed or expunged as may be provided by law. However,
any defendant placed on supervision before January 1, 1980, may
move for sealing or expungement of his arrest record, as
provided by law, at any time after discharge and dismissal
under this Section. A person placed on supervision for a sexual
offense committed against a minor as defined in clause
(a)(1)(L) of Section 5.2 of the Criminal Identification Act or
for a violation of Section 11-501 of the Illinois Vehicle Code
or a similar provision of a local ordinance shall not have his
or her record of arrest sealed or expunged.
    (g) A defendant placed on supervision and who during the
period of supervision undergoes mandatory drug or alcohol
testing, or both, or is assigned to be placed on an approved
electronic monitoring device, shall be ordered to pay the costs
incidental to such mandatory drug or alcohol testing, or both,
and costs incidental to such approved electronic monitoring in
accordance with the defendant's ability to pay those costs. The
county board with the concurrence of the Chief Judge of the
judicial circuit in which the county is located shall establish
reasonable fees for the cost of maintenance, testing, and
incidental expenses related to the mandatory drug or alcohol
testing, or both, and all costs incidental to approved
electronic monitoring, of all defendants placed on
supervision. The concurrence of the Chief Judge shall be in the
form of an administrative order. The fees shall be collected by
the clerk of the circuit court. The clerk of the circuit court
shall pay all moneys collected from these fees to the county
treasurer who shall use the moneys collected to defray the
costs of drug testing, alcohol testing, and electronic
monitoring. The county treasurer shall deposit the fees
collected in the county working cash fund under Section 6-27001
or Section 6-29002 of the Counties Code, as the case may be.
    (h) A disposition of supervision is a final order for the
purposes of appeal.
    (i) The court shall impose upon a defendant placed on
supervision after January 1, 1992 or to community service under
the supervision of a probation or court services department
after January 1, 2004, as a condition of supervision or
supervised community service, a fee of $50 for each month of
supervision or supervised community service ordered by the
court, unless after determining the inability of the person
placed on supervision or supervised community service to pay
the fee, the court assesses a lesser fee. The court may not
impose the fee on a minor who is made a ward of the State under
the Juvenile Court Act of 1987 while the minor is in placement.
The fee shall be imposed only upon a defendant who is actively
supervised by the probation and court services department. The
fee shall be collected by the clerk of the circuit court. The
clerk of the circuit court shall pay all monies collected from
this fee to the county treasurer for deposit in the probation
and court services fund pursuant to Section 15.1 of the
Probation and Probation Officers Act.
    A circuit court may not impose a probation fee in excess of
$25 per month unless the circuit court has adopted, by
administrative order issued by the chief judge, a standard
probation fee guide determining an offender's ability to pay.
Of the amount collected as a probation fee, not to exceed $5 of
that fee collected per month may be used to provide services to
crime victims and their families.
    The Court may only waive probation fees based on an
offender's ability to pay. The probation department may
re-evaluate an offender's ability to pay every 6 months, and,
with the approval of the Director of Court Services or the
Chief Probation Officer, adjust the monthly fee amount. An
offender may elect to pay probation fees due in a lump sum. Any
offender that has been assigned to the supervision of a
probation department, or has been transferred either under
subsection (h) of this Section or under any interstate compact,
shall be required to pay probation fees to the department
supervising the offender, based on the offender's ability to
pay.
    (j) All fines and costs imposed under this Section for any
violation of Chapters 3, 4, 6, and 11 of the Illinois Vehicle
Code, or a similar provision of a local ordinance, and any
violation of the Child Passenger Protection Act, or a similar
provision of a local ordinance, shall be collected and
disbursed by the circuit clerk as provided under Section 27.5
of the Clerks of Courts Act.
    (k) A defendant at least 17 years of age who is placed on
supervision for a misdemeanor in a county of 3,000,000 or more
inhabitants and who has not been previously convicted of a
misdemeanor or felony may as a condition of his or her
supervision be required by the court to attend educational
courses designed to prepare the defendant for a high school
diploma and to work toward a high school diploma or to work
toward passing the high school level Test of General
Educational Development (GED) or to work toward completing a
vocational training program approved by the court. The
defendant placed on supervision must attend a public
institution of education to obtain the educational or
vocational training required by this subsection (k). The
defendant placed on supervision shall be required to pay for
the cost of the educational courses or GED test, if a fee is
charged for those courses or test. The court shall revoke the
supervision of a person who wilfully fails to comply with this
subsection (k). The court shall resentence the defendant upon
revocation of supervision as provided in Section 5-6-4. This
subsection (k) does not apply to a defendant who has a high
school diploma or has successfully passed the GED test. This
subsection (k) does not apply to a defendant who is determined
by the court to be developmentally disabled or otherwise
mentally incapable of completing the educational or vocational
program.
    (l) The court shall require a defendant placed on
supervision for possession of a substance prohibited by the
Cannabis Control Act, the Illinois Controlled Substances Act,
or the Methamphetamine Control and Community Protection Act
after a previous conviction or disposition of supervision for
possession of a substance prohibited by the Cannabis Control
Act, the Illinois Controlled Substances Act, or the
Methamphetamine Control and Community Protection Act or a
sentence of probation under Section 10 of the Cannabis Control
Act or Section 410 of the Illinois Controlled Substances Act
and after a finding by the court that the person is addicted,
to undergo treatment at a substance abuse program approved by
the court.
    (m) The Secretary of State shall require anyone placed on
court supervision for a violation of Section 3-707 of the
Illinois Vehicle Code or a similar provision of a local
ordinance to give proof of his or her financial responsibility
as defined in Section 7-315 of the Illinois Vehicle Code. The
proof shall be maintained by the individual in a manner
satisfactory to the Secretary of State for a minimum period of
3 years after the date the proof is first filed. The proof
shall be limited to a single action per arrest and may not be
affected by any post-sentence disposition. The Secretary of
State shall suspend the driver's license of any person
determined by the Secretary to be in violation of this
subsection.
    (n) Any offender placed on supervision for any offense that
the court or probation department has determined to be sexually
motivated as defined in the Sex Offender Management Board Act
shall be required to refrain from any contact, directly or
indirectly, with any persons specified by the court and shall
be available for all evaluations and treatment programs
required by the court or the probation department.
    (o) An offender placed on supervision for a sex offense as
defined in the Sex Offender Management Board Act shall refrain
from residing at the same address or in the same condominium
unit or apartment unit or in the same condominium complex or
apartment complex with another person he or she knows or
reasonably should know is a convicted sex offender or has been
placed on supervision for a sex offense. The provisions of this
subsection (o) do not apply to a person convicted of a sex
offense who is placed in a Department of Corrections licensed
transitional housing facility for sex offenders.
    (p) An offender placed on supervision for an offense
committed on or after June 1, 2008 (the effective date of
Public Act 95-464) that would qualify the accused as a child
sex offender as defined in Section 11-9.3 or 11-9.4 of the
Criminal Code of 1961 or the Criminal Code of 2012 shall
refrain from communicating with or contacting, by means of the
Internet, a person who is not related to the accused and whom
the accused reasonably believes to be under 18 years of age.
For purposes of this subsection (p), "Internet" has the meaning
ascribed to it in Section 16-0.1 of the Criminal Code of 2012
1961; and a person is not related to the accused if the person
is not: (i) the spouse, brother, or sister of the accused; (ii)
a descendant of the accused; (iii) a first or second cousin of
the accused; or (iv) a step-child or adopted child of the
accused.
    (q) An offender placed on supervision for an offense
committed on or after June 1, 2008 (the effective date of
Public Act 95-464) that would qualify the accused as a child
sex offender as defined in Section 11-9.3 or 11-9.4 of the
Criminal Code of 1961 or the Criminal Code of 2012 shall, if so
ordered by the court, refrain from communicating with or
contacting, by means of the Internet, a person who is related
to the accused and whom the accused reasonably believes to be
under 18 years of age. For purposes of this subsection (q),
"Internet" has the meaning ascribed to it in Section 16-0.1 of
the Criminal Code of 2012 1961; and a person is related to the
accused if the person is: (i) the spouse, brother, or sister of
the accused; (ii) a descendant of the accused; (iii) a first or
second cousin of the accused; or (iv) a step-child or adopted
child of the accused.
    (r) An offender placed on supervision for an offense under
Section 11-6, 11-9.1, 11-14.4 that involves soliciting for a
juvenile prostitute, 11-15.1, 11-20.1, 11-20.1B, 11-20.3, or
11-21 of the Criminal Code of 1961 or the Criminal Code of
2012, or any attempt to commit any of these offenses, committed
on or after the effective date of this amendatory Act of the
95th General Assembly shall:
        (i) not access or use a computer or any other device
    with Internet capability without the prior written
    approval of the court, except in connection with the
    offender's employment or search for employment with the
    prior approval of the court;
        (ii) submit to periodic unannounced examinations of
    the offender's computer or any other device with Internet
    capability by the offender's probation officer, a law
    enforcement officer, or assigned computer or information
    technology specialist, including the retrieval and copying
    of all data from the computer or device and any internal or
    external peripherals and removal of such information,
    equipment, or device to conduct a more thorough inspection;
        (iii) submit to the installation on the offender's
    computer or device with Internet capability, at the
    offender's expense, of one or more hardware or software
    systems to monitor the Internet use; and
        (iv) submit to any other appropriate restrictions
    concerning the offender's use of or access to a computer or
    any other device with Internet capability imposed by the
    court.
    (s) An offender placed on supervision for an offense that
is a sex offense as defined in Section 2 of the Sex Offender
Registration Act that is committed on or after January 1, 2010
(the effective date of Public Act 96-362) that requires the
person to register as a sex offender under that Act, may not
knowingly use any computer scrub software on any computer that
the sex offender uses.
    (t) An offender placed on supervision for a sex offense as
defined in the Sex Offender Registration Act committed on or
after January 1, 2010 (the effective date of Public Act 96-262)
shall refrain from accessing or using a social networking
website as defined in Section 17-0.5 of the Criminal Code of
2012 1961.
    (u) Jurisdiction over an offender may be transferred from
the sentencing court to the court of another circuit with the
concurrence of both courts. Further transfers or retransfers of
jurisdiction are also authorized in the same manner. The court
to which jurisdiction has been transferred shall have the same
powers as the sentencing court. The probation department within
the circuit to which jurisdiction has been transferred may
impose probation fees upon receiving the transferred offender,
as provided in subsection (i). The probation department from
the original sentencing court shall retain all probation fees
collected prior to the transfer.
(Source: P.A. 96-262, eff. 1-1-10; 96-362, eff. 1-1-10; 96-409,
eff. 1-1-10; 96-1000, eff. 7-2-10; 96-1414, eff. 1-1-11;
96-1551, Article 2, Section 1065, eff. 7-1-11; 96-1551, Article
10, Section 10-150, eff. 7-1-11; 97-454, eff. 1-1-12; 97-597,
eff. 1-1-12; 97-1109, eff. 1-1-13.)
 
    (730 ILCS 5/5-8-1)  (from Ch. 38, par. 1005-8-1)
    Sec. 5-8-1. Natural life imprisonment; enhancements for
use of a firearm; mandatory supervised release terms.
    (a) Except as otherwise provided in the statute defining
the offense or in Article 4.5 of Chapter V, a sentence of
imprisonment for a felony shall be a determinate sentence set
by the court under this Section, according to the following
limitations:
        (1) for first degree murder,
            (a) (blank),
            (b) if a trier of fact finds beyond a reasonable
        doubt that the murder was accompanied by exceptionally
        brutal or heinous behavior indicative of wanton
        cruelty or, except as set forth in subsection (a)(1)(c)
        of this Section, that any of the aggravating factors
        listed in subsection (b) or (b-5) of Section 9-1 of the
        Criminal Code of 1961 or the Criminal Code of 2012 are
        present, the court may sentence the defendant to a term
        of natural life imprisonment, or
            (c) the court shall sentence the defendant to a
        term of natural life imprisonment when the death
        penalty is not imposed if the defendant,
                (i) has previously been convicted of first
            degree murder under any state or federal law, or
                (ii) is a person who, at the time of the
            commission of the murder, had attained the age of
            17 or more and is found guilty of murdering an
            individual under 12 years of age; or, irrespective
            of the defendant's age at the time of the
            commission of the offense, is found guilty of
            murdering more than one victim, or
                (iii) is found guilty of murdering a peace
            officer, fireman, or emergency management worker
            when the peace officer, fireman, or emergency
            management worker was killed in the course of
            performing his official duties, or to prevent the
            peace officer or fireman from performing his
            official duties, or in retaliation for the peace
            officer, fireman, or emergency management worker
            from performing his official duties, and the
            defendant knew or should have known that the
            murdered individual was a peace officer, fireman,
            or emergency management worker, or
                (iv) is found guilty of murdering an employee
            of an institution or facility of the Department of
            Corrections, or any similar local correctional
            agency, when the employee was killed in the course
            of performing his official duties, or to prevent
            the employee from performing his official duties,
            or in retaliation for the employee performing his
            official duties, or
                (v) is found guilty of murdering an emergency
            medical technician - ambulance, emergency medical
            technician - intermediate, emergency medical
            technician - paramedic, ambulance driver or other
            medical assistance or first aid person while
            employed by a municipality or other governmental
            unit when the person was killed in the course of
            performing official duties or to prevent the
            person from performing official duties or in
            retaliation for performing official duties and the
            defendant knew or should have known that the
            murdered individual was an emergency medical
            technician - ambulance, emergency medical
            technician - intermediate, emergency medical
            technician - paramedic, ambulance driver, or other
            medical assistant or first aid personnel, or
                (vi) is a person who, at the time of the
            commission of the murder, had not attained the age
            of 17, and is found guilty of murdering a person
            under 12 years of age and the murder is committed
            during the course of aggravated criminal sexual
            assault, criminal sexual assault, or aggravated
            kidnaping, or
                (vii) is found guilty of first degree murder
            and the murder was committed by reason of any
            person's activity as a community policing
            volunteer or to prevent any person from engaging in
            activity as a community policing volunteer. For
            the purpose of this Section, "community policing
            volunteer" has the meaning ascribed to it in
            Section 2-3.5 of the Criminal Code of 2012 1961.
            For purposes of clause (v), "emergency medical
        technician - ambulance", "emergency medical technician -
         intermediate", "emergency medical technician -
        paramedic", have the meanings ascribed to them in the
        Emergency Medical Services (EMS) Systems Act.
            (d) (i) if the person committed the offense while
            armed with a firearm, 15 years shall be added to
            the term of imprisonment imposed by the court;
                (ii) if, during the commission of the offense,
            the person personally discharged a firearm, 20
            years shall be added to the term of imprisonment
            imposed by the court;
                (iii) if, during the commission of the
            offense, the person personally discharged a
            firearm that proximately caused great bodily harm,
            permanent disability, permanent disfigurement, or
            death to another person, 25 years or up to a term
            of natural life shall be added to the term of
            imprisonment imposed by the court.
        (2) (blank);
        (2.5) for a person convicted under the circumstances
    described in subdivision (b)(1)(B) of Section 11-1.20 or
    paragraph (3) of subsection (b) of Section 12-13,
    subdivision (d)(2) of Section 11-1.30 or paragraph (2) of
    subsection (d) of Section 12-14, subdivision (b)(1.2) of
    Section 11-1.40 or paragraph (1.2) of subsection (b) of
    Section 12-14.1, subdivision (b)(2) of Section 11-1.40 or
    paragraph (2) of subsection (b) of Section 12-14.1 of the
    Criminal Code of 1961 or the Criminal Code of 2012, the
    sentence shall be a term of natural life imprisonment.
    (b) (Blank).
    (c) (Blank).
    (d) Subject to earlier termination under Section 3-3-8, the
parole or mandatory supervised release term shall be written as
part of the sentencing order and shall be as follows:
        (1) for first degree murder or a Class X felony except
    for the offenses of predatory criminal sexual assault of a
    child, aggravated criminal sexual assault, and criminal
    sexual assault if committed on or after the effective date
    of this amendatory Act of the 94th General Assembly and
    except for the offense of aggravated child pornography
    under Section 11-20.1B, or 11-20.3, or 11-20.1 with
    sentencing under subsection (c-5) of Section 11-20.1 of the
    Criminal Code of 1961 or the Criminal Code of 2012, if
    committed on or after January 1, 2009, 3 years;
        (2) for a Class 1 felony or a Class 2 felony except for
    the offense of criminal sexual assault if committed on or
    after the effective date of this amendatory Act of the 94th
    General Assembly and except for the offenses of manufacture
    and dissemination of child pornography under clauses
    (a)(1) and (a)(2) of Section 11-20.1 of the Criminal Code
    of 1961 or the Criminal Code of 2012, if committed on or
    after January 1, 2009, 2 years;
        (3) for a Class 3 felony or a Class 4 felony, 1 year;
        (4) for defendants who commit the offense of predatory
    criminal sexual assault of a child, aggravated criminal
    sexual assault, or criminal sexual assault, on or after the
    effective date of this amendatory Act of the 94th General
    Assembly, or who commit the offense of aggravated child
    pornography under Section 11-20.1B, 11-20.3, or 11-20.1
    with sentencing under subsection (c-5) of Section 11-20.1
    of the Criminal Code of 1961 or the Criminal Code of 2012,
    manufacture of child pornography, or dissemination of
    child pornography after January 1, 2009, the term of
    mandatory supervised release shall range from a minimum of
    3 years to a maximum of the natural life of the defendant;
        (5) if the victim is under 18 years of age, for a
    second or subsequent offense of aggravated criminal sexual
    abuse or felony criminal sexual abuse, 4 years, at least
    the first 2 years of which the defendant shall serve in an
    electronic home detention program under Article 8A of
    Chapter V of this Code;
        (6) for a felony domestic battery, aggravated domestic
    battery, stalking, aggravated stalking, and a felony
    violation of an order of protection, 4 years.
    (e) (Blank).
    (f) (Blank).
(Source: P.A. 96-282, eff. 1-1-10; 96-1000, eff. 7-2-10;
96-1200, eff. 7-22-10; 96-1475, eff. 1-1-11; 96-1551, eff.
7-1-11; 97-333, eff. 8-12-11; 97-531, eff. 1-1-12; 97-1109,
eff. 1-1-13.)
 
    (730 ILCS 5/5-8-1.2)
    Sec. 5-8-1.2. County impact incarceration.
    (a) Legislative intent. It is the finding of the General
Assembly that certain non-violent offenders eligible for
sentences of incarceration may benefit from the rehabilitative
aspects of a county impact incarceration program. It is the
intent of the General Assembly that such programs be
implemented as provided by this Section. This Section shall not
be construed to allow violent offenders to participate in a
county impact incarceration program.
    (b) Under the direction of the Sheriff and with the
approval of the County Board of Commissioners, the Sheriff, in
any county with more than 3,000,000 inhabitants, may establish
and operate a county impact incarceration program for eligible
offenders. If the court finds under Section 5-4-1 that an
offender convicted of a felony meets the eligibility
requirements of the Sheriff's county impact incarceration
program, the court may sentence the offender to the county
impact incarceration program. The Sheriff shall be responsible
for monitoring all offenders who are sentenced to the county
impact incarceration program, including the mandatory period
of monitored release following the 120 to 180 days of impact
incarceration. Offenders assigned to the county impact
incarceration program under an intergovernmental agreement
between the county and the Illinois Department of Corrections
are exempt from the provisions of this mandatory period of
monitored release. In the event the offender is not accepted
for placement in the county impact incarceration program, the
court shall proceed to sentence the offender to any other
disposition authorized by this Code. If the offender does not
successfully complete the program, the offender's failure to do
so shall constitute a violation of the sentence to the county
impact incarceration program.
    (c) In order to be eligible to be sentenced to a county
impact incarceration program by the court, the person shall
meet all of the following requirements:
        (1) the person must be not less than 17 years of age
    nor more than 35 years of age;
        (2) The person has not previously participated in the
    impact incarceration program and has not previously served
    more than one prior sentence of imprisonment for a felony
    in an adult correctional facility;
        (3) The person has not been convicted of a Class X
    felony, first or second degree murder, armed violence,
    aggravated kidnapping, criminal sexual assault, aggravated
    criminal sexual abuse or a subsequent conviction for
    criminal sexual abuse, forcible detention, or arson and has
    not been convicted previously of any of those offenses.
        (4) The person has been found in violation of probation
    for an offense that is a Class 2, 3, or 4 felony that is not
    a forcible felony as defined in Section 2-8 of the Criminal
    Code of 2012 1961 or a violent crime as defined in
    subsection (c) of Section 3 of the Rights of Crime Victims
    and Witnesses Act who otherwise could be sentenced to a
    term of incarceration; or the person is convicted of an
    offense that is a Class 2, 3, or 4 felony that is not a
    forcible felony as defined in Section 2-8 of the Criminal
    Code of 2012 1961 or a violent crime as defined in
    subsection (c) of Section 3 of the Rights of Crime Victims
    and Witnesses Act who has previously served a sentence of
    probation for any felony offense and who otherwise could be
    sentenced to a term of incarceration.
        (5) The person must be physically able to participate
    in strenuous physical activities or labor.
        (6) The person must not have any mental disorder or
    disability that would prevent participation in a county
    impact incarceration program.
        (7) The person was recommended and approved for
    placement in the county impact incarceration program by the
    Sheriff and consented in writing to participation in the
    county impact incarceration program and to the terms and
    conditions of the program. The Sheriff may consider, among
    other matters, whether the person has any outstanding
    detainers or warrants, whether the person has a history of
    escaping or absconding, whether participation in the
    county impact incarceration program may pose a risk to the
    safety or security of any person and whether space is
    available.
    (c) The county impact incarceration program shall include,
among other matters, mandatory physical training and labor,
military formation and drills, regimented activities,
uniformity of dress and appearance, education and counseling,
including drug counseling where appropriate.
    (d) Privileges including visitation, commissary, receipt
and retention of property and publications and access to
television, radio, and a library may be suspended or
restricted, notwithstanding provisions to the contrary in this
Code.
    (e) The Sheriff shall issue written rules and requirements
for the program. Persons shall be informed of rules of behavior
and conduct. Persons participating in the county impact
incarceration program shall adhere to all rules and all
requirements of the program.
    (f) Participation in the county impact incarceration
program shall be for a period of 120 to 180 days followed by a
mandatory term of monitored release for at least 8 months and
no more than 12 months supervised by the Sheriff. The period of
time a person shall serve in the impact incarceration program
shall not be reduced by the accumulation of good time. The
court may also sentence the person to a period of probation to
commence at the successful completion of the county impact
incarceration program.
    (g) If the person successfully completes the county impact
incarceration program, the Sheriff shall certify the person's
successful completion of the program to the court and to the
county's State's Attorney. Upon successful completion of the
county impact incarceration program and mandatory term of
monitored release and if there is an additional period of
probation given, the person shall at that time begin his or her
probationary sentence under the supervision of the Adult
Probation Department.
    (h) A person may be removed from the county impact
incarceration program for a violation of the terms or
conditions of the program or in the event he or she is for any
reason unable to participate. The failure to complete the
program for any reason, including the 8 to 12 month monitored
release period, shall be deemed a violation of the county
impact incarceration sentence. The Sheriff shall give notice to
the State's Attorney of the person's failure to complete the
program. The Sheriff shall file a petition for violation of the
county impact incarceration sentence with the court and the
State's Attorney may proceed on the petition under Section
5-6-4 of this Code. The Sheriff shall promulgate rules and
regulations governing conduct which could result in removal
from the program or in a determination that the person has not
successfully completed the program.
    The mandatory conditions of every county impact
incarceration sentence shall include that the person either
while in the program or during the period of monitored release:
        (1) not violate any criminal statute of any
    jurisdiction;
        (2) report or appear in person before any such person
    or agency as directed by the court or the Sheriff;
        (3) refrain from possessing a firearm or other
    dangerous weapon;
        (4) not leave the State without the consent of the
    court or, in circumstances in which the reason for the
    absence is of such an emergency nature that prior consent
    by the court is not possible, without the prior
    notification and approval of the Sheriff; and
        (5) permit representatives of the Sheriff to visit at
    the person's home or elsewhere to the extent necessary for
    the Sheriff to monitor compliance with the program. Persons
    shall have access to such rules, which shall provide that a
    person shall receive notice of any such violation.
    (i) The Sheriff may terminate the county impact
incarceration program at any time.
    (j) The Sheriff shall report to the county board on or
before September 30th of each year on the county impact
incarceration program, including the composition of the
program by the offenders, by county of commitment, sentence,
age, offense, and race.
(Source: P.A. 89-587, eff. 7-31-96.)
 
    (730 ILCS 5/5-8-4)  (from Ch. 38, par. 1005-8-4)
    Sec. 5-8-4. Concurrent and consecutive terms of
imprisonment.
    (a) Concurrent terms; multiple or additional sentences.
When an Illinois court (i) imposes multiple sentences of
imprisonment on a defendant at the same time or (ii) imposes a
sentence of imprisonment on a defendant who is already subject
to a sentence of imprisonment imposed by an Illinois court, a
court of another state, or a federal court, then the sentences
shall run concurrently unless otherwise determined by the
Illinois court under this Section.
    (b) Concurrent terms; misdemeanor and felony. A defendant
serving a sentence for a misdemeanor who is convicted of a
felony and sentenced to imprisonment shall be transferred to
the Department of Corrections, and the misdemeanor sentence
shall be merged in and run concurrently with the felony
sentence.
    (c) Consecutive terms; permissive. The court may impose
consecutive sentences in any of the following circumstances:
        (1) If, having regard to the nature and circumstances
    of the offense and the history and character of the
    defendant, it is the opinion of the court that consecutive
    sentences are required to protect the public from further
    criminal conduct by the defendant, the basis for which the
    court shall set forth in the record.
        (2) If one of the offenses for which a defendant was
    convicted was a violation of Section 32-5.2 (aggravated
    false personation of a peace officer) of the Criminal Code
    of 1961 (720 ILCS 5/32-5.2) or a violation of subdivision
    (b)(5) or (b)(6) of Section 17-2 of the Criminal Code of
    1961 or the Criminal Code of 2012 that Code (720 ILCS
    5/17-2) and the offense was committed in attempting or
    committing a forcible felony.
    (d) Consecutive terms; mandatory. The court shall impose
consecutive sentences in each of the following circumstances:
        (1) One of the offenses for which the defendant was
    convicted was first degree murder or a Class X or Class 1
    felony and the defendant inflicted severe bodily injury.
        (2) The defendant was convicted of a violation of
    Section 11-20.1 (child pornography), 11-20.1B or 11-20.3
    (aggravated child pornography), 11-1.20 or 12-13 (criminal
    sexual assault), 11-1.30 or 12-14 (aggravated criminal
    sexual assault), or 11-1.40 or 12-14.1 (predatory criminal
    sexual assault of a child) of the Criminal Code of 1961 or
    the Criminal Code of 2012 (720 ILCS 5/11-20.1, 5/11-20.1B,
    5/11-20.3, 5/11-1.20, 5/12-13, 5/11-1.30, 5/12-14,
    5/11-1.40, or 5/12-14.1).
        (3) The defendant was convicted of armed violence based
    upon the predicate offense of any of the following:
    solicitation of murder, solicitation of murder for hire,
    heinous battery as described in Section 12-4.1 or
    subdivision (a)(2) of Section 12-3.05, aggravated battery
    of a senior citizen as described in Section 12-4.6 or
    subdivision (a)(4) of Section 12-3.05, criminal sexual
    assault, a violation of subsection (g) of Section 5 of the
    Cannabis Control Act (720 ILCS 550/5), cannabis
    trafficking, a violation of subsection (a) of Section 401
    of the Illinois Controlled Substances Act (720 ILCS
    570/401), controlled substance trafficking involving a
    Class X felony amount of controlled substance under Section
    401 of the Illinois Controlled Substances Act (720 ILCS
    570/401), a violation of the Methamphetamine Control and
    Community Protection Act (720 ILCS 646/), calculated
    criminal drug conspiracy, or streetgang criminal drug
    conspiracy.
        (4) The defendant was convicted of the offense of
    leaving the scene of a motor vehicle accident involving
    death or personal injuries under Section 11-401 of the
    Illinois Vehicle Code (625 ILCS 5/11-401) and either: (A)
    aggravated driving under the influence of alcohol, other
    drug or drugs, or intoxicating compound or compounds, or
    any combination thereof under Section 11-501 of the
    Illinois Vehicle Code (625 ILCS 5/11-501), (B) reckless
    homicide under Section 9-3 of the Criminal Code of 1961 or
    the Criminal Code of 2012 (720 ILCS 5/9-3), or (C) both an
    offense described in item (A) and an offense described in
    item (B).
        (5) The defendant was convicted of a violation of
    Section 9-3.1 or Section 9-3.4 (concealment of homicidal
    death) or Section 12-20.5 (dismembering a human body) of
    the Criminal Code of 1961 or the Criminal Code of 2012 (720
    ILCS 5/9-3.1 or 5/12-20.5).
        (5.5) The defendant was convicted of a violation of
    Section 24-3.7 (use of a stolen firearm in the commission
    of an offense) of the Criminal Code of 1961 or the Criminal
    Code of 2012.
        (6) If the defendant was in the custody of the
    Department of Corrections at the time of the commission of
    the offense, the sentence shall be served consecutive to
    the sentence under which the defendant is held by the
    Department of Corrections. If, however, the defendant is
    sentenced to punishment by death, the sentence shall be
    executed at such time as the court may fix without regard
    to the sentence under which the defendant may be held by
    the Department.
        (7) A sentence under Section 3-6-4 (730 ILCS 5/3-6-4)
    for escape or attempted escape shall be served consecutive
    to the terms under which the offender is held by the
    Department of Corrections.
        (8) If a person charged with a felony commits a
    separate felony while on pretrial release or in pretrial
    detention in a county jail facility or county detention
    facility, then the sentences imposed upon conviction of
    these felonies shall be served consecutively regardless of
    the order in which the judgments of conviction are entered.
        (8.5) If a person commits a battery against a county
    correctional officer or sheriff's employee while serving a
    sentence or in pretrial detention in a county jail
    facility, then the sentence imposed upon conviction of the
    battery shall be served consecutively with the sentence
    imposed upon conviction of the earlier misdemeanor or
    felony, regardless of the order in which the judgments of
    conviction are entered.
        (9) If a person admitted to bail following conviction
    of a felony commits a separate felony while free on bond or
    if a person detained in a county jail facility or county
    detention facility following conviction of a felony
    commits a separate felony while in detention, then any
    sentence following conviction of the separate felony shall
    be consecutive to that of the original sentence for which
    the defendant was on bond or detained.
        (10) If a person is found to be in possession of an
    item of contraband, as defined in Section 31A-0.1 of the
    Criminal Code of 2012 1961, while serving a sentence in a
    county jail or while in pre-trial detention in a county
    jail, the sentence imposed upon conviction for the offense
    of possessing contraband in a penal institution shall be
    served consecutively to the sentence imposed for the
    offense in which the person is serving sentence in the
    county jail or serving pretrial detention, regardless of
    the order in which the judgments of conviction are entered.
        (11) If a person is sentenced for a violation of bail
    bond under Section 32-10 of the Criminal Code of 1961 or
    the Criminal Code of 2012, any sentence imposed for that
    violation shall be served consecutive to the sentence
    imposed for the charge for which bail had been granted and
    with respect to which the defendant has been convicted.
    (e) Consecutive terms; subsequent non-Illinois term. If an
Illinois court has imposed a sentence of imprisonment on a
defendant and the defendant is subsequently sentenced to a term
of imprisonment by a court of another state or a federal court,
then the Illinois sentence shall run consecutively to the
sentence imposed by the court of the other state or the federal
court. That same Illinois court, however, may order that the
Illinois sentence run concurrently with the sentence imposed by
the court of the other state or the federal court, but only if
the defendant applies to that same Illinois court within 30
days after the sentence imposed by the court of the other state
or the federal court is finalized.
    (f) Consecutive terms; aggregate maximums and minimums.
The aggregate maximum and aggregate minimum of consecutive
sentences shall be determined as follows:
        (1) For sentences imposed under law in effect prior to
    February 1, 1978, the aggregate maximum of consecutive
    sentences shall not exceed the maximum term authorized
    under Section 5-8-1 (730 ILCS 5/5-8-1) or Article 4.5 of
    Chapter V for the 2 most serious felonies involved. The
    aggregate minimum period of consecutive sentences shall
    not exceed the highest minimum term authorized under
    Section 5-8-1 (730 ILCS 5/5-8-1) or Article 4.5 of Chapter
    V for the 2 most serious felonies involved. When sentenced
    only for misdemeanors, a defendant shall not be
    consecutively sentenced to more than the maximum for one
    Class A misdemeanor.
        (2) For sentences imposed under the law in effect on or
    after February 1, 1978, the aggregate of consecutive
    sentences for offenses that were committed as part of a
    single course of conduct during which there was no
    substantial change in the nature of the criminal objective
    shall not exceed the sum of the maximum terms authorized
    under Article 4.5 of Chapter V for the 2 most serious
    felonies involved, but no such limitation shall apply for
    offenses that were not committed as part of a single course
    of conduct during which there was no substantial change in
    the nature of the criminal objective. When sentenced only
    for misdemeanors, a defendant shall not be consecutively
    sentenced to more than the maximum for one Class A
    misdemeanor.
    (g) Consecutive terms; manner served. In determining the
manner in which consecutive sentences of imprisonment, one or
more of which is for a felony, will be served, the Department
of Corrections shall treat the defendant as though he or she
had been committed for a single term subject to each of the
following:
        (1) The maximum period of a term of imprisonment shall
    consist of the aggregate of the maximums of the imposed
    indeterminate terms, if any, plus the aggregate of the
    imposed determinate sentences for felonies, plus the
    aggregate of the imposed determinate sentences for
    misdemeanors, subject to subsection (f) of this Section.
        (2) The parole or mandatory supervised release term
    shall be as provided in paragraph (e) of Section 5-4.5-50
    (730 ILCS 5/5-4.5-50) for the most serious of the offenses
    involved.
        (3) The minimum period of imprisonment shall be the
    aggregate of the minimum and determinate periods of
    imprisonment imposed by the court, subject to subsection
    (f) of this Section.
        (4) The defendant shall be awarded credit against the
    aggregate maximum term and the aggregate minimum term of
    imprisonment for all time served in an institution since
    the commission of the offense or offenses and as a
    consequence thereof at the rate specified in Section 3-6-3
    (730 ILCS 5/3-6-3).
(Source: P.A. 96-190, eff. 1-1-10; 96-1000, eff. 7-2-10;
96-1200, eff. 7-22-10; 96-1551, Article 1, Section 970, eff.
7-1-11; 96-1551, Article 2, Section 1065, eff. 7-1-11; 96-1551,
Article 10, Section 10-150, eff. 7-1-11; 97-475, eff. 8-22-11;
97-1108, eff. 1-1-13; 97-1109, eff. 1-1-13.)
 
    (730 ILCS 5/5-8A-6)
    Sec. 5-8A-6. Electronic monitoring of certain sex
offenders. For a sexual predator subject to electronic home
monitoring under paragraph (7.7) of subsection (a) of Section
3-3-7, the Department of Corrections must use a system that
actively monitors and identifies the offender's current
location and timely reports or records the offender's presence
and that alerts the Department of the offender's presence
within a prohibited area described in Section Sections 11-9.3
and 11-9.4 of the Criminal Code of 2012 1961, in a court order,
or as a condition of the offender's parole, mandatory
supervised release, or extended mandatory supervised release
and the offender's departure from specified geographic
limitations. To the extent that he or she is able to do so,
which the Department of Corrections by rule shall determine,
the offender must pay for the cost of the electronic home
monitoring.
(Source: P.A. 94-988, eff. 1-1-07; 95-640, eff. 6-1-08.)
 
    (730 ILCS 5/5-9-1.3)  (from Ch. 38, par. 1005-9-1.3)
    Sec. 5-9-1.3. Fines for offenses involving theft,
deceptive practices, and offenses against units of local
government or school districts.
    (a) When a person has been adjudged guilty of a felony
under Section 16-1, 16D-3, 16D-4, 16D-5, 16D-5.5, or 17-1,
17-50, 17-51, 17-52, 17-52.5, or subsection (a) of Section
17-32 of the Criminal Code of 1961 or the Criminal Code of
2012, a fine may be levied by the court in an amount which is
the greater of $25,000 or twice the value of the property which
is the subject of the offense.
    (b) When a person has been convicted of a felony under
Section 16-1 of the Criminal Code of 1961 or the Criminal Code
of 2012 and the theft was committed upon any unit of local
government or school district, or the person has been convicted
of any violation of Sections 33C-1 through 33C-4 or Sections
33E-3 through 33E-18, or subsection (a), (b), (c), or (d) of
Section 17-10.3, of the Criminal Code of 1961 or the Criminal
Code of 2012, a fine may be levied by the court in an amount
that is the greater of $25,000 or treble the value of the
property which is the subject of the offense or loss to the
unit of local government or school district.
    (c) All fines imposed under subsection (b) of this Section
shall be distributed as follows:
        (1) An amount equal to 30% shall be distributed to the
    unit of local government or school district that was the
    victim of the offense;
        (2) An amount equal to 30% shall be distributed to the
    unit of local government whose officers or employees
    conducted the investigation into the crimes against the
    unit of local government or school district. Amounts
    distributed to units of local government shall be used
    solely for the enforcement of criminal laws protecting
    units of local government or school districts;
        (3) An amount equal to 30% shall be distributed to the
    State's Attorney of the county in which the prosecution
    resulting in the conviction was instituted. The funds shall
    be used solely for the enforcement of criminal laws
    protecting units of local government or school districts;
    and
        (4) An amount equal to 10% shall be distributed to the
    circuit court clerk of the county where the prosecution
    resulting in the conviction was instituted.
    (d) A fine order under subsection (b) of this Section is a
judgment lien in favor of the victim unit of local government
or school district, the State's Attorney of the county where
the violation occurred, the law enforcement agency that
investigated the violation, and the circuit court clerk.
(Source: P.A. 96-1200, eff. 7-22-10; 96-1551, eff. 7-1-11.)
 
    (730 ILCS 5/5-9-1.7)  (from Ch. 38, par. 1005-9-1.7)
    Sec. 5-9-1.7. Sexual assault fines.
    (a) Definitions. The terms used in this Section shall have
the following meanings ascribed to them:
        (1) "Sexual assault" means the commission or attempted
    commission of the following: sexual exploitation of a
    child, criminal sexual assault, predatory criminal sexual
    assault of a child, aggravated criminal sexual assault,
    criminal sexual abuse, aggravated criminal sexual abuse,
    indecent solicitation of a child, public indecency, sexual
    relations within families, promoting juvenile
    prostitution, soliciting for a juvenile prostitute,
    keeping a place of juvenile prostitution, patronizing a
    juvenile prostitute, juvenile pimping, exploitation of a
    child, obscenity, child pornography, aggravated child
    pornography, harmful material, or ritualized abuse of a
    child, as those offenses are defined in the Criminal Code
    of 1961 or the Criminal Code of 2012.
        (2) "Family member" shall have the meaning ascribed to
    it in Section 11-0.1 of the Criminal Code of 2012 1961.
        (3) "Sexual assault organization" means any
    not-for-profit organization providing comprehensive,
    community-based services to victims of sexual assault.
    "Community-based services" include, but are not limited
    to, direct crisis intervention through a 24-hour response,
    medical and legal advocacy, counseling, information and
    referral services, training, and community education.
    (b) Sexual assault fine; collection by clerk.
        (1) In addition to any other penalty imposed, a fine of
    $200 shall be imposed upon any person who pleads guilty or
    who is convicted of, or who receives a disposition of court
    supervision for, a sexual assault or attempt of a sexual
    assault. Upon request of the victim or the victim's
    representative, the court shall determine whether the fine
    will impose an undue burden on the victim of the offense.
    For purposes of this paragraph, the defendant may not be
    considered the victim's representative. If the court finds
    that the fine would impose an undue burden on the victim,
    the court may reduce or waive the fine. The court shall
    order that the defendant may not use funds belonging solely
    to the victim of the offense for payment of the fine.
        (2) Sexual assault fines shall be assessed by the court
    imposing the sentence and shall be collected by the circuit
    clerk. The circuit clerk shall retain 10% of the penalty to
    cover the costs involved in administering and enforcing
    this Section. The circuit clerk shall remit the remainder
    of each fine within one month of its receipt to the State
    Treasurer for deposit as follows:
            (i) for family member offenders, one-half to the
        Sexual Assault Services Fund, and one-half to the
        Domestic Violence Shelter and Service Fund; and
            (ii) for other than family member offenders, the
        full amount to the Sexual Assault Services Fund.
    (c) Sexual Assault Services Fund; administration. There is
created a Sexual Assault Services Fund. Moneys deposited into
the Fund under this Section shall be appropriated to the
Department of Public Health. Upon appropriation of moneys from
the Sexual Assault Services Fund, the Department of Public
Health shall make grants of these moneys from the Fund to
sexual assault organizations with whom the Department has
contracts for the purpose of providing community-based
services to victims of sexual assault. Grants made under this
Section are in addition to, and are not substitutes for, other
grants authorized and made by the Department.
(Source: P.A. 96-1551, eff. 7-1-11; 97-1109, eff. 1-1-13.)
 
    (730 ILCS 5/5-9-1.8)
    Sec. 5-9-1.8. Child pornography fines. Beginning July 1,
2006, 100% of the fines in excess of $10,000 collected for
violations of Section 11-20.1 of the Criminal Code of 1961 or
the Criminal Code of 2012 shall be deposited into the Child
Abuse Prevention Fund that is created in the State Treasury.
Moneys in the Fund resulting from the fines shall be for the
use of the Department of Children and Family Services for
grants to private entities giving treatment and counseling to
victims of child sexual abuse.
    Notwithstanding any other provision of law, in addition to
any other transfers that may be provided by law, on July 1,
2006, or as soon thereafter as practical, the State Comptroller
shall direct and the State Treasurer shall transfer the
remaining balance from the Child Sexual Abuse Fund into the
Child Abuse Prevention Fund. Upon completion of the transfer,
the Child Sexual Abuse Fund is dissolved, and any future
deposits due to that Fund and any outstanding obligations or
liabilities of the Fund pass to the Child Abuse Prevention
Fund.
(Source: P.A. 94-839, eff. 6-6-06.)
 
    (730 ILCS 5/5-9-1.10)
    Sec. 5-9-1.10. Additional fines. There shall be added to
every penalty imposed in sentencing for a violation of Sections
24-1.1, 24-1.2, or 24-1.5 of the Criminal Code of 1961 or the
Criminal Code of 2012 an additional fine of $100 payable to the
clerk, which shall be imposed upon the entry of a judgment of
conviction. This additional fee, less 2 1/2% that shall be used
to defray administrative costs incurred by the clerk, shall be
remitted by the clerk to the Treasurer within 60 days after
receipt for deposit into the Trauma Center Fund. This
additional fee of $100 shall not be considered a part of the
fine for purposes of any reduction in the fine for time served
either before or after sentencing. Not later than March 1 of
each year the circuit clerk shall submit a report of the amount
of funds remitted to the State Treasurer under this Section
during the preceding calendar year. All moneys collected by the
circuit clerk and remitted to the State Treasurer under Section
27.6 of the Clerks of Courts Act shall be deposited into the
Trauma Center Fund for distribution as provided under Section
3.225 of the Emergency Medical Services (EMS) Systems Act.
(Source: P.A. 89-516, eff. 7-18-96; 90-655, eff. 7-30-98.)
 
    (730 ILCS 5/5-9-1.14)
    Sec. 5-9-1.14. Additional child pornography fines. In
addition to any other penalty imposed, a fine of $500 shall be
imposed upon a person convicted of child pornography under
Section 11-20.1 of the Criminal Code of 1961 or the Criminal
Code of 2012. Such additional fine shall be assessed by the
court imposing sentence and shall be collected by the circuit
clerk. Of this fee, $5 shall be deposited into the Circuit
Court Clerk Operation and Administrative Fund created by the
Clerk of the Circuit Court to be used to offset the costs
incurred by the Circuit Court Clerk in performing the
additional duties required to collect and disburse funds to
entities of State and local government as provided by law. Each
such additional fine shall be remitted by the Circuit Court
Clerk within one month after receipt to the unit of local
government whose law enforcement officers investigated the
case that gave rise to the conviction of the defendant for
child pornography.
(Source: P.A. 95-191, eff. 1-1-08; 95-876, eff. 8-21-08.)
 
    (730 ILCS 5/5-9-1.16)
    Sec. 5-9-1.16. Protective order violation fees.
    (a) There shall be added to every penalty imposed in
sentencing for a violation of an order of protection under
Section 12-3.4 or 12-30 of the Criminal Code of 1961 or the
Criminal Code of 2012 an additional fee to be set in an amount
not less than $200 to be imposed upon a plea of guilty or
finding of guilty resulting in a judgment of conviction.
    (b) Such additional amount shall be assessed by the court
imposing sentence and shall be collected by the Circuit Clerk
in addition to the fine, if any, and costs in the case to be
used by the supervising authority in implementing the domestic
violence surveillance program. The clerk of the circuit court
shall pay all monies collected from this fee to the county
treasurer for deposit in the probation and court services fund
under Section 15.1 of the Probation and Probations Officers
Act.
    (c) The supervising authority of a domestic violence
surveillance program under Section 5-8A-7 of this Act shall
assess a person either convicted of, or charged with, the
violation of an order of protection an additional fee to cover
the costs of providing the equipment used and the additional
supervision needed for such domestic violence surveillance
program. If the court finds that the fee would impose an undue
burden on the victim, the court may reduce or waive the fee.
The court shall order that the defendant may not use funds
belonging solely to the victim of the offense for payment of
the fee.
    When the supervising authority is the court or the
probation and court services department, the fee shall be
collected by the circuit court clerk. The clerk of the circuit
court shall pay all monies collected from this fee and all
other required probation fees that are assessed to the county
treasurer for deposit in the probation and court services fund
under Section 15.1 of the Probation and Probations Officers
Act. In counties with a population of 2 million or more, when
the supervising authority is the court or the probation and
court services department, the fee shall be collected by the
supervising authority. In these counties, the supervising
authority shall pay all monies collected from this fee and all
other required probation fees that are assessed, to the county
treasurer for deposit in the probation and court services fund
under Section 15.1 of the Probation and Probation Officers Act.
    When the supervising authority is the Department of
Corrections, the Department shall collect the fee for deposit
into the Illinois Department of Corrections "fund". The Circuit
Clerk shall retain 10% of such penalty and deposit that
percentage into the Circuit Court Clerk Operation and
Administrative Fund to cover the costs incurred in
administering and enforcing this Section.
    (d) (Blank).
    (e) (Blank).
(Source: P.A. 95-773, eff. 1-1-09; 96-688, eff. 8-25-09;
96-1551, eff. 7-1-11.)
 
    (730 ILCS 5/5-9-1.19)
    Sec. 5-9-1.19. Additional streetgang fine. In addition to
any other penalty imposed, a fine of $100 shall be imposed upon
a person convicted of any violation of the Criminal Code of
1961 or the Criminal Code of 2012 who was, at the time of the
commission of the violation a streetgang member, as defined in
Section 10 of the Illinois Streetgang Terrorism Omnibus
Prevention Act. Such additional fine shall be assessed by the
court imposing sentence and shall be collected by the circuit
clerk. Of this fee, $5 shall be deposited into the Circuit
Court Clerk Operation and Administrative Fund created by the
Clerk of the Circuit Court to be used to offset the costs
incurred by the Circuit Court Clerk in performing the
additional duties required to collect and disburse funds as
provided by law. Each such additional fine shall be remitted by
the Circuit Court Clerk within one month after receipt to the
State Police Streetgang-Related Crime Fund in the State
treasury.
(Source: P.A. 96-1029, eff. 7-13-10.)
 
    (730 ILCS 5/5-9-1.20)
    Sec. 5-9-1.20. Additional violation of parole fines. In
addition to any other penalty imposed, a fine of $25 shall be
imposed upon a person convicted of any violation of the
Criminal Code of 1961 or the Criminal Code of 2012 who was, at
the time of the commission of the offense on parole or
mandatory supervised release. Such additional fine shall be
assessed by the court imposing sentence and shall be collected
by the circuit clerk. Of this fine, $5 shall be deposited into
the Circuit Court Clerk Operation and Administrative Fund
created by the Clerk of the Circuit Court to be used to offset
the costs incurred by the Circuit Court Clerk in performing the
additional duties required to collect and disburse funds as
provided by law. The remainder of each such additional fine
shall be remitted by the Circuit Court Clerk within one month
after receipt to the State Treasurer for deposit into the
Illinois Department of Corrections Parole Division Offender
Supervision Fund in the State treasury.
(Source: P.A. 97-262, eff. 8-5-11.)
 
    Section 675. The Probation and Probation Officers Act is
amended by changing Section 16.1 as follows:
 
    (730 ILCS 110/16.1)
    Sec. 16.1. Redeploy Illinois Program.
    (a) The purpose of this Section is to encourage the
deinstitutionalization of juvenile offenders by establishing
projects in counties or groups of counties that reallocate
State funds from juvenile correctional confinement to local
jurisdictions, which will establish a continuum of local,
community-based sanctions and treatment alternatives for
juvenile offenders who would be incarcerated if those local
services and sanctions did not exist. It is also intended to
offer alternatives, when appropriate, to avoid commitment to
the Department of Juvenile Justice, to direct child welfare
services for minors charged with a criminal offense or
adjudicated delinquent under Section 5 of the Children and
Family Services Act. The allotment of funds will be based on a
formula that rewards local jurisdictions for the establishment
or expansion of local alternatives to incarceration, and
requires them to pay for utilization of incarceration as a
sanction. In addition, there shall be an allocation of
resources (amount to be determined annually by the Redeploy
Illinois Oversight Board) set aside at the beginning of each
fiscal year to be made available for any county or groups of
counties which need resources only occasionally for services to
avoid commitment to the Department of Juvenile Justice for a
limited number of youth. This redeployment of funds shall be
made in a manner consistent with the Juvenile Court Act of 1987
and the following purposes and policies:
        (1) The juvenile justice system should protect the
    community, impose accountability to victims and
    communities for violations of law, and equip juvenile
    offenders with competencies to live responsibly and
    productively.
        (2) Juveniles should be treated in the least
    restrictive manner possible while maintaining the safety
    of the community.
        (3) A continuum of services and sanctions from least
    restrictive to most restrictive should be available in
    every community.
        (4) There should be local responsibility and authority
    for planning, organizing, and coordinating service
    resources in the community. People in the community can
    best choose a range of services which reflect community
    values and meet the needs of their own youth.
        (5) Juveniles who pose a threat to the community or
    themselves need special care, including secure settings.
    Such services as detention, long-term incarceration, or
    residential treatment are too costly to provide in each
    community and should be coordinated and provided on a
    regional or Statewide basis.
        (6) The roles of State and local government in creating
    and maintaining services to youth in the juvenile justice
    system should be clearly defined. The role of the State is
    to fund services, set standards of care, train service
    providers, and monitor the integration and coordination of
    services. The role of local government should be to oversee
    the provision of services.
    (b) Each county or circuit participating in the Redeploy
Illinois program must create a local plan demonstrating how it
will reduce the county or circuit's utilization of secure
confinement of juvenile offenders in the Illinois Department of
Juvenile Justice or county detention centers by the creation or
expansion of individualized services or programs that may
include but are not limited to the following:
        (1) Assessment and evaluation services to provide the
    juvenile justice system with accurate individualized case
    information on each juvenile offender including mental
    health, substance abuse, educational, and family
    information;
        (2) Direct services to individual juvenile offenders
    including educational, vocational, mental health,
    substance abuse, supervision, and service coordination;
    and
        (3) Programs that seek to restore the offender to the
    community, such as victim offender panels, teen courts,
    competency building, enhanced accountability measures,
    restitution, and community service. The local plan must be
    directed in such a manner as to emphasize an individualized
    approach to providing services to juvenile offenders in an
    integrated community based system including probation as
    the broker of services. The plan must also detail the
    reduction in utilization of secure confinement. The local
    plan shall be limited to services and shall not include
    costs for:
            (i) capital expenditures;
            (ii) renovations or remodeling;
            (iii) personnel costs for probation.
    The local plan shall be submitted to the Department of
Human Services.
    (c) A county or group of counties may develop an agreement
with the Department of Human Services to reduce their number of
commitments of juvenile offenders, excluding minors sentenced
based upon a finding of guilt of first degree murder or an
offense which is a Class X forcible felony as defined in the
Criminal Code of 2012 1961, to the Department of Juvenile
Justice, and then use the savings to develop local programming
for youth who would otherwise have been committed to the
Department of Juvenile Justice. A county or group of counties
shall agree to limit their commitments to 75% of the level of
commitments from the average number of juvenile commitments for
the past 3 years, and will receive the savings to redeploy for
local programming for juveniles who would otherwise be held in
confinement. For any county or group of counties with a
decrease of juvenile commitments of at least 25%, based on the
average reductions of the prior 3 years, which are chosen to
participate or continue as sites, the Redeploy Illinois
Oversight Board has the authority to reduce the required
percentage of future commitments to achieve the purpose of this
Section. The agreement shall set forth the following:
        (1) a Statement of the number and type of juvenile
    offenders from the county who were held in secure
    confinement by the Illinois Department of Juvenile Justice
    or in county detention the previous year, and an
    explanation of which, and how many, of these offenders
    might be served through the proposed Redeploy Illinois
    Program for which the funds shall be used;
        (2) a Statement of the service needs of currently
    confined juveniles;
        (3) a Statement of the type of services and programs to
    provide for the individual needs of the juvenile offenders,
    and the research or evidence base that qualifies those
    services and programs as proven or promising practices;
        (4) a budget indicating the costs of each service or
    program to be funded under the plan;
        (5) a summary of contracts and service agreements
    indicating the treatment goals and number of juvenile
    offenders to be served by each service provider; and
        (6) a Statement indicating that the Redeploy Illinois
    Program will not duplicate existing services and programs.
    Funds for this plan shall not supplant existing county
    funded programs.
    (d) (Blank).
    (d-5) A county or group of counties that does not have an
approved Redeploy Illinois program, as described in subsection
(b), and that has committed fewer than 10 Redeploy eligible
youth to the Department of Juvenile Justice on average over the
previous 3 years, may develop an individualized agreement with
the Department of Human Services through the Redeploy Illinois
program to provide services to youth to avoid commitment to the
Department of Juvenile Justice. The agreement shall set forth
the following:
        (1) a statement of the number and type of juvenile
    offenders from the county who were at risk under any of the
    categories listed above during the 3 previous years, and an
    explanation of which of these offenders would be served
    through the proposed Redeploy Illinois program for which
    the funds shall be used, or through individualized
    contracts with existing Redeploy programs in neighboring
    counties;
        (2) a statement of the service needs;
        (3) a statement of the type of services and programs to
    provide for the individual needs of the juvenile offenders,
    and the research or evidence that qualifies those services
    and programs as proven or promising practices;
        (4) a budget indicating the costs of each service or
    program to be funded under the plan;
        (5) a summary of contracts and service agreements
    indicating the treatment goals and number of juvenile
    offenders to be served by each service provider; and
        (6) a statement indicating that the Redeploy Illinois
    program will not duplicate existing services and programs.
    Funds for this plan shall not supplant existing county
    funded programs.
    (e) The Department of Human Services shall be responsible
for the following:
        (1) Reviewing each Redeploy Illinois Program plan for
    compliance with standards established for such plans. A
    plan may be approved as submitted, approved with
    modifications, or rejected. No plan shall be considered for
    approval if the circuit or county is not in full compliance
    with all regulations, standards and guidelines pertaining
    to the delivery of basic probation services as established
    by the Supreme Court.
        (2) Monitoring on a continual basis and evaluating
    annually both the program and its fiscal activities in all
    counties receiving an allocation under the Redeploy
    Illinois Program. Any program or service that has not met
    the goals and objectives of its contract or service
    agreement shall be subject to denial for funding in
    subsequent years. The Department of Human Services shall
    evaluate the effectiveness of the Redeploy Illinois
    Program in each circuit or county. In determining the
    future funding for the Redeploy Illinois Program under this
    Act, the evaluation shall include, as a primary indicator
    of success, a decreased number of confinement days for the
    county's juvenile offenders.
    (f) Any Redeploy Illinois Program allocations not applied
for and approved by the Department of Human Services shall be
available for redistribution to approved plans for the
remainder of that fiscal year. Any county that invests local
moneys in the Redeploy Illinois Program shall be given first
consideration for any redistribution of allocations.
Jurisdictions participating in Redeploy Illinois that exceed
their agreed upon level of commitments to the Department of
Juvenile Justice shall reimburse the Department of Corrections
for each commitment above the agreed upon level.
    (g) Implementation of Redeploy Illinois.
        (1) Oversight of Redeploy Illinois.
            (i) Redeploy Illinois Oversight Board. The
        Department of Human Services shall convene an
        oversight board to oversee the Redeploy Illinois
        Program. The Board shall include, but not be limited
        to, designees from the Department of Juvenile Justice,
        the Administrative Office of Illinois Courts, the
        Illinois Juvenile Justice Commission, the Illinois
        Criminal Justice Information Authority, the Department
        of Children and Family Services, the State Board of
        Education, the Cook County State's Attorney, and a
        State's Attorney selected by the President of the
        Illinois State's Attorney's Association, the Cook
        County Public Defender, a representative of the
        defense bar appointed by the Chief Justice of the
        Illinois Supreme Court, a representative of probation
        appointed by the Chief Justice of the Illinois Supreme
        Court, and judicial representation appointed by the
        Chief Justice of the Illinois Supreme Court. Up to an
        additional 9 members may be appointed by the Secretary
        of Human Services from recommendations by the
        Oversight Board; these appointees shall possess a
        knowledge of juvenile justice issues and reflect the
        collaborative public/private relationship of Redeploy
        programs.
            (ii) Responsibilities of the Redeploy Illinois
        Oversight Board. The Oversight Board shall:
                (A) Identify jurisdictions to be included in
            the program of Redeploy Illinois.
                (B) Develop a formula for reimbursement of
            local jurisdictions for local and community-based
            services utilized in lieu of commitment to the
            Department of Juvenile Justice, as well as for any
            charges for local jurisdictions for commitments
            above the agreed upon limit in the approved plan.
                (C) Identify resources sufficient to support
            the administration and evaluation of Redeploy
            Illinois.
                (D) Develop a process and identify resources
            to support on-going monitoring and evaluation of
            Redeploy Illinois.
                (E) Develop a process and identify resources
            to support training on Redeploy Illinois.
                (E-5) Review proposed individualized
            agreements and approve where appropriate the
            distribution of resources.
                (F) Report to the Governor and the General
            Assembly on an annual basis on the progress of
            Redeploy Illinois.
            (iii) Length of Planning Phase. The planning phase
        may last up to, but may in no event last longer than,
        July 1, 2004.
        (2) (Blank).
        (3) There shall be created the Redeploy County Review
    Committee composed of the designees of the Secretary of
    Human Services and the Directors of Juvenile Justice, of
    Children and Family Services, and of the Governor's Office
    of Management and Budget who shall constitute a
    subcommittee of the Redeploy Illinois Oversight Board.
    (h) Responsibilities of the County Review Committee. The
County Review Committee shall:
        (1) Review individualized agreements from counties
    requesting resources on an occasional basis for services
    for youth described in subsection (d-5).
        (2) Report its decisions to the Redeploy Illinois
    Oversight Board at regularly scheduled meetings.
        (3) Monitor the effectiveness of the resources in
    meeting the mandates of the Redeploy Illinois program set
    forth in this Section so these results might be included in
    the Report described in clause (g)(1)(ii)(F).
        (4) During the third quarter, assess the amount of
    remaining funds available and necessary to complete the
    fiscal year so that any unused funds may be distributed as
    defined in subsection (f).
        (5) Ensure that the number of youth from any applicant
    county receiving individualized resources will not exceed
    the previous three-year average of Redeploy eligible
    recipients and that counties are in conformity with all
    other elements of this law.
    (i) Implementation of this Section is subject to
appropriation.
    (j) Rulemaking authority to implement this amendatory Act
of the 95th General Assembly, if any, is conditioned on the
rules being adopted in accordance with all provisions of and
procedures and rules implementing the Illinois Administrative
Procedure Act; any purported rule not so adopted, for whatever
reason, is unauthorized.
(Source: P.A. 94-696, eff. 6-1-06; 94-1032, eff. 1-1-07;
95-1050, eff. 1-1-10.)
 
    Section 680. The County Jail Good Behavior Allowance Act is
amended by changing Sections 3 and 3.1 as follows:
 
    (730 ILCS 130/3)  (from Ch. 75, par. 32)
    Sec. 3. The good behavior of any person who commences a
sentence of confinement in a county jail for a fixed term of
imprisonment after January 1, 1987 shall entitle such person to
a good behavior allowance, except that: (1) a person who
inflicted physical harm upon another person in committing the
offense for which he is confined shall receive no good behavior
allowance; and (2) a person sentenced for an offense for which
the law provides a mandatory minimum sentence shall not receive
any portion of a good behavior allowance that would reduce the
sentence below the mandatory minimum; and (3) a person
sentenced to a county impact incarceration program; and (4) a
person who is convicted of criminal sexual assault under
subdivision (a)(3) of Section 11-1.20 or paragraph (a)(3) of
Section 12-13 of the Criminal Code of 1961 or the Criminal Code
of 2012, criminal sexual abuse, or aggravated criminal sexual
abuse shall receive no good behavior allowance. The good
behavior allowance provided for in this Section shall not apply
to individuals sentenced for a felony to probation or
conditional discharge where a condition of such probation or
conditional discharge is that the individual serve a sentence
of periodic imprisonment or to individuals sentenced under an
order of court for civil contempt.
    Such good behavior allowance shall be cumulative and
awarded as provided in this Section.
    The good behavior allowance rate shall be cumulative and
awarded on the following basis:
    The prisoner shall receive one day of good behavior
allowance for each day of service of sentence in the county
jail, and one day of good behavior allowance for each day of
incarceration in the county jail before sentencing for the
offense that he or she is currently serving sentence but was
unable to post bail before sentencing, except that a prisoner
serving a sentence of periodic imprisonment under Section 5-7-1
of the Unified Code of Corrections shall only be eligible to
receive good behavior allowance if authorized by the sentencing
judge. Each day of good behavior allowance shall reduce by one
day the prisoner's period of incarceration set by the court.
For the purpose of calculating a prisoner's good behavior
allowance, a fractional part of a day shall not be calculated
as a day of service of sentence in the county jail unless the
fractional part of the day is over 12 hours in which case a
whole day shall be credited on the good behavior allowance.
    If consecutive sentences are served and the time served
amounts to a total of one year or more, the good behavior
allowance shall be calculated on a continuous basis throughout
the entire time served beginning on the first date of sentence
or incarceration, as the case may be.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (730 ILCS 130/3.1)  (from Ch. 75, par. 32.1)
    Sec. 3.1. (a) Within 3 months after the effective date of
this amendatory Act of 1986, the wardens who supervise
institutions under this Act shall meet and agree upon uniform
rules and regulations for behavior and conduct, penalties, and
the awarding, denying and revocation of good behavior
allowance, in such institutions; and such rules and regulations
shall be immediately promulgated and consistent with the
provisions of this Act. Interim rules shall be provided by each
warden consistent with the provision of this Act and shall be
effective until the promulgation of uniform rules. All
disciplinary action shall be consistent with the provisions of
this Act. Committed persons shall be informed of rules of
behavior and conduct, the penalties for violation thereof, and
the disciplinary procedure by which such penalties may be
imposed. Any rules, penalties and procedures shall be posted
and made available to the committed persons.
    (b) Whenever a person is alleged to have violated a rule of
behavior, a written report of the infraction shall be filed
with the warden within 72 hours of the occurrence of the
infraction or the discovery of it, and such report shall be
placed in the file of the institution or facility. No
disciplinary proceeding shall be commenced more than 8 days
after the infraction or the discovery of it, unless the
committed person is unable or unavailable for any reason to
participate in the disciplinary proceeding.
    (c) All or any of the good behavior allowance earned may be
revoked by the warden, unless he initiates the charge, and in
that case by the disciplinary board, for violations of rules of
behavior at any time prior to discharge from the institution,
consistent with the provisions of this Act.
    (d) In disciplinary cases that may involve the loss of good
behavior allowance or eligibility to earn good behavior
allowance, the warden shall establish disciplinary procedures
consistent with the following principles:
        (1) The warden may establish one or more disciplinary
    boards, made up of one or more persons, to hear and
    determine charges. Any person who initiates a disciplinary
    charge against a committed person shall not serve on the
    disciplinary board that will determine the disposition of
    the charge. In those cases in which the charge was
    initiated by the warden, he shall establish a disciplinary
    board which will have the authority to impose any
    appropriate discipline.
        (2) Any committed person charged with a violation of
    rules of behavior shall be given notice of the charge,
    including a statement of the misconduct alleged and of the
    rules this conduct is alleged to violate, no less than 24
    hours before the disciplinary hearing.
        (3) Any committed person charged with a violation of
    rules is entitled to a hearing on that charge, at which
    time he shall have an opportunity to appear before and
    address the warden or disciplinary board deciding the
    charge.
        (4) The person or persons determining the disposition
    of the charge may also summon to testify any witnesses or
    other persons with relevant knowledge of the incident. The
    person charged may be permitted to question any person so
    summoned.
        (5) If the charge is sustained, the person charged is
    entitled to a written statement, within 14 days after the
    hearing, of the decision by the warden or the disciplinary
    board which determined the disposition of the charge, and
    the statement shall include the basis for the decision and
    the disciplinary action, if any, to be imposed.
        (6) The warden may impose the discipline recommended by
    the disciplinary board, or may reduce the discipline
    recommended; however, no committed person may be penalized
    more than 30 days of good behavior allowance for any one
    infraction.
        (7) The warden, in appropriate cases, may restore good
    behavior allowance that has been revoked, suspended or
    reduced.
    (e) The warden, or his or her designee, may revoke the good
behavior allowance specified in Section 3 of this Act of an
inmate who is sentenced to the Illinois Department of
Corrections for misconduct committed by the inmate while in
custody of the warden. If an inmate while in custody of the
warden is convicted of assault or battery on a peace officer,
correctional employee, or another inmate, or for criminal
damage to property or for bringing into or possessing
contraband in the penal institution in violation of Section
31A-1.1 of the Criminal Code of 1961 or the Criminal Code of
2012, his or her day for day good behavior allowance shall be
revoked for each day such allowance was earned while the inmate
was in custody of the warden.
(Source: P.A. 96-495, eff. 1-1-10.)
 
    Section 685. The Arsonist Registration Act is amended by
changing Section 5 as follows:
 
    (730 ILCS 148/5)
    Sec. 5. Definitions. In this Act:
    (a) "Arsonist" means any person who is:
         (1) charged under Illinois law, or any substantially
    similar federal, Uniform Code of Military Justice, sister
    state, or foreign country law, with an arson offense, set
    forth in subsection (b) of this Section or the attempt to
    commit an included arson offense, and:
            (i) is convicted of such offense or an attempt to
        commit such offense; or
            (ii) is found not guilty by reason of insanity of
        such offense or an attempt to commit such offense; or
            (iii) is found not guilty by reason of insanity
        under subsection (c) of Section 104-25 of the Code of
        Criminal Procedure of 1963 of such offense or an
        attempt to commit such offense; or
            (iv) is the subject of a finding not resulting in
        an acquittal at a hearing conducted under subsection
        (a) of Section 104-25 of the Code of Criminal Procedure
        of 1963 for the alleged commission or attempted
        commission of such offense; or
            (v) is found not guilty by reason of insanity
        following a hearing conducted under a federal, Uniform
        Code of Military Justice, sister state, or foreign
        country law substantially similar to subsection (c) of
        Section 104-25 of the Code of Criminal Procedure of
        1963 of such offense or of the attempted commission of
        such offense; or
            (vi) is the subject of a finding not resulting in
        an acquittal at a hearing conducted under a federal,
        Uniform Code of Military Justice, sister state, or
        foreign country law substantially similar to
        subsection (a) of Section 104-25 of the Code of
        Criminal Procedure of 1963 for the alleged violation or
        attempted commission of such offense;
        (2) is a minor who has been tried and convicted in an
    adult criminal prosecution as the result of committing or
    attempting to commit an offense specified in subsection (b)
    of this Section or a violation of any substantially similar
    federal, Uniform Code of Military Justice, sister state, or
    foreign country law. Convictions that result from or are
    connected with the same act, or result from offenses
    committed at the same time, shall be counted for the
    purpose of this Act as one conviction. Any conviction set
    aside under law is not a conviction for purposes of this
    Act.
    (b) "Arson offense" means:
        (1) A violation of any of the following Sections of the
    Criminal Code of 1961 or the Criminal Code of 2012:
            (i) 20-1 (arson; residential arson; place of
        worship arson),
            (ii) 20-1.1 (aggravated arson),
            (iii) 20-1(b) or 20-1.2 (residential arson),
            (iv) 20-1(b-5) or 20-1.3 (place of worship arson),
            (v) 20-2 (possession of explosives or explosive or
        incendiary devices), or    
            (vi) An attempt to commit any of the offenses
        listed in clauses (i) through (v).
        (2) A violation of any former law of this State
    substantially equivalent to any offense listed in
    subsection (b) of this Section.
    (c) A conviction for an offense of federal law, Uniform
Code of Military Justice, or the law of another state or a
foreign country that is substantially equivalent to any offense
listed in subsection (b) of this Section shall constitute a
conviction for the purpose of this Act.
    (d) "Law enforcement agency having jurisdiction" means the
Chief of Police in each of the municipalities in which the
arsonist expects to reside, work, or attend school (1) upon his
or her discharge, parole or release or (2) during the service
of his or her sentence of probation or conditional discharge,
or the Sheriff of the county, in the event no Police Chief
exists or if the offender intends to reside, work, or attend
school in an unincorporated area. "Law enforcement agency
having jurisdiction" includes the location where out-of-state
students attend school and where out-of-state employees are
employed or are otherwise required to register.
    (e) "Out-of-state student" means any arsonist, as defined
in this Section, who is enrolled in Illinois, on a full-time or
part-time basis, in any public or private educational
institution, including, but not limited to, any secondary
school, trade or professional institution, or institution of
higher learning.
    (f) "Out-of-state employee" means any arsonist, as defined
in this Section, who works in Illinois, regardless of whether
the individual receives payment for services performed, for a
period of time of 10 or more days or for an aggregate period of
time of 30 or more days during any calendar year. Persons who
operate motor vehicles in the State accrue one day of
employment time for any portion of a day spent in Illinois.
    (g) "I-CLEAR" means the Illinois Citizens and Law
Enforcement Analysis and Reporting System.
(Source: P.A. 97-1108, eff. 1-1-13.)
 
    Section 690. The Sex Offender Registration Act is amended
by changing Sections 2, 3, 6, and 8 as follows:
 
    (730 ILCS 150/2)  (from Ch. 38, par. 222)
    Sec. 2. Definitions.
    (A) As used in this Article, "sex offender" means any
person who is:
        (1) charged pursuant to Illinois law, or any
    substantially similar federal, Uniform Code of Military
    Justice, sister state, or foreign country law, with a sex
    offense set forth in subsection (B) of this Section or the
    attempt to commit an included sex offense, and:
            (a) is convicted of such offense or an attempt to
        commit such offense; or
            (b) is found not guilty by reason of insanity of
        such offense or an attempt to commit such offense; or
            (c) is found not guilty by reason of insanity
        pursuant to Section 104-25(c) of the Code of Criminal
        Procedure of 1963 of such offense or an attempt to
        commit such offense; or
            (d) is the subject of a finding not resulting in an
        acquittal at a hearing conducted pursuant to Section
        104-25(a) of the Code of Criminal Procedure of 1963 for
        the alleged commission or attempted commission of such
        offense; or
            (e) is found not guilty by reason of insanity
        following a hearing conducted pursuant to a federal,
        Uniform Code of Military Justice, sister state, or
        foreign country law substantially similar to Section
        104-25(c) of the Code of Criminal Procedure of 1963 of
        such offense or of the attempted commission of such
        offense; or
            (f) is the subject of a finding not resulting in an
        acquittal at a hearing conducted pursuant to a federal,
        Uniform Code of Military Justice, sister state, or
        foreign country law substantially similar to Section
        104-25(a) of the Code of Criminal Procedure of 1963 for
        the alleged violation or attempted commission of such
        offense; or
        (2) declared as a sexually dangerous person pursuant to
    the Illinois Sexually Dangerous Persons Act, or any
    substantially similar federal, Uniform Code of Military
    Justice, sister state, or foreign country law; or
        (3) subject to the provisions of Section 2 of the
    Interstate Agreements on Sexually Dangerous Persons Act;
    or
        (4) found to be a sexually violent person pursuant to
    the Sexually Violent Persons Commitment Act or any
    substantially similar federal, Uniform Code of Military
    Justice, sister state, or foreign country law; or
        (5) adjudicated a juvenile delinquent as the result of
    committing or attempting to commit an act which, if
    committed by an adult, would constitute any of the offenses
    specified in item (B), (C), or (C-5) of this Section or a
    violation of any substantially similar federal, Uniform
    Code of Military Justice, sister state, or foreign country
    law, or found guilty under Article V of the Juvenile Court
    Act of 1987 of committing or attempting to commit an act
    which, if committed by an adult, would constitute any of
    the offenses specified in item (B), (C), or (C-5) of this
    Section or a violation of any substantially similar
    federal, Uniform Code of Military Justice, sister state, or
    foreign country law.
    Convictions that result from or are connected with the same
act, or result from offenses committed at the same time, shall
be counted for the purpose of this Article as one conviction.
Any conviction set aside pursuant to law is not a conviction
for purposes of this Article.
     For purposes of this Section, "convicted" shall have the
same meaning as "adjudicated".
    (B) As used in this Article, "sex offense" means:
        (1) A violation of any of the following Sections of the
    Criminal Code of 1961 or the Criminal Code of 2012:
            11-20.1 (child pornography),
            11-20.1B or 11-20.3 (aggravated child
        pornography),
            11-6 (indecent solicitation of a child),
            11-9.1 (sexual exploitation of a child),
            11-9.2 (custodial sexual misconduct),
            11-9.5 (sexual misconduct with a person with a
        disability),
            11-14.4 (promoting juvenile prostitution),
            11-15.1 (soliciting for a juvenile prostitute),
            11-18.1 (patronizing a juvenile prostitute),
            11-17.1 (keeping a place of juvenile
        prostitution),
            11-19.1 (juvenile pimping),
            11-19.2 (exploitation of a child),
            11-25 (grooming),
            11-26 (traveling to meet a minor),
            11-1.20 or 12-13 (criminal sexual assault),
            11-1.30 or 12-14 (aggravated criminal sexual
        assault),
            11-1.40 or 12-14.1 (predatory criminal sexual
        assault of a child),
            11-1.50 or 12-15 (criminal sexual abuse),
            11-1.60 or 12-16 (aggravated criminal sexual
        abuse),
            12-33 (ritualized abuse of a child).
            An attempt to commit any of these offenses.
        (1.5) A violation of any of the following Sections of
    the Criminal Code of 1961 or the Criminal Code of 2012,
    when the victim is a person under 18 years of age, the
    defendant is not a parent of the victim, the offense was
    sexually motivated as defined in Section 10 of the Sex
    Offender Evaluation and Treatment Act, and the offense was
    committed on or after January 1, 1996:
            10-1 (kidnapping),
            10-2 (aggravated kidnapping),
            10-3 (unlawful restraint),
            10-3.1 (aggravated unlawful restraint).
        If the offense was committed before January 1, 1996, it
    is a sex offense requiring registration only when the
    person is convicted of any felony after July 1, 2011, and
    paragraph (2.1) of subsection (c) of Section 3 of this Act
    applies.
        (1.6) First degree murder under Section 9-1 of the
    Criminal Code of 1961 or the Criminal Code of 2012,
    provided the offense was sexually motivated as defined in
    Section 10 of the Sex Offender Management Board Act.
        (1.7) (Blank).
        (1.8) A violation or attempted violation of Section
    11-11 (sexual relations within families) of the Criminal
    Code of 1961 or the Criminal Code of 2012, and the offense
    was committed on or after June 1, 1997. If the offense was
    committed before June 1, 1997, it is a sex offense
    requiring registration only when the person is convicted of
    any felony after July 1, 2011, and paragraph (2.1) of
    subsection (c) of Section 3 of this Act applies.
        (1.9) Child abduction under paragraph (10) of
    subsection (b) of Section 10-5 of the Criminal Code of 1961
    or the Criminal Code of 2012 committed by luring or
    attempting to lure a child under the age of 16 into a motor
    vehicle, building, house trailer, or dwelling place
    without the consent of the parent or lawful custodian of
    the child for other than a lawful purpose and the offense
    was committed on or after January 1, 1998, provided the
    offense was sexually motivated as defined in Section 10 of
    the Sex Offender Management Board Act. If the offense was
    committed before January 1, 1998, it is a sex offense
    requiring registration only when the person is convicted of
    any felony after July 1, 2011, and paragraph (2.1) of
    subsection (c) of Section 3 of this Act applies.
        (1.10) A violation or attempted violation of any of the
    following Sections of the Criminal Code of 1961 or the
    Criminal Code of 2012 when the offense was committed on or
    after July 1, 1999:
            10-4 (forcible detention, if the victim is under 18
        years of age), provided the offense was sexually
        motivated as defined in Section 10 of the Sex Offender
        Management Board Act,
            11-6.5 (indecent solicitation of an adult),
            11-14.3 that involves soliciting for a prostitute,
        or 11-15 (soliciting for a prostitute, if the victim is
        under 18 years of age),
            subdivision (a)(2)(A) or (a)(2)(B) of Section
        11-14.3, or Section 11-16 (pandering, if the victim is
        under 18 years of age),
            11-18 (patronizing a prostitute, if the victim is
        under 18 years of age),
            subdivision (a)(2)(C) of Section 11-14.3, or
        Section 11-19 (pimping, if the victim is under 18 years
        of age).
        If the offense was committed before July 1, 1999, it is
    a sex offense requiring registration only when the person
    is convicted of any felony after July 1, 2011, and
    paragraph (2.1) of subsection (c) of Section 3 of this Act
    applies.
        (1.11) A violation or attempted violation of any of the
    following Sections of the Criminal Code of 1961 or the
    Criminal Code of 2012 when the offense was committed on or
    after August 22, 2002:
            11-9 or 11-30 (public indecency for a third or
        subsequent conviction).
        If the third or subsequent conviction was imposed
    before August 22, 2002, it is a sex offense requiring
    registration only when the person is convicted of any
    felony after July 1, 2011, and paragraph (2.1) of
    subsection (c) of Section 3 of this Act applies.
        (1.12) A violation or attempted violation of Section
    5.1 of the Wrongs to Children Act or Section 11-9.1A of the
    Criminal Code of 1961 or the Criminal Code of 2012
    (permitting sexual abuse) when the offense was committed on
    or after August 22, 2002. If the offense was committed
    before August 22, 2002, it is a sex offense requiring
    registration only when the person is convicted of any
    felony after July 1, 2011, and paragraph (2.1) of
    subsection (c) of Section 3 of this Act applies.
        (2) A violation of any former law of this State
    substantially equivalent to any offense listed in
    subsection (B) of this Section.
    (C) A conviction for an offense of federal law, Uniform
Code of Military Justice, or the law of another state or a
foreign country that is substantially equivalent to any offense
listed in subsections (B), (C), (E), and (E-5) of this Section
shall constitute a conviction for the purpose of this Article.
A finding or adjudication as a sexually dangerous person or a
sexually violent person under any federal law, Uniform Code of
Military Justice, or the law of another state or foreign
country that is substantially equivalent to the Sexually
Dangerous Persons Act or the Sexually Violent Persons
Commitment Act shall constitute an adjudication for the
purposes of this Article.
    (C-5) A person at least 17 years of age at the time of the
commission of the offense who is convicted of first degree
murder under Section 9-1 of the Criminal Code of 1961 or the
Criminal Code of 2012, against a person under 18 years of age,
shall be required to register for natural life. A conviction
for an offense of federal, Uniform Code of Military Justice,
sister state, or foreign country law that is substantially
equivalent to any offense listed in subsection (C-5) of this
Section shall constitute a conviction for the purpose of this
Article. This subsection (C-5) applies to a person who
committed the offense before June 1, 1996 if: (i) the person is
incarcerated in an Illinois Department of Corrections facility
on August 20, 2004 (the effective date of Public Act 93-977),
or (ii) subparagraph (i) does not apply and the person is
convicted of any felony after July 1, 2011, and paragraph (2.1)
of subsection (c) of Section 3 of this Act applies.
    (C-6) A person who is convicted or adjudicated delinquent
of first degree murder as defined in Section 9-1 of the
Criminal Code of 1961 or the Criminal Code of 2012, against a
person 18 years of age or over, shall be required to register
for his or her natural life. A conviction for an offense of
federal, Uniform Code of Military Justice, sister state, or
foreign country law that is substantially equivalent to any
offense listed in subsection (C-6) of this Section shall
constitute a conviction for the purpose of this Article. This
subsection (C-6) does not apply to those individuals released
from incarceration more than 10 years prior to January 1, 2012
(the effective date of Public Act 97-154).
    (D) As used in this Article, "law enforcement agency having
jurisdiction" means the Chief of Police in each of the
municipalities in which the sex offender expects to reside,
work, or attend school (1) upon his or her discharge, parole or
release or (2) during the service of his or her sentence of
probation or conditional discharge, or the Sheriff of the
county, in the event no Police Chief exists or if the offender
intends to reside, work, or attend school in an unincorporated
area. "Law enforcement agency having jurisdiction" includes
the location where out-of-state students attend school and
where out-of-state employees are employed or are otherwise
required to register.
    (D-1) As used in this Article, "supervising officer" means
the assigned Illinois Department of Corrections parole agent or
county probation officer.
    (E) As used in this Article, "sexual predator" means any
person who, after July 1, 1999, is:
        (1) Convicted for an offense of federal, Uniform Code
    of Military Justice, sister state, or foreign country law
    that is substantially equivalent to any offense listed in
    subsection (E) or (E-5) of this Section shall constitute a
    conviction for the purpose of this Article. Convicted of a
    violation or attempted violation of any of the following
    Sections of the Criminal Code of 1961 or the Criminal Code
    of 2012:
            10-5.1 (luring of a minor),
            11-14.4 that involves keeping a place of juvenile
        prostitution, or 11-17.1 (keeping a place of juvenile
        prostitution),
            subdivision (a)(2) or (a)(3) of Section 11-14.4,
        or Section 11-19.1 (juvenile pimping),
            subdivision (a)(4) of Section 11-14.4, or Section
        11-19.2 (exploitation of a child),
            11-20.1 (child pornography),
            11-20.1B or 11-20.3 (aggravated child
        pornography),
            11-1.20 or 12-13 (criminal sexual assault),
            11-1.30 or 12-14 (aggravated criminal sexual
        assault),
            11-1.40 or 12-14.1 (predatory criminal sexual
        assault of a child),
            11-1.60 or 12-16 (aggravated criminal sexual
        abuse),
            12-33 (ritualized abuse of a child);
        (2) (blank);
        (3) declared as a sexually dangerous person pursuant to
    the Sexually Dangerous Persons Act or any substantially
    similar federal, Uniform Code of Military Justice, sister
    state, or foreign country law;
        (4) found to be a sexually violent person pursuant to
    the Sexually Violent Persons Commitment Act or any
    substantially similar federal, Uniform Code of Military
    Justice, sister state, or foreign country law;
        (5) convicted of a second or subsequent offense which
    requires registration pursuant to this Act. For purposes of
    this paragraph (5), "convicted" shall include a conviction
    under any substantially similar Illinois, federal, Uniform
    Code of Military Justice, sister state, or foreign country
    law;
        (6) (blank); or
        (7) if the person was convicted of an offense set forth
    in this subsection (E) on or before July 1, 1999, the
    person is a sexual predator for whom registration is
    required only when the person is convicted of a felony
    offense after July 1, 2011, and paragraph (2.1) of
    subsection (c) of Section 3 of this Act applies.
    (E-5) As used in this Article, "sexual predator" also means
a person convicted of a violation or attempted violation of any
of the following Sections of the Criminal Code of 1961 or the
Criminal Code of 2012:
        (1) Section 9-1 (first degree murder, when the victim
    was a person under 18 years of age and the defendant was at
    least 17 years of age at the time of the commission of the
    offense, provided the offense was sexually motivated as
    defined in Section 10 of the Sex Offender Management Board
    Act);
        (2) Section 11-9.5 (sexual misconduct with a person
    with a disability);
        (3) when the victim is a person under 18 years of age,
    the defendant is not a parent of the victim, the offense
    was sexually motivated as defined in Section 10 of the Sex
    Offender Management Board Act, and the offense was
    committed on or after January 1, 1996: (A) Section 10-1
    (kidnapping), (B) Section 10-2 (aggravated kidnapping),
    (C) Section 10-3 (unlawful restraint), and (D) Section
    10-3.1 (aggravated unlawful restraint); and
        (4) Section 10-5(b)(10) (child abduction committed by
    luring or attempting to lure a child under the age of 16
    into a motor vehicle, building, house trailer, or dwelling
    place without the consent of the parent or lawful custodian
    of the child for other than a lawful purpose and the
    offense was committed on or after January 1, 1998, provided
    the offense was sexually motivated as defined in Section 10
    of the Sex Offender Management Board Act).
    (E-10) As used in this Article, "sexual predator" also
means a person required to register in another State due to a
conviction, adjudication or other action of any court
triggering an obligation to register as a sex offender, sexual
predator, or substantially similar status under the laws of
that State.
    (F) As used in this Article, "out-of-state student" means
any sex offender, as defined in this Section, or sexual
predator who is enrolled in Illinois, on a full-time or
part-time basis, in any public or private educational
institution, including, but not limited to, any secondary
school, trade or professional institution, or institution of
higher learning.
    (G) As used in this Article, "out-of-state employee" means
any sex offender, as defined in this Section, or sexual
predator who works in Illinois, regardless of whether the
individual receives payment for services performed, for a
period of time of 10 or more days or for an aggregate period of
time of 30 or more days during any calendar year. Persons who
operate motor vehicles in the State accrue one day of
employment time for any portion of a day spent in Illinois.
    (H) As used in this Article, "school" means any public or
private educational institution, including, but not limited
to, any elementary or secondary school, trade or professional
institution, or institution of higher education.
    (I) As used in this Article, "fixed residence" means any
and all places that a sex offender resides for an aggregate
period of time of 5 or more days in a calendar year.
    (J) As used in this Article, "Internet protocol address"
means the string of numbers by which a location on the Internet
is identified by routers or other computers connected to the
Internet.
(Source: P.A. 96-301, eff. 8-11-09; 96-1089, eff. 1-1-11;
96-1551, eff. 7-1-11; 97-154, eff. 1-1-12; 97-578, eff. 1-1-12;
97-1073, eff. 1-1-13; 97-1098, eff. 1-1-13; 97-1109, eff.
1-1-13; revised 9-20-12.)
 
    (730 ILCS 150/3)
    Sec. 3. Duty to register.
    (a) A sex offender, as defined in Section 2 of this Act, or
sexual predator shall, within the time period prescribed in
subsections (b) and (c), register in person and provide
accurate information as required by the Department of State
Police. Such information shall include a current photograph,
current address, current place of employment, the sex
offender's or sexual predator's telephone number, including
cellular telephone number, the employer's telephone number,
school attended, all e-mail addresses, instant messaging
identities, chat room identities, and other Internet
communications identities that the sex offender uses or plans
to use, all Uniform Resource Locators (URLs) registered or used
by the sex offender, all blogs and other Internet sites
maintained by the sex offender or to which the sex offender has
uploaded any content or posted any messages or information,
extensions of the time period for registering as provided in
this Article and, if an extension was granted, the reason why
the extension was granted and the date the sex offender was
notified of the extension. The information shall also include a
copy of the terms and conditions of parole or release signed by
the sex offender and given to the sex offender by his or her
supervising officer, the county of conviction, license plate
numbers for every vehicle registered in the name of the sex
offender, the age of the sex offender at the time of the
commission of the offense, the age of the victim at the time of
the commission of the offense, and any distinguishing marks
located on the body of the sex offender. A sex offender
convicted under Section 11-6, 11-20.1, 11-20.1B, 11-20.3, or
11-21 of the Criminal Code of 1961 or the Criminal Code of 2012
shall provide all Internet protocol (IP) addresses in his or
her residence, registered in his or her name, accessible at his
or her place of employment, or otherwise under his or her
control or custody. If the sex offender is a child sex offender
as defined in Section 11-9.3 or 11-9.4 of the Criminal Code of
1961 or the Criminal Code of 2012, the sex offender shall
report to the registering agency whether he or she is living in
a household with a child under 18 years of age who is not his or
her own child, provided that his or her own child is not the
victim of the sex offense. The sex offender or sexual predator
shall register:
        (1) with the chief of police in the municipality in
    which he or she resides or is temporarily domiciled for a
    period of time of 3 or more days, unless the municipality
    is the City of Chicago, in which case he or she shall
    register at the Chicago Police Department Headquarters; or
        (2) with the sheriff in the county in which he or she
    resides or is temporarily domiciled for a period of time of
    3 or more days in an unincorporated area or, if
    incorporated, no police chief exists.
    If the sex offender or sexual predator is employed at or
attends an institution of higher education, he or she shall
also register:
        (i) with:
            (A) the chief of police in the municipality in
        which he or she is employed at or attends an
        institution of higher education, unless the
        municipality is the City of Chicago, in which case he
        or she shall register at the Chicago Police Department
        Headquarters; or
            (B) the sheriff in the county in which he or she is
        employed or attends an institution of higher education
        located in an unincorporated area, or if incorporated,
        no police chief exists; and
        (ii) with the public safety or security director of the
    institution of higher education which he or she is employed
    at or attends.
    The registration fees shall only apply to the municipality
or county of primary registration, and not to campus
registration.
    For purposes of this Article, the place of residence or
temporary domicile is defined as any and all places where the
sex offender resides for an aggregate period of time of 3 or
more days during any calendar year. Any person required to
register under this Article who lacks a fixed address or
temporary domicile must notify, in person, the agency of
jurisdiction of his or her last known address within 3 days
after ceasing to have a fixed residence.
    A sex offender or sexual predator who is temporarily absent
from his or her current address of registration for 3 or more
days shall notify the law enforcement agency having
jurisdiction of his or her current registration, including the
itinerary for travel, in the manner provided in Section 6 of
this Act for notification to the law enforcement agency having
jurisdiction of change of address.
    Any person who lacks a fixed residence must report weekly,
in person, with the sheriff's office of the county in which he
or she is located in an unincorporated area, or with the chief
of police in the municipality in which he or she is located.
The agency of jurisdiction will document each weekly
registration to include all the locations where the person has
stayed during the past 7 days.
    The sex offender or sexual predator shall provide accurate
information as required by the Department of State Police. That
information shall include the sex offender's or sexual
predator's current place of employment.
    (a-5) An out-of-state student or out-of-state employee
shall, within 3 days after beginning school or employment in
this State, register in person and provide accurate information
as required by the Department of State Police. Such information
will include current place of employment, school attended, and
address in state of residence. A sex offender convicted under
Section 11-6, 11-20.1, 11-20.1B, 11-20.3, or 11-21 of the
Criminal Code of 1961 or the Criminal Code of 2012 shall
provide all Internet protocol (IP) addresses in his or her
residence, registered in his or her name, accessible at his or
her place of employment, or otherwise under his or her control
or custody. The out-of-state student or out-of-state employee
shall register:
        (1) with:
            (A) the chief of police in the municipality in
        which he or she attends school or is employed for a
        period of time of 5 or more days or for an aggregate
        period of time of more than 30 days during any calendar
        year, unless the municipality is the City of Chicago,
        in which case he or she shall register at the Chicago
        Police Department Headquarters; or
            (B) the sheriff in the county in which he or she
        attends school or is employed for a period of time of 5
        or more days or for an aggregate period of time of more
        than 30 days during any calendar year in an
        unincorporated area or, if incorporated, no police
        chief exists; and
        (2) with the public safety or security director of the
    institution of higher education he or she is employed at or
    attends for a period of time of 5 or more days or for an
    aggregate period of time of more than 30 days during a
    calendar year.
    The registration fees shall only apply to the municipality
or county of primary registration, and not to campus
registration.
    The out-of-state student or out-of-state employee shall
provide accurate information as required by the Department of
State Police. That information shall include the out-of-state
student's current place of school attendance or the
out-of-state employee's current place of employment.
    (a-10) Any law enforcement agency registering sex
offenders or sexual predators in accordance with subsections
(a) or (a-5) of this Section shall forward to the Attorney
General a copy of sex offender registration forms from persons
convicted under Section 11-6, 11-20.1, 11-20.1B, 11-20.3, or
11-21 of the Criminal Code of 1961 or the Criminal Code of
2012, including periodic and annual registrations under
Section 6 of this Act.
    (b) Any sex offender, as defined in Section 2 of this Act,
or sexual predator, regardless of any initial, prior, or other
registration, shall, within 3 days of beginning school, or
establishing a residence, place of employment, or temporary
domicile in any county, register in person as set forth in
subsection (a) or (a-5).
    (c) The registration for any person required to register
under this Article shall be as follows:
        (1) Any person registered under the Habitual Child Sex
    Offender Registration Act or the Child Sex Offender
    Registration Act prior to January 1, 1996, shall be deemed
    initially registered as of January 1, 1996; however, this
    shall not be construed to extend the duration of
    registration set forth in Section 7.
        (2) Except as provided in subsection (c)(2.1) or
    (c)(4), any person convicted or adjudicated prior to
    January 1, 1996, whose liability for registration under
    Section 7 has not expired, shall register in person prior
    to January 31, 1996.
        (2.1) A sex offender or sexual predator, who has never
    previously been required to register under this Act, has a
    duty to register if the person has been convicted of any
    felony offense after July 1, 2011. A person who previously
    was required to register under this Act for a period of 10
    years and successfully completed that registration period
    has a duty to register if: (i) the person has been
    convicted of any felony offense after July 1, 2011, and
    (ii) the offense for which the 10 year registration was
    served currently requires a registration period of more
    than 10 years. Notification of an offender's duty to
    register under this subsection shall be pursuant to Section
    5-7 of this Act.
        (2.5) Except as provided in subsection (c)(4), any
    person who has not been notified of his or her
    responsibility to register shall be notified by a criminal
    justice entity of his or her responsibility to register.
    Upon notification the person must then register within 3
    days of notification of his or her requirement to register.
    Except as provided in subsection (c)(2.1), if notification
    is not made within the offender's 10 year registration
    requirement, and the Department of State Police determines
    no evidence exists or indicates the offender attempted to
    avoid registration, the offender will no longer be required
    to register under this Act.
        (3) Except as provided in subsection (c)(4), any person
    convicted on or after January 1, 1996, shall register in
    person within 3 days after the entry of the sentencing
    order based upon his or her conviction.
        (4) Any person unable to comply with the registration
    requirements of this Article because he or she is confined,
    institutionalized, or imprisoned in Illinois on or after
    January 1, 1996, shall register in person within 3 days of
    discharge, parole or release.
        (5) The person shall provide positive identification
    and documentation that substantiates proof of residence at
    the registering address.
        (6) The person shall pay a $100 initial registration
    fee and a $100 annual renewal fee. The fees shall be used
    by the registering agency for official purposes. The agency
    shall establish procedures to document receipt and use of
    the funds. The law enforcement agency having jurisdiction
    may waive the registration fee if it determines that the
    person is indigent and unable to pay the registration fee.
    Thirty-five dollars for the initial registration fee and
    $35 of the annual renewal fee shall be used by the
    registering agency for official purposes. Five dollars of
    the initial registration fee and $5 of the annual fee shall
    be deposited into the Sex Offender Management Board Fund
    under Section 19 of the Sex Offender Management Board Act.
    Money deposited into the Sex Offender Management Board Fund
    shall be administered by the Sex Offender Management Board
    and shall be used by the Board to comply with the
    provisions of the Sex Offender Management Board Act. Thirty
    dollars of the initial registration fee and $30 of the
    annual renewal fee shall be deposited into the Sex Offender
    Registration Fund and shall be used by the Department of
    State Police to maintain and update the Illinois State
    Police Sex Offender Registry. Thirty dollars of the initial
    registration fee and $30 of the annual renewal fee shall be
    deposited into the Attorney General Sex Offender
    Awareness, Training, and Education Fund. Moneys deposited
    into the Fund shall be used by the Attorney General to
    administer the I-SORT program and to alert and educate the
    public, victims, and witnesses of their rights under
    various victim notification laws and for training law
    enforcement agencies, State's Attorneys, and medical
    providers of their legal duties concerning the prosecution
    and investigation of sex offenses.
    (d) Within 3 days after obtaining or changing employment
and, if employed on January 1, 2000, within 5 days after that
date, a person required to register under this Section must
report, in person to the law enforcement agency having
jurisdiction, the business name and address where he or she is
employed. If the person has multiple businesses or work
locations, every business and work location must be reported to
the law enforcement agency having jurisdiction.
(Source: P.A. 96-1094, eff. 1-1-11; 96-1096, eff. 1-1-11;
96-1097, eff. 1-1-11; 96-1102, eff. 1-1-11; 96-1104, eff.
1-1-11; 96-1551, eff. 7-1-11; 97-155, eff 1-1-12; 97-333, eff.
8-12-11; 97-578, eff. 1-1-12; 97-1098, eff. 1-1-13; 97-1109,
eff. 1-1-13.)
 
    (730 ILCS 150/6)
    Sec. 6. Duty to report; change of address, school, or
employment; duty to inform. A person who has been adjudicated
to be sexually dangerous or is a sexually violent person and is
later released, or found to be no longer sexually dangerous or
no longer a sexually violent person and discharged, or
convicted of a violation of this Act after July 1, 2005, shall
report in person to the law enforcement agency with whom he or
she last registered no later than 90 days after the date of his
or her last registration and every 90 days thereafter and at
such other times at the request of the law enforcement agency
not to exceed 4 times a year. Such sexually dangerous or
sexually violent person must report all new or changed e-mail
addresses, all new or changed instant messaging identities, all
new or changed chat room identities, and all other new or
changed Internet communications identities that the sexually
dangerous or sexually violent person uses or plans to use, all
new or changed Uniform Resource Locators (URLs) registered or
used by the sexually dangerous or sexually violent person, and
all new or changed blogs and other Internet sites maintained by
the sexually dangerous or sexually violent person or to which
the sexually dangerous or sexually violent person has uploaded
any content or posted any messages or information. Any person
who lacks a fixed residence must report weekly, in person, to
the appropriate law enforcement agency where the sex offender
is located. Any other person who is required to register under
this Article shall report in person to the appropriate law
enforcement agency with whom he or she last registered within
one year from the date of last registration and every year
thereafter and at such other times at the request of the law
enforcement agency not to exceed 4 times a year. If any person
required to register under this Article lacks a fixed residence
or temporary domicile, he or she must notify, in person, the
agency of jurisdiction of his or her last known address within
3 days after ceasing to have a fixed residence and if the
offender leaves the last jurisdiction of residence, he or she,
must within 3 days after leaving register in person with the
new agency of jurisdiction. If any other person required to
register under this Article changes his or her residence
address, place of employment, telephone number, cellular
telephone number, or school, he or she shall report in person,
to the law enforcement agency with whom he or she last
registered, his or her new address, change in employment,
telephone number, cellular telephone number, or school, all new
or changed e-mail addresses, all new or changed instant
messaging identities, all new or changed chat room identities,
and all other new or changed Internet communications identities
that the sex offender uses or plans to use, all new or changed
Uniform Resource Locators (URLs) registered or used by the sex
offender, and all new or changed blogs and other Internet sites
maintained by the sex offender or to which the sex offender has
uploaded any content or posted any messages or information, and
register, in person, with the appropriate law enforcement
agency within the time period specified in Section 3. If the
sex offender is a child sex offender as defined in Section
11-9.3 or 11-9.4 of the Criminal Code of 1961 or the Criminal
Code of 2012, the sex offender shall within 3 days after
beginning to reside in a household with a child under 18 years
of age who is not his or her own child, provided that his or her
own child is not the victim of the sex offense, report that
information to the registering law enforcement agency. The law
enforcement agency shall, within 3 days of the reporting in
person by the person required to register under this Article,
notify the Department of State Police of the new place of
residence, change in employment, telephone number, cellular
telephone number, or school.
    If any person required to register under this Article
intends to establish a residence or employment outside of the
State of Illinois, at least 10 days before establishing that
residence or employment, he or she shall report in person to
the law enforcement agency with which he or she last registered
of his or her out-of-state intended residence or employment.
The law enforcement agency with which such person last
registered shall, within 3 days after the reporting in person
of the person required to register under this Article of an
address or employment change, notify the Department of State
Police. The Department of State Police shall forward such
information to the out-of-state law enforcement agency having
jurisdiction in the form and manner prescribed by the
Department of State Police.
(Source: P.A. 96-1094, eff. 1-1-11; 96-1104, eff. 1-1-11;
97-333, eff. 8-12-11.)
 
    (730 ILCS 150/8)  (from Ch. 38, par. 228)
    Sec. 8. Registration and DNA submission requirements.
    (a) Registration. Registration as required by this Article
shall consist of a statement in writing signed by the person
giving the information that is required by the Department of
State Police, which may include the fingerprints and must
include a current photograph of the person, to be updated
annually. If the sex offender is a child sex offender as
defined in Section 11-9.3 or 11-9.4 of the Criminal Code of
1961 or the Criminal Code of 2012, he or she shall sign a
statement that he or she understands that according to Illinois
law as a child sex offender he or she may not reside within 500
feet of a school, park, or playground. The offender may also
not reside within 500 feet of a facility providing services
directed exclusively toward persons under 18 years of age
unless the sex offender meets specified exemptions. The
registration information must include whether the person is a
sex offender as defined in the Sex Offender Community
Notification Law. Within 3 days, the registering law
enforcement agency shall forward any required information to
the Department of State Police. The registering law enforcement
agency shall enter the information into the Law Enforcement
Agencies Data System (LEADS) as provided in Sections 6 and 7 of
the Intergovernmental Missing Child Recovery Act of 1984.
    (b) DNA submission. Every person registering as a sex
offender _pursuant to this Act, regardless of the date of
conviction or the date of initial registration who is required
to submit specimens of blood, saliva, or tissue for DNA
analysis as required by subsection (a) of Section 5-4-3 of the
Unified Code of Corrections shall submit the specimens as
required by that Section. Registered sex offenders who have
previously submitted a DNA specimen which has been uploaded to
the Illinois DNA database shall not be required to submit an
additional specimen pursuant to this Section.
(Source: P.A. 97-383, eff. 1-1-12.)
 
    Section 695. The Murderer and Violent Offender Against
Youth Registration Act is amended by changing Section 5 as
follows:
 
    (730 ILCS 154/5)
    Sec. 5. Definitions.
    (a) As used in this Act, "violent offender against youth"
means any person who is:
        (1) charged pursuant to Illinois law, or any
    substantially similar federal, Uniform Code of Military
    Justice, sister state, or foreign country law, with a
    violent offense against youth set forth in subsection (b)
    of this Section or the attempt to commit an included
    violent offense against youth, and:
            (A) is convicted of such offense or an attempt to
        commit such offense; or
            (B) is found not guilty by reason of insanity of
        such offense or an attempt to commit such offense; or
            (C) is found not guilty by reason of insanity
        pursuant to subsection (c) of Section 104-25 of the
        Code of Criminal Procedure of 1963 of such offense or
        an attempt to commit such offense; or
            (D) is the subject of a finding not resulting in an
        acquittal at a hearing conducted pursuant to
        subsection (a) of Section 104-25 of the Code of
        Criminal Procedure of 1963 for the alleged commission
        or attempted commission of such offense; or
            (E) is found not guilty by reason of insanity
        following a hearing conducted pursuant to a federal,
        Uniform Code of Military Justice, sister state, or
        foreign country law substantially similar to
        subsection (c) of Section 104-25 of the Code of
        Criminal Procedure of 1963 of such offense or of the
        attempted commission of such offense; or
            (F) is the subject of a finding not resulting in an
        acquittal at a hearing conducted pursuant to a federal,
        Uniform Code of Military Justice, sister state, or
        foreign country law substantially similar to
        subsection (c) of Section 104-25 of the Code of
        Criminal Procedure of 1963 for the alleged violation or
        attempted commission of such offense; or
        (2) adjudicated a juvenile delinquent as the result of
    committing or attempting to commit an act which, if
    committed by an adult, would constitute any of the offenses
    specified in subsection (b) or (c-5) of this Section or a
    violation of any substantially similar federal, Uniform
    Code of Military Justice, sister state, or foreign country
    law, or found guilty under Article V of the Juvenile Court
    Act of 1987 of committing or attempting to commit an act
    which, if committed by an adult, would constitute any of
    the offenses specified in subsection (b) or (c-5) of this
    Section or a violation of any substantially similar
    federal, Uniform Code of Military Justice, sister state, or
    foreign country law.
    Convictions that result from or are connected with the same
act, or result from offenses committed at the same time, shall
be counted for the purpose of this Act as one conviction. Any
conviction set aside pursuant to law is not a conviction for
purposes of this Act.
     For purposes of this Section, "convicted" shall have the
same meaning as "adjudicated". For the purposes of this Act, a
person who is defined as a violent offender against youth as a
result of being adjudicated a juvenile delinquent under
paragraph (2) of this subsection (a) upon attaining 17 years of
age shall be considered as having committed the violent offense
against youth on or after the 17th birthday of the violent
offender against youth. Registration of juveniles upon
attaining 17 years of age shall not extend the original
registration of 10 years from the date of conviction.
    (b) As used in this Act, "violent offense against youth"
means:
        (1) A violation of any of the following Sections of the
    Criminal Code of 1961 or the Criminal Code of 2012, when
    the victim is a person under 18 years of age and the
    offense was committed on or after January 1, 1996:
            10-1 (kidnapping),
            10-2 (aggravated kidnapping),
            10-3 (unlawful restraint),
            10-3.1 (aggravated unlawful restraint).
            An attempt to commit any of these offenses.
        (2) First degree murder under Section 9-1 of the
    Criminal Code of 1961 or the Criminal Code of 2012, when
    the victim was a person under 18 years of age and the
    defendant was at least 17 years of age at the time of the
    commission of the offense.
        (3) Child abduction under paragraph (10) of subsection
    (b) of Section 10-5 of the Criminal Code of 1961 or the
    Criminal Code of 2012 committed by luring or attempting to
    lure a child under the age of 16 into a motor vehicle,
    building, house trailer, or dwelling place without the
    consent of the parent or lawful custodian of the child for
    other than a lawful purpose and the offense was committed
    on or after January 1, 1998.
        (4) A violation or attempted violation of the following
    Section of the Criminal Code of 1961 or the Criminal Code
    of 2012 when the offense was committed on or after July 1,
    1999:
            10-4 (forcible detention, if the victim is under 18
        years of age).
        (4.1) Involuntary manslaughter under Section 9-3 of
    the Criminal Code of 1961 or the Criminal Code of 2012
    where baby shaking was the proximate cause of death of the
    victim of the offense.
        (4.2) Endangering the life or health of a child under
    Section 12-21.6 or 12C-5 of the Criminal Code of 1961 or
    the Criminal Code of 2012 that results in the death of the
    child where baby shaking was the proximate cause of the
    death of the child.
        (4.3) Domestic battery resulting in bodily harm under
    Section 12-3.2 of the Criminal Code of 1961 or the Criminal
    Code of 2012 when the defendant was 18 years or older and
    the victim was under 18 years of age and the offense was
    committed on or after July 26, 2010.
        (4.4) A violation or attempted violation of any of the
    following Sections or clauses of the Criminal Code of 1961
    or the Criminal Code of 2012 when the victim was under 18
    years of age and the offense was committed on or after (1)
    July 26, 2000 if the defendant was 18 years of age or older
    or (2) July 26, 2010 and the defendant was under the age of
    18:
            12-3.3 (aggravated domestic battery),
            12-3.05(a)(1), 12-3.05(d)(2), 12-3.05(f)(1),
        12-4(a), 12-4(b)(1), or 12-4(b)(14) (aggravated
        battery),
            12-3.05(a)(2) or 12-4.1 (heinous battery),
            12-3.05(b) or 12-4.3 (aggravated battery of a
        child),
            12-3.1(a-5) or 12-4.4 (aggravated battery of an
        unborn child),
            12-33 (ritualized abuse of a child).
        (4.5) A violation or attempted violation of any of the
    following Sections of the Criminal Code of 1961 or the
    Criminal Code of 2012 when the victim was under 18 years of
    age and the offense was committed on or after (1) August 1,
    2001 if the defendant was 18 years of age or older or (2)
    August 1, 2011 and the defendant was under the age of 18:
            12-3.05(e)(1), (2), (3), or (4) or 12-4.2
        (aggravated battery with a firearm),
            12-3.05(e)(5), (6), (7), or (8) or 12-4.2-5
        (aggravated battery with a machine gun),
            12-11 or 19-6 (home invasion).
        (5) A violation of any former law of this State
    substantially equivalent to any offense listed in this
    subsection (b).
    (b-5) For the purposes of this Section, "first degree
murder of an adult" means first degree murder under Section 9-1
of the Criminal Code of 1961 or the Criminal Code of 2012 when
the victim was a person 18 years of age or older at the time of
the commission of the offense.
    (c) A conviction for an offense of federal law, Uniform
Code of Military Justice, or the law of another state or a
foreign country that is substantially equivalent to any offense
listed in subsections (b) and (c-5) of this Section shall
constitute a conviction for the purpose of this Act.
    (c-5) A person at least 17 years of age at the time of the
commission of the offense who is convicted of first degree
murder under Section 9-1 of the Criminal Code of 1961 or the
Criminal Code of 2012, against a person under 18 years of age,
shall be required to register for natural life. A conviction
for an offense of federal, Uniform Code of Military Justice,
sister state, or foreign country law that is substantially
equivalent to any offense listed in this subsection (c-5) shall
constitute a conviction for the purpose of this Act. This
subsection (c-5) applies to a person who committed the offense
before June 1, 1996 only if the person is incarcerated in an
Illinois Department of Corrections facility on August 20, 2004.
    (c-6) A person who is convicted or adjudicated delinquent
of first degree murder of an adult shall be required to
register for a period of 10 years after conviction or
adjudication if not confined to a penal institution, hospital,
or any other institution or facility, and if confined, for a
period of 10 years after parole, discharge, or release from any
such facility. A conviction for an offense of federal, Uniform
Code of Military Justice, sister state, or foreign country law
that is substantially equivalent to any offense listed in
subsection (c-6) of this Section shall constitute a conviction
for the purpose of this Act. This subsection (c-6) does not
apply to those individuals released from incarceration more
than 10 years prior to January 1, 2012 (the effective date of
Public Act 97-154).
    (d) As used in this Act, "law enforcement agency having
jurisdiction" means the Chief of Police in each of the
municipalities in which the violent offender against youth
expects to reside, work, or attend school (1) upon his or her
discharge, parole or release or (2) during the service of his
or her sentence of probation or conditional discharge, or the
Sheriff of the county, in the event no Police Chief exists or
if the offender intends to reside, work, or attend school in an
unincorporated area. "Law enforcement agency having
jurisdiction" includes the location where out-of-state
students attend school and where out-of-state employees are
employed or are otherwise required to register.
    (e) As used in this Act, "supervising officer" means the
assigned Illinois Department of Corrections parole agent or
county probation officer.
    (f) As used in this Act, "out-of-state student" means any
violent offender against youth who is enrolled in Illinois, on
a full-time or part-time basis, in any public or private
educational institution, including, but not limited to, any
secondary school, trade or professional institution, or
institution of higher learning.
    (g) As used in this Act, "out-of-state employee" means any
violent offender against youth who works in Illinois,
regardless of whether the individual receives payment for
services performed, for a period of time of 10 or more days or
for an aggregate period of time of 30 or more days during any
calendar year. Persons who operate motor vehicles in the State
accrue one day of employment time for any portion of a day
spent in Illinois.
    (h) As used in this Act, "school" means any public or
private educational institution, including, but not limited
to, any elementary or secondary school, trade or professional
institution, or institution of higher education.
    (i) As used in this Act, "fixed residence" means any and
all places that a violent offender against youth resides for an
aggregate period of time of 5 or more days in a calendar year.
    (j) As used in this Act, "baby shaking" means the vigorous
shaking of an infant or a young child that may result in
bleeding inside the head and cause one or more of the following
conditions: irreversible brain damage; blindness, retinal
hemorrhage, or eye damage; cerebral palsy; hearing loss; spinal
cord injury, including paralysis; seizures; learning
disability; central nervous system injury; closed head injury;
rib fracture; subdural hematoma; or death.
(Source: P.A. 96-1115, eff. 1-1-11; 96-1294, eff. 7-26-10;
97-154, eff. 1-1-12; 97-333, eff. 8-12-11; 97-432, eff.
8-16-11; 97-1108, eff. 1-1-13; 97-1109, eff. 1-1-13; revised
9-20-12.)
 
    Section 700. The Secure Residential Youth Care Facility
Licensing Act is amended by changing Section 45-30 as follows:
 
    (730 ILCS 175/45-30)
    Sec. 45-30. License or employment eligibility.
    (a) No applicant may receive a license from the Department
and no person may be employed by a licensed facility who
refuses to authorize an investigation as required by Section
45-25.
    (b) No applicant may receive a license from the Department
and no person may be employed by a secure residential youth
care facility licensed by the Department who has been declared
a sexually dangerous person under the Sexually Dangerous
Persons Act or convicted of committing or attempting to commit
any of the following offenses under the Criminal Code of 1961
or the Criminal Code of 2012:
        (1) First degree murder.
        (2) A sex offense under Article 11, except offenses
    described in Sections 11-7, 11-8, 11-12, 11-13, 11-18,
    11-35, 11-40, and 11-45.
        (3) Kidnapping.
        (4) Aggravated kidnapping.
        (5) Child abduction.
        (6) Aggravated battery of a child as described in
    Section 12-4.3 or subdivision (b)(1) of Section 12-3.05.
        (7) Criminal sexual assault.
        (8) Aggravated criminal sexual assault.
        (8.1) Predatory criminal sexual assault of a child.
        (9) Criminal sexual abuse.
        (10) Aggravated criminal sexual abuse.
        (11) A federal offense or an offense in any other state
    the elements of which are similar to any of the foregoing
    offenses.
(Source: P.A. 96-1551, Article 1, Section 975, eff. 7-1-11;
96-1551, Article 2, Section 1080, eff. 7-1-11; 97-1109, eff.
1-1-13.)
 
    Section 705. The Code of Civil Procedure is amended by
changing Sections 8-802, 8-802.1, 8-2001.5, 9-106.2, 13-202.1,
13-202.2, and 13-202.3 as follows:
 
    (735 ILCS 5/8-802)  (from Ch. 110, par. 8-802)
    Sec. 8-802. Physician and patient. No physician or surgeon
shall be permitted to disclose any information he or she may
have acquired in attending any patient in a professional
character, necessary to enable him or her professionally to
serve the patient, except only (1) in trials for homicide when
the disclosure relates directly to the fact or immediate
circumstances of the homicide, (2) in actions, civil or
criminal, against the physician for malpractice, (3) with the
expressed consent of the patient, or in case of his or her
death or disability, of his or her personal representative or
other person authorized to sue for personal injury or of the
beneficiary of an insurance policy on his or her life, health,
or physical condition, or as authorized by Section 8-2001.5,
(4) in all actions brought by or against the patient, his or
her personal representative, a beneficiary under a policy of
insurance, or the executor or administrator of his or her
estate wherein the patient's physical or mental condition is an
issue, (5) upon an issue as to the validity of a document as a
will of the patient, (6) in any criminal action where the
charge is either first degree murder by abortion, attempted
abortion or abortion, (7) in actions, civil or criminal,
arising from the filing of a report in compliance with the
Abused and Neglected Child Reporting Act, (8) to any
department, agency, institution or facility which has custody
of the patient pursuant to State statute or any court order of
commitment, (9) in prosecutions where written results of blood
alcohol tests are admissible pursuant to Section 11-501.4 of
the Illinois Vehicle Code, (10) in prosecutions where written
results of blood alcohol tests are admissible under Section
5-11a of the Boat Registration and Safety Act, (11) in criminal
actions arising from the filing of a report of suspected
terrorist offense in compliance with Section 29D-10(p)(7) of
the Criminal Code of 2012 1961, or (12) upon the issuance of a
subpoena pursuant to Section 38 of the Medical Practice Act of
1987; the issuance of a subpoena pursuant to Section 25.1 of
the Illinois Dental Practice Act; the issuance of a subpoena
pursuant to Section 22 of the Nursing Home Administrators
Licensing and Disciplinary Act; or the issuance of a subpoena
pursuant to Section 25.5 of the Workers' Compensation Act.
    In the event of a conflict between the application of this
Section and the Mental Health and Developmental Disabilities
Confidentiality Act to a specific situation, the provisions of
the Mental Health and Developmental Disabilities
Confidentiality Act shall control.
(Source: P.A. 97-18, eff. 6-28-11; 97-623, eff. 11-23-11;
97-813, eff. 7-13-12.)
 
    (735 ILCS 5/8-802.1)  (from Ch. 110, par. 8-802.1)
    Sec. 8-802.1. Confidentiality of Statements Made to Rape
Crisis Personnel.
    (a) Purpose. This Section is intended to protect victims of
rape from public disclosure of statements they make in
confidence to counselors of organizations established to help
them. On or after July 1, 1984, "rape" means an act of forced
sexual penetration or sexual conduct, as defined in Section
11-0.1 of the Criminal Code of 2012 1961, as amended, including
acts prohibited under Sections 11-1.20 through 11-1.60 or 12-13
through 12-16 of the Criminal Code of 1961 or the Criminal Code
of 2012 , as amended. Because of the fear and stigma that often
results from those crimes, many victims hesitate to seek help
even where it is available at no cost to them. As a result they
not only fail to receive needed medical care and emergency
counseling, but may lack the psychological support necessary to
report the crime and aid police in preventing future crimes.
    (b) Definitions. As used in this Act:
        (1) "Rape crisis organization" means any organization
    or association the major purpose of which is providing
    information, counseling, and psychological support to
    victims of any or all of the crimes of aggravated criminal
    sexual assault, predatory criminal sexual assault of a
    child, criminal sexual assault, sexual relations between
    siblings, criminal sexual abuse and aggravated criminal
    sexual abuse.
        (2) "Rape crisis counselor" means a person who is a
    psychologist, social worker, employee, or volunteer in any
    organization or association defined as a rape crisis
    organization under this Section, who has undergone 40 hours
    of training and is under the control of a direct services
    supervisor of a rape crisis organization.
        (3) "Victim" means a person who is the subject of, or
    who seeks information, counseling, or advocacy services as
    a result of an aggravated criminal sexual assault,
    predatory criminal sexual assault of a child, criminal
    sexual assault, sexual relations within families, criminal
    sexual abuse, aggravated criminal sexual abuse, sexual
    exploitation of a child, indecent solicitation of a child,
    public indecency, exploitation of a child, promoting
    juvenile prostitution as described in subdivision (a)(4)
    of Section 11-14.4, or an attempt to commit any of these
    offenses.
        (4) "Confidential communication" means any
    communication between a victim and a rape crisis counselor
    in the course of providing information, counseling, and
    advocacy. The term includes all records kept by the
    counselor or by the organization in the course of providing
    services to an alleged victim concerning the alleged victim
    and the services provided.
    (c) Waiver of privilege.
        (1) The confidential nature of the communication is not
    waived by: the presence of a third person who further
    expresses the interests of the victim at the time of the
    communication; group counseling; or disclosure to a third
    person with the consent of the victim when reasonably
    necessary to accomplish the purpose for which the counselor
    is consulted.
        (2) The confidential nature of counseling records is
    not waived when: the victim inspects the records; or in the
    case of a minor child less than 12 years of age, a parent
    or guardian whose interests are not adverse to the minor
    inspects the records; or in the case of a minor victim 12
    years or older, a parent or guardian whose interests are
    not adverse to the minor inspects the records with the
    victim's consent, or in the case of an adult who has a
    guardian of his or her person, the guardian inspects the
    records with the victim's consent.
        (3) When a victim is deceased, the executor or
    administrator of the victim's estate may waive the
    privilege established by this Section, unless the executor
    or administrator has an interest adverse to the victim.
        (4) A minor victim 12 years of age or older may
    knowingly waive the privilege established in this Section.
    When a minor is, in the opinion of the Court, incapable of
    knowingly waiving the privilege, the parent or guardian of
    the minor may waive the privilege on behalf of the minor,
    unless the parent or guardian has been charged with a
    violent crime against the victim or otherwise has any
    interest adverse to that of the minor with respect to the
    waiver of the privilege.
        (5) An adult victim who has a guardian of his or her
    person may knowingly waive the privilege established in
    this Section. When the victim is, in the opinion of the
    court, incapable of knowingly waiving the privilege, the
    guardian of the adult victim may waive the privilege on
    behalf of the victim, unless the guardian has been charged
    with a violent crime against the victim or otherwise has
    any interest adverse to the victim with respect to the
    privilege.
    (d) Confidentiality. Except as provided in this Act, no
rape crisis counselor shall disclose any confidential
communication or be examined as a witness in any civil or
criminal proceeding as to any confidential communication
without the written consent of the victim or a representative
of the victim as provided in subparagraph (c).
    (e) A rape crisis counselor may disclose a confidential
communication without the consent of the victim if failure to
disclose is likely to result in a clear, imminent risk of
serious physical injury or death of the victim or another
person. Any rape crisis counselor or rape crisis organization
participating in good faith in the disclosing of records and
communications under this Act shall have immunity from any
liability, civil, criminal, or otherwise that might result from
the action. In any proceeding, civil or criminal, arising out
of a disclosure under this Section, the good faith of any rape
crisis counselor or rape crisis organization who disclosed the
confidential communication shall be presumed.
    (f) Any rape crisis counselor who knowingly discloses any
confidential communication in violation of this Act commits a
Class C misdemeanor.
(Source: P.A. 96-1010, eff. 1-1-11; 96-1551, eff. 7-1-11.)
 
    (735 ILCS 5/8-2001.5)
    Sec. 8-2001.5. Authorization for release of a deceased
patient's records.
    (a) In addition to disclosure allowed under Section 8-802,
a deceased person's health care records must be released upon
written request of the executor or administrator of the
deceased person's estate or to an agent appointed by the
deceased under a power of attorney for health care. When no
executor, administrator, or agent exists, and the person did
not specifically object to disclosure of his or her records in
writing, then a deceased person's health care records must be
released upon the written request of a person, who is
considered to be a personal representative of the patient for
the purpose of the release of a deceased patient's health care
records, in one of these categories:
        (1) the deceased person's surviving spouse; or
        (2) if there is no surviving spouse, any one or more of
    the following: (i) an adult son or daughter of the
    deceased, (ii) a parent of the deceased, or (iii) an adult
    brother or sister of the deceased.
    (b) Health care facilities and practitioners are
authorized to provide a copy of a deceased patient's records
based upon a person's payment of the statutory fee and signed
"Authorized Relative Certification", attesting to the fact
that the person is authorized to receive such records under
this Section.
    (c) Any person who, in good faith, relies on a copy of an
Authorized Relative Certification shall have the same
immunities from criminal and civil liability as those who rely
on a power of attorney for health care as provided by Illinois
law.
    (d) Upon request for records of a deceased patient, the
named authorized relative shall provide the facility or
practitioner with a certified copy of the death certificate and
a certification in substantially the following form:
 
AUTHORIZED RELATIVE CERTIFICATION

 
    I, (insert name of authorized relative), certify that I am
an authorized relative of the deceased (insert name of
deceased). (A certified copy of the death certificate must be
attached.)
 
    I certify that to the best of my knowledge and belief that
no executor or administrator has been appointed for the
deceased's estate, that no agent was authorized to act for the
deceased under a power of attorney for health care, and the
deceased has not specifically objected to disclosure in
writing.
 
    I certify that I am the surviving spouse of the deceased;
or
 
    I certify that there is no surviving spouse and my
relationship to the deceased is (circle one):
        (1) An adult son or daughter of the deceased.
        (2) Either parent of the deceased.
        (3) An adult brother or sister of the deceased.
 
    I certify that I am seeking the records as a personal
representative who is acting in a representative capacity and
who is authorized to seek these records under Section 8-2001.5
of the Code of Civil Procedure.
 
    This certification is made under penalty of perjury.*
 
Dated: (insert date)
 
.................................
(Print Authorized Relative's Name)
.................................
(Authorized Relative's Signature)
.................................
(Authorized Relative's Address)
 
*(Note: Perjury is defined in Section 32-2 of the Criminal Code
of 2012 1961, and is a Class 3 felony.)
(Source: P.A. 97-623, eff. 11-23-11; 97-867, eff. 7-30-12.)
 
    (735 ILCS 5/9-106.2)
    Sec. 9-106.2. Affirmative defense for violence; barring
persons from property.
    (a) It shall be an affirmative defense to an action
maintained under this Article IX if the court makes one of the
following findings that the demand for possession is:
        (1) based solely on the tenant's, lessee's, or
    household member's status as a victim of domestic violence
    or sexual violence as those terms are defined in Section 10
    of the Safe Homes Act, stalking as that term is defined in
    the Criminal Code of 2012 1961, or dating violence;
        (2) based solely upon an incident of actual or
    threatened domestic violence, dating violence, stalking,
    or sexual violence against a tenant, lessee, or household
    member;
        (3) based solely upon criminal activity directly
    relating to domestic violence, dating violence, stalking,
    or sexual violence engaged in by a member of a tenant's or
    lessee's household or any guest or other person under the
    tenant's, lessee's, or household member's control, and
    against the tenant, lessee, or household member; or
        (4) based upon a demand for possession pursuant to
    subsection (f) where the tenant, lessee, or household
    member who was the victim of domestic violence, sexual
    violence, stalking, or dating violence did not knowingly
    consent to the barred person entering the premises or a
    valid court order permitted the barred person's entry onto
    the premises.
    (b) When asserting the affirmative defense, at least one
form of the following types of evidence shall be provided to
support the affirmative defense: medical, court, or police
records documenting the violence or a statement from an
employee of a victim service organization or from a medical
professional from whom the tenant, lessee, or household member
has sought services.
    (c) Nothing in subsection (a) shall prevent the landlord
from seeking possession solely against a tenant, household
member, or lessee of the premises who perpetrated the violence
referred to in subsection (a).
    (d) Nothing in subsection (a) shall prevent the landlord
from seeking possession against the entire household,
including the tenant, lessee, or household member who is a
victim of domestic violence, dating violence, stalking, or
sexual violence if the tenant, lessee, or household member's
continued tenancy would pose an actual and imminent threat to
other tenants, lessees, household members, the landlord or
their agents at the property.
    (e) Nothing in subsection (a) shall prevent the landlord
from seeking possession against the tenant, lessee, or
household member who is a victim of domestic violence, dating
violence, stalking, or sexual violence if that tenant, lessee,
or household member has committed the criminal activity on
which the demand for possession is based.
    (f) A landlord shall have the power to bar the presence of
a person from the premises owned by the landlord who is not a
tenant or lessee or who is not a member of the tenant's or
lessee's household. A landlord bars a person from the premises
by providing written notice to the tenant or lessee that the
person is no longer allowed on the premises. That notice shall
state that if the tenant invites the barred person onto any
portion of the premises, then the landlord may treat this as a
breach of the lease, whether or not this provision is contained
in the lease. Subject to paragraph (4) of subsection (a), the
landlord may evict the tenant.
    (g) Further, a landlord may give notice to a person that
the person is barred from the premises owned by the landlord. A
person has received notice from the landlord within the meaning
of this subsection if he has been notified personally, either
orally or in writing including a valid court order as defined
by subsection (7) of Section 112A-3 of the Code of Criminal
Procedure of 1963 granting remedy (2) of subsection (b) of
Section 112A-14 of that Code, or if a printed or written notice
forbidding such entry has been conspicuously posted or
exhibited at the main entrance to such land or the forbidden
part thereof. Any person entering the landlord's premises after
such notice has been given shall be guilty of criminal trespass
to real property as set forth in Section 21-3 of the Criminal
Code of 2012 1961. After notice has been given, an invitation
to the person to enter the premises shall be void if made by a
tenant, lessee, or member of the tenant's or lessee's household
and shall not constitute a valid invitation to come upon the
premises or a defense to a criminal trespass to real property.
(Source: P.A. 96-1188, eff. 7-22-10.)
 
    (735 ILCS 5/13-202.1)  (from Ch. 110, par. 13-202.1)
    Sec. 13-202.1. No limitations on certain actions - Duties
of Department of Corrections and State's Attorneys.
    (a) Notwithstanding any other provision of law, any action
for damages against a person, however the action may be
designated, may be brought at any time if --
        (1) the action is based upon conduct of a person which
    constituted the commission of first degree murder, a Class
    X felony, or a Class 1 felony as these terms are utilized
    at the time of filing of the action; and
        (2) the person was convicted of the first degree
    murder, Class X felony, or Class 1 felony.
    (b) The provisions of this Section are fully applicable to
convictions based upon defendant's accountability under
Section 5-2 of the Criminal Code of 1961 or the Criminal Code
of 2012 , approved July 28, 1961, as amended.
    (c) Paragraphs (a) and (b) above shall apply to any cause
of action regardless of the date on which the defendant's
conduct is alleged to have occurred or of the date of any
conviction resulting therefrom. In addition, this Section
shall be applied retroactively and shall revive causes of
actions which otherwise may have been barred under limitations
provisions in effect prior to the enactment and/or effect of
P.A. 84-1450.
    (d) Whenever there is any settlement, verdict or judgment
in excess of $500 in any court against the Department of
Corrections or any past or present employee or official in
favor of any person for damages incurred while the person was
committed to the Department of Corrections, the Department
within 14 days of the settlement, verdict or judgment shall
notify the State's Attorney of the county from which the person
was committed to the Department. The State's Attorney shall in
turn within 14 days after receipt of the notice send the same
notice to the person or persons who were the victim or victims
of the crime for which the offender was committed, at their
last known address, along with the information that the victim
or victims should contact a private attorney to advise them of
their rights under the law.
    (e) Whenever there is any settlement, verdict or judgment
in excess of $500 in any court against any county or county
sheriff or any past or present employee or official in favor of
any person for damages incurred while the person was
incarcerated in any county jail, the county or county sheriff,
within 14 days of the settlement, verdict or judgment shall
notify the State's Attorney of the county from which the person
was incarcerated in the county jail. The State's Attorney shall
within 14 days of receipt of the notice send the same notice to
the person or persons who were the victim or victims of the
crime for which the offender was committed, at their last known
address, along with the information that the victim or victims
should contact a private attorney to advise them of their
rights under the law.
    (f) No civil action may be brought by anyone against the
Department of Corrections, a State's Attorney, a County, a
county sheriff, or any past or present employee or agent
thereof for any alleged violation by any such entity or person
of the notification requirements imposed by paragraph (d) or
(e).
(Source: P.A. 95-975, eff. 1-1-09.)
 
    (735 ILCS 5/13-202.2)  (from Ch. 110, par. 13-202.2)
    Sec. 13-202.2. Childhood sexual abuse.
    (a) In this Section:
    "Childhood sexual abuse" means an act of sexual abuse that
occurs when the person abused is under 18 years of age.
    "Sexual abuse" includes but is not limited to sexual
conduct and sexual penetration as defined in Section 11-0.1 of
the Criminal Code of 2012 1961.
    (b) Notwithstanding any other provision of law, an action
for damages for personal injury based on childhood sexual abuse
must be commenced within 20 years of the date the limitation
period begins to run under subsection (d) or within 20 years of
the date the person abused discovers or through the use of
reasonable diligence should discover both (i) that the act of
childhood sexual abuse occurred and (ii) that the injury was
caused by the childhood sexual abuse. The fact that the person
abused discovers or through the use of reasonable diligence
should discover that the act of childhood sexual abuse occurred
is not, by itself, sufficient to start the discovery period
under this subsection (b). Knowledge of the abuse does not
constitute discovery of the injury or the causal relationship
between any later-discovered injury and the abuse.
    (c) If the injury is caused by 2 or more acts of childhood
sexual abuse that are part of a continuing series of acts of
childhood sexual abuse by the same abuser, then the discovery
period under subsection (b) shall be computed from the date the
person abused discovers or through the use of reasonable
diligence should discover both (i) that the last act of
childhood sexual abuse in the continuing series occurred and
(ii) that the injury was caused by any act of childhood sexual
abuse in the continuing series. The fact that the person abused
discovers or through the use of reasonable diligence should
discover that the last act of childhood sexual abuse in the
continuing series occurred is not, by itself, sufficient to
start the discovery period under subsection (b). Knowledge of
the abuse does not constitute discovery of the injury or the
causal relationship between any later-discovered injury and
the abuse.
    (d) The limitation periods under subsection (b) do not
begin to run before the person abused attains the age of 18
years; and, if at the time the person abused attains the age of
18 years he or she is under other legal disability, the
limitation periods under subsection (b) do not begin to run
until the removal of the disability.
    (d-1) The limitation periods in subsection (b) do not run
during a time period when the person abused is subject to
threats, intimidation, manipulation, or fraud perpetrated by
the abuser or by any person acting in the interest of the
abuser.
    (e) This Section applies to actions pending on the
effective date of this amendatory Act of 1990 as well as to
actions commenced on or after that date. The changes made by
this amendatory Act of 1993 shall apply only to actions
commenced on or after the effective date of this amendatory Act
of 1993. The changes made by this amendatory Act of the 93rd
General Assembly apply to actions pending on the effective date
of this amendatory Act of the 93rd General Assembly as well as
actions commenced on or after that date. The changes made by
this amendatory Act of the 96th General Assembly apply to
actions commenced on or after the effective date of this
amendatory Act of the 96th General Assembly if the action would
not have been time barred under any statute of limitations or
statute of repose prior to the effective date of this
amendatory Act of the 96th General Assembly.
(Source: P.A. 96-1093, eff. 1-1-11; 96-1551, eff. 7-1-11.)
 
    (735 ILCS 5/13-202.3)
    Sec. 13-202.3. For an action arising out of an injury
caused by "sexual conduct" or "sexual penetration" as defined
in Section 11-0.1 of the Criminal Code of 2012 1961, the
limitation period in Section 13-202 does not run during a time
period when the person injured is subject to threats,
intimidation, manipulation, or fraud perpetrated by the
perpetrator or by a person the perpetrator knew or should have
known was acting in the interest of the perpetrator. This
Section applies to causes of action arising on or after the
effective date of this amendatory Act of the 95th General
Assembly or to causes of action for which the limitation period
has not yet expired.
(Source: P.A. 95-589, eff. 1-1-08; 96-1551, eff. 7-1-11.)
 
    Section 710. The Stalking No Contact Order Act is amended
by changing Section 90 as follows:
 
    (740 ILCS 21/90)
    Sec. 90. Accountability for actions of others. For the
purposes of issuing a stalking no contact order, deciding what
remedies should be included and enforcing the order, Article 5
of the Criminal Code of 2012 1961 shall govern whether
respondent is legally accountable for the conduct of another
person.
(Source: P.A. 96-246, eff. 1-1-10.)
 
    Section 715. The Civil No Contact Order Act is amended by
changing Sections 213 and 213.5 as follows:
 
    (740 ILCS 22/213)
    Sec. 213. Civil no contact order; remedies.
    (a) If the court finds that the petitioner has been a
victim of non-consensual sexual conduct or non-consensual
sexual penetration, a civil no contact order shall issue;
provided that the petitioner must also satisfy the requirements
of Section 214 on emergency orders or Section 215 on plenary
orders. The petitioner shall not be denied a civil no contact
order because the petitioner or the respondent is a minor. The
court, when determining whether or not to issue a civil no
contact order, may not require physical injury on the person of
the victim. Modification and extension of prior civil no
contact orders shall be in accordance with this Act.
    (b) (Blank).
    (b-5) The court may provide relief as follows:
        (1) prohibit the respondent from knowingly coming
    within, or knowingly remaining within, a specified
    distance from the petitioner;
        (2) restrain the respondent from having any contact,
    including nonphysical contact, with the petitioner
    directly, indirectly, or through third parties, regardless
    of whether those third parties know of the order;
        (3) prohibit the respondent from knowingly coming
    within, or knowingly remaining within, a specified
    distance from the petitioner's residence, school, day care
    or other specified location;
        (4) order the respondent to stay away from any property
    or animal owned, possessed, leased, kept, or held by the
    petitioner and forbid the respondent from taking,
    transferring, encumbering, concealing, harming, or
    otherwise disposing of the property or animal; and
        (5) order any other injunctive relief as necessary or
    appropriate for the protection of the petitioner.
    (b-6) When the petitioner and the respondent attend the
same public or private elementary, middle, or high school, the
court when issuing a civil no contact order and providing
relief shall consider the severity of the act, any continuing
physical danger or emotional distress to the petitioner, the
educational rights guaranteed to the petitioner and respondent
under federal and State law, the availability of a transfer of
the respondent to another school, a change of placement or a
change of program of the respondent, the expense, difficulty,
and educational disruption that would be caused by a transfer
of the respondent to another school, and any other relevant
facts of the case. The court may order that the respondent not
attend the public, private, or non-public elementary, middle,
or high school attended by the petitioner, order that the
respondent accept a change of placement or program, as
determined by the school district or private or non-public
school, or place restrictions on the respondent's movements
within the school attended by the petitioner. The respondent
bears the burden of proving by a preponderance of the evidence
that a transfer, change of placement, or change of program of
the respondent is not available. The respondent also bears the
burden of production with respect to the expense, difficulty,
and educational disruption that would be caused by a transfer
of the respondent to another school. A transfer, change of
placement, or change of program is not unavailable to the
respondent solely on the ground that the respondent does not
agree with the school district's or private or non-public
school's transfer, change of placement, or change of program or
solely on the ground that the respondent fails or refuses to
consent to or otherwise does not take an action required to
effectuate a transfer, change of placement, or change of
program. When a court orders a respondent to stay away from the
public, private, or non-public school attended by the
petitioner and the respondent requests a transfer to another
attendance center within the respondent's school district or
private or non-public school, the school district or private or
non-public school shall have sole discretion to determine the
attendance center to which the respondent is transferred. In
the event the court order results in a transfer of the minor
respondent to another attendance center, a change in the
respondent's placement, or a change of the respondent's
program, the parents, guardian, or legal custodian of the
respondent is responsible for transportation and other costs
associated with the transfer or change.
    (b-7) The court may order the parents, guardian, or legal
custodian of a minor respondent to take certain actions or to
refrain from taking certain actions to ensure that the
respondent complies with the order. In the event the court
orders a transfer of the respondent to another school, the
parents or legal guardians of the respondent are responsible
for transportation and other costs associated with the change
of school by the respondent.
    (c) Denial of a remedy may not be based, in whole or in
part, on evidence that:
        (1) the respondent has cause for any use of force,
    unless that cause satisfies the standards for justifiable
    use of force provided by Article 7 VII of the Criminal Code
    of 2012 1961;
        (2) the respondent was voluntarily intoxicated;
        (3) the petitioner acted in self-defense or defense of
    another, provided that, if the petitioner utilized force,
    such force was justifiable under Article 7 VII of the
    Criminal Code of 2012 1961;
        (4) the petitioner did not act in self-defense or
    defense of another;
        (5) the petitioner left the residence or household to
    avoid further non-consensual sexual conduct or
    non-consensual sexual penetration by the respondent; or
        (6) the petitioner did not leave the residence or
    household to avoid further non-consensual sexual conduct
    or non-consensual sexual penetration by the respondent.
    (d) Monetary damages are not recoverable as a remedy.
(Source: P.A. 96-311, eff. 1-1-10; 97-294, eff. 1-1-12.)
 
    (740 ILCS 22/213.5)
    Sec. 213.5. Accountability for actions of others. For the
purposes of issuing a civil no contact order, deciding what
remedies should be included and enforcing the order, Article 5
of the Criminal Code of 2012 1961 shall govern whether
respondent is legally accountable for the conduct of another
person.
(Source: P.A. 93-236, eff. 1-1-04.)
 
    Section 720. The Crime Victims Compensation Act is amended
by changing Sections 2, 6.1, and 14.1 as follows:
 
    (740 ILCS 45/2)  (from Ch. 70, par. 72)
    Sec. 2. Definitions. As used in this Act, unless the
context otherwise requires:
    (a) "Applicant" means any person who applies for
compensation under this Act or any person the Court of Claims
finds is entitled to compensation, including the guardian of a
minor or of a person under legal disability. It includes any
person who was a dependent of a deceased victim of a crime of
violence for his or her support at the time of the death of
that victim.
    (b) "Court of Claims" means the Court of Claims created by
the Court of Claims Act.
    (c) "Crime of violence" means and includes any offense
defined in Sections 9-1, 9-1.2, 9-2, 9-2.1, 9-3, 9-3.2, 10-1,
10-2, 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-11,
11-19.2, 11-20.1, 11-20.1B, 11-20.3, 12-1, 12-2, 12-3, 12-3.1,
12-3.2, 12-3.3, 12-3.4, 12-4, 12-4.1, 12-4.2, 12-4.3, 12-5,
12-7.1, 12-7.3, 12-7.4, 12-13, 12-14, 12-14.1, 12-15, 12-16,
12-20.5, 12-30, 20-1 or 20-1.1, or Section 12-3.05 except for
subdivision (a)(4) or (g)(1), or subdivision (a)(4) of Section
11-14.4, of the Criminal Code of 1961 or the Criminal Code of
2012, Sections 1(a) and 1(a-5) of the Cemetery Protection Act,
Section 125 of the Stalking No Contact Order Act, Section 219
of the Civil No Contact Order Act, driving under the influence
as defined in Section 11-501 of the Illinois Vehicle Code, a
violation of Section 11-401 of the Illinois Vehicle Code,
provided the victim was a pedestrian or was operating a vehicle
moved solely by human power or a mobility device at the time of
contact, and a violation of Section 11-204.1 of the Illinois
Vehicle Code; so long as the offense did not occur during a
civil riot, insurrection or rebellion. "Crime of violence" does
not include any other offense or accident involving a motor
vehicle except those vehicle offenses specifically provided
for in this paragraph. "Crime of violence" does include all of
the offenses specifically provided for in this paragraph that
occur within this State but are subject to federal jurisdiction
and crimes involving terrorism as defined in 18 U.S.C. 2331.
    (d) "Victim" means (1) a person killed or injured in this
State as a result of a crime of violence perpetrated or
attempted against him or her, (2) the spouse or parent of a
person killed or injured in this State as a result of a crime
of violence perpetrated or attempted against the person, (3) a
person killed or injured in this State while attempting to
assist a person against whom a crime of violence is being
perpetrated or attempted, if that attempt of assistance would
be expected of a reasonable person under the circumstances, (4)
a person killed or injured in this State while assisting a law
enforcement official apprehend a person who has perpetrated a
crime of violence or prevent the perpetration of any such crime
if that assistance was in response to the express request of
the law enforcement official, (5) a person who personally
witnessed a violent crime, (5.1) solely for the purpose of
compensating for pecuniary loss incurred for psychological
treatment of a mental or emotional condition caused or
aggravated by the crime, any other person under the age of 18
who is the brother, sister, half brother, half sister, child,
or stepchild of a person killed or injured in this State as a
result of a crime of violence, (6) an Illinois resident who is
a victim of a "crime of violence" as defined in this Act
except, if the crime occurred outside this State, the resident
has the same rights under this Act as if the crime had occurred
in this State upon a showing that the state, territory,
country, or political subdivision of a country in which the
crime occurred does not have a compensation of victims of
crimes law for which that Illinois resident is eligible, (7) a
deceased person whose body is dismembered or whose remains are
desecrated as the result of a crime of violence, or (8) solely
for the purpose of compensating for pecuniary loss incurred for
psychological treatment of a mental or emotional condition
caused or aggravated by the crime, any parent, spouse, or child
under the age of 18 of a deceased person whose body is
dismembered or whose remains are desecrated as the result of a
crime of violence.
    (e) "Dependent" means a relative of a deceased victim who
was wholly or partially dependent upon the victim's income at
the time of his or her death and shall include the child of a
victim born after his or her death.
    (f) "Relative" means a spouse, parent, grandparent,
stepfather, stepmother, child, grandchild, brother,
brother-in-law, sister, sister-in-law, half brother, half
sister, spouse's parent, nephew, niece, uncle or aunt.
    (g) "Child" means an unmarried son or daughter who is under
18 years of age and includes a stepchild, an adopted child or a
child born out of wedlock.
    (h) "Pecuniary loss" means, in the case of injury,
appropriate medical expenses and hospital expenses including
expenses of medical examinations, rehabilitation, medically
required nursing care expenses, appropriate psychiatric care
or psychiatric counseling expenses, expenses for care or
counseling by a licensed clinical psychologist, licensed
clinical social worker, licensed professional counselor, or
licensed clinical professional counselor and expenses for
treatment by Christian Science practitioners and nursing care
appropriate thereto; transportation expenses to and from
medical and counseling treatment facilities; prosthetic
appliances, eyeglasses, and hearing aids necessary or damaged
as a result of the crime; replacement costs for clothing and
bedding used as evidence; costs associated with temporary
lodging or relocation necessary as a result of the crime,
including, but not limited to, the first month's rent and
security deposit of the dwelling that the claimant relocated to
and other reasonable relocation expenses incurred as a result
of the violent crime; locks or windows necessary or damaged as
a result of the crime; the purchase, lease, or rental of
equipment necessary to create usability of and accessibility to
the victim's real and personal property, or the real and
personal property which is used by the victim, necessary as a
result of the crime; the costs of appropriate crime scene
clean-up; replacement services loss, to a maximum of $1,250 per
month; dependents replacement services loss, to a maximum of
$1,250 per month; loss of tuition paid to attend grammar school
or high school when the victim had been enrolled as a student
prior to the injury, or college or graduate school when the
victim had been enrolled as a day or night student prior to the
injury when the victim becomes unable to continue attendance at
school as a result of the crime of violence perpetrated against
him or her; loss of earnings, loss of future earnings because
of disability resulting from the injury, and, in addition, in
the case of death, expenses for funeral, burial, and travel and
transport for survivors of homicide victims to secure bodies of
deceased victims and to transport bodies for burial all of
which may not exceed a maximum of $7,500 and loss of support of
the dependents of the victim; in the case of dismemberment or
desecration of a body, expenses for funeral and burial, all of
which may not exceed a maximum of $7,500. Loss of future
earnings shall be reduced by any income from substitute work
actually performed by the victim or by income he or she would
have earned in available appropriate substitute work he or she
was capable of performing but unreasonably failed to undertake.
Loss of earnings, loss of future earnings and loss of support
shall be determined on the basis of the victim's average net
monthly earnings for the 6 months immediately preceding the
date of the injury or on $1,250 per month, whichever is less
or, in cases where the absences commenced more than 3 years
from the date of the crime, on the basis of the net monthly
earnings for the 6 months immediately preceding the date of the
first absence, not to exceed $1,250 per month. If a divorced or
legally separated applicant is claiming loss of support for a
minor child of the deceased, the amount of support for each
child shall be based either on the amount of support pursuant
to the judgment prior to the date of the deceased victim's
injury or death, or, if the subject of pending litigation filed
by or on behalf of the divorced or legally separated applicant
prior to the injury or death, on the result of that litigation.
Real and personal property includes, but is not limited to,
vehicles, houses, apartments, town houses, or condominiums.
Pecuniary loss does not include pain and suffering or property
loss or damage.
    (i) "Replacement services loss" means expenses reasonably
incurred in obtaining ordinary and necessary services in lieu
of those the injured person would have performed, not for
income, but for the benefit of himself or herself or his or her
family, if he or she had not been injured.
    (j) "Dependents replacement services loss" means loss
reasonably incurred by dependents or private legal guardians of
minor dependents after a victim's death in obtaining ordinary
and necessary services in lieu of those the victim would have
performed, not for income, but for their benefit, if he or she
had not been fatally injured.
    (k) "Survivor" means immediate family including a parent,
step-father, step-mother, child, brother, sister, or spouse.
    (l) "Parent" means a natural parent, adopted parent,
step-parent, or permanent legal guardian of another person.
(Source: P.A. 96-267, eff. 8-11-09; 96-863, eff. 3-1-10;
96-1551, Article 1, Section 980, eff. 7-1-11; 96-1551, Article
2, Section 1090, eff. 7-1-11; 97-817, eff. 1-1-13; 97-1109,
eff. 1-1-13.)
 
    (740 ILCS 45/6.1)  (from Ch. 70, par. 76.1)
    Sec. 6.1. Right to compensation. A person is entitled to
compensation under this Act if:
        (a) Within 2 years of the occurrence of the crime, or
    within one year after a criminal charge of a person for an
    offense, upon which the claim is based, he files an
    application, under oath, with the Court of Claims and on a
    form prescribed in accordance with Section 7.1 furnished by
    the Attorney General. If the person entitled to
    compensation is under 18 years of age or under other legal
    disability at the time of the occurrence or becomes legally
    disabled as a result of the occurrence, he may file the
    application required by this subsection within 2 years
    after he attains the age of 18 years or the disability is
    removed, as the case may be. Legal disability includes a
    diagnosis of posttraumatic stress disorder.
        (b) For all crimes of violence, except those listed in
    subsection (b-1) of this Section, the appropriate law
    enforcement officials were notified within 72 hours of the
    perpetration of the crime allegedly causing the death or
    injury to the victim or, in the event such notification was
    made more than 72 hours after the perpetration of the
    crime, the applicant establishes that such notice was
    timely under the circumstances.
        (b-1) For victims of offenses defined in Sections
    11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 12-13, 12-14,
    12-14.1, 12-15, and 12-16 of the Criminal Code of 1961 or
    the Criminal Code of 2012, the appropriate law enforcement
    officials were notified within 7 days of the perpetration
    of the crime allegedly causing death or injury to the
    victim or, in the event that the notification was made more
    than 7 days after the perpetration of the crime, the
    applicant establishes that the notice was timely under the
    circumstances. If the applicant or victim has obtained an
    order of protection, a civil no contact order, or a
    stalking no contact order, or has presented himself or
    herself to a hospital for sexual assault evidence
    collection and medical care, such action shall constitute
    appropriate notification under this subsection (b-1) or
    subsection (b) of this Section.
        (c) The applicant has cooperated with law enforcement
    officials in the apprehension and prosecution of the
    assailant. If the applicant or victim has obtained an order
    of protection, a civil no contact order, or a stalking no
    contact order or has presented himself or herself to a
    hospital for sexual assault evidence collection and
    medical care, such action shall constitute cooperation
    under this subsection (c).
        (d) The applicant is not the offender or an accomplice
    of the offender and the award would not unjustly benefit
    the offender or his accomplice.
        (e) The injury to or death of the victim was not
    substantially attributable to his own wrongful act and was
    not substantially provoked by the victim.
(Source: P.A. 96-1551, eff. 7-1-11; 97-817, eff. 1-1-13.)
 
    (740 ILCS 45/14.1)  (from Ch. 70, par. 84.1)
    Sec. 14.1. (a) Hearings shall be open to the public unless
the Court of Claims determines that a closed hearing should be
held because:
        (1) the alleged assailant has not been brought to trial
    and a public hearing would adversely affect either his
    apprehension or his trial;
        (2) the offense allegedly perpetrated against the
    victim is one defined in Section 11-1.20, 11-1.30, 11-1.40,
    12-13, 12-14, or 12-14.1 of the Criminal Code of 1961 or
    the Criminal Code of 2012 and the interests of the victim
    or of persons dependent on his support require that the
    public be excluded from the hearing;
        (3) the victim or the alleged assailant is a minor; or
        (4) the interests of justice would be frustrated,
    rather than furthered, if the hearing were open to the
    public.
    (b) A transcript shall be kept of the hearings held before
the Court of Claims. No part of the transcript of any hearing
before the Court of Claims may be used for any purpose in a
criminal proceeding except in the prosecution of a person
alleged to have perjured himself in his testimony before the
Court of Claims. A copy of the transcript may be furnished to
the applicant upon his written request to the court reporter,
accompanied by payment of a charge established by the Court of
Claims in accordance with the prevailing commercial charge for
a duplicate transcript. Where the interests of justice require,
the Court of Claims may refuse to disclose the names of victims
or other material in the transcript by which the identity of
the victim could be discovered.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 725. The Insurance Claims Fraud Prevention Act is
amended by changing Sections 5 and 45 as follows:
 
    (740 ILCS 92/5)
    Sec. 5. Patient and client procurement.
    (a) Except as otherwise permitted or authorized by law, it
is unlawful to knowingly offer or pay any remuneration directly
or indirectly, in cash or in kind, to induce any person to
procure clients or patients to obtain services or benefits
under a contract of insurance or that will be the basis for a
claim against an insured person or the person's insurer.
Nothing in this Act shall be construed to affect any contracts
or arrangements between or among insuring entities including
health maintenance organizations, health care professionals,
or health care facilities which are hereby excluded.
    (b) A person who violates any provision of this Act,
Section 17-8.5 or Section 17-10.5 of the Criminal Code of 1961
or the Criminal Code of 2012, or Article 46 of the Criminal
Code of 1961 shall be subject, in addition to any other
penalties that may be prescribed by law, to a civil penalty of
not less than $5,000 nor more than $10,000, plus an assessment
of not more than 3 times the amount of each claim for
compensation under a contract of insurance. The court shall
have the power to grant other equitable relief, including
temporary injunctive relief, as is necessary to prevent the
transfer, concealment, or dissipation of illegal proceeds, or
to protect the public. The penalty prescribed in this
subsection shall be assessed for each fraudulent claim upon a
person in which the defendant participated.
    (c) The penalties set forth in subsection (b) are intended
to be remedial rather than punitive, and shall not preclude,
nor be precluded by, a criminal prosecution for the same
conduct. If the court finds, after considering the goals of
disgorging unlawful profit, restitution, compensating the
State for the costs of investigation and prosecution, and
alleviating the social costs of increased insurance rates due
to fraud, that such a penalty would be punitive and would
preclude, or be precluded by, a criminal prosecution, the court
shall reduce that penalty appropriately.
(Source: P.A. 92-233, eff. 1-1-02.)
 
    (740 ILCS 92/45)
    Sec. 45. Time limitations.
    (a) Except as provided in subsection (b), an action
pursuant to this Act may not be filed more than 3 years after
the discovery of the facts constituting the grounds for
commencing the action.
    (b) Notwithstanding subsection (a), an action may be filed
pursuant to this Act within not more than 8 years after the
commission of an act constituting a violation of this Act,
Section 17-8.5 or Section 17-10.5 of the Criminal Code of 1961
or the Criminal Code of 2012, or a violation of Article 46 of
the Criminal Code of 1961.
(Source: P.A. 92-233, eff. 1-1-02.)
 
    Section 730. The Interference With Utility Services Act is
amended by changing Section 4 as follows:
 
    (740 ILCS 95/4)  (from Ch. 111 2/3, par. 1504)
    Sec. 4. The rebuttable presumption provided in subsection
(c) of Section 16-14 of the Criminal Code of 1961 prior to its
repeal by Public Act 97-597 (effective January 1, 2012) , as
now or hereafter amended, shall be fully applicable to all
causes of actions brought pursuant to this Act. The presumption
provided shall only shift the burden of going forward with
evidence, and shall in no event shift the burden of proof to
the defendant. Any evidence of a judgment entered based on a
finding of guilt, plea of guilty or stipulation of guilt in a
criminal cause of action brought pursuant to Section 16-14 of
the Criminal Code of 2012 1961, as now or hereafter amended,
shall be admissible in any civil action brought pursuant to
this Act to prove any fact essential to sustaining a judgment.
The pendency of an appeal may be shown but does not affect the
admissibility of evidence under this Section.
(Source: P.A. 91-357, eff. 7-29-99.)
 
    Section 735. The Mental Health and Developmental
Disabilities Confidentiality Act is amended by changing
Section 12 as follows:
 
    (740 ILCS 110/12)  (from Ch. 91 1/2, par. 812)
    Sec. 12. (a) If the United States Secret Service or the
Department of State Police requests information from a mental
health or developmental disability facility, as defined in
Section 1-107 and 1-114 of the Mental Health and Developmental
Disabilities Code, relating to a specific recipient and the
facility director determines that disclosure of such
information may be necessary to protect the life of, or to
prevent the infliction of great bodily harm to, a public
official, or a person under the protection of the United States
Secret Service, only the following information may be
disclosed: the recipient's name, address, and age and the date
of any admission to or discharge from a facility; and any
information which would indicate whether or not the recipient
has a history of violence or presents a danger of violence to
the person under protection. Any information so disclosed shall
be used for investigative purposes only and shall not be
publicly disseminated. Any person participating in good faith
in the disclosure of such information in accordance with this
provision shall have immunity from any liability, civil,
criminal or otherwise, if such information is disclosed relying
upon the representation of an officer of the United States
Secret Service or the Department of State Police that a person
is under the protection of the United States Secret Service or
is a public official.
    For the purpose of this subsection (a), the term "public
official" means the Governor, Lieutenant Governor, Attorney
General, Secretary of State, State Comptroller, State
Treasurer, member of the General Assembly, member of the United
States Congress, Judge of the United States as defined in 28
U.S.C. 451, Justice of the United States as defined in 28
U.S.C. 451, United States Magistrate Judge as defined in 28
U.S.C. 639, Bankruptcy Judge appointed under 28 U.S.C. 152, or
Supreme, Appellate, Circuit, or Associate Judge of the State of
Illinois. The term shall also include the spouse, child or
children of a public official.
    (b) The Department of Human Services (acting as successor
to the Department of Mental Health and Developmental
Disabilities) and all public or private hospitals and mental
health facilities are required, as hereafter described in this
subsection, to furnish the Department of State Police only such
information as may be required for the sole purpose of
determining whether an individual who may be or may have been a
patient is disqualified because of that status from receiving
or retaining a Firearm Owner's Identification Card under
subsection (e) or (f) of Section 8 of the Firearm Owners
Identification Card Act or 18 U.S.C. 922(g) and (n). All public
or private hospitals and mental health facilities shall, in the
form and manner required by the Department, provide such
information as shall be necessary for the Department to comply
with the reporting requirements to the Department of State
Police. Such information shall be furnished within 7 days after
admission to a public or private hospital or mental health
facility or the provision of services to a patient described in
clause (2) of this subsection (b). Any such information
disclosed under this subsection shall remain privileged and
confidential, and shall not be redisclosed, except as required
by clause (e)(2) of Section 3.1 of the Firearm Owners
Identification Card Act, nor utilized for any other purpose.
The method of requiring the providing of such information shall
guarantee that no information is released beyond what is
necessary for this purpose. In addition, the information
disclosed shall be provided by the Department within the time
period established by Section 24-3 of the Criminal Code of 2012
1961 regarding the delivery of firearms. The method used shall
be sufficient to provide the necessary information within the
prescribed time period, which may include periodically
providing lists to the Department of Human Services or any
public or private hospital or mental health facility of Firearm
Owner's Identification Card applicants on which the Department
or hospital shall indicate the identities of those individuals
who are to its knowledge disqualified from having a Firearm
Owner's Identification Card for reasons described herein. The
Department may provide for a centralized source of information
for the State on this subject under its jurisdiction.
    Any person, institution, or agency, under this Act,
participating in good faith in the reporting or disclosure of
records and communications otherwise in accordance with this
provision or with rules, regulations or guidelines issued by
the Department shall have immunity from any liability, civil,
criminal or otherwise, that might result by reason of the
action. For the purpose of any proceeding, civil or criminal,
arising out of a report or disclosure in accordance with this
provision, the good faith of any person, institution, or agency
so reporting or disclosing shall be presumed. The full extent
of the immunity provided in this subsection (b) shall apply to
any person, institution or agency that fails to make a report
or disclosure in the good faith belief that the report or
disclosure would violate federal regulations governing the
confidentiality of alcohol and drug abuse patient records
implementing 42 U.S.C. 290dd-3 and 290ee-3.
    For purposes of this subsection (b) only, the following
terms shall have the meaning prescribed:
        (1) "Hospital" means only that type of institution
    which is providing full-time residential facilities and
    treatment.
        (2) "Patient" shall include only: (i) a person who is
    an in-patient or resident of any public or private hospital
    or mental health facility or (ii) a person who is an
    out-patient or provided services by a public or private
    hospital or mental health facility whose mental condition
    is of such a nature that it is manifested by violent,
    suicidal, threatening, or assaultive behavior or reported
    behavior, for which there is a reasonable belief by a
    physician, clinical psychologist, or qualified examiner
    that the condition poses a clear and present or imminent
    danger to the patient, any other person or the community
    meaning the patient's condition poses a clear and present
    danger in accordance with subsection (f) of Section 8 of
    the Firearm Owners Identification Card Act. The terms
    physician, clinical psychologist, and qualified examiner
    are defined in Sections 1-120, 1-103, and 1-122 of the
    Mental Health and Developmental Disabilities Code.
        (3) "Mental health facility" is defined by Section
    1-114 of the Mental Health and Developmental Disabilities
    Code.
    (c) Upon the request of a peace officer who takes a person
into custody and transports such person to a mental health or
developmental disability facility pursuant to Section 3-606 or
4-404 of the Mental Health and Developmental Disabilities Code
or who transports a person from such facility, a facility
director shall furnish said peace officer the name, address,
age and name of the nearest relative of the person transported
to or from the mental health or developmental disability
facility. In no case shall the facility director disclose to
the peace officer any information relating to the diagnosis,
treatment or evaluation of the person's mental or physical
health.
    For the purposes of this subsection (c), the terms "mental
health or developmental disability facility", "peace officer"
and "facility director" shall have the meanings ascribed to
them in the Mental Health and Developmental Disabilities Code.
    (d) Upon the request of a peace officer or prosecuting
authority who is conducting a bona fide investigation of a
criminal offense, or attempting to apprehend a fugitive from
justice, a facility director may disclose whether a person is
present at the facility. Upon request of a peace officer or
prosecuting authority who has a valid forcible felony warrant
issued, a facility director shall disclose: (1) whether the
person who is the subject of the warrant is present at the
facility and (2) the date of that person's discharge or future
discharge from the facility. The requesting peace officer or
prosecuting authority must furnish a case number and the
purpose of the investigation or an outstanding arrest warrant
at the time of the request. Any person, institution, or agency
participating in good faith in disclosing such information in
accordance with this subsection (d) is immune from any
liability, civil, criminal or otherwise, that might result by
reason of the action.
(Source: P.A. 95-564, eff. 6-1-08; 96-193, eff. 8-10-09.)
 
    Section 740. The Parental Responsibility Law is amended by
changing Section 3 as follows:
 
    (740 ILCS 115/3)  (from Ch. 70, par. 53)
    Sec. 3. Liability. The parent or legal guardian of an
unemancipated minor who resides with such parent or legal
guardian is liable for actual damages for the wilful or
malicious acts of such minor which cause injury to a person or
property, including damages caused by a minor who has been
adjudicated a delinquent for violating Section 21-1.3 of the
Criminal Code of 1961 or the Criminal Code of 2012. Reasonable
attorney's fees may be awarded to any plaintiff in any action
under this Act. If the plaintiff is a governmental unit,
reasonable attorney's fees may be awarded up to $15,000.
    The changes to this Section made by this amendatory Act of
the 95th General Assembly apply to causes of action accruing on
or after its effective date.
(Source: P.A. 95-914, eff. 1-1-09.)
 
    Section 745. The Police Search Cost Recovery Act is amended
by changing Section 1 as follows:
 
    (740 ILCS 125/1)  (from Ch. 70, par. 851)
    Sec. 1. (a) When any governmental unit in this State has
expended resources in a search for any person over the age of
18 who has been reported as missing, a cause of action exists
against the person reported missing in favor of the
governmental unit or units conducting a police search to
recover amounts reasonably expended by the governmental unit or
units where:
        (1) Such person knew or should have known that a police
    search for him was in progress;
        (2) Such person was not prevented by any other person
    from informing the police agency searching for him of his
    whereabouts and that he was not in danger, or from
    informing another person who could so inform the police
    agency; and
        (3) Such person failed, without good cause, to inform
    such police agency or another person who could inform such
    police agency that a search was not necessary.
    (b) When any governmental unit in this State has expended
resources in a search for a noncustodial parent who conceals,
detains or removes a child under the age of 18 from
jurisdiction of the court in violation of a court order or
without the consent of the lawful custodian of the child and in
search of that child, who has been reported as missing, a cause
of action exists against the noncustodial parent in favor of
the governmental unit or units conducting a police search to
recover amounts reasonably expended by the governmental unit or
units. For purposes of subsection (b), "detains" and "lawful
custodian" have the meanings ascribed to them in Section 10-5
of the Criminal Code of 2012 1961.
    (c) The causes of action under subsections (a) and (b)
shall lie for all amounts reasonably expended in the search and
any amounts expended in the enforcement of the actions,
including reasonable attorney's fees, litigation expenses, and
court costs. Punitive damages shall not be awarded.
(Source: P.A. 86-423; 87-1027.)
 
    Section 750. The Predator Accountability Act is amended by
changing Sections 10, 15, and 30 as follows:
 
    (740 ILCS 128/10)
    Sec. 10. Definitions. As used in this Act:
    "Sex trade" means any act, which if proven beyond a
reasonable doubt could support a conviction for a violation or
attempted violation of any of the following Sections of the
Criminal Code of 1961 or the Criminal Code of 2012: 11-14.3
(promoting prostitution); 11-14.4 (promoting juvenile
prostitution); 11-15 (soliciting for a prostitute); 11-15.1
(soliciting for a juvenile prostitute); 11-16 (pandering);
11-17 (keeping a place of prostitution); 11-17.1 (keeping a
place of juvenile prostitution); 11-19 (pimping); 11-19.1
(juvenile pimping and aggravated juvenile pimping); 11-19.2
(exploitation of a child); 11-20 (obscenity); 11-20.1 (child
pornography); or 11-20.1B or 11-20.3 (aggravated child
pornography); or Section 10-9 of the Criminal Code of 1961
(trafficking in persons and involuntary servitude).
    "Sex trade" activity may involve adults and youth of all
genders and sexual orientations.
    "Victim of the sex trade" means, for the following sex
trade acts, the person or persons indicated:
        (1) soliciting for a prostitute: the prostitute who is
    the object of the solicitation;
        (2) soliciting for a juvenile prostitute: the juvenile
    prostitute, or severely or profoundly intellectually
    disabled person, who is the object of the solicitation;
        (3) promoting prostitution as described in subdivision
    (a)(2)(A) or (a)(2)(B) of Section 11-14.3 of the Criminal
    Code of 1961 or the Criminal Code of 2012, or pandering:
    the person intended or compelled to act as a prostitute;
        (4) keeping a place of prostitution: any person
    intended or compelled to act as a prostitute, while present
    at the place, during the time period in question;
        (5) keeping a place of juvenile prostitution: any
    juvenile intended or compelled to act as a prostitute,
    while present at the place, during the time period in
    question;
        (6) promoting prostitution as described in subdivision
    (a)(2)(C) of Section 11-14.3 of the Criminal Code of 1961
    or the Criminal Code of 2012, or pimping: the prostitute
    from whom anything of value is received;
        (7) promoting juvenile prostitution as described in
    subdivision (a)(2) or (a)(3) of Section 11-14.4 of the
    Criminal Code of 1961 or the Criminal Code of 2012, or
    juvenile pimping and aggravated juvenile pimping: the
    juvenile, or severely or profoundly intellectually
    disabled person, from whom anything of value is received
    for that person's act of prostitution;
        (8) promoting juvenile prostitution as described in
    subdivision (a)(4) of Section 11-14.4 of the Criminal Code
    of 1961 or the Criminal Code of 2012, or exploitation of a
    child: the juvenile, or severely or profoundly
    intellectually disabled person, intended or compelled to
    act as a prostitute or from whom anything of value is
    received for that person's act of prostitution;
        (9) obscenity: any person who appears in or is
    described or depicted in the offending conduct or material;
        (10) child pornography or aggravated child
    pornography: any child, or severely or profoundly
    intellectually disabled person, who appears in or is
    described or depicted in the offending conduct or material;
    or
        (11) trafficking of persons or involuntary servitude:
    a "trafficking victim" as defined in Section 10-9 of the
    Criminal Code of 1961 or the Criminal Code of 2012.
(Source: P.A. 96-710, eff. 1-1-10; 96-1551, eff. 7-1-11;
97-227, eff. 1-1-12; 97-897, eff. 1-1-13; 97-1109, eff.
1-1-13.)
 
    (740 ILCS 128/15)
    Sec. 15. Cause of action.
    (a) Violations of this Act are actionable in civil court.
    (b) A victim of the sex trade has a cause of action against
a person or entity who:
        (1) recruits, profits from, or maintains the victim in
    any sex trade act;
        (2) intentionally abuses, as defined in Section 103 of
    the Illinois Domestic Violence Act of 1986, or causes
    bodily harm, as defined in Section 11-0.1 of the Criminal
    Code of 2012 1961, to the victim in any sex trade act; or
        (3) knowingly advertises or publishes advertisements
    for purposes of recruitment into sex trade activity.
    (c) This Section shall not be construed to create liability
to any person or entity who provides goods or services to the
general public, who also provides those goods or services to
persons who would be liable under subsection (b) of this
Section, absent a showing that the person or entity either:
        (1) knowingly markets or provides its goods or services
    primarily to persons or entities liable under subsection
    (b) of this Section;
        (2) knowingly receives a higher level of compensation
    from persons or entities liable under subsection (b) of
    this Section than it generally receives from customers; or
        (3) supervises or exercises control over persons or
    entities liable under subsection (b) of this Section.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (740 ILCS 128/30)
    Sec. 30. Evidence. Related to a cause of action under this
Act, the fact that a plaintiff or other witness has testified
under oath or given evidence relating to an act that may be a
violation of any provision of the Criminal Code of 2012 1961
shall not be construed to require the State's Attorney to
criminally charge any person for such violation.
(Source: P.A. 94-998, eff. 7-3-06.)
 
    Section 755. The Illinois Streetgang Terrorism Omnibus
Prevention Act is amended by changing Sections 10, 40, and 45
as follows:
 
    (740 ILCS 147/10)
    Sec. 10. Definitions.
    "Course or pattern of criminal activity" means 2 or more
gang-related criminal offenses committed in whole or in part
within this State when:
        (1) at least one such offense was committed after the
    effective date of this Act;
        (2) both offenses were committed within 5 years of each
    other; and
        (3) at least one offense involved the solicitation to
    commit, conspiracy to commit, attempt to commit, or
    commission of any offense defined as a felony or forcible
    felony under the Criminal Code of 1961 or the Criminal Code
    of 2012.
    "Course or pattern of criminal activity" also means one or
more acts of criminal defacement of property under Section
21-1.3 of the Criminal Code of 1961 or the Criminal Code of
2012, if the defacement includes a sign or other symbol
intended to identify the streetgang.
    "Designee of State's Attorney" or "designee" means any
attorney for a public authority who has received written
permission from the State's Attorney to file or join in a civil
action authorized by this Act.
    "Public authority" means any unit of local government or
school district created or established under the Constitution
or laws of this State.
    "State's Attorney" means the State's Attorney of any county
where an offense constituting a part of a course or pattern of
gang-related criminal activity has occurred or has been
committed.
    "Streetgang" or "gang" or "organized gang" or "criminal
street gang" means any combination, confederation, alliance,
network, conspiracy, understanding, or other similar
conjoining, in law or in fact, of 3 or more persons with an
established hierarchy that, through its membership or through
the agency of any member engages in a course or pattern of
criminal activity.
    For purposes of this Act, it shall not be necessary to show
that a particular conspiracy, combination, or conjoining of
persons possesses, acknowledges, or is known by any common
name, insignia, flag, means of recognition, secret signal or
code, creed, belief, structure, leadership or command
structure, method of operation or criminal enterprise,
concentration or specialty, membership, age, or other
qualifications, initiation rites, geographical or territorial
situs or boundary or location, or other unifying mark, manner,
protocol or method of expressing or indicating membership when
the conspiracy's existence, in law or in fact, can be
demonstrated by a preponderance of other competent evidence.
However, any evidence reasonably tending to show or
demonstrate, in law or in fact, the existence of or membership
in any conspiracy, confederation, or other association
described herein, or probative of the existence of or
membership in any such association, shall be admissible in any
action or proceeding brought under this Act.
    "Streetgang member" or "gang member" means any person who
actually and in fact belongs to a gang, and any person who
knowingly acts in the capacity of an agent for or accessory to,
or is legally accountable for, or voluntarily associates
himself with a course or pattern of gang-related criminal
activity, whether in a preparatory, executory, or cover-up
phase of any activity, or who knowingly performs, aids, or
abets any such activity.
    "Streetgang related" or "gang-related" means any criminal
activity, enterprise, pursuit, or undertaking directed by,
ordered by, authorized by, consented to, agreed to, requested
by, acquiesced in, or ratified by any gang leader, officer, or
governing or policy-making person or authority, or by any
agent, representative, or deputy of any such officer, person,
or authority:
        (1) with the intent to increase the gang's size,
    membership, prestige, dominance, or control in any
    geographical area; or
        (2) with the intent to provide the gang with any
    advantage in, or any control or dominance over any criminal
    market sector, including but not limited to, the
    manufacture, delivery, or sale of controlled substances or
    cannabis; arson or arson-for-hire; traffic in stolen
    property or stolen credit cards; traffic in prostitution,
    obscenity, or pornography; or that involves robbery,
    burglary, or theft; or
        (3) with the intent to exact revenge or retribution for
    the gang or any member of the gang; or
        (4) with the intent to obstruct justice, or intimidate
    or eliminate any witness against the gang or any member of
    the gang; or
        (5) with the intent to otherwise directly or indirectly
    cause any benefit, aggrandizement, gain, profit or other
    advantage whatsoever to or for the gang, its reputation,
    influence, or membership.
(Source: P.A. 93-337, eff. 1-1-04.)
 
    (740 ILCS 147/40)
    Sec. 40. Contraband.
    (a) The following are declared to be contraband and no
person shall have a property interest in them:
        (1) any property that is directly or indirectly used or
    intended for use in any manner to facilitate streetgang
    related activity; and
        (2) any property constituting or derived from gross
    profits or other proceeds obtained from streetgang related
    activity.
    (b) Within 60 days of the date of the seizure of contraband
under this Section, the State's Attorney shall initiate
forfeiture proceedings as provided in Article 36 of the
Criminal Code of 2012 1961. An owner or person who has a lien
on the property may establish as a defense to the forfeiture of
property that is subject to forfeiture under this Section that
the owner or lienholder had no knowledge that the property was
acquired through a pattern of streetgang related activity.
Property that is forfeited under this Section shall be disposed
of as provided in Article 36 of the Criminal Code of 2012 1961
for the forfeiture of vehicles, vessels, and aircraft. The
proceeds of the disposition shall be paid to the Gang Violence
Victims and Witnesses Fund to be used to assist in the
prosecution of gang crimes.
(Source: P.A. 91-876, eff. 1-1-01.)
 
    (740 ILCS 147/45)
    Sec. 45. Abatement as public nuisance.
    (a) Any real property that is erected, established,
maintained, owned, leased, or used by any streetgang for the
purpose of conducting streetgang related activity constitutes
a public nuisance and may be abated as provided in Article 37
of the Criminal Code of 2012 1961 relating to public nuisances.
    (b) An action to abate a nuisance under this Section may be
brought by the State's Attorney of the county where the seizure
occurred.
    (c) Any person who is injured by reason of streetgang
related activity shall have a cause of action for 3 times the
actual damages sustained and, if appropriate, punitive
damages; however, no cause of action shall arise under this
subsection (c) as a result of an otherwise legitimate
commercial transaction between parties to a contract or
agreement for the sale of lawful goods or property or the sale
of securities regulated by the Illinois Securities Law of 1953
or by the federal Securities and Exchange Commission. The
person shall also recover reasonable attorney's fees, costs,
and expenses.
(Source: P.A. 91-876, eff. 1-1-01.)
 
    Section 757. The Federal Law Enforcement Officer Immunity
Act is amended by changing Section 10 as follows:
 
    (745 ILCS 22/10)
    Sec. 10. Immunity. A federal law enforcement officer while
acting as a peace officer under Section 2-13 of the Criminal
Code of 2012 1961 is not liable for his or her act or omission
in the execution or enforcement of any law unless the act or
omission constitutes wilful and wanton conduct.
(Source: P.A. 88-677, eff. 12-15-94.)
 
    Section 760. The Illinois Marriage and Dissolution of
Marriage Act is amended by changing Sections 503, 601, 607, and
607.1 as follows:
 
    (750 ILCS 5/503)  (from Ch. 40, par. 503)
    Sec. 503. Disposition of property.
    (a) For purposes of this Act, "marital property" means all
property acquired by either spouse subsequent to the marriage,
except the following, which is known as "non-marital property":
        (1) property acquired by gift, legacy or descent;
        (2) property acquired in exchange for property
    acquired before the marriage or in exchange for property
    acquired by gift, legacy or descent;
        (3) property acquired by a spouse after a judgment of
    legal separation;
        (4) property excluded by valid agreement of the
    parties;
        (5) any judgment or property obtained by judgment
    awarded to a spouse from the other spouse;
        (6) property acquired before the marriage;
        (7) the increase in value of property acquired by a
    method listed in paragraphs (1) through (6) of this
    subsection, irrespective of whether the increase results
    from a contribution of marital property, non-marital
    property, the personal effort of a spouse, or otherwise,
    subject to the right of reimbursement provided in
    subsection (c) of this Section; and
        (8) income from property acquired by a method listed in
    paragraphs (1) through (7) of this subsection if the income
    is not attributable to the personal effort of a spouse.
    (b)(1) For purposes of distribution of property pursuant to
this Section, all property acquired by either spouse after the
marriage and before a judgment of dissolution of marriage or
declaration of invalidity of marriage, including non-marital
property transferred into some form of co-ownership between the
spouses, is presumed to be marital property, regardless of
whether title is held individually or by the spouses in some
form of co-ownership such as joint tenancy, tenancy in common,
tenancy by the entirety, or community property. The presumption
of marital property is overcome by a showing that the property
was acquired by a method listed in subsection (a) of this
Section.
    (2) For purposes of distribution of property pursuant to
this Section, all pension benefits (including pension benefits
under the Illinois Pension Code) acquired by either spouse
after the marriage and before a judgment of dissolution of
marriage or declaration of invalidity of the marriage are
presumed to be marital property, regardless of which spouse
participates in the pension plan. The presumption that these
pension benefits are marital property is overcome by a showing
that the pension benefits were acquired by a method listed in
subsection (a) of this Section. The right to a division of
pension benefits in just proportions under this Section is
enforceable under Section 1-119 of the Illinois Pension Code.
    The value of pension benefits in a retirement system
subject to the Illinois Pension Code shall be determined in
accordance with the valuation procedures established by the
retirement system.
    The recognition of pension benefits as marital property and
the division of those benefits pursuant to a Qualified Illinois
Domestic Relations Order shall not be deemed to be a
diminishment, alienation, or impairment of those benefits. The
division of pension benefits is an allocation of property in
which each spouse has a species of common ownership.
    (3) For purposes of distribution of property under this
Section, all stock options granted to either spouse after the
marriage and before a judgment of dissolution of marriage or
declaration of invalidity of marriage, whether vested or
non-vested or whether their value is ascertainable, are
presumed to be marital property. This presumption of marital
property is overcome by a showing that the stock options were
acquired by a method listed in subsection (a) of this Section.
The court shall allocate stock options between the parties at
the time of the judgment of dissolution of marriage or
declaration of invalidity of marriage recognizing that the
value of the stock options may not be then determinable and
that the actual division of the options may not occur until a
future date. In making the allocation between the parties, the
court shall consider, in addition to the factors set forth in
subsection (d) of this Section, the following:
        (i) All circumstances underlying the grant of the stock
    option including but not limited to whether the grant was
    for past, present, or future efforts, or any combination
    thereof.
        (ii) The length of time from the grant of the option to
    the time the option is exercisable.
    (b-5) As to any policy of life insurance insuring the life
of either spouse, or any interest in such policy, that
constitutes marital property, whether whole life, term life,
group term life, universal life, or other form of life
insurance policy, and whether or not the value is
ascertainable, the court shall allocate ownership, death
benefits or the right to assign death benefits, and the
obligation for premium payments, if any, equitably between the
parties at the time of the judgment for dissolution or
declaration of invalidity of marriage.
    (c) Commingled marital and non-marital property shall be
treated in the following manner, unless otherwise agreed by the
spouses:
        (1) When marital and non-marital property are
    commingled by contributing one estate of property into
    another resulting in a loss of identity of the contributed
    property, the classification of the contributed property
    is transmuted to the estate receiving the contribution,
    subject to the provisions of paragraph (2) of this
    subsection; provided that if marital and non-marital
    property are commingled into newly acquired property
    resulting in a loss of identity of the contributing
    estates, the commingled property shall be deemed
    transmuted to marital property, subject to the provisions
    of paragraph (2) of this subsection.
        (2) When one estate of property makes a contribution to
    another estate of property, or when a spouse contributes
    personal effort to non-marital property, the contributing
    estate shall be reimbursed from the estate receiving the
    contribution notwithstanding any transmutation; provided,
    that no such reimbursement shall be made with respect to a
    contribution which is not retraceable by clear and
    convincing evidence, or was a gift, or, in the case of a
    contribution of personal effort of a spouse to non-marital
    property, unless the effort is significant and results in
    substantial appreciation of the non-marital property.
    Personal effort of a spouse shall be deemed a contribution
    by the marital estate. The court may provide for
    reimbursement out of the marital property to be divided or
    by imposing a lien against the non-marital property which
    received the contribution.
    (d) In a proceeding for dissolution of marriage or
declaration of invalidity of marriage, or in a proceeding for
disposition of property following dissolution of marriage by a
court which lacked personal jurisdiction over the absent spouse
or lacked jurisdiction to dispose of the property, the court
shall assign each spouse's non-marital property to that spouse.
It also shall divide the marital property without regard to
marital misconduct in just proportions considering all
relevant factors, including:
        (1) the contribution of each party to the acquisition,
    preservation, or increase or decrease in value of the
    marital or non-marital property, including (i) any such
    decrease attributable to a payment deemed to have been an
    advance from the parties' marital estate under subsection
    (c-1)(2) of Section 501 and (ii) the contribution of a
    spouse as a homemaker or to the family unit;
        (2) the dissipation by each party of the marital or
    non-marital property, provided that a party's claim of
    dissipation is subject to the following conditions:
            (i) a notice of intent to claim dissipation shall
        be given no later than 60 days before trial or 30 days
        after discovery closes, whichever is later;
            (ii) the notice of intent to claim dissipation
        shall contain, at a minimum, a date or period of time
        during which the marriage began undergoing an
        irretrievable breakdown, an identification of the
        property dissipated, and a date or period of time
        during which the dissipation occurred;
            (iii) the notice of intent to claim dissipation
        shall be filed with the clerk of the court and be
        served pursuant to applicable rules;
            (iv) no dissipation shall be deemed to have
        occurred prior to 5 years before the filing of the
        petition for dissolution of marriage, or 3 years after
        the party claiming dissipation knew or should have
        known of the dissipation;
        (3) the value of the property assigned to each spouse;
        (4) the duration of the marriage;
        (5) the relevant economic circumstances of each spouse
    when the division of property is to become effective,
    including the desirability of awarding the family home, or
    the right to live therein for reasonable periods, to the
    spouse having custody of the children;
        (6) any obligations and rights arising from a prior
    marriage of either party;
        (7) any antenuptial agreement of the parties;
        (8) the age, health, station, occupation, amount and
    sources of income, vocational skills, employability,
    estate, liabilities, and needs of each of the parties;
        (9) the custodial provisions for any children;
        (10) whether the apportionment is in lieu of or in
    addition to maintenance;
        (11) the reasonable opportunity of each spouse for
    future acquisition of capital assets and income; and
        (12) the tax consequences of the property division upon
    the respective economic circumstances of the parties.
    (e) Each spouse has a species of common ownership in the
marital property which vests at the time dissolution
proceedings are commenced and continues only during the
pendency of the action. Any such interest in marital property
shall not encumber that property so as to restrict its
transfer, assignment or conveyance by the title holder unless
such title holder is specifically enjoined from making such
transfer, assignment or conveyance.
    (f) In a proceeding for dissolution of marriage or
declaration of invalidity of marriage or in a proceeding for
disposition of property following dissolution of marriage by a
court that lacked personal jurisdiction over the absent spouse
or lacked jurisdiction to dispose of the property, the court,
in determining the value of the marital and non-marital
property for purposes of dividing the property, shall value the
property as of the date of trial or some other date as close to
the date of trial as is practicable.
    (g) The court if necessary to protect and promote the best
interests of the children may set aside a portion of the
jointly or separately held estates of the parties in a separate
fund or trust for the support, maintenance, education, physical
and mental health, and general welfare of any minor, dependent,
or incompetent child of the parties. In making a determination
under this subsection, the court may consider, among other
things, the conviction of a party of any of the offenses set
forth in Section 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60,
12-3.3, 12-4, 12-4.1, 12-4.2, 12-4.3, 12-13, 12-14, 12-14.1,
12-15, or 12-16, or Section 12-3.05 except for subdivision
(a)(4) or (g)(1), of the Criminal Code of 1961 or the Criminal
Code of 2012 if the victim is a child of one or both of the
parties, and there is a need for, and cost of, care, healing
and counseling for the child who is the victim of the crime.
    (h) Unless specifically directed by a reviewing court, or
upon good cause shown, the court shall not on remand consider
any increase or decrease in the value of any "marital" or
"non-marital" property occurring since the assessment of such
property at the original trial or hearing, but shall use only
that assessment made at the original trial or hearing.
    (i) The court may make such judgments affecting the marital
property as may be just and may enforce such judgments by
ordering a sale of marital property, with proceeds therefrom to
be applied as determined by the court.
    (j) After proofs have closed in the final hearing on all
other issues between the parties (or in conjunction with the
final hearing, if all parties so stipulate) and before judgment
is entered, a party's petition for contribution to fees and
costs incurred in the proceeding shall be heard and decided, in
accordance with the following provisions:
        (1) A petition for contribution, if not filed before
    the final hearing on other issues between the parties,
    shall be filed no later than 30 days after the closing of
    proofs in the final hearing or within such other period as
    the court orders.
        (2) Any award of contribution to one party from the
    other party shall be based on the criteria for division of
    marital property under this Section 503 and, if maintenance
    has been awarded, on the criteria for an award of
    maintenance under Section 504.
        (3) The filing of a petition for contribution shall not
    be deemed to constitute a waiver of the attorney-client
    privilege between the petitioning party and current or
    former counsel; and such a waiver shall not constitute a
    prerequisite to a hearing for contribution. If either
    party's presentation on contribution, however, includes
    evidence within the scope of the attorney-client
    privilege, the disclosure or disclosures shall be narrowly
    construed and shall not be deemed by the court to
    constitute a general waiver of the privilege as to matters
    beyond the scope of the presentation.
        (4) No finding on which a contribution award is based
    or denied shall be asserted against counsel or former
    counsel for purposes of any hearing under subsection (c) or
    (e) of Section 508.
        (5) A contribution award (payable to either the
    petitioning party or the party's counsel, or jointly, as
    the court determines) may be in the form of either a set
    dollar amount or a percentage of fees and costs (or a
    portion of fees and costs) to be subsequently agreed upon
    by the petitioning party and counsel or, alternatively,
    thereafter determined in a hearing pursuant to subsection
    (c) of Section 508 or previously or thereafter determined
    in an independent proceeding under subsection (e) of
    Section 508.
        (6) The changes to this Section 503 made by this
    amendatory Act of 1996 apply to cases pending on or after
    June 1, 1997, except as otherwise provided in Section 508.
    The changes made to this Section by this amendatory Act of
the 97th General Assembly apply only to petitions for
dissolution of marriage filed on or after the effective date of
this amendatory Act of the 97th General Assembly.
(Source: P.A. 96-583, eff. 1-1-10; 96-1551, Article 1, Section
985, eff. 7-1-11; 96-1551, Article 2, Section 1100, eff.
7-1-11; 97-608, eff. 1-1-12; 97-941, eff. 1-1-13; 97-1109, eff.
1-1-13.)
 
    (750 ILCS 5/601)  (from Ch. 40, par. 601)
    Sec. 601. Jurisdiction; Commencement of Proceeding.
    (a) A court of this State competent to decide child custody
matters has jurisdiction to make a child custody determination
in original or modification proceedings as provided in Section
201 of the Uniform Child-Custody Jurisdiction and Enforcement
Act as adopted by this State.
    (b) A child custody proceeding is commenced in the court:
        (1) by a parent, by filing a petition:
            (i) for dissolution of marriage or legal
        separation or declaration of invalidity of marriage;
        or
            (ii) for custody of the child, in the county in
        which he is permanently resident or found;
        (2) by a person other than a parent, by filing a
    petition for custody of the child in the county in which he
    is permanently resident or found, but only if he is not in
    the physical custody of one of his parents; or
        (3) by a stepparent, by filing a petition, if all of
    the following circumstances are met:
            (A) the child is at least 12 years old;
            (B) the custodial parent and stepparent were
        married for at least 5 years during which the child
        resided with the parent and stepparent;
            (C) the custodial parent is deceased or is disabled
        and cannot perform the duties of a parent to the child;
            (D) the stepparent provided for the care, control,
        and welfare to the child prior to the initiation of
        custody proceedings;
            (E) the child wishes to live with the stepparent;
        and
            (F) it is alleged to be in the best interests and
        welfare of the child to live with the stepparent as
        provided in Section 602 of this Act.
        (4) When one of the parents is deceased, by a
    grandparent who is a parent or stepparent of a deceased
    parent, by filing a petition, if one or more of the
    following existed at the time of the parent's death:
            (A) the surviving parent had been absent from the
        marital abode for more than one month without the
        deceased spouse knowing his or her whereabouts;
            (B) the surviving parent was in State or federal
        custody; or
            (C) the surviving parent had: (i) received
        supervision for or been convicted of any violation of
        Section 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60,
        11-1.70, 12C-5, 12C-10, 12C-35, 12C-40, 12C-45, 18-6,
        19-6, or Article 12 of the Criminal Code of 1961 or the
        Criminal Code of 2012 directed towards the deceased
        parent or the child; or (ii) received supervision or
        been convicted of violating an order of protection
        entered under Section 217, 218, or 219 of the Illinois
        Domestic Violence Act of 1986 for the protection of the
        deceased parent or the child.
    (c) Notice of a child custody proceeding, including an
action for modification of a previous custody order, shall be
given to the child's parents, guardian and custodian, who may
appear, be heard, and file a responsive pleading. The court,
upon showing of good cause, may permit intervention of other
interested parties.
    (d) Proceedings for modification of a previous custody
order commenced more than 30 days following the entry of a
previous custody order must be initiated by serving a written
notice and a copy of the petition for modification upon the
child's parent, guardian and custodian at least 30 days prior
to hearing on the petition. Nothing in this Section shall
preclude a party in custody modification proceedings from
moving for a temporary order under Section 603 of this Act.
    (e) (Blank).
    (f) The court shall, at the court's discretion or upon the
request of any party entitled to petition for custody of the
child, appoint a guardian ad litem to represent the best
interest of the child for the duration of the custody
proceeding or for any modifications of any custody orders
entered. Nothing in this Section shall be construed to prevent
the court from appointing the same guardian ad litem for 2 or
more children that are siblings or half-siblings.
(Source: P.A. 93-108, eff. 1-1-04; 93-1026, eff. 1-1-05.)
 
    (750 ILCS 5/607)  (from Ch. 40, par. 607)
    Sec. 607. Visitation.
    (a) A parent not granted custody of the child is entitled
to reasonable visitation rights unless the court finds, after a
hearing, that visitation would endanger seriously the child's
physical, mental, moral or emotional health. If the custodian's
street address is not identified, pursuant to Section 708, the
court shall require the parties to identify reasonable
alternative arrangements for visitation by a non-custodial
parent, including but not limited to visitation of the minor
child at the residence of another person or at a local public
or private facility.
        (1) "Visitation" means in-person time spent between a
    child and the child's parent. In appropriate
    circumstances, it may include electronic communication
    under conditions and at times determined by the court.
        (2) "Electronic communication" means time that a
    parent spends with his or her child during which the child
    is not in the parent's actual physical custody, but which
    is facilitated by the use of communication tools such as
    the telephone, electronic mail, instant messaging, video
    conferencing or other wired or wireless technologies via
    the Internet, or another medium of communication.
    (a-3) Grandparents, great-grandparents, and siblings of a
minor child, who is one year old or older, have standing to
bring an action in circuit court by petition, requesting
visitation in accordance with this Section. The term "sibling"
in this Section means a brother, sister, stepbrother, or
stepsister of the minor child. Grandparents,
great-grandparents, and siblings also have standing to file a
petition for visitation and any electronic communication
rights in a pending dissolution proceeding or any other
proceeding that involves custody or visitation issues,
requesting visitation in accordance with this Section. A
petition for visitation with a child by a person other than a
parent must be filed in the county in which the child resides.
Nothing in this subsection (a-3) and subsection (a-5) of this
Section shall apply to a child in whose interests a petition is
pending under Section 2-13 of the Juvenile Court Act of 1987 or
a petition to adopt an unrelated child is pending under the
Adoption Act.
    (a-5)(1) Except as otherwise provided in this subsection
(a-5), any grandparent, great-grandparent, or sibling may file
a petition for visitation rights to a minor child if there is
an unreasonable denial of visitation by a parent and at least
one of the following conditions exists:
        (A) (Blank);
        (A-5) the child's other parent is deceased or has been
    missing for at least 3 months. For the purposes of this
    Section a parent is considered to be missing if the
    parent's location has not been determined and the parent
    has been reported as missing to a law enforcement agency;
        (A-10) a parent of the child is incompetent as a matter
    of law;
        (A-15) a parent has been incarcerated in jail or prison
    during the 3 month period preceding the filing of the
    petition;
        (B) the child's mother and father are divorced or have
    been legally separated from each other or there is pending
    a dissolution proceeding involving a parent of the child or
    another court proceeding involving custody or visitation
    of the child (other than any adoption proceeding of an
    unrelated child) and at least one parent does not object to
    the grandparent, great-grandparent, or sibling having
    visitation with the child. The visitation of the
    grandparent, great-grandparent, or sibling must not
    diminish the visitation of the parent who is not related to
    the grandparent, great-grandparent, or sibling seeking
    visitation;
        (C) (Blank);
        (D) the child is born out of wedlock, the parents are
    not living together, and the petitioner is a maternal
    grandparent, great-grandparent, or sibling of the child
    born out of wedlock; or
        (E) the child is born out of wedlock, the parents are
    not living together, the petitioner is a paternal
    grandparent, great-grandparent, or sibling, and the
    paternity has been established by a court of competent
    jurisdiction.
    (2) Any visitation rights granted pursuant to this Section
before the filing of a petition for adoption of a child shall
automatically terminate by operation of law upon the entry of
an order terminating parental rights or granting the adoption
of the child, whichever is earlier. If the person or persons
who adopted the child are related to the child, as defined by
Section 1 of the Adoption Act, any person who was related to
the child as grandparent, great-grandparent, or sibling prior
to the adoption shall have standing to bring an action pursuant
to this Section requesting visitation with the child.
    (3) In making a determination under this subsection (a-5),
there is a rebuttable presumption that a fit parent's actions
and decisions regarding grandparent, great-grandparent, or
sibling visitation are not harmful to the child's mental,
physical, or emotional health. The burden is on the party
filing a petition under this Section to prove that the parent's
actions and decisions regarding visitation times are harmful to
the child's mental, physical, or emotional health.
    (4) In determining whether to grant visitation, the court
shall consider the following:
        (A) the preference of the child if the child is
    determined to be of sufficient maturity to express a
    preference;
        (B) the mental and physical health of the child;
        (C) the mental and physical health of the grandparent,
    great-grandparent, or sibling;
        (D) the length and quality of the prior relationship
    between the child and the grandparent, great-grandparent,
    or sibling;
        (E) the good faith of the party in filing the petition;
        (F) the good faith of the person denying visitation;
        (G) the quantity of the visitation time requested and
    the potential adverse impact that visitation would have on
    the child's customary activities;
        (H) whether the child resided with the petitioner for
    at least 6 consecutive months with or without the current
    custodian present;
        (I) whether the petitioner had frequent or regular
    contact or visitation with the child for at least 12
    consecutive months;
        (J) any other fact that establishes that the loss of
    the relationship between the petitioner and the child is
    likely to harm the child's mental, physical, or emotional
    health; and
        (K) whether the grandparent, great-grandparent, or
    sibling was a primary caretaker of the child for a period
    of not less than 6 consecutive months.
    (5) The court may order visitation rights for the
grandparent, great-grandparent, or sibling that include
reasonable access without requiring overnight or possessory
visitation.
    (a-7)(1) Unless by stipulation of the parties, no motion to
modify a grandparent, great-grandparent, or sibling visitation
order may be made earlier than 2 years after the date the order
was filed, unless the court permits it to be made on the basis
of affidavits that there is reason to believe the child's
present environment may endanger seriously the child's mental,
physical, or emotional health.
    (2) The court shall not modify an order that grants
visitation to a grandparent, great-grandparent, or sibling
unless it finds by clear and convincing evidence, upon the
basis of facts that have arisen since the prior visitation
order or that were unknown to the court at the time of entry of
the prior visitation, that a change has occurred in the
circumstances of the child or his or her custodian, and that
the modification is necessary to protect the mental, physical,
or emotional health of the child. The court shall state in its
decision specific findings of fact in support of its
modification or termination of the grandparent,
great-grandparent, or sibling visitation. A child's parent may
always petition to modify visitation upon changed
circumstances when necessary to promote the child's best
interest.
    (3) Attorney fees and costs shall be assessed against a
party seeking modification of the visitation order if the court
finds that the modification action is vexatious and constitutes
harassment.
    (4) Notice under this subsection (a-7) shall be given as
provided in subsections (c) and (d) of Section 601.
    (b) (1) (Blank.)
    (1.5) The Court may grant reasonable visitation privileges
to a stepparent upon petition to the court by the stepparent,
with notice to the parties required to be notified under
Section 601 of this Act, if the court determines that it is in
the best interests and welfare of the child, and may issue any
necessary orders to enforce those visitation privileges. A
petition for visitation privileges may be filed under this
paragraph (1.5) whether or not a petition pursuant to this Act
has been previously filed or is currently pending if the
following circumstances are met:
        (A) the child is at least 12 years old;
        (B) the child resided continuously with the parent and
    stepparent for at least 5 years;
        (C) the parent is deceased or is disabled and is unable
    to care for the child;
        (D) the child wishes to have reasonable visitation with
    the stepparent; and
        (E) the stepparent was providing for the care, control,
    and welfare to the child prior to the initiation of the
    petition for visitation.
    (2)(A) A petition for visitation privileges shall not be
filed pursuant to this subsection (b) by the parents or
grandparents of a putative father if the paternity of the
putative father has not been legally established.
    (B) A petition for visitation privileges may not be filed
under this subsection (b) if the child who is the subject of
the grandparents' or great-grandparents' petition has been
voluntarily surrendered by the parent or parents, except for a
surrender to the Illinois Department of Children and Family
Services or a foster care facility, or has been previously
adopted by an individual or individuals who are not related to
the biological parents of the child or is the subject of a
pending adoption petition by an individual or individuals who
are not related to the biological parents of the child.
    (3) (Blank).
    (c) The court may modify an order granting or denying
visitation rights of a parent whenever modification would serve
the best interest of the child; but the court shall not
restrict a parent's visitation rights unless it finds that the
visitation would endanger seriously the child's physical,
mental, moral or emotional health.
    (d) If any court has entered an order prohibiting a
non-custodial parent of a child from any contact with a child
or restricting the non-custodial parent's contact with the
child, the following provisions shall apply:
        (1) If an order has been entered granting visitation
    privileges with the child to a grandparent or
    great-grandparent who is related to the child through the
    non-custodial parent, the visitation privileges of the
    grandparent or great-grandparent may be revoked if:
            (i) a court has entered an order prohibiting the
        non-custodial parent from any contact with the child,
        and the grandparent or great-grandparent is found to
        have used his or her visitation privileges to
        facilitate contact between the child and the
        non-custodial parent; or
            (ii) a court has entered an order restricting the
        non-custodial parent's contact with the child, and the
        grandparent or great-grandparent is found to have used
        his or her visitation privileges to facilitate contact
        between the child and the non-custodial parent in a
        manner that violates the terms of the order restricting
        the non-custodial parent's contact with the child.
        Nothing in this subdivision (1) limits the authority of
    the court to enforce its orders in any manner permitted by
    law.
        (2) Any order granting visitation privileges with the
    child to a grandparent or great-grandparent who is related
    to the child through the non-custodial parent shall contain
    the following provision:
        "If the (grandparent or great-grandparent, whichever
    is applicable) who has been granted visitation privileges
    under this order uses the visitation privileges to
    facilitate contact between the child and the child's
    non-custodial parent, the visitation privileges granted
    under this order shall be permanently revoked."
    (e) No parent, not granted custody of the child, or
grandparent, or great-grandparent, or stepparent, or sibling
of any minor child, convicted of any offense involving an
illegal sex act perpetrated upon a victim less than 18 years of
age including but not limited to offenses for violations of
Section 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-1.70,
or Article 12 of the Criminal Code of 1961 or the Criminal Code
of 2012, is entitled to visitation rights while incarcerated or
while on parole, probation, conditional discharge, periodic
imprisonment, or mandatory supervised release for that
offense, and upon discharge from incarceration for a
misdemeanor offense or upon discharge from parole, probation,
conditional discharge, periodic imprisonment, or mandatory
supervised release for a felony offense, visitation shall be
denied until the person successfully completes a treatment
program approved by the court.
    (f) Unless the court determines, after considering all
relevant factors, including but not limited to those set forth
in Section 602(a), that it would be in the best interests of
the child to allow visitation, the court shall not enter an
order providing visitation rights and pursuant to a motion to
modify visitation shall revoke visitation rights previously
granted to any person who would otherwise be entitled to
petition for visitation rights under this Section who has been
convicted of first degree murder of the parent, grandparent,
great-grandparent, or sibling of the child who is the subject
of the order. Until an order is entered pursuant to this
subsection, no person shall visit, with the child present, a
person who has been convicted of first degree murder of the
parent, grandparent, great-grandparent, or sibling of the
child without the consent of the child's parent, other than a
parent convicted of first degree murder as set forth herein, or
legal guardian.
    (g) (Blank).
    (h) Upon motion, the court may allow a parent who is
deployed or who has orders to be deployed as a member of the
United States Armed Forces to designate a person known to the
child to exercise reasonable substitute visitation on behalf of
the deployed parent, if the court determines that substitute
visitation is in the best interest of the child. In determining
whether substitute visitation is in the best interest of the
child, the court shall consider all of the relevant factors
listed in subsection (a) of Section 602 and apply those factors
to the person designated as a substitute for the deployed
parent for visitation purposes.
(Source: P.A. 96-331, eff. 1-1-10; 97-659, eff. 6-1-12.)
 
    (750 ILCS 5/607.1)  (from Ch. 40, par. 607.1)
    Sec. 607.1. Enforcement of visitation orders; visitation
abuse.
    (a) The circuit court shall provide an expedited procedure
for enforcement of court ordered visitation in cases of
visitation abuse. Visitation abuse occurs when a party has
willfully and without justification: (1) denied another party
visitation as set forth by the court; or (2) exercised his or
her visitation rights in a manner that is harmful to the child
or child's custodian.
    (b) An Action may be commenced by filing a petition setting
forth: (i) the petitioner's name, residence address or mailing
address, and telephone number; (ii) respondent's name and place
of residence, place of employment, or mailing address; (iii)
the nature of the visitation abuse, giving dates and other
relevant information; (iv) that a reasonable attempt was made
to resolve the dispute; and (v) the relief sought.
    Notice of the filing of the petitions shall be given as
provided in Section 511.
    (c) After hearing all of the evidence, the court may order
one or more of the following:
        (1) Modification of the visitation order to
    specifically outline periods of visitation or restrict
    visitation as provided by law.
        (2) Supervised visitation with a third party or public
    agency.
        (3) Make up visitation of the same time period, such as
    weekend for weekend, holiday for holiday.
        (4) Counseling or mediation, except in cases where
    there is evidence of domestic violence, as defined in
    Section 1 of the Domestic Violence Shelters Act, occurring
    between the parties.
        (5) Other appropriate relief deemed equitable.
    (c-1) When the court issues an order holding a party in
contempt for violation of a visitation order and finds that the
party engaged in visitation abuse, the court may order one or
more of the following:
        (1) Suspension of a party's Illinois driving
    privileges pursuant to Section 7-703 of the Illinois
    Vehicle Code until the court determines that the party is
    in compliance with the visitation order. The court may also
    order that a party be issued a family financial
    responsibility driving permit that would allow limited
    driving privileges for employment, for medical purposes,
    and to transport a child to or from scheduled visitation in
    order to comply with a visitation order in accordance with
    subsection (a-1) of Section 7-702.1 of the Illinois Vehicle
    Code.
        (2) Placement of a party on probation with such
    conditions of probation as the court deems advisable.
        (3) Sentencing of a party to periodic imprisonment for
    a period not to exceed 6 months; provided, that the court
    may permit the party to be released for periods of time
    during the day or night to:
            (A) work; or
            (B) conduct a business or other self-employed
        occupation.
        (4) Find that a party in engaging in visitation abuse
    is guilty of a petty offense and should be fined an amount
    of no more than $500 for each finding of visitation abuse.
    (d) Nothing contained in this Section shall be construed to
limit the court's contempt power, except as provided in
subsection (g) of this Section.
    (e) When the court issues an order holding a party in
contempt of court for violation of a visitation order, the
clerk shall transmit a copy of the contempt order to the
sheriff of the county. The sheriff shall furnish a copy of each
contempt order to the Department of State Police on a daily
basis in the form and manner required by the Department. The
Department shall maintain a complete record and index of the
contempt orders and make this data available to all local law
enforcement agencies.
    (f) Attorney fees and costs shall be assessed against a
party if the court finds that the enforcement action is
vexatious and constitutes harassment.
    (g) A person convicted of unlawful visitation or parenting
time interference under Section 10-5.5 of the Criminal Code of
1961 or the Criminal Code of 2012 shall not be subject to the
provisions of this Section and the court may not enter a
contempt order for visitation abuse against any person for the
same conduct for which the person was convicted of unlawful
visitation interference or subject that person to the sanctions
provided for in this Section.
(Source: P.A. 96-333, eff. 8-11-09; 96-675, eff. 8-25-09;
97-1047, eff. 8-21-12.)
 
    Section 765. The Illinois Parentage Act of 1984 is amended
by changing Section 6.5 as follows:
 
    (750 ILCS 45/6.5)
    Sec. 6.5. Custody or visitation by sex offender prohibited.
    (a) This Section applies to a person who has been found to
be the father of a child under this Act and who has been
convicted of or who has pled guilty or nolo contendere to a
violation of Section 11-1.20 (criminal sexual assault),
Section 11-1.30 (aggravated criminal sexual assault), Section
11-1.40 (predatory criminal sexual assault of a child), Section
11-1.50 (criminal sexual abuse), Section 11-1.60 (aggravated
criminal sexual abuse), Section 11-11 (sexual relations within
families), Section 12-13 (criminal sexual assault), Section
12-14 (aggravated criminal sexual assault), Section 12-14.1
(predatory criminal sexual assault of a child), Section 12-15
(criminal sexual abuse), or Section 12-16 (aggravated criminal
sexual abuse) of the Criminal Code of 1961 or the Criminal Code
of 2012, or a similar statute in another jurisdiction, for his
conduct in fathering that child.
    (b) A person described in subsection (a) shall not be
entitled to custody of or visitation with that child without
the consent of the child's mother or guardian. If the person
described in subsection (a) is also the guardian of the child,
he does not have the authority to consent to visitation or
custody under this Section. If the mother of the child is a
minor, and the person described in subsection (a) is also the
father or guardian of the mother, then he does not have the
authority to consent to custody or visits.
    (c) Notwithstanding any other provision of this Act,
nothing in this Section shall be construed to relieve the
father described in subsection (a) of any support and
maintenance obligations to the child under this Act.
(Source: P.A. 96-1551, eff. 7-1-11; 97-568, eff. 8-25-11.)
 
    Section 770. The Adoption Act is amended by changing
Sections 1, 8, 12.1, and 14 as follows:
 
    (750 ILCS 50/1)  (from Ch. 40, par. 1501)
    Sec. 1. Definitions. When used in this Act, unless the
context otherwise requires:
    A. "Child" means a person under legal age subject to
adoption under this Act.
    B. "Related child" means a child subject to adoption where
either or both of the adopting parents stands in any of the
following relationships to the child by blood or marriage:
parent, grand-parent, brother, sister, step-parent,
step-grandparent, step-brother, step-sister, uncle, aunt,
great-uncle, great-aunt, or cousin of first degree. A child
whose parent has executed a final irrevocable consent to
adoption or a final irrevocable surrender for purposes of
adoption, or whose parent has had his or her parental rights
terminated, is not a related child to that person, unless the
consent is determined to be void or is void pursuant to
subsection O of Section 10.
    C. "Agency" for the purpose of this Act means a public
child welfare agency or a licensed child welfare agency.
    D. "Unfit person" means any person whom the court shall
find to be unfit to have a child, without regard to the
likelihood that the child will be placed for adoption. The
grounds of unfitness are any one or more of the following,
except that a person shall not be considered an unfit person
for the sole reason that the person has relinquished a child in
accordance with the Abandoned Newborn Infant Protection Act:
        (a) Abandonment of the child.
        (a-1) Abandonment of a newborn infant in a hospital.
        (a-2) Abandonment of a newborn infant in any setting
    where the evidence suggests that the parent intended to
    relinquish his or her parental rights.
        (b) Failure to maintain a reasonable degree of
    interest, concern or responsibility as to the child's
    welfare.
        (c) Desertion of the child for more than 3 months next
    preceding the commencement of the Adoption proceeding.
        (d) Substantial neglect of the child if continuous or
    repeated.
        (d-1) Substantial neglect, if continuous or repeated,
    of any child residing in the household which resulted in
    the death of that child.
        (e) Extreme or repeated cruelty to the child.
        (f) There is a rebuttable presumption, which can be
    overcome only by clear and convincing evidence, that a
    parent is unfit if:
            (1) Two or more findings of physical abuse have
        been entered regarding any children under Section 2-21
        of the Juvenile Court Act of 1987, the most recent of
        which was determined by the juvenile court hearing the
        matter to be supported by clear and convincing
        evidence; or
            (2) The parent has been convicted or found not
        guilty by reason of insanity and the conviction or
        finding resulted from the death of any child by
        physical abuse; or
            (3) There is a finding of physical child abuse
        resulting from the death of any child under Section
        2-21 of the Juvenile Court Act of 1987.
            No conviction or finding of delinquency pursuant
        to Article 5 of the Juvenile Court Act of 1987 shall be
        considered a criminal conviction for the purpose of
        applying any presumption under this item (f).
        (g) Failure to protect the child from conditions within
    his environment injurious to the child's welfare.
        (h) Other neglect of, or misconduct toward the child;
    provided that in making a finding of unfitness the court
    hearing the adoption proceeding shall not be bound by any
    previous finding, order or judgment affecting or
    determining the rights of the parents toward the child
    sought to be adopted in any other proceeding except such
    proceedings terminating parental rights as shall be had
    under either this Act, the Juvenile Court Act or the
    Juvenile Court Act of 1987.
        (i) Depravity. Conviction of any one of the following
    crimes shall create a presumption that a parent is depraved
    which can be overcome only by clear and convincing
    evidence: (1) first degree murder in violation of paragraph
    1 or 2 of subsection (a) of Section 9-1 of the Criminal
    Code of 1961 or the Criminal Code of 2012 or conviction of
    second degree murder in violation of subsection (a) of
    Section 9-2 of the Criminal Code of 1961 or the Criminal
    Code of 2012 of a parent of the child to be adopted; (2)
    first degree murder or second degree murder of any child in
    violation of the Criminal Code of 1961 or the Criminal Code
    of 2012; (3) attempt or conspiracy to commit first degree
    murder or second degree murder of any child in violation of
    the Criminal Code of 1961 or the Criminal Code of 2012; (4)
    solicitation to commit murder of any child, solicitation to
    commit murder of any child for hire, or solicitation to
    commit second degree murder of any child in violation of
    the Criminal Code of 1961 or the Criminal Code of 2012; (5)
    predatory criminal sexual assault of a child in violation
    of Section 11-1.40 or 12-14.1 of the Criminal Code of 1961
    or the Criminal Code of 2012; (6) heinous battery of any
    child in violation of the Criminal Code of 1961; or (7)
    aggravated battery of any child in violation of the
    Criminal Code of 1961 or the Criminal Code of 2012.
        There is a rebuttable presumption that a parent is
    depraved if the parent has been criminally convicted of at
    least 3 felonies under the laws of this State or any other
    state, or under federal law, or the criminal laws of any
    United States territory; and at least one of these
    convictions took place within 5 years of the filing of the
    petition or motion seeking termination of parental rights.
        There is a rebuttable presumption that a parent is
    depraved if that parent has been criminally convicted of
    either first or second degree murder of any person as
    defined in the Criminal Code of 1961 or the Criminal Code
    of 2012 within 10 years of the filing date of the petition
    or motion to terminate parental rights.
        No conviction or finding of delinquency pursuant to
    Article 5 of the Juvenile Court Act of 1987 shall be
    considered a criminal conviction for the purpose of
    applying any presumption under this item (i).
        (j) Open and notorious adultery or fornication.
        (j-1) (Blank).
        (k) Habitual drunkenness or addiction to drugs, other
    than those prescribed by a physician, for at least one year
    immediately prior to the commencement of the unfitness
    proceeding.
        There is a rebuttable presumption that a parent is
    unfit under this subsection with respect to any child to
    which that parent gives birth where there is a confirmed
    test result that at birth the child's blood, urine, or
    meconium contained any amount of a controlled substance as
    defined in subsection (f) of Section 102 of the Illinois
    Controlled Substances Act or metabolites of such
    substances, the presence of which in the newborn infant was
    not the result of medical treatment administered to the
    mother or the newborn infant; and the biological mother of
    this child is the biological mother of at least one other
    child who was adjudicated a neglected minor under
    subsection (c) of Section 2-3 of the Juvenile Court Act of
    1987.
        (l) Failure to demonstrate a reasonable degree of
    interest, concern or responsibility as to the welfare of a
    new born child during the first 30 days after its birth.
        (m) Failure by a parent (i) to make reasonable efforts
    to correct the conditions that were the basis for the
    removal of the child from the parent, or (ii) to make
    reasonable progress toward the return of the child to the
    parent within 9 months after an adjudication of neglected
    or abused minor under Section 2-3 of the Juvenile Court Act
    of 1987 or dependent minor under Section 2-4 of that Act,
    or (iii) to make reasonable progress toward the return of
    the child to the parent during any 9-month period after the
    end of the initial 9-month period following the
    adjudication of neglected or abused minor under Section 2-3
    of the Juvenile Court Act of 1987 or dependent minor under
    Section 2-4 of that Act. If a service plan has been
    established as required under Section 8.2 of the Abused and
    Neglected Child Reporting Act to correct the conditions
    that were the basis for the removal of the child from the
    parent and if those services were available, then, for
    purposes of this Act, "failure to make reasonable progress
    toward the return of the child to the parent" includes (I)
    the parent's failure to substantially fulfill his or her
    obligations under the service plan and correct the
    conditions that brought the child into care within 9 months
    after the adjudication under Section 2-3 or 2-4 of the
    Juvenile Court Act of 1987 and (II) the parent's failure to
    substantially fulfill his or her obligations under the
    service plan and correct the conditions that brought the
    child into care during any 9-month period after the end of
    the initial 9-month period following the adjudication
    under Section 2-3 or 2-4 of the Juvenile Court Act of 1987.
    Notwithstanding any other provision, when a petition or
    motion seeks to terminate parental rights on the basis of
    item (iii) of this subsection (m), the petitioner shall
    file with the court and serve on the parties a pleading
    that specifies the 9-month period or periods relied on. The
    pleading shall be filed and served on the parties no later
    than 3 weeks before the date set by the court for closure
    of discovery, and the allegations in the pleading shall be
    treated as incorporated into the petition or motion.
    Failure of a respondent to file a written denial of the
    allegations in the pleading shall not be treated as an
    admission that the allegations are true.
        (m-1) Pursuant to the Juvenile Court Act of 1987, a
    child has been in foster care for 15 months out of any 22
    month period which begins on or after the effective date of
    this amendatory Act of 1998 unless the child's parent can
    prove by a preponderance of the evidence that it is more
    likely than not that it will be in the best interests of
    the child to be returned to the parent within 6 months of
    the date on which a petition for termination of parental
    rights is filed under the Juvenile Court Act of 1987. The
    15 month time limit is tolled during any period for which
    there is a court finding that the appointed custodian or
    guardian failed to make reasonable efforts to reunify the
    child with his or her family, provided that (i) the finding
    of no reasonable efforts is made within 60 days of the
    period when reasonable efforts were not made or (ii) the
    parent filed a motion requesting a finding of no reasonable
    efforts within 60 days of the period when reasonable
    efforts were not made. For purposes of this subdivision
    (m-1), the date of entering foster care is the earlier of:
    (i) the date of a judicial finding at an adjudicatory
    hearing that the child is an abused, neglected, or
    dependent minor; or (ii) 60 days after the date on which
    the child is removed from his or her parent, guardian, or
    legal custodian.
        (n) Evidence of intent to forgo his or her parental
    rights, whether or not the child is a ward of the court,
    (1) as manifested by his or her failure for a period of 12
    months: (i) to visit the child, (ii) to communicate with
    the child or agency, although able to do so and not
    prevented from doing so by an agency or by court order, or
    (iii) to maintain contact with or plan for the future of
    the child, although physically able to do so, or (2) as
    manifested by the father's failure, where he and the mother
    of the child were unmarried to each other at the time of
    the child's birth, (i) to commence legal proceedings to
    establish his paternity under the Illinois Parentage Act of
    1984 or the law of the jurisdiction of the child's birth
    within 30 days of being informed, pursuant to Section 12a
    of this Act, that he is the father or the likely father of
    the child or, after being so informed where the child is
    not yet born, within 30 days of the child's birth, or (ii)
    to make a good faith effort to pay a reasonable amount of
    the expenses related to the birth of the child and to
    provide a reasonable amount for the financial support of
    the child, the court to consider in its determination all
    relevant circumstances, including the financial condition
    of both parents; provided that the ground for termination
    provided in this subparagraph (n)(2)(ii) shall only be
    available where the petition is brought by the mother or
    the husband of the mother.
        Contact or communication by a parent with his or her
    child that does not demonstrate affection and concern does
    not constitute reasonable contact and planning under
    subdivision (n). In the absence of evidence to the
    contrary, the ability to visit, communicate, maintain
    contact, pay expenses and plan for the future shall be
    presumed. The subjective intent of the parent, whether
    expressed or otherwise, unsupported by evidence of the
    foregoing parental acts manifesting that intent, shall not
    preclude a determination that the parent has intended to
    forgo his or her parental rights. In making this
    determination, the court may consider but shall not require
    a showing of diligent efforts by an authorized agency to
    encourage the parent to perform the acts specified in
    subdivision (n).
        It shall be an affirmative defense to any allegation
    under paragraph (2) of this subsection that the father's
    failure was due to circumstances beyond his control or to
    impediments created by the mother or any other person
    having legal custody. Proof of that fact need only be by a
    preponderance of the evidence.
        (o) Repeated or continuous failure by the parents,
    although physically and financially able, to provide the
    child with adequate food, clothing, or shelter.
        (p) Inability to discharge parental responsibilities
    supported by competent evidence from a psychiatrist,
    licensed clinical social worker, or clinical psychologist
    of mental impairment, mental illness or an intellectual
    disability as defined in Section 1-116 of the Mental Health
    and Developmental Disabilities Code, or developmental
    disability as defined in Section 1-106 of that Code, and
    there is sufficient justification to believe that the
    inability to discharge parental responsibilities shall
    extend beyond a reasonable time period. However, this
    subdivision (p) shall not be construed so as to permit a
    licensed clinical social worker to conduct any medical
    diagnosis to determine mental illness or mental
    impairment.
        (q) (Blank).
        (r) The child is in the temporary custody or
    guardianship of the Department of Children and Family
    Services, the parent is incarcerated as a result of
    criminal conviction at the time the petition or motion for
    termination of parental rights is filed, prior to
    incarceration the parent had little or no contact with the
    child or provided little or no support for the child, and
    the parent's incarceration will prevent the parent from
    discharging his or her parental responsibilities for the
    child for a period in excess of 2 years after the filing of
    the petition or motion for termination of parental rights.
        (s) The child is in the temporary custody or
    guardianship of the Department of Children and Family
    Services, the parent is incarcerated at the time the
    petition or motion for termination of parental rights is
    filed, the parent has been repeatedly incarcerated as a
    result of criminal convictions, and the parent's repeated
    incarceration has prevented the parent from discharging
    his or her parental responsibilities for the child.
        (t) A finding that at birth the child's blood, urine,
    or meconium contained any amount of a controlled substance
    as defined in subsection (f) of Section 102 of the Illinois
    Controlled Substances Act, or a metabolite of a controlled
    substance, with the exception of controlled substances or
    metabolites of such substances, the presence of which in
    the newborn infant was the result of medical treatment
    administered to the mother or the newborn infant, and that
    the biological mother of this child is the biological
    mother of at least one other child who was adjudicated a
    neglected minor under subsection (c) of Section 2-3 of the
    Juvenile Court Act of 1987, after which the biological
    mother had the opportunity to enroll in and participate in
    a clinically appropriate substance abuse counseling,
    treatment, and rehabilitation program.
    E. "Parent" means the father or mother of a lawful child of
the parties or child born out of wedlock. For the purpose of
this Act, a person who has executed a final and irrevocable
consent to adoption or a final and irrevocable surrender for
purposes of adoption, or whose parental rights have been
terminated by a court, is not a parent of the child who was the
subject of the consent or surrender, unless the consent is void
pursuant to subsection O of Section 10.
    F. A person is available for adoption when the person is:
        (a) a child who has been surrendered for adoption to an
    agency and to whose adoption the agency has thereafter
    consented;
        (b) a child to whose adoption a person authorized by
    law, other than his parents, has consented, or to whose
    adoption no consent is required pursuant to Section 8 of
    this Act;
        (c) a child who is in the custody of persons who intend
    to adopt him through placement made by his parents;
        (c-1) a child for whom a parent has signed a specific
    consent pursuant to subsection O of Section 10;
        (d) an adult who meets the conditions set forth in
    Section 3 of this Act; or
        (e) a child who has been relinquished as defined in
    Section 10 of the Abandoned Newborn Infant Protection Act.
    A person who would otherwise be available for adoption
shall not be deemed unavailable for adoption solely by reason
of his or her death.
    G. The singular includes the plural and the plural includes
the singular and the "male" includes the "female", as the
context of this Act may require.
    H. "Adoption disruption" occurs when an adoptive placement
does not prove successful and it becomes necessary for the
child to be removed from placement before the adoption is
finalized.
    I. "Foreign placing agency" is an agency or individual
operating in a country or territory outside the United States
that is authorized by its country to place children for
adoption either directly with families in the United States or
through United States based international agencies.
    J. "Immediate relatives" means the biological parents, the
parents of the biological parents and siblings of the
biological parents.
    K. "Intercountry adoption" is a process by which a child
from a country other than the United States is adopted.
    L. "Intercountry Adoption Coordinator" is a staff person of
the Department of Children and Family Services appointed by the
Director to coordinate the provision of services by the public
and private sector to prospective parents of foreign-born
children.
    M. "Interstate Compact on the Placement of Children" is a
law enacted by most states for the purpose of establishing
uniform procedures for handling the interstate placement of
children in foster homes, adoptive homes, or other child care
facilities.
    N. "Non-Compact state" means a state that has not enacted
the Interstate Compact on the Placement of Children.
    O. "Preadoption requirements" are any conditions
established by the laws or regulations of the Federal
Government or of each state that must be met prior to the
placement of a child in an adoptive home.
    P. "Abused child" means a child whose parent or immediate
family member, or any person responsible for the child's
welfare, or any individual residing in the same home as the
child, or a paramour of the child's parent:
        (a) inflicts, causes to be inflicted, or allows to be
    inflicted upon the child physical injury, by other than
    accidental means, that causes death, disfigurement,
    impairment of physical or emotional health, or loss or
    impairment of any bodily function;
        (b) creates a substantial risk of physical injury to
    the child by other than accidental means which would be
    likely to cause death, disfigurement, impairment of
    physical or emotional health, or loss or impairment of any
    bodily function;
        (c) commits or allows to be committed any sex offense
    against the child, as sex offenses are defined in the
    Criminal Code of 2012 1961 and extending those definitions
    of sex offenses to include children under 18 years of age;
        (d) commits or allows to be committed an act or acts of
    torture upon the child; or
        (e) inflicts excessive corporal punishment.
    Q. "Neglected child" means any child whose parent or other
person responsible for the child's welfare withholds or denies
nourishment or medically indicated treatment including food or
care denied solely on the basis of the present or anticipated
mental or physical impairment as determined by a physician
acting alone or in consultation with other physicians or
otherwise does not provide the proper or necessary support,
education as required by law, or medical or other remedial care
recognized under State law as necessary for a child's
well-being, or other care necessary for his or her well-being,
including adequate food, clothing and shelter; or who is
abandoned by his or her parents or other person responsible for
the child's welfare.
    A child shall not be considered neglected or abused for the
sole reason that the child's parent or other person responsible
for his or her welfare depends upon spiritual means through
prayer alone for the treatment or cure of disease or remedial
care as provided under Section 4 of the Abused and Neglected
Child Reporting Act. A child shall not be considered neglected
or abused for the sole reason that the child's parent or other
person responsible for the child's welfare failed to vaccinate,
delayed vaccination, or refused vaccination for the child due
to a waiver on religious or medical grounds as permitted by
law.
    R. "Putative father" means a man who may be a child's
father, but who (1) is not married to the child's mother on or
before the date that the child was or is to be born and (2) has
not established paternity of the child in a court proceeding
before the filing of a petition for the adoption of the child.
The term includes a male who is less than 18 years of age.
"Putative father" does not mean a man who is the child's father
as a result of criminal sexual abuse or assault as defined
under Article 11 12 of the Criminal Code of 2012 1961.
    S. "Standby adoption" means an adoption in which a parent
consents to custody and termination of parental rights to
become effective upon the occurrence of a future event, which
is either the death of the parent or the request of the parent
for the entry of a final judgment of adoption.
    T. (Blank).
(Source: P.A. 96-1551, eff. 7-1-11; 97-227, eff. 1-1-12;
97-1109, eff. 1-1-13.)
 
    (750 ILCS 50/8)  (from Ch. 40, par. 1510)
    Sec. 8. Consents to adoption and surrenders for purposes of
adoption.
    (a) Except as hereinafter provided in this Section consents
or surrenders shall be required in all cases, unless the person
whose consent or surrender would otherwise be required shall be
found by the court:
        (1) to be an unfit person as defined in Section 1 of
    this Act, by clear and convincing evidence; or
        (2) not to be the biological or adoptive father of the
    child; or
        (3) to have waived his parental rights to the child
    under Section 12a or 12.1 or subsection S of Section 10 of
    this Act; or
        (4) to be the parent of an adult sought to be adopted;
    or
        (5) to be the father of the child as a result of
    criminal sexual abuse or assault as defined under Article
    11 12 of the Criminal Code of 2012 1961; or
        (6) to be the father of a child who:
            (i) is a family member of the mother of the child,
        and the mother is under the age of 18 at the time of
        the child's conception; for purposes of this
        subsection, a "family member" is a parent,
        step-parent, grandparent, step-grandparent, sibling,
        or cousin of the first degree, whether by whole blood,
        half-blood, or adoption, as well as a person age 18 or
        over at the time of the child's conception who has
        resided in the household with the mother continuously
        for at least one year; or
            (ii) is at least 5 years older than the child's
        mother, and the mother was under the age of 17 at the
        time of the child's conception, unless the mother and
        father voluntarily acknowledge the father's paternity
        of the child by marrying or by establishing the
        father's paternity by consent of the parties pursuant
        to the Illinois Parentage Act of 1984 or pursuant to a
        substantially similar statute in another state.
        A criminal conviction of any offense pursuant to
    Section 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60,
    11-1.70, 12C-5, 12C-10, 12C-35, 12C-40, 12C-45, 18-6,
    19-6, or Article 12 of the Criminal Code of 1961 or the
    Criminal Code of 2012 is not required.
    (b) Where consents are required in the case of an adoption
of a minor child, the consents of the following persons shall
be sufficient:
        (1) (A) The mother of the minor child; and
            (B) The father of the minor child, if the father:
                (i) was married to the mother on the date of
            birth of the child or within 300 days before the
            birth of the child, except for a husband or former
            husband who has been found by a court of competent
            jurisdiction not to be the biological father of the
            child; or
                (ii) is the father of the child under a
            judgment for adoption, an order of parentage, or an
            acknowledgment of parentage or paternity pursuant
            to subsection (a) of Section 5 of the Illinois
            Parentage Act of 1984; or
                (iii) in the case of a child placed with the
            adopting parents less than 6 months after birth,
            openly lived with the child, the child's
            biological mother, or both, and held himself out to
            be the child's biological father during the first
            30 days following the birth of the child; or
                (iv) in the case of a child placed with the
            adopting parents less than 6 months after birth,
            made a good faith effort to pay a reasonable amount
            of the expenses related to the birth of the child
            and to provide a reasonable amount for the
            financial support of the child before the
            expiration of 30 days following the birth of the
            child, provided that the court may consider in its
            determination all relevant circumstances,
            including the financial condition of both
            biological parents; or
                (v) in the case of a child placed with the
            adopting parents more than 6 months after birth,
            has maintained substantial and continuous or
            repeated contact with the child as manifested by:
            (I) the payment by the father toward the support of
            the child of a fair and reasonable sum, according
            to the father's means, and either (II) the father's
            visiting the child at least monthly when
            physically and financially able to do so and not
            prevented from doing so by the person or authorized
            agency having lawful custody of the child, or (III)
            the father's regular communication with the child
            or with the person or agency having the care or
            custody of the child, when physically and
            financially unable to visit the child or prevented
            from doing so by the person or authorized agency
            having lawful custody of the child. The subjective
            intent of the father, whether expressed or
            otherwise unsupported by evidence of acts
            specified in this sub-paragraph as manifesting
            such intent, shall not preclude a determination
            that the father failed to maintain substantial and
            continuous or repeated contact with the child; or
                (vi) in the case of a child placed with the
            adopting parents more than six months after birth,
            openly lived with the child for a period of six
            months within the one year period immediately
            preceding the placement of the child for adoption
            and openly held himself out to be the father of the
            child; or
                (vii) has timely registered with Putative
            Father Registry, as provided in Section 12.1 of
            this Act, and prior to the expiration of 30 days
            from the date of such registration, commenced
            legal proceedings to establish paternity under the
            Illinois Parentage Act of 1984 or under the law of
            the jurisdiction of the child's birth; or
        (2) The legal guardian of the person of the child, if
    there is no surviving parent; or
        (3) An agency, if the child has been surrendered for
    adoption to such agency; or
        (4) Any person or agency having legal custody of a
    child by court order if the parental rights of the parents
    have been judicially terminated, and the court having
    jurisdiction of the guardianship of the child has
    authorized the consent to the adoption; or
        (5) The execution and verification of the petition by
    any petitioner who is also a parent of the child sought to
    be adopted shall be sufficient evidence of such parent's
    consent to the adoption.
    (c) Where surrenders to an agency are required in the case
of a placement for adoption of a minor child by an agency, the
surrenders of the following persons shall be sufficient:
        (1) (A) The mother of the minor child; and
            (B) The father of the minor child, if the father:
                (i) was married to the mother on the date of
            birth of the child or within 300 days before the
            birth of the child, except for a husband or former
            husband who has been found by a court of competent
            jurisdiction not to be the biological father of the
            child; or
                (ii) is the father of the child under a
            judgment for adoption, an order of parentage, or an
            acknowledgment of parentage or paternity pursuant
            to subsection (a) of Section 5 of the Illinois
            Parentage Act of 1984; or
                (iii) in the case of a child placed with the
            adopting parents less than 6 months after birth,
            openly lived with the child, the child's
            biological mother, or both, and held himself out to
            be the child's biological father during the first
            30 days following the birth of a child; or
                (iv) in the case of a child placed with the
            adopting parents less than 6 months after birth,
            made a good faith effort to pay a reasonable amount
            of the expenses related to the birth of the child
            and to provide a reasonable amount for the
            financial support of the child before the
            expiration of 30 days following the birth of the
            child, provided that the court may consider in its
            determination all relevant circumstances,
            including the financial condition of both
            biological parents; or
                (v) in the case of a child placed with the
            adopting parents more than six months after birth,
            has maintained substantial and continuous or
            repeated contact with the child as manifested by:
            (I) the payment by the father toward the support of
            the child of a fair and reasonable sum, according
            to the father's means, and either (II) the father's
            visiting the child at least monthly when
            physically and financially able to do so and not
            prevented from doing so by the person or authorized
            agency having lawful custody of the child or (III)
            the father's regular communication with the child
            or with the person or agency having the care or
            custody of the child, when physically and
            financially unable to visit the child or prevented
            from doing so by the person or authorized agency
            having lawful custody of the child. The subjective
            intent of the father, whether expressed or
            otherwise, unsupported by evidence of acts
            specified in this sub-paragraph as manifesting
            such intent, shall not preclude a determination
            that the father failed to maintain substantial and
            continuous or repeated contact with the child; or
                (vi) in the case of a child placed with the
            adopting parents more than six months after birth,
            openly lived with the child for a period of six
            months within the one year period immediately
            preceding the placement of the child for adoption
            and openly held himself out to be the father of the
            child; or
                (vii) has timely registered with the Putative
            Father Registry, as provided in Section 12.1 of
            this Act, and prior to the expiration of 30 days
            from the date of such registration, commenced
            legal proceedings to establish paternity under the
            Illinois Parentage Act of 1984, or under the law of
            the jurisdiction of the child's birth.
    (d) In making a determination under subparagraphs (b)(1)
and (c)(1), no showing shall be required of diligent efforts by
a person or agency to encourage the father to perform the acts
specified therein.
    (e) In the case of the adoption of an adult, only the
consent of such adult shall be required.
(Source: P.A. 97-493, eff. 8-22-11.)
 
    (750 ILCS 50/12.1)
    Sec. 12.1. Putative Father Registry. The Department of
Children and Family Services shall establish a Putative Father
Registry for the purpose of determining the identity and
location of a putative father of a minor child who is, or is
expected to be, the subject of an adoption proceeding, in order
to provide notice of such proceeding to the putative father.
The Department of Children and Family Services shall establish
rules and informational material necessary to implement the
provisions of this Section. The Department shall have the
authority to set reasonable fees for the use of the Registry.
All such fees for the use of the Registry that are received by
the Department or its agent shall be deposited into the fund
authorized under subsection (b) of Section 25 of the Children
and Family Services Act. The Department shall use the moneys in
that fund for the purpose of maintaining the Registry.
    (a) The Department shall maintain the following
information in the Registry:
        (1) With respect to the putative father:
            (i) Name, including any other names by which the
        putative father may be known and that he may provide to
        the Registry;
            (ii) Address at which he may be served with notice
        of a petition under this Act, including any change of
        address;
            (iii) Social Security Number;
            (iv) Date of birth; and
            (v) If applicable, a certified copy of an order by
        a court of this State or of another state or territory
        of the United States adjudicating the putative father
        to be the father of the child.
        (2) With respect to the mother of the child:
            (i) Name, including all other names known to the
        putative father by which the mother may be known;
            (ii) If known to the putative father, her last
        address;
            (iii) Social Security Number; and
            (iv) Date of birth.
        (3) If known to the putative father, the name, gender,
    place of birth, and date of birth or anticipated date of
    birth of the child.
        (4) The date that the Department received the putative
    father's registration.
        (5) Other information as the Department may by rule
    determine necessary for the orderly administration of the
    Registry.
    (b) A putative father may register with the Department
before the birth of the child but shall register no later than
30 days after the birth of the child. All registrations shall
be in writing and signed by the putative father. No fee shall
be charged for the initial registration. The Department shall
have no independent obligation to gather the information to be
maintained.
    (c) An interested party, including persons intending to
adopt a child, a child welfare agency with whom the mother has
placed or has given written notice of her intention to place a
child for adoption, the mother of the child, or an attorney
representing an interested party may request that the
Department search the Registry to determine whether a putative
father is registered in relation to a child who is or may be
the subject to an adoption petition.
    (d) A search of the Registry may be proven by the
production of a certified copy of the registration form, or by
the certified statement of the administrator of the Registry
that after a search, no registration of a putative father in
relation to a child who is or may be the subject of an adoption
petition could be located.
    (e) Except as otherwise provided, information contained
within the Registry is confidential and shall not be published
or open to public inspection.
    (f) A person who knowingly or intentionally registers false
information under this Section commits a Class B misdemeanor. A
person who knowingly or intentionally releases confidential
information in violation of this Section commits a Class B
misdemeanor.
    (g) Except as provided in subsections (b) or (c) of Section
8 of this Act, a putative father who fails to register with the
Putative Father Registry as provided in this Section is barred
from thereafter bringing or maintaining any action to assert
any interest in the child, unless he proves by clear and
convincing evidence that:
        (1) it was not possible for him to register within the
    period of time specified in subsection (b) of this Section;
    and
        (2) his failure to register was through no fault of his
    own; and
        (3) he registered within 10 days after it became
    possible for him to file.
    A lack of knowledge of the pregnancy or birth is not an
acceptable reason for failure to register.
    (h) Except as provided in subsection (b) or (c) of Section
8 of this Act, failure to timely register with the Putative
Father Registry (i) shall be deemed to be a waiver and
surrender of any right to notice of any hearing in any judicial
proceeding for the adoption of the child, and the consent or
surrender of that person to the adoption of the child is not
required, and (ii) shall constitute an abandonment of the child
and shall be prima facie evidence of sufficient grounds to
support termination of such father's parental rights under this
Act.
    (i) In any adoption proceeding pertaining to a child born
out of wedlock, if there is no showing that a putative father
has executed a consent or surrender or waived his rights
regarding the proposed adoption, certification as specified in
subsection (d) shall be filed with the court prior to entry of
a final judgment order of adoption.
    (j) The Registry shall not be used to notify a putative
father who is the father of a child as a result of criminal
sexual abuse or assault as defined under Article 11 12 of the
Criminal Code of 2012 1961.
(Source: P.A. 94-1010, eff. 10-1-06.)
 
    (750 ILCS 50/14)  (from Ch. 40, par. 1517)
    Sec. 14. Judgment.
    (a) Prior to the entry of the judgment for order of
adoption in any case other than an adoption of a related child
or of an adult, each petitioner and each person, agency,
association, corporation, institution, society or organization
involved in the adoption of the child, except a child welfare
agency, shall execute an affidavit setting forth the hospital
and medical costs, legal fees, counseling fees, and any other
fees or expenditures paid in accordance with the Adoption
Compensation Prohibition Act or Section 12C-70 of the Criminal
Code of 2012 1961.
    (b) Before the entry of the judgment for adoption, each
child welfare agency involved in the adoption of the child
shall file an affidavit concerning the costs, expenses,
contributions, fees, compensation, or other things of value
which have been given, promised, or received including but not
limited to hospital and medical costs, legal fees, social
services, living expenses, or any other expenses related to the
adoption paid in accordance with the Adoption Compensation
Prohibition Act or Section 12C-70 of the Criminal Code of 2012
1961.
    If the total amount paid by the child welfare agency is
$4,500 or more, the affidavit shall contain an itemization of
expenditures.
    If the total amount paid by the child welfare agency is
less than $4,500, the agency may file an unitemized affidavit
stating that the total amount paid is less than $4,500 unless
the court, in its discretion, requires that agency to file an
itemized affidavit.
    (c) No affidavit need be filed in the case of an adoption
of a related child or an adult, nor shall an affidavit be
required to be filed by a non-consenting parent, or by any
judge, or clerk, involved in an official capacity in the
adoption proceedings.
    (d) All affidavits filed in accordance with this Section
shall be under penalty of perjury and shall include, but are
not limited to, hospital and medical costs, legal fees, social
services, living expenses or any other expenses related to the
adoption or to the placement of the child, whether or not the
payments are permitted by applicable laws.
    (e) Upon the expiration of 6 months after the date of any
interim order vesting temporary care, custody and control of a
child, other than a related child, in the petitioners, entered
pursuant to this Act, the petitioners may apply to the court
for a judgment of adoption. Notice of such application shall be
served by the petitioners upon the investigating agency or the
person making such investigation, and the guardian ad litem.
After the hearing on such application, at which the petitioners
and the child shall appear in person, unless their presence is
waived by the court for good cause shown, the court may enter a
judgment for adoption, provided the court is satisfied from the
report of the investigating agency or the person making the
investigation, and from the evidence, if any, introduced, that
the adoption is for the welfare of the child and that there is
a valid consent, or that no consent is required as provided in
Section 8 of this Act.
    (f) A judgment for adoption of a related child, an adult,
or a child as to whose adoption an agency or person authorized
by law has the right of authority to consent may be entered at
any time after service of process and after the return day
designated therein.
    (f-5) A standby adoption judgment may be entered upon
notice of the death of the consenting parent or upon the
consenting parent's request that a final judgment for adoption
be entered. The notice must be provided to the court within 60
days after the standby adoptive parent's receipt of knowledge
of death of the consenting parent or the consenting parent's
request that a final judgment for adoption be entered. If the
court finds that adoption is for the welfare of the child and
that there is a valid consent, including consent for standby
adoption, which is still in effect, or that no consent is
required under Section 8 of the Act, a judgment for adoption
shall be entered unless the court finds by clear and convincing
evidence that it is no longer in the best interest of the child
for the adoption to be finalized.
    (g) No special findings of fact or certificate of evidence
shall be necessary in any case to support the judgment.
    (h) Only the circuit court that entered the judgment of the
adoption may order the issuance of any contents of the court
file or that the original birth record of the adoptee be
provided to any persons.
(Source: P.A. 97-1109, eff. 1-1-13.)
 
    Section 775. The Illinois Domestic Violence Act of 1986 is
amended by changing Sections 103, 214, 216, 223, 301, and 304
as follows:
 
    (750 ILCS 60/103)  (from Ch. 40, par. 2311-3)
    Sec. 103. Definitions. For the purposes of this Act, the
following terms shall have the following meanings:
    (1) "Abuse" means physical abuse, harassment, intimidation
of a dependent, interference with personal liberty or willful
deprivation but does not include reasonable direction of a
minor child by a parent or person in loco parentis.
    (2) "Adult with disabilities" means an elder adult with
disabilities or a high-risk adult with disabilities. A person
may be an adult with disabilities for purposes of this Act even
though he or she has never been adjudicated an incompetent
adult. However, no court proceeding may be initiated or
continued on behalf of an adult with disabilities over that
adult's objection, unless such proceeding is approved by his or
her legal guardian, if any.
    (3) "Domestic violence" means abuse as defined in paragraph
(1).
    (4) "Elder adult with disabilities" means an adult
prevented by advanced age from taking appropriate action to
protect himself or herself from abuse by a family or household
member.
    (5) "Exploitation" means the illegal, including tortious,
use of a high-risk adult with disabilities or of the assets or
resources of a high-risk adult with disabilities. Exploitation
includes, but is not limited to, the misappropriation of assets
or resources of a high-risk adult with disabilities by undue
influence, by breach of a fiduciary relationship, by fraud,
deception, or extortion, or the use of such assets or resources
in a manner contrary to law.
    (6) "Family or household members" include spouses, former
spouses, parents, children, stepchildren and other persons
related by blood or by present or prior marriage, persons who
share or formerly shared a common dwelling, persons who have or
allegedly have a child in common, persons who share or
allegedly share a blood relationship through a child, persons
who have or have had a dating or engagement relationship,
persons with disabilities and their personal assistants, and
caregivers as defined in Section 12-4.4a or paragraph (3) of
subsection (b) of Section 12-21 of the Criminal Code of 2012
1961. For purposes of this paragraph, neither a casual
acquaintanceship nor ordinary fraternization between 2
individuals in business or social contexts shall be deemed to
constitute a dating relationship. In the case of a high-risk
adult with disabilities, "family or household members"
includes any person who has the responsibility for a high-risk
adult as a result of a family relationship or who has assumed
responsibility for all or a portion of the care of a high-risk
adult with disabilities voluntarily, or by express or implied
contract, or by court order.
    (7) "Harassment" means knowing conduct which is not
necessary to accomplish a purpose that is reasonable under the
circumstances; would cause a reasonable person emotional
distress; and does cause emotional distress to the petitioner.
Unless the presumption is rebutted by a preponderance of the
evidence, the following types of conduct shall be presumed to
cause emotional distress:
        (i) creating a disturbance at petitioner's place of
    employment or school;
        (ii) repeatedly telephoning petitioner's place of
    employment, home or residence;
        (iii) repeatedly following petitioner about in a
    public place or places;
        (iv) repeatedly keeping petitioner under surveillance
    by remaining present outside his or her home, school, place
    of employment, vehicle or other place occupied by
    petitioner or by peering in petitioner's windows;
        (v) improperly concealing a minor child from
    petitioner, repeatedly threatening to improperly remove a
    minor child of petitioner's from the jurisdiction or from
    the physical care of petitioner, repeatedly threatening to
    conceal a minor child from petitioner, or making a single
    such threat following an actual or attempted improper
    removal or concealment, unless respondent was fleeing an
    incident or pattern of domestic violence; or
        (vi) threatening physical force, confinement or
    restraint on one or more occasions.
    (8) "High-risk adult with disabilities" means a person aged
18 or over whose physical or mental disability impairs his or
her ability to seek or obtain protection from abuse, neglect,
or exploitation.
    (9) "Interference with personal liberty" means committing
or threatening physical abuse, harassment, intimidation or
willful deprivation so as to compel another to engage in
conduct from which she or he has a right to abstain or to
refrain from conduct in which she or he has a right to engage.
    (10) "Intimidation of a dependent" means subjecting a
person who is dependent because of age, health or disability to
participation in or the witnessing of: physical force against
another or physical confinement or restraint of another which
constitutes physical abuse as defined in this Act, regardless
of whether the abused person is a family or household member.
    (11) (A) "Neglect" means the failure to exercise that
degree of care toward a high-risk adult with disabilities which
a reasonable person would exercise under the circumstances and
includes but is not limited to:
        (i) the failure to take reasonable steps to protect a
    high-risk adult with disabilities from acts of abuse;
        (ii) the repeated, careless imposition of unreasonable
    confinement;
        (iii) the failure to provide food, shelter, clothing,
    and personal hygiene to a high-risk adult with disabilities
    who requires such assistance;
        (iv) the failure to provide medical and rehabilitative
    care for the physical and mental health needs of a
    high-risk adult with disabilities; or
        (v) the failure to protect a high-risk adult with
    disabilities from health and safety hazards.
    (B) Nothing in this subsection (10) shall be construed to
impose a requirement that assistance be provided to a high-risk
adult with disabilities over his or her objection in the
absence of a court order, nor to create any new affirmative
duty to provide support to a high-risk adult with disabilities.
    (12) "Order of protection" means an emergency order,
interim order or plenary order, granted pursuant to this Act,
which includes any or all of the remedies authorized by Section
214 of this Act.
    (13) "Petitioner" may mean not only any named petitioner
for the order of protection and any named victim of abuse on
whose behalf the petition is brought, but also any other person
protected by this Act.
    (14) "Physical abuse" includes sexual abuse and means any
of the following:
        (i) knowing or reckless use of physical force,
    confinement or restraint;
        (ii) knowing, repeated and unnecessary sleep
    deprivation; or
        (iii) knowing or reckless conduct which creates an
    immediate risk of physical harm.
    (14.5) "Stay away" means for the respondent to refrain from
both physical presence and nonphysical contact with the
petitioner whether direct, indirect (including, but not
limited to, telephone calls, mail, email, faxes, and written
notes), or through third parties who may or may not know about
the order of protection.
    (15) "Willful deprivation" means wilfully denying a person
who because of age, health or disability requires medication,
medical care, shelter, accessible shelter or services, food,
therapeutic device, or other physical assistance, and thereby
exposing that person to the risk of physical, mental or
emotional harm, except with regard to medical care or treatment
when the dependent person has expressed an intent to forgo such
medical care or treatment. This paragraph does not create any
new affirmative duty to provide support to dependent persons.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (750 ILCS 60/214)  (from Ch. 40, par. 2312-14)
    Sec. 214. Order of protection; remedies.
    (a) Issuance of order. If the court finds that petitioner
has been abused by a family or household member or that
petitioner is a high-risk adult who has been abused, neglected,
or exploited, as defined in this Act, an order of protection
prohibiting the abuse, neglect, or exploitation shall issue;
provided that petitioner must also satisfy the requirements of
one of the following Sections, as appropriate: Section 217 on
emergency orders, Section 218 on interim orders, or Section 219
on plenary orders. Petitioner shall not be denied an order of
protection because petitioner or respondent is a minor. The
court, when determining whether or not to issue an order of
protection, shall not require physical manifestations of abuse
on the person of the victim. Modification and extension of
prior orders of protection shall be in accordance with this
Act.
    (b) Remedies and standards. The remedies to be included in
an order of protection shall be determined in accordance with
this Section and one of the following Sections, as appropriate:
Section 217 on emergency orders, Section 218 on interim orders,
and Section 219 on plenary orders. The remedies listed in this
subsection shall be in addition to other civil or criminal
remedies available to petitioner.
        (1) Prohibition of abuse, neglect, or exploitation.
    Prohibit respondent's harassment, interference with
    personal liberty, intimidation of a dependent, physical
    abuse, or willful deprivation, neglect or exploitation, as
    defined in this Act, or stalking of the petitioner, as
    defined in Section 12-7.3 of the Criminal Code of 2012
    1961, if such abuse, neglect, exploitation, or stalking has
    occurred or otherwise appears likely to occur if not
    prohibited.
        (2) Grant of exclusive possession of residence.
    Prohibit respondent from entering or remaining in any
    residence, household, or premises of the petitioner,
    including one owned or leased by respondent, if petitioner
    has a right to occupancy thereof. The grant of exclusive
    possession of the residence, household, or premises shall
    not affect title to real property, nor shall the court be
    limited by the standard set forth in Section 701 of the
    Illinois Marriage and Dissolution of Marriage Act.
            (A) Right to occupancy. A party has a right to
        occupancy of a residence or household if it is solely
        or jointly owned or leased by that party, that party's
        spouse, a person with a legal duty to support that
        party or a minor child in that party's care, or by any
        person or entity other than the opposing party that
        authorizes that party's occupancy (e.g., a domestic
        violence shelter). Standards set forth in subparagraph
        (B) shall not preclude equitable relief.
            (B) Presumption of hardships. If petitioner and
        respondent each has the right to occupancy of a
        residence or household, the court shall balance (i) the
        hardships to respondent and any minor child or
        dependent adult in respondent's care resulting from
        entry of this remedy with (ii) the hardships to
        petitioner and any minor child or dependent adult in
        petitioner's care resulting from continued exposure to
        the risk of abuse (should petitioner remain at the
        residence or household) or from loss of possession of
        the residence or household (should petitioner leave to
        avoid the risk of abuse). When determining the balance
        of hardships, the court shall also take into account
        the accessibility of the residence or household.
        Hardships need not be balanced if respondent does not
        have a right to occupancy.
            The balance of hardships is presumed to favor
        possession by petitioner unless the presumption is
        rebutted by a preponderance of the evidence, showing
        that the hardships to respondent substantially
        outweigh the hardships to petitioner and any minor
        child or dependent adult in petitioner's care. The
        court, on the request of petitioner or on its own
        motion, may order respondent to provide suitable,
        accessible, alternate housing for petitioner instead
        of excluding respondent from a mutual residence or
        household.
        (3) Stay away order and additional prohibitions. Order
    respondent to stay away from petitioner or any other person
    protected by the order of protection, or prohibit
    respondent from entering or remaining present at
    petitioner's school, place of employment, or other
    specified places at times when petitioner is present, or
    both, if reasonable, given the balance of hardships.
    Hardships need not be balanced for the court to enter a
    stay away order or prohibit entry if respondent has no
    right to enter the premises.
            (A) If an order of protection grants petitioner
        exclusive possession of the residence, or prohibits
        respondent from entering the residence, or orders
        respondent to stay away from petitioner or other
        protected persons, then the court may allow respondent
        access to the residence to remove items of clothing and
        personal adornment used exclusively by respondent,
        medications, and other items as the court directs. The
        right to access shall be exercised on only one occasion
        as the court directs and in the presence of an
        agreed-upon adult third party or law enforcement
        officer.
            (B) When the petitioner and the respondent attend
        the same public, private, or non-public elementary,
        middle, or high school, the court when issuing an order
        of protection and providing relief shall consider the
        severity of the act, any continuing physical danger or
        emotional distress to the petitioner, the educational
        rights guaranteed to the petitioner and respondent
        under federal and State law, the availability of a
        transfer of the respondent to another school, a change
        of placement or a change of program of the respondent,
        the expense, difficulty, and educational disruption
        that would be caused by a transfer of the respondent to
        another school, and any other relevant facts of the
        case. The court may order that the respondent not
        attend the public, private, or non-public elementary,
        middle, or high school attended by the petitioner,
        order that the respondent accept a change of placement
        or change of program, as determined by the school
        district or private or non-public school, or place
        restrictions on the respondent's movements within the
        school attended by the petitioner. The respondent
        bears the burden of proving by a preponderance of the
        evidence that a transfer, change of placement, or
        change of program of the respondent is not available.
        The respondent also bears the burden of production with
        respect to the expense, difficulty, and educational
        disruption that would be caused by a transfer of the
        respondent to another school. A transfer, change of
        placement, or change of program is not unavailable to
        the respondent solely on the ground that the respondent
        does not agree with the school district's or private or
        non-public school's transfer, change of placement, or
        change of program or solely on the ground that the
        respondent fails or refuses to consent or otherwise
        does not take an action required to effectuate a
        transfer, change of placement, or change of program.
        When a court orders a respondent to stay away from the
        public, private, or non-public school attended by the
        petitioner and the respondent requests a transfer to
        another attendance center within the respondent's
        school district or private or non-public school, the
        school district or private or non-public school shall
        have sole discretion to determine the attendance
        center to which the respondent is transferred. In the
        event the court order results in a transfer of the
        minor respondent to another attendance center, a
        change in the respondent's placement, or a change of
        the respondent's program, the parents, guardian, or
        legal custodian of the respondent is responsible for
        transportation and other costs associated with the
        transfer or change.
            (C) The court may order the parents, guardian, or
        legal custodian of a minor respondent to take certain
        actions or to refrain from taking certain actions to
        ensure that the respondent complies with the order. In
        the event the court orders a transfer of the respondent
        to another school, the parents, guardian, or legal
        custodian of the respondent is responsible for
        transportation and other costs associated with the
        change of school by the respondent.
        (4) Counseling. Require or recommend the respondent to
    undergo counseling for a specified duration with a social
    worker, psychologist, clinical psychologist, psychiatrist,
    family service agency, alcohol or substance abuse program,
    mental health center guidance counselor, agency providing
    services to elders, program designed for domestic violence
    abusers or any other guidance service the court deems
    appropriate. The Court may order the respondent in any
    intimate partner relationship to report to an Illinois
    Department of Human Services protocol approved partner
    abuse intervention program for an assessment and to follow
    all recommended treatment.
        (5) Physical care and possession of the minor child. In
    order to protect the minor child from abuse, neglect, or
    unwarranted separation from the person who has been the
    minor child's primary caretaker, or to otherwise protect
    the well-being of the minor child, the court may do either
    or both of the following: (i) grant petitioner physical
    care or possession of the minor child, or both, or (ii)
    order respondent to return a minor child to, or not remove
    a minor child from, the physical care of a parent or person
    in loco parentis.
        If a court finds, after a hearing, that respondent has
    committed abuse (as defined in Section 103) of a minor
    child, there shall be a rebuttable presumption that
    awarding physical care to respondent would not be in the
    minor child's best interest.
        (6) Temporary legal custody. Award temporary legal
    custody to petitioner in accordance with this Section, the
    Illinois Marriage and Dissolution of Marriage Act, the
    Illinois Parentage Act of 1984, and this State's Uniform
    Child-Custody Jurisdiction and Enforcement Act.
        If a court finds, after a hearing, that respondent has
    committed abuse (as defined in Section 103) of a minor
    child, there shall be a rebuttable presumption that
    awarding temporary legal custody to respondent would not be
    in the child's best interest.
        (7) Visitation. Determine the visitation rights, if
    any, of respondent in any case in which the court awards
    physical care or temporary legal custody of a minor child
    to petitioner. The court shall restrict or deny
    respondent's visitation with a minor child if the court
    finds that respondent has done or is likely to do any of
    the following: (i) abuse or endanger the minor child during
    visitation; (ii) use the visitation as an opportunity to
    abuse or harass petitioner or petitioner's family or
    household members; (iii) improperly conceal or detain the
    minor child; or (iv) otherwise act in a manner that is not
    in the best interests of the minor child. The court shall
    not be limited by the standards set forth in Section 607.1
    of the Illinois Marriage and Dissolution of Marriage Act.
    If the court grants visitation, the order shall specify
    dates and times for the visitation to take place or other
    specific parameters or conditions that are appropriate. No
    order for visitation shall refer merely to the term
    "reasonable visitation".
        Petitioner may deny respondent access to the minor
    child if, when respondent arrives for visitation,
    respondent is under the influence of drugs or alcohol and
    constitutes a threat to the safety and well-being of
    petitioner or petitioner's minor children or is behaving in
    a violent or abusive manner.
        If necessary to protect any member of petitioner's
    family or household from future abuse, respondent shall be
    prohibited from coming to petitioner's residence to meet
    the minor child for visitation, and the parties shall
    submit to the court their recommendations for reasonable
    alternative arrangements for visitation. A person may be
    approved to supervise visitation only after filing an
    affidavit accepting that responsibility and acknowledging
    accountability to the court.
        (8) Removal or concealment of minor child. Prohibit
    respondent from removing a minor child from the State or
    concealing the child within the State.
        (9) Order to appear. Order the respondent to appear in
    court, alone or with a minor child, to prevent abuse,
    neglect, removal or concealment of the child, to return the
    child to the custody or care of the petitioner or to permit
    any court-ordered interview or examination of the child or
    the respondent.
        (10) Possession of personal property. Grant petitioner
    exclusive possession of personal property and, if
    respondent has possession or control, direct respondent to
    promptly make it available to petitioner, if:
            (i) petitioner, but not respondent, owns the
        property; or
            (ii) the parties own the property jointly; sharing
        it would risk abuse of petitioner by respondent or is
        impracticable; and the balance of hardships favors
        temporary possession by petitioner.
        If petitioner's sole claim to ownership of the property
    is that it is marital property, the court may award
    petitioner temporary possession thereof under the
    standards of subparagraph (ii) of this paragraph only if a
    proper proceeding has been filed under the Illinois
    Marriage and Dissolution of Marriage Act, as now or
    hereafter amended.
        No order under this provision shall affect title to
    property.
        (11) Protection of property. Forbid the respondent
    from taking, transferring, encumbering, concealing,
    damaging or otherwise disposing of any real or personal
    property, except as explicitly authorized by the court, if:
            (i) petitioner, but not respondent, owns the
        property; or
            (ii) the parties own the property jointly, and the
        balance of hardships favors granting this remedy.
        If petitioner's sole claim to ownership of the property
    is that it is marital property, the court may grant
    petitioner relief under subparagraph (ii) of this
    paragraph only if a proper proceeding has been filed under
    the Illinois Marriage and Dissolution of Marriage Act, as
    now or hereafter amended.
        The court may further prohibit respondent from
    improperly using the financial or other resources of an
    aged member of the family or household for the profit or
    advantage of respondent or of any other person.
        (11.5) Protection of animals. Grant the petitioner the
    exclusive care, custody, or control of any animal owned,
    possessed, leased, kept, or held by either the petitioner
    or the respondent or a minor child residing in the
    residence or household of either the petitioner or the
    respondent and order the respondent to stay away from the
    animal and forbid the respondent from taking,
    transferring, encumbering, concealing, harming, or
    otherwise disposing of the animal.
        (12) Order for payment of support. Order respondent to
    pay temporary support for the petitioner or any child in
    the petitioner's care or custody, when the respondent has a
    legal obligation to support that person, in accordance with
    the Illinois Marriage and Dissolution of Marriage Act,
    which shall govern, among other matters, the amount of
    support, payment through the clerk and withholding of
    income to secure payment. An order for child support may be
    granted to a petitioner with lawful physical care or
    custody of a child, or an order or agreement for physical
    care or custody, prior to entry of an order for legal
    custody. Such a support order shall expire upon entry of a
    valid order granting legal custody to another, unless
    otherwise provided in the custody order.
        (13) Order for payment of losses. Order respondent to
    pay petitioner for losses suffered as a direct result of
    the abuse, neglect, or exploitation. Such losses shall
    include, but not be limited to, medical expenses, lost
    earnings or other support, repair or replacement of
    property damaged or taken, reasonable attorney's fees,
    court costs and moving or other travel expenses, including
    additional reasonable expenses for temporary shelter and
    restaurant meals.
            (i) Losses affecting family needs. If a party is
        entitled to seek maintenance, child support or
        property distribution from the other party under the
        Illinois Marriage and Dissolution of Marriage Act, as
        now or hereafter amended, the court may order
        respondent to reimburse petitioner's actual losses, to
        the extent that such reimbursement would be
        "appropriate temporary relief", as authorized by
        subsection (a)(3) of Section 501 of that Act.
            (ii) Recovery of expenses. In the case of an
        improper concealment or removal of a minor child, the
        court may order respondent to pay the reasonable
        expenses incurred or to be incurred in the search for
        and recovery of the minor child, including but not
        limited to legal fees, court costs, private
        investigator fees, and travel costs.
        (14) Prohibition of entry. Prohibit the respondent
    from entering or remaining in the residence or household
    while the respondent is under the influence of alcohol or
    drugs and constitutes a threat to the safety and well-being
    of the petitioner or the petitioner's children.
        (14.5) Prohibition of firearm possession.
            (a) Prohibit a respondent against whom an order of
        protection was issued from possessing any firearms
        during the duration of the order if the order:
                (1) was issued after a hearing of which such
            person received actual notice, and at which such
            person had an opportunity to participate;
                (2) restrains such person from harassing,
            stalking, or threatening an intimate partner of
            such person or child of such intimate partner or
            person, or engaging in other conduct that would
            place an intimate partner in reasonable fear of
            bodily injury to the partner or child; and
                (3)(i) includes a finding that such person
            represents a credible threat to the physical
            safety of such intimate partner or child; or (ii)
            by its terms explicitly prohibits the use,
            attempted use, or threatened use of physical force
            against such intimate partner or child that would
            reasonably be expected to cause bodily injury.
        Any Firearm Owner's Identification Card in the
        possession of the respondent, except as provided in
        subsection (b), shall be ordered by the court to be
        turned over to the local law enforcement agency. The
        local law enforcement agency shall immediately mail
        the card to the Department of State Police Firearm
        Owner's Identification Card Office for safekeeping.
        The court shall issue a warrant for seizure of any
        firearm in the possession of the respondent, to be kept
        by the local law enforcement agency for safekeeping,
        except as provided in subsection (b). The period of
        safekeeping shall be for the duration of the order of
        protection. The firearm or firearms and Firearm
        Owner's Identification Card, if unexpired, shall at
        the respondent's request, be returned to the
        respondent at the end of the order of protection. It is
        the respondent's responsibility to notify the
        Department of State Police Firearm Owner's
        Identification Card Office.
            (b) If the respondent is a peace officer as defined
        in Section 2-13 of the Criminal Code of 2012 1961, the
        court shall order that any firearms used by the
        respondent in the performance of his or her duties as a
        peace officer be surrendered to the chief law
        enforcement executive of the agency in which the
        respondent is employed, who shall retain the firearms
        for safekeeping for the duration of the order of
        protection.
            (c) Upon expiration of the period of safekeeping,
        if the firearms or Firearm Owner's Identification Card
        cannot be returned to respondent because respondent
        cannot be located, fails to respond to requests to
        retrieve the firearms, or is not lawfully eligible to
        possess a firearm, upon petition from the local law
        enforcement agency, the court may order the local law
        enforcement agency to destroy the firearms, use the
        firearms for training purposes, or for any other
        application as deemed appropriate by the local law
        enforcement agency; or that the firearms be turned over
        to a third party who is lawfully eligible to possess
        firearms, and who does not reside with respondent.
        (15) Prohibition of access to records. If an order of
    protection prohibits respondent from having contact with
    the minor child, or if petitioner's address is omitted
    under subsection (b) of Section 203, or if necessary to
    prevent abuse or wrongful removal or concealment of a minor
    child, the order shall deny respondent access to, and
    prohibit respondent from inspecting, obtaining, or
    attempting to inspect or obtain, school or any other
    records of the minor child who is in the care of
    petitioner.
        (16) Order for payment of shelter services. Order
    respondent to reimburse a shelter providing temporary
    housing and counseling services to the petitioner for the
    cost of the services, as certified by the shelter and
    deemed reasonable by the court.
        (17) Order for injunctive relief. Enter injunctive
    relief necessary or appropriate to prevent further abuse of
    a family or household member or further abuse, neglect, or
    exploitation of a high-risk adult with disabilities or to
    effectuate one of the granted remedies, if supported by the
    balance of hardships. If the harm to be prevented by the
    injunction is abuse or any other harm that one of the
    remedies listed in paragraphs (1) through (16) of this
    subsection is designed to prevent, no further evidence is
    necessary that the harm is an irreparable injury.
    (c) Relevant factors; findings.
        (1) In determining whether to grant a specific remedy,
    other than payment of support, the court shall consider
    relevant factors, including but not limited to the
    following:
            (i) the nature, frequency, severity, pattern and
        consequences of the respondent's past abuse, neglect
        or exploitation of the petitioner or any family or
        household member, including the concealment of his or
        her location in order to evade service of process or
        notice, and the likelihood of danger of future abuse,
        neglect, or exploitation to petitioner or any member of
        petitioner's or respondent's family or household; and
            (ii) the danger that any minor child will be abused
        or neglected or improperly removed from the
        jurisdiction, improperly concealed within the State or
        improperly separated from the child's primary
        caretaker.
        (2) In comparing relative hardships resulting to the
    parties from loss of possession of the family home, the
    court shall consider relevant factors, including but not
    limited to the following:
            (i) availability, accessibility, cost, safety,
        adequacy, location and other characteristics of
        alternate housing for each party and any minor child or
        dependent adult in the party's care;
            (ii) the effect on the party's employment; and
            (iii) the effect on the relationship of the party,
        and any minor child or dependent adult in the party's
        care, to family, school, church and community.
        (3) Subject to the exceptions set forth in paragraph
    (4) of this subsection, the court shall make its findings
    in an official record or in writing, and shall at a minimum
    set forth the following:
            (i) That the court has considered the applicable
        relevant factors described in paragraphs (1) and (2) of
        this subsection.
            (ii) Whether the conduct or actions of respondent,
        unless prohibited, will likely cause irreparable harm
        or continued abuse.
            (iii) Whether it is necessary to grant the
        requested relief in order to protect petitioner or
        other alleged abused persons.
        (4) For purposes of issuing an ex parte emergency order
    of protection, the court, as an alternative to or as a
    supplement to making the findings described in paragraphs
    (c)(3)(i) through (c)(3)(iii) of this subsection, may use
    the following procedure:
        When a verified petition for an emergency order of
    protection in accordance with the requirements of Sections
    203 and 217 is presented to the court, the court shall
    examine petitioner on oath or affirmation. An emergency
    order of protection shall be issued by the court if it
    appears from the contents of the petition and the
    examination of petitioner that the averments are
    sufficient to indicate abuse by respondent and to support
    the granting of relief under the issuance of the emergency
    order of protection.
        (5) Never married parties. No rights or
    responsibilities for a minor child born outside of marriage
    attach to a putative father until a father and child
    relationship has been established under the Illinois
    Parentage Act of 1984, the Illinois Public Aid Code,
    Section 12 of the Vital Records Act, the Juvenile Court Act
    of 1987, the Probate Act of 1985, the Revised Uniform
    Reciprocal Enforcement of Support Act, the Uniform
    Interstate Family Support Act, the Expedited Child Support
    Act of 1990, any judicial, administrative, or other act of
    another state or territory, any other Illinois statute, or
    by any foreign nation establishing the father and child
    relationship, any other proceeding substantially in
    conformity with the Personal Responsibility and Work
    Opportunity Reconciliation Act of 1996 (Pub. L. 104-193),
    or where both parties appeared in open court or at an
    administrative hearing acknowledging under oath or
    admitting by affirmation the existence of a father and
    child relationship. Absent such an adjudication, finding,
    or acknowledgement, no putative father shall be granted
    temporary custody of the minor child, visitation with the
    minor child, or physical care and possession of the minor
    child, nor shall an order of payment for support of the
    minor child be entered.
    (d) Balance of hardships; findings. If the court finds that
the balance of hardships does not support the granting of a
remedy governed by paragraph (2), (3), (10), (11), or (16) of
subsection (b) of this Section, which may require such
balancing, the court's findings shall so indicate and shall
include a finding as to whether granting the remedy will result
in hardship to respondent that would substantially outweigh the
hardship to petitioner from denial of the remedy. The findings
shall be an official record or in writing.
    (e) Denial of remedies. Denial of any remedy shall not be
based, in whole or in part, on evidence that:
        (1) Respondent has cause for any use of force, unless
    that cause satisfies the standards for justifiable use of
    force provided by Article 7 VII of the Criminal Code of
    2012 1961;
        (2) Respondent was voluntarily intoxicated;
        (3) Petitioner acted in self-defense or defense of
    another, provided that, if petitioner utilized force, such
    force was justifiable under Article 7 VII of the Criminal
    Code of 2012 1961;
        (4) Petitioner did not act in self-defense or defense
    of another;
        (5) Petitioner left the residence or household to avoid
    further abuse, neglect, or exploitation by respondent;
        (6) Petitioner did not leave the residence or household
    to avoid further abuse, neglect, or exploitation by
    respondent;
        (7) Conduct by any family or household member excused
    the abuse, neglect, or exploitation by respondent, unless
    that same conduct would have excused such abuse, neglect,
    or exploitation if the parties had not been family or
    household members.
(Source: P.A. 96-701, eff. 1-1-10; 96-1239, eff. 1-1-11;
97-158, eff. 1-1-12; 97-294, eff. 1-1-12; 97-813, eff. 7-13-12;
97-1131, eff. 1-1-13.)
 
    (750 ILCS 60/216)  (from Ch. 40, par. 2312-16)
    Sec. 216. Accountability for Actions of Others. For the
purposes of issuing an order of protection, deciding what
remedies should be included and enforcing the order, Article 5
of the Criminal Code of 2012 1961 shall govern whether
respondent is legally accountable for the conduct of another
person.
(Source: P.A. 84-1305.)
 
    (750 ILCS 60/223)  (from Ch. 40, par. 2312-23)
    Sec. 223. Enforcement of orders of protection.
    (a) When violation is crime. A violation of any order of
protection, whether issued in a civil or criminal proceeding,
shall be enforced by a criminal court when:
        (1) The respondent commits the crime of violation of an
    order of protection pursuant to Section 12-3.4 or 12-30 of
    the Criminal Code of 1961 or the Criminal Code of 2012, by
    having knowingly violated:
            (i) remedies described in paragraphs (1), (2),
        (3), (14), or (14.5) of subsection (b) of Section 214
        of this Act; or
            (ii) a remedy, which is substantially similar to
        the remedies authorized under paragraphs (1), (2),
        (3), (14), and (14.5) of subsection (b) of Section 214
        of this Act, in a valid order of protection which is
        authorized under the laws of another state, tribe, or
        United States territory; or
            (iii) any other remedy when the act constitutes a
        crime against the protected parties as defined by the
        Criminal Code of 1961 or the Criminal Code of 2012.
        Prosecution for a violation of an order of protection
    shall not bar concurrent prosecution for any other crime,
    including any crime that may have been committed at the
    time of the violation of the order of protection; or
        (2) The respondent commits the crime of child abduction
    pursuant to Section 10-5 of the Criminal Code of 1961 or
    the Criminal Code of 2012, by having knowingly violated:
            (i) remedies described in paragraphs (5), (6) or
        (8) of subsection (b) of Section 214 of this Act; or
            (ii) a remedy, which is substantially similar to
        the remedies authorized under paragraphs (5), (6), or
        (8) of subsection (b) of Section 214 of this Act, in a
        valid order of protection which is authorized under the
        laws of another state, tribe, or United States
        territory.
    (b) When violation is contempt of court. A violation of any
valid Illinois order of protection, whether issued in a civil
or criminal proceeding, may be enforced through civil or
criminal contempt procedures, as appropriate, by any court with
jurisdiction, regardless where the act or acts which violated
the order of protection were committed, to the extent
consistent with the venue provisions of this Act. Nothing in
this Act shall preclude any Illinois court from enforcing any
valid order of protection issued in another state. Illinois
courts may enforce orders of protection through both criminal
prosecution and contempt proceedings, unless the action which
is second in time is barred by collateral estoppel or the
constitutional prohibition against double jeopardy.
        (1) In a contempt proceeding where the petition for a
    rule to show cause sets forth facts evidencing an immediate
    danger that the respondent will flee the jurisdiction,
    conceal a child, or inflict physical abuse on the
    petitioner or minor children or on dependent adults in
    petitioner's care, the court may order the attachment of
    the respondent without prior service of the rule to show
    cause or the petition for a rule to show cause. Bond shall
    be set unless specifically denied in writing.
        (2) A petition for a rule to show cause for violation
    of an order of protection shall be treated as an expedited
    proceeding.
    (b-1) The court shall not hold a school district or private
or non-public school or any of its employees in civil or
criminal contempt unless the school district or private or
non-public school has been allowed to intervene.
    (b-2) The court may hold the parents, guardian, or legal
custodian of a minor respondent in civil or criminal contempt
for a violation of any provision of any order entered under
this Act for conduct of the minor respondent in violation of
this Act if the parents, guardian, or legal custodian directed,
encouraged, or assisted the respondent minor in such conduct.
    (c) Violation of custody or support orders. A violation of
remedies described in paragraphs (5), (6), (8), or (9) of
subsection (b) of Section 214 of this Act may be enforced by
any remedy provided by Section 611 of the Illinois Marriage and
Dissolution of Marriage Act. The court may enforce any order
for support issued under paragraph (12) of subsection (b) of
Section 214 in the manner provided for under Parts V and VII of
the Illinois Marriage and Dissolution of Marriage Act.
    (d) Actual knowledge. An order of protection may be
enforced pursuant to this Section if the respondent violates
the order after the respondent has actual knowledge of its
contents as shown through one of the following means:
        (1) By service, delivery, or notice under Section 210.
        (2) By notice under Section 210.1 or 211.
        (3) By service of an order of protection under Section
    222.
        (4) By other means demonstrating actual knowledge of
    the contents of the order.
    (e) The enforcement of an order of protection in civil or
criminal court shall not be affected by either of the
following:
        (1) The existence of a separate, correlative order,
    entered under Section 215.
        (2) Any finding or order entered in a conjoined
    criminal proceeding.
    (f) Circumstances. The court, when determining whether or
not a violation of an order of protection has occurred, shall
not require physical manifestations of abuse on the person of
the victim.
    (g) Penalties.
        (1) Except as provided in paragraph (3) of this
    subsection, where the court finds the commission of a crime
    or contempt of court under subsections (a) or (b) of this
    Section, the penalty shall be the penalty that generally
    applies in such criminal or contempt proceedings, and may
    include one or more of the following: incarceration,
    payment of restitution, a fine, payment of attorneys' fees
    and costs, or community service.
        (2) The court shall hear and take into account evidence
    of any factors in aggravation or mitigation before deciding
    an appropriate penalty under paragraph (1) of this
    subsection.
        (3) To the extent permitted by law, the court is
    encouraged to:
            (i) increase the penalty for the knowing violation
        of any order of protection over any penalty previously
        imposed by any court for respondent's violation of any
        order of protection or penal statute involving
        petitioner as victim and respondent as defendant;
            (ii) impose a minimum penalty of 24 hours
        imprisonment for respondent's first violation of any
        order of protection; and
            (iii) impose a minimum penalty of 48 hours
        imprisonment for respondent's second or subsequent
        violation of an order of protection
    unless the court explicitly finds that an increased penalty
    or that period of imprisonment would be manifestly unjust.
        (4) In addition to any other penalties imposed for a
    violation of an order of protection, a criminal court may
    consider evidence of any violations of an order of
    protection:
            (i) to increase, revoke or modify the bail bond on
        an underlying criminal charge pursuant to Section
        110-6 of the Code of Criminal Procedure of 1963;
            (ii) to revoke or modify an order of probation,
        conditional discharge or supervision, pursuant to
        Section 5-6-4 of the Unified Code of Corrections;
            (iii) to revoke or modify a sentence of periodic
        imprisonment, pursuant to Section 5-7-2 of the Unified
        Code of Corrections.
        (5) In addition to any other penalties, the court shall
    impose an additional fine of $20 as authorized by Section
    5-9-1.11 of the Unified Code of Corrections upon any person
    convicted of or placed on supervision for a violation of an
    order of protection. The additional fine shall be imposed
    for each violation of this Section.
(Source: P.A. 96-1551, eff. 7-1-11; 97-294, eff. 1-1-12.)
 
    (750 ILCS 60/301)  (from Ch. 40, par. 2313-1)
    Sec. 301. Arrest without warrant.
    (a) Any law enforcement officer may make an arrest without
warrant if the officer has probable cause to believe that the
person has committed or is committing any crime, including but
not limited to violation of an order of protection, under
Section 12-3.4 or 12-30 of the Criminal Code of 1961 or the
Criminal Code of 2012, even if the crime was not committed in
the presence of the officer.
    (b) The law enforcement officer may verify the existence of
an order of protection by telephone or radio communication with
his or her law enforcement agency or by referring to the copy
of the order provided by the petitioner or respondent.
    (c) Any law enforcement officer may make an arrest without
warrant if the officer has reasonable grounds to believe a
defendant at liberty under the provisions of subdivision (d)(1)
or (d)(2) of Section 110-10 of the Code of Criminal Procedure
of 1963 has violated a condition of his or her bail bond or
recognizance.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    (750 ILCS 60/304)  (from Ch. 40, par. 2313-4)
    Sec. 304. Assistance by law enforcement officers.
    (a) Whenever a law enforcement officer has reason to
believe that a person has been abused, neglected, or exploited
by a family or household member, the officer shall immediately
use all reasonable means to prevent further abuse, neglect, or
exploitation, including:
        (1) Arresting the abusing, neglecting and exploiting
    party, where appropriate;
        (2) If there is probable cause to believe that
    particular weapons were used to commit the incident of
    abuse, subject to constitutional limitations, seizing and
    taking inventory of the weapons;
        (3) Accompanying the victim of abuse, neglect, or
    exploitation to his or her place of residence for a
    reasonable period of time to remove necessary personal
    belongings and possessions;
        (4) Offering the victim of abuse, neglect, or
    exploitation immediate and adequate information (written
    in a language appropriate for the victim or in Braille or
    communicated in appropriate sign language), which shall
    include a summary of the procedures and relief available to
    victims of abuse under subsection (c) of Section 217 and
    the officer's name and badge number;
        (5) Providing the victim with one referral to an
    accessible service agency;
        (6) Advising the victim of abuse about seeking medical
    attention and preserving evidence (specifically including
    photographs of injury or damage and damaged clothing or
    other property); and
        (7) Providing or arranging accessible transportation
    for the victim of abuse (and, at the victim's request, any
    minors or dependents in the victim's care) to a medical
    facility for treatment of injuries or to a nearby place of
    shelter or safety; or, after the close of court business
    hours, providing or arranging for transportation for the
    victim (and, at the victim's request, any minors or
    dependents in the victim's care) to the nearest available
    circuit judge or associate judge so the victim may file a
    petition for an emergency order of protection under
    subsection (c) of Section 217. When a victim of abuse
    chooses to leave the scene of the offense, it shall be
    presumed that it is in the best interests of any minors or
    dependents in the victim's care to remain with the victim
    or a person designated by the victim, rather than to remain
    with the abusing party.
    (b) Whenever a law enforcement officer does not exercise
arrest powers or otherwise initiate criminal proceedings, the
officer shall:
        (1) Make a police report of the investigation of any
    bona fide allegation of an incident of abuse, neglect, or
    exploitation and the disposition of the investigation, in
    accordance with subsection (a) of Section 303;
        (2) Inform the victim of abuse neglect, or exploitation
    of the victim's right to request that a criminal proceeding
    be initiated where appropriate, including specific times
    and places for meeting with the State's Attorney's office,
    a warrant officer, or other official in accordance with
    local procedure; and
        (3) Advise the victim of the importance of seeking
    medical attention and preserving evidence (specifically
    including photographs of injury or damage and damaged
    clothing or other property).
    (c) Except as provided by Section 24-6 of the Criminal Code
of 2012 1961 or under a court order, any weapon seized under
subsection (a)(2) shall be returned forthwith to the person
from whom it was seized when it is no longer needed for
evidentiary purposes.
(Source: P.A. 87-1186; 88-498.)
 
    Section 780. The Parental Notice of Abortion Act of 1995 is
amended by changing Section 10 as follows:
 
    (750 ILCS 70/10)
    Sec. 10. Definitions. As used in this Act:
    "Abortion" means the use of any instrument, medicine, drug,
or any other substance or device to terminate the pregnancy of
a woman known to be pregnant with an intention other than to
increase the probability of a live birth, to preserve the life
or health of a child after live birth, or to remove a dead
fetus.
    "Actual notice" means the giving of notice directly, in
person, or by telephone.
    "Adult family member" means a person over 21 years of age
who is the parent, grandparent, step-parent living in the
household, or legal guardian.
    "Constructive notice" means notice by certified mail to the
last known address of the person entitled to notice with
delivery deemed to have occurred 48 hours after the certified
notice is mailed.
    "Incompetent" means any person who has been adjudged as
mentally ill or developmentally disabled and who, because of
her mental illness or developmental disability, is not fully
able to manage her person and for whom a guardian of the person
has been appointed under Section 11a-3(a)(1) of the Probate Act
of 1975.
    "Medical emergency" means a condition that, on the basis of
the physician's good faith clinical judgment, so complicates
the medical condition of a pregnant woman as to necessitate the
immediate abortion of her pregnancy to avert her death or for
which a delay will create serious risk of substantial and
irreversible impairment of major bodily function.
    "Minor" means any person under 18 years of age who is not
or has not been married or who has not been emancipated under
the Emancipation of Minors Act.
    "Neglect" means the failure of an adult family member to
supply a child with necessary food, clothing, shelter, or
medical care when reasonably able to do so or the failure to
protect a child from conditions or actions that imminently and
seriously endanger the child's physical or mental health when
reasonably able to do so.
    "Physical abuse" means any physical injury intentionally
inflicted by an adult family member on a child.
    "Physician" means any person licensed to practice medicine
in all its branches under the Illinois Medical Practice Act of
1987.
    "Sexual abuse" means any sexual conduct or sexual
penetration as defined in Section 11-0.1 of the Criminal Code
of 2012 1961 that is prohibited by the criminal laws of the
State of Illinois and committed against a minor by an adult
family member as defined in this Act.
(Source: P.A. 95-331, eff. 8-21-07; 96-1551, eff. 7-1-11.)
 
    Section 785. The Probate Act of 1975 is amended by changing
Sections 1-5, 2-6.2, 2-6.6, and 25-1 as follows:
 
    (755 ILCS 5/1-5)  (from Ch. 110 1/2, par. 1-5)
    Sec. 1-5. Petition under oath.) Every petition under this
Act, except a petition under Section 8-1 or Section 8-2, shall
be under oath or affirmation. If a statement is known to
petitioner only upon information and belief, or is unknown to
him, the petition shall so state. Whenever any instrument is
required to be verified or under oath, a statement that is made
under the penalties of perjury has the same effect as if the
instrument were verified or made under oath. A fraudulent
statement so made is perjury, as defined in Section 32-2 of the
Criminal Code of 2012 1961.
(Source: P.A. 85-692.)
 
    (755 ILCS 5/2-6.2)
    Sec. 2-6.2. Financial exploitation, abuse, or neglect of an
elderly person or a person with a disability.
    (a) In this Section:
    "Abuse" means any offense described in Section 12-21 or
subsection (b) of Section 12-4.4a of the Criminal Code of 1961
or the Criminal Code of 2012.
    "Financial exploitation" means any offense described in
Section 16-1.3 or 17-56 of the Criminal Code of 1961 or the
Criminal Code of 2012.
    "Neglect" means any offense described in Section 12-19 or
subsection (a) of Section 12-4.4a of the Criminal Code of 1961
or the Criminal Code of 2012.
    (b) Persons convicted of financial exploitation, abuse, or
neglect of an elderly person or a person with a disability
shall not receive any property, benefit, or other interest by
reason of the death of that elderly person or person with a
disability, whether as heir, legatee, beneficiary, survivor,
appointee, claimant under Section 18-1.1, or in any other
capacity and whether the property, benefit, or other interest
passes pursuant to any form of title registration, testamentary
or nontestamentary instrument, intestacy, renunciation, or any
other circumstance. The property, benefit, or other interest
shall pass as if the person convicted of the financial
exploitation, abuse, or neglect died before the decedent,
provided that with respect to joint tenancy property the
interest possessed prior to the death by the person convicted
of the financial exploitation, abuse, or neglect shall not be
diminished by the application of this Section. Notwithstanding
the foregoing, a person convicted of financial exploitation,
abuse, or neglect of an elderly person or a person with a
disability shall be entitled to receive property, a benefit, or
an interest in any capacity and under any circumstances
described in this subsection (b) if it is demonstrated by clear
and convincing evidence that the victim of that offense knew of
the conviction and subsequent to the conviction expressed or
ratified his or her intent to transfer the property, benefit,
or interest to the person convicted of financial exploitation,
abuse, or neglect of an elderly person or a person with a
disability in any manner contemplated by this subsection (b).
    (c)(1) The holder of any property subject to the provisions
of this Section shall not be liable for distributing or
releasing the property to the person convicted of financial
exploitation, abuse, or neglect of an elderly person or a
person with a disability if the distribution or release occurs
prior to the conviction.
    (2) If the holder is a financial institution, trust
company, trustee, or similar entity or person, the holder shall
not be liable for any distribution or release of the property,
benefit, or other interest to the person convicted of a
violation of Section 12-19, 12-21, 16-1.3, or 17-56, or
subsection (a) or (b) of Section 12-4.4a, of the Criminal Code
of 1961 or the Criminal Code of 2012 unless the holder
knowingly distributes or releases the property, benefit, or
other interest to the person so convicted after first having
received actual written notice of the conviction in sufficient
time to act upon the notice.
    (d) If the holder of any property subject to the provisions
of this Section knows that a potential beneficiary has been
convicted of financial exploitation, abuse, or neglect of an
elderly person or a person with a disability within the scope
of this Section, the holder shall fully cooperate with law
enforcement authorities and judicial officers in connection
with any investigation of the financial exploitation, abuse, or
neglect. If the holder is a person or entity that is subject to
regulation by a regulatory agency pursuant to the laws of this
or any other state or pursuant to the laws of the United
States, including but not limited to the business of a
financial institution, corporate fiduciary, or insurance
company, then such person or entity shall not be deemed to be
in violation of this Section to the extent that privacy laws
and regulations applicable to such person or entity prevent it
from voluntarily providing law enforcement authorities or
judicial officers with information.
(Source: P.A. 96-1551, Article 1, Section 995, eff. 7-1-11;
96-1551, Article 10, Section 10-155, eff. 7-1-11; 97-1109, eff.
1-1-13.)
 
    (755 ILCS 5/2-6.6)
    Sec. 2-6.6. Person convicted of certain offenses against
the elderly or disabled. A person who is convicted of a
violation of Section 12-19, 12-21, 16-1.3, or 17-56, or
subsection (a) or (b) of Section 12-4.4a, of the Criminal Code
of 1961 or the Criminal Code of 2012 may not receive any
property, benefit, or other interest by reason of the death of
the victim of that offense, whether as heir, legatee,
beneficiary, joint tenant, tenant by the entirety, survivor,
appointee, or in any other capacity and whether the property,
benefit, or other interest passes pursuant to any form of title
registration, testamentary or nontestamentary instrument,
intestacy, renunciation, or any other circumstance. The
property, benefit, or other interest shall pass as if the
person convicted of a violation of Section 12-19, 12-21,
16-1.3, or 17-56, or subsection (a) or (b) of Section 12-4.4a,
of the Criminal Code of 1961 or the Criminal Code of 2012 died
before the decedent; provided that with respect to joint
tenancy property or property held in tenancy by the entirety,
the interest possessed prior to the death by the person
convicted may not be diminished by the application of this
Section. Notwithstanding the foregoing, a person convicted of a
violation of Section 12-19, 12-21, 16-1.3, or 17-56, or
subsection (a) or (b) of Section 12-4.4a, of the Criminal Code
of 1961 or the Criminal Code of 2012 shall be entitled to
receive property, a benefit, or an interest in any capacity and
under any circumstances described in this Section if it is
demonstrated by clear and convincing evidence that the victim
of that offense knew of the conviction and subsequent to the
conviction expressed or ratified his or her intent to transfer
the property, benefit, or interest to the person convicted of a
violation of Section 12-19, 12-21, 16-1.3, or 17-56, or
subsection (a) or (b) of Section 12-4.4a, of the Criminal Code
of 1961 or the Criminal Code of 2012 in any manner contemplated
by this Section.
    The holder of any property subject to the provisions of
this Section is not liable for distributing or releasing the
property to the person convicted of violating Section 12-19,
12-21, 16-1.3, or 17-56, or subsection (a) or (b) of Section
12-4.4a, of the Criminal Code of 1961 or the Criminal Code of
2012.
    If the holder is a financial institution, trust company,
trustee, or similar entity or person, the holder shall not be
liable for any distribution or release of the property,
benefit, or other interest to the person convicted of a
violation of Section 12-19, 12-21, 16-1.3, or 17-56, or
subsection (a) or (b) of Section 12-4.4a, of the Criminal Code
of 1961 or the Criminal Code of 2012 unless the holder
knowingly distributes or releases the property, benefit, or
other interest to the person so convicted after first having
received actual written notice of the conviction in sufficient
time to act upon the notice.
    The Department of State Police shall have access to State
of Illinois databases containing information that may help in
the identification or location of persons convicted of the
offenses enumerated in this Section. Interagency agreements
shall be implemented, consistent with security and procedures
established by the State agency and consistent with the laws
governing the confidentiality of the information in the
databases. Information shall be used only for administration of
this Section.
(Source: P.A. 96-1551, Article 1, Section 955, eff. 7-1-11;
96-1551, Article 10, Section 10-155, eff. 7-1-11; 97-1109, eff.
1-1-13.)
 
    (755 ILCS 5/25-1)  (from Ch. 110 1/2, par. 25-1)
    Sec. 25-1. Payment or delivery of small estate of decedent
upon affidavit.
    (a) When any person or corporation (1) indebted to or
holding personal estate of a decedent, (2) controlling the
right of access to decedent's safe deposit box or (3) acting as
registrar or transfer agent of any evidence of interest,
indebtedness, property or right is furnished with a small
estate affidavit in substantially the form hereinafter set
forth, that person or corporation shall pay the indebtedness,
grant access to the safe deposit box, deliver the personal
estate or transfer or issue the evidence of interest,
indebtedness, property or right to persons and in the manner
specified in paragraph 11 of the affidavit or to an agent
appointed as hereinafter set forth.
    (b)        Small Estate Affidavit
    I,        (name of affiant)    , on oath state:
    1.  (a) My post office address is:                      ;
        (b) My residence address is:                    ; and
        (c) I understand that, if I am an out-of-state
resident, I submit myself to the jurisdiction of Illinois
courts for all matters related to the preparation and use of
this affidavit. My agent for service of process in Illinois is:
NAME..........................
ADDRESS.......................
CITY..........................
TELEPHONE (IF ANY)............
I understand that if no person is named above as my agent for
service or, if for any reason, service on the named person
cannot be effectuated, the clerk of the circuit court of
......(County) (Judicial Circuit) Illinois is recognized by
Illinois law as my agent for service of process.
    2. The decedent's name is            ;
    3. The date of the decedent's death was            , and I
have attached a copy of the death certificate hereto.
    4. The decedent's place of residence immediately before his
death was            ;
    5. No letters of office are now outstanding on the
decedent's estate and no petition for letters is contemplated
or pending in Illinois or in any other jurisdiction, to my
knowledge;
    6. The gross value of the decedent's entire personal
estate, including the value of all property passing to any
party either by intestacy or under a will, does not exceed
$100,000. (Here, list each asset, e.g., cash, stock, and its
fair market value.);
    7. (a) All of the decedent's funeral expenses have been
paid, or (b) The amount of the decedent's unpaid funeral
expenses and the name and post office address of each person
entitled thereto are as follows:
Name and post office addressAmount
(Strike either 7(a) or 7(b)).
    8. There is no known unpaid claimant or contested claim
against the decedent, except as stated in paragraph 7.
    9.  (a) The names and places of residence of any surviving
spouse, minor children and adult dependent* children of the
decedent are as follows:
Name andPlace ofAge of
RelationshipResidenceminor child
*(Note: An adult dependent child is one who is unable to
maintain himself and is likely to become a public charge.)
    (b) The award allowable to the surviving spouse of a
decedent who was an Illinois resident is $.......... ($20,000,
plus $10,000 multiplied by the number of minor children and
adult dependent children who resided with the surviving spouse
at the time of the decedent's death. If any such child did not
reside with the surviving spouse at the time of the decedent's
death, so indicate).
    (c) If there is no surviving spouse, the award allowable to
the minor children and adult dependent children of a decedent
who was an Illinois resident is $.......... ($20,000, plus
$10,000 multiplied by the number of minor children and adult
dependent children), to be divided among them in equal shares.
    10. (a) The decedent left no will. The names, places of
residence and relationships of the decedent's heirs, and the
portion of the estate to which each heir is entitled under the
law where decedent died intestate are as follows:
Name, relationshipAge ofPortion of
and place of residenceminorEstate
OR
    (b) The decedent left a will, which has been filed with the
clerk of an appropriate court. A certified copy of the will on
file is attached. To the best of my knowledge and belief the
will on file is the decedent's last will and was signed by the
decedent and the attesting witnesses as required by law and
would be admittable to probate. The names and places of
residence of the legatees and the portion of the estate, if
any, to which each legatee is entitled are as follows:
Name, relationshipAge ofPortion of
and place of residenceminorEstate
    (Strike either 10(a) or 10(b)).
    (c) Affiant is unaware of any dispute or potential conflict
as to the heirship or will of the decedent.
    11. The property described in paragraph 6 of this affidavit
should be distributed as follows:
    Name        Specific sum or property to be distributed
 
 
The foregoing statement is made under the penalties of
perjury*.
.........................
Signature of Affiant
     
*(Note: A fraudulent statement made under the penalties of
perjury is perjury, as defined in Section 32-2 of the Criminal
Code of 2012 1961.)
    (c) Appointment of Agent. If safe deposit access is
involved or if sale of any personal property is desirable to
facilitate distribution pursuant to the small estate
affidavit, all persons named in paragraph 11 of the small
estate affidavit (excluding minors and unascertained or
disabled persons) may in writing appoint one or more persons as
their agent for that purpose. The agent shall have power,
without court approval, to gain access to, sell, and distribute
the property for the benefit of all persons named in paragraph
11 of the affidavit; and the payment, delivery, transfer,
access or issuance shall be made or granted to or on the order
of the agent.
    (d) Release. Upon payment, delivery, transfer, access or
issuance pursuant to a properly executed affidavit, the person
or corporation is released to the same extent as if the
payment, delivery, transfer, access or issuance had been made
or granted to the representative of the estate. Such person or
corporation is not required to see to the application or
disposition of the property; but each person to whom a payment,
delivery, transfer, access or issuance is made or given is
answerable therefor to any person having a prior right and is
accountable to any representative of the estate.
    (e) The affiant signing the small estate affidavit prepared
pursuant to subsection (b) of this Section shall indemnify and
hold harmless all creditors and heirs of the decedent and other
persons relying upon the affidavit who incur loss because of
such reliance. That indemnification shall only be up to the
amount lost because of the act or omission of the affiant. Any
person recovering under this subsection (e) shall be entitled
to reasonable attorney's fees and the expenses of recovery.
    (f) The affiant of a small estate affidavit who is a
non-resident of Illinois submits himself or herself to the
jurisdiction of Illinois courts for all matters related to the
preparation or use of the affidavit. The affidavit shall
provide the name, address, and phone number of a person whom
the affiant names as his agent for service of process. If no
such person is named or if, for any reason, service on the
named person cannot be effectuated, the clerk of the circuit
court of the county or judicial circuit of which the decedent
was a resident at the time of his death shall be the agent for
service of process.
    (g) Any action properly taken under this Section, as
amended by Public Act 93-877, on or after August 6, 2004 (the
effective date of Public Act 93-877) is valid regardless of the
date of death of the decedent.
    (h) The changes made by this amendatory Act of the 96th
General Assembly apply to a decedent whose date of death is on
or after the effective date of this amendatory Act of the 96th
General Assembly.
(Source: P.A. 96-968, eff. 7-2-10.)
 
    Section 790. The Illinois Power of Attorney Act is amended
by changing Sections 2-8, 2-10.3, and 2-10.5 as follows:
 
    (755 ILCS 45/2-8)  (from Ch. 110 1/2, par. 802-8)
    Sec. 2-8. Reliance on document purporting to establish an
agency.
    (a) Any person who acts in good faith reliance on a copy of
a document purporting to establish an agency will be fully
protected and released to the same extent as though the reliant
had dealt directly with the named principal as a
fully-competent person. The named agent shall furnish an
affidavit or Agent's Certification and Acceptance of Authority
to the reliant on demand stating that the instrument relied on
is a true copy of the agency and that, to the best of the named
agent's knowledge, the named principal is alive and the
relevant powers of the named agent have not been altered or
terminated; but good faith reliance on a document purporting to
establish an agency will protect the reliant without the
affidavit or Agent's Certification and Acceptance of
Authority.
    (b) Upon request, the named agent in a power of attorney
shall furnish an Agent's Certification and Acceptance of
Authority to the reliant in substantially the following form:
 
AGENT'S CERTIFICATION AND ACCEPTANCE OF AUTHORITY

 
    I, .......... (insert name of agent), certify that the
attached is a true copy of a power of attorney naming the
undersigned as agent or successor agent for .............
(insert name of principal).
    I certify that to the best of my knowledge the principal
had the capacity to execute the power of attorney, is alive,
and has not revoked the power of attorney; that my powers as
agent have not been altered or terminated; and that the power
of attorney remains in full force and effect.
    I accept appointment as agent under this power of attorney.
    This certification and acceptance is made under penalty of
perjury.*
    Dated: ............
.......................
(Agent's Signature)
.......................
(Print Agent's Name)
.......................
(Agent's Address)
    *(NOTE: Perjury is defined in Section 32-2 of the Criminal
Code of 2012 1961, and is a Class 3 felony.)
 
    (c) Any person dealing with an agent named in a copy of a
document purporting to establish an agency may presume, in the
absence of actual knowledge to the contrary, that the document
purporting to establish the agency was validly executed, that
the agency was validly established, that the named principal
was competent at the time of execution, and that, at the time
of reliance, the named principal is alive, the agency was
validly established and has not terminated or been amended, the
relevant powers of the named agent were properly and validly
granted and have not terminated or been amended, and the acts
of the named agent conform to the standards of this Act. No
person relying on a copy of a document purporting to establish
an agency shall be required to see to the application of any
property delivered to or controlled by the named agent or to
question the authority of the named agent.
    (d) Each person to whom a direction by the named agent in
accordance with the terms of the copy of the document
purporting to establish an agency is communicated shall comply
with that direction, and any person who fails to comply
arbitrarily or without reasonable cause shall be subject to
civil liability for any damages resulting from noncompliance. A
health care provider who complies with Section 4-7 shall not be
deemed to have acted arbitrarily or without reasonable cause.
(Source: P.A. 96-1195, eff. 7-1-11.)
 
    (755 ILCS 45/2-10.3)
    Sec. 2-10.3. Successor agents.
    (a) A principal may designate one or more successor agents
to act if an initial or predecessor agent resigns, dies,
becomes incapacitated, is not qualified to serve, or declines
to serve. A principal may grant authority to another person,
designated by name, by office, or by function, including an
initial or successor agent, to designate one or more successor
agents. Unless a power of attorney otherwise provides, a
successor agent has the same authority as that granted to an
initial agent.
    (b) An agent is not liable for the actions of another
agent, including a predecessor agent, unless the agent
participates in or conceals a breach of fiduciary duty
committed by the other agent. An agent who has knowledge of a
breach or imminent breach of fiduciary duty by another agent
must notify the principal and, if the principal is
incapacitated, take whatever actions may be reasonably
appropriate in the circumstances to safeguard the principal's
best interest.
    (c) Any person who acts in good faith reliance on the
representation of a successor agent regarding the
unavailability of a predecessor agent will be fully protected
and released to the same extent as though the reliant had dealt
directly with the predecessor agent. Upon request, the
successor agent shall furnish an affidavit or Successor Agent's
Certification and Acceptance of Authority to the reliant, but
good faith reliance on a document purporting to establish an
agency will protect the reliant without the affidavit or
Successor Agent's Certification and Acceptance of Authority. A
Successor Agent's Certification and Acceptance of Authority
shall be in substantially the following form:
 
SUCCESSOR AGENT'S
CERTIFICATION AND ACCEPTANCE OF AUTHORITY

 
    I certify that the attached is a true copy of a power of
attorney naming the undersigned as agent or successor agent for
.......... (insert name of principal).
    I certify that to the best of my knowledge the principal
had the capacity to execute the power of attorney, is alive,
and has not revoked the power of attorney; that my powers as
agent have not been altered or terminated; and that the power
of attorney remains in full force and effect.
    I certify that to the best of my knowledge ..........
(insert name of unavailable agent) is unavailable due to
................. (specify death, resignation, absence,
illness, or other temporary incapacity).
    I accept appointment as agent under this power of attorney.
    This certification and acceptance is made under penalty of
perjury.*
    Dated: ............
.......................
(Agent's Signature)
.......................
(Print Agent's Name)
.......................
(Agent's Address)
    *(NOTE: Perjury is defined in Section 32-2 of the Criminal
Code of 2012 1961, and is a Class 3 felony.)
(Source: P.A. 96-1195, eff. 7-1-11.)
 
    (755 ILCS 45/2-10.5)
    Sec. 2-10.5. Co-agents.
    (a) Co-agents may not be named by a principal in a
statutory short form power of attorney for property under
Article III or a statutory short form power of attorney for
health care under Article IV. In the event that co-agents are
named in any other form of power of attorney, then the
provisions of this Section shall govern the use and acceptance
of co-agency designations.
    (b) Unless the power of attorney or this Section otherwise
provides, authority granted to 2 or more co-agents is
exercisable only by their majority consent. However, if prompt
action is required to accomplish the purposes of the power of
attorney or to avoid irreparable injury to the principal's
interests and an agent is unavailable because of absence,
illness, or other temporary incapacity, the other agent or
agents may act for the principal. If a vacancy occurs in one or
more of the designations of agent under a power of attorney,
the remaining agent or agents may act for the principal.
    (c) An agent is not liable for the actions of another
agent, including a co-agent or predecessor agent, unless the
agent participates in or conceals a breach of fiduciary duty
committed by the other agent. An agent who has knowledge of a
breach or imminent breach of fiduciary duty by another agent
must notify the principal and, if the principal is
incapacitated, take whatever actions may be reasonably
appropriate in the circumstances to safeguard the principal's
best interest.
    (d) Any person who acts in good faith reliance on the
representation of a co-agent regarding the unavailability of a
predecessor agent or one or more co-agents, or the need for
prompt action to accomplish the purposes of the power of
attorney or to avoid irreparable injury to the principal's
interests, will be fully protected and released to the same
extent as though the reliant had dealt directly with all named
agents. Upon request, the co-agent shall furnish an affidavit
or Co-Agent's Certification and Acceptance of Authority to the
reliant, but good faith reliance on a document purporting to
establish an agency will protect the reliant without the
affidavit or Co-Agent's Certification and Acceptance of
Authority. A Co-Agent's Certification and Acceptance of
Authority shall be in substantially the following form:
 
CO-AGENT'S
CERTIFICATION AND ACCEPTANCE OF AUTHORITY

 
    I certify that the attached is a true copy of a power of
attorney naming the undersigned as agent or co-agent for
.......... (insert name of principal).
    I certify that to the best of my knowledge the principal
had the capacity to execute the power of attorney, is alive,
and has not revoked the power of attorney; that my powers as
agent have not been altered or terminated; and that the power
of attorney remains in full force and effect.
    I certify that to the best of my knowledge ..........
(insert name of unavailable agent) is unavailable due to
................. (specify death, resignation, absence,
illness, or other temporary incapacity).
    I certify that prompt action is required to accomplish the
purposes of the power of attorney or to avoid irreparable
injury to the principal's interests.
    I accept appointment as agent under this power of attorney.
    This certification and acceptance is made under penalty of
perjury.*
    Dated: ............
.......................
(Agent's Signature)
.......................
(Print Agent's Name)
.......................
(Agent's Address)
    *(NOTE: Perjury is defined in Section 32-2 of the Criminal
Code of 2012 1961, and is a Class 3 felony.)
(Source: P.A. 96-1195, eff. 7-1-11.)
 
    Section 795. The Charitable Trust Act is amended by
changing Section 16.5 as follows:
 
    (760 ILCS 55/16.5)
    Sec. 16.5. Terrorist acts.
    (a) Any person or organization subject to registration
under this Act, who knowingly acts to further, directly or
indirectly, or knowingly uses charitable assets to conduct or
further, directly or indirectly, an act or actions as set forth
in Article 29D of the Criminal Code of 2012 1961, is thereby
engaged in an act or actions contrary to public policy and
antithetical to charity, and all of the funds, assets, and
records of the person or organization shall be subject to
temporary and permanent injunction from use or expenditure and
the appointment of a temporary and permanent receiver to take
possession of all of the assets and related records.
    (b) An ex parte action may be commenced by the Attorney
General, and, upon a showing of probable cause of a violation
of this Section or Article 29D of the Criminal Code of 2012
1961, an immediate seizure of books and records by the Attorney
General by and through his or her assistants or investigators
or the Department of State Police and freezing of all assets
shall be made by order of a court to protect the public,
protect the assets, and allow a full review of the records.
    (c) Upon a finding by a court after a hearing that a person
or organization has acted or is in violation of this Section,
the person or organization shall be permanently enjoined from
soliciting funds from the public, holding charitable funds, or
acting as a trustee or fiduciary within Illinois. Upon a
finding of violation all assets and funds held by the person or
organization shall be forfeited to the People of the State of
Illinois or otherwise ordered by the court to be accounted for
and marshaled and then delivered to charitable causes and uses
within the State of Illinois by court order.
    (d) A determination under this Section may be made by any
court separate and apart from any criminal proceedings and the
standard of proof shall be that for civil proceedings.
    (e) Any knowing use of charitable assets to conduct or
further, directly or indirectly, an act or actions set forth in
Article 29D of the Criminal Code of 2012 1961 shall be a misuse
of charitable assets and breach of fiduciary duty relative to
all other Sections of this Act.
(Source: P.A. 92-854, eff. 12-5-02.)
 
    Section 800. The Land Trust Beneficial Interest Disclosure
Act is amended by changing Section 3 as follows:
 
    (765 ILCS 405/3)  (from Ch. 148, par. 73)
    Sec. 3. False verification - Perjury. Whoever, in swearing
to, or affirming, an application or statement as required under
this Act, makes a false statement as to the identification of
beneficiaries of a land trust, or which is material to an issue
or point in question in such application or statement, or who,
having taken a lawful oath or made affirmation, shall testify
willfully and falsely as to any of such matters for the purpose
of inducing the approval of any such benefit, authorization,
license or permit, or who shall suborn any other person to so
swear, affirm or testify, is guilty of perjury or subornation
of perjury, as the case may be, and upon conviction thereof,
shall be sentenced as provided in Sections 32-2 or 32-3,
respectively, of the Criminal Code of 2012 1961, as amended,
for such offenses.
(Source: P.A. 85-747.)
 
    Section 805. The Landlord and Tenant Act is amended by
changing Section 10 as follows:
 
    (765 ILCS 705/10)
    Sec. 10. Failure to inform lessor who is a child sex
offender and who resides in the same building in which the
lessee resides or intends to reside that the lessee is a parent
or guardian of a child under 18 years of age. If a lessor of
residential real estate resides at such real estate and is a
child sex offender as defined in Section 11-9.3 or 11-9.4 of
the Criminal Code of 1961 or the Criminal Code of 2012 and
rents such real estate to a person who does not inform the
lessor that the person is a parent or guardian of a child or
children under 18 years of age and subsequent to such lease,
the lessee discovers that the landlord is a child sex offender,
then the lessee may not terminate the lease based upon such
discovery that the lessor is a child sex offender and such
lease shall be in full force and effect. This subsection shall
apply only to leases or other rental arrangements entered into
after the effective date of this amendatory Act of the 95th
General Assembly.
(Source: P.A. 95-820, eff. 1-1-09; 96-1551, eff. 7-1-11.)
 
    Section 810. The Safe Homes Act is amended by changing
Section 10 as follows:
 
    (765 ILCS 750/10)
    Sec. 10. Definitions. For purposes of this Act:
    "Domestic violence" means "abuse" as defined in Section 103
of the Illinois Domestic Violence Act of 1986 by a "family or
household member" as defined in Section 103 of the Illinois
Domestic Violence Act of 1986.
    "Landlord" means the owner of a building or the owner's
agent with regard to matters concerning landlord's leasing of a
dwelling.
    "Sexual violence" means any act of sexual assault, sexual
abuse, or stalking of an adult or minor child, including but
not limited to non-consensual sexual conduct or non-consensual
sexual penetration as defined in the Civil No Contact Order Act
and the offenses of stalking, aggravated stalking, criminal
sexual assault, aggravated criminal sexual assault, predatory
criminal sexual assault of a child, criminal sexual abuse, and
aggravated criminal sexual abuse as those offenses are
described in the Criminal Code of 2012 1961.
    "Tenant" means a person who has entered into an oral or
written lease with a landlord whereby the person is the lessee
under the lease.
(Source: P.A. 94-1038, eff. 1-1-07.)
 
    Section 815. The Cemetery Protection Act is amended by
changing Section 16 as follows:
 
    (765 ILCS 835/16)
    Sec. 16. When a multiple interment right owner becomes
deceased, the ownership of any unused rights of interment shall
pass in accordance with the specific bequest in the decedent's
will. If there is no will or specific bequest then the
ownership and use of the unused rights of interment shall be
determined by a cemetery authority in accordance with the
information set out on a standard affidavit for cemetery
interment rights use form if such a form has been prepared. The
unused right of interment shall be used for the interment of
the first deceased heir listed on the standard affidavit and
continue in sequence until all listed heirs are deceased. In
the event that an interment right is not used, the interment
right shall pass to the heirs of the heirs of the deceased
interment right owner in perpetuity. Except as otherwise
provided in this Section, this shall not preclude the ability
of the heirs to sell said interment rights, in the event that
all listed living heirs are in agreement, and it shall not
preclude the ability of a 2/3 majority of the living heirs to
sell a specific interment right to the spouse of a living or
deceased heir. If the standard affidavit for cemetery interment
rights use, showing heirship of decedent interment right
owner's living heirs is provided to and followed by a cemetery
authority, the cemetery authority shall be released of any
liability in relying on that affidavit.
    The following is the form of the standard affidavit:
 
STATE OF ILLINOIS             )
                              ) SS
COUNTY OF ....................)
 
AFFIDAVIT FOR CEMETERY INTERMENT RIGHTS USE
I, .............., being first duly sworn on oath depose and
say that:
    1.  A. My place of residence is ........................
        B. My post office address is .......................
        C. I understand that I am providing the information
    contained in this affidavit to the ............
    ("Cemetery") and the Cemetery shall, in the absence of
    directions to the contrary in my will, rely on this
    information to allow the listed individuals to be interred
    in any unused interment rights in the order of their death.
        D. I understand that, if I am an out-of-state resident,
    I submit myself to the jurisdiction of Illinois courts for
    all matters related to the preparation and use of this
    affidavit. My agent for service of process in Illinois is:
        Name ................. Address .....................
        City ................. Telephone ...................
 
    Items 2 through 6 must be completed by the executor of the
decedent's estate, a personal representative, owner's
surviving spouse, or surviving heir.
    2. The decedent's name is ..............................
    3. The date of decedent's death was ....................
    4. The decedent's place of residence immediately before his
or her death was ........................................
    5. My relationship to the decedent is ..................
and I am authorized to sign and file this affidavit.
    6. At the time of death, the decedent (had no) (had a)
surviving spouse. The name of the surviving spouse, if any, is
....................., and he or she (has) (has not) remarried.
    7. The following is a list of the cemetery interment rights
that may be used by the heirs if the owner is deceased:
.............................................................
.............................................................
    8. The following persons have an ownership interest in and
the right to use the cemetery interment rights in the order of
their death:
.......................... Address ..........................
.......................... Address ..........................
.......................... Address ..........................
.......................... Address ..........................
.......................... Address ..........................
.......................... Address ..........................
.......................... Address ..........................
    9. This affidavit is made for the purpose of obtaining the
consent of the undersigned to transfer the right of interment
at the above mentioned cemetery property to the listed heirs.
Affiants agree that they will save, hold harmless, and
indemnify Cemetery, its heirs, successors, employees, and
assigns, from all claims, loss, or damage whatsoever that may
result from relying on this affidavit to record said transfer
in its records and allow interments on the basis of the
information contained in this affidavit.
 
    WHEREFORE affiant requests Cemetery to recognize the above
named heirs-at-law as those rightfully entitled to the
ownership of and use of said interment (spaces) (space).
 
THE FOREGOING STATEMENT IS MADE UNDER THE PENALTIES OF PERJURY.
(A FRAUDULENT STATEMENT MADE UNDER THE PENALTIES OF PERJURY IS
PERJURY AS DEFINED IN THE CRIMINAL CODE OF 2012 1961.)
    Dated this ........ day of .............., .....
 
    ................... (Seal) (To be signed by the owner or
    the individual who completes items 2 through 6 above.)
Subscribed and sworn to before me, a Notary Public in and for
the County and State of .............. aforesaid this ........
day of ..............., .....
 
............................ Notary Public.
(Source: P.A. 93-772, eff. 1-1-05; 94-520, eff. 8-10-05.)
 
    Section 820. The Counterfeit Trademark Act is amended by
changing Section 9 as follows:
 
    (765 ILCS 1040/9)
    Sec. 9. Seizure and disposition.
    (a) A peace officer shall, upon probable cause, seize any
counterfeit items, counterfeit marks, or any component of that
merchandise knowingly possessed in violation of this Act.
    (b) A peace officer shall seize any vehicle, aircraft,
vessel, machinery or other instrumentality which the officer
reasonably believed was knowingly used to commit or facilitate
a violation of this Act.
    (c) A peace officer shall, upon probable cause, seize any
proceeds resulting from a violation of this Act.
    (d) Seized counterfeit goods shall be destroyed upon the
written consent of the defendant or by judicial determination
that the seized goods are counterfeit items or otherwise bear
the trademark, trade name or service mark without the
authorization of the owner, unless another disposition of the
goods is consented to by the owner of the trademark, trade name
or service mark.
    The seizure and forfeiture of vehicles, aircraft, vessels,
machinery, or other instrumentalities provided for by this
Section shall be carried out in the same manner and pursuant to
the same procedures as provided in Article 36 of the Criminal
Code of 2012 1961 with respect to vessels, vehicles, and
aircraft.
(Source: P.A. 96-631, eff. 1-1-10.)
 
    Section 825. The Illinois Human Rights Act is amended by
changing Section 4-101 as follows:
 
    (775 ILCS 5/4-101)  (from Ch. 68, par. 4-101)
    Sec. 4-101. Definitions. The following definitions are
applicable strictly in the context of this Article:
    (A) Credit Card. "Credit card" has the meaning set forth in
Section 17-0.5 of the Criminal Code of 2012 1961.
    (B) Financial Institution. "Financial institution" means
any bank, credit union, insurance company, mortgage banking
company or savings and loan association which operates or has a
place of business in this State.
    (C) Loan. "Loan" includes, but is not limited to, the
providing of funds, for consideration, which are sought for:
(1) the purpose of purchasing, constructing, improving,
repairing, or maintaining a housing accommodation as that term
is defined in paragraph (C) of Section 3-101; or (2) any
commercial or industrial purposes.
    (D) Varying Terms. "Varying the terms of a loan" includes,
but is not limited to, the following practices:
        (1) Requiring a greater down payment than is usual for
    the particular type of a loan involved.
        (2) Requiring a shorter period of amortization than is
    usual for the particular type of loan involved.
        (3) Charging a higher interest rate than is usual for
    the particular type of loan involved.
        (4) An under appraisal of real estate or other item of
    property offered as security.
(Source: P.A. 95-331, eff. 8-21-07; 96-1551, eff. 7-1-11.)
 
    Section 830. The Business Corporation Act of 1983 is
amended by changing Section 8.70 as follows:
 
    (805 ILCS 5/8.70)  (from Ch. 32, par. 8.70)
    Sec. 8.70. Kickbacks, bribes, etc. -Liability of officers
or directors. Any Corporate director or officer who commits
commercial bribery or commercial bribe receiving as defined in
Article 29A 29 of the "Criminal Code of 2012 1961", shall be
liable to the corporation which he or she serves as officer or
director for treble damages, based on the aggregate amount
given or received plus attorneys' fees. A conviction in a
criminal proceeding for a commercial bribery or commercial
bribe receiving shall be deemed prima facie evidence of the
convicted director's or officer's liability under this
Section.
(Source: P.A. 83-1025.)
 
    Section 835. The Assumed Business Name Act is amended by
changing Section 4 as follows:
 
    (805 ILCS 405/4)  (from Ch. 96, par. 7)
    Sec. 4. This Act shall in no way affect or apply to any
corporation, limited liability company, limited partnership,
or limited liability partnership duly organized under the laws
of this State, or any corporation, limited liability company,
limited partnership, or limited liability partnership
organized under the laws of any other State and lawfully doing
business in this State, nor shall this Act be deemed or
construed to prevent the lawful use of a partnership name or
designation, provided that such partnership shall include the
true, real name of such person or persons transacting said
business or partnership nor shall it be construed as in any way
affecting subdivision (a)(8) or subsection (c) of Section 17-2
of the Criminal Code of 2012 1961. This Act shall in no way
affect or apply to testamentary or other express trusts where
the business is carried on in the name of the trust and such
trust is created by will or other instrument in writing under
which title to the trust property is vested in a designated
trustee or trustees for the use and benefit of the cestuis que
trustent.
(Source: P.A. 96-328, eff. 8-11-09; 96-1551, eff. 7-1-11.)
 
    Section 840. The Uniform Commercial Code is amended by
changing Section 3-505A as follows:
 
    (810 ILCS 5/3-505A)  (from Ch. 26, par. 3-505A)
    Sec. 3-505A. Provision of credit card number as a condition
of check cashing or acceptance prohibited.
    (1) No person may record the number of a credit card given
as identification or given as proof of creditworthiness when
payment for goods or services is made by check or draft other
than a transaction in which the check or draft is issued in
payment of the credit card designated by the credit card
number.
    (2) This Section shall not prohibit a person from
requesting a purchaser to display a credit card as indication
of creditworthiness and financial responsibility or as
additional identification, but the only information concerning
a credit card which may be recorded is the type of credit card
so displayed and the issuer of the credit card. This Section
shall not require acceptance of a check or draft whether or not
a credit card is presented.
    (3) This Section shall not prohibit a person from
requesting or receiving a credit card number or expiration date
and recording the number or date, or both, in lieu of a deposit
to secure payment in the event of default, loss, damage, or
other occurrence.
    (4) This Section shall not prohibit a person from recording
a credit card number and expiration date as a condition for
cashing or accepting a check or draft if that person, firm,
partnership or association has agreed with the card issuer to
cash or accept checks and share drafts from the issuer's
cardholders and the issuer guarantees cardholder checks and
drafts cashed or accepted by that person.
    (5) Recording a credit card number in connection with a
sale of goods or services in which the purchaser pays by check
or draft, or in connection with the acceptance of a check or
draft, is a business offense with a fine not to exceed $500.
    As used in this Section, credit card has the meaning as
defined in Section 17-0.5 of the Criminal Code of 2012 1961.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 845. The Illinois Securities Law of 1953 is amended
by changing Section 7a as follows:
 
    (815 ILCS 5/7a)  (from Ch. 121 1/2, par. 137.7a)
    Sec. 7a. (a) Except as provided in subsection (b) of this
Section, no securities, issued by an issuer engaged in or
deriving revenues from the conduct of any business or
profession, the conduct of which would violate Section 11-14,
11-14.3, 11-14.4 as described in subdivision (a)(1), (a)(2), or
(a)(3) or that involves soliciting for a juvenile prostitute,
11-15, 11-15.1, 11-16, 11-17, 11-19 or 11-19.1 of the Criminal
Code of 1961 or the Criminal Code of 2012, as now or hereafter
amended, if conducted in this State, shall be sold or
registered pursuant to Section 5, 6 or 7 of this Act nor sold
pursuant to the provisions of Section 3 or 4 of this Act.
    (b) Notwithstanding the provisions of subsection (a)
hereof, such securities issued prior to the effective date of
this amendatory Act of 1989 may be sold by a resident of this
State in transactions which qualify for an exemption from the
registration requirements of this Act pursuant to subsection A
of Section 4 of this Act.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 850. The Credit Card Issuance Act is amended by
changing Section 1 as follows:
 
    (815 ILCS 140/1)  (from Ch. 17, par. 6001)
    Sec. 1. As used in this Act:
    (a) "Credit card" has the meaning set forth in Section
17-0.5 of the Criminal Code of 2012 1961, but does not include
"debit card" as defined in that Section, which can also be used
to obtain money, goods, services and anything else of value on
credit, nor shall it include any negotiable instrument as
defined in the Uniform Commercial Code, as now or hereafter
amended;
    (b) "Merchant credit card agreement" means a written
agreement between a seller of goods, services or both, and the
issuer of a credit card to any other party, pursuant to which
the seller is obligated to accept credit cards; and
    (c) "Credit card transaction" means a purchase and sale of
goods, services or both, in which a seller, pursuant to a
merchant credit card agreement, is obligated to accept a credit
card and does accept the credit card in connection with such
purchase and sale.
(Source: P.A. 96-1551, eff. 7-1-11.)
 
    Section 855. The Credit Card Liability Act is amended by
changing Section 1 as follows:
 
    (815 ILCS 145/1)  (from Ch. 17, par. 6101)
    Sec. 1. (a) No person in whose name a credit card is issued
without his having requested or applied for the card or for the
extension of the credit or establishment of a charge account
which that card evidences is liable to the issuer of the card
for any purchases made or other amounts owing by a use of that
card from which he or a member of his family or household
derive no benefit unless he has indicated his acceptance of the
card by signing or using the card or by permitting or
authorizing use of the card by another. A mere failure to
destroy or return an unsolicited card is not such an
indication. As used in this Act, "credit card" has the meaning
ascribed to it in Section 17-0.5 of the Criminal Code of 2012
1961, except that it does not include a card issued by any
telephone company that is subject to supervision or regulation
by the Illinois Commerce Commission or other public authority.
    (b) When an action is brought by an issuer against the
person named on the card, the burden of proving the request,
application, authorization, permission, use or benefit as set
forth in Section 1 hereof shall be upon plaintiff if put in
issue by defendant. In the event of judgment for defendant, the
court shall allow defendant a reasonable attorney's fee, to be
taxed as costs.
(Source: P.A. 95-331, eff. 8-21-07; 96-1551, eff. 7-1-11.)
 
    Section 860. The Interest Act is amended by changing
Section 4.1 as follows:
 
    (815 ILCS 205/4.1)  (from Ch. 17, par. 6405)
    Sec. 4.1. The term "revolving credit" means an arrangement,
including by means of a credit card as defined in Section
17-0.5 of the Criminal Code of 2012 1961 between a lender and
debtor pursuant to which it is contemplated or provided that
the lender may from time to time make loans or advances to or
for the account of the debtor through the means of drafts,
items, orders for the payment of money, evidences of debt or
similar written instruments, whether or not negotiable, signed
by the debtor or by any person authorized or permitted so to do
on behalf of the debtor, which loans or advances are charged to
an account in respect of which account the lender is to render
bills or statements to the debtor at regular intervals
(hereinafter sometimes referred to as the "billing cycle") the
amount of which bills or statements is payable by and due from
the debtor on a specified date stated in such bill or statement
or at the debtor's option, may be payable by the debtor in
installments. A revolving credit arrangement which grants the
debtor a line of credit in excess of $5,000 may include
provisions granting the lender a security interest in real
property or in a beneficial interest in a land trust to secure
amounts of credit extended by the lender. Credit extended or
available under a revolving credit plan operated in accordance
with the Illinois Financial Services Development Act shall be
deemed to be "revolving credit" as defined in this Section 4.1
but shall not be subject to Sections 4.1a, 4.2 or 4.3 hereof.
    Whenever a lender is granted a security interest in real
property or in a beneficial interest in a land trust, the
lender shall disclose the existence of such interest to the
borrower in compliance with the Federal Truth in Lending Act,
amendments thereto, and any regulations issued or which may be
issued thereunder, and shall agree to pay all expenses,
including recording fees and otherwise, to release any such
security interest of record whenever it no longer secures any
credit under a revolving credit arrangement. A lender shall not
be granted a security interest in any real property or in any
beneficial interest in a land trust under a revolving credit
arrangement, or if any such security interest exists, such
interest shall be released, if a borrower renders payment of
the total outstanding balance due under the revolving credit
arrangement and requests in writing to reduce the line of
credit below that amount for which a security interest in real
property or in a beneficial interest in a land trust may be
required by a lender. Any request by a borrower to release a
security interest under a revolving credit arrangement shall be
granted by the lender provided the borrower renders payment of
the total outstanding balance as required by this Section
before the security interest of record may be released.
(Source: P.A. 95-331, eff. 8-21-07; 96-1551, eff. 7-1-11.)
 
    Section 870. The Consumer Fraud and Deceptive Business
Practices Act is amended by changing Sections 2MM, 2NN, and 2VV
as follows:
 
    (815 ILCS 505/2MM)
    Sec. 2MM. Verification of accuracy of consumer reporting
information used to extend consumers credit and security freeze
on credit reports.
    (a) A credit card issuer who mails an offer or solicitation
to apply for a credit card and who receives a completed
application in response to the offer or solicitation which
lists an address that is not substantially the same as the
address on the offer or solicitation may not issue a credit
card based on that application until reasonable steps have been
taken to verify the applicant's change of address.
    (b) Any person who uses a consumer credit report in
connection with the approval of credit based on the application
for an extension of credit, and who has received notification
of a police report filed with a consumer reporting agency that
the applicant has been a victim of financial identity theft, as
defined in Section 16-30 or 16G-15 of the Criminal Code of 1961
or the Criminal Code of 2012, may not lend money or extend
credit without taking reasonable steps to verify the consumer's
identity and confirm that the application for an extension of
credit is not the result of financial identity theft.
    (c) A consumer may request that a security freeze be placed
on his or her credit report by sending a request in writing by
certified mail to a consumer reporting agency at an address
designated by the consumer reporting agency to receive such
requests. This subsection (c) does not prevent a consumer
reporting agency from advising a third party that a security
freeze is in effect with respect to the consumer's credit
report.
    (d) A consumer reporting agency shall place a security
freeze on a consumer's credit report no later than 5 business
days after receiving a written request from the consumer:
        (1) a written request described in subsection (c);
        (2) proper identification; and
        (3) payment of a fee, if applicable.
    (e) Upon placing the security freeze on the consumer's
credit report, the consumer reporting agency shall send to the
consumer within 10 business days a written confirmation of the
placement of the security freeze and a unique personal
identification number or password or similar device, other than
the consumer's Social Security number, to be used by the
consumer when providing authorization for the release of his or
her credit report for a specific party or period of time.
    (f) If the consumer wishes to allow his or her credit
report to be accessed for a specific party or period of time
while a freeze is in place, he or she shall contact the
consumer reporting agency using a point of contact designated
by the consumer reporting agency, request that the freeze be
temporarily lifted, and provide the following:
        (1) Proper identification;
        (2) The unique personal identification number or
    password or similar device provided by the consumer
    reporting agency;
        (3) The proper information regarding the third party or
    time period for which the report shall be available to
    users of the credit report; and
        (4) A fee, if applicable.
    (g) A consumer reporting agency shall develop a contact
method to receive and process a request from a consumer to
temporarily lift a freeze on a credit report pursuant to
subsection (f) in an expedited manner.
    A contact method under this subsection shall include: (i) a
postal address; and (ii) an electronic contact method chosen by
the consumer reporting agency, which may include the use of
telephone, fax, Internet, or other electronic means.
    (h) A consumer reporting agency that receives a request
from a consumer to temporarily lift a freeze on a credit report
pursuant to subsection (f), shall comply with the request no
later than 3 business days after receiving the request.
    (i) A consumer reporting agency shall remove or temporarily
lift a freeze placed on a consumer's credit report only in the
following cases:
        (1) upon consumer request, pursuant to subsection (f)
    or subsection (l) of this Section; or
        (2) if the consumer's credit report was frozen due to a
    material misrepresentation of fact by the consumer.
    If a consumer reporting agency intends to remove a freeze
upon a consumer's credit report pursuant to this subsection,
the consumer reporting agency shall notify the consumer in
writing prior to removing the freeze on the consumer's credit
report.
    (j) If a third party requests access to a credit report on
which a security freeze is in effect, and this request is in
connection with an application for credit or any other use, and
the consumer does not allow his or her credit report to be
accessed for that specific party or period of time, the third
party may treat the application as incomplete.
    (k) If a consumer requests a security freeze, the credit
reporting agency shall disclose to the consumer the process of
placing and temporarily lifting a security freeze, and the
process for allowing access to information from the consumer's
credit report for a specific party or period of time while the
freeze is in place.
    (l) A security freeze shall remain in place until the
consumer requests, using a point of contact designated by the
consumer reporting agency, that the security freeze be removed.
A credit reporting agency shall remove a security freeze within
3 business days of receiving a request for removal from the
consumer, who provides:
        (1) Proper identification;
        (2) The unique personal identification number or
    password or similar device provided by the consumer
    reporting agency; and
        (3) A fee, if applicable.
    (m) A consumer reporting agency shall require proper
identification of the person making a request to place or
remove a security freeze.
    (n) The provisions of subsections (c) through (m) of this
Section do not apply to the use of a consumer credit report by
any of the following:
        (1) A person or entity, or a subsidiary, affiliate, or
    agent of that person or entity, or an assignee of a
    financial obligation owing by the consumer to that person
    or entity, or a prospective assignee of a financial
    obligation owing by the consumer to that person or entity
    in conjunction with the proposed purchase of the financial
    obligation, with which the consumer has or had prior to
    assignment an account or contract, including a demand
    deposit account, or to whom the consumer issued a
    negotiable instrument, for the purposes of reviewing the
    account or collecting the financial obligation owing for
    the account, contract, or negotiable instrument. For
    purposes of this subsection, "reviewing the account"
    includes activities related to account maintenance,
    monitoring, credit line increases, and account upgrades
    and enhancements.
        (2) A subsidiary, affiliate, agent, assignee, or
    prospective assignee of a person to whom access has been
    granted under subsection (f) of this Section for purposes
    of facilitating the extension of credit or other
    permissible use.
        (3) Any state or local agency, law enforcement agency,
    trial court, or private collection agency acting pursuant
    to a court order, warrant, or subpoena.
        (4) A child support agency acting pursuant to Title
    IV-D of the Social Security Act.
        (5) The State or its agents or assigns acting to
    investigate fraud.
        (6) The Department of Revenue or its agents or assigns
    acting to investigate or collect delinquent taxes or unpaid
    court orders or to fulfill any of its other statutory
    responsibilities.
        (7) The use of credit information for the purposes of
    prescreening as provided for by the federal Fair Credit
    Reporting Act.
        (8) Any person or entity administering a credit file
    monitoring subscription or similar service to which the
    consumer has subscribed.
        (9) Any person or entity for the purpose of providing a
    consumer with a copy of his or her credit report or score
    upon the consumer's request.
        (10) Any person using the information in connection
    with the underwriting of insurance.
    (n-5) This Section does not prevent a consumer reporting
agency from charging a fee of no more than $10 to a consumer
for each freeze, removal, or temporary lift of the freeze,
regarding access to a consumer credit report, except that a
consumer reporting agency may not charge a fee to (i) a
consumer 65 years of age or over for placement and removal of a
freeze, or (ii) a victim of identity theft who has submitted to
the consumer reporting agency a valid copy of a police report,
investigative report, or complaint that the consumer has filed
with a law enforcement agency about unlawful use of his or her
personal information by another person.
    (o) If a security freeze is in place, a consumer reporting
agency shall not change any of the following official
information in a credit report without sending a written
confirmation of the change to the consumer within 30 days of
the change being posted to the consumer's file: (i) name, (ii)
date of birth, (iii) Social Security number, and (iv) address.
Written confirmation is not required for technical
modifications of a consumer's official information, including
name and street abbreviations, complete spellings, or
transposition of numbers or letters. In the case of an address
change, the written confirmation shall be sent to both the new
address and to the former address.
    (p) The following entities are not required to place a
security freeze in a consumer report, however, pursuant to
paragraph (3) of this subsection, a consumer reporting agency
acting as a reseller shall honor any security freeze placed on
a consumer credit report by another consumer reporting agency:
        (1) A check services or fraud prevention services
    company, which issues reports on incidents of fraud or
    authorizations for the purpose of approving or processing
    negotiable instruments, electronic funds transfers, or
    similar methods of payment.
        (2) A deposit account information service company,
    which issues reports regarding account closures due to
    fraud, substantial overdrafts, ATM abuse, or similar
    negative information regarding a consumer to inquiring
    banks or other financial institutions for use only in
    reviewing a consumer request for a deposit account at the
    inquiring bank or financial institution.
        (3) A consumer reporting agency that:
            (A) acts only to resell credit information by
        assembling and merging information contained in a
        database of one or more consumer reporting agencies;
        and
            (B) does not maintain a permanent database of
        credit information from which new credit reports are
        produced.
    (q) For purposes of this Section:
    "Credit report" has the same meaning as "consumer report",
as ascribed to it in 15 U.S.C. Sec. 1681a(d).
    "Consumer reporting agency" has the meaning ascribed to it
in 15 U.S.C. Sec. 1681a(f).
    "Security freeze" means a notice placed in a consumer's
credit report, at the request of the consumer and subject to
certain exceptions, that prohibits the consumer reporting
agency from releasing the consumer's credit report or score
relating to an extension of credit, without the express
authorization of the consumer.
     "Extension of credit" does not include an increase in an
existing open-end credit plan, as defined in Regulation Z of
the Federal Reserve System (12 C.F.R. 226.2), or any change to
or review of an existing credit account.
    "Proper identification" means information generally deemed
sufficient to identify a person. Only if the consumer is unable
to reasonably identify himself or herself with the information
described above, may a consumer reporting agency require
additional information concerning the consumer's employment
and personal or family history in order to verify his or her
identity.
    (r) Any person who violates this Section commits an
unlawful practice within the meaning of this Act.
(Source: P.A. 97-597, eff. 1-1-12.)
 
    (815 ILCS 505/2NN)
    Sec. 2NN. Receipts; credit card and debit card account
numbers.
    (a) Definitions. As used in this Section:
    "Cardholder" has the meaning ascribed to it in Section
17-0.5 of the Criminal Code of 2012 1961.
    "Credit card" has the meaning ascribed to it in Section
17-0.5 of the Criminal Code of 2012 1961.
    "Debit card" has the meaning ascribed to it in Section
17-0.5 of the Criminal Code of 2012 1961.
    "Issuer" has the meaning ascribed to it in Section 17-0.5
of the Criminal Code of 2012 1961.
    "Person" has the meaning ascribed to it in Section 17-0.5
of the Criminal Code of 2012 1961.
    "Provider" means a person who furnishes money, goods,
services, or anything else of value upon presentation, whether
physically, in writing, verbally, electronically, or
otherwise, of a credit card or debit card by the cardholder, or
any agent or employee of that person.
    (b) Except as otherwise provided in this Section, no
provider may print or otherwise produce or reproduce or permit
the printing or other production or reproduction of the
following: (i) any part of the credit card or debit card
account number, other than the last 4 digits or other
characters, (ii) the credit card or debit card expiration date
on any receipt provided or made available to the cardholder.
    (c) This Section does not apply to a credit card or debit
card transaction in which the sole means available to the
provider of recording the credit card or debit card account
number is by handwriting or by imprint of the card.
    (d) This Section does not apply to receipts issued for
transactions on the electronic benefits transfer card system in
accordance with 7 CFR 274.12(g)(3).
    (e) A violation of this Section constitutes an unlawful
practice within the meaning of this Act.
    (f) This Section is operative on January 1, 2005.
(Source: P.A. 95-331, eff. 8-21-07; 96-1551, eff. 7-1-11.)
 
    (815 ILCS 505/2VV)
    Sec. 2VV. Credit and public utility service; identity
theft. It is an unlawful practice for a person to deny credit
or public utility service to or reduce the credit limit of a
consumer solely because the consumer has been a victim of
identity theft as defined in Section 16-30 or 16G-15 of the
Criminal Code of 1961 or the Criminal Code of 2012, if the
consumer:
        (1) has provided a copy of an identity theft report as
    defined under the federal Fair Credit Reporting Act and
    implementing regulations evidencing the consumer's claim
    of identity theft;
        (2) has provided a properly completed copy of a
    standardized affidavit of identity theft developed and
    made available by the Federal Trade Commission pursuant to
    15 U.S.C. 1681g or an affidavit of fact that is acceptable
    to the person for that purpose;
        (3) has obtained placement of an extended fraud alert
    in his or her file maintained by a nationwide consumer
    reporting agency, in accordance with the requirements of
    the federal Fair Credit Reporting Act; and
        (4) is able to establish his or her identity and
    address to the satisfaction of the person providing credit
    or utility services.
(Source: P.A. 97-597, eff. 1-1-12.)
 
    Section 875. The Home Repair Fraud Act is amended by
changing Section 5 as follows:
 
    (815 ILCS 515/5)  (from Ch. 121 1/2, par. 1605)
    Sec. 5. Aggravated Home Repair Fraud. A person commits the
offense of aggravated home repair fraud when he commits home
repair fraud:
        (i) against an elderly person or a person with a
    disability as defined in Section 17-56 of the Criminal Code
    of 2012 1961; or
        (ii) in connection with a home repair project intended
    to assist a disabled person.
    (a) Aggravated violation of paragraphs (1) or (2) of
subsection (a) of Section 3 of this Act shall be a Class 2
felony when the amount of the contract or agreement is more
than $500, a Class 3 felony when the amount of the contract or
agreement is $500 or less, and a Class 2 felony for a second or
subsequent offense when the amount of the contract or agreement
is $500 or less. If 2 or more contracts or agreements for home
repair exceed an aggregate amount of $500 or more and such
contracts or agreements are entered into with the same victim
by one or more of the defendants as part of or in furtherance
of a common fraudulent scheme, design or intention, the
violation shall be a Class 2 felony.
    (b) Aggravated violation of paragraph (3) of subsection (a)
of Section 3 of this Act shall be a Class 2 felony when the
amount of the contract or agreement is more than $5,000 and a
Class 3 felony when the amount of the contract or agreement is
$5,000 or less.
    (c) Aggravated violation of paragraph (4) of subsection (a)
of Section 3 of this Act shall be a Class 3 felony when the
amount of the contract or agreement is more than $500, a Class
4 felony when the amount of the contract or agreement is $500
or less and a Class 3 felony for a second or subsequent offense
when the amount of the contract or agreement is $500 or less.
    (d) Aggravated violation of paragraphs (1) or (2) of
subsection (b) of Section 3 of this Act shall be a Class 3
felony.
    (e) If a person commits aggravated home repair fraud, then
any State or local license or permit held by that person that
relates to the business of home repair may be appropriately
suspended or revoked by the issuing authority, commensurate
with the severity of the offense.
    (f) A defense to aggravated home repair fraud does not
exist merely because the accused reasonably believed the victim
to be a person less than 60 years of age.
(Source: P.A. 96-1026, eff. 7-12-10; 96-1551, eff. 7-1-11.)
 
    Section 880. The Music Licensing Fees Act is amended by
changing Section 40 as follows:
 
    (815 ILCS 637/40)
    Sec. 40. Exceptions. This Act shall not apply to contracts
between copyright owners or performing rights societies and
broadcasters licensed by the Federal Communications
Commission, or to contracts with cable operators, programmers,
or other transmission services. Nor shall this Act apply to
musical works performed in synchronization with an
audio/visual film or tape, or to the gathering of information
for determination of compliance with or activities related to
the enforcement of Sections 16-7 and 16-8 of the Criminal Code
of 1961 or the Criminal Code of 2012.
(Source: P.A. 89-114, eff. 1-1-96.)
 
    Section 885. The Victims' Economic Security and Safety Act
is amended by changing Section 10 as follows:
 
    (820 ILCS 180/10)
    Sec. 10. Definitions. In this Act, except as otherwise
expressly provided:
        (1) "Commerce" includes trade, traffic, commerce,
    transportation, or communication; and "industry or
    activity affecting commerce" means any activity, business,
    or industry in commerce or in which a labor dispute would
    hinder or obstruct commerce or the free flow of commerce,
    and includes "commerce" and any "industry affecting
    commerce".
        (2) "Course of conduct" means a course of repeatedly
    maintaining a visual or physical proximity to a person or
    conveying oral or written threats, including threats
    conveyed through electronic communications, or threats
    implied by conduct.
        (3) "Department" means the Department of Labor.
        (4) "Director" means the Director of Labor.
        (5) "Domestic or sexual violence" means domestic
    violence, sexual assault, or stalking.
        (6) "Domestic violence" means abuse, as defined in
    Section 103 of the Illinois Domestic Violence Act of 1986,
    by a family or household member, as defined in Section 103
    of the Illinois Domestic Violence Act of 1986.
        (7) "Electronic communications" includes
    communications via telephone, mobile phone, computer,
    e-mail, video recorder, fax machine, telex, or pager, or
    any other electronic communication, as defined in Section
    12-7.5 of the Criminal Code of 2012 1961.
        (8) "Employ" includes to suffer or permit to work.
        (9) Employee.
            (A) In general. "Employee" means any person
        employed by an employer.
            (B) Basis. "Employee" includes a person employed
        as described in subparagraph (A) on a full or part-time
        basis, or as a participant in a work assignment as a
        condition of receipt of federal or State income-based
        public assistance.
        (10) "Employer" means any of the following: (A) the
    State or any agency of the State; (B) any unit of local
    government or school district; or (C) any person that
    employs at least 15 employees.
        (11) "Employment benefits" means all benefits provided
    or made available to employees by an employer, including
    group life insurance, health insurance, disability
    insurance, sick leave, annual leave, educational benefits,
    pensions, and profit-sharing, regardless of whether such
    benefits are provided by a practice or written policy of an
    employer or through an "employee benefit plan". "Employee
    benefit plan" or "plan" means an employee welfare benefit
    plan or an employee pension benefit plan or a plan which is
    both an employee welfare benefit plan and an employee
    pension benefit plan.
        (12) "Family or household member", for employees with a
    family or household member who is a victim of domestic or
    sexual violence, means a spouse, parent, son, daughter,
    other person related by blood or by present or prior
    marriage, other person who shares a relationship through a
    son or daughter, and persons jointly residing in the same
    household.
        (13) "Parent" means the biological parent of an
    employee or an individual who stood in loco parentis to an
    employee when the employee was a son or daughter. "Son or
    daughter" means a biological, adopted, or foster child, a
    stepchild, a legal ward, or a child of a person standing in
    loco parentis, who is under 18 years of age, or is 18 years
    of age or older and incapable of self-care because of a
    mental or physical disability.
        (14) "Perpetrator" means an individual who commits or
    is alleged to have committed any act or threat of domestic
    or sexual violence.
        (15) "Person" means an individual, partnership,
    association, corporation, business trust, legal
    representative, or any organized group of persons.
        (16) "Public agency" means the Government of the State
    or political subdivision thereof; any agency of the State,
    or of a political subdivision of the State; or any
    governmental agency.
        (17) "Public assistance" includes cash, food stamps,
    medical assistance, housing assistance, and other benefits
    provided on the basis of income by a public agency or
    public employer.
        (18) "Reduced work schedule" means a work schedule that
    reduces the usual number of hours per workweek, or hours
    per workday, of an employee.
        (19) "Repeatedly" means on 2 or more occasions.
        (20) "Sexual assault" means any conduct proscribed by
    the Criminal Code of 1961 or the Criminal Code of 2012 in
    Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60,
    12-13, 12-14, 12-14.1, 12-15, and 12-16.
        (21) "Stalking" means any conduct proscribed by the
    Criminal Code of 1961 or the Criminal Code of 2012 in
    Sections 12-7.3, 12-7.4, and 12-7.5.
        (22) "Victim" or "survivor" means an individual who has
    been subjected to domestic or sexual violence.
        (23) "Victim services organization" means a nonprofit,
    nongovernmental organization that provides assistance to
    victims of domestic or sexual violence or to advocates for
    such victims, including a rape crisis center, an
    organization carrying out a domestic violence program, an
    organization operating a shelter or providing counseling
    services, or a legal services organization or other
    organization providing assistance through the legal
    process.
(Source: P.A. 96-635, eff. 8-24-09; 96-1551, eff. 7-1-11.)
 
    Section 890. The Workers' Compensation Act is amended by
changing Section 25.5 as follows:
 
    (820 ILCS 305/25.5)
    Sec. 25.5. Unlawful acts; penalties.
    (a) It is unlawful for any person, company, corporation,
insurance carrier, healthcare provider, or other entity to:
        (1) Intentionally present or cause to be presented any
    false or fraudulent claim for the payment of any workers'
    compensation benefit.
        (2) Intentionally make or cause to be made any false or
    fraudulent material statement or material representation
    for the purpose of obtaining or denying any workers'
    compensation benefit.
        (3) Intentionally make or cause to be made any false or
    fraudulent statements with regard to entitlement to
    workers' compensation benefits with the intent to prevent
    an injured worker from making a legitimate claim for any
    workers' compensation benefits.
        (4) Intentionally prepare or provide an invalid,
    false, or counterfeit certificate of insurance as proof of
    workers' compensation insurance.
        (5) Intentionally make or cause to be made any false or
    fraudulent material statement or material representation
    for the purpose of obtaining workers' compensation
    insurance at less than the proper rate for that insurance.
        (6) Intentionally make or cause to be made any false or
    fraudulent material statement or material representation
    on an initial or renewal self-insurance application or
    accompanying financial statement for the purpose of
    obtaining self-insurance status or reducing the amount of
    security that may be required to be furnished pursuant to
    Section 4 of this Act.
        (7) Intentionally make or cause to be made any false or
    fraudulent material statement to the Department of
    Insurance's fraud and insurance non-compliance unit in the
    course of an investigation of fraud or insurance
    non-compliance.
        (8) Intentionally assist, abet, solicit, or conspire
    with any person, company, or other entity to commit any of
    the acts in paragraph (1), (2), (3), (4), (5), (6), or (7)
    of this subsection (a).
        (9) Intentionally present a bill or statement for the
    payment for medical services that were not provided.
    For the purposes of paragraphs (2), (3), (5), (6), (7), and
(9), the term "statement" includes any writing, notice, proof
of injury, bill for services, hospital or doctor records and
reports, or X-ray and test results.
    (b) Sentences for violations of subsection (a) are as
follows:
        (1) A violation in which the value of the property
    obtained or attempted to be obtained is $300 or less is a
    Class A misdemeanor.
        (2) A violation in which the value of the property
    obtained or attempted to be obtained is more than $300 but
    not more than $10,000 is a Class 3 felony.
        (3) A violation in which the value of the property
    obtained or attempted to be obtained is more than $10,000
    but not more than $100,000 is a Class 2 felony.
        (4) A violation in which the value of the property
    obtained or attempted to be obtained is more than $100,000
    is a Class 1 felony.
        (5) A person convicted under this Section shall be
    ordered to pay monetary restitution to the insurance
    company or self-insured entity or any other person for any
    financial loss sustained as a result of a violation of this
    Section, including any court costs and attorney fees. An
    order of restitution also includes expenses incurred and
    paid by the State of Illinois or an insurance company or
    self-insured entity in connection with any medical
    evaluation or treatment services.
    For the purposes of this Section, where the exact value of
property obtained or attempted to be obtained is either not
alleged or is not specifically set by the terms of a policy of
insurance, the value of the property shall be the fair market
replacement value of the property claimed to be lost, the
reasonable costs of reimbursing a vendor or other claimant for
services to be rendered, or both. Notwithstanding the
foregoing, an insurance company, self-insured entity, or any
other person suffering financial loss sustained as a result of
violation of this Section may seek restitution, including court
costs and attorney's fees in a civil action in a court of
competent jurisdiction.
    (c) The Department of Insurance shall establish a fraud and
insurance non-compliance unit responsible for investigating
incidences of fraud and insurance non-compliance pursuant to
this Section. The size of the staff of the unit shall be
subject to appropriation by the General Assembly. It shall be
the duty of the fraud and insurance non-compliance unit to
determine the identity of insurance carriers, employers,
employees, or other persons or entities who have violated the
fraud and insurance non-compliance provisions of this Section.
The fraud and insurance non-compliance unit shall report
violations of the fraud and insurance non-compliance
provisions of this Section to the Special Prosecutions Bureau
of the Criminal Division of the Office of the Attorney General
or to the State's Attorney of the county in which the offense
allegedly occurred, either of whom has the authority to
prosecute violations under this Section.
    With respect to the subject of any investigation being
conducted, the fraud and insurance non-compliance unit shall
have the general power of subpoena of the Department of
Insurance, including the authority to issue a subpoena to a
medical provider, pursuant to Section 8-802 of the Code of
Civil Procedure.
    (d) Any person may report allegations of insurance
non-compliance and fraud pursuant to this Section to the
Department of Insurance's fraud and insurance non-compliance
unit whose duty it shall be to investigate the report. The unit
shall notify the Commission of reports of insurance
non-compliance. Any person reporting an allegation of
insurance non-compliance or fraud against either an employee or
employer under this Section must identify himself. Except as
provided in this subsection and in subsection (e), all reports
shall remain confidential except to refer an investigation to
the Attorney General or State's Attorney for prosecution or if
the fraud and insurance non-compliance unit's investigation
reveals that the conduct reported may be in violation of other
laws or regulations of the State of Illinois, the unit may
report such conduct to the appropriate governmental agency
charged with administering such laws and regulations. Any
person who intentionally makes a false report under this
Section to the fraud and insurance non-compliance unit is
guilty of a Class A misdemeanor.
    (e) In order for the fraud and insurance non-compliance
unit to investigate a report of fraud related to an employee's
claim, (i) the employee must have filed with the Commission an
Application for Adjustment of Claim and the employee must have
either received or attempted to receive benefits under this Act
that are related to the reported fraud or (ii) the employee
must have made a written demand for the payment of benefits
that are related to the reported fraud. There shall be no
immunity, under this Act or otherwise, for any person who files
a false report or who files a report without good and just
cause. Confidentiality of medical information shall be
strictly maintained. Investigations that are not referred for
prosecution shall be destroyed upon the expiration of the
statute of limitations for the acts under investigation and
shall not be disclosed except that the person making the report
shall be notified that the investigation is being closed. It is
unlawful for any employer, insurance carrier, service
adjustment company, third party administrator, self-insured,
or similar entity to file or threaten to file a report of fraud
against an employee because of the exercise by the employee of
the rights and remedies granted to the employee by this Act.
    (e-5) The fraud and insurance non-compliance unit shall
procure and implement a system utilizing advanced analytics
inclusive of predictive modeling, data mining, social network
analysis, and scoring algorithms for the detection and
prevention of fraud, waste, and abuse on or before January 1,
2012. The fraud and insurance non-compliance unit shall procure
this system using a request for proposals process governed by
the Illinois Procurement Code and rules adopted under that
Code. The fraud and insurance non-compliance unit shall provide
a report to the President of the Senate, Speaker of the House
of Representatives, Minority Leader of the House of
Representatives, Minority Leader of the Senate, Governor,
Chairman of the Commission, and Director of Insurance on or
before July 1, 2012 and annually thereafter detailing its
activities and providing recommendations regarding
opportunities for additional fraud waste and abuse detection
and prevention.
    (f) Any person convicted of fraud related to workers'
compensation pursuant to this Section shall be subject to the
penalties prescribed in the Criminal Code of 2012 1961 and
shall be ineligible to receive or retain any compensation,
disability, or medical benefits as defined in this Act if the
compensation, disability, or medical benefits were owed or
received as a result of fraud for which the recipient of the
compensation, disability, or medical benefit was convicted.
This subsection applies to accidental injuries or diseases that
occur on or after the effective date of this amendatory Act of
the 94th General Assembly.
    (g) Civil liability. Any person convicted of fraud who
knowingly obtains, attempts to obtain, or causes to be obtained
any benefits under this Act by the making of a false claim or
who knowingly misrepresents any material fact shall be civilly
liable to the payor of benefits or the insurer or the payor's
or insurer's subrogee or assignee in an amount equal to 3 times
the value of the benefits or insurance coverage wrongfully
obtained or twice the value of the benefits or insurance
coverage attempted to be obtained, plus reasonable attorney's
fees and expenses incurred by the payor or the payor's subrogee
or assignee who successfully brings a claim under this
subsection. This subsection applies to accidental injuries or
diseases that occur on or after the effective date of this
amendatory Act of the 94th General Assembly.
    (h) The fraud and insurance non-compliance unit shall
submit a written report on an annual basis to the Chairman of
the Commission, the Workers' Compensation Advisory Board, the
General Assembly, the Governor, and the Attorney General by
January 1 and July 1 of each year. This report shall include,
at the minimum, the following information:
        (1) The number of allegations of insurance
    non-compliance and fraud reported to the fraud and
    insurance non-compliance unit.
        (2) The source of the reported allegations
    (individual, employer, or other).
        (3) The number of allegations investigated by the fraud
    and insurance non-compliance unit.
        (4) The number of criminal referrals made in accordance
    with this Section and the entity to which the referral was
    made.
        (5) All proceedings under this Section.
(Source: P.A. 97-18, eff. 6-28-11.)
 
    Section 895. The Unemployment Insurance Act is amended by
changing Section 1900 as follows:
 
    (820 ILCS 405/1900)  (from Ch. 48, par. 640)
    Sec. 1900. Disclosure of information.
    A. Except as provided in this Section, information obtained
from any individual or employing unit during the administration
of this Act shall:
        1. be confidential,
        2. not be published or open to public inspection,
        3. not be used in any court in any pending action or
    proceeding,
        4. not be admissible in evidence in any action or
    proceeding other than one arising out of this Act.
    B. No finding, determination, decision, ruling or order
(including any finding of fact, statement or conclusion made
therein) issued pursuant to this Act shall be admissible or
used in evidence in any action other than one arising out of
this Act, nor shall it be binding or conclusive except as
provided in this Act, nor shall it constitute res judicata,
regardless of whether the actions were between the same or
related parties or involved the same facts.
    C. Any officer or employee of this State, any officer or
employee of any entity authorized to obtain information
pursuant to this Section, and any agent of this State or of
such entity who, except with authority of the Director under
this Section, shall disclose information shall be guilty of a
Class B misdemeanor and shall be disqualified from holding any
appointment or employment by the State.
    D. An individual or his duly authorized agent may be
supplied with information from records only to the extent
necessary for the proper presentation of his claim for benefits
or with his existing or prospective rights to benefits.
Discretion to disclose this information belongs solely to the
Director and is not subject to a release or waiver by the
individual. Notwithstanding any other provision to the
contrary, an individual or his or her duly authorized agent may
be supplied with a statement of the amount of benefits paid to
the individual during the 18 months preceding the date of his
or her request.
    E. An employing unit may be furnished with information,
only if deemed by the Director as necessary to enable it to
fully discharge its obligations or safeguard its rights under
the Act. Discretion to disclose this information belongs solely
to the Director and is not subject to a release or waiver by
the employing unit.
    F. The Director may furnish any information that he may
deem proper to any public officer or public agency of this or
any other State or of the federal government dealing with:
        1. the administration of relief,
        2. public assistance,
        3. unemployment compensation,
        4. a system of public employment offices,
        5. wages and hours of employment, or
        6. a public works program.
    The Director may make available to the Illinois Workers'
Compensation Commission information regarding employers for
the purpose of verifying the insurance coverage required under
the Workers' Compensation Act and Workers' Occupational
Diseases Act.
    G. The Director may disclose information submitted by the
State or any of its political subdivisions, municipal
corporations, instrumentalities, or school or community
college districts, except for information which specifically
identifies an individual claimant.
    H. The Director shall disclose only that information
required to be disclosed under Section 303 of the Social
Security Act, as amended, including:
        1. any information required to be given the United
    States Department of Labor under Section 303(a)(6); and
        2. the making available upon request to any agency of
    the United States charged with the administration of public
    works or assistance through public employment, the name,
    address, ordinary occupation and employment status of each
    recipient of unemployment compensation, and a statement of
    such recipient's right to further compensation under such
    law as required by Section 303(a)(7); and
        3. records to make available to the Railroad Retirement
    Board as required by Section 303(c)(1); and
        4. information that will assure reasonable cooperation
    with every agency of the United States charged with the
    administration of any unemployment compensation law as
    required by Section 303(c)(2); and
        5. information upon request and on a reimbursable basis
    to the United States Department of Agriculture and to any
    State food stamp agency concerning any information
    required to be furnished by Section 303(d); and
        6. any wage information upon request and on a
    reimbursable basis to any State or local child support
    enforcement agency required by Section 303(e); and
        7. any information required under the income
    eligibility and verification system as required by Section
    303(f); and
        8. information that might be useful in locating an
    absent parent or that parent's employer, establishing
    paternity or establishing, modifying, or enforcing child
    support orders for the purpose of a child support
    enforcement program under Title IV of the Social Security
    Act upon the request of and on a reimbursable basis to the
    public agency administering the Federal Parent Locator
    Service as required by Section 303(h); and
        9. information, upon request, to representatives of
    any federal, State or local governmental public housing
    agency with respect to individuals who have signed the
    appropriate consent form approved by the Secretary of
    Housing and Urban Development and who are applying for or
    participating in any housing assistance program
    administered by the United States Department of Housing and
    Urban Development as required by Section 303(i).
    I. The Director, upon the request of a public agency of
Illinois, of the federal government or of any other state
charged with the investigation or enforcement of Section 10-5
of the Criminal Code of 2012 1961 (or a similar federal law or
similar law of another State), may furnish the public agency
information regarding the individual specified in the request
as to:
        1. the current or most recent home address of the
    individual, and
        2. the names and addresses of the individual's
    employers.
    J. Nothing in this Section shall be deemed to interfere
with the disclosure of certain records as provided for in
Section 1706 or with the right to make available to the
Internal Revenue Service of the United States Department of the
Treasury, or the Department of Revenue of the State of
Illinois, information obtained under this Act.
    K. The Department shall make available to the Illinois
Student Assistance Commission, upon request, information in
the possession of the Department that may be necessary or
useful to the Commission in the collection of defaulted or
delinquent student loans which the Commission administers.
    L. The Department shall make available to the State
Employees' Retirement System, the State Universities
Retirement System, the Teachers' Retirement System of the State
of Illinois, and the Department of Central Management Services,
Risk Management Division, upon request, information in the
possession of the Department that may be necessary or useful to
the System or the Risk Management Division for the purpose of
determining whether any recipient of a disability benefit from
the System or a workers' compensation benefit from the Risk
Management Division is gainfully employed.
    M. This Section shall be applicable to the information
obtained in the administration of the State employment service,
except that the Director may publish or release general labor
market information and may furnish information that he may deem
proper to an individual, public officer or public agency of
this or any other State or the federal government (in addition
to those public officers or public agencies specified in this
Section) as he prescribes by Rule.
    N. The Director may require such safeguards as he deems
proper to insure that information disclosed pursuant to this
Section is used only for the purposes set forth in this
Section.
    O. Nothing in this Section prohibits communication with an
individual or entity through unencrypted e-mail or other
unencrypted electronic means as long as the communication does
not contain the individual's or entity's name in combination
with any one or more of the individual's or entity's social
security number; driver's license or State identification
number; account number or credit or debit card number; or any
required security code, access code, or password that would
permit access to further information pertaining to the
individual or entity.
    P. Within 30 days after the effective date of this
amendatory Act of 1993 and annually thereafter, the Department
shall provide to the Department of Financial Institutions a
list of individuals or entities that, for the most recently
completed calendar year, report to the Department as paying
wages to workers. The lists shall be deemed confidential and
may not be disclosed to any other person.
    Q. The Director shall make available to an elected federal
official the name and address of an individual or entity that
is located within the jurisdiction from which the official was
elected and that, for the most recently completed calendar
year, has reported to the Department as paying wages to
workers, where the information will be used in connection with
the official duties of the official and the official requests
the information in writing, specifying the purposes for which
it will be used. For purposes of this subsection, the use of
information in connection with the official duties of an
official does not include use of the information in connection
with the solicitation of contributions or expenditures, in
money or in kind, to or on behalf of a candidate for public or
political office or a political party or with respect to a
public question, as defined in Section 1-3 of the Election
Code, or in connection with any commercial solicitation. Any
elected federal official who, in submitting a request for
information covered by this subsection, knowingly makes a false
statement or fails to disclose a material fact, with the intent
to obtain the information for a purpose not authorized by this
subsection, shall be guilty of a Class B misdemeanor.
    R. The Director may provide to any State or local child
support agency, upon request and on a reimbursable basis,
information that might be useful in locating an absent parent
or that parent's employer, establishing paternity, or
establishing, modifying, or enforcing child support orders.
    S. The Department shall make available to a State's
Attorney of this State or a State's Attorney's investigator,
upon request, the current address or, if the current address is
unavailable, current employer information, if available, of a
victim of a felony or a witness to a felony or a person against
whom an arrest warrant is outstanding.
    T. The Director shall make available to the Department of
State Police, a county sheriff's office, or a municipal police
department, upon request, any information concerning the
current address and place of employment or former places of
employment of a person who is required to register as a sex
offender under the Sex Offender Registration Act that may be
useful in enforcing the registration provisions of that Act.
    U. The Director shall make information available to the
Department of Healthcare and Family Services and the Department
of Human Services for the purpose of determining eligibility
for public benefit programs authorized under the Illinois
Public Aid Code and related statutes administered by those
departments, for verifying sources and amounts of income, and
for other purposes directly connected with the administration
of those programs.
(Source: P.A. 96-420, eff. 8-13-09; 97-621, eff. 11-18-11;
97-689, eff. 6-14-12.)
 
    Section 990. No acceleration or delay. Where this Act makes
changes in a statute that is represented in this Act by text
that is not yet or no longer in effect (for example, a Section
represented by multiple versions), the use of that text does
not accelerate or delay the taking effect of (i) the changes
made by this Act or (ii) provisions derived from any other
Public Act.
 
    Section 999. Effective date. This Act takes effect January
1, 2013.