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Public Act 098-0463 | ||||
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AN ACT to revise the law by combining multiple enactments | ||||
and making technical corrections.
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Be it enacted by the People of the State of Illinois,
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represented in the General Assembly:
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Section 1. Nature of this Act. | ||||
(a) This Act may be cited as the First 2013 General | ||||
Revisory Act. | ||||
(b) This Act is not intended to make any substantive change | ||||
in the law. It reconciles conflicts that have arisen from | ||||
multiple amendments and enactments and makes technical | ||||
corrections and revisions in the law. | ||||
This Act revises and, where appropriate, renumbers certain | ||||
Sections that have been added or amended by more than one | ||||
Public Act. In certain cases in which a repealed Act or Section | ||||
has been replaced with a successor law, this Act may | ||||
incorporate amendments to the repealed Act or Section into the | ||||
successor law. This Act also corrects errors, revises | ||||
cross-references, and deletes obsolete text. | ||||
(c) In this Act, the reference at the end of each amended | ||||
Section indicates the sources in the Session Laws of Illinois | ||||
that were used in the preparation of the text of that Section. | ||||
The text of the Section included in this Act is intended to | ||||
include the different versions of the Section found in the | ||||
Public Acts included in the list of sources, but may not |
include other versions of the Section to be found in Public | ||
Acts not included in the list of sources. The list of sources | ||
is not a part of the text of the Section. | ||
(d) Public Acts 97-626 through 97-1144 were considered in | ||
the preparation of the combining revisories included in this | ||
Act. Many of those combining revisories contain no striking or | ||
underscoring because no additional changes are being made in | ||
the material that is being combined. | ||
Section 5. The Illinois Constitutional Amendment Act is | ||
amended by changing Sections 1 and 2 as follows:
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(5 ILCS 20/1) (from Ch. 1, par. 101)
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Sec. 1.
Amendments to the Constitution of this State
may be | ||
proposed by joint resolution in either house of the General
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Assembly, and if the same shall be voted for by 3/5 of all the | ||
members
elected to each of the 2 houses in the manner provided | ||
by Section 2 of
Article XIV 14 of the Constitution, the | ||
amendment or amendments proposed
shall be submitted to the | ||
electors of this State for adoption or
rejection in the manner | ||
hereinafter provided.
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(Source: P.A. 77-2790; revised 10-10-12.)
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(5 ILCS 20/2) (from Ch. 1, par. 103)
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Sec. 2.
The General Assembly in submitting an amendment to | ||
the
Constitution to the electors, or the proponents of an |
amendment to Article
IV of the Constitution submitted by | ||
petition, shall prepare a brief explanation of such
amendment, | ||
a brief argument in favor of the same, and the form in which
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such amendment will appear on the separate ballot as provided | ||
by Section
16-6 of the Election Code "An Act concerning | ||
elections", approved May 11, 1943 , as
amended. The minority of | ||
the General Assembly, or if there is no minority,
anyone | ||
designated by the General Assembly shall prepare a brief | ||
argument
against such amendment. In the case of an
amendment to | ||
Article IV of the Constitution initiated pursuant to Section
3 | ||
of Article XIV of the Constitution, the proponents shall be | ||
those persons
so designated at the time of the filing of the | ||
petition as provided in Section
10-8 of the Election Code, and | ||
the opponents shall be those members of the
General Assembly | ||
opposing such amendment, or if there are none, anyone
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designated by the General Assembly and such opponents shall | ||
prepare a brief
argument against such amendment. The | ||
proponent's explanation and
argument in favor of and the | ||
opponents argument against an amendment
to Article IV initiated | ||
by petition must
be submitted to the Attorney General, who may | ||
rewrite them for accuracy
and fairness. The explanation,
the | ||
arguments for and against each constitutional amendment , and | ||
the form in which the
amendment will appear on the separate | ||
ballot , shall be filed in the
office of the Secretary of State | ||
with the proposed amendment. At least one 1
month before the | ||
next election of members of the General Assembly,
following the |
passage of the proposed amendment, the Secretary of State
shall | ||
publish the amendment, in full in 8 point type, or the | ||
equivalent
thereto, in at least one secular newspaper of | ||
general circulation in
every county in this State in which a | ||
newspaper is published. In
counties in which 2 or more | ||
newspapers are published, the Secretary of
State shall cause | ||
such amendment to be published in 2 newspapers. In
counties | ||
having a population of 500,000 or more, such amendment shall be
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published in not less than 6 newspapers of general circulation. | ||
After
the first publication, the publication of such amendment | ||
shall be
repeated once each week for 2 consecutive weeks. In | ||
selecting newspapers
in which to publish such amendment the | ||
Secretary of State shall have
regard solely to the circulation | ||
of such newspapers, selecting secular
newspapers in every case | ||
having the largest circulation. The proposed
amendment shall | ||
have a notice prefixed thereto in said publications,
that at | ||
such election the proposed amendment will be submitted to the
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electors for adoption or rejection, and at the end of the | ||
official
publication, he shall also publish the form in which | ||
the proposed
amendment will appear on the separate ballot. The | ||
Secretary of State
shall fix the publication fees to be paid | ||
newspapers for making such
publication, but in no case shall | ||
such publication fee exceed the amount
charged by such | ||
newspapers to private individuals for a like
publication. In | ||
addition to the notice hereby required to be published,
the | ||
Secretary of State shall also cause the existing form of the
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constitutional provision proposed to be amended, the proposed | ||
amendment,
the explanation of the same, the arguments for and | ||
against the same, and
the form in which such amendment will | ||
appear on the separate ballot, to
be published in pamphlet form | ||
in 8 point type or the equivalent thereto;
and the Secretary of | ||
State shall mail such pamphlet to every mailing
address in the | ||
State, addressed to the attention of the Postal Patron. He
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shall also maintain a reasonable supply of such pamphlets so as | ||
to make
them available to any person requesting one.
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(Source: P.A. 86-795; revised 10-10-12.)
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Section 10. The Regulatory Sunset Act is amended by | ||
changing Section 4.23 as follows:
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(5 ILCS 80/4.23)
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Sec. 4.23. Act Section repealed on January 1,
2013 and | ||
December 31, 2013. (a) The following Section of an Act is
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repealed on January 1, 2013: (b) The following Act is Acts and | ||
Sections are repealed on December 31, 2013: | ||
The Medical Practice Act of 1987. | ||
(Source: P.A. 96-1499, eff. 1-18-11; 97-706, eff. 6-25-12; | ||
97-778, eff. 7-13-12; 97-804, eff. 1-1-13; 97-979, eff. | ||
8-17-12; 97-1048, eff. 8-22-12; 97-1130, eff. 8-28-12; | ||
97-1139, eff. 12-28-12; 97-1140, eff. 12-28-12; 97-1141, eff. | ||
12-28-12.)
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Section 15. The Illinois Administrative Procedure Act is | ||
amended by changing Sections 1-5 and 5-45 as follows:
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(5 ILCS 100/1-5) (from Ch. 127, par. 1001-5)
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Sec. 1-5. Applicability.
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(a) This Act applies to every agency as defined in this | ||
Act.
Beginning January 1, 1978, in case of conflict between the | ||
provisions of
this Act and the Act creating or conferring power | ||
on an agency, this Act
shall control. If, however, an agency | ||
(or its predecessor in the case of
an agency that has been | ||
consolidated or reorganized) has existing procedures
on July 1, | ||
1977, specifically for contested cases or licensing, those | ||
existing
provisions control, except that this exception | ||
respecting contested
cases and licensing does not apply if the | ||
Act creating or conferring
power on the agency adopts by | ||
express reference the provisions of this
Act. Where the Act | ||
creating or conferring power on an agency
establishes | ||
administrative procedures not covered by this Act, those
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procedures shall remain in effect.
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(b) The provisions of this Act do not apply to (i) | ||
preliminary
hearings, investigations, or practices where no | ||
final determinations
affecting State funding are made by the | ||
State Board of Education, (ii) legal
opinions issued under | ||
Section 2-3.7 of the School Code, (iii) as to State
colleges | ||
and universities, their disciplinary and grievance | ||
proceedings,
academic irregularity and capricious grading |
proceedings, and admission
standards and procedures, and (iv) | ||
the class specifications for positions
and individual position | ||
descriptions prepared and maintained under the
Personnel Code. | ||
Those class specifications shall, however, be made
reasonably | ||
available to the public for inspection and copying. The
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provisions of this Act do not apply to hearings under Section | ||
20 of the
Uniform Disposition of Unclaimed Property Act.
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(c) Section 5-35 of this Act relating to procedures for | ||
rulemaking
does not apply to the following:
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(1) Rules adopted by the Pollution Control Board that, | ||
in accordance
with Section 7.2 of the Environmental | ||
Protection Act, are identical in
substance to federal | ||
regulations or amendments to those regulations
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implementing the following: Sections 3001, 3002, 3003, | ||
3004, 3005, and 9003
of the Solid Waste Disposal Act; | ||
Section 105 of the Comprehensive Environmental
Response, | ||
Compensation, and Liability Act of 1980; Sections 307(b), | ||
307(c),
307(d), 402(b)(8), and 402(b)(9) of the Federal | ||
Water Pollution Control
Act; Sections 1412(b), 1414(c), | ||
1417(a), 1421, and 1445(a) of the Safe
Drinking Water Act; | ||
and Section 109 of the Clean Air Act.
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(2) Rules adopted by the Pollution Control Board that | ||
establish or
amend standards for the emission of | ||
hydrocarbons and carbon monoxide from
gasoline powered | ||
motor vehicles subject to inspection under the Vehicle | ||
Emissions Inspection Law of 2005 or its predecessor laws.
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(3) Procedural rules adopted by the Pollution Control | ||
Board governing
requests for exceptions under Section 14.2 | ||
of the Environmental Protection Act.
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(4) The Pollution Control Board's grant, pursuant to an
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adjudicatory determination, of an adjusted standard for | ||
persons who can
justify an adjustment consistent with | ||
subsection (a) of Section 27 of
the Environmental | ||
Protection Act.
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(5) Rules adopted by the Pollution Control Board that | ||
are identical in
substance to the regulations adopted by | ||
the Office of the State Fire
Marshal under clause (ii) of | ||
paragraph (b) of subsection (3) of Section 2
of the | ||
Gasoline Storage Act.
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(d) Pay rates established under Section 8a of the Personnel | ||
Code
shall be amended or repealed pursuant to the process set | ||
forth in Section
5-50 within 30 days after it becomes necessary | ||
to do so due to a conflict
between the rates and the terms of a | ||
collective bargaining agreement
covering the compensation of | ||
an employee subject to that Code.
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(e) Section 10-45 of this Act shall not apply to any | ||
hearing, proceeding,
or investigation conducted under Section | ||
13-515 of the Public Utilities Act.
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(f) Article 10 of this Act does not apply to any hearing, | ||
proceeding, or
investigation conducted by the State Council for | ||
the State of Illinois created
under Section 3-3-11.05 of the | ||
Unified Code of Corrections or by the Interstate
Commission for |
Adult Offender Supervision created under the
Interstate | ||
Compact for Adult Offender Supervision or by the Interstate | ||
Commission for Juveniles created under the Interstate Compact | ||
for Juveniles.
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(g) This Act is subject to the provisions of Article XXI of
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the Public Utilities Act. To the extent that any provision of
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this Act conflicts with the provisions of that Article XXI, the
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provisions of that Article XXI control.
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(Source: P.A. 97-95, eff. 7-12-11; 97-945, eff. 8-10-12; | ||
97-1081, eff. 8-24-12; revised 9-20-12.)
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(5 ILCS 100/5-45) (from Ch. 127, par. 1005-45) | ||
Sec. 5-45. Emergency rulemaking. | ||
(a) "Emergency" means the existence of any situation that | ||
any agency
finds reasonably constitutes a threat to the public | ||
interest, safety, or
welfare. | ||
(b) If any agency finds that an
emergency exists that | ||
requires adoption of a rule upon fewer days than
is required by | ||
Section 5-40 and states in writing its reasons for that
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finding, the agency may adopt an emergency rule without prior | ||
notice or
hearing upon filing a notice of emergency rulemaking | ||
with the Secretary of
State under Section 5-70. The notice | ||
shall include the text of the
emergency rule and shall be | ||
published in the Illinois Register. Consent
orders or other | ||
court orders adopting settlements negotiated by an agency
may | ||
be adopted under this Section. Subject to applicable |
constitutional or
statutory provisions, an emergency rule | ||
becomes effective immediately upon
filing under Section 5-65 or | ||
at a stated date less than 10 days
thereafter. The agency's | ||
finding and a statement of the specific reasons
for the finding | ||
shall be filed with the rule. The agency shall take
reasonable | ||
and appropriate measures to make emergency rules known to the
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persons who may be affected by them. | ||
(c) An emergency rule may be effective for a period of not | ||
longer than
150 days, but the agency's authority to adopt an | ||
identical rule under Section
5-40 is not precluded. No | ||
emergency rule may be adopted more
than once in any 24 month | ||
period, except that this limitation on the number
of emergency | ||
rules that may be adopted in a 24 month period does not apply
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to (i) emergency rules that make additions to and deletions | ||
from the Drug
Manual under Section 5-5.16 of the Illinois | ||
Public Aid Code or the
generic drug formulary under Section | ||
3.14 of the Illinois Food, Drug
and Cosmetic Act, (ii) | ||
emergency rules adopted by the Pollution Control
Board before | ||
July 1, 1997 to implement portions of the Livestock Management
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Facilities Act, (iii) emergency rules adopted by the Illinois | ||
Department of Public Health under subsections (a) through (i) | ||
of Section 2 of the Department of Public Health Act when | ||
necessary to protect the public's health, (iv) emergency rules | ||
adopted pursuant to subsection (n) of this Section, (v) | ||
emergency rules adopted pursuant to subsection (o) of this | ||
Section, or (vi) emergency rules adopted pursuant to subsection |
(c-5) of this Section. Two or more emergency rules having | ||
substantially the same
purpose and effect shall be deemed to be | ||
a single rule for purposes of this
Section. | ||
(c-5) To facilitate the maintenance of the program of group | ||
health benefits provided to annuitants, survivors, and retired | ||
employees under the State Employees Group Insurance Act of | ||
1971, rules to alter the contributions to be paid by the State, | ||
annuitants, survivors, retired employees, or any combination | ||
of those entities, for that program of group health benefits, | ||
shall be adopted as emergency rules. The adoption of those | ||
rules shall be considered an emergency and necessary for the | ||
public interest, safety, and welfare. | ||
(d) In order to provide for the expeditious and timely | ||
implementation
of the State's fiscal year 1999 budget, | ||
emergency rules to implement any
provision of Public Act 90-587 | ||
or 90-588
or any other budget initiative for fiscal year 1999 | ||
may be adopted in
accordance with this Section by the agency | ||
charged with administering that
provision or initiative, | ||
except that the 24-month limitation on the adoption
of | ||
emergency rules and the provisions of Sections 5-115 and 5-125 | ||
do not apply
to rules adopted under this subsection (d). The | ||
adoption of emergency rules
authorized by this subsection (d) | ||
shall be deemed to be necessary for the
public interest, | ||
safety, and welfare. | ||
(e) In order to provide for the expeditious and timely | ||
implementation
of the State's fiscal year 2000 budget, |
emergency rules to implement any
provision of this amendatory | ||
Act of the 91st General Assembly
or any other budget initiative | ||
for fiscal year 2000 may be adopted in
accordance with this | ||
Section by the agency charged with administering that
provision | ||
or initiative, except that the 24-month limitation on the | ||
adoption
of emergency rules and the provisions of Sections | ||
5-115 and 5-125 do not apply
to rules adopted under this | ||
subsection (e). The adoption of emergency rules
authorized by | ||
this subsection (e) shall be deemed to be necessary for the
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public interest, safety, and welfare. | ||
(f) In order to provide for the expeditious and timely | ||
implementation
of the State's fiscal year 2001 budget, | ||
emergency rules to implement any
provision of this amendatory | ||
Act of the 91st General Assembly
or any other budget initiative | ||
for fiscal year 2001 may be adopted in
accordance with this | ||
Section by the agency charged with administering that
provision | ||
or initiative, except that the 24-month limitation on the | ||
adoption
of emergency rules and the provisions of Sections | ||
5-115 and 5-125 do not apply
to rules adopted under this | ||
subsection (f). The adoption of emergency rules
authorized by | ||
this subsection (f) shall be deemed to be necessary for the
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public interest, safety, and welfare. | ||
(g) In order to provide for the expeditious and timely | ||
implementation
of the State's fiscal year 2002 budget, | ||
emergency rules to implement any
provision of this amendatory | ||
Act of the 92nd General Assembly
or any other budget initiative |
for fiscal year 2002 may be adopted in
accordance with this | ||
Section by the agency charged with administering that
provision | ||
or initiative, except that the 24-month limitation on the | ||
adoption
of emergency rules and the provisions of Sections | ||
5-115 and 5-125 do not apply
to rules adopted under this | ||
subsection (g). The adoption of emergency rules
authorized by | ||
this subsection (g) shall be deemed to be necessary for the
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public interest, safety, and welfare. | ||
(h) In order to provide for the expeditious and timely | ||
implementation
of the State's fiscal year 2003 budget, | ||
emergency rules to implement any
provision of this amendatory | ||
Act of the 92nd General Assembly
or any other budget initiative | ||
for fiscal year 2003 may be adopted in
accordance with this | ||
Section by the agency charged with administering that
provision | ||
or initiative, except that the 24-month limitation on the | ||
adoption
of emergency rules and the provisions of Sections | ||
5-115 and 5-125 do not apply
to rules adopted under this | ||
subsection (h). The adoption of emergency rules
authorized by | ||
this subsection (h) shall be deemed to be necessary for the
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public interest, safety, and welfare. | ||
(i) In order to provide for the expeditious and timely | ||
implementation
of the State's fiscal year 2004 budget, | ||
emergency rules to implement any
provision of this amendatory | ||
Act of the 93rd General Assembly
or any other budget initiative | ||
for fiscal year 2004 may be adopted in
accordance with this | ||
Section by the agency charged with administering that
provision |
or initiative, except that the 24-month limitation on the | ||
adoption
of emergency rules and the provisions of Sections | ||
5-115 and 5-125 do not apply
to rules adopted under this | ||
subsection (i). The adoption of emergency rules
authorized by | ||
this subsection (i) shall be deemed to be necessary for the
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public interest, safety, and welfare. | ||
(j) In order to provide for the expeditious and timely | ||
implementation of the provisions of the State's fiscal year | ||
2005 budget as provided under the Fiscal Year 2005 Budget | ||
Implementation (Human Services) Act, emergency rules to | ||
implement any provision of the Fiscal Year 2005 Budget | ||
Implementation (Human Services) Act may be adopted in | ||
accordance with this Section by the agency charged with | ||
administering that provision, except that the 24-month | ||
limitation on the adoption of emergency rules and the | ||
provisions of Sections 5-115 and 5-125 do not apply to rules | ||
adopted under this subsection (j). The Department of Public Aid | ||
may also adopt rules under this subsection (j) necessary to | ||
administer the Illinois Public Aid Code and the Children's | ||
Health Insurance Program Act. The adoption of emergency rules | ||
authorized by this subsection (j) shall be deemed to be | ||
necessary for the public interest, safety, and welfare.
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(k) In order to provide for the expeditious and timely | ||
implementation of the provisions of the State's fiscal year | ||
2006 budget, emergency rules to implement any provision of this | ||
amendatory Act of the 94th General Assembly or any other budget |
initiative for fiscal year 2006 may be adopted in accordance | ||
with this Section by the agency charged with administering that | ||
provision or initiative, except that the 24-month limitation on | ||
the adoption of emergency rules and the provisions of Sections | ||
5-115 and 5-125 do not apply to rules adopted under this | ||
subsection (k). The Department of Healthcare and Family | ||
Services may also adopt rules under this subsection (k) | ||
necessary to administer the Illinois Public Aid Code, the | ||
Senior Citizens and Disabled Persons Property Tax Relief Act, | ||
the Senior Citizens and Disabled Persons Prescription Drug | ||
Discount Program Act (now the Illinois Prescription Drug | ||
Discount Program Act), and the Children's Health Insurance | ||
Program Act. The adoption of emergency rules authorized by this | ||
subsection (k) shall be deemed to be necessary for the public | ||
interest, safety, and welfare.
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(l) In order to provide for the expeditious and timely | ||
implementation of the provisions of the
State's fiscal year | ||
2007 budget, the Department of Healthcare and Family Services | ||
may adopt emergency rules during fiscal year 2007, including | ||
rules effective July 1, 2007, in
accordance with this | ||
subsection to the extent necessary to administer the | ||
Department's responsibilities with respect to amendments to | ||
the State plans and Illinois waivers approved by the federal | ||
Centers for Medicare and Medicaid Services necessitated by the | ||
requirements of Title XIX and Title XXI of the federal Social | ||
Security Act. The adoption of emergency rules
authorized by |
this subsection (l) shall be deemed to be necessary for the | ||
public interest,
safety, and welfare.
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(m) In order to provide for the expeditious and timely | ||
implementation of the provisions of the
State's fiscal year | ||
2008 budget, the Department of Healthcare and Family Services | ||
may adopt emergency rules during fiscal year 2008, including | ||
rules effective July 1, 2008, in
accordance with this | ||
subsection to the extent necessary to administer the | ||
Department's responsibilities with respect to amendments to | ||
the State plans and Illinois waivers approved by the federal | ||
Centers for Medicare and Medicaid Services necessitated by the | ||
requirements of Title XIX and Title XXI of the federal Social | ||
Security Act. The adoption of emergency rules
authorized by | ||
this subsection (m) shall be deemed to be necessary for the | ||
public interest,
safety, and welfare.
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(n) In order to provide for the expeditious and timely | ||
implementation of the provisions of the State's fiscal year | ||
2010 budget, emergency rules to implement any provision of this | ||
amendatory Act of the 96th General Assembly or any other budget | ||
initiative authorized by the 96th General Assembly for fiscal | ||
year 2010 may be adopted in accordance with this Section by the | ||
agency charged with administering that provision or | ||
initiative. The adoption of emergency rules authorized by this | ||
subsection (n) shall be deemed to be necessary for the public | ||
interest, safety, and welfare. The rulemaking authority | ||
granted in this subsection (n) shall apply only to rules |
promulgated during Fiscal Year 2010. | ||
(o) In order to provide for the expeditious and timely | ||
implementation of the provisions of the State's fiscal year | ||
2011 budget, emergency rules to implement any provision of this | ||
amendatory Act of the 96th General Assembly or any other budget | ||
initiative authorized by the 96th General Assembly for fiscal | ||
year 2011 may be adopted in accordance with this Section by the | ||
agency charged with administering that provision or | ||
initiative. The adoption of emergency rules authorized by this | ||
subsection (o) is deemed to be necessary for the public | ||
interest, safety, and welfare. The rulemaking authority | ||
granted in this subsection (o) applies only to rules | ||
promulgated on or after the effective date of this amendatory | ||
Act of the 96th General Assembly through June 30, 2011. | ||
(p) In order to provide for the expeditious and timely | ||
implementation of the provisions of Public Act 97-689 this | ||
amendatory Act of the 97th General Assembly , emergency rules to | ||
implement any provision of Public Act 97-689 this amendatory | ||
Act of the 97th General Assembly may be adopted in accordance | ||
with this subsection (p) by the agency charged with | ||
administering that provision or initiative. The 150-day | ||
limitation of the effective period of emergency rules does not | ||
apply to rules adopted under this subsection (p), and the | ||
effective period may continue through June 30, 2013. The | ||
24-month limitation on the adoption of emergency rules does not | ||
apply to rules adopted under this subsection (p). The adoption |
of emergency rules authorized by this subsection (p) is deemed | ||
to be necessary for the public interest, safety, and welfare. | ||
(Source: P.A. 96-45, eff. 7-15-09; 96-958, eff. 7-1-10; | ||
96-1500, eff. 1-18-11; 97-689, eff. 6-14-12; 97-695, eff. | ||
7-1-12; revised 7-10-12.) | ||
Section 20. The Freedom of Information Act is amended by | ||
changing Section 7 as follows: | ||
(5 ILCS 140/7) (from Ch. 116, par. 207) | ||
Sec. 7. Exemptions.
| ||
(1) When a request is made to inspect or copy a public | ||
record that contains information that is exempt from disclosure | ||
under this Section, but also contains information that is not | ||
exempt from disclosure, the public body may elect to redact the | ||
information that is exempt. The public body shall make the | ||
remaining information available for inspection and copying. | ||
Subject to this requirement, the following shall be exempt from | ||
inspection and copying:
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(a) Information specifically prohibited from | ||
disclosure by federal or
State law or rules and regulations | ||
implementing federal or State law.
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(b) Private information, unless disclosure is required | ||
by another provision of this Act, a State or federal law or | ||
a court order. | ||
(b-5) Files, documents, and other data or databases |
maintained by one or more law enforcement agencies and | ||
specifically designed to provide information to one or more | ||
law enforcement agencies regarding the physical or mental | ||
status of one or more individual subjects. | ||
(c) Personal information contained within public | ||
records, the disclosure of which would constitute a clearly
| ||
unwarranted invasion of personal privacy, unless the | ||
disclosure is
consented to in writing by the individual | ||
subjects of the information. "Unwarranted invasion of | ||
personal privacy" means the disclosure of information that | ||
is highly personal or objectionable to a reasonable person | ||
and in which the subject's right to privacy outweighs any | ||
legitimate public interest in obtaining the information. | ||
The
disclosure of information that bears on the public | ||
duties of public
employees and officials shall not be | ||
considered an invasion of personal
privacy.
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(d) Records in the possession of any public body | ||
created in the course of administrative enforcement
| ||
proceedings, and any law enforcement or correctional | ||
agency for
law enforcement purposes,
but only to the extent | ||
that disclosure would:
| ||
(i) interfere with pending or actually and | ||
reasonably contemplated
law enforcement proceedings | ||
conducted by any law enforcement or correctional
| ||
agency that is the recipient of the request;
| ||
(ii) interfere with active administrative |
enforcement proceedings
conducted by the public body | ||
that is the recipient of the request;
| ||
(iii) create a substantial likelihood that a | ||
person will be deprived of a fair trial or an impartial | ||
hearing;
| ||
(iv) unavoidably disclose the identity of a | ||
confidential source, confidential information | ||
furnished only by the confidential source, or persons | ||
who file complaints with or provide information to | ||
administrative, investigative, law enforcement, or | ||
penal agencies; except that the identities of | ||
witnesses to traffic accidents, traffic accident | ||
reports, and rescue reports shall be provided by | ||
agencies of local government, except when disclosure | ||
would interfere with an active criminal investigation | ||
conducted by the agency that is the recipient of the | ||
request;
| ||
(v) disclose unique or specialized investigative | ||
techniques other than
those generally used and known or | ||
disclose internal documents of
correctional agencies | ||
related to detection, observation or investigation of
| ||
incidents of crime or misconduct, and disclosure would | ||
result in demonstrable harm to the agency or public | ||
body that is the recipient of the request;
| ||
(vi) endanger the life or physical safety of law | ||
enforcement personnel
or any other person; or
|
(vii) obstruct an ongoing criminal investigation | ||
by the agency that is the recipient of the request.
| ||
(d-5) A law enforcement record created for law | ||
enforcement purposes and contained in a shared electronic | ||
record management system if the law enforcement agency that | ||
is the recipient of the request did not create the record, | ||
did not participate in or have a role in any of the events | ||
which are the subject of the record, and only has access to | ||
the record through the shared electronic record management | ||
system. | ||
(e) Records that relate to or affect the security of | ||
correctional
institutions and detention facilities.
| ||
(e-5) Records requested by persons committed to the | ||
Department of Corrections if those materials are available | ||
in the library of the correctional facility where the | ||
inmate is confined. | ||
(e-6) Records requested by persons committed to the | ||
Department of Corrections if those materials include | ||
records from staff members' personnel files, staff | ||
rosters, or other staffing assignment information. | ||
(e-7) Records requested by persons committed to the | ||
Department of Corrections if those materials are available | ||
through an administrative request to the Department of | ||
Corrections. | ||
(f) Preliminary drafts, notes, recommendations, | ||
memoranda and other
records in which opinions are |
expressed, or policies or actions are
formulated, except | ||
that a specific record or relevant portion of a
record | ||
shall not be exempt when the record is publicly cited
and | ||
identified by the head of the public body. The exemption | ||
provided in
this paragraph (f) extends to all those records | ||
of officers and agencies
of the General Assembly that | ||
pertain to the preparation of legislative
documents.
| ||
(g) Trade secrets and commercial or financial | ||
information obtained from
a person or business where the | ||
trade secrets or commercial or financial information are | ||
furnished under a claim that they are
proprietary, | ||
privileged or confidential, and that disclosure of the | ||
trade
secrets or commercial or financial information would | ||
cause competitive harm to the person or business, and only | ||
insofar as the claim directly applies to the records | ||
requested. | ||
The information included under this exemption includes | ||
all trade secrets and commercial or financial information | ||
obtained by a public body, including a public pension fund, | ||
from a private equity fund or a privately held company | ||
within the investment portfolio of a private equity fund as | ||
a result of either investing or evaluating a potential | ||
investment of public funds in a private equity fund. The | ||
exemption contained in this item does not apply to the | ||
aggregate financial performance information of a private | ||
equity fund, nor to the identity of the fund's managers or |
general partners. The exemption contained in this item does | ||
not apply to the identity of a privately held company | ||
within the investment portfolio of a private equity fund, | ||
unless the disclosure of the identity of a privately held | ||
company may cause competitive harm. | ||
Nothing contained in this
paragraph (g) shall be | ||
construed to prevent a person or business from
consenting | ||
to disclosure.
| ||
(h) Proposals and bids for any contract, grant, or | ||
agreement, including
information which if it were | ||
disclosed would frustrate procurement or give
an advantage | ||
to any person proposing to enter into a contractor | ||
agreement
with the body, until an award or final selection | ||
is made. Information
prepared by or for the body in | ||
preparation of a bid solicitation shall be
exempt until an | ||
award or final selection is made.
| ||
(i) Valuable formulae,
computer geographic systems,
| ||
designs, drawings and research data obtained or
produced by | ||
any public body when disclosure could reasonably be | ||
expected to
produce private gain or public loss.
The | ||
exemption for "computer geographic systems" provided in | ||
this paragraph
(i) does not extend to requests made by news | ||
media as defined in Section 2 of
this Act when the | ||
requested information is not otherwise exempt and the only
| ||
purpose of the request is to access and disseminate | ||
information regarding the
health, safety, welfare, or |
legal rights of the general public.
| ||
(j) The following information pertaining to | ||
educational matters: | ||
(i) test questions, scoring keys and other | ||
examination data used to
administer an academic | ||
examination;
| ||
(ii) information received by a primary or | ||
secondary school, college, or university under its | ||
procedures for the evaluation of faculty members by | ||
their academic peers; | ||
(iii) information concerning a school or | ||
university's adjudication of student disciplinary | ||
cases, but only to the extent that disclosure would | ||
unavoidably reveal the identity of the student; and | ||
(iv) course materials or research materials used | ||
by faculty members. | ||
(k) Architects' plans, engineers' technical | ||
submissions, and
other
construction related technical | ||
documents for
projects not constructed or developed in | ||
whole or in part with public funds
and the same for | ||
projects constructed or developed with public funds, | ||
including but not limited to power generating and | ||
distribution stations and other transmission and | ||
distribution facilities, water treatment facilities, | ||
airport facilities, sport stadiums, convention centers, | ||
and all government owned, operated, or occupied buildings, |
but
only to the extent
that disclosure would compromise | ||
security.
| ||
(l) Minutes of meetings of public bodies closed to the
| ||
public as provided in the Open Meetings Act until the | ||
public body
makes the minutes available to the public under | ||
Section 2.06 of the Open
Meetings Act.
| ||
(m) Communications between a public body and an | ||
attorney or auditor
representing the public body that would | ||
not be subject to discovery in
litigation, and materials | ||
prepared or compiled by or for a public body in
| ||
anticipation of a criminal, civil or administrative | ||
proceeding upon the
request of an attorney advising the | ||
public body, and materials prepared or
compiled with | ||
respect to internal audits of public bodies.
| ||
(n) Records relating to a public body's adjudication of | ||
employee grievances or disciplinary cases; however, this | ||
exemption shall not extend to the final outcome of cases in | ||
which discipline is imposed.
| ||
(o) Administrative or technical information associated | ||
with automated
data processing operations, including but | ||
not limited to software,
operating protocols, computer | ||
program abstracts, file layouts, source
listings, object | ||
modules, load modules, user guides, documentation
| ||
pertaining to all logical and physical design of | ||
computerized systems,
employee manuals, and any other | ||
information that, if disclosed, would
jeopardize the |
security of the system or its data or the security of
| ||
materials exempt under this Section.
| ||
(p) Records relating to collective negotiating matters
| ||
between public bodies and their employees or | ||
representatives, except that
any final contract or | ||
agreement shall be subject to inspection and copying.
| ||
(q) Test questions, scoring keys, and other | ||
examination data used to determine the qualifications of an | ||
applicant for a license or employment.
| ||
(r) The records, documents, and information relating | ||
to real estate
purchase negotiations until those | ||
negotiations have been completed or
otherwise terminated. | ||
With regard to a parcel involved in a pending or
actually | ||
and reasonably contemplated eminent domain proceeding | ||
under the Eminent Domain Act, records, documents and
| ||
information relating to that parcel shall be exempt except | ||
as may be
allowed under discovery rules adopted by the | ||
Illinois Supreme Court. The
records, documents and | ||
information relating to a real estate sale shall be
exempt | ||
until a sale is consummated.
| ||
(s) Any and all proprietary information and records | ||
related to the
operation of an intergovernmental risk | ||
management association or
self-insurance pool or jointly | ||
self-administered health and accident
cooperative or pool.
| ||
Insurance or self insurance (including any | ||
intergovernmental risk management association or self |
insurance pool) claims, loss or risk management | ||
information, records, data, advice or communications.
| ||
(t) Information contained in or related to | ||
examination, operating, or
condition reports prepared by, | ||
on behalf of, or for the use of a public
body responsible | ||
for the regulation or supervision of financial
| ||
institutions or insurance companies, unless disclosure is | ||
otherwise
required by State law.
| ||
(u) Information that would disclose
or might lead to | ||
the disclosure of
secret or confidential information, | ||
codes, algorithms, programs, or private
keys intended to be | ||
used to create electronic or digital signatures under the
| ||
Electronic Commerce Security Act.
| ||
(v) Vulnerability assessments, security measures, and | ||
response policies
or plans that are designed to identify, | ||
prevent, or respond to potential
attacks upon a community's | ||
population or systems, facilities, or installations,
the | ||
destruction or contamination of which would constitute a | ||
clear and present
danger to the health or safety of the | ||
community, but only to the extent that
disclosure could | ||
reasonably be expected to jeopardize the effectiveness of | ||
the
measures or the safety of the personnel who implement | ||
them or the public.
Information exempt under this item may | ||
include such things as details
pertaining to the | ||
mobilization or deployment of personnel or equipment, to | ||
the
operation of communication systems or protocols, or to |
tactical operations.
| ||
(w) (Blank). | ||
(x) Maps and other records regarding the location or | ||
security of generation, transmission, distribution, | ||
storage, gathering,
treatment, or switching facilities | ||
owned by a utility, by a power generator, or by the | ||
Illinois Power Agency.
| ||
(y) Information contained in or related to proposals, | ||
bids, or negotiations related to electric power | ||
procurement under Section 1-75 of the Illinois Power Agency | ||
Act and Section 16-111.5 of the Public Utilities Act that | ||
is determined to be confidential and proprietary by the | ||
Illinois Power Agency or by the Illinois Commerce | ||
Commission.
| ||
(z) Information about students exempted from | ||
disclosure under Sections 10-20.38 or 34-18.29 of the | ||
School Code, and information about undergraduate students | ||
enrolled at an institution of higher education exempted | ||
from disclosure under Section 25 of the Illinois Credit | ||
Card Marketing Act of 2009. | ||
(aa) Information the disclosure of which is
exempted | ||
under the Viatical Settlements Act of 2009.
| ||
(bb) Records and information provided to a mortality | ||
review team and records maintained by a mortality review | ||
team appointed under the Department of Juvenile Justice | ||
Mortality Review Team Act. |
(cc) Information regarding interments, entombments, or | ||
inurnments of human remains that are submitted to the | ||
Cemetery Oversight Database under the Cemetery Care Act or | ||
the Cemetery Oversight Act, whichever is applicable. | ||
(dd) Correspondence and records (i) that may not be | ||
disclosed under Section 11-9 of the Public Aid Code or (ii) | ||
that pertain to appeals under Section 11-8 of the Public | ||
Aid Code. | ||
(ee) The names, addresses, or other personal | ||
information of persons who are minors and are also | ||
participants and registrants in programs of park | ||
districts, forest preserve districts, conservation | ||
districts, recreation agencies, and special recreation | ||
associations. | ||
(ff) The names, addresses, or other personal | ||
information of participants and registrants in programs of | ||
park districts, forest preserve districts, conservation | ||
districts, recreation agencies, and special recreation | ||
associations where such programs are targeted primarily to | ||
minors. | ||
(gg) Confidential information described in Section | ||
1-100 of the Illinois Independent Tax Tribunal Act of 2012. | ||
(1.5) Any information exempt from disclosure under the | ||
Judicial Privacy Act shall be redacted from public records | ||
prior to disclosure under this Act. | ||
(2) A public record that is not in the possession of a |
public body but is in the possession of a party with whom the | ||
agency has contracted to perform a governmental function on | ||
behalf of the public body, and that directly relates to the | ||
governmental function and is not otherwise exempt under this | ||
Act, shall be considered a public record of the public body, | ||
for purposes of this Act. | ||
(3) This Section does not authorize withholding of | ||
information or limit the
availability of records to the public, | ||
except as stated in this Section or
otherwise provided in this | ||
Act.
| ||
(Source: P.A. 96-261, eff. 1-1-10; 96-328, eff. 8-11-09; | ||
96-542, eff. 1-1-10; 96-558, eff. 1-1-10; 96-736, eff. 7-1-10; | ||
96-863, eff. 3-1-10; 96-1378, eff. 7-29-10; 97-333, eff. | ||
8-12-11; 97-385, eff. 8-15-11; 97-452, eff. 8-19-11; 97-783, | ||
eff. 7-13-12; 97-813, eff. 7-13-12; 97-847, eff. 9-22-12; | ||
97-1065, eff. 8-24-12; 97-1129, eff. 8-28-12; revised | ||
9-20-12.) | ||
Section 25. The Election Code is amended by changing | ||
Sections 7-43, 10-10.5, and 17-21 as follows:
| ||
(10 ILCS 5/7-43) (from Ch. 46, par. 7-43)
| ||
Sec. 7-43. Every person having resided in this State 6 | ||
months and
in the precinct 30 days next preceding any primary | ||
therein who shall be
a citizen of the United States of the age | ||
of 18 or more
years , shall be
entitled to vote at such primary.
|
The following regulations shall be applicable to | ||
primaries:
| ||
No person shall be entitled to vote at a primary:
| ||
(a) Unless he declares his party affiliations as | ||
required by this
Article.
| ||
(b) (Blank . ) .
| ||
(c) (Blank . ) .
| ||
(c.5) If that person has participated in the town | ||
political party caucus,
under Section 45-50 of the | ||
Township Code, of another political party by
signing an | ||
affidavit of voters attending the caucus within 45 days | ||
before the
first day of the calendar month in which the | ||
primary is held.
| ||
(d) (Blank . ) .
| ||
(e) In cities, villages and incorporated towns having a | ||
board of
election commissioners only voters registered as | ||
provided by Article 6
of this Act shall be entitled to vote | ||
at such primary.
| ||
(f) No person shall be entitled to vote at a primary | ||
unless he is
registered under the provisions of Articles 4, | ||
5 or 6 of this Act, when
his registration is required by | ||
any of said Articles to entitle him to
vote at the election | ||
with reference to which the primary is held.
| ||
A person (i) who filed a statement of candidacy for a | ||
partisan office as a qualified primary voter of an established | ||
political party or (ii) who voted the ballot of an established |
political party at a general primary election may not file a | ||
statement of candidacy as a candidate of a different | ||
established political party or as an independent candidate for | ||
a partisan office to be filled at the general election | ||
immediately following the general primary for which the person | ||
filed the statement or voted the ballot. A person may file a | ||
statement of candidacy for a partisan office as a qualified | ||
primary voter of an established political party regardless of | ||
any prior filing of candidacy for a partisan office or voting | ||
the ballot of an established political party at any prior | ||
election. | ||
(Source: P.A. 97-681, eff. 3-30-12; revised 8-3-12.)
| ||
(10 ILCS 5/10-10.5) | ||
Sec. 10-10.5. Removal of judicial officer's address | ||
information from the certificate of nomination or nomination | ||
papers. | ||
(a) Upon expiration of the period for filing an objection | ||
to a judicial candidate's certificate of nomination or | ||
nomination papers, a judicial officer who is a judicial | ||
candidate may file a written request with the State Board of | ||
Elections for redaction of the judicial officer's home address | ||
information from his or her certificate of nomination or | ||
nomination papers. After receipt of the judicial officer's | ||
written request, the State Board of Elections shall redact or | ||
cause redaction of the judicial officer's home address from his |
or her certificate of nomination or nomination papers within 5 | ||
business days. | ||
(b) Prior to expiration of the period for filing an | ||
objection to a judicial candidate's certificate of nomination | ||
or nomination papers, the home address information from the | ||
certificate of nomination or nomination papers of a judicial | ||
officer who is a judicial candidate is available for public | ||
inspection. After redaction of a judicial officer's home | ||
address information under paragraph (a) of this Section, the | ||
home address information is only available for an in camera | ||
inspection by the court reviewing an objection to the judicial | ||
officer's officers's certificate of nomination or nomination | ||
papers. | ||
(c) For the purposes of this Section, "home address" has | ||
the meaning as defined in Section 1-10 of the Judicial Privacy | ||
Act.
| ||
(Source: P.A. 97-847, eff. 9-22-12; revised 8-3-12.)
| ||
(10 ILCS 5/17-21) (from Ch. 46, par. 17-21)
| ||
Sec. 17-21.
When the votes shall have been examined and | ||
counted, the judges
shall set down on a sheet or return form to | ||
be supplied to them, the name of
every person voted for, | ||
written or printed at full length, the office
for which such | ||
person received such votes, and the number he did receive
and | ||
such additional information as is necessary to complete, as | ||
nearly
as circumstances will admit, the following form, to-wit:
|
TALLY SHEET AND CERTIFICATE OF
| ||
RESULTS
| ||
We do hereby certify that at the .... election held in the | ||
precinct
hereinafter (general or special) specified on (insert | ||
date) the .... day of ...., in
the year of our Lord, one | ||
thousand nine hundred and .... , a total of
.... voters | ||
requested and received ballots and we do further certify:
| ||
Number of blank ballots delivered to us ....
| ||
Number of absentee ballots delivered to us ....
| ||
Total number of ballots delivered to us ....
| ||
Number of blank and spoiled ballots returned.
| ||
(1) Total number of ballots cast (in box)....
| ||
.... Defective and Objected To ballots sealed in envelope
| ||
(2) .... Total number of ballots cast (in box)
| ||
Line (2) equals line (1)
| ||
We further certify that each of the candidates for | ||
representative in
the General Assembly received the number of | ||
votes ascribed to him on the
separate tally sheet.
| ||
We further certify that each candidate received the number | ||
of votes
set forth opposite his name or in the box containing | ||
his name on the
tally sheet contained in the page or pages | ||
immediately following our
signatures.
| ||
The undersigned actually served as judges and counted the | ||
ballots at
the election on the .... day of .... in the .... | ||
precinct of the (1)
*township of ...., or (2) *City of ...., or | ||
(3) *.... ward in the city
of .... and the polls were opened at |
6:00 A.M. and closed at 7:00 P.M.
Certified by us.
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
*Fill in either (1), (2) or (3)
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
A B, ....(Address)
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
C D, ....(Address)
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
E F, ....(Address)
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
G H, ....(Address)
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
I J, ....(Address)
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Each tally sheet shall be in substantially one of the | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
following forms:
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
-------------------------------------------------------------
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
|
| |||||||||||||||||||||||||||||
(Source: P.A. 89-700, eff. 1-17-97; revised 10-17-12.)
| |||||||||||||||||||||||||||||
Section 30. The Illinois Identification Card Act is amended | |||||||||||||||||||||||||||||
by changing Sections 4, 5, and 11 as follows:
| |||||||||||||||||||||||||||||
(15 ILCS 335/4) (from Ch. 124, par. 24)
| |||||||||||||||||||||||||||||
Sec. 4. Identification Card.
| |||||||||||||||||||||||||||||
(a) The Secretary of State shall issue a
standard Illinois | |||||||||||||||||||||||||||||
Identification Card to any natural person who is a resident
of | |||||||||||||||||||||||||||||
the State of Illinois who applies for such card, or renewal | |||||||||||||||||||||||||||||
thereof,
or who applies for a standard Illinois Identification | |||||||||||||||||||||||||||||
Card upon release as a
committed person on parole, mandatory | |||||||||||||||||||||||||||||
supervised release, final discharge, or
pardon from the | |||||||||||||||||||||||||||||
Department of Corrections by submitting an identification card
| |||||||||||||||||||||||||||||
issued by the Department of Corrections under Section 3-14-1 of | |||||||||||||||||||||||||||||
the Unified
Code of Corrections,
together with the prescribed | |||||||||||||||||||||||||||||
fees. No identification card shall be issued to any person who | |||||||||||||||||||||||||||||
holds a valid
foreign state
identification card, license, or | |||||||||||||||||||||||||||||
permit unless the person first surrenders to
the Secretary of
| |||||||||||||||||||||||||||||
State the valid foreign state identification card, license, or | |||||||||||||||||||||||||||||
permit. The card shall be prepared and
supplied by the | |||||||||||||||||||||||||||||
Secretary of State and shall include a photograph and signature | |||||||||||||||||||||||||||||
or mark of the
applicant. However, the Secretary of State may |
provide by rule for the issuance of Illinois Identification | ||
Cards without photographs if the applicant has a bona fide | ||
religious objection to being photographed or to the display of | ||
his or her photograph. The Illinois Identification Card may be | ||
used for
identification purposes in any lawful situation only | ||
by the person to
whom it was issued.
As used in this Act, | ||
"photograph" means any color photograph or digitally
produced | ||
and captured image of an applicant for an identification card. | ||
As
used in this Act, "signature" means the name of a person as | ||
written by that
person and captured in a manner acceptable to | ||
the Secretary of State. | ||
(a-5) If an applicant for an identification card has a | ||
current driver's license or instruction permit issued by the | ||
Secretary of State, the Secretary may require the applicant to | ||
utilize the same residence address and name on the | ||
identification card, driver's license, and instruction permit | ||
records maintained by the Secretary. The Secretary may | ||
promulgate rules to implement this provision.
| ||
(a-10) If the applicant is a judicial officer as defined in | ||
Section 1-10 of the Judicial Privacy Act, the applicant may | ||
elect to have his or her office or work address listed on the | ||
card instead of the applicant's residence or mailing address. | ||
The Secretary may promulgate rules to implement this provision. | ||
(b) The Secretary of State shall issue a special Illinois
| ||
Identification Card, which shall be known as an Illinois Person | ||
with a Disability
Identification Card, to any natural person |
who is a resident of the State
of Illinois, who is a person | ||
with a disability as defined in Section 4A of this Act,
who | ||
applies for such card, or renewal thereof. No Illinois Person | ||
with a Disability Identification Card shall be issued to any | ||
person who
holds a valid
foreign state identification card, | ||
license, or permit unless the person first
surrenders to the
| ||
Secretary of State the valid foreign state identification card, | ||
license, or
permit. The Secretary of State
shall charge no fee | ||
to issue such card. The card shall be prepared and
supplied by | ||
the Secretary of State, and shall include a photograph and | ||
signature or mark of the
applicant, a designation indicating | ||
that the card is an Illinois
Person with a Disability | ||
Identification Card, and shall include a comprehensible | ||
designation
of the type and classification of the applicant's | ||
disability as set out in
Section 4A of this Act. However, the | ||
Secretary of State may provide by rule for the issuance of | ||
Illinois Disabled Person with a Disability Identification | ||
Cards without photographs if the applicant has a bona fide | ||
religious objection to being photographed or to the display of | ||
his or her photograph. If the applicant so requests, the card | ||
shall
include a description of the applicant's disability and | ||
any information
about the applicant's disability or medical | ||
history which the Secretary
determines would be helpful to the | ||
applicant in securing emergency medical
care. If a mark is used | ||
in lieu of a signature, such mark
shall be affixed to the card | ||
in the presence of two witnesses who attest to
the authenticity |
of the mark. The Illinois
Person with a Disability | ||
Identification Card may be used for identification purposes
in | ||
any lawful situation by the person to whom it was issued.
| ||
The Illinois Person with a Disability Identification Card | ||
may be used as adequate
documentation of disability in lieu of | ||
a physician's determination of
disability, a determination of | ||
disability from a physician assistant who has
been delegated | ||
the authority to make this determination by his or her
| ||
supervising physician, a determination of disability from an | ||
advanced practice
nurse who has a written collaborative | ||
agreement with a collaborating physician
that
authorizes the | ||
advanced practice nurse to make this determination, or any
| ||
other documentation
of disability whenever
any
State law
| ||
requires that a disabled person provide such documentation of | ||
disability,
however an Illinois Person with a Disability | ||
Identification Card shall not qualify
the cardholder to | ||
participate in any program or to receive any benefit
which is | ||
not available to all persons with like disabilities.
| ||
Notwithstanding any other provisions of law, an Illinois Person | ||
with a Disability
Identification Card, or evidence that the | ||
Secretary of State has issued an
Illinois Person with a | ||
Disability Identification Card, shall not be used by any
person | ||
other than the person named on such card to prove that the | ||
person
named on such card is a disabled person or for any other | ||
purpose unless the
card is used for the benefit of the person | ||
named on such card, and the
person named on such card consents |
to such use at the time the card is so used.
| ||
An optometrist's determination of a visual disability | ||
under Section 4A of this Act is acceptable as documentation for | ||
the purpose of issuing an Illinois Person with a Disability | ||
Identification Card. | ||
When medical information is contained on an Illinois Person | ||
with a Disability
Identification Card, the Office of the | ||
Secretary of State shall not be
liable for any actions taken | ||
based upon that medical information.
| ||
(c) The Secretary of State shall provide
that each original | ||
or renewal Illinois Identification Card or Illinois
Person with | ||
a Disability Identification Card issued to a person under the | ||
age of 21 ,
shall be of a distinct nature from those Illinois | ||
Identification Cards or
Illinois Person with a Disability | ||
Identification Cards issued to individuals 21
years of age or | ||
older. The color designated for Illinois Identification
Cards | ||
or Illinois Person with a Disability Identification Cards for | ||
persons under
the age of 21 shall be at the discretion of the | ||
Secretary of State.
| ||
(c-1) Each original or renewal Illinois
Identification | ||
Card or Illinois Person with a Disability Identification Card | ||
issued to
a person under the age of 21 shall display the date | ||
upon which the person
becomes 18 years of age and the date upon | ||
which the person becomes 21 years of
age.
| ||
(c-3) The General Assembly recognizes the need to identify | ||
military veterans living in this State for the purpose of |
ensuring that they receive all of the services and benefits to | ||
which they are legally entitled, including healthcare, | ||
education assistance, and job placement. To assist the State in | ||
identifying these veterans and delivering these vital services | ||
and benefits, the Secretary of State is authorized to issue | ||
Illinois Identification Cards and Illinois Disabled Person | ||
with a Disability Identification Cards with the word "veteran" | ||
appearing on the face of the cards. This authorization is | ||
predicated on the unique status of veterans. The Secretary may | ||
not issue any other identification card which identifies an | ||
occupation, status, affiliation, hobby, or other unique | ||
characteristics of the identification card holder which is | ||
unrelated to the purpose of the identification card.
| ||
(c-5) Beginning on or before July 1, 2015, the Secretary of | ||
State shall designate a space on each original or renewal | ||
identification card where, at the request of the applicant, the | ||
word "veteran" shall be placed. The veteran designation shall | ||
be available to a person identified as a veteran under | ||
subsection (b) of Section 5 of this Act who was discharged or | ||
separated under honorable conditions. | ||
(d) The Secretary of State may issue a Senior Citizen
| ||
discount card, to any natural person who is a resident of the | ||
State of
Illinois who is 60 years of age or older and who | ||
applies for such a card or
renewal thereof. The Secretary of | ||
State shall charge no fee to issue such
card. The card shall be | ||
issued in every county and applications shall be
made available |
at, but not limited to, nutrition sites, senior citizen
centers | ||
and Area Agencies on Aging. The applicant, upon receipt of such
| ||
card and prior to its use for any purpose, shall have affixed | ||
thereon in
the space provided therefor his signature or mark.
| ||
(e) The Secretary of State, in his or her discretion, may | ||
designate on each Illinois
Identification Card or Illinois | ||
Person with a Disability Identification Card a space where the | ||
card holder may place a sticker or decal, issued by the | ||
Secretary of State, of uniform size as the Secretary may | ||
specify, that shall indicate in appropriate language that the | ||
card holder has renewed his or her Illinois
Identification Card | ||
or Illinois Person with a Disability Identification Card. | ||
(Source: P.A. 96-146, eff. 1-1-10; 96-328, eff. 8-11-09; | ||
96-1231, eff. 7-23-10; 97-371, eff. 1-1-12; 97-739, eff. | ||
1-1-13; 97-847, eff. 1-1-13; 97-1064, eff. 1-1-13; revised | ||
9-5-12.)
| ||
(15 ILCS 335/5) (from Ch. 124, par. 25)
| ||
Sec. 5. Applications. | ||
(a) Any natural person who is a resident of the
State of | ||
Illinois , may file an application for an identification card , | ||
or for
the renewal thereof, in a manner prescribed by the | ||
Secretary. Each original application
shall be completed by the | ||
applicant in full and shall set forth the legal
name,
residence | ||
address and zip code, social security number, birth date, sex | ||
and
a brief
description of the applicant. The applicant shall |
be photographed, unless the Secretary of State has provided by | ||
rule for the issuance of identification cards without | ||
photographs and the applicant is deemed eligible for an | ||
identification card without a photograph under the terms and | ||
conditions imposed by the Secretary of State, and he
or she | ||
shall also submit any other information as the Secretary may | ||
deem necessary
or such documentation as the Secretary may | ||
require to determine the
identity of the applicant. In addition | ||
to the residence address, the Secretary may allow the applicant | ||
to provide a mailing address. If the applicant is a judicial | ||
officer as defined in Section 1-10 of the Judicial Privacy Act, | ||
the applicant may elect to have his or her office or work | ||
address in lieu of the applicant's residence or mailing | ||
address. An applicant for an Illinois Person with a Disability | ||
Identification Card must
also submit with each original or | ||
renewal application, on forms prescribed
by the Secretary, such | ||
documentation as the Secretary may require,
establishing that | ||
the applicant is a "person with a disability" as defined in
| ||
Section 4A of this Act, and setting forth the applicant's type | ||
and class of
disability as set forth in Section 4A of this Act.
| ||
(b) Beginning on or before July 1, 2015, for each original | ||
or renewal identification card application under this Act, the | ||
Secretary shall inquire as to whether the applicant is a | ||
veteran for purposes of issuing an identification card with a | ||
veteran designation under subsection (c-5) of Section 4 of this | ||
Act. The acceptable forms of proof shall include, but are not |
limited to, Department of Defense form DD-214. The Secretary | ||
shall determine by rule what other forms of proof of a person's | ||
status as a veteran are acceptable. | ||
The Illinois Department of Veterans' Affairs shall confirm | ||
the status of the applicant as an honorably discharged veteran | ||
before the Secretary may issue the identification card. | ||
For purposes of this subsection (b): | ||
"Active duty" means active duty under 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. | ||
"Armed forces" means any of the Armed Forces of the United | ||
States, including a member of any reserve component or National | ||
Guard unit called to active duty. | ||
"Veteran" means a person who has served on active duty in | ||
the armed forces and was discharged or separated under | ||
honorable conditions. | ||
(Source: P.A. 96-1231, eff. 7-23-10; 97-371, eff. 1-1-12; | ||
97-739, eff. 1-1-13; 97-847, eff. 1-1-13; 97-1064, eff. 1-1-13; | ||
revised 9-5-12.)
| ||
(15 ILCS 335/11) (from Ch. 124, par. 31)
| ||
Sec. 11. The Secretary may make a search of his records and | ||
furnish
information as to whether a person has a current | ||
Standard Illinois
Identification Card or an Illinois Person | ||
with a Disability Identification Card then on
file, upon | ||
receipt of a written application therefor accompanied with the
|
prescribed fee. However, the Secretary may not disclose medical
| ||
information concerning an individual to any person, public | ||
agency, private
agency, corporation or governmental body | ||
unless the individual has
submitted a written request for the | ||
information or unless the individual
has given prior written | ||
consent for the release of the information to a
specific person | ||
or entity. This exception shall not apply to: (1) offices
and | ||
employees of the Secretary who have a need to know the medical
| ||
information in performance of their official duties, or (2) | ||
orders of a
court of competent jurisdiction. When medical | ||
information is disclosed by
the Secretary in accordance with | ||
the provisions of this Section, no
liability shall rest with | ||
the Office of the Secretary of State as the
information is | ||
released for informational purposes only. | ||
The Secretary may release personally identifying | ||
information or highly restricted personal information only to: | ||
(1) officers and employees of the Secretary who have a | ||
need to know that information; | ||
(2) other governmental agencies for use in their | ||
official governmental functions; | ||
(3) law enforcement agencies that need the information | ||
for a criminal or civil investigation; or | ||
(4) any entity that the Secretary has authorized, by | ||
rule, to receive this information. | ||
The Secretary may not disclose an individual's social | ||
security number or any associated information obtained from the |
Social Security Administration without the written request or | ||
consent of the individual except: (i) to officers and employees | ||
of the Secretary who have a need to know the social security | ||
number in the performance of their official duties; (ii) to law | ||
enforcement officials for a lawful civil or criminal law | ||
enforcement investigation if the head of the law enforcement | ||
agency has made a written request to the Secretary specifying | ||
the law enforcement investigation for which the social security | ||
number is being sought; (iii) under a lawful court order signed | ||
by a judge; or (iv) to the Illinois Department of Veterans' | ||
Affairs for the purpose of confirming veteran status.
| ||
(Source: P.A. 97-739, eff. 1-1-13; 97-1064, eff. 1-1-13; | ||
revised 9-5-12.)
| ||
Section 35. The State Comptroller Act is amended by | ||
changing Sections 9.03 and 10.05 as follows:
| ||
(15 ILCS 405/9.03) (from Ch. 15, par. 209.03)
| ||
Sec. 9.03. Direct deposit of State payments. | ||
(a) The Comptroller, with the
approval of the State | ||
Treasurer, may provide by rule or regulation for the
direct | ||
deposit of any payment lawfully payable from the State Treasury | ||
and in
accordance with federal banking regulations including | ||
but not limited to
payments to (i) persons paid from personal | ||
services, (ii)
persons receiving benefit payments from the | ||
Comptroller under the State pension
systems, (iii) individuals |
who receive assistance under Articles III, IV,
and VI of the | ||
Illinois Public Aid Code, (iv) providers of services under
the | ||
Mental Health and Developmental Disabilities
Administrative | ||
Act, (v)
providers of community-based mental health services, | ||
and (vi) providers of
services under programs administered by | ||
the State Board of Education, in the
accounts of those persons | ||
or entities maintained at a bank, savings and loan
association, | ||
or credit
union, where authorized by the payee. The Comptroller | ||
also may deposit
public aid payments for individuals who | ||
receive assistance under Articles
III, IV, VI, and X of the | ||
Illinois Public Aid Code directly into an
electronic benefits | ||
transfer account in a financial institution approved by
the | ||
State Treasurer as prescribed by the Illinois Department of | ||
Human
Services
and in accordance with the rules and regulations | ||
of that Department and the
rules and regulations adopted by the | ||
Comptroller and the State Treasurer.
The Comptroller, with the | ||
approval of the State Treasurer, may provide by
rule for the | ||
electronic direct deposit of payments to public agencies and | ||
any
other payee of the State. The electronic direct
deposits | ||
may be made to the designated account in those financial | ||
institutions
specified in this Section for the direct deposit | ||
of payments. Within 6 months
after the effective date of this | ||
amendatory Act of 1994, the Comptroller shall
establish a pilot | ||
program for the electronic direct deposit of payments to
local | ||
school districts, municipalities, and units of local | ||
government.
The payments may be made without the use of the |
voucher-warrant system,
provided that documentation of | ||
approval by the Treasurer of each group of
payments made by | ||
direct deposit shall be retained by the Comptroller. The
form | ||
and method of the Treasurer's approval shall be established by | ||
the
rules or regulations adopted by the Comptroller under this | ||
Section. | ||
(b) Except as provided in subsection (b-5), all State | ||
payments for an employee's payroll or an employee's expense | ||
reimbursement must be made through direct deposit. It is the | ||
responsibility of the paying State agency to ensure compliance | ||
with this mandate. If a State agency pays an employee's payroll | ||
or an employee's expense reimbursement without using direct | ||
deposit, the Comptroller may charge that employee a processing | ||
fee of $2.50 per paper warrant. The processing fee may be | ||
withheld from the employee's payment or reimbursement. The | ||
amount collected from the fee shall be deposited into the | ||
Comptroller's Administrative Fund. | ||
(b-5) If an employee wants his or her their payments | ||
deposited into a secure check account, the employee must submit | ||
a direct deposit form to the paying State agency for his or her | ||
their payroll or to the Comptroller for his or her their | ||
expense reimbursements. Upon acceptance of the direct deposit | ||
form, the Comptroller shall disburse those funds to the secure | ||
check account. For the purposes of this Section, "secure check | ||
account" means an account established with a financial | ||
institution for the employee that allows the dispensing of the |
funds in the account through a third party who dispenses to the | ||
employee a paper check. | ||
(c) All State payments to a vendor that exceed the | ||
allowable limit of paper warrants in a fiscal year, by the same | ||
agency, must be made through direct deposit. It is the | ||
responsibility of the paying State agency to ensure compliance | ||
with this mandate. If a State agency pays a vendor more times | ||
than the allowable limit in a single fiscal year without using | ||
direct deposit, the Comptroller may charge the vendor a | ||
processing fee of $2.50 per paper warrant. The processing fee | ||
may be withheld from the vendor's payment. The amount collected | ||
from the processing fee shall be deposited into the | ||
Comptroller's Administrative Fund. The Office of the | ||
Comptroller shall define "allowable limit" in the | ||
Comptroller's Statewide Accounting Management System (SAMS) | ||
manual, except that the allowable limit shall not be less than | ||
30 paper warrants. The Office of the Comptroller shall also | ||
provide reasonable notice to all State agencies of the | ||
allowable limit of paper warrants. | ||
(d) State employees covered by provisions in collective | ||
bargaining agreements that do not require direct deposit of | ||
paychecks are exempt from this mandate. No later than 60 days | ||
after the effective date of this amendatory Act of the 97th | ||
General Assembly, all State agencies must provide to the Office | ||
of the Comptroller a list of employees that are exempt under | ||
this subsection (d) from the direct deposit mandate. In |
addition, a State employee or vendor may file a hardship | ||
petition with the Office of the Comptroller requesting an | ||
exemption from the direct deposit mandate under this Section. A | ||
hardship petition shall be made available for download on the | ||
Comptroller's official Internet website. | ||
(e) Notwithstanding any provision of law to the contrary, | ||
the direct deposit of State payments under this Section for an | ||
employee's payroll, an employee's expense reimbursement, or a | ||
State vendor's payment does not authorize the State to | ||
automatically withdraw funds from those accounts. | ||
(f) For the purposes of this Section, "vendor" means a | ||
non-governmental entity with a taxpayer identification number | ||
issued by the Social Security Administration or Internal | ||
Revenue Service that receives payments through the | ||
Comptroller's commercial system. The term does not include | ||
State agencies. | ||
(g) The requirements of this Section do not apply to the | ||
legislative or judicial branches of State government.
| ||
(Source: P.A. 97-348, eff. 8-12-11; 97-993, eff. 9-16-12; | ||
revised 10-10-12.)
| ||
(15 ILCS 405/10.05) (from Ch. 15, par. 210.05)
| ||
Sec. 10.05. Deductions from warrants; statement of reason | ||
for deduction. Whenever any person shall be entitled to a | ||
warrant or other
payment from the treasury or other funds held | ||
by the State Treasurer, on any
account, against whom there |
shall be any then due and payable account or claim in favor of | ||
the
State, the United States upon certification by the | ||
Secretary of the Treasury of the United States, or his or her | ||
delegate, pursuant to a reciprocal offset agreement under | ||
subsection (i-1) of Section 10 of the Illinois State Collection | ||
Act of 1986, or a unit of local government, a school district, | ||
a public institution of higher education, as defined in Section | ||
1 of the Board of Higher Education Act, or the clerk of a | ||
circuit court, upon certification by that entity, the | ||
Comptroller, upon notification thereof, shall
ascertain the | ||
amount due and payable to the State, the United States, the | ||
unit of local government, the school district, the public | ||
institution of higher education, or the clerk of the circuit | ||
court, as aforesaid, and draw a
warrant on the treasury or on | ||
other funds held by the State Treasurer, stating
the amount for | ||
which the party was entitled to a warrant or other payment, the
| ||
amount deducted therefrom, and on what account, and directing | ||
the payment of
the balance; which warrant or payment as so | ||
drawn shall be entered on the books
of the Treasurer, and such | ||
balance only shall be paid. The Comptroller may
deduct any one | ||
or more of the following: (i) the entire amount due and payable | ||
to the State or a portion
of the amount due and payable to the | ||
State in accordance with the request of
the notifying agency; | ||
(ii) the entire amount due and payable to the United States or | ||
a portion of the amount due and payable to the United States in | ||
accordance with a reciprocal offset agreement under subsection |
(i-1) of Section 10 of the Illinois State Collection Act of | ||
1986; or (iii) the entire amount due and payable to the unit of | ||
local government, school district, public institution of | ||
higher education, or clerk of the circuit court, or a portion | ||
of the amount due and payable to that entity, in accordance | ||
with an intergovernmental agreement authorized under this | ||
Section and Section 10.05d. No request from a notifying agency, | ||
the Secretary of the Treasury of the United States, a unit of | ||
local government, a school district, a public institution of | ||
higher education, or the clerk of a circuit court for an amount | ||
to be
deducted under this Section from a wage or salary | ||
payment, or from a
contractual payment to an individual for | ||
personal services, shall exceed 25% of
the net amount of such | ||
payment. "Net amount" means that part of the earnings
of an | ||
individual remaining after deduction of any amounts required by | ||
law to be
withheld. For purposes of this provision, wage, | ||
salary or other payments for
personal services shall not | ||
include final compensation payments for the value
of accrued | ||
vacation, overtime or sick leave. Whenever the Comptroller | ||
draws a
warrant or makes a payment involving a deduction | ||
ordered under this Section,
the Comptroller shall notify the | ||
payee and the State agency that submitted
the voucher of the | ||
reason for the deduction and he or she shall retain a record of | ||
such
statement in his or her
records. As used in this Section, | ||
an "account or
claim in favor of the State" includes all | ||
amounts owing to "State agencies"
as defined in Section 7 of |
this Act. However, the Comptroller shall not be
required to | ||
accept accounts or claims owing to funds not held by the State
| ||
Treasurer, where such accounts or claims do not exceed $50, nor | ||
shall the
Comptroller deduct from funds held by the State | ||
Treasurer under the Senior
Citizens and Disabled Persons | ||
Property Tax Relief Act or for payments to institutions from | ||
the Illinois Prepaid Tuition Trust
Fund
(unless the Trust Fund
| ||
moneys are used for child support).
The Comptroller shall not | ||
deduct from payments to be disbursed from the Child Support | ||
Enforcement Trust Fund as provided for under Section 12-10.2 of | ||
the Illinois Public Aid Code, except for payments representing | ||
interest on child support obligations under Section 10-16.5 of | ||
that Code. The Comptroller and the
Department of Revenue shall | ||
enter into an
interagency agreement to establish | ||
responsibilities, duties, and procedures
relating to | ||
deductions from lottery prizes awarded under Section 20.1
of | ||
the Illinois Lottery Law. The Comptroller may enter into an | ||
intergovernmental agreement with the Department of Revenue and | ||
the Secretary of the Treasury of the United States, or his or | ||
her delegate, to establish responsibilities, duties, and | ||
procedures relating to reciprocal offset of delinquent State | ||
and federal obligations pursuant to subsection (i-1) of Section | ||
10 of the Illinois State Collection Act of 1986. The | ||
Comptroller may enter into intergovernmental agreements with | ||
any unit of local government, school district, public | ||
institution of higher education, or clerk of a circuit court to |
establish responsibilities, duties, and procedures to provide | ||
for the offset, by the Comptroller, of obligations owed to | ||
those entities.
| ||
For the purposes of this Section, "clerk of a circuit | ||
court" means the clerk of a circuit court in any county in the | ||
State. | ||
(Source: P.A. 97-269, eff. 12-16-11 (see Section 15 of P.A. | ||
97-632 for the effective date of changes made by P.A. 97-269); | ||
97-632, eff. 12-16-11; 97-689, eff. 6-14-12; 97-884, eff. | ||
8-2-12; 97-970, eff. 8-16-12; revised 8-23-12.)
| ||
Section 40. The Civil Administrative Code of Illinois is | ||
amended by changing Section 5-565 and by setting
forth and | ||
renumbering multiple versions of Section 5-715 as follows:
| ||
(20 ILCS 5/5-565) (was 20 ILCS 5/6.06)
| ||
Sec. 5-565. In the Department of Public Health.
| ||
(a) The General Assembly declares it to be the public | ||
policy of this
State that all citizens of Illinois are entitled | ||
to lead healthy lives.
Governmental public health has a | ||
specific responsibility to ensure that a
public health system | ||
is in place to allow the public health mission to be achieved. | ||
The public health system is the collection of public, private, | ||
and voluntary entities as well as individuals and informal | ||
associations that contribute to the public's health within the | ||
State. To
develop a public health system requires certain core |
functions to be performed by
government. The State Board of | ||
Health is to assume the leadership role in
advising the | ||
Director in meeting the following functions:
| ||
(1) Needs assessment.
| ||
(2) Statewide health objectives.
| ||
(3) Policy development.
| ||
(4) Assurance of access to necessary services.
| ||
There shall be a State Board of Health composed of 20 | ||
persons,
all of
whom shall be appointed by the Governor, with | ||
the advice and consent of the
Senate for those appointed by the | ||
Governor on and after June 30, 1998,
and one of whom shall be a
| ||
senior citizen age 60 or over. Five members shall be physicians | ||
licensed
to practice medicine in all its branches, one | ||
representing a medical school
faculty, one who is board | ||
certified in preventive medicine, and one who is
engaged in | ||
private practice. One member shall be a chiropractic physician. | ||
One member shall be a dentist; one an
environmental health | ||
practitioner; one a local public health administrator;
one a | ||
local board of health member; one a registered nurse; one a | ||
physical therapist; one an optometrist; one a
veterinarian; one | ||
a public health academician; one a health care industry
| ||
representative; one a representative of the business | ||
community; one a representative of the non-profit public | ||
interest community; and 2 shall be citizens at large.
| ||
The terms of Board of Health members shall be 3 years, | ||
except that members shall continue to serve on the Board of |
Health until a replacement is appointed. Upon the effective | ||
date of this amendatory Act of the 93rd General Assembly, in | ||
the appointment of the Board of Health members appointed to | ||
vacancies or positions with terms expiring on or before | ||
December 31, 2004, the Governor shall appoint up to 6 members | ||
to serve for terms of 3 years; up to 6 members to serve for | ||
terms of 2 years; and up to 5 members to serve for a term of one | ||
year, so that the term of no more than 6 members expire in the | ||
same year.
All members shall
be legal residents of the State of | ||
Illinois. The duties of the Board shall
include, but not be | ||
limited to, the following:
| ||
(1) To advise the Department of ways to encourage | ||
public understanding
and support of the Department's | ||
programs.
| ||
(2) To evaluate all boards, councils, committees, | ||
authorities, and
bodies
advisory to, or an adjunct of, the | ||
Department of Public Health or its
Director for the purpose | ||
of recommending to the Director one or
more of the | ||
following:
| ||
(i) The elimination of bodies whose activities
are | ||
not consistent with goals and objectives of the | ||
Department.
| ||
(ii) The consolidation of bodies whose activities | ||
encompass
compatible programmatic subjects.
| ||
(iii) The restructuring of the relationship | ||
between the various
bodies and their integration |
within the organizational structure of the
Department.
| ||
(iv) The establishment of new bodies deemed | ||
essential to the
functioning of the Department.
| ||
(3) To serve as an advisory group to the Director for
| ||
public health emergencies and
control of health hazards.
| ||
(4) To advise the Director regarding public health | ||
policy,
and to make health policy recommendations | ||
regarding priorities to the
Governor through the Director.
| ||
(5) To present public health issues to the Director and | ||
to make
recommendations for the resolution of those issues.
| ||
(6) To recommend studies to delineate public health | ||
problems.
| ||
(7) To make recommendations to the Governor through the | ||
Director
regarding the coordination of State public health | ||
activities with other
State and local public health | ||
agencies and organizations.
| ||
(8) To report on or before February 1 of each year on | ||
the health of the
residents of Illinois to the Governor, | ||
the General Assembly, and the
public.
| ||
(9) To review the final draft of all proposed | ||
administrative rules,
other than emergency or preemptory | ||
rules and those rules that another
advisory body must | ||
approve or review within a statutorily defined time
period, | ||
of the Department after September 19, 1991 (the effective | ||
date of
Public Act
87-633). The Board shall review the | ||
proposed rules within 90
days of
submission by the |
Department. The Department shall take into consideration
| ||
any comments and recommendations of the Board regarding the | ||
proposed rules
prior to submission to the Secretary of | ||
State for initial publication. If
the Department disagrees | ||
with the recommendations of the Board, it shall
submit a | ||
written response outlining the reasons for not accepting | ||
the
recommendations.
| ||
In the case of proposed administrative rules or | ||
amendments to
administrative
rules regarding immunization | ||
of children against preventable communicable
diseases | ||
designated by the Director under the Communicable Disease | ||
Prevention
Act, after the Immunization Advisory Committee | ||
has made its
recommendations, the Board shall conduct 3 | ||
public hearings, geographically
distributed
throughout the | ||
State. At the conclusion of the hearings, the State Board | ||
of
Health shall issue a report, including its | ||
recommendations, to the Director.
The Director shall take | ||
into consideration any comments or recommendations made
by | ||
the Board based on these hearings.
| ||
(10) To deliver to the Governor for presentation to the | ||
General Assembly a State Health Improvement Plan. The first | ||
3 such plans shall be delivered to the Governor on January | ||
1, 2006, January 1, 2009, and January 1, 2016 and then | ||
every 5 years thereafter. | ||
The Plan shall recommend priorities and strategies to | ||
improve the public health system and the health status of |
Illinois residents, taking into consideration national | ||
health objectives and system standards as frameworks for | ||
assessment. | ||
The Plan shall also take into consideration priorities | ||
and strategies developed at the community level through the | ||
Illinois Project for Local Assessment of Needs (IPLAN) and | ||
any regional health improvement plans that may be | ||
developed.
The Plan shall focus on prevention as a key | ||
strategy for long-term health improvement in Illinois. | ||
The Plan shall examine and make recommendations on the | ||
contributions and strategies of the public and private | ||
sectors for improving health status and the public health | ||
system in the State. In addition to recommendations on | ||
health status improvement priorities and strategies for | ||
the population of the State as a whole, the Plan shall make | ||
recommendations regarding priorities and strategies for | ||
reducing and eliminating health disparities in Illinois; | ||
including racial, ethnic, gender, age, socio-economic and | ||
geographic disparities. | ||
The Director of the Illinois Department of Public | ||
Health shall appoint a Planning Team that includes a range | ||
of public, private, and voluntary sector stakeholders and | ||
participants in the public health system. This Team shall | ||
include: the directors of State agencies with public health | ||
responsibilities (or their designees), including but not | ||
limited to the Illinois Departments of Public Health and |
Department of Human Services, representatives of local | ||
health departments, representatives of local community | ||
health partnerships, and individuals with expertise who | ||
represent an array of organizations and constituencies | ||
engaged in public health improvement and prevention. | ||
The State Board of Health shall hold at least 3 public | ||
hearings addressing drafts of the Plan in representative | ||
geographic areas of the State.
Members of the Planning Team | ||
shall receive no compensation for their services, but may | ||
be reimbursed for their necessary expenses.
| ||
Upon the delivery of each State Health Improvement | ||
Plan, the Governor shall appoint a SHIP Implementation | ||
Coordination Council that includes a range of public, | ||
private, and voluntary sector stakeholders and | ||
participants in the public health system. The Council shall | ||
include the directors of State agencies and entities with | ||
public health system responsibilities (or their | ||
designees), including but not limited to the Department of | ||
Public Health, Department of Human Services, Department of | ||
Healthcare and Family Services, Environmental Protection | ||
Agency, Illinois State Board of Education, Department on | ||
Aging, Illinois Violence Prevention Authority, Department | ||
of Agriculture, Department of Insurance, Department of | ||
Financial and Professional Regulation, Department of | ||
Transportation, and Department of Commerce and Economic | ||
Opportunity and the Chair of the State Board of Health. The |
Council shall include representatives of local health | ||
departments and individuals with expertise who represent | ||
an array of organizations and constituencies engaged in | ||
public health improvement and prevention, including | ||
non-profit public interest groups, health issue groups, | ||
faith community groups, health care providers, businesses | ||
and employers, academic institutions, and community-based | ||
organizations. The Governor shall endeavor to make the | ||
membership of the Council representative of the racial, | ||
ethnic, gender, socio-economic, and geographic diversity | ||
of the State. The Governor shall designate one State agency | ||
representative and one other non-governmental member as | ||
co-chairs of the Council. The Governor shall designate a | ||
member of the Governor's office to serve as liaison to the | ||
Council and one or more State agencies to provide or | ||
arrange for support to the Council. The members of the SHIP | ||
Implementation Coordination Council for each State Health | ||
Improvement Plan shall serve until the delivery of the | ||
subsequent State Health Improvement Plan, whereupon a new | ||
Council shall be appointed. Members of the SHIP Planning | ||
Team may serve on the SHIP Implementation Coordination | ||
Council if so appointed by the Governor. | ||
The SHIP Implementation Coordination Council shall | ||
coordinate the efforts and engagement of the public, | ||
private, and voluntary sector stakeholders and | ||
participants in the public health system to implement each |
SHIP. The Council shall serve as a forum for collaborative | ||
action; coordinate existing and new initiatives; develop | ||
detailed implementation steps, with mechanisms for action; | ||
implement specific projects; identify public and private | ||
funding sources at the local, State and federal level; | ||
promote public awareness of the SHIP; advocate for the | ||
implementation of the SHIP; and develop an annual report to | ||
the Governor, General Assembly, and public regarding the | ||
status of implementation of the SHIP. The Council shall | ||
not, however, have the authority to direct any public or | ||
private entity to take specific action to implement the | ||
SHIP.
| ||
(11) Upon the request of the Governor, to recommend to | ||
the Governor
candidates for Director of Public Health when | ||
vacancies occur in the position.
| ||
(12) To adopt bylaws for the conduct of its own | ||
business, including the
authority to establish ad hoc | ||
committees to address specific public health
programs | ||
requiring resolution.
| ||
(13) To review and comment upon the Comprehensive | ||
Health Plan submitted by the Center for Comprehensive | ||
Health Planning as provided under Section 2310-217 of the | ||
Department of Public Health Powers and Duties Law of the | ||
Civil Administrative Code of Illinois. | ||
Upon appointment, the Board shall elect a chairperson from | ||
among its
members.
|
Members of the Board shall receive compensation for their | ||
services at the
rate of $150 per day, not to exceed $10,000 per | ||
year, as designated by the
Director for each day required for | ||
transacting the business of the Board
and shall be reimbursed | ||
for necessary expenses incurred in the performance
of their | ||
duties. The Board shall meet from time to time at the call of | ||
the
Department, at the call of the chairperson, or upon the | ||
request of 3 of its
members, but shall not meet less than 4 | ||
times per year.
| ||
(b) (Blank).
| ||
(c) An Advisory Board on Necropsy Service to Coroners, | ||
which shall
counsel and advise with the Director on the | ||
administration of the Autopsy
Act. The Advisory Board shall | ||
consist of 11 members, including
a senior citizen age 60 or | ||
over, appointed by the Governor, one of
whom shall be | ||
designated as chairman by a majority of the members of the
| ||
Board. In the appointment of the first Board the Governor shall | ||
appoint 3
members to serve for terms of 1 year, 3 for terms of 2 | ||
years, and 3 for
terms of 3 years. The members first appointed | ||
under Public Act 83-1538 shall serve for a term of 3 years. All | ||
members appointed thereafter
shall be appointed for terms of 3 | ||
years, except that when an
appointment is made
to fill a | ||
vacancy, the appointment shall be for the remaining
term of the | ||
position vacant. The members of the Board shall be citizens of
| ||
the State of Illinois. In the appointment of members of the | ||
Advisory Board
the Governor shall appoint 3 members who shall |
be persons licensed to
practice medicine and surgery in the | ||
State of Illinois, at least 2 of whom
shall have received | ||
post-graduate training in the field of pathology; 3
members who | ||
are duly elected coroners in this State; and 5 members who
| ||
shall have interest and abilities in the field of forensic | ||
medicine but who
shall be neither persons licensed to practice | ||
any branch of medicine in
this State nor coroners. In the | ||
appointment of medical and coroner members
of the Board, the | ||
Governor shall invite nominations from recognized medical
and | ||
coroners organizations in this State respectively. Board | ||
members, while
serving on business of the Board, shall receive | ||
actual necessary travel and
subsistence expenses while so | ||
serving away from their places of residence.
| ||
(Source: P.A. 96-31, eff. 6-30-09; 96-455, eff. 8-14-09; | ||
96-1000, eff. 7-2-10; 96-1153, eff. 7-21-10; 97-734, eff. | ||
1-1-13; 97-810, eff. 1-1-13; revised 7-23-12.)
| ||
(20 ILCS 5/5-715) | ||
Sec. 5-715. Expedited licensure for service members and | ||
spouses. | ||
(a) In this Section, "service member" means any person who, | ||
at the time of application under this Section, is an active | ||
duty member of the United States Armed Forces or any reserve | ||
component of the United States Armed Forces or the National | ||
Guard of any state, commonwealth, or territory of the United | ||
States or the District of Columbia or whose active duty service |
concluded within the preceding 2 years before application. | ||
(b) Each director of a department that issues an | ||
occupational or professional license is authorized to and shall | ||
issue an expedited temporary occupational or professional | ||
license to a service member who meets the requirements under | ||
this Section. The temporary occupational or professional | ||
license shall be valid for 6 months after the date of issuance | ||
or until a license is granted or a notice to deny a license is | ||
issued in accordance with rules adopted by the department | ||
issuing the license, whichever occurs first. No temporary | ||
occupational or professional license shall be renewed. The | ||
service member shall apply to the department on forms provided | ||
by the department. An application must include proof that: | ||
(1) the applicant is a service member; | ||
(2) the applicant holds a valid license in good | ||
standing for the occupation or profession issued by another | ||
state, commonwealth, possession, or territory of the | ||
United States, the District of Columbia, or any foreign | ||
jurisdiction and the requirements for licensure in the | ||
other jurisdiction are determined by the department to be | ||
substantially equivalent to the standards for licensure of | ||
this State; | ||
(3) the applicant is assigned to a duty station in this | ||
State or has established legal residence in this State; | ||
(4) a complete set of the applicant's fingerprints has | ||
been submitted to the Department of State Police for |
statewide and national criminal history checks, if | ||
applicable to the requirements of the department issuing | ||
the license; the applicant shall pay the fee to the | ||
Department of State Police or to the fingerprint vendor for | ||
electronic fingerprint processing; no temporary | ||
occupational or professional license shall be issued to an | ||
applicant if the statewide or national criminal history | ||
check discloses information that would cause the denial of | ||
an application for licensure under any applicable | ||
occupational or professional licensing Act; | ||
(5) the applicant is not ineligible for licensure | ||
pursuant to Section 2105-165 of the Civil Administrative | ||
Code of Illinois; | ||
(6) the applicant has submitted an application for full | ||
licensure; and | ||
(7) the applicant has paid the required fee; fees shall | ||
not be refundable. | ||
(c) Each director of a department that issues an | ||
occupational or professional license is authorized to and shall | ||
issue an expedited temporary occupational or professional | ||
license to the spouse of a service member who meets the | ||
requirements under this Section. The temporary occupational or | ||
professional license shall be valid for 6 months after the date | ||
of issuance or until a license is granted or a notice to deny a | ||
license is issued in accordance with rules adopted by the | ||
department issuing the license, whichever occurs first. No |
temporary occupational or professional license shall be | ||
renewed. The spouse of a service member shall apply to the | ||
department on forms provided by the department. An application | ||
must include proof that: | ||
(1) the applicant is the spouse of a service member; | ||
(2) the applicant holds a valid license in good | ||
standing for the occupation or profession issued by another | ||
state, commonwealth, possession, or territory of the | ||
United States, the District of Columbia, or any foreign | ||
jurisdiction and the requirements for licensure in the | ||
other jurisdiction are determined by the department to be | ||
substantially equivalent to the standards for licensure of | ||
this State; | ||
(3) the applicant's spouse is assigned to a duty | ||
station in this State or has established legal residence in | ||
this State; | ||
(4) a complete set of the applicant's fingerprints has | ||
been submitted to the Department of State Police for | ||
statewide and national criminal history checks, if | ||
applicable to the requirements of the department issuing | ||
the license; the applicant shall pay the fee to the | ||
Department of State Police or to the fingerprint vendor for | ||
electronic fingerprint processing; no temporary | ||
occupational or professional license shall be issued to an | ||
applicant if the statewide or national criminal history | ||
check discloses information that would cause the denial of |
an application for licensure under any applicable | ||
occupational or professional licensing Act; | ||
(5) the applicant is not ineligible for licensure | ||
pursuant to Section 2105-165 of the Civil Administrative | ||
Code of Illinois; | ||
(6) the applicant has submitted an application for full | ||
licensure; and | ||
(7) the applicant has paid the required fee; fees shall | ||
not be refundable. | ||
(d) All relevant experience of a service member in the | ||
discharge of official duties, including full-time and | ||
part-time experience, shall be credited in the calculation of | ||
any years of practice in an occupation or profession as may be | ||
required under any applicable occupational or professional | ||
licensing Act. All relevant training provided by the military | ||
and completed by a service member shall be credited to that | ||
service member as meeting any training or education requirement | ||
under any applicable occupational or professional licensing | ||
Act, provided that the training or education is determined by | ||
the department to be substantially equivalent to that required | ||
under any applicable Act and is not otherwise contrary to any | ||
other licensure requirement. | ||
(e) A department may adopt any rules necessary for the | ||
implementation and administration of this Section and shall by | ||
rule provide for fees for the administration of this Section.
| ||
(Source: P.A. 97-710, eff. 1-1-13.) |
(20 ILCS 5/5-716) | ||
Sec. 5-716 5-715 . Deadline extensions for service members. | ||
(a) In this Section: | ||
"Military service" means any full-time training or duty, no | ||
matter how described under federal or State law, for which a | ||
service member is ordered to report by the President, Governor | ||
of a state, commonwealth, or territory of the United States, or | ||
other appropriate military authority. | ||
"Service member" means a resident of Illinois who is a | ||
member of any component of the U.S. Armed Forces or the | ||
National Guard of any state, the District of Columbia, a | ||
commonwealth, or a territory of the United States. | ||
(b) Each director of a department is authorized to extend | ||
any deadline established by that director or department for a | ||
service member who has entered military service in excess of 29 | ||
consecutive days. The director may extend the deadline for a | ||
period not more than twice the length of the service member's | ||
required military service.
| ||
(Source: P.A. 97-913, eff. 1-1-13; revised 9-10-12.) | ||
Section 45. The Alcoholism and Other Drug Abuse and | ||
Dependency Act is amended by changing Section 50-10 as follows:
| ||
(20 ILCS 301/50-10)
| ||
Sec. 50-10. Alcoholism Alcohol and Substance Abuse Fund. |
Monies received from the
federal government, except monies | ||
received under the Block Grant for the
Prevention and Treatment | ||
of Alcoholism and Substance Abuse, and other gifts or
grants | ||
made by any person to the fund shall be deposited into the | ||
Alcoholism Alcohol and
Substance Abuse Fund which is hereby | ||
created as a special fund in the State
treasury. Monies in this | ||
fund shall be appropriated to the Department and
expended for | ||
the purposes and activities specified by the person, | ||
organization
or federal agency making the gift or grant.
| ||
(Source: P.A. 88-80; revised 10-17-12.)
| ||
Section 50. The Children and Family Services Act is amended | ||
by changing Section 7.4 as follows:
| ||
(20 ILCS 505/7.4)
| ||
Sec. 7.4. Development and preservation of sibling | ||
relationships for children in care; placement of siblings; | ||
contact among siblings placed apart.
| ||
(a) Purpose and policy. The General Assembly recognizes | ||
that sibling relationships are unique and essential for a | ||
person, but even more so for children who are removed from the | ||
care of their families and placed in the State child welfare | ||
system. When family separation occurs through State | ||
intervention, every effort must be made to preserve, support | ||
and nurture sibling relationships when doing so is in the best | ||
interest of each sibling. It is in the interests of foster |
children who are part of a sibling group to enjoy contact with | ||
one another, as long as the contact is in each child's best | ||
interest. This is true both while the siblings are in State | ||
care and after one or all of the siblings leave State care | ||
through adoption, guardianship, or aging out.
| ||
(b) Definitions. For purposes of this Section: | ||
(1) Whenever a best interest determination is required | ||
by this Section, the
Department shall consider the factors | ||
set out in subsection (4.05) 4.05 of Section 1-3 of
or the | ||
Juvenile Court Act of 1987 and the Department's rules | ||
regarding
Sibling Placement, 89 111. Admin. Code 301.70 and | ||
Sibling Visitation, 89 111.
Admin. Code 301.220, and the | ||
Department's rules regarding Placement
Selection | ||
Criteria , . 89 111. Admin. Code 301.60. | ||
(2) "Adopted child" means a child who, immediately | ||
preceding the adoption, was
in the custody or guardianship | ||
of the Illinois Department of Children and
Family Services | ||
under Article II of the Juvenile Court Act of 1987. | ||
(3) "Adoptive parent" means a person who has become a | ||
parent through the legal
process of adoption. | ||
(4) "Child" means a person in the temporary custody or | ||
guardianship of the
Department who is under the age of 21. | ||
(5) "Child placed in private guardianship" means a | ||
child who, immediately
preceding the guardianship, was in | ||
the custody or guardianship of the Illinois
Department of | ||
Children and Family Services under Article II of the |
Juvenile
Court Act. | ||
(6) "Contact" may include, but is not limited to | ||
visits, telephone calls, letters,
sharing of photographs | ||
or information, e-mails, video conferencing, and other | ||
form of communication or contact. | ||
(7) "Legal guardian" means a person who has become the | ||
legal guardian of a
child who, immediately prior to the | ||
guardianship, was in the custody or
guardianship of the | ||
Illinois Department of Children and Family Services
under | ||
Article II of the Juvenile Court Act of 1987. | ||
(8) "Parent" means the child's mother or father who is | ||
named as the respondent in
proceedings conducted under | ||
Article II of the Juvenile Court Act of 1987. | ||
(9) "Post Permanency Sibling Contact" means contact | ||
between siblings following
the entry of a Judgment Order | ||
for Adoption under Section 14 of the
Adoption Act regarding | ||
at least one sibling or an Order for Guardianship
| ||
appointing a private guardian under Section 2-27 or the | ||
Juvenile Court Act of 1987,
regarding at least one sibling. | ||
Post Permanency Sibling Contact may include,
but is not | ||
limited to, visits, telephone calls, letters, sharing of | ||
photographs or
information, emails, video conferencing, | ||
and other form of
communication or connection agreed to by | ||
the parties to a Post Permanency
Sibling Contact Agreement. | ||
(10) "Post Permanency Sibling Contact Agreement" means | ||
a written agreement
between the adoptive parent or parents, |
the child, and the child's sibling
regarding post | ||
permanency contact between the adopted child and the | ||
child's
sibling, or a written agreement between the legal | ||
guardians, the child, and the
child's sibling regarding | ||
post permanency contact between the child placed in
| ||
guardianship and the child's sibling. The Post Permanency | ||
Sibling Contact
Agreement may specify the nature and | ||
frequency of contact between the
adopted child or child | ||
placed in guardianship and the child's sibling
following | ||
the entry of the Judgment Order for Adoption or Order for | ||
Private
Guardianship. The Post Permanency Sibling Contact | ||
Agreement may be
supported by services as specified in this | ||
Section. The Post Permanency Sibling Contact Agreement is | ||
voluntary
on the part of the parties to the Post Permanency | ||
Sibling Contact Agreement
and is not a requirement for | ||
finalization of the child's adoption or
guardianship. The | ||
Post Permanency Sibling Contract Agreement shall not be | ||
enforceable in any court of law or administrative forum and | ||
no cause of action shall be brought to enforce the | ||
Agreement. When entered into, the Post Permanency Sibling | ||
Contact
Agreement shall be placed in the child's Post | ||
Adoption or Guardianship case
record and in the case file | ||
of a sibling who is a party to the agreement and who
| ||
remains in the Department's custody or guardianship. | ||
(11) "Sibling Contact Support Plan" means a written | ||
document that sets forth
the plan for future contact |
between siblings who are in the Department's care
and | ||
custody and residing separately. The goal of the Support | ||
Plan is to
develop or preserve and nurture the siblings' | ||
relationships. The Support Plan
shall set forth the role of | ||
the foster parents, caregivers, and others in
implementing | ||
the Support Plan. The Support Plan must meet the minimum
| ||
standards regarding frequency of in-person visits provided | ||
for in Department
rule. | ||
(12) "Siblings" means children who share at least one | ||
parent in common. This definition of siblings
applies | ||
solely for purposes of placement and contact under this | ||
Section. For
purposes of this Section, children who share | ||
at least one parent in common
continue to be siblings after | ||
their parent's parental rights are terminated, if parental | ||
rights were terminated while a petition under Article II of | ||
the
Juvenile Court Act of 1987 was pending. For purposes of | ||
this Section, children who
share at least one parent in | ||
common continue to be siblings after a sibling is
adopted | ||
or placed in private guardianship when the adopted child or | ||
child
placed in private guardianship was in the | ||
Department's custody or
guardianship under Article II of | ||
the Juvenile Court Act of 1987 immediately
prior to the | ||
adoption or private guardianship. For children who have | ||
been in the guardianship of the Department under
Article II | ||
of the Juvenile Court Act of 1987, have been adopted, and | ||
are subsequently
returned to the temporary custody or |
guardianship of the Department under Article II of the | ||
Juvenile Court Act of 1987, "siblings" includes a person | ||
who
would have been considered a sibling prior to the | ||
adoption and siblings
through adoption. | ||
(c) No later than January 1, 2013, the Department shall | ||
promulgate rules addressing the
development and preservation | ||
of sibling relationships. The rules shall address, at a
| ||
minimum: | ||
(1) Recruitment, licensing, and support of foster | ||
parents willing and
capable of either fostering sibling | ||
groups or supporting and being
actively involved in | ||
planning and executing sibling contact for siblings
placed | ||
apart. The rules shall address training for foster parents,
| ||
licensing workers, placement workers, and others as deemed
| ||
necessary. | ||
(2) Placement selection for children who are separated | ||
from their siblings
and how to best promote placements of | ||
children with foster parents or
programs that can meet the | ||
children's childrens' needs, including the need to
develop | ||
and maintain contact with siblings. | ||
(3) State-supported guidance to siblings who have aged | ||
out of state
care regarding positive engagement with | ||
siblings. | ||
(4) Implementation of Post Permanency Sibling Contact
| ||
Agreements for children exiting State care, including | ||
services
offered by the Department to encourage and assist |
parties in
developing agreements, services offered by the | ||
Department post permanency
post-permanency to support | ||
parties in implementing and
maintaining agreements, and | ||
including services offered by the
Department post | ||
permanency post-permanency to assist parties in amending
| ||
agreements as necessary to meet the needs of the children. | ||
(5) Services offered by the Department for children who | ||
exited foster care prior to the availability of Post | ||
Permanency Post-Permanency Sibling Contact Agreements, to | ||
invite willing parties to participate in a facilitated | ||
discussion, including, but not limited to, a mediation or | ||
joint team decision-making meeting, to explore sibling | ||
contact.
| ||
(d) The Department shall develop a form to be provided to | ||
youth entering care and exiting
care explaining their rights | ||
and responsibilities related to sibling visitation while in | ||
care and post permanency. | ||
(e) Whenever a child enters care or requires a new | ||
placement, the Department shall consider the development and | ||
preservation of sibling relationships. | ||
(1) This subsection applies when a child entering care | ||
or requiring a change of placement has siblings who are in | ||
the custody or guardianship of the Department. When a child | ||
enters care or requires a new placement, the Department | ||
shall examine its files and other available resources and | ||
determine whether a sibling of that child is in the custody |
or guardianship of the Department. If the Department | ||
determines that a sibling is in its custody or | ||
guardianship, the Department shall then determine whether | ||
it is in the best interests of each of the siblings for the | ||
child needing placement to be placed with the sibling. If | ||
the Department determines that it is in the best interest | ||
of each sibling to be placed together, and the sibling's | ||
foster parent is able and willing to care for the child | ||
needing placement, the Department shall place the child | ||
needing placement with the sibling. A determination that it | ||
is not in a child's best interest to be placed with a | ||
sibling shall be made in accordance with Department rules, | ||
and documented in the file of each sibling. | ||
(2) This subsection applies when a child who is | ||
entering care has siblings who
have been adopted or placed | ||
in private guardianship. When a child enters care,
the | ||
Department shall examine its files and other available | ||
resources, including
consulting with the child's parents, | ||
to determine whether a sibling of the child
was adopted or | ||
placed in private guardianship from State care. The
| ||
Department shall determine, in consultation with the | ||
child's parents, whether
it would be in the child's best | ||
interests to explore placement with the adopted
sibling or | ||
sibling in guardianship. Unless the parent objects, if the
| ||
Department determines it is in the child's best interest to | ||
explore the
placement, the Department shall contact the |
adoptive parents parent or guardians guardian of the
| ||
sibling, determine whether they are willing to be | ||
considered as placement resources for the child, and, if | ||
so, determine whether it is in the best interests
of the | ||
child to be placed in the home with the sibling. If the | ||
Department
determines that it is in the child's best | ||
interests to be placed in the home with
the sibling, and | ||
the sibling's adoptive parents or guardians are willing and
| ||
capable, the Department shall make the placement. A | ||
determination that it is
not in a child's best interest to | ||
be placed with a sibling shall be made in
accordance with | ||
Department rule, and documented in the child's file. | ||
(3) This subsection applies when a child in Department | ||
custody or guardianship
requires a change of placement, and | ||
the child has siblings who have been
adopted or placed in | ||
private guardianship. When a child in care requires a new
| ||
placement, the Department may consider placing the child | ||
with the adoptive
parent or guardian of a sibling under the | ||
same procedures and standards
set forth in paragraph (2) of | ||
this subsection. | ||
(4) When the Department determines it is not in the | ||
best interest of one or more
siblings to be placed together | ||
the Department shall ensure that the child
requiring | ||
placement is placed in a home or program where the | ||
caregiver is
willing and able to be actively involved in | ||
supporting the sibling relationship
to the extent doing so |
is in the child's best interest. | ||
(f) When siblings in care are placed in separate | ||
placements, the Department shall develop a
Sibling Contact | ||
Support Plan. The Department shall convene a meeting to develop | ||
the
Support Plan. The meeting shall include, at a minimum, the | ||
case managers for the
siblings, the foster parents or other | ||
care providers if a child is in a non-foster home
placement and | ||
the child, when developmentally and clinically appropriate. | ||
The
Department shall make all reasonable efforts to promote the | ||
participation of the foster
parents. Parents whose parental | ||
rights are intact shall be invited to the meeting. Others,
such | ||
as therapists and mentors, shall be invited as appropriate. The | ||
Support Plan shall set
forth future contact and visits between | ||
the siblings to develop or preserve, and nurture the
siblings' | ||
relationships. The Support Plan shall set forth the role of the | ||
foster parents and
caregivers and others in implementing the | ||
Support Plan. The Support Plan must meet the
minimum standards | ||
regarding frequency of in-person visits provided for in | ||
Department
rule. The Support Plan will be incorporated in the | ||
child's service plan and reviewed at
each administrative case | ||
review. The Support Plan should be modified if one of the
| ||
children moves to a new placement, or as necessary to meet the | ||
needs of the children. The Sibling Contact Support Plan for a | ||
child in care may include siblings who are not in the care of | ||
the Department, with the consent and participation of that | ||
child's parent or guardian. |
(g) By January 1, 2013, the Department shall develop a | ||
registry so that placement
information regarding adopted | ||
siblings and siblings in private guardianship is readily
| ||
available to Department and private agency caseworkers | ||
responsible for placing children
in the Department's care. When | ||
a child is adopted or placed in private guardianship from
| ||
foster care the Department shall inform the adoptive parents or | ||
guardians that they may be contacted in the future regarding | ||
placement of or contact with , siblings subsequently requiring | ||
placement. | ||
(h) When a child is in need of an adoptive placement, the | ||
Department shall examine its files and other available | ||
resources and attempt to determine whether a sibling of the | ||
child has been adopted or placed in private guardianship after | ||
being in the Department's custody or guardianship. If the | ||
Department determines that a sibling of the child has been | ||
adopted or placed in private guardianship, the Department shall | ||
make a good faith effort to locate the adoptive parents or | ||
guardians of the sibling and inform them of the availability of | ||
the child for adoption. The Department may determine not to | ||
inform the adoptive parents or guardians guardian of a sibling | ||
of a child that the child is available for adoption only for a | ||
reason permitted under criteria adopted by the Department by | ||
rule, and documented in the child's case file. If a child | ||
available for adoption has a sibling who has been adopted or | ||
placed in guardianship, and the adoptive parents or guardians |
of that sibling apply to adopt the child, the Department shall | ||
consider them as adoptive applicants for the adoption of the | ||
child. The Department's final decision as to whether it will | ||
consent to the adoptive parents or guardians of a sibling being | ||
the adoptive parents of the child shall be based upon the | ||
welfare and best interest of the child. In arriving at its | ||
decision, the Department shall consider all relevant factors, | ||
including but not limited to: | ||
(1) the wishes of the child; | ||
(2) the interaction and interrelationship of the child | ||
with the applicant to adopt the child; | ||
(3) the child's need for stability and continuity of | ||
relationship with parent figures; | ||
(4) the child's adjustment to his or her present home, | ||
school, and community; | ||
(5) the mental and physical health of all individuals | ||
involved; | ||
(6) the family ties between the child and the child's | ||
relatives, including siblings; | ||
(7) the background, age, and living arrangements of the | ||
applicant to adopt the child; | ||
(8) a criminal background report of the applicant to | ||
adopt the child. | ||
If placement of the child available for adoption with the | ||
adopted sibling or sibling in private guardianship is not | ||
feasible, but it is in the child's best interest to develop a |
relationship with his or her sibling, the Department shall | ||
invite the adoptive parents, guardian, or guardians for a | ||
mediation or joint team decision-making meeting to facilitate a | ||
discussion regarding future sibling contact. | ||
(i) Post Permanency Sibling Contact Agreement. When a child | ||
in the Department's care
has a permanency goal of adoption or | ||
private guardianship, and the Department is
preparing to | ||
finalize the adoption or guardianship, the Department shall | ||
convene a
meeting with the pre-adoptive parent or prospective | ||
guardian and the case manager for
the child being adopted or | ||
placed in guardianship and the foster parents and case
managers | ||
for the child's siblings, and others as applicable. The | ||
children should participate as is
developmentally appropriate. | ||
Others, such as therapists and mentors, may participate as
| ||
appropriate. At the meeting the Department shall encourage the | ||
parties to discuss
sibling contact post permanency. The | ||
Department may assist the parties in drafting a
Post Permanency | ||
Sibling Contact Agreement. | ||
(1) Parties to the Agreement for Post Permanency | ||
Sibling Contact Agreement shall
include: | ||
(A) The adoptive parent or parents or guardian. | ||
(B) The child's sibling or siblings, parents or | ||
guardians. | ||
(C) The child. | ||
(2) Consent of child 14 and over. The written consent | ||
of a child age 14 and over to
the terms and conditions of |
the Post Permanency Sibling Contact Agreement and
| ||
subsequent modifications is required. | ||
(3) In developing this Agreement, the Department shall | ||
encourage the parties to
consider the following factors: | ||
(A) the physical and emotional safety and welfare | ||
of the child; | ||
(B) the child's wishes; | ||
(C) the interaction and interrelationship of the | ||
child with the child's sibling or siblings
who would be | ||
visiting or communicating with the child, including: | ||
(i) the
quality of the relationship between | ||
the child and the sibling or siblings, and | ||
(ii) the
benefits and potential harms to the | ||
child in allowing the relationship or | ||
relationships to
continue or in ending them; | ||
(D) the child's sense of attachments to the birth | ||
sibling or siblings and adoptive family,
including: | ||
(i) the child's sense of being valued; | ||
(ii) the child's sense of familiarity; and | ||
(iii) continuity of affection for the child; | ||
and | ||
(E) other factors relevant to the best interest of | ||
the child. | ||
(4) In considering the factors in paragraph (3) of this | ||
subsection, the Department shall encourage the
parties to | ||
recognize the importance to a child of developing a |
relationship with
siblings including siblings with whom | ||
the child does not yet have a relationship;
and the value | ||
of preserving family ties between the child and the child's | ||
siblings,
including: | ||
(A) the child's need for stability and continuity | ||
of relationships with
siblings, and | ||
(B) the importance of sibling contact in the | ||
development of the
child's identity. | ||
(5) Modification or termination of Post Permanency | ||
Sibling Contact Agreement. The
parties to the agreement may | ||
modify or terminate the Post Permanency Sibling
Contact | ||
Agreement. If the parties cannot agree to modification or | ||
termination,
they may request the assistance of the | ||
Department of Children and Family
Services or another | ||
agency identified and agreed upon by the parties to the | ||
Post
Permanency Sibling Contact Agreement. Any and all | ||
terms may be modified by
agreement of the parties. Post | ||
Permanency Sibling Contact Agreements may also
be modified | ||
to include contact with siblings whose whereabouts were | ||
unknown or
who had not yet been born when the Judgment | ||
Order for Adoption or Order for
Private Guardianship was | ||
entered. | ||
(6) Adoptions and private guardianships finalized | ||
prior to the effective date of amendatory Act. Nothing in | ||
this Section prohibits the parties from entering into a | ||
Post
Permanency Sibling Contact Agreement if the adoption |
or private guardianship
was finalized prior to the | ||
effective date of this Section. If the Agreement is
| ||
completed and signed by the parties, the Department shall | ||
include the Post
Permanency Sibling Contact Agreement in | ||
the child's Post Adoption or Private
Guardianship case | ||
record and in the case file of siblings who are parties to | ||
the
agreement who are in the Department's custody or | ||
guardianship.
| ||
(Source: P.A. 97-1076, eff. 8-24-12; revised 10-10-12.)
| ||
Section 55. The Department of Commerce and Economic | ||
Opportunity Law of the
Civil Administrative Code of Illinois is | ||
amended by changing Sections 605-332 and 605-1015 as follows:
| ||
(20 ILCS 605/605-332)
| ||
Sec. 605-332. Financial assistance to energy generation | ||
facilities.
| ||
(a) As used in this Section:
| ||
"New electric generating facility" means a | ||
newly-constructed electric
generation plant or a newly | ||
constructed generation capacity expansion at an
existing | ||
facility, including the transmission lines and associated | ||
equipment
that transfers electricity from points of supply to | ||
points of delivery, and for
which foundation construction | ||
commenced not sooner than July 1, 2001, which is
designed to | ||
provide baseload electric generation operating on a continuous
|
basis throughout the year and:
| ||
(1) has an aggregate rated generating capacity
of at
| ||
least 400 megawatts for all new units at one site, uses | ||
coal or gases derived
from coal as its primary fuel
source, | ||
and supports the creation of at least 150 new Illinois coal | ||
mining
jobs; or
| ||
(2) is funded through a federal Department of Energy | ||
grant before December 31, 2010 and supports the
creation of
| ||
Illinois
coal-mining jobs; or | ||
(3) uses coal gasification or integrated | ||
gasification-combined cycle
units that generate | ||
electricity or chemicals, or both, and supports the
| ||
creation of
Illinois
coal-mining jobs.
| ||
"New gasification facility" means a newly constructed coal | ||
gasification facility that generates chemical feedstocks or | ||
transportation fuels derived from coal (which may include, but | ||
are not limited to, methane, methanol, and nitrogen | ||
fertilizer), that supports the creation or retention of | ||
Illinois coal-mining jobs, and that qualifies for financial | ||
assistance from the Department before December 31, 2010. A new | ||
gasification facility does not include a pilot project located | ||
within Jefferson County or within a county adjacent to | ||
Jefferson County for synthetic natural gas from coal.
| ||
"New facility" means a new electric generating facility or | ||
a new gasification facility. A new facility does not include a | ||
pilot project located within Jefferson County or within a |
county adjacent to Jefferson County for synthetic natural gas | ||
from coal.
| ||
"Eligible business" means an entity that proposes to | ||
construct a new facility and that has applied to the Department | ||
to receive financial
assistance pursuant to this Section.
With | ||
respect to use and occupation taxes, wherever there is a | ||
reference to
taxes, that reference means only those taxes paid | ||
on Illinois-mined coal used
in
a new facility.
| ||
"Department" means the Illinois Department of Commerce and
| ||
Economic Opportunity.
| ||
(b) The Department is authorized to
provide financial | ||
assistance to eligible businesses for new
facilities from funds | ||
appropriated by the General Assembly as further provided
in | ||
this Section.
| ||
An eligible business seeking qualification for financial | ||
assistance for
a new facility, for purposes of this Section | ||
only, shall
apply to the Department in the manner specified by | ||
the Department. Any
projections provided by an eligible | ||
business as part of the application shall
be independently | ||
verified in a manner as set forth by the Department. An
| ||
application shall include, but not
be limited to:
| ||
(1) the projected or actual completion date of the new | ||
facility
for which financial assistance is sought;
| ||
(2) copies of documentation deemed
acceptable by the | ||
Department establishing either (i) the total State
| ||
occupation
and use taxes paid on Illinois-mined coal used |
at the new facility for a minimum of 4 preceding calendar | ||
quarters or (ii)
the projected amount of State occupation | ||
and use taxes paid on Illinois-mined
coal used at the new | ||
facility in 4 calendar year quarters
after completion of | ||
the new facility.
Bond proceeds subject to this Section | ||
shall not be allocated to an
eligible business until the | ||
eligible business has demonstrated the revenue
stream | ||
sufficient to service the debt on the bonds; and
| ||
(3) the actual or projected amount of capital | ||
investment by the
eligible business
in the new facility.
| ||
The Department shall determine the maximum amount of | ||
financial
assistance for eligible businesses in accordance | ||
with this paragraph. The
Department shall not provide financial | ||
assistance from general obligation bond
funds to any eligible | ||
business
unless it receives a written certification from the | ||
Director of the
Bureau of
the Budget
(now Governor's Office of | ||
Management and Budget)
that 80% of the State occupation and use | ||
tax receipts for a minimum
of the
preceding 4 calendar quarters | ||
for all eligible businesses or as included in
projections on | ||
approved applications by eligible businesses equal or exceed
| ||
110% of the maximum annual debt service required with respect | ||
to general
obligation bonds issued for that purpose. The | ||
Department may provide
financial assistance not to exceed the | ||
amount of State general obligation
debt calculated as above, | ||
the amount of actual or projected capital
investment in the | ||
facility, or $100,000,000, whichever is less.
Financial |
assistance received pursuant to this Section may be used
for | ||
capital facilities consisting of buildings, structures, | ||
durable equipment,
and land at the new facility. Subject to the | ||
provisions
of the agreement covering the financial assistance, | ||
a portion of the financial
assistance may be required to be | ||
repaid to the State if certain conditions for
the governmental | ||
purpose of the assistance were not met.
| ||
An eligible business shall file a monthly report with the
| ||
Illinois Department of Revenue stating the amount of | ||
Illinois-mined coal
purchased during
the previous month for use | ||
in the new facility, the
purchase price of that coal, the | ||
amount of State
occupation and use taxes paid on that purchase | ||
to the seller of the
Illinois-mined coal, and
such other
| ||
information as that Department may reasonably require. In sales | ||
of
Illinois-mined coal between related parties, the purchase | ||
price of the coal
must have been determined in an arm's-length | ||
arms-length transaction. The report shall be
filed with the | ||
Illinois Department of Revenue on or before the 20th day of
| ||
each month on a form provided by that Department. However, no | ||
report
need be filed by an eligible business in a month when it | ||
made
no reportable purchases of coal in the previous month.
The | ||
Illinois Department of Revenue shall provide a summary of such | ||
reports to
the
Governor's Office of Management and Budget.
| ||
Upon granting financial assistance to an eligible | ||
business, the Department
shall certify the name of the eligible | ||
business to the Illinois Department of
Revenue. Beginning with |
the receipt of the first report of State occupation
and use | ||
taxes paid by an
eligible business and continuing for a 25-year | ||
period, the Illinois Department
of Revenue shall each month pay | ||
into the Energy Infrastructure Fund 80% of the
net revenue | ||
realized from the 6.25% general rate on the selling price of
| ||
Illinois-mined coal that was sold to an eligible business.
| ||
(Source: P.A. 94-65, eff. 6-21-05; 94-1030, eff. 7-14-06; | ||
95-18, eff. 7-30-07; revised 10-10-12.)
| ||
(20 ILCS 605/605-1015) | ||
Sec. 605-1015. Farmers' markets held in convention | ||
centers. To encourage convention center boards and other public | ||
or private entities that operate convention centers throughout | ||
the State to provide convention center space at a reduced rate | ||
or without charge to local farmers' markets to use the space to | ||
hold the market when inclement weather prevents holding the | ||
market at its regular outdoor location. For purposes of this | ||
Section, "farmers' market " has the meaning set forth in the | ||
Farmers' Market Technology Improvement Program Act.
| ||
(Source: P.A. 97-1015, eff. 1-1-13; revised 10-10-12.) | ||
Section 60. The Business Assistance and Regulatory Reform | ||
Act is amended by changing Section 10 as follows:
| ||
(20 ILCS 608/10)
| ||
Sec. 10. Executive Office. There is created an Office of |
Business
Permits and Regulatory Assistance (hereinafter | ||
referred to as "office")
within the Department of Commerce and | ||
Community Affairs (now Department of Commerce and Economic | ||
Community Opportunity)
which shall consolidate existing | ||
programs
throughout State government, provide assistance to | ||
businesses with fewer than
500
employees in meeting State | ||
requirements for doing business and perform other
functions | ||
specified in this Act.
By March 1, 1994, the office shall | ||
complete and file with the Governor and the
General Assembly a | ||
plan for the implementation of this Act. Thereafter, the
office | ||
shall carry out the provisions of this Act, subject to funding
| ||
through appropriation.
| ||
(Source: P.A. 94-793, eff. 5-19-06; revised 10-10-12.)
| ||
Section 65. The Economic Development Area Tax Increment | ||
Allocation Act is amended by changing Section 7 as follows:
| ||
(20 ILCS 620/7) (from Ch. 67 1/2, par. 1007)
| ||
Sec. 7. Creation of special tax allocation fund. If a | ||
municipality
has adopted tax increment allocation financing | ||
for an economic development
project area by ordinance, the | ||
county clerk has thereafter certified the "total
initial | ||
equalized assessed value" of the taxable real property within | ||
such
economic development project area in the manner provided | ||
in Section 6 of this
Act, and the Department has approved and | ||
certified the economic development
project area, each year |
after the date of the certification by the county clerk
of the | ||
"total initial equalized assessed value" until economic | ||
development
project costs and all municipal obligations | ||
financing economic development
project costs have been paid, | ||
the ad valorem taxes, if any, arising from the
levies upon the | ||
taxable real property in the economic development project area
| ||
by taxing districts and tax rates determined in the manner | ||
provided in
subsection (b) of Section 6 of this Act shall be | ||
divided as follows:
| ||
(1) That portion of the taxes levied upon each taxable lot, | ||
block, tract
or parcel of real property which is attributable | ||
to the lower of the current
equalized assessed value or the | ||
initial equalized assessed value of each such
taxable lot, | ||
block, tract, or parcel of real property existing at the time | ||
tax
increment allocation financing was adopted, shall be | ||
allocated to and when
collected shall be paid by the county | ||
collector to the respective affected
taxing districts in the | ||
manner required by law in the absence of the adoption
of tax | ||
increment allocation financing.
| ||
(2) That portion, if any, of those taxes which is | ||
attributable to the
increase in the current equalized assessed | ||
valuation of each taxable lot,
block, tract, or parcel of real | ||
property in the economic development project
area, over and | ||
above the initial equalized assessed value of each property
| ||
existing at the time tax increment allocation financing was | ||
adopted,
shall be allocated to and when collected shall be paid |
to the municipal
treasurer, who shall deposit those taxes into | ||
a special fund called the special
tax allocation fund of the | ||
municipality for the purpose of paying economic
development | ||
project costs and obligations incurred in the payment thereof.
| ||
The municipality, by an ordinance adopting tax increment | ||
allocation
financing, may pledge the funds in and to be | ||
deposited in the special tax
allocation fund for the payment of | ||
obligations issued under this Act and for
the payment of | ||
economic development project costs. No part of the current
| ||
equalized assessed valuation of each property in the economic | ||
development
project area attributable to any increase above the | ||
total initial equalized
assessed value, of such properties | ||
shall be used in calculating the general
State school aid | ||
formula, provided for in Section 18-8 of the School Code,
until | ||
such time as all economic development projects costs have been | ||
paid as
provided for in this Section.
| ||
When the economic development project costs, including | ||
without
limitation all municipal obligations financing | ||
economic development project
costs incurred under this Act, | ||
have been paid, all surplus funds then
remaining in the special | ||
tax allocation fund shall be distributed by being
paid by the | ||
municipal treasurer to the county collector, who shall
| ||
immediately thereafter pay those funds to the taxing districts | ||
having
taxable property in the economic development project | ||
area in the same
manner and proportion as the most recent | ||
distribution by the county
collector to those taxing districts |
of real property taxes from real
property in the economic | ||
development project area.
| ||
Upon the payment of all economic development project costs, | ||
retirement of
obligations and the distribution of any excess | ||
monies pursuant to this
Section the municipality shall adopt an | ||
ordinance dissolving the special
tax allocation fund for the | ||
economic development project area,
terminating the economic | ||
development project area, and terminating the use
of tax | ||
increment allocation financing for the economic development | ||
project
area. Thereafter the rates of the taxing districts | ||
shall be extended and taxes
levied, collected and distributed | ||
in the manner applicable in the absence of
the adoption of tax | ||
increment allocation financing.
| ||
Nothing in this Section shall be construed as relieving | ||
property in
economic development project areas from being | ||
assessed as provided in the
Property Tax Code, or as relieving
| ||
owners of that property from paying a uniform rate of taxes, as | ||
required by
Section 4 of Article IX 9 of the Illinois | ||
Constitution.
| ||
(Source: P.A. 88-670, eff. 12-2-94; revised 10-10-12.)
| ||
Section 70. The Illinois Enterprise Zone Act is amended by | ||
changing Section 3 as follows:
| ||
(20 ILCS 655/3) (from Ch. 67 1/2, par. 603)
| ||
Sec. 3. Definitions Definition . As used in this Act, the |
following words shall
have the meanings ascribed to them, | ||
unless the context otherwise requires:
| ||
(a) "Department" means the Department of Commerce and | ||
Economic Opportunity.
| ||
(b) "Enterprise Zone" means an area of the State certified | ||
by the Department
as an Enterprise Zone pursuant to this Act.
| ||
(c) "Depressed Area" means an area in which pervasive | ||
poverty, unemployment
and economic distress exist.
| ||
(d) "Designated Zone Organization" means an association or | ||
entity: (1)
the members of which are substantially all | ||
residents of the Enterprise Zone;
(2) the board of directors of | ||
which is elected by the members of the organization;
(3) which | ||
satisfies the criteria set forth in Section 501(c) (3) or | ||
501(c) (4) of the
Internal Revenue Code; and (4) which exists | ||
primarily for the purpose of
performing within such area or | ||
zone for the benefit of the residents and businesses
thereof | ||
any of the functions set forth in Section 8 of this Act.
| ||
(e) "Agency" means each officer, board, commission and | ||
agency created
by the Constitution, in the executive branch of | ||
State government, other
than the State Board of Elections; each | ||
officer, department, board, commission,
agency, institution, | ||
authority, university, body politic and corporate of
the State; | ||
and each administrative unit or corporate outgrowth of the | ||
State
government which is created by or pursuant to statute, | ||
other than units
of local government and their officers, school | ||
districts and boards of election
commissioners; each |
administrative unit or corporate outgrowth of the above
and as | ||
may be created by executive order of the Governor. No entity | ||
shall
be considered an "agency" for the purposes of this Act | ||
unless authorized
by law to make rules or regulations.
| ||
(f) "Rule" means each agency statement of general | ||
applicability that implements,
applies, interprets or | ||
prescribes law or policy, but does not include (i)
statements | ||
concerning only the internal management of an agency and not
| ||
affecting private rights or procedures available to persons or | ||
entities
outside the agency, (ii) intra-agency memoranda, or | ||
(iii) the prescription
of standardized forms.
| ||
(g) "Board" means the Enterprise Zone Board created in | ||
Section 5.2.1. | ||
(h) "Local labor market area" means an economically | ||
integrated area within which individuals can reside and find | ||
employment within a reasonable distance or can readily change | ||
jobs without changing their place of residence. | ||
(i) "Full-time equivalent job" means a job in which the new | ||
employee works for the recipient or for a corporation under | ||
contract to the recipient at a rate of at least 35 hours per | ||
week. A recipient who employs labor or services at a specific | ||
site or facility under contract with another may declare one | ||
full-time, permanent job for every 1,820 man hours worked per | ||
year under that contract. Vacations, paid holidays, and sick | ||
time are included in this computation. Overtime is not | ||
considered a part of regular hours. |
(j) "Full-time retained job" means any employee defined as | ||
having a full-time or full-time equivalent job preserved at a | ||
specific facility or site, the continuance of which is | ||
threatened by a specific and demonstrable threat, which shall | ||
be specified in the application for development assistance. A | ||
recipient who employs labor or services at a specific site or | ||
facility under contract with another may declare one retained | ||
employee per year for every 1,750 man hours worked per year | ||
under that contract, even if different individuals perform | ||
on-site labor or services. | ||
(Source: P.A. 97-905, eff. 8-7-12; revised 10-10-12.)
| ||
Section 75. The Corporate Accountability for Tax | ||
Expenditures Act is amended by changing Section 25 as follows:
| ||
(20 ILCS 715/25)
| ||
Sec. 25. Recapture.
| ||
(a) All development assistance agreements
shall contain, | ||
at a
minimum, the following recapture provisions:
| ||
(1) The recipient must (i) make the level of capital | ||
investment in the
economic
development project specified | ||
in the development assistance agreement; (ii)
create or
| ||
retain, or both, the requisite number of jobs, paying not | ||
less than specified
wages for the
created and retained | ||
jobs, within and for the duration of the time period
| ||
specified in the
legislation authorizing, or the |
administrative rules implementing, the
development
| ||
assistance programs and the development assistance | ||
agreement.
| ||
(2) If the recipient fails to create or retain the | ||
requisite number of
jobs within and
for the time period | ||
specified, in the legislation authorizing, or the
| ||
administrative rules
implementing, the development | ||
assistance programs and the development
assistance
| ||
agreement, the recipient shall be deemed to no longer | ||
qualify for the State
economic
assistance and the | ||
applicable recapture provisions shall take effect.
| ||
(3) If the recipient receives State economic | ||
assistance in the form of a
High
Impact Business | ||
designation pursuant to Section 5.5 of the Illinois | ||
Enterprise
Zone Act
and the business receives the benefit | ||
of the exemption authorized under Section
5l of the
| ||
Retailers' Occupation Tax Act (for the sale of building | ||
materials incorporated
into a High
Impact Business | ||
location) and the recipient fails to create or retain the
| ||
requisite number
of jobs, as determined by the legislation | ||
authorizing the development
assistance
programs
or the | ||
administrative rules implementing such legislation, or | ||
both, within the
requisite
period of time, the recipient | ||
shall be required to pay to the State the full
amount of | ||
the
State tax exemption that it received as a result of the | ||
High Impact Business
designation.
|
(4) If the recipient receives a grant or loan pursuant | ||
to the Large
Business
Development Program, the Business | ||
Development Public Infrastructure Program, or
the
| ||
Industrial Training Program and the recipient fails to | ||
create or retain the
requisite number
of jobs for the | ||
requisite time period, as provided in the legislation
| ||
authorizing the
development assistance programs or the | ||
administrative rules implementing such
legislation, or | ||
both, or in the development assistance agreement, the | ||
recipient
shall be
required to repay to the State a pro | ||
rata amount of the grant; that amount
shall
reflect
the | ||
percentage of the deficiency between the requisite number | ||
of jobs to be
created or
retained by the recipient and the | ||
actual number of such jobs in existence as of
the date the
| ||
Department determines the recipient is in breach of the job | ||
creation or
retention
covenants contained in the | ||
development assistance agreement. If the recipient
of
| ||
development assistance under the Large Business | ||
Development Program, the
Business
Development Public | ||
Infrastructure Program, or the Industrial Training Program
| ||
ceases
operations at the specific project site, during the | ||
5-year period commencing on
the date of
assistance, the | ||
recipient shall be required to repay the entire amount of | ||
the
grant or to
accelerate repayment of the loan back to | ||
the State.
| ||
(5) If the recipient receives a tax credit under the |
Economic
Development for a
Growing Economy tax credit | ||
program, the development assistance agreement must
provide | ||
that (i) if the number of new or retained employees falls | ||
below the
requisite
number set forth in the development | ||
assistance agreement, the allowance of the
credit
shall be | ||
automatically suspended until the number of new and | ||
retained employees
equals
or exceeds the requisite number | ||
in the development assistance agreement; (ii)
if
the
| ||
recipient discontinues operations at the specific project | ||
site during the 5-year period after the beginning of the | ||
first tax year for which the Department issues a tax credit | ||
certificate, the recipient shall
forfeit all
credits taken | ||
by the recipient during such 5-year period; and (iii) in | ||
the
event
of a
revocation or suspension of the credit, the | ||
Department shall contact the
Director
of Revenue to | ||
initiate proceedings against the recipient to recover
| ||
wrongfully
exempted Illinois State income taxes and the | ||
recipient shall promptly repay to
the
Department of Revenue | ||
any wrongfully exempted Illinois State income taxes.
The | ||
forfeited amount of credits shall be deemed assessed on the | ||
date the
Department
contacts the Department of Revenue and | ||
the recipient shall promptly repay to
the
Department of | ||
Revenue any wrongfully exempted Illinois State income | ||
taxes.
| ||
(b) The Director may elect to waive enforcement of any | ||
contractual provision
arising out of
the development |
assistance agreement required by this Act based on a finding
| ||
that the waiver is
necessary to avert an imminent and | ||
demonstrable hardship to the
recipient that may
result in such | ||
recipient's insolvency or discharge of workers.
If a waiver is
| ||
granted, the recipient must agree to a contractual | ||
modification, including
recapture provisions,
to the
| ||
development assistance
agreement.
The existence of
any waiver
| ||
granted pursuant to this subsection (b) (c) , the date of the | ||
granting of such
waiver, and a brief
summary of the reasons | ||
supporting the granting of such waiver shall be
disclosed
| ||
consistent with
the provisions of Section 25 of this Act.
| ||
(b-5) The Department shall post, on its website, (i) the | ||
identity of each recipient from whom amounts were recaptured | ||
under this Section on or after the effective date of this | ||
amendatory Act of the 97th General Assembly, (ii) the date of | ||
the recapture, (iii) a summary of the reasons supporting the | ||
recapture, and (iv) the amount recaptured from those | ||
recipients. | ||
(c) Beginning June 1, 2004, the Department shall annually | ||
compile a report
on the
outcomes and effectiveness of recapture | ||
provisions by program, including but
not limited
to: (i) the | ||
total number of companies that receive development assistance | ||
as
defined in
this Act; (ii) the total number of recipients in | ||
violation of development
agreements with
the Department; (iii) | ||
the total number of completed recapture efforts; (iv) the
total
| ||
number of recapture efforts initiated; and (v) the number of |
waivers granted.
This report
shall be disclosed consistent with | ||
the provisions of Section 20 of this Act.
| ||
(d) For the purposes of this Act, recapture provisions do | ||
not include the
Illinois
Department of Transportation Economic | ||
Development Program, any grants under the
Industrial Training | ||
Program that are not given as an incentive to a
recipient | ||
business organization,
or any successor programs as described | ||
in the term "development assistance" in
Section 5
of this Act.
| ||
(Source: P.A. 97-2, eff. 5-6-11; 97-721, eff. 6-29-12; revised | ||
10-10-12.)
| ||
Section 80. The Department of Human Services Act is amended | ||
by changing Section 10-8 as follows: | ||
(20 ILCS 1305/10-8)
| ||
Sec. 10-8. The Autism Research Checkoff Fund; grants; | ||
scientific review committee. The Autism Research Checkoff Fund | ||
is created as a special fund in the State treasury. From | ||
appropriations to the Department from the Fund, the Department | ||
must make grants to public or private entities in Illinois for | ||
the purpose of funding research concerning the disorder of | ||
autism. For purposes of this Section, the term "research" | ||
includes, without limitation, expenditures to develop and | ||
advance the understanding, techniques, and modalities | ||
effective in the detection, prevention, screening, and | ||
treatment of autism and may include clinical trials. No more |
than 20% of the grant funds may be used for institutional | ||
overhead costs, indirect costs, other organizational levies, | ||
or costs of community-based support services. | ||
Moneys received for the purposes of this Section, | ||
including, without limitation, income tax checkoff receipts | ||
and gifts, grants, and awards from any public or private | ||
entity, must be deposited into the Fund. Any interest earned on | ||
moneys in the Fund must be deposited into the Fund. | ||
Each year, grantees of the grants provided under this | ||
Section must submit a written report to the Department that | ||
sets forth the types of research that is conducted with the | ||
grant moneys and the status of that research. | ||
The Department shall promulgate rules for the creation of a | ||
scientific review committee to review and assess applications | ||
for the grants authorized under this Section. The Committee | ||
shall serve without compensation.
| ||
(Source: P.A. 94-442, eff. 8-4-05; 95-331, eff. 8-21-07; | ||
revised 10-17-12.) | ||
Section 85. The Department of Labor Law of the
Civil | ||
Administrative Code of Illinois is amended by changing Section | ||
1505-210 as follows: | ||
(20 ILCS 1505/1505-210) | ||
Sec. 1505-210. Funds. The Department has the authority to | ||
apply for, accept, receive, expend, and administer on behalf of |
the State any grants, gifts, bequests, loans, indirect cost | ||
reimbursements, funds, or anything else of value made available | ||
to the Department from any source for assistance with outreach | ||
activities related to the Department's enforcement efforts and | ||
staffing assistance for boards and commissions under the | ||
purview preview of the Department. Any federal funds received | ||
by the Department pursuant to this Section shall be deposited | ||
in a trust fund with the State Treasurer and held and disbursed | ||
by him or her in accordance with the Treasurer as Custodian of | ||
Funds Act, provided that such moneys shall be used only for the | ||
purposes for which they are contributed and any balance | ||
remaining shall be returned to the contributor. The Department | ||
is authorized to promulgate such rules and enter into such | ||
contracts as it may deem necessary in carrying out the | ||
provisions of this Section.
| ||
(Source: P.A. 97-745, eff. 7-6-12; revised 8-3-12.) | ||
Section 90. The Illinois Lottery Law is amended by changing | ||
Sections 9.1 and 27 as follows: | ||
(20 ILCS 1605/9.1) | ||
Sec. 9.1. Private manager and management agreement. | ||
(a) As used in this Section: | ||
"Offeror" means a person or group of persons that responds | ||
to a request for qualifications under this Section. | ||
"Request for qualifications" means all materials and |
documents prepared by the Department to solicit the following | ||
from offerors: | ||
(1) Statements of qualifications. | ||
(2) Proposals to enter into a management agreement, | ||
including the identity of any prospective vendor or vendors | ||
that the offeror intends to initially engage to assist the | ||
offeror in performing its obligations under the management | ||
agreement. | ||
"Final offer" means the last proposal submitted by an | ||
offeror in response to the request for qualifications, | ||
including the identity of any prospective vendor or vendors | ||
that the offeror intends to initially engage to assist the | ||
offeror in performing its obligations under the management | ||
agreement. | ||
"Final offeror" means the offeror ultimately selected by | ||
the Governor to be the private manager for the Lottery under | ||
subsection (h) of this Section. | ||
(b) By September 15, 2010, the Governor shall select a | ||
private manager for the total management of the Lottery with | ||
integrated functions, such as lottery game design, supply of | ||
goods and services, and advertising and as specified in this | ||
Section. | ||
(c) Pursuant to the terms of this subsection, the | ||
Department shall endeavor to expeditiously terminate the | ||
existing contracts in support of the Lottery in effect on the | ||
effective date of this amendatory Act of the 96th General |
Assembly in connection with the selection of the private | ||
manager. As part of its obligation to terminate these contracts | ||
and select the private manager, the Department shall establish | ||
a mutually agreeable timetable to transfer the functions of | ||
existing contractors to the private manager so that existing | ||
Lottery operations are not materially diminished or impaired | ||
during the transition. To that end, the Department shall do the | ||
following: | ||
(1) where such contracts contain a provision | ||
authorizing termination upon notice, the Department shall | ||
provide notice of termination to occur upon the mutually | ||
agreed timetable for transfer of functions; | ||
(2) upon the expiration of any initial term or renewal | ||
term of the current Lottery contracts, the Department shall | ||
not renew such contract for a term extending beyond the | ||
mutually agreed timetable for transfer of functions; or | ||
(3) in the event any current contract provides for | ||
termination of that contract upon the implementation of a | ||
contract with the private manager, the Department shall | ||
perform all necessary actions to terminate the contract on | ||
the date that coincides with the mutually agreed timetable | ||
for transfer of functions. | ||
If the contracts to support the current operation of the | ||
Lottery in effect on the effective date of this amendatory Act | ||
of the 96th General Assembly are not subject to termination as | ||
provided for in this subsection (c), then the Department may |
include a provision in the contract with the private manager | ||
specifying a mutually agreeable methodology for incorporation. | ||
(c-5) The Department shall include provisions in the | ||
management agreement whereby the private manager shall, for a | ||
fee, and pursuant to a contract negotiated with the Department | ||
(the "Employee Use Contract"), utilize the services of current | ||
Department employees to assist in the administration and | ||
operation of the Lottery. The Department shall be the employer | ||
of all such bargaining unit employees assigned to perform such | ||
work for the private manager, and such employees shall be State | ||
employees, as defined by the Personnel Code. Department | ||
employees shall operate under the same employment policies, | ||
rules, regulations, and procedures, as other employees of the | ||
Department. In addition, neither historical representation | ||
rights under the Illinois Public Labor Relations Act, nor | ||
existing collective bargaining agreements, shall be disturbed | ||
by the management agreement with the private manager for the | ||
management of the Lottery. | ||
(d) The management agreement with the private manager shall | ||
include all of the following: | ||
(1) A term not to exceed 10 years, including any | ||
renewals. | ||
(2) A provision specifying that the Department: | ||
(A) shall exercise actual control over all | ||
significant business decisions; | ||
(A-5) has the authority to direct or countermand |
operating decisions by the private manager at any time; | ||
(B) has ready access at any time to information | ||
regarding Lottery operations; | ||
(C) has the right to demand and receive information | ||
from the private manager concerning any aspect of the | ||
Lottery operations at any time; and | ||
(D) retains ownership of all trade names, | ||
trademarks, and intellectual property associated with | ||
the Lottery. | ||
(3) A provision imposing an affirmative duty on the | ||
private manager to provide the Department with material | ||
information and with any information the private manager | ||
reasonably believes the Department would want to know to | ||
enable the Department to conduct the Lottery. | ||
(4) A provision requiring the private manager to | ||
provide the Department with advance notice of any operating | ||
decision that bears significantly on the public interest, | ||
including, but not limited to, decisions on the kinds of | ||
games to be offered to the public and decisions affecting | ||
the relative risk and reward of the games being offered, so | ||
the Department has a reasonable opportunity to evaluate and | ||
countermand that decision. | ||
(5) A provision providing for compensation of the | ||
private manager that may consist of, among other things, a | ||
fee for services and a performance based bonus as | ||
consideration for managing the Lottery, including terms |
that may provide the private manager with an increase in | ||
compensation if Lottery revenues grow by a specified | ||
percentage in a given year. | ||
(6) (Blank). | ||
(7) A provision requiring the deposit of all Lottery | ||
proceeds to be deposited into the State Lottery Fund except | ||
as otherwise provided in Section 20 of this Act. | ||
(8) A provision requiring the private manager to locate | ||
its principal office within the State. | ||
(8-5) A provision encouraging that at least 20% of the | ||
cost of contracts entered into for goods and services by | ||
the private manager in connection with its management of | ||
the Lottery, other than contracts with sales agents or | ||
technical advisors, be awarded to businesses that are a | ||
minority owned business, a female owned business, or a | ||
business owned by a person with disability, as those terms | ||
are defined in the Business Enterprise for Minorities, | ||
Females, and Persons with Disabilities Act. | ||
(9) A requirement that so long as the private manager | ||
complies with all the conditions of the agreement under the | ||
oversight of the Department, the private manager shall have | ||
the following duties and obligations with respect to the | ||
management of the Lottery: | ||
(A) The right to use equipment and other assets | ||
used in the operation of the Lottery. | ||
(B) The rights and obligations under contracts |
with retailers and vendors. | ||
(C) The implementation of a comprehensive security | ||
program by the private manager. | ||
(D) The implementation of a comprehensive system | ||
of internal audits. | ||
(E) The implementation of a program by the private | ||
manager to curb compulsive gambling by persons playing | ||
the Lottery. | ||
(F) A system for determining (i) the type of | ||
Lottery games, (ii) the method of selecting winning | ||
tickets, (iii) the manner of payment of prizes to | ||
holders of winning tickets, (iv) the frequency of | ||
drawings of winning tickets, (v) the method to be used | ||
in selling tickets, (vi) a system for verifying the | ||
validity of tickets claimed to be winning tickets, | ||
(vii) the basis upon which retailer commissions are | ||
established by the manager, and (viii) minimum | ||
payouts. | ||
(10) A requirement that advertising and promotion must | ||
be consistent with Section 7.8a of this Act. | ||
(11) A requirement that the private manager market the | ||
Lottery to those residents who are new, infrequent, or | ||
lapsed players of the Lottery, especially those who are | ||
most likely to make regular purchases on the Internet as | ||
permitted by law. | ||
(12) A code of ethics for the private manager's |
officers and employees. | ||
(13) A requirement that the Department monitor and | ||
oversee the private manager's practices and take action | ||
that the Department considers appropriate to ensure that | ||
the private manager is in compliance with the terms of the | ||
management agreement, while allowing the manager, unless | ||
specifically prohibited by law or the management | ||
agreement, to negotiate and sign its own contracts with | ||
vendors. | ||
(14) A provision requiring the private manager to | ||
periodically file, at least on an annual basis, appropriate | ||
financial statements in a form and manner acceptable to the | ||
Department. | ||
(15) Cash reserves requirements. | ||
(16) Procedural requirements for obtaining the prior | ||
approval of the Department when a management agreement or | ||
an interest in a management agreement is sold, assigned, | ||
transferred, or pledged as collateral to secure financing. | ||
(17) Grounds for the termination of the management | ||
agreement by the Department or the private manager. | ||
(18) Procedures for amendment of the agreement. | ||
(19) A provision requiring the private manager to | ||
engage in an open and competitive bidding process for any | ||
procurement having a cost in excess of $50,000 that is not | ||
a part of the private manager's final offer. The process | ||
shall favor the selection of a vendor deemed to have |
submitted a proposal that provides the Lottery with the | ||
best overall value. The process shall not be subject to the | ||
provisions of the Illinois Procurement Code, unless | ||
specifically required by the management agreement. | ||
(20) The transition of rights and obligations, | ||
including any associated equipment or other assets used in | ||
the operation of the Lottery, from the manager to any | ||
successor manager of the lottery, including the | ||
Department, following the termination of or foreclosure | ||
upon the management agreement. | ||
(21) Right of use of copyrights, trademarks, and | ||
service marks held by the Department in the name of the | ||
State. The agreement must provide that any use of them by | ||
the manager shall only be for the purpose of fulfilling its | ||
obligations under the management agreement during the term | ||
of the agreement. | ||
(22) The disclosure of any information requested by the | ||
Department to enable it to comply with the reporting | ||
requirements and information requests provided for under | ||
subsection (p) of this Section. | ||
(e) Notwithstanding any other law to the contrary, the | ||
Department shall select a private manager through a competitive | ||
request for qualifications process consistent with Section | ||
20-35 of the Illinois Procurement Code, which shall take into | ||
account: | ||
(1) the offeror's ability to market the Lottery to |
those residents who are new, infrequent, or lapsed players | ||
of the Lottery, especially those who are most likely to | ||
make regular purchases on the Internet; | ||
(2) the offeror's ability to address the State's | ||
concern with the social effects of gambling on those who | ||
can least afford to do so; | ||
(3) the offeror's ability to provide the most | ||
successful management of the Lottery for the benefit of the | ||
people of the State based on current and past business | ||
practices or plans of the offeror; and | ||
(4) the offeror's poor or inadequate past performance | ||
in servicing, equipping, operating or managing a lottery on | ||
behalf of Illinois, another State or foreign government and | ||
attracting persons who are not currently regular players of | ||
a lottery. | ||
(f) The Department may retain the services of an advisor or | ||
advisors with significant experience in financial services or | ||
the management, operation, and procurement of goods, services, | ||
and equipment for a government-run lottery to assist in the | ||
preparation of the terms of the request for qualifications and | ||
selection of the private manager. Any prospective advisor | ||
seeking to provide services under this subsection (f) shall | ||
disclose any material business or financial relationship | ||
during the past 3 years with any potential offeror, or with a | ||
contractor or subcontractor presently providing goods, | ||
services, or equipment to the Department to support the |
Lottery. The Department shall evaluate the material business or | ||
financial relationship of each prospective advisor. The | ||
Department shall not select any prospective advisor with a | ||
substantial business or financial relationship that the | ||
Department deems to impair the objectivity of the services to | ||
be provided by the prospective advisor. During the course of | ||
the advisor's engagement by the Department, and for a period of | ||
one year thereafter, the advisor shall not enter into any | ||
business or financial relationship with any offeror or any | ||
vendor identified to assist an offeror in performing its | ||
obligations under the management agreement. Any advisor | ||
retained by the Department shall be disqualified from being an | ||
offeror.
The Department shall not include terms in the request | ||
for qualifications that provide a material advantage whether | ||
directly or indirectly to any potential offeror, or any | ||
contractor or subcontractor presently providing goods, | ||
services, or equipment to the Department to support the | ||
Lottery, including terms contained in previous responses to | ||
requests for proposals or qualifications submitted to | ||
Illinois, another State or foreign government when those terms | ||
are uniquely associated with a particular potential offeror, | ||
contractor, or subcontractor. The request for proposals | ||
offered by the Department on December 22, 2008 as | ||
"LOT08GAMESYS" and reference number "22016176" is declared | ||
void. | ||
(g) The Department shall select at least 2 offerors as |
finalists to potentially serve as the private manager no later | ||
than August 9, 2010. Upon making preliminary selections, the | ||
Department shall schedule a public hearing on the finalists' | ||
proposals and provide public notice of the hearing at least 7 | ||
calendar days before the hearing. The notice must include all | ||
of the following: | ||
(1) The date, time, and place of the hearing. | ||
(2) The subject matter of the hearing. | ||
(3) A brief description of the management agreement to | ||
be awarded. | ||
(4) The identity of the offerors that have been | ||
selected as finalists to serve as the private manager. | ||
(5) The address and telephone number of the Department. | ||
(h) At the public hearing, the Department shall (i) provide | ||
sufficient time for each finalist to present and explain its | ||
proposal to the Department and the Governor or the Governor's | ||
designee, including an opportunity to respond to questions | ||
posed by the Department, Governor, or designee and (ii) allow | ||
the public and non-selected offerors to comment on the | ||
presentations. The Governor or a designee shall attend the | ||
public hearing. After the public hearing, the Department shall | ||
have 14 calendar days to recommend to the Governor whether a | ||
management agreement should be entered into with a particular | ||
finalist. After reviewing the Department's recommendation, the | ||
Governor may accept or reject the Department's recommendation, | ||
and shall select a final offeror as the private manager by |
publication of a notice in the Illinois Procurement Bulletin on | ||
or before September 15, 2010. The Governor shall include in the | ||
notice a detailed explanation and the reasons why the final | ||
offeror is superior to other offerors and will provide | ||
management services in a manner that best achieves the | ||
objectives of this Section. The Governor shall also sign the | ||
management agreement with the private manager. | ||
(i) Any action to contest the private manager selected by | ||
the Governor under this Section must be brought within 7 | ||
calendar days after the publication of the notice of the | ||
designation of the private manager as provided in subsection | ||
(h) of this Section. | ||
(j) The Lottery shall remain, for so long as a private | ||
manager manages the Lottery in accordance with provisions of | ||
this Act, a Lottery conducted by the State, and the State shall | ||
not be authorized to sell or transfer the Lottery to a third | ||
party. | ||
(k) Any tangible personal property used exclusively in | ||
connection with the lottery that is owned by the Department and | ||
leased to the private manager shall be owned by the Department | ||
in the name of the State and shall be considered to be public | ||
property devoted to an essential public and governmental | ||
function. | ||
(l) The Department may exercise any of its powers under | ||
this Section or any other law as necessary or desirable for the | ||
execution of the Department's powers under this Section. |
(m) Neither this Section nor any management agreement | ||
entered into under this Section prohibits the General Assembly | ||
from authorizing forms of gambling that are not in direct | ||
competition with the Lottery. | ||
(n) The private manager shall be subject to a complete | ||
investigation in the third, seventh, and tenth years of the | ||
agreement (if the agreement is for a 10-year term) by the | ||
Department in cooperation with the Auditor General to determine | ||
whether the private manager has complied with this Section and | ||
the management agreement. The private manager shall bear the | ||
cost of an investigation or reinvestigation of the private | ||
manager under this subsection. | ||
(o) The powers conferred by this Section are in addition | ||
and supplemental to the powers conferred by any other law. If | ||
any other law or rule is inconsistent with this Section, | ||
including, but not limited to, provisions of the Illinois | ||
Procurement Code, then this Section controls as to any | ||
management agreement entered into under this Section. This | ||
Section and any rules adopted under this Section contain full | ||
and complete authority for a management agreement between the | ||
Department and a private manager. No law, procedure, | ||
proceeding, publication, notice, consent, approval, order, or | ||
act by the Department or any other officer, Department, agency, | ||
or instrumentality of the State or any political subdivision is | ||
required for the Department to enter into a management | ||
agreement under this Section. This Section contains full and |
complete authority for the Department to approve any contracts | ||
entered into by a private manager with a vendor providing | ||
goods, services, or both goods and services to the private | ||
manager under the terms of the management agreement, including | ||
subcontractors of such vendors. | ||
Upon receipt of a written request from the Chief | ||
Procurement Officer, the Department shall provide to the Chief | ||
Procurement Officer a complete and un-redacted copy of the | ||
management agreement or any contract that is subject to the | ||
Department's approval authority under this subsection (o). The | ||
Department shall provide a copy of the agreement or contract to | ||
the Chief Procurement Officer in the time specified by the | ||
Chief Procurement Officer in his or her written request, but no | ||
later than 5 business days after the request is received by the | ||
Department. The Chief Procurement Officer must retain any | ||
portions of the management agreement or of any contract | ||
designated by the Department as confidential, proprietary, or | ||
trade secret information in complete confidence pursuant to | ||
subsection (g) of Section 7 of the Freedom of Information Act. | ||
The Department shall also provide the Chief Procurement Officer | ||
with reasonable advance written notice of any contract that is | ||
pending Department approval. | ||
Notwithstanding any other provision of this Section to the | ||
contrary, the Chief Procurement Officer shall adopt | ||
administrative rules, including emergency rules, to establish | ||
a procurement process to select a successor private manager if |
a private management agreement has been terminated. The | ||
selection process shall at a minimum take into account the | ||
criteria set forth in items (1) through (4) of subsection (e) | ||
of this Section and may include provisions consistent with | ||
subsections (f), (g), (h), and (i) of this Section. The Chief | ||
Procurement Officer shall also implement and administer the | ||
adopted selection process upon the termination of a private | ||
management agreement. The Department, after the Chief | ||
Procurement Officer certifies that the procurement process has | ||
been followed in accordance with the rules adopted under this | ||
subsection (o), shall select a final offeror as the private | ||
manager and sign the management agreement with the private | ||
manager. | ||
Except as provided in Sections 21.2, 21.5, 21.6, 21.7, and | ||
21.8, the Department shall distribute all proceeds of lottery | ||
tickets and shares sold in the following priority and manner: | ||
(1) The payment of prizes and retailer bonuses. | ||
(2) The payment of costs incurred in the operation and | ||
administration of the Lottery, including the payment of | ||
sums due to the private manager under the management | ||
agreement with the Department. | ||
(3) On the last day of each month or as soon thereafter | ||
as possible, the State Comptroller shall direct and the | ||
State Treasurer shall transfer from the State Lottery Fund | ||
to the Common School Fund an amount that is equal to the | ||
proceeds transferred in the corresponding month of fiscal |
year 2009, as adjusted for inflation, to the Common School | ||
Fund. | ||
(4) On or before the last day of each fiscal year, | ||
deposit any remaining proceeds, subject to payments under | ||
items (1), (2), and (3) into the Capital Projects Fund each | ||
fiscal year. | ||
(p) The Department shall be subject to the following | ||
reporting and information request requirements: | ||
(1) the Department shall submit written quarterly | ||
reports to the Governor and the General Assembly on the | ||
activities and actions of the private manager selected | ||
under this Section; | ||
(2) upon request of the Chief Procurement Officer, the | ||
Department shall promptly produce information related to | ||
the procurement activities of the Department and the | ||
private manager requested by the Chief Procurement | ||
Officer; the Chief Procurement Officer must retain | ||
confidential, proprietary, or trade secret information | ||
designated by the Department in complete confidence | ||
pursuant to subsection (g) of Section 7 of the Freedom of | ||
Information Act; and | ||
(3) at least 30 days prior to the beginning of the | ||
Department's fiscal year, the Department shall prepare an | ||
annual written report on the activities of the private | ||
manager selected under this Section and deliver that report | ||
to the Governor and General Assembly. |
(Source: P.A. 96-34, eff. 7-13-09; 96-37, eff. 7-13-09; 96-840, | ||
eff. 12-23-09; 97-464, eff. 8-19-11; revised 10-17-12.)
| ||
(20 ILCS 1605/27) (from Ch. 120, par. 1177)
| ||
Sec. 27.
(a) The State Treasurer may, with the consent of | ||
the Superintendent,
contract with any person or corporation, | ||
including, without limitation,
a bank, banking house, trust | ||
company or investment banking firm, to perform
such financial | ||
functions, activities or services in connection with operation
| ||
of the lottery as the State Treasurer and the Superintendent | ||
may prescribe.
| ||
(b) All proceeds from investments made pursuant to | ||
contracts executed by
the State Treasurer, with the consent of | ||
the Superintendent,
to perform financial functions, activities | ||
or services in connection with
operation of the lottery, shall | ||
be deposited and held by the State Treasurer
as ex-officio | ||
custodian thereof, separate and apart from all
public money or | ||
funds of this State in a special trust fund outside the
State | ||
treasury. Such trust fund shall be known as the "Deferred | ||
Lottery
Prize Winners Trust Fund", and shall be administered by | ||
the Superintendent.
| ||
The Superintendent shall, at such times and in such amounts | ||
as shall be
necessary, prepare and send to the State | ||
Comptroller vouchers requesting
payment from the Deferred | ||
Lottery Prize Winners Trust Fund to deferred
prize winners, in | ||
a manner that will insure the timely
payment of such amounts |
owed.
| ||
This Act shall constitute an irrevocable appropriation of | ||
all amounts
necessary for that purpose, and the irrevocable and | ||
continuing authority
for and direction to the Superintendent | ||
and the State Treasurer to
make the necessary payments out of | ||
such trust fund for that purpose.
| ||
(c) Moneys invested pursuant to subsection (a) of this | ||
Section may be
invested only in bonds, notes, certificates of | ||
indebtedness, treasury
bills, or other securities constituting | ||
direct obligations of the United
States of America and all | ||
securities or obligations the prompt payment of
principal and | ||
interest of which is guaranteed by a pledge of the full faith
| ||
and credit of the United States of America. Interest earnings | ||
on moneys in
the Deferred Lottery Prize Winners Trust Fund | ||
shall remain in such fund
and be used to pay the winners of | ||
lottery prizes deferred as to payment
until such obligations | ||
are discharged.
Proceeds from bonds purchased and interest | ||
accumulated as a result of a grand
prize multi-state game | ||
ticket that goes unclaimed will be transferred after the
| ||
termination of the relevant claim period directly from the | ||
lottery's Deferred
Lottery Prize Winners Trust Fund to each | ||
respective multi-state partner state
according to its | ||
contribution ratio.
| ||
(c-5) If a deferred lottery prize is not claimed within the | ||
claim
period established by game rule, then the securities or | ||
other instruments
purchased to fund the prize shall be |
liquidated and the liquidated amount
shall be transferred to | ||
the State Lottery Fund for disposition pursuant to
Section 19 | ||
of
this Act.
| ||
(c-10) The Superintendent may use a portion of the moneys | ||
in the
Deferred
Lottery Prize Winners Trust Fund to purchase | ||
bonds
to pay a lifetime prize if the prize duration exceeds the | ||
length of available
securities. If the winner of a lifetime | ||
prize exceeds his or her life
expectancy as determined using | ||
actuarial assumptions and the securities or
moneys set aside to | ||
pay the prize have been exhausted, moneys in the State
Lottery | ||
Fund shall be used to make payments to the winner
for the | ||
duration of the winner's life.
| ||
(c-15) From time to time, the Superintendent may
request | ||
that the State Comptroller transfer any excess moneys in the | ||
Deferred
Lottery Prize Winners Trust Fund to the State Lottery | ||
Fund.
| ||
(d) This amendatory Act of 1985 shall be construed | ||
liberally to effect
the purposes of the Illinois Lottery Law.
| ||
(Source: P.A. 97-464, eff. 10-15-11; revised 10-17-12.)
| ||
Section 100. The Department of State Police Law of the
| ||
Civil Administrative Code of Illinois is amended by changing | ||
Section 2605-590 as follows: | ||
(20 ILCS 2605/2605-590) | ||
Sec. 2605-590. Drug Traffic Prevention Fund. Moneys |
deposited into the Drug Traffic Prevention Fund pursuant to | ||
subsection (e) of Section 5-9-1.1 and subsection (c) of Section | ||
5-9-1.1-5 5-9-1.5 of the Unified Code of Corrections shall be | ||
appropriated to and administered by the Department of State | ||
Police for funding of drug task forces and Metropolitan | ||
Enforcement Groups in accordance with the Intergovernmental | ||
Drug Laws Enforcement Act.
| ||
(Source: P.A. 96-1234, eff. 7-23-10; revised 10-17-12.) | ||
Section 105. The Criminal Identification Act is amended by | ||
changing Section 13 as follows:
| ||
(20 ILCS 2630/13)
| ||
Sec. 13. Retention and release of sealed records. | ||
(a) The Department of State Police shall retain records | ||
sealed under
subsection (c) ,, or (e-5) of Section 5.2 or | ||
impounded under subparagraph (B) of paragraph (9) of subsection | ||
(d) of Section 5.2 and shall release them only as authorized by | ||
this Act. Felony records sealed under subsection (c) ,, or (e-5) | ||
of Section 5.2 or impounded under subparagraph (B) of paragraph | ||
(9) of subsection (d) of Section 5.2
shall be used and
| ||
disseminated by the Department only as otherwise specifically | ||
required or authorized by a federal or State law, rule, or | ||
regulation that requires inquiry into and release of criminal | ||
records, including, but not limited to, subsection (A) of | ||
Section 3 of this Act. However, all requests for records that |
have been expunged, sealed, and impounded and the use of those | ||
records are subject to the provisions of Section 2-103 of the | ||
Illinois Human Rights Act. Upon
conviction for any offense, the | ||
Department of Corrections shall have
access to all sealed | ||
records of the Department pertaining to that
individual. | ||
(b) Notwithstanding the foregoing, all sealed or impounded | ||
records are subject to inspection and use by the court and | ||
inspection and use by law enforcement agencies and State's | ||
Attorneys or other prosecutors in carrying out the duties of | ||
their offices.
| ||
(c) The sealed or impounded records maintained under | ||
subsection (a) are exempt from
disclosure under the Freedom of | ||
Information Act. | ||
(d) The Department of State Police shall commence the | ||
sealing of records of felony arrests and felony convictions | ||
pursuant to the provisions of subsection (c) of Section 5.2 of | ||
this Act no later than one year from the date that funds have | ||
been made available for purposes of establishing the | ||
technologies necessary to implement the changes made by this | ||
amendatory Act of the 93rd General Assembly.
| ||
(Source: P.A. 96-409, eff. 1-1-10; 96-1401, eff. 7-29-10; | ||
97-1026, eff. 1-1-13; 97-1120, eff. 1-1-13; revised 9-20-12.)
| ||
Section 110. The Illinois State Agency Historic Resources | ||
Preservation Act is amended by changing Section 3 as follows:
|
(20 ILCS 3420/3) (from Ch. 127, par. 133c23)
| ||
Sec. 3. Definitions.
| ||
(a) "Director" means the Director of Historic Preservation | ||
who shall serve
as the State Historic Preservation Officer.
| ||
(b) "Agency" shall have the same meaning as in Section 1-20 | ||
of
the Illinois Administrative Procedure Act, and shall | ||
specifically include
all agencies and entities made subject to | ||
such Act by any State statute.
| ||
(c) "Historic resource" means any property which is either | ||
publicly or
privately held and which:
| ||
(1) is listed in the National Register of Historic | ||
Places (hereafter
"National Register");
| ||
(2) has been formally determined by the Director to be | ||
eligible for
listing in the National Register as defined in | ||
Section 106 of Title 16 of the
United States Code;
| ||
(3) has been nominated by the Director and the Illinois | ||
Historic Sites
Advisory Council for listing in the National | ||
Register; or
| ||
(4) meets one or more criteria for listing in the | ||
National Register, as
determined by the Director ; or .
| ||
(5) (blank).
| ||
(d) "Adverse effect" means:
| ||
(1) destruction or alteration of all or part of an | ||
historic resource;
| ||
(2) isolation or alteration of the surrounding | ||
environment of an historic
resource;
|
(3) introduction of visual, audible, or atmospheric | ||
elements which are
out of character with an historic | ||
resource or which alter its setting;
| ||
(4) neglect or improper utilization of an historic | ||
resource which
results in its deterioration or | ||
destruction; or
| ||
(5) transfer or sale of an historic resource to any | ||
public or private
entity without the inclusion of adequate | ||
conditions or restrictions
regarding preservation, | ||
maintenance, or use.
| ||
(e) "Comment" means the written finding by the Director of | ||
the effect of
a State undertaking on an historic resource.
| ||
(f) "Undertaking" means any project, activity, or program | ||
that can
result in changes in the character or use of historic | ||
property, if any
historic property is located in the area of | ||
potential effects. The
project, activity or program shall be | ||
under the direct or indirect
jurisdiction of a State agency or | ||
licensed or assisted by a State agency.
An undertaking | ||
includes, but is not limited to, action which is:
| ||
(1) directly undertaken by a State agency;
| ||
(2) supported in whole or in part through State | ||
contracts, grants,
subsidies, loan guarantees, or any | ||
other form of direct or indirect funding
assistance; or
| ||
(3) carried out pursuant to a State lease, permit, | ||
license, certificate,
approval, or other form of | ||
entitlement or permission.
|
(g) "Committee" means the Historic Preservation Mediation | ||
Committee.
| ||
(h) "Feasible" means capable of being accomplished in a | ||
successful
manner within a reasonable period of time, taking | ||
into account economic,
environmental, social, and | ||
technological factors.
| ||
(i) "Private undertaking" means any undertaking that does | ||
not receive
public funding or is not on public lands.
| ||
(j) "High probability area" means any occurrence of Cahokia | ||
Alluvium,
Carmi Member of the Equality Formation, Grayslake | ||
Peat, Parkland Sand,
Peyton Colluvium, the Batavia Member of | ||
the Henry Formation, or the
Mackinaw Member, as mapped by | ||
Lineback et al. (1979) at a scale of
1-500,000 within permanent | ||
stream floodplains and including :
| ||
(1) 500 yards of the adjoining bluffline crest of the | ||
Fox, Illinois,
Kankakee, Kaskaskia, Mississippi, Ohio, | ||
Rock and Wabash Rivers and 300
yards of the adjoining | ||
bluffline crest of all other rivers or
| ||
(2) a 500 yard wide area along the shore of Lake | ||
Michigan abutting the
high water mark.
| ||
(Source: P.A. 97-785, eff. 7-13-12; revised 9-20-12.)
| ||
Section 115. The Illinois Finance Authority Act is amended | ||
by changing Section 825-80 as follows:
| ||
(20 ILCS 3501/825-80)
|
Sec. 825-80. Fire truck revolving loan program. | ||
(a) This Section is a continuation and re-enactment of the | ||
fire truck revolving loan program enacted as Section 3-27 of | ||
the Rural Bond Bank Act by Public Act 93-35, effective June 24, | ||
2003, and repealed by Public Act 93-205, effective January 1, | ||
2004. Under the Rural Bond Bank Act, the program was | ||
administered by the Rural Bond Bank and the State Fire Marshal. | ||
(a-5) For purposes of this Section, "brush truck" means a | ||
pickup chassis with or equipped with a flatbed or a pickup box. | ||
The truck must be rated by the manufacturer as between | ||
three-fourths of a ton and one ton and outfitted with a fire or | ||
rescue apparatus. | ||
(b) The Authority and the State Fire Marshal may jointly | ||
administer a fire truck revolving loan program. The program | ||
shall, in instances where sufficient loan funds exist to permit | ||
applications to be accepted, provide zero-interest and | ||
low-interest loans for the purchase of fire trucks by a fire | ||
department, a fire protection district, or a township fire | ||
department. For the purchase of brush trucks by a fire | ||
department, a fire protection district, or a township fire | ||
department, the program shall provide loans at a 2% rate of | ||
simple interest per year for a brush truck if both the chassis | ||
and the apparatus are built outside of Illinois, a 1% rate of | ||
simple interest per year for a brush truck if either the | ||
chassis or the apparatus is built in Illinois, or a 0% rate of | ||
interest for a brush truck if both the chassis and the |
apparatus are built in Illinois. The Authority shall make loans | ||
based on need, as determined by the State Fire Marshal. | ||
(c) The loan funds, subject to appropriation, shall be paid | ||
out of the Fire Truck Revolving Loan Fund, a special fund in | ||
the State Treasury. The Fund shall consist of any moneys | ||
transferred or appropriated into the Fund, as well as all | ||
repayments of loans made under the program and any balance | ||
existing in the Fund on the effective date of this Section. The | ||
Fund shall be used for loans to fire departments and fire | ||
protection districts to purchase fire trucks and brush trucks | ||
and for no other purpose. All interest earned on moneys in the | ||
Fund shall be deposited into the Fund. As soon as practical | ||
after January 1, 2013 ( the effective date of Public Act 97-901) | ||
this amendatory Act of the 97th General Assembly , all moneys in | ||
the Fire Truck Revolving Loan Fund shall be paid by the State | ||
Fire Marshal to the Authority, and, on and after that the | ||
effective date of this amendatory Act of the 97th General | ||
Assembly , all future moneys deposited into the Fire Truck | ||
Revolving Loan Fund under this Section shall be paid by the | ||
State Fire Marshal to the Authority under the continuing | ||
appropriation provision of subsection (c-1) of this Section; | ||
provided that the Authority and the State Fire Marshal enter | ||
into an intergovernmental agreement to use the moneys | ||
transferred to the Authority from the Fund solely for the | ||
purposes for which the moneys would otherwise be used under | ||
this Section and to set forth procedures to otherwise |
administer the use of the moneys. | ||
(c-1) There is hereby appropriated, on a continuing annual | ||
basis in each fiscal year, from the Fire Truck Revolving Loan | ||
Fund, the amount, if any, of funds received into the Fire Truck | ||
Revolving Loan Fund to the State Fire Marshal for payment to | ||
the Authority for the purposes for which the moneys would | ||
otherwise be used under this Section. | ||
(d) A loan for the purchase of fire trucks or brush trucks | ||
may not exceed $250,000 to any fire department or fire | ||
protection district. A loan for the purchase of brush trucks | ||
may not exceed $100,000 per truck. The repayment period for the | ||
loan may not exceed 20 years. The fire department or fire | ||
protection district shall repay each year at least 5% of the | ||
principal amount borrowed or the remaining balance of the loan, | ||
whichever is less. All repayments of loans shall be deposited | ||
into the Fire Truck Revolving Loan Fund. | ||
(e) The Authority and the State Fire Marshal may adopt | ||
rules in accordance with the Illinois Administrative Procedure | ||
Act to administer the program.
| ||
(f) Notwithstanding the repeal of Section 3-27 of the Rural | ||
Bond Bank Act, all otherwise lawful actions taken on or after | ||
January 1, 2004 and before the effective date of this Section | ||
by any person under the authority originally granted by that | ||
Section 3-27, including without limitation the granting, | ||
acceptance, and repayment of loans for the purchase of fire | ||
trucks, are hereby validated, and the rights and obligations of |
all parties to any such loan are hereby acknowledged and | ||
confirmed.
| ||
(Source: P.A. 97-900, eff. 8-6-12; 97-901, eff. 1-1-13; revised | ||
8-23-12.) | ||
Section 120. The Illinois Power Agency Act is amended by | ||
changing Sections 1-75 and 1-92 as follows: | ||
(20 ILCS 3855/1-75) | ||
Sec. 1-75. Planning and Procurement Bureau. The Planning | ||
and Procurement Bureau has the following duties and | ||
responsibilities: | ||
(a) The Planning and Procurement Bureau shall each year, | ||
beginning in 2008, develop procurement plans and conduct | ||
competitive procurement processes in accordance with the | ||
requirements of Section 16-111.5 of the Public Utilities Act | ||
for the eligible retail customers of electric utilities that on | ||
December 31, 2005 provided electric service to at least 100,000 | ||
customers in Illinois. The Planning and Procurement Bureau | ||
shall also develop procurement plans and conduct competitive | ||
procurement processes in accordance with the requirements of | ||
Section 16-111.5 of the Public Utilities Act for the eligible | ||
retail customers of small multi-jurisdictional electric | ||
utilities that (i) on December 31, 2005 served less than | ||
100,000 customers in Illinois and (ii) request a procurement | ||
plan for their Illinois jurisdictional load. This Section shall |
not apply to a small multi-jurisdictional utility until such | ||
time as a small multi-jurisdictional utility requests the | ||
Agency to prepare a procurement plan for their Illinois | ||
jurisdictional load. For the purposes of this Section, the term | ||
"eligible retail customers" has the same definition as found in | ||
Section 16-111.5(a) of the Public Utilities Act. | ||
(1) The Agency shall each year, beginning in 2008, as | ||
needed, issue a request for qualifications for experts or | ||
expert consulting firms to develop the procurement plans in | ||
accordance with Section 16-111.5 of the Public Utilities | ||
Act. In order to qualify an expert or expert consulting | ||
firm must have: | ||
(A) direct previous experience assembling | ||
large-scale power supply plans or portfolios for | ||
end-use customers; | ||
(B) an advanced degree in economics, mathematics, | ||
engineering, risk management, or a related area of | ||
study; | ||
(C) 10 years of experience in the electricity | ||
sector, including managing supply risk; | ||
(D) expertise in wholesale electricity market | ||
rules, including those established by the Federal | ||
Energy Regulatory Commission and regional transmission | ||
organizations; | ||
(E) expertise in credit protocols and familiarity | ||
with contract protocols; |
(F) adequate resources to perform and fulfill the | ||
required functions and responsibilities; and | ||
(G) the absence of a conflict of interest and | ||
inappropriate bias for or against potential bidders or | ||
the affected electric utilities. | ||
(2) The Agency shall each year, as needed, issue a | ||
request for qualifications for a procurement administrator | ||
to conduct the competitive procurement processes in | ||
accordance with Section 16-111.5 of the Public Utilities | ||
Act. In order to qualify an expert or expert consulting | ||
firm must have: | ||
(A) direct previous experience administering a | ||
large-scale competitive procurement process; | ||
(B) an advanced degree in economics, mathematics, | ||
engineering, or a related area of study; | ||
(C) 10 years of experience in the electricity | ||
sector, including risk management experience; | ||
(D) expertise in wholesale electricity market | ||
rules, including those established by the Federal | ||
Energy Regulatory Commission and regional transmission | ||
organizations; | ||
(E) expertise in credit and contract protocols; | ||
(F) adequate resources to perform and fulfill the | ||
required functions and responsibilities; and | ||
(G) the absence of a conflict of interest and | ||
inappropriate bias for or against potential bidders or |
the affected electric utilities. | ||
(3) The Agency shall provide affected utilities and | ||
other interested parties with the lists of qualified | ||
experts or expert consulting firms identified through the | ||
request for qualifications processes that are under | ||
consideration to develop the procurement plans and to serve | ||
as the procurement administrator. The Agency shall also | ||
provide each qualified expert's or expert consulting | ||
firm's response to the request for qualifications. All | ||
information provided under this subparagraph shall also be | ||
provided to the Commission. The Agency may provide by rule | ||
for fees associated with supplying the information to | ||
utilities and other interested parties. These parties | ||
shall, within 5 business days, notify the Agency in writing | ||
if they object to any experts or expert consulting firms on | ||
the lists. Objections shall be based on: | ||
(A) failure to satisfy qualification criteria; | ||
(B) identification of a conflict of interest; or | ||
(C) evidence of inappropriate bias for or against | ||
potential bidders or the affected utilities. | ||
The Agency shall remove experts or expert consulting | ||
firms from the lists within 10 days if there is a | ||
reasonable basis for an objection and provide the updated | ||
lists to the affected utilities and other interested | ||
parties. If the Agency fails to remove an expert or expert | ||
consulting firm from a list, an objecting party may seek |
review by the Commission within 5 days thereafter by filing | ||
a petition, and the Commission shall render a ruling on the | ||
petition within 10 days. There is no right of appeal of the | ||
Commission's ruling. | ||
(4) The Agency shall issue requests for proposals to | ||
the qualified experts or expert consulting firms to develop | ||
a procurement plan for the affected utilities and to serve | ||
as procurement administrator. | ||
(5) The Agency shall select an expert or expert | ||
consulting firm to develop procurement plans based on the | ||
proposals submitted and shall award contracts of up to 5 | ||
years to those selected. | ||
(6) The Agency shall select an expert or expert | ||
consulting firm, with approval of the Commission, to serve | ||
as procurement administrator based on the proposals | ||
submitted. If the Commission rejects, within 5 days, the | ||
Agency's selection, the Agency shall submit another | ||
recommendation within 3 days based on the proposals | ||
submitted. The Agency shall award a 5-year contract to the | ||
expert or expert consulting firm so selected with | ||
Commission approval. | ||
(b) The experts or expert consulting firms retained by the | ||
Agency shall, as appropriate, prepare procurement plans, and | ||
conduct a competitive procurement process as prescribed in | ||
Section 16-111.5 of the Public Utilities Act, to ensure | ||
adequate, reliable, affordable, efficient, and environmentally |
sustainable electric service at the lowest total cost over | ||
time, taking into account any benefits of price stability, for | ||
eligible retail customers of electric utilities that on | ||
December 31, 2005 provided electric service to at least 100,000 | ||
customers in the State of Illinois, and for eligible Illinois | ||
retail customers of small multi-jurisdictional electric | ||
utilities that (i) on December 31, 2005 served less than | ||
100,000 customers in Illinois and (ii) request a procurement | ||
plan for their Illinois jurisdictional load. | ||
(c) Renewable portfolio standard. | ||
(1) The procurement plans shall include cost-effective | ||
renewable energy resources. A minimum percentage of each | ||
utility's total supply to serve the load of eligible retail | ||
customers, as defined in Section 16-111.5(a) of the Public | ||
Utilities Act, procured for each of the following years | ||
shall be generated from cost-effective renewable energy | ||
resources: at least 2% by June 1, 2008; at least 4% by June | ||
1, 2009; at least 5% by June 1, 2010; at least 6% by June 1, | ||
2011; at least 7% by June 1, 2012; at least 8% by June 1, | ||
2013; at least 9% by June 1, 2014; at least 10% by June 1, | ||
2015; and increasing by at least 1.5% each year thereafter | ||
to at least 25% by June 1, 2025. To the extent that it is | ||
available, at least 75% of the renewable energy resources | ||
used to meet these standards shall come from wind | ||
generation and, beginning on June 1, 2011, at least the | ||
following percentages of the renewable energy resources |
used to meet these standards shall come from photovoltaics | ||
on the following schedule: 0.5% by June 1, 2012, 1.5% by | ||
June 1, 2013; 3% by June 1, 2014; and 6% by June 1, 2015 and | ||
thereafter. Of the renewable energy resources procured | ||
pursuant to this Section, at least the following | ||
percentages shall come from distributed renewable energy | ||
generation devices: 0.5% by June 1, 2013, 0.75% by June 1, | ||
2014, and 1% by June 1, 2015 and thereafter. To the extent | ||
available, half of the renewable energy resources procured | ||
from distributed renewable energy generation shall come | ||
from devices of less than 25 kilowatts in nameplate | ||
capacity. Renewable energy resources procured from | ||
distributed generation devices may also count towards the | ||
required percentages for wind and solar photovoltaics. | ||
Procurement of renewable energy resources from distributed | ||
renewable energy generation devices shall be done on an | ||
annual basis through multi-year contracts of no less than 5 | ||
years, and shall consist solely of renewable energy | ||
credits. | ||
The Agency shall create credit requirements for | ||
suppliers of distributed renewable energy. In order to | ||
minimize the administrative burden on contracting | ||
entities, the Agency shall solicit the use of third-party | ||
organizations to aggregate distributed renewable energy | ||
into groups of no less than one megawatt in installed | ||
capacity. These third-party organizations shall administer |
contracts with individual distributed renewable energy | ||
generation device owners. An individual distributed | ||
renewable energy generation device owner shall have the | ||
ability to measure the output of his or her distributed | ||
renewable energy generation device. | ||
For purposes of this subsection (c), "cost-effective" | ||
means that the costs of procuring renewable energy | ||
resources do not cause the limit stated in paragraph (2) of | ||
this subsection (c) to be exceeded and do not exceed | ||
benchmarks based on market prices for renewable energy | ||
resources in the region, which shall be developed by the | ||
procurement administrator, in consultation with the | ||
Commission staff, Agency staff, and the procurement | ||
monitor and shall be subject to Commission review and | ||
approval. | ||
(2) For purposes of this subsection (c), the required | ||
procurement of cost-effective renewable energy resources | ||
for a particular year shall be measured as a percentage of | ||
the actual amount of electricity (megawatt-hours) supplied | ||
by the electric utility to eligible retail customers in the | ||
planning year ending immediately prior to the procurement. | ||
For purposes of this subsection (c), the amount paid per | ||
kilowatthour means the total amount paid for electric | ||
service expressed on a per kilowatthour basis. For purposes | ||
of this subsection (c), the total amount paid for electric | ||
service includes without limitation amounts paid for |
supply, transmission, distribution, surcharges, and add-on | ||
taxes. | ||
Notwithstanding the requirements of this subsection | ||
(c), the total of renewable energy resources procured | ||
pursuant to the procurement plan for any single year shall | ||
be reduced by an amount necessary to limit the annual | ||
estimated average net increase due to the costs of these | ||
resources included in the amounts paid by eligible retail | ||
customers in connection with electric service to: | ||
(A) in 2008, no more than 0.5% of the amount paid | ||
per kilowatthour by those customers during the year | ||
ending May 31, 2007; | ||
(B) in 2009, the greater of an additional 0.5% of | ||
the amount paid per kilowatthour by those customers | ||
during the year ending May 31, 2008 or 1% of the amount | ||
paid per kilowatthour by those customers during the | ||
year ending May 31, 2007; | ||
(C) in 2010, the greater of an additional 0.5% of | ||
the amount paid per kilowatthour by those customers | ||
during the year ending May 31, 2009 or 1.5% of the | ||
amount paid per kilowatthour by those customers during | ||
the year ending May 31, 2007; | ||
(D) in 2011, the greater of an additional 0.5% of | ||
the amount paid per kilowatthour by those customers | ||
during the year ending May 31, 2010 or 2% of the amount | ||
paid per kilowatthour by those customers during the |
year ending May 31, 2007; and | ||
(E) thereafter, the amount of renewable energy | ||
resources procured pursuant to the procurement plan | ||
for any single year shall be reduced by an amount | ||
necessary to limit the estimated average net increase | ||
due to the cost of these resources included in the | ||
amounts paid by eligible retail customers in | ||
connection with electric service to no more than the | ||
greater of 2.015% of the amount paid per kilowatthour | ||
by those customers during the year ending May 31, 2007 | ||
or the incremental amount per kilowatthour paid for | ||
these resources in 2011. | ||
No later than June 30, 2011, the Commission shall | ||
review the limitation on the amount of renewable energy | ||
resources procured pursuant to this subsection (c) and | ||
report to the General Assembly its findings as to | ||
whether that limitation unduly constrains the | ||
procurement of cost-effective renewable energy | ||
resources. | ||
(3) Through June 1, 2011, renewable energy resources | ||
shall be counted for the purpose of meeting the renewable | ||
energy standards set forth in paragraph (1) of this | ||
subsection (c) only if they are generated from facilities | ||
located in the State, provided that cost-effective | ||
renewable energy resources are available from those | ||
facilities. If those cost-effective resources are not |
available in Illinois, they shall be procured in states | ||
that adjoin Illinois and may be counted towards compliance. | ||
If those cost-effective resources are not available in | ||
Illinois or in states that adjoin Illinois, they shall be | ||
purchased elsewhere and shall be counted towards | ||
compliance. After June 1, 2011, cost-effective renewable | ||
energy resources located in Illinois and in states that | ||
adjoin Illinois may be counted towards compliance with the | ||
standards set forth in paragraph (1) of this subsection | ||
(c). If those cost-effective resources are not available in | ||
Illinois or in states that adjoin Illinois, they shall be | ||
purchased elsewhere and shall be counted towards | ||
compliance. | ||
(4) The electric utility shall retire all renewable | ||
energy credits used to comply with the standard. | ||
(5) Beginning with the year commencing June 1, 2010, an | ||
electric utility subject to this subsection (c) shall apply | ||
the lesser of the maximum alternative compliance payment | ||
rate or the most recent estimated alternative compliance | ||
payment rate for its service territory for the | ||
corresponding compliance period, established pursuant to | ||
subsection (d) of Section 16-115D of the Public Utilities | ||
Act to its retail customers that take service pursuant to | ||
the electric utility's hourly pricing tariff or tariffs. | ||
The electric utility shall retain all amounts collected as | ||
a result of the application of the alternative compliance |
payment rate or rates to such customers, and, beginning in | ||
2011, the utility shall include in the information provided | ||
under item (1) of subsection (d) of Section 16-111.5 of the | ||
Public Utilities Act the amounts collected under the | ||
alternative compliance payment rate or rates for the prior | ||
year ending May 31. Notwithstanding any limitation on the | ||
procurement of renewable energy resources imposed by item | ||
(2) of this subsection (c), the Agency shall increase its | ||
spending on the purchase of renewable energy resources to | ||
be procured by the electric utility for the next plan year | ||
by an amount equal to the amounts collected by the utility | ||
under the alternative compliance payment rate or rates in | ||
the prior year ending May 31. Beginning April 1, 2012, and | ||
each year thereafter, the Agency shall prepare a public | ||
report for the General Assembly and Illinois Commerce | ||
Commission that shall include, but not necessarily be | ||
limited to: | ||
(A) a comparison of the costs associated with the | ||
Agency's procurement of renewable energy resources to | ||
(1) the Agency's costs associated with electricity | ||
generated by other types of generation facilities and | ||
(2) the benefits associated with the Agency's | ||
procurement of renewable energy resources; and | ||
(B) an analysis of the rate impacts associated with | ||
the Illinois Power Agency's procurement of renewable | ||
resources, including, but not limited to, any |
long-term contracts, on the eligible retail customers | ||
of electric utilities. | ||
The analysis shall include the Agency's estimate of the | ||
total dollar impact that the Agency's procurement of | ||
renewable resources has had on the annual electricity bills | ||
of the customer classes that comprise each eligible retail | ||
customer class taking service from an electric utility. The | ||
Agency's report shall also analyze how the operation of the | ||
alternative compliance payment mechanism, any long-term | ||
contracts, or other aspects of the applicable renewable | ||
portfolio standards impacts the rates of customers of | ||
alternative retail electric suppliers. | ||
(d) Clean coal portfolio standard. | ||
(1) The procurement plans shall include electricity | ||
generated using clean coal. Each utility shall enter into | ||
one or more sourcing agreements with the initial clean coal | ||
facility, as provided in paragraph (3) of this subsection | ||
(d), covering electricity generated by the initial clean | ||
coal facility representing at least 5% of each utility's | ||
total supply to serve the load of eligible retail customers | ||
in 2015 and each year thereafter, as described in paragraph | ||
(3) of this subsection (d), subject to the limits specified | ||
in paragraph (2) of this subsection (d). It is the goal of | ||
the State that by January 1, 2025, 25% of the electricity | ||
used in the State shall be generated by cost-effective | ||
clean coal facilities. For purposes of this subsection (d), |
"cost-effective" means that the expenditures pursuant to | ||
such sourcing agreements do not cause the limit stated in | ||
paragraph (2) of this subsection (d) to be exceeded and do | ||
not exceed cost-based benchmarks, which shall be developed | ||
to assess all expenditures pursuant to such sourcing | ||
agreements covering electricity generated by clean coal | ||
facilities, other than the initial clean coal facility, by | ||
the procurement administrator, in consultation with the | ||
Commission staff, Agency staff, and the procurement | ||
monitor and shall be subject to Commission review and | ||
approval. | ||
A utility party to a sourcing agreement shall | ||
immediately retire any emission credits that it receives in | ||
connection with the electricity covered by such agreement. | ||
Utilities shall maintain adequate records documenting | ||
the purchases under the sourcing agreement to comply with | ||
this subsection (d) and shall file an accounting with the | ||
load forecast that must be filed with the Agency by July 15 | ||
of each year, in accordance with subsection (d) of Section | ||
16-111.5 of the Public Utilities Act. | ||
A utility shall be deemed to have complied with the | ||
clean coal portfolio standard specified in this subsection | ||
(d) if the utility enters into a sourcing agreement as | ||
required by this subsection (d). | ||
(2) For purposes of this subsection (d), the required | ||
execution of sourcing agreements with the initial clean |
coal facility for a particular year shall be measured as a | ||
percentage of the actual amount of electricity | ||
(megawatt-hours) supplied by the electric utility to | ||
eligible retail customers in the planning year ending | ||
immediately prior to the agreement's execution. For | ||
purposes of this subsection (d), the amount paid per | ||
kilowatthour means the total amount paid for electric | ||
service expressed on a per kilowatthour basis. For purposes | ||
of this subsection (d), the total amount paid for electric | ||
service includes without limitation amounts paid for | ||
supply, transmission, distribution, surcharges and add-on | ||
taxes. | ||
Notwithstanding the requirements of this subsection | ||
(d), the total amount paid under sourcing agreements with | ||
clean coal facilities pursuant to the procurement plan for | ||
any given year shall be reduced by an amount necessary to | ||
limit the annual estimated average net increase due to the | ||
costs of these resources included in the amounts paid by | ||
eligible retail customers in connection with electric | ||
service to: | ||
(A) in 2010, no more than 0.5% of the amount paid | ||
per kilowatthour by those customers during the year | ||
ending May 31, 2009; | ||
(B) in 2011, the greater of an additional 0.5% of | ||
the amount paid per kilowatthour by those customers | ||
during the year ending May 31, 2010 or 1% of the amount |
paid per kilowatthour by those customers during the | ||
year ending May 31, 2009; | ||
(C) in 2012, the greater of an additional 0.5% of | ||
the amount paid per kilowatthour by those customers | ||
during the year ending May 31, 2011 or 1.5% of the | ||
amount paid per kilowatthour by those customers during | ||
the year ending May 31, 2009; | ||
(D) in 2013, the greater of an additional 0.5% of | ||
the amount paid per kilowatthour by those customers | ||
during the year ending May 31, 2012 or 2% of the amount | ||
paid per kilowatthour by those customers during the | ||
year ending May 31, 2009; and | ||
(E) thereafter, the total amount paid under | ||
sourcing agreements with clean coal facilities | ||
pursuant to the procurement plan for any single year | ||
shall be reduced by an amount necessary to limit the | ||
estimated average net increase due to the cost of these | ||
resources included in the amounts paid by eligible | ||
retail customers in connection with electric service | ||
to no more than the greater of (i) 2.015% of the amount | ||
paid per kilowatthour by those customers during the | ||
year ending May 31, 2009 or (ii) the incremental amount | ||
per kilowatthour paid for these resources in 2013. | ||
These requirements may be altered only as provided by | ||
statute. | ||
No later than June 30, 2015, the Commission shall |
review the limitation on the total amount paid under | ||
sourcing agreements, if any, with clean coal facilities | ||
pursuant to this subsection (d) and report to the General | ||
Assembly its findings as to whether that limitation unduly | ||
constrains the amount of electricity generated by | ||
cost-effective clean coal facilities that is covered by | ||
sourcing agreements. | ||
(3) Initial clean coal facility. In order to promote | ||
development of clean coal facilities in Illinois, each | ||
electric utility subject to this Section shall execute a | ||
sourcing agreement to source electricity from a proposed | ||
clean coal facility in Illinois (the "initial clean coal | ||
facility") that will have a nameplate capacity of at least | ||
500 MW when commercial operation commences, that has a | ||
final Clean Air Act permit on the effective date of this | ||
amendatory Act of the 95th General Assembly, and that will | ||
meet the definition of clean coal facility in Section 1-10 | ||
of this Act when commercial operation commences. The | ||
sourcing agreements with this initial clean coal facility | ||
shall be subject to both approval of the initial clean coal | ||
facility by the General Assembly and satisfaction of the | ||
requirements of paragraph (4) of this subsection (d) and | ||
shall be executed within 90 days after any such approval by | ||
the General Assembly. The Agency and the Commission shall | ||
have authority to inspect all books and records associated | ||
with the initial clean coal facility during the term of |
such a sourcing agreement. A utility's sourcing agreement | ||
for electricity produced by the initial clean coal facility | ||
shall include: | ||
(A) a formula contractual price (the "contract | ||
price") approved pursuant to paragraph (4) of this | ||
subsection (d), which shall: | ||
(i) be determined using a cost of service | ||
methodology employing either a level or deferred | ||
capital recovery component, based on a capital | ||
structure consisting of 45% equity and 55% debt, | ||
and a return on equity as may be approved by the | ||
Federal Energy Regulatory Commission, which in any | ||
case may not exceed the lower of 11.5% or the rate | ||
of return approved by the General Assembly | ||
pursuant to paragraph (4) of this subsection (d); | ||
and | ||
(ii) provide that all miscellaneous net | ||
revenue, including but not limited to net revenue | ||
from the sale of emission allowances, if any, | ||
substitute natural gas, if any, grants or other | ||
support provided by the State of Illinois or the | ||
United States Government, firm transmission | ||
rights, if any, by-products produced by the | ||
facility, energy or capacity derived from the | ||
facility and not covered by a sourcing agreement | ||
pursuant to paragraph (3) of this subsection (d) or |
item (5) of subsection (d) of Section 16-115 of the | ||
Public Utilities Act, whether generated from the | ||
synthesis gas derived from coal, from SNG, or from | ||
natural gas, shall be credited against the revenue | ||
requirement for this initial clean coal facility; | ||
(B) power purchase provisions, which shall: | ||
(i) provide that the utility party to such | ||
sourcing agreement shall pay the contract price | ||
for electricity delivered under such sourcing | ||
agreement; | ||
(ii) require delivery of electricity to the | ||
regional transmission organization market of the | ||
utility that is party to such sourcing agreement; | ||
(iii) require the utility party to such | ||
sourcing agreement to buy from the initial clean | ||
coal facility in each hour an amount of energy | ||
equal to all clean coal energy made available from | ||
the initial clean coal facility during such hour | ||
times a fraction, the numerator of which is such | ||
utility's retail market sales of electricity | ||
(expressed in kilowatthours sold) in the State | ||
during the prior calendar month and the | ||
denominator of which is the total retail market | ||
sales of electricity (expressed in kilowatthours | ||
sold) in the State by utilities during such prior | ||
month and the sales of electricity (expressed in |
kilowatthours sold) in the State by alternative | ||
retail electric suppliers during such prior month | ||
that are subject to the requirements of this | ||
subsection (d) and paragraph (5) of subsection (d) | ||
of Section 16-115 of the Public Utilities Act, | ||
provided that the amount purchased by the utility | ||
in any year will be limited by paragraph (2) of | ||
this subsection (d); and | ||
(iv) be considered pre-existing contracts in | ||
such utility's procurement plans for eligible | ||
retail customers; | ||
(C) contract for differences provisions, which | ||
shall: | ||
(i) require the utility party to such sourcing | ||
agreement to contract with the initial clean coal | ||
facility in each hour with respect to an amount of | ||
energy equal to all clean coal energy made | ||
available from the initial clean coal facility | ||
during such hour times a fraction, the numerator of | ||
which is such utility's retail market sales of | ||
electricity (expressed in kilowatthours sold) in | ||
the utility's service territory in the State | ||
during the prior calendar month and the | ||
denominator of which is the total retail market | ||
sales of electricity (expressed in kilowatthours | ||
sold) in the State by utilities during such prior |
month and the sales of electricity (expressed in | ||
kilowatthours sold) in the State by alternative | ||
retail electric suppliers during such prior month | ||
that are subject to the requirements of this | ||
subsection (d) and paragraph (5) of subsection (d) | ||
of Section 16-115 of the Public Utilities Act, | ||
provided that the amount paid by the utility in any | ||
year will be limited by paragraph (2) of this | ||
subsection (d); | ||
(ii) provide that the utility's payment | ||
obligation in respect of the quantity of | ||
electricity determined pursuant to the preceding | ||
clause (i) shall be limited to an amount equal to | ||
(1) the difference between the contract price | ||
determined pursuant to subparagraph (A) of | ||
paragraph (3) of this subsection (d) and the | ||
day-ahead price for electricity delivered to the | ||
regional transmission organization market of the | ||
utility that is party to such sourcing agreement | ||
(or any successor delivery point at which such | ||
utility's supply obligations are financially | ||
settled on an hourly basis) (the "reference | ||
price") on the day preceding the day on which the | ||
electricity is delivered to the initial clean coal | ||
facility busbar, multiplied by (2) the quantity of | ||
electricity determined pursuant to the preceding |
clause (i); and | ||
(iii) not require the utility to take physical | ||
delivery of the electricity produced by the | ||
facility; | ||
(D) general provisions, which shall: | ||
(i) specify a term of no more than 30 years, | ||
commencing on the commercial operation date of the | ||
facility; | ||
(ii) provide that utilities shall maintain | ||
adequate records documenting purchases under the | ||
sourcing agreements entered into to comply with | ||
this subsection (d) and shall file an accounting | ||
with the load forecast that must be filed with the | ||
Agency by July 15 of each year, in accordance with | ||
subsection (d) of Section 16-111.5 of the Public | ||
Utilities Act ; . | ||
(iii) provide that all costs associated with | ||
the initial clean coal facility will be | ||
periodically reported to the Federal Energy | ||
Regulatory Commission and to purchasers in | ||
accordance with applicable laws governing | ||
cost-based wholesale power contracts; | ||
(iv) permit the Illinois Power Agency to | ||
assume ownership of the initial clean coal | ||
facility, without monetary consideration and | ||
otherwise on reasonable terms acceptable to the |
Agency, if the Agency so requests no less than 3 | ||
years prior to the end of the stated contract term; | ||
(v) require the owner of the initial clean coal | ||
facility to provide documentation to the | ||
Commission each year, starting in the facility's | ||
first year of commercial operation, accurately | ||
reporting the quantity of carbon emissions from | ||
the facility that have been captured and | ||
sequestered and report any quantities of carbon | ||
released from the site or sites at which carbon | ||
emissions were sequestered in prior years, based | ||
on continuous monitoring of such sites. If, in any | ||
year after the first year of commercial operation, | ||
the owner of the facility fails to demonstrate that | ||
the initial clean coal facility captured and | ||
sequestered at least 50% of the total carbon | ||
emissions that the facility would otherwise emit | ||
or that sequestration of emissions from prior | ||
years has failed, resulting in the release of | ||
carbon dioxide into the atmosphere, the owner of | ||
the facility must offset excess emissions. Any | ||
such carbon offsets must be permanent, additional, | ||
verifiable, real, located within the State of | ||
Illinois, and legally and practicably enforceable. | ||
The cost of such offsets for the facility that are | ||
not recoverable shall not exceed $15 million in any |
given year. No costs of any such purchases of | ||
carbon offsets may be recovered from a utility or | ||
its customers. All carbon offsets purchased for | ||
this purpose and any carbon emission credits | ||
associated with sequestration of carbon from the | ||
facility must be permanently retired. The initial | ||
clean coal facility shall not forfeit its | ||
designation as a clean coal facility if the | ||
facility fails to fully comply with the applicable | ||
carbon sequestration requirements in any given | ||
year, provided the requisite offsets are | ||
purchased. However, the Attorney General, on | ||
behalf of the People of the State of Illinois, may | ||
specifically enforce the facility's sequestration | ||
requirement and the other terms of this contract | ||
provision. Compliance with the sequestration | ||
requirements and offset purchase requirements | ||
specified in paragraph (3) of this subsection (d) | ||
shall be reviewed annually by an independent | ||
expert retained by the owner of the initial clean | ||
coal facility, with the advance written approval | ||
of the Attorney General. The Commission may, in the | ||
course of the review specified in item (vii), | ||
reduce the allowable return on equity for the | ||
facility if the facility wilfully fails to comply | ||
with the carbon capture and sequestration |
requirements set forth in this item (v); | ||
(vi) include limits on, and accordingly | ||
provide for modification of, the amount the | ||
utility is required to source under the sourcing | ||
agreement consistent with paragraph (2) of this | ||
subsection (d); | ||
(vii) require Commission review: (1) to | ||
determine the justness, reasonableness, and | ||
prudence of the inputs to the formula referenced in | ||
subparagraphs (A)(i) through (A)(iii) of paragraph | ||
(3) of this subsection (d), prior to an adjustment | ||
in those inputs including, without limitation, the | ||
capital structure and return on equity, fuel | ||
costs, and other operations and maintenance costs | ||
and (2) to approve the costs to be passed through | ||
to customers under the sourcing agreement by which | ||
the utility satisfies its statutory obligations. | ||
Commission review shall occur no less than every 3 | ||
years, regardless of whether any adjustments have | ||
been proposed, and shall be completed within 9 | ||
months; | ||
(viii) limit the utility's obligation to such | ||
amount as the utility is allowed to recover through | ||
tariffs filed with the Commission, provided that | ||
neither the clean coal facility nor the utility | ||
waives any right to assert federal pre-emption or |
any other argument in response to a purported | ||
disallowance of recovery costs; | ||
(ix) limit the utility's or alternative retail | ||
electric supplier's obligation to incur any | ||
liability until such time as the facility is in | ||
commercial operation and generating power and | ||
energy and such power and energy is being delivered | ||
to the facility busbar; | ||
(x) provide that the owner or owners of the | ||
initial clean coal facility, which is the | ||
counterparty to such sourcing agreement, shall | ||
have the right from time to time to elect whether | ||
the obligations of the utility party thereto shall | ||
be governed by the power purchase provisions or the | ||
contract for differences provisions; | ||
(xi) append documentation showing that the | ||
formula rate and contract, insofar as they relate | ||
to the power purchase provisions, have been | ||
approved by the Federal Energy Regulatory | ||
Commission pursuant to Section 205 of the Federal | ||
Power Act; | ||
(xii) provide that any changes to the terms of | ||
the contract, insofar as such changes relate to the | ||
power purchase provisions, are subject to review | ||
under the public interest standard applied by the | ||
Federal Energy Regulatory Commission pursuant to |
Sections 205 and 206 of the Federal Power Act; and | ||
(xiii) conform with customary lender | ||
requirements in power purchase agreements used as | ||
the basis for financing non-utility generators. | ||
(4) Effective date of sourcing agreements with the | ||
initial clean coal facility. | ||
Any proposed sourcing agreement with the initial clean | ||
coal facility shall not become effective unless the | ||
following reports are prepared and submitted and | ||
authorizations and approvals obtained: | ||
(i) Facility cost report. The owner of the initial | ||
clean coal facility shall submit to the Commission, the | ||
Agency, and the General Assembly a front-end | ||
engineering and design study, a facility cost report, | ||
method of financing (including but not limited to | ||
structure and associated costs), and an operating and | ||
maintenance cost quote for the facility (collectively | ||
"facility cost report"), which shall be prepared in | ||
accordance with the requirements of this paragraph (4) | ||
of subsection (d) of this Section, and shall provide | ||
the Commission and the Agency access to the work | ||
papers, relied upon documents, and any other backup | ||
documentation related to the facility cost report. | ||
(ii) Commission report. Within 6 months following | ||
receipt of the facility cost report, the Commission, in | ||
consultation with the Agency, shall submit a report to |
the General Assembly setting forth its analysis of the | ||
facility cost report. Such report shall include, but | ||
not be limited to, a comparison of the costs associated | ||
with electricity generated by the initial clean coal | ||
facility to the costs associated with electricity | ||
generated by other types of generation facilities, an | ||
analysis of the rate impacts on residential and small | ||
business customers over the life of the sourcing | ||
agreements, and an analysis of the likelihood that the | ||
initial clean coal facility will commence commercial | ||
operation by and be delivering power to the facility's | ||
busbar by 2016. To assist in the preparation of its | ||
report, the Commission, in consultation with the | ||
Agency, may hire one or more experts or consultants, | ||
the costs of which shall be paid for by the owner of | ||
the initial clean coal facility. The Commission and | ||
Agency may begin the process of selecting such experts | ||
or consultants prior to receipt of the facility cost | ||
report. | ||
(iii) General Assembly approval. The proposed | ||
sourcing agreements shall not take effect unless, | ||
based on the facility cost report and the Commission's | ||
report, the General Assembly enacts authorizing | ||
legislation approving (A) the projected price, stated | ||
in cents per kilowatthour, to be charged for | ||
electricity generated by the initial clean coal |
facility, (B) the projected impact on residential and | ||
small business customers' bills over the life of the | ||
sourcing agreements, and (C) the maximum allowable | ||
return on equity for the project; and | ||
(iv) Commission review. If the General Assembly | ||
enacts authorizing legislation pursuant to | ||
subparagraph (iii) approving a sourcing agreement, the | ||
Commission shall, within 90 days of such enactment, | ||
complete a review of such sourcing agreement. During | ||
such time period, the Commission shall implement any | ||
directive of the General Assembly, resolve any | ||
disputes between the parties to the sourcing agreement | ||
concerning the terms of such agreement, approve the | ||
form of such agreement, and issue an order finding that | ||
the sourcing agreement is prudent and reasonable. | ||
The facility cost report shall be prepared as follows: | ||
(A) The facility cost report shall be prepared by | ||
duly licensed engineering and construction firms | ||
detailing the estimated capital costs payable to one or | ||
more contractors or suppliers for the engineering, | ||
procurement and construction of the components | ||
comprising the initial clean coal facility and the | ||
estimated costs of operation and maintenance of the | ||
facility. The facility cost report shall include: | ||
(i) an estimate of the capital cost of the core | ||
plant based on one or more front end engineering |
and design studies for the gasification island and | ||
related facilities. The core plant shall include | ||
all civil, structural, mechanical, electrical, | ||
control, and safety systems. | ||
(ii) an estimate of the capital cost of the | ||
balance of the plant, including any capital costs | ||
associated with sequestration of carbon dioxide | ||
emissions and all interconnects and interfaces | ||
required to operate the facility, such as | ||
transmission of electricity, construction or | ||
backfeed power supply, pipelines to transport | ||
substitute natural gas or carbon dioxide, potable | ||
water supply, natural gas supply, water supply, | ||
water discharge, landfill, access roads, and coal | ||
delivery. | ||
The quoted construction costs shall be expressed | ||
in nominal dollars as of the date that the quote is | ||
prepared and shall include capitalized financing costs | ||
during construction,
taxes, insurance, and other | ||
owner's costs, and an assumed escalation in materials | ||
and labor beyond the date as of which the construction | ||
cost quote is expressed. | ||
(B) The front end engineering and design study for | ||
the gasification island and the cost study for the | ||
balance of plant shall include sufficient design work | ||
to permit quantification of major categories of |
materials, commodities and labor hours, and receipt of | ||
quotes from vendors of major equipment required to | ||
construct and operate the clean coal facility. | ||
(C) The facility cost report shall also include an | ||
operating and maintenance cost quote that will provide | ||
the estimated cost of delivered fuel, personnel, | ||
maintenance contracts, chemicals, catalysts, | ||
consumables, spares, and other fixed and variable | ||
operations and maintenance costs. The delivered fuel | ||
cost estimate will be provided by a recognized third | ||
party expert or experts in the fuel and transportation | ||
industries. The balance of the operating and | ||
maintenance cost quote, excluding delivered fuel | ||
costs, will be developed based on the inputs provided | ||
by duly licensed engineering and construction firms | ||
performing the construction cost quote, potential | ||
vendors under long-term service agreements and plant | ||
operating agreements, or recognized third party plant | ||
operator or operators. | ||
The operating and maintenance cost quote | ||
(including the cost of the front end engineering and | ||
design study) shall be expressed in nominal dollars as | ||
of the date that the quote is prepared and shall | ||
include taxes, insurance, and other owner's costs, and | ||
an assumed escalation in materials and labor beyond the | ||
date as of which the operating and maintenance cost |
quote is expressed. | ||
(D) The facility cost report shall also include an | ||
analysis of the initial clean coal facility's ability | ||
to deliver power and energy into the applicable | ||
regional transmission organization markets and an | ||
analysis of the expected capacity factor for the | ||
initial clean coal facility. | ||
(E) Amounts paid to third parties unrelated to the | ||
owner or owners of the initial clean coal facility to | ||
prepare the core plant construction cost quote, | ||
including the front end engineering and design study, | ||
and the operating and maintenance cost quote will be | ||
reimbursed through Coal Development Bonds. | ||
(5) Re-powering and retrofitting coal-fired power | ||
plants previously owned by Illinois utilities to qualify as | ||
clean coal facilities. During the 2009 procurement | ||
planning process and thereafter, the Agency and the | ||
Commission shall consider sourcing agreements covering | ||
electricity generated by power plants that were previously | ||
owned by Illinois utilities and that have been or will be | ||
converted into clean coal facilities, as defined by Section | ||
1-10 of this Act. Pursuant to such procurement planning | ||
process, the owners of such facilities may propose to the | ||
Agency sourcing agreements with utilities and alternative | ||
retail electric suppliers required to comply with | ||
subsection (d) of this Section and item (5) of subsection |
(d) of Section 16-115 of the Public Utilities Act, covering | ||
electricity generated by such facilities. In the case of | ||
sourcing agreements that are power purchase agreements, | ||
the contract price for electricity sales shall be | ||
established on a cost of service basis. In the case of | ||
sourcing agreements that are contracts for differences, | ||
the contract price from which the reference price is | ||
subtracted shall be established on a cost of service basis. | ||
The Agency and the Commission may approve any such utility | ||
sourcing agreements that do not exceed cost-based | ||
benchmarks developed by the procurement administrator, in | ||
consultation with the Commission staff, Agency staff and | ||
the procurement monitor, subject to Commission review and | ||
approval. The Commission shall have authority to inspect | ||
all books and records associated with these clean coal | ||
facilities during the term of any such contract. | ||
(6) Costs incurred under this subsection (d) or | ||
pursuant to a contract entered into under this subsection | ||
(d) shall be deemed prudently incurred and reasonable in | ||
amount and the electric utility shall be entitled to full | ||
cost recovery pursuant to the tariffs filed with the | ||
Commission. | ||
(e) The draft procurement plans are subject to public | ||
comment, as required by Section 16-111.5 of the Public | ||
Utilities Act. | ||
(f) The Agency shall submit the final procurement plan to |
the Commission. The Agency shall revise a procurement plan if | ||
the Commission determines that it does not meet the standards | ||
set forth in Section 16-111.5 of the Public Utilities Act. | ||
(g) The Agency shall assess fees to each affected utility | ||
to recover the costs incurred in preparation of the annual | ||
procurement plan for the utility. | ||
(h) The Agency shall assess fees to each bidder to recover | ||
the costs incurred in connection with a competitive procurement | ||
process.
| ||
(Source: P.A. 96-159, eff. 8-10-09; 96-1437, eff. 8-17-10; | ||
97-325, eff. 8-12-11; 97-616, eff. 10-26-11; 97-618, eff. | ||
10-26-11; 97-658, eff. 1-13-12; 97-813, eff. 7-13-12; revised | ||
7-25-12.) | ||
(20 ILCS 3855/1-92) | ||
Sec. 1-92. Aggregation of electrical load by | ||
municipalities, townships, and counties. | ||
(a) The corporate authorities of a municipality, township | ||
board, or county board of a county
may
adopt an ordinance under | ||
which it may aggregate in accordance with this
Section | ||
residential and small commercial retail electrical loads | ||
located, respectively, within the
municipality, the township, | ||
or the unincorporated areas of the county and, for that | ||
purpose, may solicit bids and enter into service
agreements to | ||
facilitate
for those
loads the sale and purchase of electricity | ||
and related services and equipment. |
The corporate authorities, township board, or county
board | ||
may also exercise such authority jointly with any other | ||
municipality, township, or county.
Two or
more
municipalities, | ||
townships, or counties, or a combination of both, may initiate | ||
a
process
jointly to authorize aggregation by a majority vote | ||
of each particular
municipality, township, or
county as | ||
required by this Section. | ||
If the corporate authorities, township board, or the county | ||
board seek to operate the aggregation program as an opt-out | ||
program for residential and small commercial retail customers, | ||
then prior to the adoption of an ordinance with respect to | ||
aggregation of residential and small commercial retail | ||
electric loads, the corporate authorities of a municipality, | ||
the township board, or the county board of a county shall | ||
submit a referendum to its residents to determine whether or | ||
not the aggregation program shall operate as an opt-out program | ||
for residential and small commercial retail customers. | ||
In addition to the notice and conduct requirements of the | ||
general election law, notice of the referendum shall state | ||
briefly the purpose of the referendum. The question of whether | ||
the corporate authorities, the township board, or the county | ||
board shall adopt an opt-out aggregation program for | ||
residential and small commercial retail customers shall be | ||
submitted to the electors of the municipality, township board, | ||
or county board at a regular election and approved by a | ||
majority of the electors voting on the question. The corporate |
authorities, township board, or county board must certify to | ||
the proper election authority, which must submit the question | ||
at an election in accordance with the Election Code. | ||
The election authority must submit the question in | ||
substantially the following form: | ||
Shall the (municipality, township, or county in which | ||
the question is being voted upon) have the authority to | ||
arrange for the supply of electricity for its residential | ||
and small commercial retail customers who have not opted | ||
out of such program? | ||
The election authority must record the votes as "Yes" or "No". | ||
If a majority of the electors voting on the question vote | ||
in the affirmative, then the corporate authorities, township | ||
board, or county board may implement an opt-out aggregation | ||
program for residential and small commercial retail customers. | ||
A referendum must pass in each particular municipality, | ||
township, or county that is engaged in the aggregation program. | ||
If the referendum fails, then the corporate authorities, | ||
township board, or county board shall operate the aggregation | ||
program as an opt-in program for residential and small | ||
commercial retail customers. | ||
An
ordinance under this Section shall specify whether the | ||
aggregation will occur
only with
the prior consent of each | ||
person owning, occupying, controlling, or using an
electric | ||
load
center proposed to be aggregated. Nothing in this Section,
| ||
however,
authorizes the aggregation of electric loads that are |
served or authorized to be served by an electric cooperative as | ||
defined by and pursuant to the Electric Supplier Act or loads | ||
served by a municipality that owns and operates its own | ||
electric distribution system. No
aggregation shall take
effect | ||
unless
approved by a majority of the members of the corporate | ||
authority, township board, or county board voting upon the | ||
ordinance.
| ||
A governmental aggregator under this Section is not a | ||
public utility or an
alternative retail electric supplier.
| ||
For purposes of this Section, "township" means the portion | ||
of a township that is an unincorporated portion of a county | ||
that is not otherwise a part of a municipality. In addition to | ||
such other limitations as are included in this Section, a | ||
township board shall only have authority to aggregate | ||
residential and small commercial customer loads in accordance | ||
with this Section if the county board of the county in which | ||
the township is located (i) is not also submitting a referendum | ||
to its residents at the same general election that the township | ||
board proposes to submit a referendum under this subsection | ||
(a), (ii) has not received authorization through passage of a | ||
referendum to operate an opt-out aggregation program for | ||
residential and small commercial retail customers under this | ||
subsection (a), and (iii) has not otherwise enacted an | ||
ordinance under this subsection (a) authorizing the operation | ||
of an opt-in aggregation program for residential and small | ||
commercial retail customers as described in this Section. |
(b) Upon the applicable requisite authority under this | ||
Section, the corporate
authorities, the township board, or the | ||
county board, with assistance from the Illinois Power Agency, | ||
shall develop a plan of operation and
governance for the
| ||
aggregation program so authorized. Before adopting a plan under | ||
this Section,
the
corporate authorities, township board, or | ||
county board shall hold at least 2 public hearings on
the plan.
| ||
Before the first hearing, the corporate authorities, township | ||
board, or county board shall
publish notice of
the hearings | ||
once a week for 2 consecutive weeks in a newspaper of general
| ||
circulation
in the jurisdiction. The notice shall summarize the | ||
plan and state the date,
time, and
location of each hearing.
| ||
Any load aggregation plan established pursuant to this Section | ||
shall: | ||
(1) provide for universal
access to all applicable | ||
residential customers and equitable treatment of | ||
applicable
residential customers; | ||
(2) describe demand management and energy efficiency | ||
services to be
provided to each class of customers;
and | ||
(3) meet any requirements established by law
| ||
concerning aggregated service offered pursuant to this | ||
Section. | ||
(c) The process for soliciting bids for electricity and | ||
other related services and awarding proposed agreements for the | ||
purchase of electricity and other related services shall be | ||
conducted in the following order: |
(1) The corporate authorities, township board, or | ||
county board may solicit bids for electricity and other | ||
related services. | ||
(1.5) A township board shall request from the electric | ||
utility those residential and small commercial customers | ||
within their aggregate area either by zip code or zip codes | ||
or other means as determined by the electric utility. The | ||
electric utility shall then provide to the township board | ||
the residential and small commercial customers, including | ||
the names and addresses of residential and small commercial | ||
customers, electronically. The township board shall be | ||
responsible for authenticating the residential and small | ||
commercial customers contained in this listing and | ||
providing edits of the data to affirm, add, or delete the | ||
residential and small commercial customers located within | ||
its jurisdiction. The township board shall provide the | ||
edited list to the electric utility in an electronic format | ||
or other means selected by the electric utility and certify | ||
that the information is accurate. | ||
(2) Notwithstanding Section 16-122 of the Public | ||
Utilities Act and Section 2HH of the Consumer Fraud and | ||
Deceptive Business Practices Act, an electric utility that | ||
provides residential and small commercial retail electric | ||
service in the aggregate area must, upon request of the | ||
corporate authorities, township board, or the county board | ||
in the aggregate area, submit to the requesting party, in |
an electronic format, those account numbers, names, and | ||
addresses of residential and small commercial retail | ||
customers in the aggregate area that are reflected in the | ||
electric utility's records at the time of the request; | ||
provided, however, that any township board has first | ||
provided an accurate customer list to the electric utility | ||
as provided for herein. | ||
Any corporate authority, township board, or county board | ||
receiving customer information from an electric utility shall | ||
be subject to the limitations on the disclosure of the | ||
information described in Section 16-122 of the Public Utilities | ||
Act and Section 2HH of the Consumer Fraud and Deceptive | ||
Business Practices Act, and an electric utility shall not be | ||
held liable for any claims arising out of the provision of | ||
information pursuant to this item (2). | ||
(d) If the corporate authorities, township board, or county | ||
board operate under an opt-in program for residential and small | ||
commercial retail customers, then the corporate authorities, | ||
township board, or county board shall comply with all of the | ||
following: | ||
(1) Within 60 days after receiving the bids, the | ||
corporate authorities, township board, or county board | ||
shall allow residential and small commercial retail | ||
customers to commit to the terms and conditions of a bid | ||
that has been selected by the corporate authorities, | ||
township board, or county board. |
(2) If (A) the corporate authorities, township board, | ||
or county board award proposed agreements for the purchase | ||
of electricity and other related services and (B) an | ||
agreement is reached between the corporate authorities, | ||
township board, or county board for those services, then | ||
customers committed to the terms and conditions according | ||
to item (1) of this subsection (d) shall be committed to | ||
the agreement. | ||
(e) If the corporate authorities, township board, or county | ||
board operate as an opt-out program for residential and small | ||
commercial retail customers, then it shall be the duty of the | ||
aggregated entity to fully inform
residential and small | ||
commercial retail customers in advance that they have the right | ||
to opt out of the aggregation program.
The disclosure shall | ||
prominently state all charges to be made and
shall include
full | ||
disclosure of the cost to obtain service pursuant to Section | ||
16-103 of the Public Utilities Act, how
to access it,
and the | ||
fact that it is available to them without penalty, if they are
| ||
currently receiving
service under that Section. The Illinois | ||
Power Agency shall furnish, without charge, to
any citizen a
| ||
list of all supply options available to them in a format that
| ||
allows
comparison of prices and products. | ||
(f) Any person or entity retained by a municipality or | ||
county, or jointly by more than one such unit of local | ||
government, to provide input, guidance, or advice in the | ||
selection of an electricity supplier for an aggregation program |
shall disclose in writing to the involved units of local | ||
government the nature of any relationship through which the | ||
person or entity may receive, either directly or indirectly, | ||
commissions or other remuneration as a result of the selection | ||
of any particular electricity supplier. The written disclosure | ||
must be made prior to formal approval by the involved units of | ||
local government of any professional services agreement with | ||
the person or entity, or no later than October 1, 2012 with | ||
respect to any such professional services agreement entered | ||
into prior to the effective date of this amendatory Act of the | ||
97th General Assembly. The disclosure shall cover all direct | ||
and indirect relationships through which commissions or | ||
remuneration may result, including the pooling of commissions | ||
or remuneration among multiple persons or entities, and shall | ||
identify all involved electricity suppliers. The disclosure | ||
requirements in this subsection (f) are to be liberally | ||
construed to ensure that the nature of financial interests are | ||
fully revealed, and these disclosure requirements shall apply | ||
regardless of whether the involved person or entity is licensed | ||
under Section 16-115C of the Public Utilities Act. Any person | ||
or entity that fails to make the disclosure required under this | ||
subsection (f) is liable to the involved units of local | ||
government in an amount equal to all compensation paid to such | ||
person or entity by the units of local government for the | ||
input, guidance, or advice in the selection of an electricity | ||
supplier, plus reasonable attorneys fees and court costs |
incurred by the units of local government in connection with | ||
obtaining such amount. | ||
(g) The Illinois Power Agency shall provide assistance to | ||
municipalities, townships, counties, or associations working | ||
with municipalities to help complete the plan and bidding | ||
process. | ||
(h) This Section does not prohibit municipalities or | ||
counties from entering into an intergovernmental agreement to | ||
aggregate residential and small commercial retail electric | ||
loads.
| ||
(Source: P.A. 96-176, eff. 1-1-10; 97-338, eff. 8-12-11; | ||
97-823, eff. 7-18-12; 97-1067, eff. 8-24-12; revised 9-20-12.) | ||
Section 125. The Illinois Health Facilities Planning Act is | ||
amended by changing Sections 12 and 14.1 as follows:
| ||
(20 ILCS 3960/12) (from Ch. 111 1/2, par. 1162)
| ||
(Text of Section before amendment by P.A. 97-1045 ) | ||
(Section scheduled to be repealed on December 31, 2019) | ||
Sec. 12. Powers and duties of State Board. For purposes of | ||
this Act,
the State Board
shall
exercise the following powers | ||
and duties:
| ||
(1) Prescribe rules,
regulations, standards, criteria, | ||
procedures or reviews which may vary
according to the purpose | ||
for which a particular review is being conducted
or the type of | ||
project reviewed and which are required to carry out the
|
provisions and purposes of this Act. Policies and procedures of | ||
the State Board shall take into consideration the priorities | ||
and needs of medically underserved areas and other health care | ||
services identified through the comprehensive health planning | ||
process, giving special consideration to the impact of projects | ||
on access to safety net services.
| ||
(2) Adopt procedures for public
notice and hearing on all | ||
proposed rules, regulations, standards,
criteria, and plans | ||
required to carry out the provisions of this Act.
| ||
(3) (Blank).
| ||
(4) Develop criteria and standards for health care | ||
facilities planning,
conduct statewide inventories of health | ||
care facilities, maintain an updated
inventory on the Board's | ||
web site reflecting the
most recent bed and service
changes and | ||
updated need determinations when new census data become | ||
available
or new need formulae
are adopted,
and
develop health | ||
care facility plans which shall be utilized in the review of
| ||
applications for permit under
this Act. Such health facility | ||
plans shall be coordinated by the Board
with pertinent State | ||
Plans. Inventories pursuant to this Section of skilled or | ||
intermediate care facilities licensed under the Nursing Home | ||
Care Act, skilled or intermediate care facilities licensed | ||
under the ID/DD Community Care Act, facilities licensed under | ||
the Specialized Mental Health Rehabilitation Act, or nursing | ||
homes licensed under the Hospital Licensing Act shall be | ||
conducted on an annual basis no later than July 1 of each year |
and shall include among the information requested a list of all | ||
services provided by a facility to its residents and to the | ||
community at large and differentiate between active and | ||
inactive beds.
| ||
In developing health care facility plans, the State Board | ||
shall consider,
but shall not be limited to, the following:
| ||
(a) The size, composition and growth of the population | ||
of the area
to be served;
| ||
(b) The number of existing and planned facilities | ||
offering similar
programs;
| ||
(c) The extent of utilization of existing facilities;
| ||
(d) The availability of facilities which may serve as | ||
alternatives
or substitutes;
| ||
(e) The availability of personnel necessary to the | ||
operation of the
facility;
| ||
(f) Multi-institutional planning and the establishment | ||
of
multi-institutional systems where feasible;
| ||
(g) The financial and economic feasibility of proposed | ||
construction
or modification; and
| ||
(h) In the case of health care facilities established | ||
by a religious
body or denomination, the needs of the | ||
members of such religious body or
denomination may be | ||
considered to be public need.
| ||
The health care facility plans which are developed and | ||
adopted in
accordance with this Section shall form the basis | ||
for the plan of the State
to deal most effectively with |
statewide health needs in regard to health
care facilities.
| ||
(5) Coordinate with the Center for Comprehensive Health | ||
Planning and other state agencies having responsibilities
| ||
affecting health care facilities, including those of licensure | ||
and cost
reporting. Beginning no later than January 1, 2013, | ||
the Department of Public Health shall produce a written annual | ||
report to the Governor and the General Assembly regarding the | ||
development of the Center for Comprehensive Health Planning. | ||
The Chairman of the State Board and the State Board | ||
Administrator shall also receive a copy of the annual report.
| ||
(6) Solicit, accept, hold and administer on behalf of the | ||
State
any grants or bequests of money, securities or property | ||
for
use by the State Board or Center for Comprehensive Health | ||
Planning in the administration of this Act; and enter into | ||
contracts
consistent with the appropriations for purposes | ||
enumerated in this Act.
| ||
(7) The State Board shall prescribe procedures for review, | ||
standards,
and criteria which shall be utilized
to make | ||
periodic reviews and determinations of the appropriateness
of | ||
any existing health services being rendered by health care | ||
facilities
subject to the Act. The State Board shall consider | ||
recommendations of the
Board in making its
determinations.
| ||
(8) Prescribe, in consultation
with the Center for | ||
Comprehensive Health Planning, rules, regulations,
standards, | ||
and criteria for the conduct of an expeditious review of
| ||
applications
for permits for projects of construction or |
modification of a health care
facility, which projects are | ||
classified as emergency, substantive, or non-substantive in | ||
nature. | ||
Six months after June 30, 2009 (the effective date of | ||
Public Act 96-31), substantive projects shall include no more | ||
than the following: | ||
(a) Projects to construct (1) a new or replacement | ||
facility located on a new site or
(2) a replacement | ||
facility located on the same site as the original facility | ||
and the cost of the replacement facility exceeds the | ||
capital expenditure minimum, which shall be reviewed by the | ||
Board within 120 days; | ||
(b) Projects proposing a
(1) new service within an | ||
existing healthcare facility or
(2) discontinuation of a | ||
service within an existing healthcare facility, which | ||
shall be reviewed by the Board within 60 days; or | ||
(c) Projects proposing a change in the bed capacity of | ||
a health care facility by an increase in the total number | ||
of beds or by a redistribution of beds among various | ||
categories of service or by a relocation of beds from one | ||
physical facility or site to another by more than 20 beds | ||
or more than 10% of total bed capacity, as defined by the | ||
State Board, whichever is less, over a 2-year period. | ||
The Chairman may approve applications for exemption that | ||
meet the criteria set forth in rules or refer them to the full | ||
Board. The Chairman may approve any unopposed application that |
meets all of the review criteria or refer them to the full | ||
Board. | ||
Such rules shall
not abridge the right of the Center for | ||
Comprehensive Health Planning to make
recommendations on the | ||
classification and approval of projects, nor shall
such rules | ||
prevent the conduct of a public hearing upon the timely request
| ||
of an interested party. Such reviews shall not exceed 60 days | ||
from the
date the application is declared to be complete.
| ||
(9) Prescribe rules, regulations,
standards, and criteria | ||
pertaining to the granting of permits for
construction
and | ||
modifications which are emergent in nature and must be | ||
undertaken
immediately to prevent or correct structural | ||
deficiencies or hazardous
conditions that may harm or injure | ||
persons using the facility, as defined
in the rules and | ||
regulations of the State Board. This procedure is exempt
from | ||
public hearing requirements of this Act.
| ||
(10) Prescribe rules,
regulations, standards and criteria | ||
for the conduct of an expeditious
review, not exceeding 60 | ||
days, of applications for permits for projects to
construct or | ||
modify health care facilities which are needed for the care
and | ||
treatment of persons who have acquired immunodeficiency | ||
syndrome (AIDS)
or related conditions.
| ||
(11) Issue written decisions upon request of the applicant | ||
or an adversely affected party to the Board within 30 days of | ||
the meeting in which a final decision has been made. A "final | ||
decision" for purposes of this Act is the decision to approve |
or deny an application, or take other actions permitted under | ||
this Act, at the time and date of the meeting that such action | ||
is scheduled by the Board. The staff of the State Board shall | ||
prepare a written copy of the final decision and the State | ||
Board shall approve a final copy for inclusion in the formal | ||
record. The written decision shall identify the applicable | ||
criteria and factors listed in this Act and the Board's | ||
regulations that were taken into consideration by the Board | ||
when coming to a final decision. If the State Board denies or | ||
fails to approve an application for permit or certificate, the | ||
State Board shall include in the final decision a detailed | ||
explanation as to why the application was denied and identify | ||
what specific criteria or standards the applicant did not | ||
fulfill. | ||
(12) Require at least one of its members to participate in | ||
any public hearing, after the appointment of a majority of the | ||
members to the Board. | ||
(13) Provide a mechanism for the public to comment on, and | ||
request changes to, draft rules and standards. | ||
(14) Implement public information campaigns to regularly | ||
inform the general public about the opportunity for public | ||
hearings and public hearing procedures. | ||
(15) Establish a separate set of rules and guidelines for | ||
long-term care that recognizes that nursing homes are a | ||
different business line and service model from other regulated | ||
facilities. An open and transparent process shall be developed |
that considers the following: how skilled nursing fits in the | ||
continuum of care with other care providers, modernization of | ||
nursing homes, establishment of more private rooms, | ||
development of alternative services, and current trends in | ||
long-term care services.
The Chairman of the Board shall | ||
appoint a permanent Health Services Review Board Long-term Care | ||
Facility Advisory Subcommittee that shall develop and | ||
recommend to the Board the rules to be established by the Board | ||
under this paragraph (15). The Subcommittee shall also provide | ||
continuous review and commentary on policies and procedures | ||
relative to long-term care and the review of related projects. | ||
In consultation with other experts from the health field of | ||
long-term care, the Board and the Subcommittee shall study new | ||
approaches to the current bed need formula and Health Service | ||
Area boundaries to encourage flexibility and innovation in | ||
design models reflective of the changing long-term care | ||
marketplace and consumer preferences. The Board shall file the | ||
proposed related administrative rules for the separate rules | ||
and guidelines for long-term care required by this paragraph | ||
(15) by no later than September 30, 2011. The Subcommittee | ||
shall be provided a reasonable and timely opportunity to review | ||
and comment on any review, revision, or updating of the | ||
criteria, standards, procedures, and rules used to evaluate | ||
project applications as provided under Section 12.3 of this | ||
Act. | ||
(Source: P.A. 96-31, eff. 6-30-09; 96-339, eff. 7-1-10; |
96-1000, eff. 7-2-10; 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; | ||
97-813, 7-13-12; 97-1115, eff. 8-27-12.) | ||
(Text of Section after amendment by P.A. 97-1045 ) | ||
(Section scheduled to be repealed on December 31, 2019) | ||
Sec. 12. Powers and duties of State Board. For purposes of | ||
this Act,
the State Board
shall
exercise the following powers | ||
and duties:
| ||
(1) Prescribe rules,
regulations, standards, criteria, | ||
procedures or reviews which may vary
according to the purpose | ||
for which a particular review is being conducted
or the type of | ||
project reviewed and which are required to carry out the
| ||
provisions and purposes of this Act. Policies and procedures of | ||
the State Board shall take into consideration the priorities | ||
and needs of medically underserved areas and other health care | ||
services identified through the comprehensive health planning | ||
process, giving special consideration to the impact of projects | ||
on access to safety net services.
| ||
(2) Adopt procedures for public
notice and hearing on all | ||
proposed rules, regulations, standards,
criteria, and plans | ||
required to carry out the provisions of this Act.
| ||
(3) (Blank).
| ||
(4) Develop criteria and standards for health care | ||
facilities planning,
conduct statewide inventories of health | ||
care facilities, maintain an updated
inventory on the Board's | ||
web site reflecting the
most recent bed and service
changes and |
updated need determinations when new census data become | ||
available
or new need formulae
are adopted,
and
develop health | ||
care facility plans which shall be utilized in the review of
| ||
applications for permit under
this Act. Such health facility | ||
plans shall be coordinated by the Board
with pertinent State | ||
Plans. Inventories pursuant to this Section of skilled or | ||
intermediate care facilities licensed under the Nursing Home | ||
Care Act, skilled or intermediate care facilities licensed | ||
under the ID/DD Community Care Act, facilities licensed under | ||
the Specialized Mental Health Rehabilitation Act, or nursing | ||
homes licensed under the Hospital Licensing Act shall be | ||
conducted on an annual basis no later than July 1 of each year | ||
and shall include among the information requested a list of all | ||
services provided by a facility to its residents and to the | ||
community at large and differentiate between active and | ||
inactive beds.
| ||
In developing health care facility plans, the State Board | ||
shall consider,
but shall not be limited to, the following:
| ||
(a) The size, composition and growth of the population | ||
of the area
to be served;
| ||
(b) The number of existing and planned facilities | ||
offering similar
programs;
| ||
(c) The extent of utilization of existing facilities;
| ||
(d) The availability of facilities which may serve as | ||
alternatives
or substitutes;
| ||
(e) The availability of personnel necessary to the |
operation of the
facility;
| ||
(f) Multi-institutional planning and the establishment | ||
of
multi-institutional systems where feasible;
| ||
(g) The financial and economic feasibility of proposed | ||
construction
or modification; and
| ||
(h) In the case of health care facilities established | ||
by a religious
body or denomination, the needs of the | ||
members of such religious body or
denomination may be | ||
considered to be public need.
| ||
The health care facility plans which are developed and | ||
adopted in
accordance with this Section shall form the basis | ||
for the plan of the State
to deal most effectively with | ||
statewide health needs in regard to health
care facilities.
| ||
(5) Coordinate with the Center for Comprehensive Health | ||
Planning and other state agencies having responsibilities
| ||
affecting health care facilities, including those of licensure | ||
and cost
reporting. Beginning no later than January 1, 2013, | ||
the Department of Public Health shall produce a written annual | ||
report to the Governor and the General Assembly regarding the | ||
development of the Center for Comprehensive Health Planning. | ||
The Chairman of the State Board and the State Board | ||
Administrator shall also receive a copy of the annual report.
| ||
(6) Solicit, accept, hold and administer on behalf of the | ||
State
any grants or bequests of money, securities or property | ||
for
use by the State Board or Center for Comprehensive Health | ||
Planning in the administration of this Act; and enter into |
contracts
consistent with the appropriations for purposes | ||
enumerated in this Act.
| ||
(7) The State Board shall prescribe procedures for review, | ||
standards,
and criteria which shall be utilized
to make | ||
periodic reviews and determinations of the appropriateness
of | ||
any existing health services being rendered by health care | ||
facilities
subject to the Act. The State Board shall consider | ||
recommendations of the
Board in making its
determinations.
| ||
(8) Prescribe, in consultation
with the Center for | ||
Comprehensive Health Planning, rules, regulations,
standards, | ||
and criteria for the conduct of an expeditious review of
| ||
applications
for permits for projects of construction or | ||
modification of a health care
facility, which projects are | ||
classified as emergency, substantive, or non-substantive in | ||
nature. | ||
Six months after June 30, 2009 (the effective date of | ||
Public Act 96-31), substantive projects shall include no more | ||
than the following: | ||
(a) Projects to construct (1) a new or replacement | ||
facility located on a new site or
(2) a replacement | ||
facility located on the same site as the original facility | ||
and the cost of the replacement facility exceeds the | ||
capital expenditure minimum, which shall be reviewed by the | ||
Board within 120 days; | ||
(b) Projects proposing a
(1) new service within an | ||
existing healthcare facility or
(2) discontinuation of a |
service within an existing healthcare facility, which | ||
shall be reviewed by the Board within 60 days; or | ||
(c) Projects proposing a change in the bed capacity of | ||
a health care facility by an increase in the total number | ||
of beds or by a redistribution of beds among various | ||
categories of service or by a relocation of beds from one | ||
physical facility or site to another by more than 20 beds | ||
or more than 10% of total bed capacity, as defined by the | ||
State Board, whichever is less, over a 2-year period. | ||
The Chairman may approve applications for exemption that | ||
meet the criteria set forth in rules or refer them to the full | ||
Board. The Chairman may approve any unopposed application that | ||
meets all of the review criteria or refer them to the full | ||
Board. | ||
Such rules shall
not abridge the right of the Center for | ||
Comprehensive Health Planning to make
recommendations on the | ||
classification and approval of projects, nor shall
such rules | ||
prevent the conduct of a public hearing upon the timely request
| ||
of an interested party. Such reviews shall not exceed 60 days | ||
from the
date the application is declared to be complete.
| ||
(9) Prescribe rules, regulations,
standards, and criteria | ||
pertaining to the granting of permits for
construction
and | ||
modifications which are emergent in nature and must be | ||
undertaken
immediately to prevent or correct structural | ||
deficiencies or hazardous
conditions that may harm or injure | ||
persons using the facility, as defined
in the rules and |
regulations of the State Board. This procedure is exempt
from | ||
public hearing requirements of this Act.
| ||
(10) Prescribe rules,
regulations, standards and criteria | ||
for the conduct of an expeditious
review, not exceeding 60 | ||
days, of applications for permits for projects to
construct or | ||
modify health care facilities which are needed for the care
and | ||
treatment of persons who have acquired immunodeficiency | ||
syndrome (AIDS)
or related conditions.
| ||
(11) Issue written decisions upon request of the applicant | ||
or an adversely affected party to the Board within 30 days of | ||
the meeting in which a final decision has been made. A "final | ||
decision" for purposes of this Act is the decision to approve | ||
or deny an application, or take other actions permitted under | ||
this Act, at the time and date of the meeting that such action | ||
is scheduled by the Board. The staff of the State Board shall | ||
prepare a written copy of the final decision and the State | ||
Board shall approve a final copy for inclusion in the formal | ||
record. The written decision shall identify the applicable | ||
criteria and factors listed in this Act and the Board's | ||
regulations that were taken into consideration by the Board | ||
when coming to a final decision. If the State Board denies or | ||
fails to approve an application for permit or certificate, the | ||
State Board shall include in the final decision a detailed | ||
explanation as to why the application was denied and identify | ||
what specific criteria or standards the applicant did not | ||
fulfill. |
(12) Require at least one of its members to participate in | ||
any public hearing, after the appointment of a majority of the | ||
members to the Board. | ||
(13) Provide a mechanism for the public to comment on, and | ||
request changes to, draft rules and standards. | ||
(14) Implement public information campaigns to regularly | ||
inform the general public about the opportunity for public | ||
hearings and public hearing procedures. | ||
(15) Establish a separate set of rules and guidelines for | ||
long-term care that recognizes that nursing homes are a | ||
different business line and service model from other regulated | ||
facilities. An open and transparent process shall be developed | ||
that considers the following: how skilled nursing fits in the | ||
continuum of care with other care providers, modernization of | ||
nursing homes, establishment of more private rooms, | ||
development of alternative services, and current trends in | ||
long-term care services.
The Chairman of the Board shall | ||
appoint a permanent Health Services Review Board Long-term Care | ||
Facility Advisory Subcommittee that shall develop and | ||
recommend to the Board the rules to be established by the Board | ||
under this paragraph (15). The Subcommittee shall also provide | ||
continuous review and commentary on policies and procedures | ||
relative to long-term care and the review of related projects. | ||
In consultation with other experts from the health field of | ||
long-term care, the Board and the Subcommittee shall study new | ||
approaches to the current bed need formula and Health Service |
Area boundaries to encourage flexibility and innovation in | ||
design models reflective of the changing long-term care | ||
marketplace and consumer preferences. The Subcommittee shall | ||
evaluate, and make recommendations to the State Board | ||
regarding, the buying, selling, and exchange of beds between | ||
long-term care facilities within a specified geographic area or | ||
drive time. The Board shall file the proposed related | ||
administrative rules for the separate rules and guidelines for | ||
long-term care required by this paragraph (15) by no later than | ||
September 30, 2011. The Subcommittee shall be provided a | ||
reasonable and timely opportunity to review and comment on any | ||
review, revision, or updating of the criteria, standards, | ||
procedures, and rules used to evaluate project applications as | ||
provided under Section 12.3 of this Act. | ||
(Source: P.A. 96-31, eff. 6-30-09; 96-339, eff. 7-1-10; | ||
96-1000, eff. 7-2-10; 97-38, eff. 6-28-11; 97-227, eff. 1-1-12; | ||
97-813, eff. 7-13-12; 97-1045, eff. 8-21-13; 97-1115, eff. | ||
8-27-12; revised 10-11-12.)
| ||
(20 ILCS 3960/14.1)
| ||
Sec. 14.1. Denial of permit; other sanctions. | ||
(a) The State Board may deny an application for a permit or | ||
may revoke or
take other action as permitted by this Act with | ||
regard to a permit as the State
Board deems appropriate, | ||
including the imposition of fines as set forth in this
Section, | ||
for any one or a combination of the following: |
(1) The acquisition of major medical equipment without | ||
a permit or in
violation of the terms of a permit. | ||
(2) The establishment, construction, or modification | ||
of a health care
facility without a permit or in violation | ||
of the terms of a permit. | ||
(3) The violation of any provision of this Act or any | ||
rule adopted
under this Act. | ||
(4) The failure, by any person subject to this Act, to | ||
provide information
requested by the State Board or Agency | ||
within 30 days after a formal written
request for the | ||
information. | ||
(5) The failure to pay any fine imposed under this | ||
Section within 30 days
of its imposition. | ||
(a-5) For facilities licensed under the ID/DD Community | ||
Care Act, no permit shall be denied on the basis of prior | ||
operator history, other than for actions specified under item | ||
(2), (4), or (5) of Section 3-117 of the ID/DD Community Care | ||
Act. For facilities licensed under the Specialized Mental | ||
Health Rehabilitation Act, no permit shall be denied on the | ||
basis of prior operator history, other than for actions | ||
specified under item (2), (4), or (5) of Section 3-117 of the | ||
Specialized Mental Health Rehabilitation Act. For facilities | ||
licensed under the Nursing Home Care Act, no permit shall be | ||
denied on the basis of prior operator history, other than for: | ||
(i) actions specified under item (2), (3), (4), (5), or (6) of | ||
Section 3-117 of the Nursing Home Care Act; (ii) actions |
specified under item (a)(6) of Section 3-119 of the Nursing | ||
Home Care Act; or (iii) actions within the preceding 5 years | ||
constituting a substantial and repeated failure to comply with | ||
the Nursing Home Care Act or the rules and regulations adopted | ||
by the Department under that Act. The State Board shall not | ||
deny a permit on account of any action described in this | ||
subsection (a-5) without also considering all such actions in | ||
the light of all relevant information available to the State | ||
Board, including whether the permit is sought to substantially | ||
comply with a mandatory or voluntary plan of correction | ||
associated with any action described in this subsection (a-5).
| ||
(b) Persons shall be subject to fines as follows: | ||
(1) A permit holder who fails to comply with the | ||
requirements of
maintaining a valid permit shall be fined | ||
an amount not to exceed 1% of the
approved permit amount | ||
plus an additional 1% of the approved permit amount for
| ||
each 30-day period, or fraction thereof, that the violation | ||
continues. | ||
(2) A permit holder who alters the scope of an approved | ||
project or whose
project costs exceed the allowable permit | ||
amount without first obtaining
approval from the State | ||
Board shall be fined an amount not to exceed the sum of
(i) | ||
the lesser of $25,000 or 2% of the approved permit amount | ||
and (ii) in those
cases where the approved permit amount is | ||
exceeded by more than $1,000,000, an
additional $20,000 for | ||
each $1,000,000, or fraction thereof, in excess of the
|
approved permit amount. | ||
(2.5) A permit holder who fails to comply with the | ||
post-permit and reporting requirements set forth in | ||
Section 5 shall be fined an amount not to exceed $10,000 | ||
plus an additional $10,000 for each 30-day period, or | ||
fraction thereof, that the violation continues. This fine | ||
shall continue to accrue until the date that (i) the | ||
post-permit requirements are met and the post-permit | ||
reports are received by the State Board or (ii) the matter | ||
is referred by the State Board to the State Board's legal | ||
counsel. The accrued fine is not waived by the permit | ||
holder submitting the required information and reports. | ||
Prior to any fine beginning to accrue, the Board shall
| ||
notify, in writing, a permit holder of the due date
for the | ||
post-permit and reporting requirements no later than 30 | ||
days
before the due date for the requirements. This | ||
paragraph (2.5) takes
effect 6 months after August 27, 2012 | ||
( the effective date of Public Act 97-1115) this amendatory | ||
Act
of the 97th General Assembly . | ||
(3) A person who acquires major medical equipment or | ||
who establishes a
category of service without first | ||
obtaining a permit or exemption, as the case
may be, shall | ||
be fined an amount not to exceed $10,000 for each such
| ||
acquisition or category of service established plus an | ||
additional $10,000 for
each 30-day period, or fraction | ||
thereof, that the violation continues. |
(4) A person who constructs, modifies, or establishes a | ||
health care
facility without first obtaining a permit shall | ||
be fined an amount not to
exceed $25,000 plus an additional | ||
$25,000 for each 30-day period, or fraction
thereof, that | ||
the violation continues. | ||
(5) A person who discontinues a health care facility or | ||
a category of
service without first obtaining a permit | ||
shall be fined an amount not to exceed
$10,000 plus an | ||
additional $10,000 for each 30-day period, or fraction | ||
thereof,
that the violation continues. For purposes of this | ||
subparagraph (5), facilities licensed under the Nursing | ||
Home Care Act or the ID/DD Community Care Act, with the | ||
exceptions of facilities operated by a county or Illinois | ||
Veterans Homes, are exempt from this permit requirement. | ||
However, facilities licensed under the Nursing Home Care | ||
Act or the ID/DD Community Care Act must comply with | ||
Section 3-423 of the Nursing Home Care Act or Section 3-423 | ||
of the ID/DD Community Care Act and must provide the Board | ||
and the Department of Human Services with 30 days' written | ||
notice of its intent to close.
Facilities licensed under | ||
the ID/DD Community Care Act also must provide the Board | ||
and the Department of Human Services with 30 days' written | ||
notice of its intent to reduce the number of beds for a | ||
facility. | ||
(6) A person subject to this Act who fails to provide | ||
information
requested by the State Board or Agency within |
30 days of a formal written
request shall be fined an | ||
amount not to exceed $1,000 plus an additional $1,000
for | ||
each 30-day period, or fraction thereof, that the | ||
information is not
received by the State Board or Agency. | ||
(c) Before imposing any fine authorized under this Section, | ||
the State Board
shall afford the person or permit holder, as | ||
the case may be, an appearance
before the State Board and an | ||
opportunity for a hearing before a hearing
officer appointed by | ||
the State Board. The hearing shall be conducted in
accordance | ||
with Section 10. | ||
(d) All fines collected under this Act shall be transmitted | ||
to the State
Treasurer, who shall deposit them into the | ||
Illinois Health Facilities Planning
Fund. | ||
(Source: P.A. 96-339, eff. 7-1-10; 96-1372, eff. 7-29-10; | ||
97-38, eff. 6-28-11; 97-227, eff. 1-1-12; 97-813, eff. 7-13-12; | ||
97-980, eff. 8-17-12; 97-1115, eff. 8-27-12; revised 9-20-12.)
| ||
Section 130. The State Finance Act is amended by changing | ||
Sections 5.491, 6z-81, 8.12, and 25 and by setting
forth and | ||
renumbering multiple versions of Sections 5.811, 5.812, 5.813, | ||
and 6z-93 as follows:
| ||
(30 ILCS 105/5.491)
| ||
Sec. 5.491. The Illinois Racing Quarter Horse Quarterhorse | ||
Breeders Fund. | ||
(Source: P.A. 91-40, eff. 6-25-99; 92-16, eff. 6-28-01; revised |
10-17-12.)
| ||
(30 ILCS 105/5.811) | ||
Sec. 5.811. The Home Services Medicaid Trust Fund. | ||
(Source: P.A. 97-732, eff. 6-30-12.) | ||
(30 ILCS 105/5.812) | ||
Sec. 5.812. The Estate Tax Refund Fund. | ||
(Source: P.A. 97-732, eff. 6-30-12.) | ||
(30 ILCS 105/5.813) | ||
Sec. 5.813. The FY13 Backlog Payment Fund. | ||
(Source: P.A. 97-732, eff. 6-30-12.)
| ||
(30 ILCS 105/5.814)
| ||
Sec. 5.814 5.811 . The Municipal Wireless Service Emergency | ||
Fund. | ||
(Source: P.A. 97-748, eff. 7-6-12; revised 9-25-12.)
| ||
(30 ILCS 105/5.815)
| ||
Sec. 5.815 5.811 . The Illinois State Police Federal | ||
Projects Fund. | ||
(Source: P.A. 97-826, eff. 7-18-12; revised 9-25-12.)
| ||
(30 ILCS 105/5.816)
| ||
Sec. 5.816 5.811 . The Energy Efficiency Portfolio |
Standards Fund. | ||
(Source: P.A. 97-841, eff. 7-20-12; revised 9-25-12.)
| ||
(30 ILCS 105/5.817)
| ||
Sec. 5.817 5.811 . The Public-Private Partnerships for | ||
Transportation Fund. | ||
(Source: P.A. 97-858, eff. 7-27-12; revised 9-25-12.)
| ||
(30 ILCS 105/5.818)
| ||
Sec. 5.818 5.811 . The Food and Agricultural Research Fund. | ||
(Source: P.A. 97-879, eff. 8-2-12; revised 9-25-12.)
| ||
(30 ILCS 105/5.819)
| ||
Sec. 5.819 5.811 . The Sexual Assault Services and | ||
Prevention Fund. | ||
(Source: P.A. 97-1035, eff. 1-1-13; revised 9-25-12.)
| ||
(30 ILCS 105/5.820)
| ||
Sec. 5.820 5.811 . The State Police Merit Board Public | ||
Safety Fund. | ||
(Source: P.A. 97-1051, eff. 1-1-13; revised 9-25-12.)
| ||
(30 ILCS 105/5.821)
| ||
Sec. 5.821 5.811 . The Childhood Cancer Research Fund. | ||
(Source: P.A. 97-1117, eff. 8-27-12; revised 9-25-12.)
|
(30 ILCS 105/5.822)
| ||
Sec. 5.822 5.811 . The Illinois Independent Tax Tribunal | ||
Fund. | ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 9-25-12.)
| ||
(30 ILCS 105/5.823)
| ||
Sec. 5.823 5.812 . The State Police Motor Vehicle Theft | ||
Prevention Trust Fund. | ||
(Source: P.A. 97-826, eff. 7-18-12; revised 9-25-12.)
| ||
(30 ILCS 105/5.824)
| ||
Sec. 5.824 5.812 . The Children's Wellness Charities Fund. | ||
(Source: P.A. 97-1117, eff. 8-27-12; revised 9-25-12.)
| ||
(30 ILCS 105/5.825)
| ||
Sec. 5.825 5.813 . The Housing for Families Fund. | ||
(Source: P.A. 97-1117, eff. 8-27-12; revised 9-25-12.)
| ||
(30 ILCS 105/5.827) | ||
Sec. 5.827 5.811 . The Illinois State Museum Fund. | ||
(Source: P.A. 97-1136, eff. 1-1-13; revised 1-15-13.) | ||
(30 ILCS 105/5.828) | ||
Sec. 5.828 5.812 . The Illinois Fisheries Management Fund.
| ||
(Source: P.A. 97-1136, eff. 1-1-13; revised 1-15-13.) |
(30 ILCS 105/6z-81) | ||
Sec. 6z-81. Healthcare Provider Relief Fund. | ||
(a) There is created in the State treasury a special fund | ||
to be known as the Healthcare Provider Relief Fund. | ||
(b) The Fund is created for the purpose of receiving and | ||
disbursing moneys in accordance with this Section. | ||
Disbursements from the Fund shall be made only as follows: | ||
(1) Subject to appropriation, for payment by the | ||
Department of Healthcare and
Family Services or by the | ||
Department of Human Services of medical bills and related | ||
expenses, including administrative expenses, for which the | ||
State is responsible under Titles XIX and XXI of the Social | ||
Security Act, the Illinois Public Aid Code, the Children's | ||
Health Insurance Program Act, the Covering ALL KIDS Health | ||
Insurance Act, and the Long Term Acute Care Hospital | ||
Quality Improvement Transfer Program Act. | ||
(2) For repayment of funds borrowed from other State
| ||
funds or from outside sources, including interest thereon. | ||
(c) The Fund shall consist of the following: | ||
(1) Moneys received by the State from short-term
| ||
borrowing pursuant to the Short Term Borrowing Act on or | ||
after the effective date of this amendatory Act of the 96th | ||
General Assembly. | ||
(2) All federal matching funds received by the
Illinois | ||
Department of Healthcare and Family Services as a result of | ||
expenditures made by the Department that are attributable |
to moneys deposited in the Fund. | ||
(3) All federal matching funds received by the
Illinois | ||
Department of Healthcare and Family Services as a result of | ||
federal approval of Title XIX State plan amendment | ||
transmittal number 07-09. | ||
(4) All other moneys received for the Fund from any
| ||
other source, including interest earned thereon. | ||
(d) In addition to any other transfers that may be provided | ||
for by law, on the effective date of this amendatory Act of the | ||
97th General Assembly, or as soon thereafter as practical, the | ||
State Comptroller shall direct and the State Treasurer shall | ||
transfer the sum of $365,000,000 from the General Revenue Fund | ||
into the Healthcare Provider Relief Fund.
| ||
(e) In addition to any other transfers that may be provided | ||
for by law, on July 1, 2011, or as soon thereafter as | ||
practical, the State Comptroller shall direct and the State | ||
Treasurer shall transfer the sum of $160,000,000 from the | ||
General Revenue Fund to the Healthcare Provider Relief Fund. | ||
(f) Notwithstanding any other State law to the contrary, | ||
and in addition to any other transfers that may be provided for | ||
by law, the State Comptroller shall order transferred and the | ||
State Treasurer shall transfer $500,000,000 to the Healthcare | ||
Provider Relief Fund from the General Revenue Fund in equal | ||
monthly installments of $100,000,000, with the first transfer | ||
to be made on July 1, 2012, or as soon thereafter as practical, | ||
and with each of the remaining transfers to be made on August |
1, 2012, September 1, 2012, October 1, 2012, and November 1, | ||
2012, or as soon thereafter as practical. This transfer may | ||
assist the Department of Healthcare and Family Services in | ||
improving Medical Assistance bill processing timeframes or in | ||
meeting the possible requirements of Senate Bill 3397, or other | ||
similar legislation, of the 97th General Assembly should it | ||
become law. | ||
(Source: P.A. 96-820, eff. 11-18-09; 96-1100, eff. 1-1-11; | ||
97-44, eff. 6-28-11; 97-641, eff. 12-19-11; 97-689, eff. | ||
6-14-12; 97-732, eff. 6-30-12; revised 7-10-12.) | ||
(30 ILCS 105/6z-93) | ||
Sec. 6z-93. FY 13 Backlog Payment Fund. The FY 13 Backlog | ||
Payment Fund is created as a special fund in the State | ||
treasury. Beginning July 1, 2012 and on or before December 31, | ||
2012, the State Comptroller shall direct and the State | ||
Treasurer shall transfer funds from the FY 13 Backlog Payment | ||
Fund to the General Revenue Fund as needed for the payment of | ||
vouchers and transfers to other State funds obligated in State | ||
fiscal year 2012, other than costs incurred for claims under | ||
the Medical Assistance Program.
| ||
(Source: P.A. 97-732, eff. 6-30-12.) | ||
(30 ILCS 105/6z-96) | ||
Sec. 6z-96 6z-93 . Energy Efficiency Portfolio Standards | ||
Fund. |
(a) The Energy Efficiency Portfolio Standards Fund is | ||
created as a special fund in the State treasury. All moneys | ||
received by the Department of Commerce and Economic Opportunity | ||
under Sections 8-103 and 8-104 of the Public Utilities Act | ||
shall be deposited into the Energy Efficiency Portfolio | ||
Standards Fund. Subject to appropriation, moneys in the Energy | ||
Efficiency Portfolio Standards Fund may be used only for the | ||
purposes authorized by Sections 8-103 and 8-104 of the Public | ||
Utilities Act. | ||
(b) As soon as possible after June 1, 2012, and in no event | ||
later than July 31, 2012, the Director of Commerce and Economic | ||
Opportunity shall certify the balance in the DCEO Energy | ||
Projects Fund, less any federal moneys and less any amounts | ||
obligated, and the State Comptroller shall transfer such amount | ||
from the DCEO Energy Projects Fund to the Energy Efficiency | ||
Portfolio Standards Fund.
| ||
(Source: P.A. 97-841, eff. 7-20-12; revised 9-26-12.) | ||
(30 ILCS 105/6z-97) | ||
Sec. 6z-97 6z-93 . Childhood Cancer Research Fund; | ||
creation. The Childhood Cancer Research Fund is created as a | ||
special fund in the State treasury. Moneys in the Fund shall be | ||
used by the Department of Public Health to make grants to | ||
public or private not-for-profit entities for the purpose of | ||
conducting childhood cancer research. For the purposes of this | ||
Section, "research" includes, but is not limited to, |
expenditures to develop and advance the understanding, | ||
techniques, and modalities effective in early detection, | ||
prevention, cure, screening, and treatment of childhood cancer | ||
and may include clinical trials. The grant funds may not be | ||
used for institutional overhead costs, indirect costs, other | ||
organizational levies, or costs of community-based support | ||
services.
| ||
(Source: P.A. 97-1117, eff. 8-27-12; revised 9-26-12.)
| ||
(30 ILCS 105/8.12)
(from Ch. 127, par. 144.12)
| ||
Sec. 8.12. State Pensions Fund.
| ||
(a) The moneys in the State Pensions Fund shall be used | ||
exclusively
for the administration of the Uniform Disposition | ||
of Unclaimed Property Act and
for the expenses incurred by the | ||
Auditor General for administering the provisions of Section | ||
2-8.1 of the Illinois State Auditing Act and for the funding of | ||
the unfunded liabilities of the designated retirement systems. | ||
Beginning in State fiscal year 2014, payments to the designated | ||
retirement systems under this Section shall be in addition to, | ||
and not in lieu of, any State contributions required under the | ||
Illinois Pension Code.
| ||
"Designated retirement systems" means:
| ||
(1) the State Employees' Retirement System of | ||
Illinois;
| ||
(2) the Teachers' Retirement System of the State of | ||
Illinois;
|
(3) the State Universities Retirement System;
| ||
(4) the Judges Retirement System of Illinois; and
| ||
(5) the General Assembly Retirement System.
| ||
(b) Each year the General Assembly may make appropriations | ||
from
the State Pensions Fund for the administration of the | ||
Uniform Disposition of
Unclaimed Property Act.
| ||
Each month, the Commissioner of the Office of Banks and | ||
Real Estate shall
certify to the State Treasurer the actual | ||
expenditures that the Office of
Banks and Real Estate incurred | ||
conducting unclaimed property examinations under
the Uniform | ||
Disposition of Unclaimed Property Act during the immediately
| ||
preceding month. Within a reasonable
time following the | ||
acceptance of such certification by the State Treasurer, the
| ||
State Treasurer shall pay from its appropriation from the State | ||
Pensions Fund
to the Bank and Trust Company Fund and the | ||
Savings and Residential Finance
Regulatory Fund an amount equal | ||
to the expenditures incurred by each Fund for
that month.
| ||
Each month, the Director of Financial Institutions shall
| ||
certify to the State Treasurer the actual expenditures that the | ||
Department of
Financial Institutions incurred conducting | ||
unclaimed property examinations
under the Uniform Disposition | ||
of Unclaimed Property Act during the immediately
preceding | ||
month. Within a reasonable time following the acceptance of | ||
such
certification by the State Treasurer, the State Treasurer | ||
shall pay from its
appropriation from the State Pensions Fund
| ||
to the Financial Institution Institutions Fund and the Credit |
Union Fund
an amount equal to the expenditures incurred by each | ||
Fund for
that month.
| ||
(c) As soon as possible after the effective date of this | ||
amendatory Act of the 93rd General Assembly, the General | ||
Assembly shall appropriate from the State Pensions Fund (1) to | ||
the State Universities Retirement System the amount certified | ||
under Section 15-165 during the prior year, (2) to the Judges | ||
Retirement System of Illinois the amount certified under | ||
Section 18-140 during the prior year, and (3) to the General | ||
Assembly Retirement System the amount certified under Section | ||
2-134 during the prior year as part of the required
State | ||
contributions to each of those designated retirement systems; | ||
except that amounts appropriated under this subsection (c) in | ||
State fiscal year 2005 shall not reduce the amount in the State | ||
Pensions Fund below $5,000,000. If the amount in the State | ||
Pensions Fund does not exceed the sum of the amounts certified | ||
in Sections 15-165, 18-140, and 2-134 by at least $5,000,000, | ||
the amount paid to each designated retirement system under this | ||
subsection shall be reduced in proportion to the amount | ||
certified by each of those designated retirement systems.
| ||
(c-5) For fiscal years 2006 through 2013, the General | ||
Assembly shall appropriate from the State Pensions Fund to the | ||
State Universities Retirement System the amount estimated to be | ||
available during the fiscal year in the State Pensions Fund; | ||
provided, however, that the amounts appropriated under this | ||
subsection (c-5) shall not reduce the amount in the State |
Pensions Fund below $5,000,000.
| ||
(c-6) For fiscal year 2014 and each fiscal year thereafter, | ||
as soon as may be practical after any money is deposited into | ||
the State Pensions Fund from the Unclaimed Property Trust Fund, | ||
the State Treasurer shall apportion the deposited amount among | ||
the designated retirement systems as defined in subsection (a) | ||
to reduce their actuarial reserve deficiencies. The State | ||
Comptroller and State Treasurer shall pay the apportioned | ||
amounts to the designated retirement systems to fund the | ||
unfunded liabilities of the designated retirement systems. The | ||
amount apportioned to each designated retirement system shall | ||
constitute a portion of the amount estimated to be available | ||
for appropriation from the State Pensions Fund that is the same | ||
as that retirement system's portion of the total actual reserve | ||
deficiency of the systems, as determined annually by the | ||
Governor's Office of Management and Budget at the request of | ||
the State Treasurer. The amounts apportioned under this | ||
subsection shall not reduce the amount in the State Pensions | ||
Fund below $5,000,000. | ||
(d) The
Governor's Office of Management and Budget shall | ||
determine the individual and total
reserve deficiencies of the | ||
designated retirement systems. For this purpose,
the
| ||
Governor's Office of Management and Budget shall utilize the | ||
latest available audit and actuarial
reports of each of the | ||
retirement systems and the relevant reports and
statistics of | ||
the Public Employee Pension Fund Division of the Department of
|
Insurance.
| ||
(d-1) As soon as practicable after the effective date of | ||
this
amendatory Act of the 93rd General Assembly, the | ||
Comptroller shall
direct and the Treasurer shall transfer from | ||
the State Pensions Fund to
the General Revenue Fund, as funds | ||
become available, a sum equal to the
amounts that would have | ||
been paid
from the State Pensions Fund to the Teachers' | ||
Retirement System of the State
of Illinois,
the State | ||
Universities Retirement System, the Judges Retirement
System | ||
of Illinois, the
General Assembly Retirement System, and the | ||
State Employees'
Retirement System
of Illinois
after the | ||
effective date of this
amendatory Act during the remainder of | ||
fiscal year 2004 to the
designated retirement systems from the | ||
appropriations provided for in
this Section if the transfers | ||
provided in Section 6z-61 had not
occurred. The transfers | ||
described in this subsection (d-1) are to
partially repay the | ||
General Revenue Fund for the costs associated with
the bonds | ||
used to fund the moneys transferred to the designated
| ||
retirement systems under Section 6z-61.
| ||
(e) The changes to this Section made by this amendatory Act | ||
of 1994 shall
first apply to distributions from the Fund for | ||
State fiscal year 1996.
| ||
(Source: P.A. 96-959, eff. 7-1-10; 97-72, eff. 7-1-11; 97-732, | ||
eff. 6-30-12; revised 10-17-12.)
| ||
(30 ILCS 105/25) (from Ch. 127, par. 161)
|
Sec. 25. Fiscal year limitations.
| ||
(a) All appropriations shall be
available for expenditure | ||
for the fiscal year or for a lesser period if the
Act making | ||
that appropriation so specifies. A deficiency or emergency
| ||
appropriation shall be available for expenditure only through | ||
June 30 of
the year when the Act making that appropriation is | ||
enacted unless that Act
otherwise provides.
| ||
(b) Outstanding liabilities as of June 30, payable from | ||
appropriations
which have otherwise expired, may be paid out of | ||
the expiring
appropriations during the 2-month period ending at | ||
the
close of business on August 31. Any service involving
| ||
professional or artistic skills or any personal services by an | ||
employee whose
compensation is subject to income tax | ||
withholding must be performed as of June
30 of the fiscal year | ||
in order to be considered an "outstanding liability as of
June | ||
30" that is thereby eligible for payment out of the expiring
| ||
appropriation.
| ||
(b-1) However, payment of tuition reimbursement claims | ||
under Section 14-7.03 or
18-3 of the School Code may be made by | ||
the State Board of Education from its
appropriations for those | ||
respective purposes for any fiscal year, even though
the claims | ||
reimbursed by the payment may be claims attributable to a prior
| ||
fiscal year, and payments may be made at the direction of the | ||
State
Superintendent of Education from the fund from which the | ||
appropriation is made
without regard to any fiscal year | ||
limitations, except as required by subsection (j) of this |
Section. Beginning on June 30, 2021, payment of tuition | ||
reimbursement claims under Section 14-7.03 or 18-3 of the | ||
School Code as of June 30, payable from appropriations that | ||
have otherwise expired, may be paid out of the expiring | ||
appropriation during the 4-month period ending at the close of | ||
business on October 31.
| ||
(b-2) All outstanding liabilities as of June 30, 2010, | ||
payable from appropriations that would otherwise expire at the | ||
conclusion of the lapse period for fiscal year 2010, and | ||
interest penalties payable on those liabilities under the State | ||
Prompt Payment Act, may be paid out of the expiring | ||
appropriations until December 31, 2010, without regard to the | ||
fiscal year in which the payment is made, as long as vouchers | ||
for the liabilities are received by the Comptroller no later | ||
than August 31, 2010. | ||
(b-2.5) All outstanding liabilities as of June 30, 2011, | ||
payable from appropriations that would otherwise expire at the | ||
conclusion of the lapse period for fiscal year 2011, and | ||
interest penalties payable on those liabilities under the State | ||
Prompt Payment Act, may be paid out of the expiring | ||
appropriations until December 31, 2011, without regard to the | ||
fiscal year in which the payment is made, as long as vouchers | ||
for the liabilities are received by the Comptroller no later | ||
than August 31, 2011. | ||
(b-2.6) All outstanding liabilities as of June 30, 2012, | ||
payable from appropriations that would otherwise expire at the |
conclusion of the lapse period for fiscal year 2012, and | ||
interest penalties payable on those liabilities under the State | ||
Prompt Payment Act, may be paid out of the expiring | ||
appropriations until December 31, 2012, without regard to the | ||
fiscal year in which the payment is made, as long as vouchers | ||
for the liabilities are received by the Comptroller no later | ||
than August 31, 2012. | ||
(b-2.7) (b-2.6) For fiscal years 2012 and 2013, interest | ||
penalties payable under the State Prompt Payment Act associated | ||
with a voucher for which payment is issued after June 30 may be | ||
paid out of the next fiscal year's appropriation. The future | ||
year appropriation must be for the same purpose and from the | ||
same fund as the original payment. An interest penalty voucher | ||
submitted against a future year appropriation must be submitted | ||
within 60 days after the issuance of the associated voucher, | ||
and the Comptroller must issue the interest payment within 60 | ||
days after acceptance of the interest voucher. | ||
(b-3) Medical payments may be made by the Department of | ||
Veterans' Affairs from
its
appropriations for those purposes | ||
for any fiscal year, without regard to the
fact that the | ||
medical services being compensated for by such payment may have
| ||
been rendered in a prior fiscal year, except as required by | ||
subsection (j) of this Section. Beginning on June 30, 2021, | ||
medical payments payable from appropriations that have | ||
otherwise expired may be paid out of the expiring appropriation | ||
during the 4-month period ending at the close of business on |
October 31.
| ||
(b-4) Medical payments and child care
payments may be made | ||
by the Department of
Human Services (as successor to the | ||
Department of Public Aid) from
appropriations for those | ||
purposes for any fiscal year,
without regard to the fact that | ||
the medical or child care services being
compensated for by | ||
such payment may have been rendered in a prior fiscal
year; and | ||
payments may be made at the direction of the Department of
| ||
Healthcare and Family Services (or successor agency) from the | ||
Health Insurance Reserve Fund without regard to any fiscal
year | ||
limitations, except as required by subsection (j) of this | ||
Section. Beginning on June 30, 2021, medical and child care | ||
payments made by the Department of Human Services , and payments | ||
made at the discretion of the Department of Healthcare and | ||
Family Services (or successor agency) from the Health Insurance | ||
Reserve Fund and payable from appropriations that have | ||
otherwise expired may be paid out of the expiring appropriation | ||
during the 4-month period ending at the close of business on | ||
October 31.
| ||
(b-5) Medical payments may be made by the Department of | ||
Human Services from its appropriations relating to substance | ||
abuse treatment services for any fiscal year, without regard to | ||
the fact that the medical services being compensated for by | ||
such payment may have been rendered in a prior fiscal year, | ||
provided the payments are made on a fee-for-service basis | ||
consistent with requirements established for Medicaid |
reimbursement by the Department of Healthcare and Family | ||
Services, except as required by subsection (j) of this Section. | ||
Beginning on June 30, 2021, medical payments made by the | ||
Department of Human Services relating to substance abuse | ||
treatment services payable from appropriations that have | ||
otherwise expired may be paid out of the expiring appropriation | ||
during the 4-month period ending at the close of business on | ||
October 31. | ||
(b-6) Additionally, payments may be made by the Department | ||
of Human Services from
its appropriations, or any other State | ||
agency from its appropriations with
the approval of the | ||
Department of Human Services, from the Immigration Reform
and | ||
Control Fund for purposes authorized pursuant to the | ||
Immigration Reform
and Control Act of 1986, without regard to | ||
any fiscal year limitations, except as required by subsection | ||
(j) of this Section. Beginning on June 30, 2021, payments made | ||
by the Department of Human Services from the Immigration Reform | ||
and Control Fund for purposes authorized pursuant to the | ||
Immigration Reform and Control Act of 1986 payable from | ||
appropriations that have otherwise expired may be paid out of | ||
the expiring appropriation during the 4-month period ending at | ||
the close of business on October 31.
| ||
(b-7) Payments may be made in accordance with a plan | ||
authorized by paragraph (11) or (12) of Section 405-105 of the | ||
Department of Central Management Services Law from | ||
appropriations for those payments without regard to fiscal year |
limitations. | ||
(c) Further, payments may be made by the Department of | ||
Public Health and the
Department of Human Services (acting as | ||
successor to the Department of Public
Health under the | ||
Department of Human Services Act)
from their respective | ||
appropriations for grants for medical care to or on
behalf of | ||
premature and high-mortality risk infants and their mothers and
| ||
for grants for supplemental food supplies provided under the | ||
United States
Department of Agriculture Women, Infants and | ||
Children Nutrition Program,
for any fiscal year without regard | ||
to the fact that the services being
compensated for by such | ||
payment may have been rendered in a prior fiscal year, except | ||
as required by subsection (j) of this Section. Beginning on | ||
June 30, 2021, payments made by the Department of Public Health | ||
and the Department of Human Services from their respective | ||
appropriations for grants for medical care to or on behalf of | ||
premature and high-mortality risk infants and their mothers and | ||
for grants for supplemental food supplies provided under the | ||
United States Department of Agriculture Women, Infants and | ||
Children Nutrition Program payable from appropriations that | ||
have otherwise expired may be paid out of the expiring | ||
appropriations during the 4-month period ending at the close of | ||
business on October 31.
| ||
(d) The Department of Public Health and the Department of | ||
Human Services
(acting as successor to the Department of Public | ||
Health under the Department of
Human Services Act) shall each |
annually submit to the State Comptroller, Senate
President, | ||
Senate
Minority Leader, Speaker of the House, House Minority | ||
Leader, and the
respective Chairmen and Minority Spokesmen of | ||
the
Appropriations Committees of the Senate and the House, on | ||
or before
December 31, a report of fiscal year funds used to | ||
pay for services
provided in any prior fiscal year. This report | ||
shall document by program or
service category those | ||
expenditures from the most recently completed fiscal
year used | ||
to pay for services provided in prior fiscal years.
| ||
(e) The Department of Healthcare and Family Services, the | ||
Department of Human Services
(acting as successor to the | ||
Department of Public Aid), and the Department of Human Services | ||
making fee-for-service payments relating to substance abuse | ||
treatment services provided during a previous fiscal year shall | ||
each annually
submit to the State
Comptroller, Senate | ||
President, Senate Minority Leader, Speaker of the House,
House | ||
Minority Leader, the respective Chairmen and Minority | ||
Spokesmen of the
Appropriations Committees of the Senate and | ||
the House, on or before November
30, a report that shall | ||
document by program or service category those
expenditures from | ||
the most recently completed fiscal year used to pay for (i)
| ||
services provided in prior fiscal years and (ii) services for | ||
which claims were
received in prior fiscal years.
| ||
(f) The Department of Human Services (as successor to the | ||
Department of
Public Aid) shall annually submit to the State
| ||
Comptroller, Senate President, Senate Minority Leader, Speaker |
of the House,
House Minority Leader, and the respective | ||
Chairmen and Minority Spokesmen of
the Appropriations | ||
Committees of the Senate and the House, on or before
December | ||
31, a report
of fiscal year funds used to pay for services | ||
(other than medical care)
provided in any prior fiscal year. | ||
This report shall document by program or
service category those | ||
expenditures from the most recently completed fiscal
year used | ||
to pay for services provided in prior fiscal years.
| ||
(g) In addition, each annual report required to be | ||
submitted by the
Department of Healthcare and Family Services | ||
under subsection (e) shall include the following
information | ||
with respect to the State's Medicaid program:
| ||
(1) Explanations of the exact causes of the variance | ||
between the previous
year's estimated and actual | ||
liabilities.
| ||
(2) Factors affecting the Department of Healthcare and | ||
Family Services' liabilities,
including but not limited to | ||
numbers of aid recipients, levels of medical
service | ||
utilization by aid recipients, and inflation in the cost of | ||
medical
services.
| ||
(3) The results of the Department's efforts to combat | ||
fraud and abuse.
| ||
(h) As provided in Section 4 of the General Assembly | ||
Compensation Act,
any utility bill for service provided to a | ||
General Assembly
member's district office for a period | ||
including portions of 2 consecutive
fiscal years may be paid |
from funds appropriated for such expenditure in
either fiscal | ||
year.
| ||
(i) An agency which administers a fund classified by the | ||
Comptroller as an
internal service fund may issue rules for:
| ||
(1) billing user agencies in advance for payments or | ||
authorized inter-fund transfers
based on estimated charges | ||
for goods or services;
| ||
(2) issuing credits, refunding through inter-fund | ||
transfers, or reducing future inter-fund transfers
during
| ||
the subsequent fiscal year for all user agency payments or | ||
authorized inter-fund transfers received during the
prior | ||
fiscal year which were in excess of the final amounts owed | ||
by the user
agency for that period; and
| ||
(3) issuing catch-up billings to user agencies
during | ||
the subsequent fiscal year for amounts remaining due when | ||
payments or authorized inter-fund transfers
received from | ||
the user agency during the prior fiscal year were less than | ||
the
total amount owed for that period.
| ||
User agencies are authorized to reimburse internal service | ||
funds for catch-up
billings by vouchers drawn against their | ||
respective appropriations for the
fiscal year in which the | ||
catch-up billing was issued or by increasing an authorized | ||
inter-fund transfer during the current fiscal year. For the | ||
purposes of this Act, "inter-fund transfers" means transfers | ||
without the use of the voucher-warrant process, as authorized | ||
by Section 9.01 of the State Comptroller Act.
|
(i-1) Beginning on July 1, 2021, all outstanding | ||
liabilities, not payable during the 4-month lapse period as | ||
described in subsections (b-1), (b-3), (b-4), (b-5), (b-6), and | ||
(c) of this Section, that are made from appropriations for that | ||
purpose for any fiscal year, without regard to the fact that | ||
the services being compensated for by those payments may have | ||
been rendered in a prior fiscal year, are limited to only those | ||
claims that have been incurred but for which a proper bill or | ||
invoice as defined by the State Prompt Payment Act has not been | ||
received by September 30th following the end of the fiscal year | ||
in which the service was rendered. | ||
(j) Notwithstanding any other provision of this Act, the | ||
aggregate amount of payments to be made without regard for | ||
fiscal year limitations as contained in subsections (b-1), | ||
(b-3), (b-4), (b-5), (b-6), and (c) of this Section, and | ||
determined by using Generally Accepted Accounting Principles, | ||
shall not exceed the following amounts: | ||
(1) $6,000,000,000 for outstanding liabilities related | ||
to fiscal year 2012; | ||
(2) $5,300,000,000 for outstanding liabilities related | ||
to fiscal year 2013; | ||
(3) $4,600,000,000 for outstanding liabilities related | ||
to fiscal year 2014; | ||
(4) $4,000,000,000 for outstanding liabilities related | ||
to fiscal year 2015; | ||
(5) $3,300,000,000 for outstanding liabilities related |
to fiscal year 2016; | ||
(6) $2,600,000,000 for outstanding liabilities related | ||
to fiscal year 2017; | ||
(7) $2,000,000,000 for outstanding liabilities related | ||
to fiscal year 2018; | ||
(8) $1,300,000,000 for outstanding liabilities related | ||
to fiscal year 2019; | ||
(9) $600,000,000 for outstanding liabilities related | ||
to fiscal year 2020; and | ||
(10) $0 for outstanding liabilities related to fiscal | ||
year 2021 and fiscal years thereafter. | ||
(k) Department of Healthcare and Family Services Medical | ||
Assistance Payments. | ||
(1) Definition of Medical Assistance. | ||
For purposes of this subsection, the term "Medical | ||
Assistance" shall include, but not necessarily be | ||
limited to, medical programs and services authorized | ||
under Titles XIX and XXI of the Social Security Act, | ||
the Illinois Public Aid Code, the Children's Health | ||
Insurance Program Act, the Covering ALL KIDS Health | ||
Insurance Act, the Long Term Acute Care Hospital | ||
Quality Improvement Transfer Program Act, and medical | ||
care to or on behalf of persons suffering from chronic | ||
renal disease, persons suffering from hemophilia , and | ||
victims of sexual assault. | ||
(2) Limitations on Medical Assistance payments that |
may be paid from future fiscal year appropriations. | ||
(A) The maximum amounts of annual unpaid Medical | ||
Assistance bills received and recorded by the | ||
Department of Healthcare and Family Services on or | ||
before June 30th of a particular fiscal year | ||
attributable in aggregate to the General Revenue Fund, | ||
Healthcare Provider Relief Fund, Tobacco Settlement | ||
Recovery Fund, Long-Term Care Provider Fund, and the | ||
Drug Rebate Fund that may be paid in total by the | ||
Department from future fiscal year Medical Assistance | ||
appropriations to those funds are:
$700,000,000 for | ||
fiscal year 2013 and $100,000,000 for fiscal year 2014 | ||
and each fiscal year thereafter. | ||
(B) Bills for Medical Assistance services rendered | ||
in a particular fiscal year, but received and recorded | ||
by the Department of Healthcare and Family Services | ||
after June 30th of that fiscal year, may be paid from | ||
either appropriations for that fiscal year or future | ||
fiscal year appropriations for Medical Assistance. | ||
Such payments shall not be subject to the requirements | ||
of subparagraph (A). | ||
(C) Medical Assistance bills received by the | ||
Department of Healthcare and Family Services in a | ||
particular fiscal year, but subject to payment amount | ||
adjustments in a future fiscal year may be paid from a | ||
future fiscal year's appropriation for Medical |
Assistance. Such payments shall not be subject to the | ||
requirements of subparagraph (A). | ||
(D) Medical Assistance payments made by the | ||
Department of Healthcare and Family Services from | ||
funds other than those specifically referenced in | ||
subparagraph (A) may be made from appropriations for | ||
those purposes for any fiscal year without regard to | ||
the fact that the Medical Assistance services being | ||
compensated for by such payment may have been rendered | ||
in a prior fiscal year. Such payments shall not be | ||
subject to the requirements of subparagraph (A). | ||
(3) Extended lapse period for Department of Healthcare | ||
and Family Services Medical Assistance payments. | ||
Notwithstanding any other State law to the contrary, | ||
outstanding Department of Healthcare and Family Services | ||
Medical Assistance liabilities, as of June 30th, payable | ||
from appropriations which have otherwise expired, may be | ||
paid out of the expiring appropriations during the 6-month | ||
period ending at the close of business on December 31st. | ||
(l) The changes to this Section made by Public Act 97-691 | ||
this amendatory Act of the 97th General Assembly shall be | ||
effective for payment of Medical Assistance bills incurred in | ||
fiscal year 2013 and future fiscal years. The changes to this | ||
Section made by Public Act 97-691 this amendatory Act of the | ||
97th General Assembly shall not be applied to Medical | ||
Assistance bills incurred in fiscal year 2012 or prior fiscal |
years. | ||
(m) (k) The Comptroller must issue payments against | ||
outstanding liabilities that were received prior to the lapse | ||
period deadlines set forth in this Section as soon thereafter | ||
as practical, but no payment may be issued after the 4 months | ||
following the lapse period deadline without the signed | ||
authorization of the Comptroller and the Governor. | ||
(Source: P.A. 96-928, eff. 6-15-10; 96-958, eff. 7-1-10; | ||
96-1501, eff. 1-25-11; 97-75, eff. 6-30-11; 97-333, eff. | ||
8-12-11; 97-691, eff. 7-1-12; 97-732, eff. 6-30-12; 97-932, | ||
eff. 8-10-12; revised 8-23-12.)
| ||
(30 ILCS 105/5.604 rep.) | ||
Section 131. The State Finance Act is amended by repealing | ||
Section 5.604. | ||
Section 135. The General Obligation Bond Act is amended by | ||
changing Section 2 as follows: | ||
(30 ILCS 330/2) (from Ch. 127, par. 652) | ||
Sec. 2. Authorization for Bonds. The State of Illinois is | ||
authorized to
issue, sell and provide for the retirement of | ||
General Obligation Bonds of
the State of Illinois for the | ||
categories and specific purposes expressed in
Sections 2 | ||
through 8 of this Act, in the total amount of $47,092,925,743 | ||
$45,476,125,743 . |
The bonds authorized in this Section 2 and in Section 16 of | ||
this Act are
herein called "Bonds". | ||
Of the total amount of Bonds authorized in this Act, up to | ||
$2,200,000,000
in aggregate original principal amount may be | ||
issued and sold in accordance
with the Baccalaureate Savings | ||
Act in the form of General Obligation
College Savings Bonds. | ||
Of the total amount of Bonds authorized in this Act, up to | ||
$300,000,000 in
aggregate original principal amount may be | ||
issued and sold in accordance
with the Retirement Savings Act | ||
in the form of General Obligation
Retirement Savings Bonds. | ||
Of the total amount of Bonds authorized in this Act, the | ||
additional
$10,000,000,000 authorized by Public Act 93-2, the | ||
$3,466,000,000 authorized by Public Act 96-43, and the | ||
$4,096,348,300 authorized by Public Act 96-1497 shall be used | ||
solely as provided in Section 7.2. | ||
The issuance and sale of Bonds pursuant to the General | ||
Obligation Bond
Act is an economical and efficient method of | ||
financing the long-term capital needs of
the State. This Act | ||
will permit the issuance of a multi-purpose General
Obligation | ||
Bond with uniform terms and features. This will not only lower
| ||
the cost of registration but also reduce the overall cost of | ||
issuing debt
by improving the marketability of Illinois General | ||
Obligation Bonds. | ||
(Source: P.A. 96-5, eff. 4-3-09; 96-36, eff. 7-13-09; 96-43, | ||
eff. 7-15-09; 96-885, eff. 3-11-10; 96-1000, eff. 7-2-10; | ||
96-1497, eff. 1-14-11; 96-1554, eff. 3-18-11; 97-333, eff. |
8-12-11; 97-771, eff. 7-10-12; 97-813, eff. 7-13-12; revised | ||
7-23-12.) | ||
Section 140. The Illinois Procurement Code is amended by | ||
changing Section 1-10 as follows:
| ||
(30 ILCS 500/1-10)
| ||
Sec. 1-10. Application.
| ||
(a) This Code applies only to procurements for which | ||
contractors were first
solicited on or after July 1, 1998. This | ||
Code shall not be construed to affect
or impair any contract, | ||
or any provision of a contract, entered into based on a
| ||
solicitation prior to the implementation date of this Code as | ||
described in
Article 99, including but not limited to any | ||
covenant entered into with respect
to any revenue bonds or | ||
similar instruments.
All procurements for which contracts are | ||
solicited between the effective date
of Articles 50 and 99 and | ||
July 1, 1998 shall be substantially in accordance
with this | ||
Code and its intent.
| ||
(b) This Code shall apply regardless of the source of the | ||
funds with which
the contracts are paid, including federal | ||
assistance moneys.
This Code shall
not apply to:
| ||
(1) Contracts between the State and its political | ||
subdivisions or other
governments, or between State | ||
governmental bodies except as specifically
provided in | ||
this Code.
|
(2) Grants, except for the filing requirements of | ||
Section 20-80.
| ||
(3) Purchase of care.
| ||
(4) Hiring of an individual as employee and not as an | ||
independent
contractor, whether pursuant to an employment | ||
code or policy or by contract
directly with that | ||
individual.
| ||
(5) Collective bargaining contracts.
| ||
(6) Purchase of real estate, except that notice of this | ||
type of contract with a value of more than $25,000 must be | ||
published in the Procurement Bulletin within 7 days after | ||
the deed is recorded in the county of jurisdiction. The | ||
notice shall identify the real estate purchased, the names | ||
of all parties to the contract, the value of the contract, | ||
and the effective date of the contract.
| ||
(7) Contracts necessary to prepare for anticipated | ||
litigation, enforcement
actions, or investigations, | ||
provided
that the chief legal counsel to the Governor shall | ||
give his or her prior
approval when the procuring agency is | ||
one subject to the jurisdiction of the
Governor, and | ||
provided that the chief legal counsel of any other | ||
procuring
entity
subject to this Code shall give his or her | ||
prior approval when the procuring
entity is not one subject | ||
to the jurisdiction of the Governor.
| ||
(8) Contracts for
services to Northern Illinois | ||
University by a person, acting as
an independent |
contractor, who is qualified by education, experience, and
| ||
technical ability and is selected by negotiation for the | ||
purpose of providing
non-credit educational service | ||
activities or products by means of specialized
programs | ||
offered by the university.
| ||
(9) Procurement expenditures by the Illinois | ||
Conservation Foundation
when only private funds are used.
| ||
(10) Procurement expenditures by the Illinois Health | ||
Information Exchange Authority involving private funds | ||
from the Health Information Exchange Fund. "Private funds" | ||
means gifts, donations, and private grants. | ||
(11) Public-private agreements entered into according | ||
to the procurement requirements of Section 20 of the | ||
Public-Private Partnerships for Transportation Act and | ||
design-build agreements entered into according to the | ||
procurement requirements of Section 25 of the | ||
Public-Private Partnerships for Transportation Act. | ||
(c) This Code does not apply to the electric power | ||
procurement process provided for under Section 1-75 of the | ||
Illinois Power Agency Act and Section 16-111.5 of the Public | ||
Utilities Act. | ||
(d) Except for Section 20-160 and Article 50 of this Code, | ||
and as expressly required by Section 9.1 of the Illinois | ||
Lottery Law, the provisions of this Code do not apply to the | ||
procurement process provided for under Section 9.1 of the | ||
Illinois Lottery Law. |
(e) This Code does not apply to the process used by the | ||
Capital Development Board to retain a person or entity to | ||
assist the Capital Development Board with its duties related to | ||
the determination of costs of a clean coal SNG brownfield | ||
facility, as defined by Section 1-10 of the Illinois Power | ||
Agency Act, as required in subsection (h-3) of Section 9-220 of | ||
the Public Utilities Act, including calculating the range of | ||
capital costs, the range of operating and maintenance costs, or | ||
the sequestration costs or monitoring the construction of clean | ||
coal SNG brownfield facility for the full duration of | ||
construction. | ||
(f) This Code does not apply to the process used by the | ||
Illinois Power Agency to retain a mediator to mediate sourcing | ||
agreement disputes between gas utilities and the clean coal SNG | ||
brownfield facility, as defined in Section 1-10 of the Illinois | ||
Power Agency Act, as required under subsection (h-1) of Section | ||
9-220 of the Public Utilities Act. | ||
(g) This Code does not apply to the processes used by the | ||
Illinois Power Agency to retain a mediator to mediate contract | ||
disputes between gas utilities and the clean coal SNG facility | ||
and to retain an expert to assist in the review of contracts | ||
under subsection (h) of Section 9-220 of the Public Utilities | ||
Act. This Code does not apply to the process used by the | ||
Illinois Commerce Commission to retain an expert to assist in | ||
determining the actual incurred costs of the clean coal SNG | ||
facility and the reasonableness of those costs as required |
under subsection (h) of Section 9-220 of the Public Utilities | ||
Act. | ||
(h) This Code does not apply to the process to procure or | ||
contracts entered into in accordance with Sections 11-5.2 and | ||
11-5.3 of the Illinois Public Aid Code. | ||
(i) (h) Each chief procurement officer may access records | ||
necessary to review whether a contract, purchase, or other | ||
expenditure is or is not subject to the provisions of this | ||
Code, unless such records would be subject to attorney-client | ||
privilege. | ||
(Source: P.A. 96-840, eff. 12-23-09; 96-1331, eff. 7-27-10; | ||
97-96, eff. 7-13-11; 97-239, eff. 8-2-11; 97-502, eff. 8-23-11; | ||
97-689, eff. 6-14-12; 97-813, eff. 7-13-12; 97-895, eff. | ||
8-3-12; revised 8-23-12.)
| ||
Section 145. The Procurement of Domestic Products Act is | ||
amended by changing Section 5 as follows: | ||
(30 ILCS 517/5)
| ||
Sec. 5. Definitions. As used in this Act: | ||
"Manufactured in the United States" means, in the case of | ||
assembled articles, materials, or supplies, that design, final | ||
assembly, processing, packaging, testing, or other process | ||
that adds value, quality, or reliability occurs in the United | ||
States. | ||
"Procured products" means assembled articles, materials, |
or supplies purchased by a State agency.
| ||
"Purchasing agency" means a State agency. | ||
"State agency" means each agency, department , authority, | ||
board, or commission of the executive branch of State | ||
government, including each university, whether created by | ||
statute or by executive order of the Governor.
| ||
"United States" means the United States and any place | ||
subject to the jurisdiction of the United States.
| ||
(Source: P.A. 93-954, eff. 1-1-05; 94-540, eff. 1-1-06; revised | ||
8-3-12.) | ||
Section 150. The Downstate Public Transportation Act is | ||
amended by changing Section 1-2 as follows:
| ||
(30 ILCS 740/1-2) (from Ch. 111 2/3, par. 661.01)
| ||
Sec. 1-2.
(1) The General Assembly finds:
| ||
(a) that the predominant part of the State's population | ||
is located in
its rapidly expanding metropolitan and urban | ||
areas;
| ||
(b) that the welfare and vitality of urban areas and | ||
the satisfactory
movement of people and goods within such | ||
areas are being jeopardized by
the deterioration or | ||
inadequate provision of urban transportation facilities
| ||
and services and the intensification of traffic | ||
congestion; and
| ||
(c) that State financial assistance for the |
development of efficient and
coordinated mass | ||
transportation systems is essential to the solution
of | ||
these urban problems.
| ||
(2) The purposes of this Act are:
| ||
(a) to assist in the development of improved mass | ||
transportation systems; and
| ||
(b) to provide assistance to participants in financing | ||
such systems as
provided in Section 7 of Article XIII 13 of | ||
the Constitution.
| ||
(Source: P.A. 82-783; revised 10-10-12.)
| ||
Section 155. The State Mandates Act is amended by changing | ||
Section 8.36 as follows: | ||
(30 ILCS 805/8.36) | ||
Sec. 8.36. Exempt mandate. Notwithstanding Sections 6 and 8 | ||
of this Act, no reimbursement by the State is required for the | ||
implementation of any mandate created by Public Act 97-716, | ||
97-854, 97-894, 97-912, 97-933, or 97-976 this amendatory Act | ||
of the 97th General Assembly .
| ||
(Source: P.A. 97-716, eff. 6-29-12; 97-854, eff. 7-26-12; | ||
97-894, eff. 8-3-12; 97-912, eff. 8-8-12; 97-933, eff. 8-10-12; | ||
97-976, eff. 1-1-13; revised 9-11-12.) | ||
Section 160. The Illinois Income Tax Act is amended by | ||
changing Sections 507JJ, 909, 1201, 1202, and 1408 as follows:
|
(35 ILCS 5/507JJ)
| ||
Sec. 507JJ. The Autism Research Checkoff Fund checkoff. For
| ||
taxable years ending on or after December 31, 2005, the
| ||
Department must print on its standard individual income tax
| ||
form a provision indicating that if the taxpayer wishes to
| ||
contribute to the Autism Research Checkoff Fund, as authorized
| ||
by Public Act 94-442, he or she
may do so by stating the amount | ||
of the contribution (not less
than $1) on the return and that | ||
the contribution will reduce the taxpayer's refund or increase | ||
the amount of payment to
accompany the return. Failure to remit | ||
any amount of increased payment shall reduce the contribution | ||
accordingly. This Section does not apply to any amended return.
| ||
(Source: P.A. 94-442, eff. 8-4-05; 95-331, eff. 8-21-07; | ||
revised 10-17-12.)
| ||
(35 ILCS 5/909) (from Ch. 120, par. 9-909)
| ||
Sec. 909. Credits and Refunds.
| ||
(a) In general. In the case of any overpayment, the | ||
Department, within the applicable period of limitations for a | ||
claim for refund, may
credit the amount of such overpayment, | ||
including any interest allowed
thereon, against any liability | ||
in respect of the tax imposed by this Act,
regardless of | ||
whether other collection remedies are closed to the
Department | ||
on the part of the person who made the overpayment and shall
| ||
refund any balance to such person.
|
(b) Credits against estimated tax. The Department may
| ||
prescribe regulations providing for the crediting against the | ||
estimated tax
for any taxable year of the amount determined by | ||
the taxpayer or the
Department to be an overpayment of the tax | ||
imposed by this Act for a
preceding taxable year.
| ||
(c) Interest on overpayment. Interest shall be allowed and | ||
paid at the
rate and in the manner prescribed in Section 3-2 of | ||
the Uniform Penalty and
Interest Act upon any overpayment in | ||
respect of the tax imposed by this
Act. For purposes of this | ||
subsection, no amount of tax, for any taxable
year, shall be | ||
treated as having been paid before the date on which the tax
| ||
return for such year was due under Section 505, without regard | ||
to any
extension of the time for filing such return.
| ||
(d) Refund claim. Every claim for refund shall be filed | ||
with the
Department in writing in such form as the Department | ||
may by regulations
prescribe, and shall state the specific | ||
grounds upon which it is founded.
| ||
(e) Notice of denial. As soon as practicable after a claim | ||
for refund
is filed, the Department shall examine it and either | ||
issue a notice of
refund, abatement or credit to the claimant | ||
or issue a notice of denial.
If the Department has failed to | ||
approve or deny the claim before the
expiration of 6 months | ||
from the date the claim was filed, the claimant may
| ||
nevertheless thereafter file with the Department a written | ||
protest in such
form as the Department may by regulation | ||
prescribe, provided that, on or after July 1, 2013, protests |
concerning matters that are subject to the jurisdiction of the | ||
Illinois Independent Tax Tribunal shall be filed with the | ||
Illinois Independent Tax Tribunal and not with the Department. | ||
If the protest is subject to the jurisdiction of the | ||
Department,
the Department shall consider the claim and, if the | ||
taxpayer has so
requested, shall grant the taxpayer or the | ||
taxpayer's authorized
representative a hearing within 6 months | ||
after the date such request is filed.
| ||
On and after July 1, 2013, if the protest would otherwise | ||
be subject to the jurisdiction of the Illinois Independent Tax | ||
Tribunal, the claimant may elect to treat the Department's | ||
non-action as a denial of the claim by filing a petition to | ||
review the Department's administrative decision with the | ||
Illinois Independent Tax Tribunal, as provided by Section 910. | ||
(f) Effect of denial. A denial of a claim for refund | ||
becomes final 60
days after the date of issuance of the notice | ||
of such denial except for
such amounts denied as to which the | ||
claimant has filed a protest with the
Department or a petition | ||
with the Illinois Independent Tax Tribunal, as provided by | ||
Section 910.
| ||
(g) An overpayment of tax shown on the face of an unsigned | ||
return
shall be considered forfeited to the State if after | ||
notice and demand for
signature by the Department the taxpayer | ||
fails to provide a signature and 3
years have passed from the | ||
date the return was filed.
An overpayment of tax refunded to a | ||
taxpayer whose return was filed
electronically shall be |
considered an erroneous refund under Section 912 of
this Act | ||
if, after proper notice and demand by the
Department, the | ||
taxpayer fails to provide a required signature document.
A | ||
notice and demand for signature in the case of a return | ||
reflecting an
overpayment may be made by first class mail. This | ||
subsection (g) shall apply
to all returns filed pursuant to | ||
this Act since 1969.
| ||
(h) This amendatory Act of 1983 applies to returns and | ||
claims for
refunds filed with the Department on and after July | ||
1, 1983.
| ||
(Source: P.A. 97-507, eff. 8-23-11; 97-1129, eff. 8-28-12; | ||
revised 10-10-12.)
| ||
(35 ILCS 5/1201) (from Ch. 120, par. 12-1201)
| ||
Sec. 1201. Administrative Review Law; Illinois Independent | ||
Tax Tribunal Act of 2012. The provisions of the Administrative | ||
Review Law, and the rules adopted
pursuant thereto, shall apply | ||
to and govern all proceedings for the
judicial review of final | ||
actions of the Department referred to in Sections
908 (d) and | ||
910 (d). Such final actions shall constitute "administrative
| ||
decisions" as defined in Section 3-101 of the Code of Civil | ||
Procedure.
| ||
Notwithstanding any other provision of law, on and after | ||
July 1, 2013, the provisions of the Illinois Independent Tax | ||
Tribunal Act of 2012 , and the rules adopted pursuant thereto, | ||
shall apply to and govern all proceedings for the judicial |
review of final administrative decisions of the Department that | ||
are subject to that Act, as defined in Section 1-70 of the | ||
Illinois Independent Tax Tribunal Act of 2012. | ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.)
| ||
(35 ILCS 5/1202) (from Ch. 120, par. 12-1202)
| ||
Sec. 1202. Venue. Except as otherwise provided in the | ||
Illinois Independent Tax Tribunal Act of 2012 , the Circuit | ||
Court of the county wherein the taxpayer has his residence
or | ||
commercial domicile, or of Cook County in those cases where the | ||
taxpayer
does not have his residence or commercial domicile in | ||
this State, shall
have power to review all final administrative | ||
decisions of the Department
in administering the provisions of | ||
this Act.
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.)
| ||
(35 ILCS 5/1408) (from Ch. 120, par. 14-1408)
| ||
Sec. 1408.
Except as otherwise provided in the Illinois | ||
Independent Tax Tribunal Act of 2012 , the Illinois | ||
Administrative Procedure Act is hereby expressly
adopted and | ||
shall apply to all administrative rules and procedures of the
| ||
Department of Revenue under this Act, except that (1) paragraph | ||
(b) of Section
5-10 of the Illinois Administrative Procedure | ||
Act does not apply to final
orders, decisions and opinions of | ||
the Department, (2) subparagraph (a)2 of
Section 5-10 of the | ||
Illinois Administrative Procedure Act does not apply to
forms |
established by the Department for use under this Act, and (3) | ||
the
provisions of Section 10-45 of the Illinois Administrative | ||
Procedure Act
regarding proposals for decision are excluded and | ||
not applicable to the
Department under this Act.
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.)
| ||
Section 165. The Use Tax Act is amended by changing Section | ||
3-8 as follows: | ||
(35 ILCS 105/3-8) | ||
Sec. 3-8. Hospital exemption. | ||
(a) Tangible personal property sold to or used by a | ||
hospital owner that owns one or more hospitals licensed under | ||
the Hospital Licensing Act or operated under the University of | ||
Illinois Hospital Act, or a hospital affiliate that is not | ||
already exempt under another provision of this Act and meets | ||
the criteria for an exemption under this Section, is exempt | ||
from taxation under this Act. | ||
(b) A hospital owner or hospital affiliate satisfies the | ||
conditions for an exemption under this Section if the value of | ||
qualified services or activities listed in subsection (c) of | ||
this Section for the hospital year equals or exceeds the | ||
relevant hospital entity's estimated property tax liability, | ||
without regard to any property tax exemption granted under | ||
Section 15-86 of the Property Tax Code, for the calendar year | ||
in which exemption or renewal of exemption is sought. For |
purposes of making the calculations required by this subsection | ||
(b), if the relevant hospital entity is a hospital owner that | ||
owns more than one hospital, the value of the services or | ||
activities listed in subsection (c) shall be calculated on the | ||
basis of only those services and activities relating to the | ||
hospital that includes the subject property, and the relevant | ||
hospital entity's estimated property tax liability shall be | ||
calculated only with respect to the properties comprising that | ||
hospital. In the case of a multi-state hospital system or | ||
hospital affiliate, the value of the services or activities | ||
listed in subsection (c) shall be calculated on the basis of | ||
only those services and activities that occur in Illinois and | ||
the relevant hospital entity's estimated property tax | ||
liability shall be calculated only with respect to its property | ||
located in Illinois. | ||
(c) The following services and activities shall be | ||
considered for purposes of making the calculations required by | ||
subsection (b): | ||
(1) Charity care. Free or discounted services provided | ||
pursuant to the relevant hospital entity's financial | ||
assistance policy, measured at cost, including discounts | ||
provided under the Hospital Uninsured Patient Discount | ||
Act. | ||
(2) Health services to low-income and underserved | ||
individuals. Other unreimbursed costs of the relevant | ||
hospital entity for providing without charge, paying for, |
or subsidizing goods, activities, or services for the | ||
purpose of addressing the health of low-income or | ||
underserved individuals. Those activities or services may | ||
include, but are not limited to: financial or in-kind | ||
support to affiliated or unaffiliated hospitals, hospital | ||
affiliates, community clinics, or programs that treat | ||
low-income or underserved individuals; paying for or | ||
subsidizing health care professionals who care for | ||
low-income or underserved individuals; providing or | ||
subsidizing outreach or educational services to low-income | ||
or underserved individuals for disease management and | ||
prevention; free or subsidized goods, supplies, or | ||
services needed by low-income or underserved individuals | ||
because of their medical condition; and prenatal or | ||
childbirth outreach to low-income or underserved persons. | ||
(3) Subsidy of State or local governments. Direct or | ||
indirect financial or in-kind subsidies of State or local | ||
governments by the relevant hospital entity that pay for or | ||
subsidize activities or programs related to health care for | ||
low-income or underserved individuals. | ||
(4) Support for State health care programs for | ||
low-income individuals. At the election of the hospital | ||
applicant for each applicable year, either (A) 10% of | ||
payments to the relevant hospital entity and any hospital | ||
affiliate designated by the relevant hospital entity | ||
(provided that such hospital affiliate's operations |
provide financial or operational support for or receive | ||
financial or operational support from the relevant | ||
hospital entity) under Medicaid or other means-tested | ||
programs, including, but not limited to, General | ||
Assistance, the Covering ALL KIDS Health Insurance Act, and | ||
the State Children's Health Insurance Program or (B) the | ||
amount of subsidy provided by the relevant hospital entity | ||
and any hospital affiliate designated by the relevant | ||
hospital entity (provided that such hospital affiliate's | ||
operations provide financial or operational support for or | ||
receive financial or operational support from the relevant | ||
hospital entity) to State or local government in treating | ||
Medicaid recipients and recipients of means-tested | ||
programs, including but not limited to General Assistance, | ||
the Covering ALL KIDS Health Insurance Act, and the State | ||
Children's Health Insurance Program. The amount of subsidy | ||
for purpose of this item (4) is calculated in the same | ||
manner as unreimbursed costs are calculated for Medicaid | ||
and other means-tested government programs in the Schedule | ||
H of IRS Form 990 in effect on the effective date of this | ||
amendatory Act of the 97th General Assembly. | ||
(5) Dual-eligible subsidy. The amount of subsidy | ||
provided to government by treating dual-eligible | ||
Medicare/Medicaid patients. The amount of subsidy for | ||
purposes of this item (5) is calculated by multiplying the | ||
relevant hospital entity's unreimbursed costs for |
Medicare, calculated in the same manner as determined in | ||
the Schedule H of IRS Form 990 in effect on the effective | ||
date of this amendatory Act of the 97th General Assembly, | ||
by the relevant hospital entity's ratio of dual-eligible | ||
patients to total Medicare patients. | ||
(6) Relief of the burden of government related to | ||
health care. Except to the extent otherwise taken into | ||
account in this subsection, the portion of unreimbursed | ||
costs of the relevant hospital entity attributable to | ||
providing, paying for, or subsidizing goods, activities, | ||
or services that relieve the burden of government related | ||
to health care for low-income individuals. Such activities | ||
or services shall include, but are not limited to, | ||
providing emergency, trauma, burn, neonatal, psychiatric, | ||
rehabilitation, or other special services; providing | ||
medical education; and conducting medical research or | ||
training of health care professionals. The portion of those | ||
unreimbursed costs attributable to benefiting low-income | ||
individuals shall be determined using the ratio calculated | ||
by adding the relevant hospital entity's costs | ||
attributable to charity care, Medicaid, other means-tested | ||
government programs, disabled Medicare patients under age | ||
65, and dual-eligible Medicare/Medicaid patients and | ||
dividing that total by the relevant hospital entity's total | ||
costs. Such costs for the numerator and denominator shall | ||
be determined by multiplying gross charges by the cost to |
charge ratio taken from the hospital's most recently filed | ||
Medicare cost report (CMS 2252-10 Worksheet, Part I). In | ||
the case of emergency services, the ratio shall be | ||
calculated using costs (gross charges multiplied by the | ||
cost to charge ratio taken from the hospital's most | ||
recently filed Medicare cost report (CMS 2252-10 | ||
Worksheet, Part I)) of patients treated in the relevant | ||
hospital entity's emergency department. | ||
(7) Any other activity by the relevant hospital entity | ||
that the Department determines relieves the burden of | ||
government or addresses the health of low-income or | ||
underserved individuals. | ||
(d) The hospital applicant shall include information in its | ||
exemption application establishing that it satisfies the | ||
requirements of subsection (b). For purposes of making the | ||
calculations required by subsection (b), the hospital | ||
applicant may for each year elect to use either (1) the value | ||
of the services or activities listed in subsection (e) for the | ||
hospital year or (2) the average value of those services or | ||
activities for the 3 fiscal years ending with the hospital | ||
year. If the relevant hospital entity has been in operation for | ||
less than 3 completed fiscal years, then the latter | ||
calculation, if elected, shall be performed on a pro rata | ||
basis. | ||
(e) For purposes of making the calculations required by | ||
this Section: |
(1) particular services or activities eligible for | ||
consideration under any of the paragraphs (1) through (7) | ||
of subsection (c) may not be counted under more than one of | ||
those paragraphs; and | ||
(2) the amount of unreimbursed costs and the amount of | ||
subsidy shall not be reduced by restricted or unrestricted | ||
payments received by the relevant hospital entity as | ||
contributions deductible under Section 170(a) of the | ||
Internal Revenue Code. | ||
(f) (Blank). | ||
(g) Estimation of Exempt Property Tax Liability. The | ||
estimated property tax liability used for the determination in | ||
subsection (b) shall be calculated as follows: | ||
(1) "Estimated property tax liability" means the | ||
estimated dollar amount of property tax that would be owed, | ||
with respect to the exempt portion of each of the relevant | ||
hospital entity's properties that are already fully or | ||
partially exempt, or for which an exemption in whole or in | ||
part is currently being sought, and then aggregated as | ||
applicable, as if the exempt portion of those properties | ||
were subject to tax, calculated with respect to each such | ||
property by multiplying: | ||
(A) the lesser of (i) the actual assessed value, if | ||
any, of the portion of the property for which an | ||
exemption is sought or (ii) an estimated assessed value | ||
of the exempt portion of such property as determined in |
item (2) of this subsection (g), by | ||
(B) the applicable State equalization rate | ||
(yielding the equalized assessed value), by | ||
(C) the applicable tax rate. | ||
(2) The estimated assessed value of the exempt portion | ||
of the property equals the sum of (i) the estimated fair | ||
market value of buildings on the property, as determined in | ||
accordance with subparagraphs (A) and (B) of this item (2), | ||
multiplied by the applicable assessment factor, and (ii) | ||
the estimated assessed value of the land portion of the | ||
property, as determined in accordance with subparagraph | ||
(C). | ||
(A) The "estimated fair market value of buildings | ||
on the property" means the replacement value of any | ||
exempt portion of buildings on the property, minus | ||
depreciation, determined utilizing the cost | ||
replacement method whereby the exempt square footage | ||
of all such buildings is multiplied by the replacement | ||
cost per square foot for Class A Average building found | ||
in the most recent edition of the Marshall & Swift | ||
Valuation Services Manual, adjusted by any appropriate | ||
current cost and local multipliers. | ||
(B) Depreciation, for purposes of calculating the | ||
estimated fair market value of buildings on the | ||
property, is applied by utilizing a weighted mean life | ||
for the buildings based on original construction and |
assuming a 40-year life for hospital buildings and the | ||
applicable life for other types of buildings as | ||
specified in the American Hospital Association | ||
publication "Estimated Useful Lives of Depreciable | ||
Hospital Assets". In the case of hospital buildings, | ||
the remaining life is divided by 40 and this ratio is | ||
multiplied by the replacement cost of the buildings to | ||
obtain an estimated fair market value of buildings. If | ||
a hospital building is older than 35 years, a remaining | ||
life of 5 years for residual value is assumed; and if a | ||
building is less than 8 years old, a remaining life of | ||
32 years is assumed. | ||
(C) The estimated assessed value of the land | ||
portion of the property shall be determined by | ||
multiplying (i) the per square foot average of the | ||
assessed values of three parcels of land (not including | ||
farm land, and excluding the assessed value of the | ||
improvements thereon) reasonably comparable to the | ||
property, by (ii) the number of square feet comprising | ||
the exempt portion of the property's land square | ||
footage. | ||
(3) The assessment factor, State equalization rate, | ||
and tax rate (including any special factors such as | ||
Enterprise Zones) used in calculating the estimated | ||
property tax liability shall be for the most recent year | ||
that is publicly available from the applicable chief county |
assessment officer or officers at least 90 days before the | ||
end of the hospital year. | ||
(4) The method utilized to calculate estimated | ||
property tax liability for purposes of this Section 15-86 | ||
shall not be utilized for the actual valuation, assessment, | ||
or taxation of property pursuant to the Property Tax Code. | ||
(h) For the purpose of this Section, the following terms | ||
shall have the meanings set forth below: | ||
(1) "Hospital" means any institution, place, building, | ||
buildings on a campus, or other health care facility | ||
located in Illinois that is licensed under the Hospital | ||
Licensing Act and has a hospital owner. | ||
(2) "Hospital owner" means a not-for-profit | ||
corporation that is the titleholder of a hospital, or the | ||
owner of the beneficial interest in an Illinois land trust | ||
that is the titleholder of a hospital. | ||
(3) "Hospital affiliate" means any corporation, | ||
partnership, limited partnership, joint venture, limited | ||
liability company, association or other organization, | ||
other than a hospital owner, that directly or indirectly | ||
controls, is controlled by, or is under common control with | ||
one or more hospital owners and that supports, is supported | ||
by, or acts in furtherance of the exempt health care | ||
purposes of at least one of those hospital owners' | ||
hospitals. | ||
(4) "Hospital system" means a hospital and one or more |
other hospitals or hospital affiliates related by common | ||
control or ownership. | ||
(5) "Control" relating to hospital owners, hospital | ||
affiliates, or hospital systems means possession, direct | ||
or indirect, of the power to direct or cause the direction | ||
of the management and policies of the entity, whether | ||
through ownership of assets, membership interest, other | ||
voting or governance rights, by contract or otherwise. | ||
(6) "Hospital applicant" means a hospital owner or | ||
hospital affiliate that files an application for an | ||
exemption or renewal of exemption under this Section. | ||
(7) "Relevant hospital entity" means (A) the hospital | ||
owner, in the case of a hospital applicant that is a | ||
hospital owner, and (B) at the election of a hospital | ||
applicant that is a hospital affiliate, either (i) the | ||
hospital affiliate or (ii) the hospital system to which the | ||
hospital applicant belongs, including any hospitals or | ||
hospital affiliates that are related by common control or | ||
ownership. | ||
(8) "Subject property" means property used for the | ||
calculation under subsection (b) of this Section. | ||
(9) "Hospital year" means the fiscal year of the | ||
relevant hospital entity, or the fiscal year of one of the | ||
hospital owners in the hospital system if the relevant | ||
hospital entity is a hospital system with members with | ||
different fiscal years, that ends in the year for which the |
exemption is sought.
| ||
(Source: P.A. 97-688, eff. 6-14-12; revised 8-3-12.) | ||
Section 170. The Service Use Tax Act is amended by changing | ||
Section 3-8 as follows: | ||
(35 ILCS 110/3-8) | ||
Sec. 3-8. Hospital exemption. | ||
(a) Tangible personal property sold to or used by a | ||
hospital owner that owns one or more hospitals licensed under | ||
the Hospital Licensing Act or operated under the University of | ||
Illinois Hospital Act, or a hospital affiliate that is not | ||
already exempt under another provision of this Act and meets | ||
the criteria for an exemption under this Section, is exempt | ||
from taxation under this Act. | ||
(b) A hospital owner or hospital affiliate satisfies the | ||
conditions for an exemption under this Section if the value of | ||
qualified services or activities listed in subsection (c) of | ||
this Section for the hospital year equals or exceeds the | ||
relevant hospital entity's estimated property tax liability, | ||
without regard to any property tax exemption granted under | ||
Section 15-86 of the Property Tax Code, for the calendar year | ||
in which exemption or renewal of exemption is sought. For | ||
purposes of making the calculations required by this subsection | ||
(b), if the relevant hospital entity is a hospital owner that | ||
owns more than one hospital, the value of the services or |
activities listed in subsection (c) shall be calculated on the | ||
basis of only those services and activities relating to the | ||
hospital that includes the subject property, and the relevant | ||
hospital entity's estimated property tax liability shall be | ||
calculated only with respect to the properties comprising that | ||
hospital. In the case of a multi-state hospital system or | ||
hospital affiliate, the value of the services or activities | ||
listed in subsection (c) shall be calculated on the basis of | ||
only those services and activities that occur in Illinois and | ||
the relevant hospital entity's estimated property tax | ||
liability shall be calculated only with respect to its property | ||
located in Illinois. | ||
(c) The following services and activities shall be | ||
considered for purposes of making the calculations required by | ||
subsection (b): | ||
(1) Charity care. Free or discounted services provided | ||
pursuant to the relevant hospital entity's financial | ||
assistance policy, measured at cost, including discounts | ||
provided under the Hospital Uninsured Patient Discount | ||
Act. | ||
(2) Health services to low-income and underserved | ||
individuals. Other unreimbursed costs of the relevant | ||
hospital entity for providing without charge, paying for, | ||
or subsidizing goods, activities, or services for the | ||
purpose of addressing the health of low-income or | ||
underserved individuals. Those activities or services may |
include, but are not limited to: financial or in-kind | ||
support to affiliated or unaffiliated hospitals, hospital | ||
affiliates, community clinics, or programs that treat | ||
low-income or underserved individuals; paying for or | ||
subsidizing health care professionals who care for | ||
low-income or underserved individuals; providing or | ||
subsidizing outreach or educational services to low-income | ||
or underserved individuals for disease management and | ||
prevention; free or subsidized goods, supplies, or | ||
services needed by low-income or underserved individuals | ||
because of their medical condition; and prenatal or | ||
childbirth outreach to low-income or underserved persons. | ||
(3) Subsidy of State or local governments. Direct or | ||
indirect financial or in-kind subsidies of State or local | ||
governments by the relevant hospital entity that pay for or | ||
subsidize activities or programs related to health care for | ||
low-income or underserved individuals. | ||
(4) Support for State health care programs for | ||
low-income individuals. At the election of the hospital | ||
applicant for each applicable year, either (A) 10% of | ||
payments to the relevant hospital entity and any hospital | ||
affiliate designated by the relevant hospital entity | ||
(provided that such hospital affiliate's operations | ||
provide financial or operational support for or receive | ||
financial or operational support from the relevant | ||
hospital entity) under Medicaid or other means-tested |
programs, including, but not limited to, General | ||
Assistance, the Covering ALL KIDS Health Insurance Act, and | ||
the State Children's Health Insurance Program or (B) the | ||
amount of subsidy provided by the relevant hospital entity | ||
and any hospital affiliate designated by the relevant | ||
hospital entity (provided that such hospital affiliate's | ||
operations provide financial or operational support for or | ||
receive financial or operational support from the relevant | ||
hospital entity) to State or local government in treating | ||
Medicaid recipients and recipients of means-tested | ||
programs, including but not limited to General Assistance, | ||
the Covering ALL KIDS Health Insurance Act, and the State | ||
Children's Health Insurance Program. The amount of subsidy | ||
for purposes of this item (4) is calculated in the same | ||
manner as unreimbursed costs are calculated for Medicaid | ||
and other means-tested government programs in the Schedule | ||
H of IRS Form 990 in effect on the effective date of this | ||
amendatory Act of the 97th General Assembly. | ||
(5) Dual-eligible subsidy. The amount of subsidy | ||
provided to government by treating dual-eligible | ||
Medicare/Medicaid patients. The amount of subsidy for | ||
purposes of this item (5) is calculated by multiplying the | ||
relevant hospital entity's unreimbursed costs for | ||
Medicare, calculated in the same manner as determined in | ||
the Schedule H of IRS Form 990 in effect on the effective | ||
date of this amendatory Act of the 97th General Assembly, |
by the relevant hospital entity's ratio of dual-eligible | ||
patients to total Medicare patients. | ||
(6) Relief of the burden of government related to | ||
health care. Except to the extent otherwise taken into | ||
account in this subsection, the portion of unreimbursed | ||
costs of the relevant hospital entity attributable to | ||
providing, paying for, or subsidizing goods, activities, | ||
or services that relieve the burden of government related | ||
to health care for low-income individuals. Such activities | ||
or services shall include, but are not limited to, | ||
providing emergency, trauma, burn, neonatal, psychiatric, | ||
rehabilitation, or other special services; providing | ||
medical education; and conducting medical research or | ||
training of health care professionals. The portion of those | ||
unreimbursed costs attributable to benefiting low-income | ||
individuals shall be determined using the ratio calculated | ||
by adding the relevant hospital entity's costs | ||
attributable to charity care, Medicaid, other means-tested | ||
government programs, disabled Medicare patients under age | ||
65, and dual-eligible Medicare/Medicaid patients and | ||
dividing that total by the relevant hospital entity's total | ||
costs. Such costs for the numerator and denominator shall | ||
be determined by multiplying gross charges by the cost to | ||
charge ratio taken from the hospital's most recently filed | ||
Medicare cost report (CMS 2252-10 Worksheet, Part I). In | ||
the case of emergency services, the ratio shall be |
calculated using costs (gross charges multiplied by the | ||
cost to charge ratio taken from the hospital's most | ||
recently filed Medicare cost report (CMS 2252-10 | ||
Worksheet, Part I)) of patients treated in the relevant | ||
hospital entity's emergency department. | ||
(7) Any other activity by the relevant hospital entity | ||
that the Department determines relieves the burden of | ||
government or addresses the health of low-income or | ||
underserved individuals. | ||
(d) The hospital applicant shall include information in its | ||
exemption application establishing that it satisfies the | ||
requirements of subsection (b). For purposes of making the | ||
calculations required by subsection (b), the hospital | ||
applicant may for each year elect to use either (1) the value | ||
of the services or activities listed in subsection (e) for the | ||
hospital year or (2) the average value of those services or | ||
activities for the 3 fiscal years ending with the hospital | ||
year. If the relevant hospital entity has been in operation for | ||
less than 3 completed fiscal years, then the latter | ||
calculation, if elected, shall be performed on a pro rata | ||
basis. | ||
(e) For purposes of making the calculations required by | ||
this Section: | ||
(1) particular services or activities eligible for | ||
consideration under any of the paragraphs (1) through (7) | ||
of subsection (c) may not be counted under more than one of |
those paragraphs; and | ||
(2) the amount of unreimbursed costs and the amount of | ||
subsidy shall not be reduced by restricted or unrestricted | ||
payments received by the relevant hospital entity as | ||
contributions deductible under Section 170(a) of the | ||
Internal Revenue Code. | ||
(f) (Blank). | ||
(g) Estimation of Exempt Property Tax Liability. The | ||
estimated property tax liability used for the determination in | ||
subsection (b) shall be calculated as follows: | ||
(1) "Estimated property tax liability" means the | ||
estimated dollar amount of property tax that would be owed, | ||
with respect to the exempt portion of each of the relevant | ||
hospital entity's properties that are already fully or | ||
partially exempt, or for which an exemption in whole or in | ||
part is currently being sought, and then aggregated as | ||
applicable, as if the exempt portion of those properties | ||
were subject to tax, calculated with respect to each such | ||
property by multiplying: | ||
(A) the lesser of (i) the actual assessed value, if | ||
any, of the portion of the property for which an | ||
exemption is sought or (ii) an estimated assessed value | ||
of the exempt portion of such property as determined in | ||
item (2) of this subsection (g), by | ||
(B) the applicable State equalization rate | ||
(yielding the equalized assessed value), by |
(C) the applicable tax rate. | ||
(2) The estimated assessed value of the exempt portion | ||
of the property equals the sum of (i) the estimated fair | ||
market value of buildings on the property, as determined in | ||
accordance with subparagraphs (A) and (B) of this item (2), | ||
multiplied by the applicable assessment factor, and (ii) | ||
the estimated assessed value of the land portion of the | ||
property, as determined in accordance with subparagraph | ||
(C). | ||
(A) The "estimated fair market value of buildings | ||
on the property" means the replacement value of any | ||
exempt portion of buildings on the property, minus | ||
depreciation, determined utilizing the cost | ||
replacement method whereby the exempt square footage | ||
of all such buildings is multiplied by the replacement | ||
cost per square foot for Class A Average building found | ||
in the most recent edition of the Marshall & Swift | ||
Valuation Services Manual, adjusted by any appropriate | ||
current cost and local multipliers. | ||
(B) Depreciation, for purposes of calculating the | ||
estimated fair market value of buildings on the | ||
property, is applied by utilizing a weighted mean life | ||
for the buildings based on original construction and | ||
assuming a 40-year life for hospital buildings and the | ||
applicable life for other types of buildings as | ||
specified in the American Hospital Association |
publication "Estimated Useful Lives of Depreciable | ||
Hospital Assets". In the case of hospital buildings, | ||
the remaining life is divided by 40 and this ratio is | ||
multiplied by the replacement cost of the buildings to | ||
obtain an estimated fair market value of buildings. If | ||
a hospital building is older than 35 years, a remaining | ||
life of 5 years for residual value is assumed; and if a | ||
building is less than 8 years old, a remaining life of | ||
32 years is assumed. | ||
(C) The estimated assessed value of the land | ||
portion of the property shall be determined by | ||
multiplying (i) the per square foot average of the | ||
assessed values of three parcels of land (not including | ||
farm land, and excluding the assessed value of the | ||
improvements thereon) reasonably comparable to the | ||
property, by (ii) the number of square feet comprising | ||
the exempt portion of the property's land square | ||
footage. | ||
(3) The assessment factor, State equalization rate, | ||
and tax rate (including any special factors such as | ||
Enterprise Zones) used in calculating the estimated | ||
property tax liability shall be for the most recent year | ||
that is publicly available from the applicable chief county | ||
assessment officer or officers at least 90 days before the | ||
end of the hospital year. | ||
(4) The method utilized to calculate estimated |
property tax liability for purposes of this Section 15-86 | ||
shall not be utilized for the actual valuation, assessment, | ||
or taxation of property pursuant to the Property Tax Code. | ||
(h) For the purpose of this Section, the following terms | ||
shall have the meanings set forth below: | ||
(1) "Hospital" means any institution, place, building, | ||
buildings on a campus, or other health care facility | ||
located in Illinois that is licensed under the Hospital | ||
Licensing Act and has a hospital owner. | ||
(2) "Hospital owner" means a not-for-profit | ||
corporation that is the titleholder of a hospital, or the | ||
owner of the beneficial interest in an Illinois land trust | ||
that is the titleholder of a hospital. | ||
(3) "Hospital affiliate" means any corporation, | ||
partnership, limited partnership, joint venture, limited | ||
liability company, association or other organization, | ||
other than a hospital owner, that directly or indirectly | ||
controls, is controlled by, or is under common control with | ||
one or more hospital owners and that supports, is supported | ||
by, or acts in furtherance of the exempt health care | ||
purposes of at least one of those hospital owners' | ||
hospitals. | ||
(4) "Hospital system" means a hospital and one or more | ||
other hospitals or hospital affiliates related by common | ||
control or ownership. | ||
(5) "Control" relating to hospital owners, hospital |
affiliates, or hospital systems means possession, direct | ||
or indirect, of the power to direct or cause the direction | ||
of the management and policies of the entity, whether | ||
through ownership of assets, membership interest, other | ||
voting or governance rights, by contract or otherwise. | ||
(6) "Hospital applicant" means a hospital owner or | ||
hospital affiliate that files an application for an | ||
exemption or renewal of exemption under this Section. | ||
(7) "Relevant hospital entity" means (A) the hospital | ||
owner, in the case of a hospital applicant that is a | ||
hospital owner, and (B) at the election of a hospital | ||
applicant that is a hospital affiliate, either (i) the | ||
hospital affiliate or (ii) the hospital system to which the | ||
hospital applicant belongs, including any hospitals or | ||
hospital affiliates that are related by common control or | ||
ownership. | ||
(8) "Subject property" means property used for the | ||
calculation under subsection (b) of this Section. | ||
(9) "Hospital year" means the fiscal year of the | ||
relevant hospital entity, or the fiscal year of one of the | ||
hospital owners in the hospital system if the relevant | ||
hospital entity is a hospital system with members with | ||
different fiscal years, that ends in the year for which the | ||
exemption is sought.
| ||
(Source: P.A. 97-688, eff. 6-14-12; revised 8-3-12.) |
Section 175. The Service Occupation Tax Act is amended by | ||
changing Section 3-8 as follows: | ||
(35 ILCS 115/3-8) | ||
Sec. 3-8. Hospital exemption. | ||
(a) Tangible personal property sold to or used by a | ||
hospital owner that owns one or more hospitals licensed under | ||
the Hospital Licensing Act or operated under the University of | ||
Illinois Hospital Act, or a hospital affiliate that is not | ||
already exempt under another provision of this Act and meets | ||
the criteria for an exemption under this Section, is exempt | ||
from taxation under this Act. | ||
(b) A hospital owner or hospital affiliate satisfies the | ||
conditions for an exemption under this Section if the value of | ||
qualified services or activities listed in subsection (c) of | ||
this Section for the hospital year equals or exceeds the | ||
relevant hospital entity's estimated property tax liability, | ||
without regard to any property tax exemption granted under | ||
Section 15-86 of the Property Tax Code, for the calendar year | ||
in which exemption or renewal of exemption is sought. For | ||
purposes of making the calculations required by this subsection | ||
(b), if the relevant hospital entity is a hospital owner that | ||
owns more than one hospital, the value of the services or | ||
activities listed in subsection (c) shall be calculated on the | ||
basis of only those services and activities relating to the | ||
hospital that includes the subject property, and the relevant |
hospital entity's estimated property tax liability shall be | ||
calculated only with respect to the properties comprising that | ||
hospital. In the case of a multi-state hospital system or | ||
hospital affiliate, the value of the services or activities | ||
listed in subsection (c) shall be calculated on the basis of | ||
only those services and activities that occur in Illinois and | ||
the relevant hospital entity's estimated property tax | ||
liability shall be calculated only with respect to its property | ||
located in Illinois. | ||
(c) The following services and activities shall be | ||
considered for purposes of making the calculations required by | ||
subsection (b): | ||
(1) Charity care. Free or discounted services provided | ||
pursuant to the relevant hospital entity's financial | ||
assistance policy, measured at cost, including discounts | ||
provided under the Hospital Uninsured Patient Discount | ||
Act. | ||
(2) Health services to low-income and underserved | ||
individuals. Other unreimbursed costs of the relevant | ||
hospital entity for providing without charge, paying for, | ||
or subsidizing goods, activities, or services for the | ||
purpose of addressing the health of low-income or | ||
underserved individuals. Those activities or services may | ||
include, but are not limited to: financial or in-kind | ||
support to affiliated or unaffiliated hospitals, hospital | ||
affiliates, community clinics, or programs that treat |
low-income or underserved individuals; paying for or | ||
subsidizing health care professionals who care for | ||
low-income or underserved individuals; providing or | ||
subsidizing outreach or educational services to low-income | ||
or underserved individuals for disease management and | ||
prevention; free or subsidized goods, supplies, or | ||
services needed by low-income or underserved individuals | ||
because of their medical condition; and prenatal or | ||
childbirth outreach to low-income or underserved persons. | ||
(3) Subsidy of State or local governments. Direct or | ||
indirect financial or in-kind subsidies of State or local | ||
governments by the relevant hospital entity that pay for or | ||
subsidize activities or programs related to health care for | ||
low-income or underserved individuals. | ||
(4) Support for State health care programs for | ||
low-income individuals. At the election of the hospital | ||
applicant for each applicable year, either (A) 10% of | ||
payments to the relevant hospital entity and any hospital | ||
affiliate designated by the relevant hospital entity | ||
(provided that such hospital affiliate's operations | ||
provide financial or operational support for or receive | ||
financial or operational support from the relevant | ||
hospital entity) under Medicaid or other means-tested | ||
programs, including, but not limited to, General | ||
Assistance, the Covering ALL KIDS Health Insurance Act, and | ||
the State Children's Health Insurance Program or (B) the |
amount of subsidy provided by the relevant hospital entity | ||
and any hospital affiliate designated by the relevant | ||
hospital entity (provided that such hospital affiliate's | ||
operations provide financial or operational support for or | ||
receive financial or operational support from the relevant | ||
hospital entity) to State or local government in treating | ||
Medicaid recipients and recipients of means-tested | ||
programs, including but not limited to General Assistance, | ||
the Covering ALL KIDS Health Insurance Act, and the State | ||
Children's Health Insurance Program. The amount of subsidy | ||
for purposes of this item (4) is calculated in the same | ||
manner as unreimbursed costs are calculated for Medicaid | ||
and other means-tested government programs in the Schedule | ||
H of IRS Form 990 in effect on the effective date of this | ||
amendatory Act of the 97th General Assembly. | ||
(5) Dual-eligible subsidy. The amount of subsidy | ||
provided to government by treating dual-eligible | ||
Medicare/Medicaid patients. The amount of subsidy for | ||
purposes of this item (5) is calculated by multiplying the | ||
relevant hospital entity's unreimbursed costs for | ||
Medicare, calculated in the same manner as determined in | ||
the Schedule H of IRS Form 990 in effect on the effective | ||
date of this amendatory Act of the 97th General Assembly, | ||
by the relevant hospital entity's ratio of dual-eligible | ||
patients to total Medicare patients. | ||
(6) Relief of the burden of government related to |
health care. Except to the extent otherwise taken into | ||
account in this subsection, the portion of unreimbursed | ||
costs of the relevant hospital entity attributable to | ||
providing, paying for, or subsidizing goods, activities, | ||
or services that relieve the burden of government related | ||
to health care for low-income individuals. Such activities | ||
or services shall include, but are not limited to, | ||
providing emergency, trauma, burn, neonatal, psychiatric, | ||
rehabilitation, or other special services; providing | ||
medical education; and conducting medical research or | ||
training of health care professionals. The portion of those | ||
unreimbursed costs attributable to benefiting low-income | ||
individuals shall be determined using the ratio calculated | ||
by adding the relevant hospital entity's costs | ||
attributable to charity care, Medicaid, other means-tested | ||
government programs, disabled Medicare patients under age | ||
65, and dual-eligible Medicare/Medicaid patients and | ||
dividing that total by the relevant hospital entity's total | ||
costs. Such costs for the numerator and denominator shall | ||
be determined by multiplying gross charges by the cost to | ||
charge ratio taken from the hospital's most recently filed | ||
Medicare cost report (CMS 2252-10 Worksheet, Part I). In | ||
the case of emergency services, the ratio shall be | ||
calculated using costs (gross charges multiplied by the | ||
cost to charge ratio taken from the hospital's most | ||
recently filed Medicare cost report (CMS 2252-10 |
Worksheet, Part I)) of patients treated in the relevant | ||
hospital entity's emergency department. | ||
(7) Any other activity by the relevant hospital entity | ||
that the Department determines relieves the burden of | ||
government or addresses the health of low-income or | ||
underserved individuals. | ||
(d) The hospital applicant shall include information in its | ||
exemption application establishing that it satisfies the | ||
requirements of subsection (b). For purposes of making the | ||
calculations required by subsection (b), the hospital | ||
applicant may for each year elect to use either (1) the value | ||
of the services or activities listed in subsection (e) for the | ||
hospital year or (2) the average value of those services or | ||
activities for the 3 fiscal years ending with the hospital | ||
year. If the relevant hospital entity has been in operation for | ||
less than 3 completed fiscal years, then the latter | ||
calculation, if elected, shall be performed on a pro rata | ||
basis. | ||
(e) For purposes of making the calculations required by | ||
this Section: | ||
(1) particular services or activities eligible for | ||
consideration under any of the paragraphs (1) through (7) | ||
of subsection (c) may not be counted under more than one of | ||
those paragraphs; and | ||
(2) the amount of unreimbursed costs and the amount of | ||
subsidy shall not be reduced by restricted or unrestricted |
payments received by the relevant hospital entity as | ||
contributions deductible under Section 170(a) of the | ||
Internal Revenue Code. | ||
(f) (Blank). | ||
(g) Estimation of Exempt Property Tax Liability. The | ||
estimated property tax liability used for the determination in | ||
subsection (b) shall be calculated as follows: | ||
(1) "Estimated property tax liability" means the | ||
estimated dollar amount of property tax that would be owed, | ||
with respect to the exempt portion of each of the relevant | ||
hospital entity's properties that are already fully or | ||
partially exempt, or for which an exemption in whole or in | ||
part is currently being sought, and then aggregated as | ||
applicable, as if the exempt portion of those properties | ||
were subject to tax, calculated with respect to each such | ||
property by multiplying: | ||
(A) the lesser of (i) the actual assessed value, if | ||
any, of the portion of the property for which an | ||
exemption is sought or (ii) an estimated assessed value | ||
of the exempt portion of such property as determined in | ||
item (2) of this subsection (g), by | ||
(B) the applicable State equalization rate | ||
(yielding the equalized assessed value), by | ||
(C) the applicable tax rate. | ||
(2) The estimated assessed value of the exempt portion | ||
of the property equals the sum of (i) the estimated fair |
market value of buildings on the property, as determined in | ||
accordance with subparagraphs (A) and (B) of this item (2), | ||
multiplied by the applicable assessment factor, and (ii) | ||
the estimated assessed value of the land portion of the | ||
property, as determined in accordance with subparagraph | ||
(C). | ||
(A) The "estimated fair market value of buildings | ||
on the property" means the replacement value of any | ||
exempt portion of buildings on the property, minus | ||
depreciation, determined utilizing the cost | ||
replacement method whereby the exempt square footage | ||
of all such buildings is multiplied by the replacement | ||
cost per square foot for Class A Average building found | ||
in the most recent edition of the Marshall & Swift | ||
Valuation Services Manual, adjusted by any appropriate | ||
current cost and local multipliers. | ||
(B) Depreciation, for purposes of calculating the | ||
estimated fair market value of buildings on the | ||
property, is applied by utilizing a weighted mean life | ||
for the buildings based on original construction and | ||
assuming a 40-year life for hospital buildings and the | ||
applicable life for other types of buildings as | ||
specified in the American Hospital Association | ||
publication "Estimated Useful Lives of Depreciable | ||
Hospital Assets". In the case of hospital buildings, | ||
the remaining life is divided by 40 and this ratio is |
multiplied by the replacement cost of the buildings to | ||
obtain an estimated fair market value of buildings. If | ||
a hospital building is older than 35 years, a remaining | ||
life of 5 years for residual value is assumed; and if a | ||
building is less than 8 years old, a remaining life of | ||
32 years is assumed. | ||
(C) The estimated assessed value of the land | ||
portion of the property shall be determined by | ||
multiplying (i) the per square foot average of the | ||
assessed values of three parcels of land (not including | ||
farm land, and excluding the assessed value of the | ||
improvements thereon) reasonably comparable to the | ||
property, by (ii) the number of square feet comprising | ||
the exempt portion of the property's land square | ||
footage. | ||
(3) The assessment factor, State equalization rate, | ||
and tax rate (including any special factors such as | ||
Enterprise Zones) used in calculating the estimated | ||
property tax liability shall be for the most recent year | ||
that is publicly available from the applicable chief county | ||
assessment officer or officers at least 90 days before the | ||
end of the hospital year. | ||
(4) The method utilized to calculate estimated | ||
property tax liability for purposes of this Section 15-86 | ||
shall not be utilized for the actual valuation, assessment, | ||
or taxation of property pursuant to the Property Tax Code. |
(h) For the purpose of this Section, the following terms | ||
shall have the meanings set forth below: | ||
(1) "Hospital" means any institution, place, building, | ||
buildings on a campus, or other health care facility | ||
located in Illinois that is licensed under the Hospital | ||
Licensing Act and has a hospital owner. | ||
(2) "Hospital owner" means a not-for-profit | ||
corporation that is the titleholder of a hospital, or the | ||
owner of the beneficial interest in an Illinois land trust | ||
that is the titleholder of a hospital. | ||
(3) "Hospital affiliate" means any corporation, | ||
partnership, limited partnership, joint venture, limited | ||
liability company, association or other organization, | ||
other than a hospital owner, that directly or indirectly | ||
controls, is controlled by, or is under common control with | ||
one or more hospital owners and that supports, is supported | ||
by, or acts in furtherance of the exempt health care | ||
purposes of at least one of those hospital owners' | ||
hospitals. | ||
(4) "Hospital system" means a hospital and one or more | ||
other hospitals or hospital affiliates related by common | ||
control or ownership. | ||
(5) "Control" relating to hospital owners, hospital | ||
affiliates, or hospital systems means possession, direct | ||
or indirect, of the power to direct or cause the direction | ||
of the management and policies of the entity, whether |
through ownership of assets, membership interest, other | ||
voting or governance rights, by contract or otherwise. | ||
(6) "Hospital applicant" means a hospital owner or | ||
hospital affiliate that files an application for an | ||
exemption or renewal of exemption under this Section. | ||
(7) "Relevant hospital entity" means (A) the hospital | ||
owner, in the case of a hospital applicant that is a | ||
hospital owner, and (B) at the election of a hospital | ||
applicant that is a hospital affiliate, either (i) the | ||
hospital affiliate or (ii) the hospital system to which the | ||
hospital applicant belongs, including any hospitals or | ||
hospital affiliates that are related by common control or | ||
ownership. | ||
(8) "Subject property" means property used for the | ||
calculation under subsection (b) of this Section. | ||
(9) "Hospital year" means the fiscal year of the | ||
relevant hospital entity, or the fiscal year of one of the | ||
hospital owners in the hospital system if the relevant | ||
hospital entity is a hospital system with members with | ||
different fiscal years, that ends in the year for which the | ||
exemption is sought.
| ||
(Source: P.A. 97-688, eff. 6-14-12; revised 8-3-12.) | ||
Section 180. The Retailers' Occupation Tax Act is amended | ||
by changing Sections 1f, 2-9, 5, and 12 as follows:
|
(35 ILCS 120/1f) (from Ch. 120, par. 440f)
| ||
Sec. 1f. Except for High Impact Businesses, the exemption | ||
stated in
Sections 1d and 1e of this Act shall only apply to | ||
business enterprises which:
| ||
(1) either (i) make investments which cause the | ||
creation of a minimum of
200 full-time equivalent jobs in | ||
Illinois or (ii) make investments which
cause the retention | ||
of a minimum of 2000 full-time jobs in Illinois or
(iii) | ||
make investments of a minimum of $40,000,000 and retain at | ||
least
90% of the jobs in place on the date on which the | ||
exemption is granted and
for the duration of the exemption; | ||
and
| ||
(2) are located in an Enterprise Zone established | ||
pursuant to the
Illinois Enterprise Zone Act; and
| ||
(3) are certified by the Department of Commerce and | ||
Economic Opportunity as
complying with the requirements | ||
specified in clauses (1) and , (2) and (3) .
| ||
Any business enterprise seeking to avail itself of the | ||
exemptions stated
in Sections 1d or 1e, or both, shall make | ||
application to the Department of
Commerce and Economic | ||
Opportunity in such form and providing such information
as may | ||
be prescribed by the Department of Commerce and Economic | ||
Opportunity.
However, no business enterprise shall be | ||
required, as a condition for
certification under clause (4) of | ||
this Section, to attest that its decision
to invest under | ||
clause (1) of this Section and to locate under clause (2)
of |
this Section is predicated upon the availability of the | ||
exemptions
authorized by Sections 1d or 1e.
| ||
The Department of Commerce and Economic Opportunity shall | ||
determine whether
the business enterprise meets the criteria | ||
prescribed in this Section. If
the Department of Commerce and | ||
Economic Opportunity determines that such
business enterprise | ||
meets the criteria, it shall issue a certificate of
eligibility | ||
for exemption to the business enterprise in such form as is
| ||
prescribed by the Department of Revenue. The Department of | ||
Commerce and
Economic Opportunity shall act upon such | ||
certification requests within 60 days
after receipt of the | ||
application, and shall file with the Department of
Revenue a | ||
copy of each certificate of eligibility for exemption.
| ||
The Department of Commerce and Economic Opportunity shall | ||
have the power to
promulgate rules and regulations to carry out | ||
the provisions of this
Section including the power to define | ||
the amounts and types of eligible
investments not specified in | ||
this Section which business enterprises
must make in order to | ||
receive the exemptions stated in Sections 1d and 1e
of this | ||
Act; and to require that any business enterprise that is | ||
granted a
tax exemption repay the exempted tax if the business | ||
enterprise fails to
comply with the terms and conditions of the | ||
certification.
| ||
Such certificate of eligibility for exemption shall be | ||
presented by the
business enterprise to its supplier when | ||
making the initial purchase of
tangible personal property for |
which an exemption is granted by Section 1d or
Section 1e, or | ||
both, together with a certification by the business enterprise
| ||
that such tangible personal property is exempt from taxation | ||
under Section
1d or Section 1e and by indicating the exempt | ||
status of each subsequent
purchase on the face of the purchase | ||
order.
| ||
The Department of Commerce and Economic Opportunity shall | ||
determine the
period during which such exemption from the taxes | ||
imposed under this Act is
in effect which shall not exceed 20 | ||
years.
| ||
(Source: P.A. 94-793, eff. 5-19-06; revised 10-10-12.)
| ||
(35 ILCS 120/2-9) | ||
Sec. 2-9. Hospital exemption. | ||
(a) Tangible personal property sold to or used by a | ||
hospital owner that owns one or more hospitals licensed under | ||
the Hospital Licensing Act or operated under the University of | ||
Illinois Hospital Act, or a hospital affiliate that is not | ||
already exempt under another provision of this Act and meets | ||
the criteria for an exemption under this Section, is exempt | ||
from taxation under this Act. | ||
(b) A hospital owner or hospital affiliate satisfies the | ||
conditions for an exemption under this Section if the value of | ||
qualified services or activities listed in subsection (c) of | ||
this Section for the hospital year equals or exceeds the | ||
relevant hospital entity's estimated property tax liability, |
without regard to any property tax exemption granted under | ||
Section 15-86 of the Property Tax Code, for the calendar year | ||
in which exemption or renewal of exemption is sought. For | ||
purposes of making the calculations required by this subsection | ||
(b), if the relevant hospital entity is a hospital owner that | ||
owns more than one hospital, the value of the services or | ||
activities listed in subsection (c) shall be calculated on the | ||
basis of only those services and activities relating to the | ||
hospital that includes the subject property, and the relevant | ||
hospital entity's estimated property tax liability shall be | ||
calculated only with respect to the properties comprising that | ||
hospital. In the case of a multi-state hospital system or | ||
hospital affiliate, the value of the services or activities | ||
listed in subsection (c) shall be calculated on the basis of | ||
only those services and activities that occur in Illinois and | ||
the relevant hospital entity's estimated property tax | ||
liability shall be calculated only with respect to its property | ||
located in Illinois. | ||
(c) The following services and activities shall be | ||
considered for purposes of making the calculations required by | ||
subsection (b): | ||
(1) Charity care. Free or discounted services provided | ||
pursuant to the relevant hospital entity's financial | ||
assistance policy, measured at cost, including discounts | ||
provided under the Hospital Uninsured Patient Discount | ||
Act. |
(2) Health services to low-income and underserved | ||
individuals. Other unreimbursed costs of the relevant | ||
hospital entity for providing without charge, paying for, | ||
or subsidizing goods, activities, or services for the | ||
purpose of addressing the health of low-income or | ||
underserved individuals. Those activities or services may | ||
include, but are not limited to: financial or in-kind | ||
support to affiliated or unaffiliated hospitals, hospital | ||
affiliates, community clinics, or programs that treat | ||
low-income or underserved individuals; paying for or | ||
subsidizing health care professionals who care for | ||
low-income or underserved individuals; providing or | ||
subsidizing outreach or educational services to low-income | ||
or underserved individuals for disease management and | ||
prevention; free or subsidized goods, supplies, or | ||
services needed by low-income or underserved individuals | ||
because of their medical condition; and prenatal or | ||
childbirth outreach to low-income or underserved persons. | ||
(3) Subsidy of State or local governments. Direct or | ||
indirect financial or in-kind subsidies of State or local | ||
governments by the relevant hospital entity that pay for or | ||
subsidize activities or programs related to health care for | ||
low-income or underserved individuals. | ||
(4) Support for State health care programs for | ||
low-income individuals. At the election of the hospital | ||
applicant for each applicable year, either (A) 10% of |
payments to the relevant hospital entity and any hospital | ||
affiliate designated by the relevant hospital entity | ||
(provided that such hospital affiliate's operations | ||
provide financial or operational support for or receive | ||
financial or operational support from the relevant | ||
hospital entity) under Medicaid or other means-tested | ||
programs, including, but not limited to, General | ||
Assistance, the Covering ALL KIDS Health Insurance Act, and | ||
the State Children's Health Insurance Program or (B) the | ||
amount of subsidy provided by the relevant hospital entity | ||
and any hospital affiliate designated by the relevant | ||
hospital entity (provided that such hospital affiliate's | ||
operations provide financial or operational support for or | ||
receive financial or operational support from the relevant | ||
hospital entity) to State or local government in treating | ||
Medicaid recipients and recipients of means-tested | ||
programs, including but not limited to General Assistance, | ||
the Covering ALL KIDS Health Insurance Act, and the State | ||
Children's Health Insurance Program. The amount of subsidy | ||
for purposes of this item (4) is calculated in the same | ||
manner as unreimbursed costs are calculated for Medicaid | ||
and other means-tested government programs in the Schedule | ||
H of IRS Form 990 in effect on the effective date of this | ||
amendatory Act of the 97th General Assembly. | ||
(5) Dual-eligible subsidy. The amount of subsidy | ||
provided to government by treating dual-eligible |
Medicare/Medicaid patients. The amount of subsidy for | ||
purposes of this item (5) is calculated by multiplying the | ||
relevant hospital entity's unreimbursed costs for | ||
Medicare, calculated in the same manner as determined in | ||
the Schedule H of IRS Form 990 in effect on the effective | ||
date of this amendatory Act of the 97th General Assembly, | ||
by the relevant hospital entity's ratio of dual-eligible | ||
patients to total Medicare patients. | ||
(6) Relief of the burden of government related to | ||
health care. Except to the extent otherwise taken into | ||
account in this subsection, the portion of unreimbursed | ||
costs of the relevant hospital entity attributable to | ||
providing, paying for, or subsidizing goods, activities, | ||
or services that relieve the burden of government related | ||
to health care for low-income individuals. Such activities | ||
or services shall include, but are not limited to, | ||
providing emergency, trauma, burn, neonatal, psychiatric, | ||
rehabilitation, or other special services; providing | ||
medical education; and conducting medical research or | ||
training of health care professionals. The portion of those | ||
unreimbursed costs attributable to benefiting low-income | ||
individuals shall be determined using the ratio calculated | ||
by adding the relevant hospital entity's costs | ||
attributable to charity care, Medicaid, other means-tested | ||
government programs, disabled Medicare patients under age | ||
65, and dual-eligible Medicare/Medicaid patients and |
dividing that total by the relevant hospital entity's total | ||
costs. Such costs for the numerator and denominator shall | ||
be determined by multiplying gross charges by the cost to | ||
charge ratio taken from the hospital's most recently filed | ||
Medicare cost report (CMS 2252-10 Worksheet, Part I). In | ||
the case of emergency services, the ratio shall be | ||
calculated using costs (gross charges multiplied by the | ||
cost to charge ratio taken from the hospital's most | ||
recently filed Medicare cost report (CMS 2252-10 | ||
Worksheet, Part I)) of patients treated in the relevant | ||
hospital entity's emergency department. | ||
(7) Any other activity by the relevant hospital entity | ||
that the Department determines relieves the burden of | ||
government or addresses the health of low-income or | ||
underserved individuals. | ||
(d) The hospital applicant shall include information in its | ||
exemption application establishing that it satisfies the | ||
requirements of subsection (b). For purposes of making the | ||
calculations required by subsection (b), the hospital | ||
applicant may for each year elect to use either (1) the value | ||
of the services or activities listed in subsection (e) for the | ||
hospital year or (2) the average value of those services or | ||
activities for the 3 fiscal years ending with the hospital | ||
year. If the relevant hospital entity has been in operation for | ||
less than 3 completed fiscal years, then the latter | ||
calculation, if elected, shall be performed on a pro rata |
basis. | ||
(e) For purposes of making the calculations required by | ||
this Section: | ||
(1) particular services or activities eligible for | ||
consideration under any of the paragraphs (1) through (7) | ||
of subsection (c) may not be counted under more than one of | ||
those paragraphs; and | ||
(2) the amount of unreimbursed costs and the amount of | ||
subsidy shall not be reduced by restricted or unrestricted | ||
payments received by the relevant hospital entity as | ||
contributions deductible under Section 170(a) of the | ||
Internal Revenue Code. | ||
(f) (Blank). | ||
(g) Estimation of Exempt Property Tax Liability. The | ||
estimated property tax liability used for the determination in | ||
subsection (b) shall be calculated as follows: | ||
(1) "Estimated property tax liability" means the | ||
estimated dollar amount of property tax that would be owed, | ||
with respect to the exempt portion of each of the relevant | ||
hospital entity's properties that are already fully or | ||
partially exempt, or for which an exemption in whole or in | ||
part is currently being sought, and then aggregated as | ||
applicable, as if the exempt portion of those properties | ||
were subject to tax, calculated with respect to each such | ||
property by multiplying: | ||
(A) the lesser of (i) the actual assessed value, if |
any, of the portion of the property for which an | ||
exemption is sought or (ii) an estimated assessed value | ||
of the exempt portion of such property as determined in | ||
item (2) of this subsection (g), by | ||
(B) the applicable State equalization rate | ||
(yielding the equalized assessed value), by | ||
(C) the applicable tax rate. | ||
(2) The estimated assessed value of the exempt portion | ||
of the property equals the sum of (i) the estimated fair | ||
market value of buildings on the property, as determined in | ||
accordance with subparagraphs (A) and (B) of this item (2), | ||
multiplied by the applicable assessment factor, and (ii) | ||
the estimated assessed value of the land portion of the | ||
property, as determined in accordance with subparagraph | ||
(C). | ||
(A) The "estimated fair market value of buildings | ||
on the property" means the replacement value of any | ||
exempt portion of buildings on the property, minus | ||
depreciation, determined utilizing the cost | ||
replacement method whereby the exempt square footage | ||
of all such buildings is multiplied by the replacement | ||
cost per square foot for Class A Average building found | ||
in the most recent edition of the Marshall & Swift | ||
Valuation Services Manual, adjusted by any appropriate | ||
current cost and local multipliers. | ||
(B) Depreciation, for purposes of calculating the |
estimated fair market value of buildings on the | ||
property, is applied by utilizing a weighted mean life | ||
for the buildings based on original construction and | ||
assuming a 40-year life for hospital buildings and the | ||
applicable life for other types of buildings as | ||
specified in the American Hospital Association | ||
publication "Estimated Useful Lives of Depreciable | ||
Hospital Assets". In the case of hospital buildings, | ||
the remaining life is divided by 40 and this ratio is | ||
multiplied by the replacement cost of the buildings to | ||
obtain an estimated fair market value of buildings. If | ||
a hospital building is older than 35 years, a remaining | ||
life of 5 years for residual value is assumed; and if a | ||
building is less than 8 years old, a remaining life of | ||
32 years is assumed. | ||
(C) The estimated assessed value of the land | ||
portion of the property shall be determined by | ||
multiplying (i) the per square foot average of the | ||
assessed values of three parcels of land (not including | ||
farm land, and excluding the assessed value of the | ||
improvements thereon) reasonably comparable to the | ||
property, by (ii) the number of square feet comprising | ||
the exempt portion of the property's land square | ||
footage. | ||
(3) The assessment factor, State equalization rate, | ||
and tax rate (including any special factors such as |
Enterprise Zones) used in calculating the estimated | ||
property tax liability shall be for the most recent year | ||
that is publicly available from the applicable chief county | ||
assessment officer or officers at least 90 days before the | ||
end of the hospital year. | ||
(4) The method utilized to calculate estimated | ||
property tax liability for purposes of this Section 15-86 | ||
shall not be utilized for the actual valuation, assessment, | ||
or taxation of property pursuant to the Property Tax Code. | ||
(h) For the purpose of this Section, the following terms | ||
shall have the meanings set forth below: | ||
(1) "Hospital" means any institution, place, building, | ||
buildings on a campus, or other health care facility | ||
located in Illinois that is licensed under the Hospital | ||
Licensing Act and has a hospital owner. | ||
(2) "Hospital owner" means a not-for-profit | ||
corporation that is the titleholder of a hospital, or the | ||
owner of the beneficial interest in an Illinois land trust | ||
that is the titleholder of a hospital. | ||
(3) "Hospital affiliate" means any corporation, | ||
partnership, limited partnership, joint venture, limited | ||
liability company, association or other organization, | ||
other than a hospital owner, that directly or indirectly | ||
controls, is controlled by, or is under common control with | ||
one or more hospital owners and that supports, is supported | ||
by, or acts in furtherance of the exempt health care |
purposes of at least one of those hospital owners' | ||
hospitals. | ||
(4) "Hospital system" means a hospital and one or more | ||
other hospitals or hospital affiliates related by common | ||
control or ownership. | ||
(5) "Control" relating to hospital owners, hospital | ||
affiliates, or hospital systems means possession, direct | ||
or indirect, of the power to direct or cause the direction | ||
of the management and policies of the entity, whether | ||
through ownership of assets, membership interest, other | ||
voting or governance rights, by contract or otherwise. | ||
(6) "Hospital applicant" means a hospital owner or | ||
hospital affiliate that files an application for an | ||
exemption or renewal of exemption under this Section. | ||
(7) "Relevant hospital entity" means (A) the hospital | ||
owner, in the case of a hospital applicant that is a | ||
hospital owner, and (B) at the election of a hospital | ||
applicant that is a hospital affiliate, either (i) the | ||
hospital affiliate or (ii) the hospital system to which the | ||
hospital applicant belongs, including any hospitals or | ||
hospital affiliates that are related by common control or | ||
ownership. | ||
(8) "Subject property" means property used for the | ||
calculation under subsection (b) of this Section. | ||
(9) "Hospital year" means the fiscal year of the | ||
relevant hospital entity, or the fiscal year of one of the |
hospital owners in the hospital system if the relevant | ||
hospital entity is a hospital system with members with | ||
different fiscal years, that ends in the year for which the | ||
exemption is sought.
| ||
(Source: P.A. 97-688, eff. 6-14-12; revised 8-3-12.)
| ||
(35 ILCS 120/5) (from Ch. 120, par. 444)
| ||
Sec. 5.
In case any person engaged in the business of | ||
selling tangible
personal property at retail fails to file a | ||
return when and as herein
required, but thereafter, prior to | ||
the Department's issuance of a notice
of tax liability under | ||
this Section, files a return and pays the tax, he
shall also | ||
pay a penalty in an amount determined in accordance with | ||
Section
3-3 of the Uniform Penalty and Interest Act.
| ||
In case any person engaged in the business of selling | ||
tangible
personal property at retail files the return at the | ||
time required by
this Act but fails to pay the tax, or any part | ||
thereof, when due, a penalty
in an amount determined in | ||
accordance with Section 3-3 of the Uniform
Penalty and Interest | ||
Act shall be added thereto.
| ||
In case any person engaged in the business of selling | ||
tangible
personal property at retail fails to file a return | ||
when and as herein
required, but thereafter, prior to the | ||
Department's issuance of a notice
of tax liability under this | ||
Section, files a return but fails to pay the
entire tax, a | ||
penalty in an amount determined in accordance with Section
3-3 |
of the Uniform Penalty and Interest Act shall be added thereto.
| ||
In case any person engaged in the business of selling | ||
tangible
personal property at retail fails to file a return, | ||
the Department shall
determine the amount of tax due from him | ||
according to its best judgment
and information, which amount so | ||
fixed by the Department shall be prima
facie correct and shall | ||
be prima facie evidence of the correctness of
the amount of tax | ||
due, as shown in such determination. In making any
such | ||
determination of tax due, it shall be permissible for the
| ||
Department to show a figure that represents the tax due for any | ||
given
period of 6 months instead of showing the amount of tax | ||
due for each
month separately. Proof of such determination by | ||
the Department may be
made at any hearing before the Department | ||
or in any legal proceeding by
a reproduced copy or computer | ||
print-out of the Department's record relating
thereto in the | ||
name of the Department under the certificate of the Director
of | ||
Revenue. If reproduced copies of the Department's records are | ||
offered as
proof of such determination, the Director must | ||
certify that those copies
are true and exact copies of records | ||
on file with the Department. If computer
print-outs of the | ||
Department's records are offered as proof of such
| ||
determination, the Director must certify that those computer | ||
print-outs are
true and exact representations of records | ||
properly entered into standard
electronic computing equipment, | ||
in the regular course of the Department's
business, at or | ||
reasonably near the time of the occurrence of the facts
|
recorded, from trustworthy and reliable information. Such | ||
certified
reproduced copy or certified computer print-out | ||
shall, without further
proof, be admitted into evidence before | ||
the Department or in any legal
proceeding and shall be prima | ||
facie proof of the correctness of the amount
of tax due, as | ||
shown therein. The Department shall issue the taxpayer a
notice | ||
of tax liability for the amount of tax claimed by the | ||
Department to
be due, together with a penalty of 30% thereof.
| ||
However, where the failure to file any tax return required | ||
under this Act
on the date prescribed therefor (including any | ||
extensions thereof), is
shown to be unintentional and | ||
nonfraudulent and has not occurred in the 2
years immediately | ||
preceding the failure to file on the prescribed date or
is due | ||
to other reasonable cause the penalties imposed by this Act | ||
shall
not apply.
| ||
The taxpayer or the taxpayer's legal representative may,
| ||
within 60 days after such notice, file a protest to such notice | ||
of tax
liability with the Department and request a hearing | ||
thereon. The Department shall give
notice to such person or the | ||
legal representative of such person of the
time and place fixed | ||
for such hearing, and shall hold a hearing in
conformity with | ||
the provisions of this Act, and pursuant thereto shall
issue a | ||
final assessment to such person or to the legal representative
| ||
of such person for the amount found to be due as a result of | ||
such hearing. On and after July 1, 2013, protests concerning | ||
matters that are under the jurisdiction of the Illinois |
Independent Tax Tribunal shall be filed with the Illinois | ||
Independent Tax Tribunal in accordance with the Illinois | ||
Independent Tax Tribunal Act of 2012, and hearings concerning | ||
those matters shall be held before the Tribunal in accordance | ||
with that Act. With respect to protests filed with the Illinois | ||
Independent Tax Tribunal, the Tribunal shall give
notice to | ||
that person or the legal representative of that person of the
| ||
time and place fixed for a hearing, and shall hold a hearing in
| ||
conformity with the provisions of this Act and the Illinois | ||
Independent Tax Tribunal Act of 2012 ; and pursuant thereto the | ||
Department shall
issue a final assessment to such person or to | ||
the legal representative
of such person for the amount found to | ||
be due as a result of the hearing. With respect to protests | ||
filed with the Department prior to July 1, 2013 that would | ||
otherwise be subject to the jurisdiction of the Illinois | ||
Independent Tax Tribunal, the taxpayer may elect to be subject | ||
to the provisions of the Illinois Independent Tax Tribunal Act | ||
of 2012 at any time on or after July 1, 2013, but not later than | ||
30 days after the date on which the protest was filed. If made, | ||
the election shall be irrevocable.
| ||
If a protest to the notice of tax liability and a request | ||
for a
hearing thereon is not filed within 60 days after such | ||
notice, such
notice of tax liability shall become final without | ||
the necessity of a
final assessment being issued and shall be | ||
deemed to be a final assessment.
| ||
After the issuance of a final assessment, or a notice of |
tax
liability which becomes final without the necessity of | ||
actually issuing
a final assessment as hereinbefore provided, | ||
the Department, at any time
before such assessment is reduced | ||
to judgment, may (subject to rules of
the Department) grant a | ||
rehearing (or grant departmental review and hold
an original | ||
hearing if no previous hearing in the matter has been held)
| ||
upon the application of the person aggrieved. Pursuant to such | ||
hearing
or rehearing, the Department shall issue a revised | ||
final assessment to
such person or his legal representative for | ||
the amount found to be due
as a result of such hearing or | ||
rehearing.
| ||
Except in case of failure to file a return, or with the | ||
consent of the person
to whom the notice of tax liability is to | ||
be issued, no notice of tax liability
shall be issued on and | ||
after each July 1 and January 1 covering gross receipts
| ||
received during any month or period of time more than 3 years | ||
prior to such
July 1 and January 1, respectively, except that | ||
if a return is not filed at the
required time, a notice of tax | ||
liability may be issued not later than 3 years
after the time | ||
the return is filed. The foregoing limitations upon the | ||
issuance
of a notice of tax liability shall not apply to the | ||
issuance of any such notice
with respect to any period of time | ||
prior thereto in cases where the Department
has, within the | ||
period of limitation then provided, notified a person of the
| ||
amount of tax computed even though the Department had not | ||
determined the amount
of tax due from such person in the manner |
required herein prior to the issuance
of such notice, but in no | ||
case shall the amount of any such notice of tax
liability for | ||
any period otherwise barred by this Act exceed for such period
| ||
the amount shown in the notice theretofore issued.
| ||
If, when a tax or penalty under this Act becomes due and | ||
payable, the
person alleged to be liable therefor is out of the | ||
State, the notice of
tax liability may be issued within the | ||
times herein limited after his
or her coming into or return to | ||
the State; and if, after the tax or penalty
under this Act | ||
becomes due and payable, the person alleged to be liable
| ||
therefor departs from and remains out of the State, the time of | ||
his
or her absence is no part of the time limited for the | ||
issuance of the notice of
tax liability; but the foregoing | ||
provisions concerning absence from the
State shall not apply to | ||
any case in which, at the time when a tax or
penalty becomes | ||
due under this Act, the person allegedly liable therefor
is not | ||
a resident of this State.
| ||
The time limitation period on the Department's right to | ||
issue a
notice of tax liability shall not run during any period | ||
of time in which
the order of any court has the effect of | ||
enjoining or restraining the
Department from issuing the notice | ||
of tax liability.
| ||
In case of failure to pay the tax, or any portion thereof, | ||
or any
penalty provided for in this Act, or interest, when due, | ||
the Department may
bring suit to recover the amount of such | ||
tax, or portion thereof, or penalty
or interest; or, if the |
taxpayer has died or become a person under legal
disability, | ||
may file a claim therefor against his estate; provided that no | ||
such
suit with respect to any tax, or portion thereof, or | ||
penalty, or interest
shall be instituted more than 6 years | ||
after the date any proceedings in
court for review thereof have | ||
terminated or the time for the taking
thereof has expired | ||
without such proceedings being instituted, except
with the | ||
consent of the person from whom such tax or penalty or interest
| ||
is due; nor, except with such consent, shall such suit be | ||
instituted
more than 6 years after the date any return is filed | ||
with the Department
in cases where the return constitutes the | ||
basis for the suit for unpaid
tax, or portion thereof, or | ||
penalty provided for in this Act, or
interest: Provided that | ||
the time limitation period on the Department's
right to bring | ||
any such suit shall not run during any period of time in
which | ||
the order of any court has the effect of enjoining or | ||
restraining
the Department from bringing such suit.
| ||
After the expiration of the period within which the person | ||
assessed
may file an action for judicial review under the | ||
Administrative Review Law
or the Illinois Independent Tax | ||
Tribunal Act of 2012 , as applicable, without such an action | ||
being filed, a certified copy of the final
assessment or | ||
revised final assessment of the Department may be filed
with | ||
the Circuit Court of the county in which the taxpayer has his
| ||
principal place of business, or of Sangamon County in those | ||
cases in
which the taxpayer does not have his principal place |
of business in this
State. The certified copy of the final | ||
assessment or revised final
assessment shall be accompanied by | ||
a certification which recites facts
that are sufficient to show | ||
that the Department complied with the
jurisdictional | ||
requirements of the Act in arriving at its final
assessment or | ||
its revised final assessment and that the taxpayer had his
| ||
opportunity for an administrative hearing and for judicial | ||
review,
whether he availed himself or herself of either or both | ||
of these opportunities
or not. If the court is satisfied that | ||
the Department complied with the
jurisdictional requirements | ||
of the Act in arriving at its final
assessment or its revised | ||
final assessment and that the taxpayer had his
opportunity for | ||
an administrative hearing and for judicial review,
whether he | ||
availed himself of either or both of these opportunities or
| ||
not, the court shall render judgment in favor of the Department | ||
and
against the taxpayer for the amount shown to be due by the | ||
final
assessment or the revised final assessment, plus any | ||
interest which may
be due, and such judgment shall be entered | ||
in the judgment docket of the
court. Such judgment shall bear | ||
the rate of interest as set by the Uniform
Penalty and Interest | ||
Act, but otherwise shall have the same effect as other
| ||
judgments. The judgment may be enforced, and all laws | ||
applicable to sales
for the enforcement of a judgment shall be | ||
applicable to sales made under
such judgments. The Department | ||
shall file the certified copy of its
assessment, as herein | ||
provided, with the Circuit Court within 6 years after
such |
assessment becomes final except when the taxpayer consents in | ||
writing
to an extension of such filing period, and except that | ||
the time limitation
period on the Department's right to file | ||
the certified copy of its
assessment with the Circuit Court | ||
shall not run during any period of time
in which the order of | ||
any court has the effect of enjoining or restraining
the | ||
Department from filing such certified copy of its assessment | ||
with the
Circuit Court.
| ||
If, when the cause of action for a proceeding in court | ||
accrues
against a person, he or she is out of the State, the | ||
action may be commenced
within the times herein limited, after | ||
his or her coming into or return to the
State; and if, after | ||
the cause of action accrues, he or she departs from and
remains | ||
out of the State, the time of his or her absence is no part of | ||
the time
limited for the commencement of the action; but the | ||
foregoing provisions
concerning absence from the State shall | ||
not apply to any case in which,
at the time the cause of action | ||
accrues, the party against whom the
cause of action accrues is | ||
not a resident of this State. The time within
which a court | ||
action is to be commenced by the Department hereunder
shall not | ||
run from the date the taxpayer files a petition in bankruptcy
| ||
under the Federal Bankruptcy Act until 30 days after notice of | ||
termination
or expiration of the automatic stay imposed by the | ||
Federal Bankruptcy Act.
| ||
No claim shall be filed against the estate of any deceased | ||
person or any
person under legal disability for any tax or |
penalty or part of either, or
interest, except in the manner | ||
prescribed and within the time limited by
the Probate Act of | ||
1975, as amended.
| ||
The collection of tax or penalty or interest by any means | ||
provided
for herein shall not be a bar to any prosecution under | ||
this Act.
| ||
In addition to any penalty provided for in this Act, any | ||
amount of
tax which is not paid when due shall bear interest at | ||
the rate and in the
manner specified in Sections 3-2 and 3-9 of | ||
the Uniform Penalty and
Interest Act from the date when such | ||
tax becomes past due until such tax is
paid or a judgment | ||
therefor is obtained by the Department. If the time for
making | ||
or completing an audit of a taxpayer's books and records is | ||
extended
with the taxpayer's consent, at the request of and for | ||
the convenience of
the Department, beyond the date on which the | ||
statute of limitations upon
the issuance of a notice of tax | ||
liability by the Department otherwise would
run, no interest | ||
shall accrue during the period of such extension or until
a | ||
Notice of Tax Liability is issued, whichever occurs first.
| ||
In addition to any other remedy provided by this Act, and | ||
regardless
of whether the Department is making or intends to | ||
make use of such other
remedy, where a corporation or limited | ||
liability company registered under
this Act violates the | ||
provisions of this Act or of any rule or regulation
promulgated | ||
thereunder, the Department may give notice to the Attorney | ||
General
of the identity of such a corporation or limited |
liability company and of the
violations committed by such a | ||
corporation or limited liability company, for
such action as is | ||
not already provided for by this Act and as the Attorney
| ||
General may deem appropriate.
| ||
If the Department determines that an amount of tax or | ||
penalty or interest
was incorrectly assessed, whether as the | ||
result of a mistake of fact or an
error of law, the Department | ||
shall waive the amount of tax or penalty or
interest that | ||
accrued due to the incorrect assessment.
| ||
(Source: P.A. 96-1383, eff. 1-1-11; 97-1129, eff. 8-28-12; | ||
revised 10-10-12.)
| ||
(35 ILCS 120/12) (from Ch. 120, par. 451)
| ||
Sec. 12.
The Department is authorized to make, promulgate | ||
and enforce such
reasonable rules and regulations relating to | ||
the administration and
enforcement of the provisions of this | ||
Act as may be deemed expedient.
| ||
Whenever notice is required by this Act, such notice may be | ||
given by
United States registered or certified mail, addressed | ||
to the person
concerned at his last known address, and proof of | ||
such mailing shall be
sufficient for the purposes of this Act. | ||
Notice of any hearing provided for
by this Act shall be so | ||
given not less than 7 days prior to the day fixed
for the | ||
hearing. Following the initial contact of a person represented | ||
by
an attorney, the
Department shall not contact the person | ||
concerned but shall only
contact the attorney representing the |
person concerned.
| ||
All hearings provided for in this Act with respect to or | ||
concerning a
taxpayer having his or her principal place of | ||
business in this State other
than in Cook County shall be held | ||
at the Department's office nearest to the
location of the | ||
taxpayer's principal place of business: Provided that if
the | ||
taxpayer has his or her principal place of business in Cook | ||
County, such
hearing shall be held in Cook County; and | ||
provided, further, that if the
taxpayer does not have his or | ||
her principal place of business in this
State, such hearing | ||
shall be held in Sangamon County.
| ||
The Circuit Court of the County wherein the taxpayer has | ||
his or her principal
place of business, or of Sangamon County | ||
in those cases where the taxpayer
does not have his or her | ||
principal place of business in this State, shall have
power to | ||
review all final administrative decisions of the Department in
| ||
administering the provisions of this Act: Provided that if the
| ||
administrative proceeding which is to be reviewed judicially is | ||
a claim for
refund proceeding commenced in accordance with | ||
Section 6 of this Act and
Section 2a of "An Act in relation to | ||
the payment and disposition of moneys
received by officers and | ||
employees of the State of Illinois by virtue of
their office or | ||
employment", approved June 9, 1911, as amended, the
Circuit | ||
Court having jurisdiction of the action for judicial review | ||
under
this Section and under the Administrative Review Law, as | ||
amended, shall
be the same court that entered the temporary |
restraining order or preliminary
injunction which is provided | ||
for in Section 2a of "An Act in relation
to the payment and | ||
disposition of moneys received by officers and employees
of the | ||
State of Illinois by virtue of their office or employment", and
| ||
which enables such claim proceeding to be processed and | ||
disposed of as a
claim for refund proceeding rather than as a | ||
claim for credit proceeding.
| ||
The provisions of the Administrative Review Law, and the | ||
rules adopted
pursuant thereto, shall apply to and govern all | ||
proceedings for the
judicial review of final administrative | ||
decisions of the Department
hereunder, except with respect to | ||
protests and hearings held before the Illinois Independent Tax | ||
Tribunal. The provisions of the Illinois Independent Tax | ||
Tribunal Act of 2012 , and the rules adopted
pursuant thereto, | ||
shall apply to and govern all proceedings for the
judicial | ||
review of administrative decisions of the Department that are | ||
subject to the jurisdiction of the Illinois Independent Tax | ||
Tribunal. The term "administrative decision" is defined as in | ||
Section
3-101 of the Code of Civil Procedure.
| ||
Except with respect to decisions that are subject to the | ||
jurisdiction of the Illinois Independent Tax Tribunal, any | ||
person filing an action under the Administrative Review Law to | ||
review
a final
assessment or revised final assessment issued by | ||
the Department under this
Act shall, within 20 days after | ||
filing the complaint, file a bond with good
and sufficient | ||
surety or sureties residing in this State or licensed to do
|
business in this State or, instead of the bond, obtain an order | ||
from the court
imposing a lien upon
the plaintiff's property as | ||
hereinafter provided.
If the
person filing the complaint fails | ||
to comply with this bonding requirement
within 20 days after | ||
filing the complaint, the Department shall file a motion
to
| ||
dismiss and the court shall dismiss the action unless the | ||
person filing the
action complies with the bonding requirement | ||
set out in this provision within
30 days after the filing of | ||
the Department's motion to dismiss. Upon dismissal of any
| ||
complaint for failure to comply with the jurisdictional
| ||
prerequisites herein set forth, the court is empowered to and | ||
shall enter
judgment against the taxpayer and in favor of the | ||
Department in the amount of
the final
assessment or revised | ||
final assessment, together with any interest which
may have | ||
accrued since the
Department issued the final assessment or | ||
revised final assessment, and for
costs, which judgment is | ||
enforceable
as other judgments for the payment of money. The | ||
lien
provided for in this Section shall not be applicable to | ||
the real property
of a corporate surety duly licensed to do | ||
business in this State. The
amount of such bond shall be fixed | ||
and approved by the court, but shall not
be less than the | ||
amount of the tax and penalty claimed to be due by the
| ||
Department in its final assessment or revised final assessment | ||
to the
person filing such bond, plus the amount of interest due | ||
from such person
to the Department at the time when the | ||
Department issued its final
assessment to such person. Such |
bond shall be executed to the Department of
Revenue and shall | ||
be conditioned on the taxpayer's payment within 30 days
after | ||
termination of the proceedings for judicial review of the | ||
amount of
tax and penalty and interest found by the court to be | ||
due in such
proceedings for judicial review. Such bond, when | ||
filed and approved, shall,
from such time until 2 years after | ||
termination of the proceedings for
judicial review in which the | ||
bond is filed, be a lien against the real
estate situated in | ||
the county in which the bond is filed, of the person
filing | ||
such bond, and of the surety or sureties on such bond, until | ||
the
condition of the bond has been complied with or until the | ||
bond has been
canceled as hereinafter provided. If the person | ||
filing any such bond fails
to keep the condition thereof, such | ||
bond shall thereupon be forfeited, and
the Department may | ||
institute an action upon such bond in
its own name for the
| ||
entire amount of the bond and costs. Such action upon the bond | ||
shall be in
addition to any other remedy provided for herein. | ||
If the person filing such
bond complies with the condition | ||
thereof, or if, in the proceedings for
judicial review in which | ||
such bond is filed, the court determines that no
amount of tax | ||
or penalty or interest is due, such bond shall be canceled.
| ||
If the court finds in a particular case that the plaintiff | ||
cannot
procure and furnish a satisfactory surety or sureties | ||
for the kind of bond
required herein, the court may relieve the | ||
plaintiff of the obligation of
filing such bond, if, upon the | ||
timely application for a lien in lieu
thereof and accompanying |
proof therein submitted, the court is satisfied
that any such | ||
lien imposed would operate to secure the assessment in the
| ||
manner and to the degree as would a bond. Upon a finding that | ||
such lien
applied for would secure the assessment at issue, the | ||
court shall enter an
order, in lieu of such bond,
subjecting | ||
the plaintiff's real and personal property (including
| ||
subsequently acquired property), situated in the county in | ||
which such order
is entered, to a lien in favor of the | ||
Department. Such lien shall be for
the amount of the tax and | ||
penalty claimed to be due by the Department in
its final | ||
assessment or revised final assessment, plus the amount of
| ||
interest due from such person to the Department at the time | ||
when the
Department issued its final assessment to such person, | ||
and shall continue
in full force and effect until the | ||
termination of the proceedings for
judicial review, or until | ||
the plaintiff pays, to the Department, the tax
and penalty and | ||
interest to secure which the lien is given, whichever
happens | ||
first. In the exercise of its discretion, the court may impose | ||
a
lien regardless of the ratio of the taxpayer's assets to the | ||
final
assessment or revised final assessment plus the amount of | ||
the interest and
penalty. Nothing in this Section shall be | ||
construed to give the
Department a preference over the rights | ||
of any bona fide purchaser,
mortgagee, judgment creditor or | ||
other lien holder arising prior to the
entry of the order | ||
creating such lien in favor of the Department: Provided,
| ||
however, that the word "bona fide", as used in this Section, |
shall not
include any mortgage of real or personal property or | ||
any other credit
transaction that results in the mortgagee or | ||
the holder of the security
acting as trustee for unsecured | ||
creditors of the taxpayer mentioned in the
order for lien who | ||
executed such chattel or real property mortgage or the
document | ||
evidencing such credit transaction. Such lien shall be inferior | ||
to
the lien of general taxes, special assessments and special | ||
taxes heretofore
or hereafter levied by any political | ||
subdivision of this State. Such lien
shall not be effective | ||
against any purchaser with respect to any item in a
retailer's | ||
stock in trade purchased from the retailer in the usual course
| ||
of such retailer's business, and such lien shall not be | ||
enforced against
the household effects, wearing apparel, or the | ||
books, tools or implements
of a trade or profession kept for | ||
use by any person. Such lien shall not be
effective against | ||
real property whose title is registered under the
provisions of | ||
"An Act concerning land titles", approved May 1, 1897, as
| ||
amended, until the provisions of Section 85 of that Act are | ||
complied
with.
| ||
Service upon the Director of Revenue or the Assistant | ||
Director of
Revenue of the Department of Revenue of summons | ||
issued in an action to
review a final administrative decision | ||
of the Department shall be service
upon the Department. The | ||
Department shall certify the record of its
proceedings if the | ||
taxpayer pays to it the sum of 75¢ per page of testimony
taken | ||
before the Department and 25¢ per page of all other matters |
contained
in such record, except that these charges may be | ||
waived where the
Department is satisfied that the aggrieved | ||
party is a poor person who
cannot afford to pay such charges. | ||
If payment for such record is not made
by the taxpayer within | ||
30 days after notice from the Department or the
Attorney | ||
General of the cost thereof, the court in which the proceeding | ||
is
pending, on motion of the Department, shall dismiss the | ||
complaint and
(where the administrative decision as to which | ||
the action for
judicial review
was filed is a final assessment | ||
or revised final assessment) shall enter
judgment against the | ||
taxpayer and in favor of the Department for the amount
of tax | ||
and penalty shown by the Department's final assessment or | ||
revised
final assessment to be due, plus interest as provided | ||
for in Section 5 of
this Act from the date when the liability | ||
upon which such interest
accrued became delinquent until the | ||
entry of the judgment
in the action for judicial review
under | ||
the Administrative Review Law, and also
for costs.
| ||
Whenever any proceeding provided by this Act is begun | ||
before the
Department, either by the Department or by a person | ||
subject to this Act,
and such person thereafter dies or becomes | ||
a person under legal disability
before such proceeding is | ||
concluded, the legal representative of the
deceased or person | ||
under legal disability shall notify the Department
of such | ||
death or legal disability. Such legal representative,
as such, | ||
shall then be substituted
by the Department for such person. If | ||
the legal representative fails to
notify the Department of his |
or her appointment as such legal
representative, the Department | ||
may, upon its own motion, substitute such
legal representative
| ||
in the proceeding pending before the Department for the person | ||
who died or
became a person under legal disability.
| ||
The changes made by this amendatory Act of 1995 apply to | ||
all actions
pending on and after the effective date of this | ||
amendatory Act of 1995 to
review a final
assessment or revised | ||
final assessment issued by the Department.
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.)
| ||
Section 185. The Cigarette Machine Operators' Occupation | ||
Tax Act is amended by changing Section 1-100 as follows: | ||
(35 ILCS 128/1-100)
| ||
Sec. 1-100. Arrest and seizure. Any duly authorized | ||
employee of the Department : may : arrest without warrant any | ||
person committing in his presence a violation of any of the | ||
provisions of this Act; may without a search warrant inspect | ||
all cigarettes and cigarette machines located in any place of | ||
business; and may seize any contraband cigarettes and any | ||
cigarette machines in which such contraband cigarettes may be | ||
found or may be made, and such packages or cigarette machines | ||
so seized shall be subject to confiscation and forfeiture as | ||
provided in Section 1-105 of this Act.
| ||
(Source: P.A. 97-688, eff. 6-14-12; revised 8-3-12.) |
Section 190. The Cigarette Tax Act is amended by changing | ||
Sections 3, 9a, and 9b as follows:
| ||
(35 ILCS 130/3) (from Ch. 120, par. 453.3)
| ||
Sec. 3. Affixing tax stamp; remitting tax to the | ||
Department. Payment of
the taxes imposed by Section 2 of this | ||
Act shall
(except as hereinafter provided) be evidenced by | ||
revenue tax stamps affixed
to each original package of | ||
cigarettes. Each distributor of cigarettes,
before delivering | ||
or causing to be delivered any original package of
cigarettes | ||
in this State to a purchaser, shall firmly affix a proper stamp
| ||
or stamps to each such package, or (in case of manufacturers of | ||
cigarettes
in original packages which are contained inside a | ||
sealed transparent
wrapper) shall imprint the required | ||
language on the original package of
cigarettes beneath such | ||
outside wrapper, as hereinafter provided.
| ||
No stamp or imprint may be affixed to, or made upon, any | ||
package of
cigarettes unless that package complies with all | ||
requirements of the federal
Cigarette Labeling and Advertising | ||
Act, 15 U.S.C. 1331 and following, for the
placement of labels, | ||
warnings, or any other information upon a package of
cigarettes | ||
that is sold within the United States. Under the authority of
| ||
Section 6, the Department shall revoke the license of any | ||
distributor that is
determined to have violated this paragraph.
| ||
A person may not affix a stamp on a package of cigarettes, | ||
cigarette papers,
wrappers, or tubes if that individual package |
has been marked for export
outside the United States with a | ||
label or notice in compliance with Section
290.185 of Title 27 | ||
of the Code of Federal Regulations. It is not a defense to
a | ||
proceeding for violation of this paragraph that the label or | ||
notice has been
removed, mutilated, obliterated, or altered in | ||
any manner.
| ||
Only distributors licensed under this Act and | ||
transporters, as defined in Section 9c of this Act, may possess | ||
unstamped original packages of cigarettes. Prior to shipment to | ||
a secondary distributor or an Illinois retailer, a stamp shall | ||
be applied to each original package of cigarettes sold to the | ||
secondary distributor or retailer. A distributor may apply tax | ||
stamps only to original packages of cigarettes purchased or | ||
obtained directly from an in-state maker, manufacturer, or | ||
fabricator licensed as a distributor under Section 4 of this | ||
Act or an out-of-state maker, manufacturer, or fabricator | ||
holding a permit under Section 4b of this Act. A licensed | ||
distributor may ship or otherwise cause to be delivered | ||
unstamped original packages of cigarettes in, into, or from | ||
this State. A licensed distributor may transport unstamped | ||
original packages of cigarettes to a facility, wherever | ||
located, owned or controlled by such distributor; however, a | ||
distributor may not transport unstamped original packages of | ||
cigarettes to a facility where retail sales of cigarettes take | ||
place or to a facility where a secondary distributor makes | ||
sales for resale. Any licensed distributor that ships or |
otherwise causes to be delivered unstamped original packages of | ||
cigarettes into, within, or from this State shall ensure that | ||
the invoice or equivalent documentation and the bill of lading | ||
or freight bill for the shipment identifies the true name and | ||
address of the consignor or seller, the true name and address | ||
of the consignee or purchaser, and the quantity by brand style | ||
of the cigarettes so transported, provided that this Section | ||
shall not be construed as to impose any requirement or | ||
liability upon any common or contract carrier. | ||
The Department, or any person authorized by the Department, | ||
shall
sell such stamps only to persons holding valid
licenses | ||
as distributors under this Act. On and after July 1, 2003, | ||
payment
for such stamps must be made by means of
electronic | ||
funds transfer. The Department may refuse to sell stamps to any
| ||
person who does not comply
with the provisions of this Act.
| ||
Beginning on the effective date of this amendatory Act of the | ||
92nd General
Assembly and through June 30, 2002, persons | ||
holding valid licenses as
distributors
may purchase cigarette | ||
tax stamps up to an amount equal to 115% of the
distributor's | ||
average monthly cigarette tax stamp purchases over the 12
| ||
calendar
months prior to the effective date of this amendatory | ||
Act of the 92nd General
Assembly.
| ||
Prior to December 1, 1985, the Department shall allow a | ||
distributor
21 days in which to make final
payment of the | ||
amount to be paid for such stamps, by allowing the
distributor | ||
to make payment for the stamps at the time of purchasing them
|
with a draft which shall be in such form as the Department | ||
prescribes, and
which shall be payable within 21 days | ||
thereafter: Provided that such
distributor has filed with the | ||
Department, and has received the
Department's approval of, a | ||
bond, which is in addition to the bond required
under Section 4 | ||
of this Act, payable to the Department in an amount equal
to | ||
80% of such distributor's average monthly tax liability to
the | ||
Department under this Act during the preceding calendar year or | ||
$500,000,
whichever is less. The Bond shall be joint and
| ||
several and shall be in the form of a surety company bond in | ||
such form as
the Department prescribes, or it may be in the | ||
form of a bank certificate
of deposit or bank letter of credit. | ||
The bond shall be conditioned upon the
distributor's payment of | ||
amount of any 21-day draft which the Department
accepts from | ||
that distributor for the delivery of stamps to that
distributor | ||
under this Act. The distributor's failure to pay any such
| ||
draft, when due, shall also make such distributor automatically | ||
liable to
the Department for a penalty equal to 25% of the | ||
amount of such draft.
| ||
On and after December 1, 1985 and until July 1, 2003, the | ||
Department
shall allow a distributor
30 days in which to make
| ||
final payment of the amount to be paid for such stamps, by | ||
allowing the
distributor to make payment for the stamps at the | ||
time of purchasing them
with a draft which shall be in such | ||
form as the Department prescribes, and
which shall be payable | ||
within 30 days thereafter, and beginning on January 1,
2003 and |
thereafter, the draft shall be payable by means of electronic | ||
funds
transfer: Provided that such
distributor has filed with | ||
the Department, and has received the
Department's approval of, | ||
a bond, which is in addition to the bond required
under Section | ||
4 of this Act, payable to the Department in an amount equal
to | ||
150% of such distributor's average monthly tax liability to the
| ||
Department under this Act during the preceding calendar year or | ||
$750,000,
whichever is less, except that as to bonds filed on | ||
or after January 1,
1987, such additional bond shall be in an | ||
amount equal to 100% of such
distributor's average monthly tax | ||
liability under this Act during the
preceding calendar year or | ||
$750,000, whichever is less. The bond shall be
joint and | ||
several and shall be in the form of a surety company bond in | ||
such
form as the Department prescribes, or it may be in the | ||
form of a bank
certificate of deposit or bank letter of credit.
| ||
The bond shall be conditioned upon the distributor's payment of | ||
the amount
of any 30-day draft which the Department accepts | ||
from that distributor for
the delivery of stamps to that | ||
distributor under this Act. The
distributor's failure to pay | ||
any such draft, when due, shall also make such
distributor | ||
automatically liable to the Department for a penalty equal to
| ||
25% of the amount of such draft.
| ||
Every prior continuous compliance taxpayer shall be exempt | ||
from all
requirements under this Section concerning the | ||
furnishing of such bond, as
defined in this Section, as a | ||
condition precedent to his being authorized
to engage in the |
business licensed under this Act. This exemption shall
continue | ||
for each such taxpayer until such time as he may be determined | ||
by
the Department to be delinquent in the filing of any | ||
returns, or is
determined by the Department (either through the | ||
Department's issuance of a
final assessment which has become | ||
final under the Act, or by the taxpayer's
filing of a return | ||
which admits tax to be due that is not paid) to be
delinquent | ||
or deficient in the paying of any tax under this Act, at which
| ||
time that taxpayer shall become subject to the bond | ||
requirements of this
Section and, as a condition of being | ||
allowed to continue to engage in the
business licensed under | ||
this Act, shall be required to furnish bond to the
Department | ||
in such form as provided in this Section. Such taxpayer shall
| ||
furnish such bond for a period of 2 years, after which, if the | ||
taxpayer has
not been delinquent in the filing of any returns, | ||
or delinquent or
deficient in the paying of any tax under this | ||
Act, the Department may
reinstate such person as a prior | ||
continuance compliance taxpayer. Any
taxpayer who fails to pay | ||
an admitted or established liability under this
Act may also be | ||
required to post bond or other acceptable security with the
| ||
Department guaranteeing the payment of such admitted or | ||
established liability.
| ||
Except as otherwise provided in this Section, any person | ||
aggrieved by any decision of the Department under this
Section | ||
may, within the time allowed by law, protest and request a | ||
hearing,
whereupon the Department shall give notice and shall |
hold a hearing in
conformity with the provisions of this Act | ||
and then issue its final
administrative decision in the matter | ||
to such person. On and after July 1, 2013, protests concerning | ||
matters that are subject to the jurisdiction of the Illinois | ||
Independent Tax Tribunal shall be filed with the Tribunal in | ||
accordance with the Illinois Independent Tax Tribunal Act of | ||
2012, and hearings on those matters shall be held before the | ||
Tribunal in accordance with that Act. With respect to protests | ||
filed with the Department prior to July 1, 2013 that would | ||
otherwise be subject to the jurisdiction of the Illinois | ||
Independent Tax Tribunal, the taxpayer may elect to be subject | ||
to the provisions of the Illinois Independent Tax Tribunal Act | ||
of 2012 at any time on or after July 1, 2013, but not later than | ||
30 days after the date on which the protest was filed. If made, | ||
the election shall be irrevocable. In the absence of
such a | ||
protest filed within the time allowed by law, the Department's
| ||
decision shall become final without any further determination | ||
being made or
notice given.
| ||
The Department shall discharge any surety and shall release | ||
and return
any bond or security deposited, assigned, pledged, | ||
or otherwise provided to
it by a taxpayer under this Section | ||
within 30 days after:
| ||
(1) Such taxpayer becomes a prior continuous | ||
compliance taxpayer; or
| ||
(2) Such taxpayer has ceased to collect receipts on | ||
which he is
required to remit tax to the Department, has |
filed a final tax return, and
has paid to the Department an | ||
amount sufficient to discharge his remaining
tax liability | ||
as determined by the Department under this Act. The
| ||
Department shall make a final determination of the | ||
taxpayer's outstanding
tax liability as expeditiously as | ||
possible after his final tax return has
been filed. If the | ||
Department cannot make such final determination within
45 | ||
days after receiving the final tax return, within such | ||
period it shall
so notify the taxpayer, stating its reasons | ||
therefor.
| ||
The Department may authorize distributors to affix revenue | ||
tax stamps by
imprinting tax meter stamps upon original | ||
packages of cigarettes. The
Department shall adopt rules and | ||
regulations relating to the imprinting of
such tax meter stamps | ||
as will result in payment of the proper taxes as
herein | ||
imposed. No distributor may affix revenue tax stamps to | ||
original
packages of cigarettes by imprinting tax meter stamps | ||
thereon unless such
distributor has first obtained permission | ||
from the Department to employ
this method of affixation. The | ||
Department shall regulate the use of tax
meters and may, to | ||
assure the proper collection of the taxes imposed by
this Act, | ||
revoke or suspend the privilege, theretofore granted by the
| ||
Department to any distributor, to imprint tax meter stamps upon | ||
original
packages of cigarettes.
| ||
Illinois cigarette manufacturers who place their | ||
cigarettes in original
packages which are contained inside a |
sealed transparent wrapper, and
similar out-of-State cigarette | ||
manufacturers who elect to qualify and are
accepted by the | ||
Department as distributors under Section 4b(a) of this Act,
| ||
shall pay the taxes imposed by this Act by remitting the amount | ||
thereof to
the Department by the 5th day of each month covering | ||
cigarettes shipped or
otherwise delivered in Illinois to | ||
purchasers during the preceding calendar
month. Such | ||
manufacturers of cigarettes in original packages which are
| ||
contained inside a sealed transparent wrapper, before | ||
delivering such
cigarettes or causing such cigarettes to be | ||
delivered in this State to
purchasers, shall evidence their | ||
obligation to remit the taxes due with
respect to such | ||
cigarettes by imprinting language to be prescribed by the
| ||
Department on each original package of such cigarettes | ||
underneath the
sealed transparent outside wrapper of such | ||
original package, in such place
thereon and in such manner as | ||
the Department may designate. Such imprinted
language shall | ||
acknowledge the manufacturer's payment of or liability for
the | ||
tax imposed by this Act with respect to the distribution of | ||
such
cigarettes.
| ||
A distributor shall not affix, or cause to be affixed, any | ||
stamp or imprint
to a package of cigarettes, as provided for in | ||
this Section, if the tobacco
product
manufacturer, as defined | ||
in Section 10 of the Tobacco Product Manufacturers'
Escrow
Act, | ||
that made or sold the cigarettes has failed to become a | ||
participating
manufacturer, as defined in subdivision (a)(1) |
of Section 15 of the Tobacco
Product
Manufacturers' Escrow Act, | ||
or has failed to create a qualified escrow fund for
any | ||
cigarettes manufactured by the tobacco product manufacturer | ||
and sold in
this State or otherwise failed to bring itself into | ||
compliance with subdivision
(a)(2) of Section 15 of the Tobacco | ||
Product
Manufacturers' Escrow Act.
| ||
(Source: P.A. 96-782, eff. 1-1-10; 96-1027, eff. 7-12-10; | ||
97-1129, eff. 8-28-12; revised 10-10-12.)
| ||
(35 ILCS 130/9a) (from Ch. 120, par. 453.9a)
| ||
Sec. 9a. Examination and correction of returns.
| ||
(1) As soon as practicable after any return is filed, the
| ||
Department shall examine such return and shall correct such | ||
return
according to its best judgment and information, which | ||
return so corrected
by the Department shall be prima facie | ||
correct and shall be prima facie
evidence of the correctness of | ||
the amount of tax due, as shown therein.
Instead of requiring | ||
the distributor to file an amended return, the
Department may | ||
simply notify the distributor of the correction or
corrections | ||
it has made. Proof of such correction by the Department may be
| ||
made at any hearing before the Department or in any legal | ||
proceeding by a
reproduced copy of the Department's record | ||
relating thereto in the name of
the Department under the | ||
certificate of the Director of Revenue. Such
reproduced copy | ||
shall, without further proof, be admitted into evidence
before | ||
the Department or in any legal proceeding and shall be prima |
facie
proof of the correctness of the amount of tax due, as | ||
shown therein. If the
Department finds that any amount of tax | ||
is due from the distributor, the
Department shall issue the | ||
distributor a notice of tax liability for the
amount of tax | ||
claimed by the Department to be due, together with a penalty
in | ||
an amount determined in accordance with Sections 3-3, 3-5 and | ||
3-6 of the
Uniform Penalty and Interest Act. If, in | ||
administering the provisions of
this Act, comparison of a | ||
return or returns of a distributor with the
books, records and | ||
inventories of such distributor discloses a deficiency
which | ||
cannot be allocated by the Department to a particular month or
| ||
months, the Department shall issue the distributor a notice of | ||
tax
liability for the amount of tax claimed by the Department | ||
to be due for a
given period, but without any obligation upon | ||
the Department to allocate
such deficiency to any particular | ||
month or months, together with a penalty
in an amount | ||
determined in accordance with Sections 3-3, 3-5 and 3-6 of the
| ||
Uniform Penalty and Interest Act, under which circumstances the | ||
aforesaid
notice of tax liability shall be prima facie correct | ||
and shall be prima
facie evidence of the correctness of the | ||
amount of tax due, as shown
therein; and proof of such | ||
correctness may be made in accordance with, and
the | ||
admissibility of a reproduced copy of such notice of tax | ||
liability
shall be governed by, all the provisions of this Act | ||
applicable to
corrected returns. If any distributor filing any | ||
return dies or becomes a
person under legal disability at any |
time before the Department issues its
notice of tax liability, | ||
such notice shall be issued to the administrator,
executor or | ||
other legal representative, as such, of such distributor.
| ||
(2) Except as otherwise provided in this Section, if, | ||
within 60 days after such notice of tax liability, the
| ||
distributor or his or her legal representative files a protest | ||
to such
notice of tax liability and requests a hearing thereon, | ||
the Department shall
give notice to such distributor or legal | ||
representative of the time and place
fixed for such hearing, | ||
and shall hold a hearing in conformity with the
provisions of | ||
this Act, and pursuant thereto shall issue a final assessment
| ||
to such distributor or legal representative for the amount | ||
found to be due
as a result of such hearing. On or after July 1, | ||
2013, protests concerning matters that are subject to the | ||
jurisdiction of the Illinois Independent Tax Tribunal shall be | ||
filed in accordance with the Illinois Independent Tax Tribunal | ||
Act of 2012, and hearings concerning those matters shall be | ||
held before the Tribunal in accordance with that Act. With | ||
respect to protests filed with the Department prior to July 1, | ||
2013 that would otherwise be subject to the jurisdiction of the | ||
Illinois Independent Tax Tribunal, the taxpayer may elect to be | ||
subject to the provisions of the Illinois Independent Tax | ||
Tribunal Act of 2012 at any time on or after July 1, 2013, but | ||
not later than 30 days after the date on which the protest was | ||
filed. If made, the election shall be irrevocable. If a protest | ||
to the notice of tax liability
and a request for a hearing |
thereon is not filed within the time allowed by law, such | ||
notice of tax liability shall become final
without the | ||
necessity of a final assessment being issued and shall be
| ||
deemed to be a final assessment.
| ||
(3) In case of failure to pay the tax, or any portion | ||
thereof, or any
penalty provided for in this Act, when due, the | ||
Department may bring suit
to recover the amount of such tax, or | ||
portion thereof, or penalty; or, if
the taxpayer dies or | ||
becomes incompetent, by filing claim therefor against
his | ||
estate; provided that no such action with respect to any tax, | ||
or portion
thereof, or penalty, shall be instituted more than 2 | ||
years after the cause
of action accrues, except with the | ||
consent of the person from whom such tax
or penalty is due.
| ||
After the expiration of the period within which the person | ||
assessed may
file an action for judicial review under the | ||
Administrative Review Law
without such an action being filed, a | ||
certified copy of the final assessment
or revised final | ||
assessment of the Department may be filed with the Circuit
| ||
Court of the county in which the taxpayer has his or her | ||
principal place of
business, or of Sangamon County in those | ||
cases in which the taxpayer does
not have his principal place | ||
of business in this State. The certified copy
of the final | ||
assessment or revised final assessment shall be accompanied by
| ||
a certification which recites facts that are sufficient to show | ||
that the
Department complied with the jurisdictional | ||
requirements of the Law in
arriving at its final assessment or |
its revised final assessment and that
the taxpayer had his or | ||
her opportunity for an administrative hearing and for
judicial | ||
review, whether he availed himself or herself of either or both | ||
of
these opportunities or not. If the court is satisfied that | ||
the Department
complied with the jurisdictional requirements | ||
of the Law in arriving at its
final assessment or its revised | ||
final assessment and that the taxpayer had
his or her | ||
opportunity for an administrative hearing and for judicial | ||
review,
whether he or she availed himself or herself of either | ||
or both of
these opportunities or not, the court shall enter | ||
judgment in favor of the
Department and against the taxpayer | ||
for the amount shown to be due by the
final assessment or the | ||
revised final assessment, and such judgment shall
be filed of | ||
record in the court. Such judgment shall bear the rate of
| ||
interest set in the Uniform Penalty and Interest Act, but | ||
otherwise shall
have the same effect as other judgments. The | ||
judgment may be enforced, and
all laws applicable to sales for | ||
the enforcement of a judgment shall be
applicable to sales made | ||
under such judgments. The Department shall file
the certified | ||
copy of its assessment, as herein provided, with the Circuit
| ||
Court within 2 years after such assessment becomes final except | ||
when the
taxpayer consents in writing to an extension of such | ||
filing period.
| ||
If, when the cause of action for a proceeding in court | ||
accrues against a
person, he or she is out of the State, the | ||
action may be commenced within the
times herein limited, after |
his or her coming into or return to the State;
and if, after | ||
the cause of action accrues, he or she departs from and
remains | ||
out of the State, the time of his or her absence is no part of | ||
the
time limited for the commencement of the action; but the | ||
foregoing
provisions concerning absence from the State shall | ||
not apply to any case in
which, at the time the cause of action | ||
accrues, the party against whom the
cause of action accrues is | ||
not a resident of this State. The time within
which a court | ||
action is to be commenced by the Department hereunder shall
not | ||
run while the taxpayer is a debtor in any proceeding under the | ||
Federal
Bankruptcy Act nor thereafter until 90 days after the | ||
Department is
notified by such debtor of being discharged in | ||
bankruptcy.
| ||
No claim shall be filed against the estate of any deceased | ||
person or
a person under legal disability for any tax or | ||
penalty or part of either
except in the manner prescribed and | ||
within the time limited by the Probate
Act of 1975, as amended.
| ||
The remedies provided for herein shall not be exclusive, | ||
but all
remedies available to creditors for the collection of | ||
debts shall be
available for the collection of any tax or | ||
penalty due hereunder.
| ||
The collection of tax or penalty by any means provided for | ||
herein shall
not be a bar to any prosecution under this Act.
| ||
The certificate of the Director of the Department to the | ||
effect that a
tax or amount required to be paid by this Act has | ||
not been paid, that a
return has not been filed, or that |
information has not been supplied
pursuant to the provisions of | ||
this Act, shall be prima facie evidence
thereof.
| ||
All of the provisions of Sections 5a, 5b, 5c, 5d, 5e, 5f, | ||
5g, 5i and
5j of the Retailers' Occupation Tax Act, which are | ||
not inconsistent
with this Act, and Section 3-7 of the Uniform | ||
Penalty and Interest Act
shall apply, as far as practicable, to | ||
the subject matter of
this Act to the same extent as if such | ||
provisions were included herein.
References in such | ||
incorporated Sections of the "Retailers' Occupation Tax
Act" to | ||
retailers, to sellers or to persons engaged in the business of
| ||
selling tangible personal property shall mean distributors | ||
when used in
this Act.
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.)
| ||
(35 ILCS 130/9b) (from Ch. 120, par. 453.9b)
| ||
Sec. 9b. Failure to file return; penalty; protest. In case | ||
any person
who is required to file a return under this Act
| ||
fails to file such return, the Department shall determine the | ||
amount of tax
due from him according to its best judgment and | ||
information, which amount
so fixed by the Department shall be | ||
prima facie correct and shall be prima
facie evidence of the | ||
correctness of the amount of tax due, as shown in
such | ||
determination. Proof of such determination by the Department | ||
may be
made at any hearing before the Department or in any | ||
legal proceeding by a
reproduced copy of the Department's | ||
record relating thereto in the name of
the Department under the |
certificate of the Director of Revenue. Such
reproduced copy | ||
shall, without further proof, be admitted into evidence
before | ||
the Department or in any legal proceeding and shall be prima | ||
facie
proof of the correctness of the amount of tax due, as | ||
shown therein. The
Department shall issue such person a notice | ||
of tax liability for the amount
of tax claimed by the | ||
Department to be due, together with a penalty in
an amount | ||
determined in accordance with Sections 3-3, 3-5 and 3-6 of the
| ||
Uniform Penalty and Interest Act. If such person or the legal | ||
representative of
such person, within 60 days after such | ||
notice, files a protest to
such
notice of tax liability and | ||
requests a hearing thereon, the Department
shall give notice to | ||
such person or the legal representative of such person
of the | ||
time and place fixed for such hearing and shall hold a hearing | ||
in
conformity with the provisions of this Act, and pursuant | ||
thereto shall
issue a final assessment to such person or to the | ||
legal representative of
such person for the amount found to be | ||
due as a result of such hearing. Hearings to protest a notice | ||
of tax liability issued pursuant to this Section that are | ||
conducted as a result of a protest filed with the Illinois | ||
Independent Tax Tribunal on or after July 1, 2013 shall be | ||
conducted pursuant to the Illinois Independent Tax Tribunal Act | ||
of 2012 . If
a protest to the notice of tax liability and a | ||
request for a hearing
thereon is not filed within 60 days after | ||
such notice of tax
liability,
such notice of tax liability | ||
shall become final without the necessity of a
final assessment |
being issued and shall be deemed to be a final assessment.
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.)
| ||
Section 195. The Property Tax Code is amended by changing | ||
Sections 10-380 and 15-175 as follows: | ||
(35 ILCS 200/10-380) | ||
Sec. 10-380. For the taxable years 2006 and thereafter, the | ||
chief county assessment officer in the county in which property | ||
subject to a PPV Lease is located shall apply the provisions of | ||
Sections 10-370(b)(i) and 10-375(c)(i) of this Division 14 in | ||
assessing and determining the value of any PPV Lease for | ||
purposes of the property tax laws of this State. | ||
(Source: P.A. 97-942, eff. 8-10-12; revised 10-10-12.)
| ||
(35 ILCS 200/15-175)
| ||
Sec. 15-175. General homestead exemption. | ||
(a) Except as provided in Sections 15-176 and 15-177, | ||
homestead
property is
entitled to an annual homestead exemption | ||
limited, except as described here
with relation to | ||
cooperatives, to a reduction in the equalized assessed value
of | ||
homestead property equal to the increase in equalized assessed | ||
value for the
current assessment year above the equalized | ||
assessed value of the property for
1977, up to the maximum | ||
reduction set forth below. If however, the 1977
equalized | ||
assessed value upon which taxes were paid is subsequently |
determined
by local assessing officials, the Property Tax | ||
Appeal Board, or a court to have
been excessive, the equalized | ||
assessed value which should have been placed on
the property | ||
for 1977 shall be used to determine the amount of the | ||
exemption.
| ||
(b) Except as provided in Section 15-176, the maximum | ||
reduction before taxable year 2004 shall be
$4,500 in counties | ||
with 3,000,000 or more
inhabitants
and $3,500 in all other | ||
counties. Except as provided in Sections 15-176 and 15-177, for | ||
taxable years 2004 through 2007, the maximum reduction shall be | ||
$5,000, for taxable year 2008, the maximum reduction is $5,500, | ||
and, for taxable years 2009 and thereafter, the maximum | ||
reduction is $6,000 in all counties. If a county has elected to | ||
subject itself to the provisions of Section 15-176 as provided | ||
in subsection (k) of that Section, then, for the first taxable | ||
year only after the provisions of Section 15-176 no longer | ||
apply, for owners who, for the taxable year, have not been | ||
granted a senior citizens assessment freeze homestead | ||
exemption under Section 15-172 or a long-time occupant | ||
homestead exemption under Section 15-177, there shall be an | ||
additional exemption of $5,000 for owners with a household | ||
income of $30,000 or less.
| ||
(c) In counties with fewer than 3,000,000 inhabitants, if, | ||
based on the most
recent assessment, the equalized assessed | ||
value of
the homestead property for the current assessment year | ||
is greater than the
equalized assessed value of the property |
for 1977, the owner of the property
shall automatically receive | ||
the exemption granted under this Section in an
amount equal to | ||
the increase over the 1977 assessment up to the maximum
| ||
reduction set forth in this Section.
| ||
(d) If in any assessment year beginning with the 2000 | ||
assessment year,
homestead property has a pro-rata valuation | ||
under
Section 9-180 resulting in an increase in the assessed | ||
valuation, a reduction
in equalized assessed valuation equal to | ||
the increase in equalized assessed
value of the property for | ||
the year of the pro-rata valuation above the
equalized assessed | ||
value of the property for 1977 shall be applied to the
property | ||
on a proportionate basis for the period the property qualified | ||
as
homestead property during the assessment year. The maximum | ||
proportionate
homestead exemption shall not exceed the maximum | ||
homestead exemption allowed in
the county under this Section | ||
divided by 365 and multiplied by the number of
days the | ||
property qualified as homestead property.
| ||
(e) The chief county assessment officer may, when | ||
considering whether to grant a leasehold exemption under this | ||
Section, require the following conditions to be met: | ||
(1) that a notarized application for the exemption, | ||
signed by both the owner and the lessee of the property, | ||
must be submitted each year during the application period | ||
in effect for the county in which the property is located; | ||
(2) that a copy of the lease must be filed with the | ||
chief county assessment officer by the owner of the |
property at the time the notarized application is | ||
submitted; | ||
(3) that the lease must expressly state that the lessee | ||
is liable for the payment of property taxes; and | ||
(4) that the lease must include the following language | ||
in substantially the following form: | ||
"Lessee shall be liable for the payment of real | ||
estate taxes with respect to the residence in | ||
accordance with the terms and conditions of Section | ||
15-175 of the Property Tax Code ( 35 ILCS 200/15-175 ) . | ||
The permanent real estate index number for the premises | ||
is (insert number), and, according to the most recent | ||
property tax bill, the current amount of real estate | ||
taxes associated with the premises is (insert amount) | ||
per year. The parties agree that the monthly rent set | ||
forth above shall be increased or decreased pro rata | ||
(effective January 1 of each calendar year) to reflect | ||
any increase or decrease in real estate taxes. Lessee | ||
shall be deemed to be satisfying Lessee's liability for | ||
the above mentioned real estate taxes with the monthly | ||
rent payments as set forth above (or increased or | ||
decreased as set forth herein)." . | ||
In addition, if there is a change in lessee, or if the | ||
lessee vacates the property, then the chief county assessment | ||
officer may require the owner of the property to notify the | ||
chief county assessment officer of that change. |
This subsection (e) does not apply to leasehold interests | ||
in property owned by a municipality. | ||
(f) "Homestead property" under this Section includes | ||
residential property that is
occupied by its owner or owners as | ||
his or their principal dwelling place, or
that is a leasehold | ||
interest on which a single family residence is situated,
which | ||
is occupied as a residence by a person who has an ownership | ||
interest
therein, legal or equitable or as a lessee, and on | ||
which the person is
liable for the payment of property taxes. | ||
For land improved with
an apartment building owned and operated | ||
as a cooperative or a building which
is a life care facility as | ||
defined in Section 15-170 and considered to
be a cooperative | ||
under Section 15-170, the maximum reduction from the equalized
| ||
assessed value shall be limited to the increase in the value | ||
above the
equalized assessed value of the property for 1977, up | ||
to
the maximum reduction set forth above, multiplied by the | ||
number of apartments
or units occupied by a person or persons | ||
who is liable, by contract with the
owner or owners of record, | ||
for paying property taxes on the property and is an
owner of | ||
record of a legal or equitable interest in the cooperative
| ||
apartment building, other than a leasehold interest. For | ||
purposes of this
Section, the term "life care facility" has the | ||
meaning stated in Section
15-170.
| ||
"Household", as used in this Section,
means the owner, the | ||
spouse of the owner, and all persons using
the
residence of the | ||
owner as their principal place of residence.
|
"Household income", as used in this Section,
means the | ||
combined income of the members of a household
for the calendar | ||
year preceding the taxable year.
| ||
"Income", as used in this Section,
has the same meaning as | ||
provided in Section 3.07 of the Senior
Citizens
and Disabled | ||
Persons Property Tax Relief Act,
except that
"income" does not | ||
include veteran's benefits.
| ||
(g) In a cooperative where a homestead exemption has been | ||
granted, 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 so
credit | ||
the savings shall be guilty of a Class B misdemeanor.
| ||
(h) Where married persons maintain and reside in separate | ||
residences qualifying
as homestead property, each residence | ||
shall receive 50% of the total reduction
in equalized assessed | ||
valuation provided by this Section.
| ||
(i) In all counties, the assessor
or chief county | ||
assessment officer may determine the
eligibility of | ||
residential property to receive the homestead exemption and the | ||
amount of the exemption by
application, visual inspection, | ||
questionnaire or other reasonable methods. The
determination | ||
shall be made in accordance with guidelines established by the
| ||
Department, provided that the taxpayer applying for an | ||
additional general exemption under this Section shall submit to | ||
the chief county assessment officer an application with 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 issue guidelines establishing a method for | ||
verifying the accuracy of the affidavits filed by applicants | ||
under this paragraph. The applications shall be clearly marked | ||
as applications for the Additional General Homestead | ||
Exemption.
| ||
(j) In counties with fewer than 3,000,000 inhabitants, in | ||
the event of a sale
of
homestead property the homestead | ||
exemption shall remain in effect for the
remainder of the | ||
assessment year of the sale. The assessor or chief county
| ||
assessment officer may require the new
owner of the property to | ||
apply for the homestead exemption for the following
assessment | ||
year.
| ||
(k) 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. 97-689, eff. 6-14-12; 97-1125, eff. 8-28-12; | ||
revised 9-20-12.)
| ||
Section 200. The Mobile Home Local Services Tax Act is | ||
amended by changing Section 7 as follows:
| ||
(35 ILCS 515/7) (from Ch. 120, par. 1207)
|
Sec. 7.
The local services tax for owners of mobile homes | ||
who (a) are
actually residing in such mobile homes, (b) hold | ||
title to such mobile
home as provided in the Illinois Vehicle | ||
Code, and (c) are 65 years of age or older or are disabled
| ||
persons within the meaning of Section 3.14 of the " Senior | ||
Citizens and
Disabled Persons Property Tax Relief Act "
on the | ||
annual billing date
shall be reduced to 80 percent of the tax | ||
provided for in Section 3 of
this Act. Proof that a claimant | ||
has been issued an Illinois
Person with a Disability | ||
Identification Card stating that the claimant is under a Class | ||
2
disability, as provided in Section 4A of the Illinois | ||
Identification Card
Act, shall constitute proof that the person | ||
thereon named is a disabled
person within the meaning of this | ||
Act. An application for reduction of
the tax shall be filed | ||
with
the county clerk by the individuals who are entitled to | ||
the reduction.
If the application is filed after May 1, the | ||
reduction in tax shall
begin with the next annual bill. | ||
Application for the reduction in tax
shall be done by | ||
submitting proof that the applicant has been issued an
Illinois | ||
Person with a Disability Identification Card designating the | ||
applicant's
disability as a Class 2 disability, or by affidavit | ||
in substantially the
following form:
| ||
APPLICATION FOR REDUCTION OF MOBILE HOME LOCAL SERVICES TAX
| ||
I hereby make application for a reduction to 80% of the | ||
total tax
imposed under "An Act to provide for a local services
| ||
tax on mobile homes".
|
(1) Senior Citizens
| ||
(a) I actually reside in the mobile home ....
| ||
(b) I hold title to the mobile home as provided in the | ||
Illinois
Vehicle Code ....
| ||
(c) I reached the age of 65 on or before either January 1 | ||
(or July
1) of the year in which this statement is filed. My | ||
date of birth is: ...
| ||
(2) Disabled Persons
| ||
(a) I actually reside in the mobile home...
| ||
(b) I hold title to the mobile home as provided in the | ||
Illinois
Vehicle Code ....
| ||
(c) I was totally disabled on ... and have remained | ||
disabled until
the date of this application. My Social | ||
Security, Veterans, Railroad or
Civil Service Total Disability | ||
Claim Number is ... The undersigned
declares under the penalty | ||
of perjury that the above statements are true
and correct.
| ||
Dated (insert date).
| ||
...........................
| ||
Signature of owner
| ||
...........................
| ||
(Address)
| ||
...........................
| ||
(City) (State) (Zip)
| ||
Approved by:
| ||
.............................
| ||
(Assessor)
|
This application shall be accompanied by a copy of the | ||
applicant's
most recent application filed with the Illinois | ||
Department on Aging
under the Senior Citizens and Disabled | ||
Persons Property Tax Relief Act.
| ||
(Source: P.A. 96-804, eff. 1-1-10; 97-689, eff. 6-14-12; | ||
97-1064, eff. 1-1-13; revised 9-20-12.)
| ||
Section 205. The Telecommunications Infrastructure | ||
Maintenance Fee Act is amended by changing Sections 27.30 and | ||
27.40 as follows:
| ||
(35 ILCS 635/27.30)
| ||
Sec. 27.30. Review under Administrative Review Law. The | ||
Circuit
Court of the county wherein a hearing is held shall | ||
have power to
review all final administrative decisions of the | ||
Department in
administering the provisions of this Act: | ||
Provided that if the
administrative proceeding that is to be | ||
reviewed judicially is a
claim for refund proceeding commenced | ||
in accordance with this Act
and Section 2a of the State | ||
Officers and Employees Money
Disposition Act, the Circuit Court | ||
having jurisdiction of the
action for judicial review under | ||
this Section and under the
Administrative Review Law shall be | ||
the same court
that entered the temporary restraining order or | ||
preliminary
injunction that is provided for in Section 2a of | ||
the State
Officers and Employees Money Disposition Act and that |
enables
such claim proceeding to be processed and disposed of | ||
as a claim
for refund proceeding rather than as a claim for | ||
credit
proceeding.
| ||
Except as otherwise provided in this Section with respect | ||
to the Illinois Independent Tax Tribunal, the provisions of the | ||
Administrative Review Law, and the
rules adopted pursuant | ||
thereto, shall apply to and govern all
proceedings for the | ||
judicial review of final administrative
decisions of the | ||
Department hereunder. The term "administrative
decision" is | ||
defined as in Section 3-101 of the Code of Civil
Procedure.
| ||
The provisions of the Illinois Independent Tax Tribunal Act | ||
of 2012 , and the rules adopted
pursuant thereto, shall apply to | ||
and govern all proceedings for the
judicial review of final | ||
administrative decisions of the Department that are subject to | ||
the jurisdiction of the Illinois Independent Tax Tribunal. | ||
Service upon the Director or Assistant Director of the
| ||
Department of Revenue of summons issued in any action to review | ||
a
final administrative decision shall be service upon the
| ||
Department. The Department shall certify the record of its
| ||
proceedings if the telecommunications retailer shall pay to it | ||
the sum of 75¢
per
page of testimony taken before the | ||
Department and 25¢ per page of
all other matters contained in | ||
such record, except that these
charges may be waived where the | ||
Department is satisfied that the
aggrieved party is a poor | ||
person who cannot afford to pay such
charges.
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.)
|
(35 ILCS 635/27.40)
| ||
Sec. 27.40. Application of Illinois Administrative
| ||
Procedure Act. The Illinois Administrative Procedure Act is
| ||
hereby expressly adopted and shall apply to all administrative
| ||
rules and procedures of the Department of Revenue under this | ||
Act,
except that (i) paragraph (b) of Section 5-10 of the
| ||
Administrative Procedure Act does not apply to final orders,
| ||
decisions, and opinions of the Department, (ii) subparagraph
| ||
(a)(ii) of Section 5-10 of the Administrative Procedure Act | ||
does
not apply to forms established by the Department for use | ||
under
this Act, and (iii) the provisions of Section 10-45 of | ||
the
Administrative Procedure Act regarding proposals for | ||
decision are
excluded and not applicable to the Department | ||
under this Act to the extent Section 10-45 applies to hearings | ||
not otherwise subject to the Illinois Independent Tax Tribunal | ||
Act of 2012 .
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.)
| ||
Section 210. The Electricity Excise Tax Law is amended by | ||
changing Section 2-14 as follows:
| ||
(35 ILCS 640/2-14)
| ||
Sec. 2-14. Rules and regulations; hearing; review under
| ||
Administrative Review Law; death or incompetency of party.
The | ||
Department may make, promulgate and enforce such
reasonable |
rules and regulations relating to the
administration and | ||
enforcement of this Law as may be deemed
expedient.
| ||
Whenever notice to a purchaser or to a delivering
supplier | ||
is required by this Law, such notice may be
personally served | ||
or given by United States certified or
registered mail, | ||
addressed to the purchaser or delivering
supplier concerned at | ||
his or her last known address, and proof
of such mailing shall | ||
be sufficient for the purposes of this Law. In the case of a | ||
notice of hearing, the notice shall be
mailed not less than 21 | ||
days prior to the date fixed for the
hearing.
| ||
All hearings provided for in this Law with respect to a
| ||
purchaser or to a delivering supplier having its principal
| ||
address or principal place of business in any of the several
| ||
counties of this State shall be held in the county wherein the
| ||
purchaser or delivering supplier has its principal address or
| ||
principal place of business. If the purchaser or delivering
| ||
supplier does not have its principal address or principal
place | ||
of business in this State, such hearings shall be held
in | ||
Sangamon County. Except as otherwise provided in this Section | ||
with respect to the Illinois Independent Tax Tribunal, the | ||
Circuit Court of any county wherein a
hearing is held shall | ||
have power to review all final
administrative decisions of the | ||
Department in administering
the provisions of this Law. If, | ||
however, the administrative
proceeding which is to be reviewed | ||
judicially is a claim for
refund proceeding commenced in | ||
accordance with this Law and
Section 2a of the State Officers |
and Employees Money
Disposition Act, the Circuit Court having
| ||
jurisdiction of the action for judicial review under this
| ||
Section and under the Administrative Review Law
shall be the | ||
same court that entered the temporary restraining
order or | ||
preliminary injunction which is provided for in
Section 2a of | ||
the State Officers and Employees Money
Disposition Act and | ||
which enables such claim proceeding to be
processed and | ||
disposed of as a claim for refund proceeding
rather than as a | ||
claim for credit proceeding.
| ||
Except as otherwise provided with respect to the Illinois | ||
Independent Tax Tribunal, the provisions of the Administrative | ||
Review Law, and the
rules adopted pursuant thereto, shall apply | ||
to and govern all
proceedings for the judicial review of final | ||
administrative
decisions of the Department hereunder. The term
| ||
"administrative decision" is defined as in Section 3-101 of
the | ||
Code of Civil Procedure.
| ||
The provisions of the Illinois Independent Tax Tribunal Act | ||
of 2012 , and the rules adopted
pursuant thereto, shall apply to | ||
and govern all proceedings for the
judicial review of final | ||
administrative decisions of the Department that are subject to | ||
the jurisdiction of the Illinois Independent Tax Tribunal. | ||
Service upon the Director or Assistant Director of the
| ||
Department of Revenue of summons issued in any action to
review | ||
a final administrative decision is service upon the
Department. | ||
The Department shall certify the record of its
proceedings if | ||
the person commencing such action shall pay to
it the sum of 75 |
cents per page of testimony taken before the
Department and 25 | ||
cents per page of all other matters
contained in such record, | ||
except that these charges may be
waived where the Department is | ||
satisfied that the aggrieved
party is a poor person who cannot | ||
afford to pay such charges.
| ||
Whenever any proceeding provided by this Law has been
begun | ||
by the Department or by a person subject thereto and
such | ||
person thereafter dies or becomes a person under legal
| ||
disability before the proceeding has been concluded, the legal
| ||
representative of the deceased person or a person under legal
| ||
disability shall notify the Department of such death or legal
| ||
disability. The legal representative, as such, shall then be
| ||
substituted by the Department in place of and for the person.
| ||
Within 20 days after notice to the legal representative of
| ||
the time fixed for that purpose, the proceeding may proceed in
| ||
all respects and with like effect as though the person had not
| ||
died or become a person under legal disability.
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.)
| ||
Section 215. The Illinois Independent Tax Tribunal Act of | ||
2012 is amended by changing the heading of Article 1 and | ||
Sections 1-15, 1-45, 1-55, 1-75, and 1-85 as follows: | ||
(35 ILCS 1010/Art. 1 heading) | ||
ARTICLE 1. ILLINOIS INDEPENDENT TAX TRIBUNAL ACT OF 2012
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.) |
(35 ILCS 1010/1-15)
| ||
Sec. 1-15. Independent Tax Tribunal; establishment. | ||
(a) For the purpose of effectuating the policy declared in | ||
Section 1-5 of this Act, a State agency known as the Illinois | ||
Independent Tax Tribunal is created. The Tax Tribunal shall | ||
have the powers and duties enumerated in this Act, together | ||
with such others conferred upon it by law. The Tax Tribunal | ||
shall operate as an independent agency, and shall be separate | ||
from the authority of the Director of Revenue and the | ||
Department of Revenue. | ||
(b) Except as otherwise limited by this Act, the Tax | ||
Tribunal has all of the powers necessary or convenient to carry | ||
out the purposes and provisions of this Act, including , without | ||
limitation, each of the following: | ||
(1) To have a seal, and to alter that seal at pleasure, | ||
and to use it by causing it or a facsimile to be affixed or | ||
impressed or reproduced in any other manner. | ||
(2) To accept and expend appropriations. | ||
(3) To obtain and employ personnel as required in this | ||
Act, including any additional personnel necessary to | ||
fulfill the Tax Tribunal's purposes, and to make | ||
expenditures for personnel within the appropriations for | ||
that purpose. | ||
(4) To maintain offices at such places as required | ||
under this Act, and elsewhere as the Tax Tribunal may |
determine. | ||
(5) To engage in any activity or operation that is | ||
incidental to and in furtherance of efficient operation to | ||
accomplish the Tax Tribunal's purposes. | ||
(c) Unless otherwise stated, the Tax Tribunal is subject to | ||
the provisions of all applicable laws, including , but not | ||
limited to, each of the following: | ||
(1) The State Records Act. | ||
(2) The Illinois Procurement Code, except that the | ||
Illinois Procurement Code does not apply to the hiring of | ||
the chief administrative law judge or other administrative | ||
law judges pursuant to Section 1-25 of this Act. | ||
(3) The Freedom of Information Act, except as otherwise | ||
provided in Section 7 of that Act. | ||
(4) The State Property Control Act. | ||
(5) The State Officials and Employees Ethics Act. | ||
(6) The Illinois Administrative Procedure Act, to the | ||
extent not inconsistent with the provisions of this Act. | ||
(7) The Illinois State Auditing Act. For purposes of | ||
the Illinois State Auditing Act, the Tax Tribunal is a | ||
"State agency" within the meaning of the Act and is subject | ||
to the jurisdiction of the Auditor General. | ||
(d) The Tax Tribunal shall exercise its jurisdiction on and | ||
after July 1, 2013, but the administrative law judges of the | ||
Tax Tribunal may be appointed prior to that date and may take | ||
any action prior to that date that is necessary to enable the |
Tax Tribunal to properly exercise its jurisdiction on or after | ||
that date. Any administrative proceeding commenced prior to | ||
July 1, 2013, that would otherwise be subject to the | ||
jurisdiction of the Illinois Independent Tax Tribunal may be | ||
conducted according to the procedures set forth in this Act if | ||
the taxpayer so elects. Such an election shall be irrevocable | ||
and may be made on or after July 1, 2013, but no later than 30 | ||
days after the date on which the taxpayer's protest was filed.
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.) | ||
(35 ILCS 1010/1-45)
| ||
Sec. 1-45. Jurisdiction of the Tax Tribunal. | ||
(a) Except as provided by the Constitution of the United | ||
States, the Constitution of the State of Illinois, or any | ||
statutes of this State, including, but not limited to, the | ||
State Officers and Employees Money Disposition Act, the Tax | ||
Tribunal shall have original jurisdiction over all | ||
determinations of the Department reflected on a Notice of | ||
Deficiency, Notice of Tax Liability, Notice of Claim Denial, or | ||
Notice of Penalty Liability issued under the Illinois Income | ||
Tax Act, the Use Tax Act, the Service Use Tax Act, the Service | ||
Occupation Tax Act, the Retailers' Occupation Tax Act, the | ||
Cigarette Tax Act, the Cigarette Use Tax Act, the Tobacco | ||
Products Tax Act of 1995, the Hotel Operators' Occupation Tax | ||
Act, the Motor Fuel Tax Law, the Automobile Renting Occupation | ||
and Use Tax Act, the Coin-Operated Amusement Device and |
Redemption Machine Tax Act, the Gas Revenue Tax Act, the Water | ||
Company Invested Capital Tax Act, the Telecommunications | ||
Excise Tax Act, the Telecommunications Infrastructure | ||
Maintenance Fee Act, the Public Utilities Revenue Act, the | ||
Electricity Excise Tax Law, the Aircraft Use Tax Law, the | ||
Watercraft Use Tax Law, the Gas Use Tax Law, or the Uniform | ||
Penalty and Interest Act. Jurisdiction of the Tax Tribunal is | ||
limited to Notices of Tax Liability, Notices of Deficiency, | ||
Notices of Claim Denial, and Notices of Penalty Liability where | ||
the amount at issue in a notice, or the aggregate amount at | ||
issue in multiple notices issued for the same tax year or audit | ||
period, exceeds $15,000, exclusive of penalties and interest. | ||
In notices solely asserting either an interest or penalty | ||
assessment, or both, the Tax Tribunal shall have jurisdiction | ||
over cases where the combined total of all penalties or | ||
interest assessed exceeds $15,000. | ||
(b) Except as otherwise permitted by this Act and by the | ||
Constitution of the State of Illinois or otherwise by State | ||
law, including, but not limited to, the State Officers and | ||
Employees Money Disposition Act, no person shall contest any | ||
matter within the jurisdiction of the Tax Tribunal in any | ||
action, suit, or proceeding in the circuit court or any other | ||
court of the State. If a person attempts to do so, then such | ||
action, suit, or proceeding shall be dismissed without | ||
prejudice. The improper commencement of any action, suit, or | ||
proceeding does not extend the time period for commencing a |
proceeding in the Tax Tribunal. | ||
(c) The Tax Tribunal may require the taxpayer to post a | ||
bond equal to 25% of the liability at issue (1) upon motion of | ||
the Department and a showing that (A) the taxpayer's action is | ||
frivolous or legally insufficient or (B) the taxpayer is acting | ||
primarily for the purpose of delaying the collection of tax or | ||
prejudicing the ability ultimately to collect the tax, or (2) | ||
if, at any time during the proceedings, it is determined by the | ||
Tax Tribunal that the taxpayer is not pursuing the resolution | ||
of the case with due diligence. If the Tax Tribunal finds in a | ||
particular case that the taxpayer cannot procure and furnish a | ||
satisfactory surety or sureties for the kind of bond required | ||
herein, the Tax Tribunal may relieve the taxpayer of the | ||
obligation of filing such bond, if, upon the timely application | ||
for a lien in lieu thereof and accompanying proof therein | ||
submitted, the Tax Tribunal is satisfied that any such lien | ||
imposed would operate to secure the assessment in the manner | ||
and to the degree as would a bond. The Tax Tribunal shall adopt | ||
rules for the procedures to be used in securing a bond or lien | ||
under this Section. | ||
(d) If, with or after the filing of a timely petition, the | ||
taxpayer pays all or part of the tax or other amount in issue | ||
before the Tax Tribunal has rendered a decision, the Tax | ||
Tribunal shall treat the taxpayer's petition as a protest of a | ||
denial of claim for refund of the amount so paid upon a written | ||
motion filed by the taxpayer. |
(e) The Tax Tribunal shall not have jurisdiction to review: | ||
(1) any assessment made under the Property Tax Code; | ||
(2) any decisions relating to the issuance or denial of | ||
an exemption ruling for any entity claiming exemption from | ||
any tax imposed under the Property Tax Code or any State | ||
tax administered by the Department; | ||
(3) a notice of proposed tax liability, notice of | ||
proposed deficiency, or any other notice of proposed | ||
assessment or notice of intent to take some action; | ||
(4) any action or determination of the Department | ||
regarding tax liabilities that have become finalized by | ||
law, including but not limited to the issuance of liens, | ||
levies, and revocations, suspensions, or denials of | ||
licenses or certificates of registration or any other | ||
collection activities; | ||
(5) any proceedings of the Department's informal | ||
administrative appeals function; and | ||
(6) any challenge to an administrative subpoena issued | ||
by the Department. | ||
(f) The Tax Tribunal shall decide questions regarding the | ||
constitutionality of statutes and rules adopted by the | ||
Department as applied to the taxpayer, but shall not have the | ||
power to declare a statute or rule unconstitutional or | ||
otherwise invalid on its face. A taxpayer challenging the | ||
constitutionality of a statute or rule on its face may present | ||
such challenge to the Tax Tribunal for the sole purpose of |
making a record for review by the Illinois Appellate Court. | ||
Failure to raise a constitutional issue regarding the | ||
application of a statute or regulations to the taxpayer shall | ||
not preclude the taxpayer or the Department from raising those | ||
issues at the appellate court level.
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.) | ||
(35 ILCS 1010/1-55)
| ||
Sec. 1-55. Fees. | ||
(a) The Tax Tribunal shall impose a fee of $500 for the | ||
filing of petitions. | ||
(b) The Tax Tribunal may fix a fee, not in excess of the | ||
fees charged and collected by the clerk of the circuit courts, | ||
for comparing, or for preparing and comparing, a transcript of | ||
the record, or for copying any record, entry, or other paper | ||
and the comparison and certification thereof. | ||
(c) Fees collected under this Section shall be deposited | ||
into the Illinois Independent Tax Tribunal Fund, a special fund | ||
created in the State treasury. Moneys
deposited into the Fund | ||
shall be appropriated to the Tax Tribunal to
reimburse the Tax | ||
Tribunal for costs associated with administering and enforcing | ||
the provisions of this Act. | ||
(d) The Tax Tribunal shall not assign any costs or | ||
attorney's fees incurred by one party against another party. | ||
Claims for expenses and attorney's fees under Section 10-55 of | ||
the Illinois Administrative Procedure Act shall first be made |
to the Department of Revenue. If the claimant is dissatisfied | ||
because of the Department's failure to make any award or | ||
because of the insufficiency of the award, the claimant may | ||
petition the Court of Claims for the amount deemed owed.
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.) | ||
(35 ILCS 1010/1-75)
| ||
Sec. 1-75. Appeals. | ||
(a) The taxpayer and the Department are entitled to | ||
judicial review of a final decision of the Tax Tribunal in the | ||
Illinois Appellate Court, in accordance with Section 3-113 of | ||
the Administrative Review Law. | ||
(b) The record on judicial review shall include the | ||
decision of the Tax Tribunal, the stenographic transcript of | ||
the hearing before the Tax Tribunal, the pleadings and all | ||
exhibits and documents admitted into evidence.
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.) | ||
(35 ILCS 1010/1-85)
| ||
Sec. 1-85. Publication of decisions and electronic | ||
submission of documents. | ||
(a) The Tax Tribunal shall, within 180 days of the issuance | ||
of a decision, index and publish its final decision in such | ||
print or electronic form as it deems best adapted for public | ||
convenience. Such publications shall be made permanently | ||
available and constitute the official reports of the Tax |
Tribunal. | ||
(b) All published decisions shall be edited by the Tax | ||
Tribunal so that the identification number of the taxpayer and | ||
any related entities or employees, and any trade secrets or | ||
other intellectual property, are not disclosed or identified. | ||
(c) Within 30 days following the issuance of any hearing | ||
decision, the taxpayer affected by the decision may also | ||
request that the Tax Tribunal omit specifically identified | ||
trade secrets or other confidential or proprietary information | ||
prior to publication of the decision. The Tax Tribunal shall | ||
approve those requests if it determines that the requests are | ||
reasonable and that the disclosure of such information would | ||
potentially cause economic or other injury to the taxpayer. | ||
(d) The Tax Tribunal shall provide, by rule, reasonable | ||
requirements for the electronic submission of documents and | ||
records and the method and type of symbol or security procedure | ||
it will accept to authenticate electronic submissions or as a | ||
legal signature. | ||
(e) Each year, no later than October 1, the Tax Tribunal | ||
shall report to the General Assembly regarding the Tax | ||
Tribunal's operations during the prior fiscal year. Such report | ||
shall include the number of cases opened and closed, the size | ||
of its docket, the average age of cases, the dollar amount of | ||
cases by tax type, the number of cases decided in favor of the | ||
Department, the number of cases decided in favor of the | ||
taxpayer, the number of cases resolved through mediation or |
settlement, and such other statistics so as to apprise the | ||
General Assembly of whether the Tax Tribunal has successfully | ||
accomplished its mission to fairly and efficiently adjudicate | ||
tax disputes.
| ||
(Source: P.A. 97-1129, eff. 8-28-12; revised 10-10-12.) | ||
Section 220. The Illinois Pension Code is amended by | ||
changing Sections 15-155, 16-106, and 16-133.4 and the heading | ||
of Article 22A as follows:
| ||
(40 ILCS 5/15-155) (from Ch. 108 1/2, par. 15-155)
| ||
Sec. 15-155. Employer contributions.
| ||
(a) The State of Illinois shall make contributions by | ||
appropriations of
amounts which, together with the other | ||
employer contributions from trust,
federal, and other funds, | ||
employee contributions, income from investments,
and other | ||
income of this System, will be sufficient to meet the cost of
| ||
maintaining and administering the System on a 90% funded basis | ||
in accordance
with actuarial recommendations.
| ||
The Board shall determine the amount of State contributions | ||
required for
each fiscal year on the basis of the actuarial | ||
tables and other assumptions
adopted by the Board and the | ||
recommendations of the actuary, using the formula
in subsection | ||
(a-1).
| ||
(a-1) For State fiscal years 2012 through 2045, the minimum | ||
contribution
to the System to be made by the State for each |
fiscal year shall be an amount
determined by the System to be | ||
sufficient to bring the total assets of the
System up to 90% of | ||
the total actuarial liabilities of the System by the end of
| ||
State fiscal year 2045. In making these determinations, the | ||
required State
contribution shall be calculated each year as a | ||
level percentage of payroll
over the years remaining to and | ||
including fiscal year 2045 and shall be
determined under the | ||
projected unit credit actuarial cost method.
| ||
For State fiscal years 1996 through 2005, the State | ||
contribution to
the System, as a percentage of the applicable | ||
employee payroll, shall be
increased in equal annual increments | ||
so that by State fiscal year 2011, the
State is contributing at | ||
the rate required under this Section.
| ||
Notwithstanding any other provision of this Article, the | ||
total required State
contribution for State fiscal year 2006 is | ||
$166,641,900.
| ||
Notwithstanding any other provision of this Article, the | ||
total required State
contribution for State fiscal year 2007 is | ||
$252,064,100.
| ||
For each of State fiscal years 2008 through 2009, the State | ||
contribution to
the System, as a percentage of the applicable | ||
employee payroll, shall be
increased in equal annual increments | ||
from the required State contribution for State fiscal year | ||
2007, so that by State fiscal year 2011, the
State is | ||
contributing at the rate otherwise required under this Section.
| ||
Notwithstanding any other provision of this Article, the |
total required State contribution for State fiscal year 2010 is | ||
$702,514,000 and shall be made from the State Pensions Fund and | ||
proceeds of bonds sold in fiscal year 2010 pursuant to Section | ||
7.2 of the General Obligation Bond Act, less (i) the pro rata | ||
share of bond sale expenses determined by the System's share of | ||
total bond proceeds, (ii) any amounts received from the General | ||
Revenue Fund in fiscal year 2010, (iii) any reduction in bond | ||
proceeds due to the issuance of discounted bonds, if | ||
applicable. | ||
Notwithstanding any other provision of this Article, the
| ||
total required State contribution for State fiscal year 2011 is
| ||
the amount recertified by the System on or before April 1, 2011 | ||
pursuant to Section 15-165 and shall be made from the State | ||
Pensions Fund and
proceeds of bonds sold in fiscal year 2011 | ||
pursuant to Section
7.2 of the General Obligation Bond Act, | ||
less (i) the pro rata
share of bond sale expenses determined by | ||
the System's share of
total bond proceeds, (ii) any amounts | ||
received from the General
Revenue Fund in fiscal year 2011, and | ||
(iii) any reduction in bond
proceeds due to the issuance of | ||
discounted bonds, if
applicable. | ||
Beginning in State fiscal year 2046, the minimum State | ||
contribution for
each fiscal year shall be the amount needed to | ||
maintain the total assets of
the System at 90% of the total | ||
actuarial liabilities of the System.
| ||
Amounts received by the System pursuant to Section 25 of | ||
the Budget Stabilization Act or Section 8.12 of the State |
Finance Act in any fiscal year do not reduce and do not | ||
constitute payment of any portion of the minimum State | ||
contribution required under this Article in that fiscal year. | ||
Such amounts shall not reduce, and shall not be included in the | ||
calculation of, the required State contributions under this | ||
Article in any future year until the System has reached a | ||
funding ratio of at least 90%. A reference in this Article to | ||
the "required State contribution" or any substantially similar | ||
term does not include or apply to any amounts payable to the | ||
System under Section 25 of the Budget Stabilization Act. | ||
Notwithstanding any other provision of this Section, the | ||
required State
contribution for State fiscal year 2005 and for | ||
fiscal year 2008 and each fiscal year thereafter, as
calculated | ||
under this Section and
certified under Section 15-165, shall | ||
not exceed an amount equal to (i) the
amount of the required | ||
State contribution that would have been calculated under
this | ||
Section for that fiscal year if the System had not received any | ||
payments
under subsection (d) of Section 7.2 of the General | ||
Obligation Bond Act, minus
(ii) the portion of the State's | ||
total debt service payments for that fiscal
year on the bonds | ||
issued in fiscal year 2003 for the purposes of that Section | ||
7.2, as determined
and certified by the Comptroller, that is | ||
the same as the System's portion of
the total moneys | ||
distributed under subsection (d) of Section 7.2 of the General
| ||
Obligation Bond Act. In determining this maximum for State | ||
fiscal years 2008 through 2010, however, the amount referred to |
in item (i) shall be increased, as a percentage of the | ||
applicable employee payroll, in equal increments calculated | ||
from the sum of the required State contribution for State | ||
fiscal year 2007 plus the applicable portion of the State's | ||
total debt service payments for fiscal year 2007 on the bonds | ||
issued in fiscal year 2003 for the purposes of Section 7.2 of | ||
the General
Obligation Bond Act, so that, by State fiscal year | ||
2011, the
State is contributing at the rate otherwise required | ||
under this Section.
| ||
(b) If an employee is paid from trust or federal funds, the | ||
employer
shall pay to the Board contributions from those funds | ||
which are
sufficient to cover the accruing normal costs on | ||
behalf of the employee.
However, universities having employees | ||
who are compensated out of local
auxiliary funds, income funds, | ||
or service enterprise funds are not required
to pay such | ||
contributions on behalf of those employees. The local auxiliary
| ||
funds, income funds, and service enterprise funds of | ||
universities shall not be
considered trust funds for the | ||
purpose of this Article, but funds of alumni
associations, | ||
foundations, and athletic associations which are affiliated | ||
with
the universities included as employers under this Article | ||
and other employers
which do not receive State appropriations | ||
are considered to be trust funds for
the purpose of this | ||
Article.
| ||
(b-1) The City of Urbana and the City of Champaign shall | ||
each make
employer contributions to this System for their |
respective firefighter
employees who participate in this | ||
System pursuant to subsection (h) of Section
15-107. The rate | ||
of contributions to be made by those municipalities shall
be | ||
determined annually by the Board on the basis of the actuarial | ||
assumptions
adopted by the Board and the recommendations of the | ||
actuary, and shall be
expressed as a percentage of salary for | ||
each such employee. The Board shall
certify the rate to the | ||
affected municipalities as soon as may be practical.
The | ||
employer contributions required under this subsection shall be | ||
remitted by
the municipality to the System at the same time and | ||
in the same manner as
employee contributions.
| ||
(c) Through State fiscal year 1995: The total employer | ||
contribution shall
be apportioned among the various funds of | ||
the State and other employers,
whether trust, federal, or other | ||
funds, in accordance with actuarial procedures
approved by the | ||
Board. State of Illinois contributions for employers receiving
| ||
State appropriations for personal services shall be payable | ||
from appropriations
made to the employers or to the System. The | ||
contributions for Class I
community colleges covering earnings | ||
other than those paid from trust and
federal funds, shall be | ||
payable solely from appropriations to the Illinois
Community | ||
College Board or the System for employer contributions.
| ||
(d) Beginning in State fiscal year 1996, the required State | ||
contributions
to the System shall be appropriated directly to | ||
the System and shall be payable
through vouchers issued in | ||
accordance with subsection (c) of Section 15-165, except as |
provided in subsection (g).
| ||
(e) The State Comptroller shall draw warrants payable to | ||
the System upon
proper certification by the System or by the | ||
employer in accordance with the
appropriation laws and this | ||
Code.
| ||
(f) Normal costs under this Section means liability for
| ||
pensions and other benefits which accrues to the System because | ||
of the
credits earned for service rendered by the participants | ||
during the
fiscal year and expenses of administering the | ||
System, but shall not
include the principal of or any | ||
redemption premium or interest on any bonds
issued by the Board | ||
or any expenses incurred or deposits required in
connection | ||
therewith.
| ||
(g) If the amount of a participant's earnings for any | ||
academic year used to determine the final rate of earnings, | ||
determined on a full-time equivalent basis, exceeds the amount | ||
of his or her earnings with the same employer for the previous | ||
academic year, determined on a full-time equivalent basis, by | ||
more than 6%, the participant's employer shall pay to the | ||
System, in addition to all other payments required under this | ||
Section and in accordance with guidelines established by the | ||
System, the present value of the increase in benefits resulting | ||
from the portion of the increase in earnings that is in excess | ||
of 6%. This present value shall be computed by the System on | ||
the basis of the actuarial assumptions and tables used in the | ||
most recent actuarial valuation of the System that is available |
at the time of the computation. The System may require the | ||
employer to provide any pertinent information or | ||
documentation. | ||
Whenever it determines that a payment is or may be required | ||
under this subsection (g), the System shall calculate the | ||
amount of the payment and bill the employer for that amount. | ||
The bill shall specify the calculations used to determine the | ||
amount due. If the employer disputes the amount of the bill, it | ||
may, within 30 days after receipt of the bill, apply to the | ||
System in writing for a recalculation. The application must | ||
specify in detail the grounds of the dispute and, if the | ||
employer asserts that the calculation is subject to subsection | ||
(h) or (i) of this Section, must include an affidavit setting | ||
forth and attesting to all facts within the employer's | ||
knowledge that are pertinent to the applicability of subsection | ||
(h) or (i). Upon receiving a timely application for | ||
recalculation, the System shall review the application and, if | ||
appropriate, recalculate the amount due.
| ||
The employer contributions required under this subsection | ||
(g) (f) may be paid in the form of a lump sum within 90 days | ||
after receipt of the bill. If the employer contributions are | ||
not paid within 90 days after receipt of the bill, then | ||
interest will be charged at a rate equal to the System's annual | ||
actuarially assumed rate of return on investment compounded | ||
annually from the 91st day after receipt of the bill. Payments | ||
must be concluded within 3 years after the employer's receipt |
of the bill. | ||
(h) This subsection (h) applies only to payments made or | ||
salary increases given on or after June 1, 2005 but before July | ||
1, 2011. The changes made by Public Act 94-1057 shall not | ||
require the System to refund any payments received before July | ||
31, 2006 (the effective date of Public Act 94-1057). | ||
When assessing payment for any amount due under subsection | ||
(g), the System shall exclude earnings increases paid to | ||
participants under contracts or collective bargaining | ||
agreements entered into, amended, or renewed before June 1, | ||
2005.
| ||
When assessing payment for any amount due under subsection | ||
(g), the System shall exclude earnings increases paid to a | ||
participant at a time when the participant is 10 or more years | ||
from retirement eligibility under Section 15-135.
| ||
When assessing payment for any amount due under subsection | ||
(g), the System shall exclude earnings increases resulting from | ||
overload work, including a contract for summer teaching, or | ||
overtime when the employer has certified to the System, and the | ||
System has approved the certification, that: (i) in the case of | ||
overloads (A) the overload work is for the sole purpose of | ||
academic instruction in excess of the standard number of | ||
instruction hours for a full-time employee occurring during the | ||
academic year that the overload is paid and (B) the earnings | ||
increases are equal to or less than the rate of pay for | ||
academic instruction computed using the participant's current |
salary rate and work schedule; and (ii) in the case of | ||
overtime, the overtime was necessary for the educational | ||
mission. | ||
When assessing payment for any amount due under subsection | ||
(g), the System shall exclude any earnings increase resulting | ||
from (i) a promotion for which the employee moves from one | ||
classification to a higher classification under the State | ||
Universities Civil Service System, (ii) a promotion in academic | ||
rank for a tenured or tenure-track faculty position, or (iii) a | ||
promotion that the Illinois Community College Board has | ||
recommended in accordance with subsection (k) of this Section. | ||
These earnings increases shall be excluded only if the | ||
promotion is to a position that has existed and been filled by | ||
a member for no less than one complete academic year and the | ||
earnings increase as a result of the promotion is an increase | ||
that results in an amount no greater than the average salary | ||
paid for other similar positions. | ||
(i) When assessing payment for any amount due under | ||
subsection (g), the System shall exclude any salary increase | ||
described in subsection (h) of this Section given on or after | ||
July 1, 2011 but before July 1, 2014 under a contract or | ||
collective bargaining agreement entered into, amended, or | ||
renewed on or after June 1, 2005 but before July 1, 2011. | ||
Notwithstanding any other provision of this Section, any | ||
payments made or salary increases given after June 30, 2014 | ||
shall be used in assessing payment for any amount due under |
subsection (g) of this Section.
| ||
(j) The System shall prepare a report and file copies of | ||
the report with the Governor and the General Assembly by | ||
January 1, 2007 that contains all of the following information: | ||
(1) The number of recalculations required by the | ||
changes made to this Section by Public Act 94-1057 for each | ||
employer. | ||
(2) The dollar amount by which each employer's | ||
contribution to the System was changed due to | ||
recalculations required by Public Act 94-1057. | ||
(3) The total amount the System received from each | ||
employer as a result of the changes made to this Section by | ||
Public Act 94-4. | ||
(4) The increase in the required State contribution | ||
resulting from the changes made to this Section by Public | ||
Act 94-1057. | ||
(k) The Illinois Community College Board shall adopt rules | ||
for recommending lists of promotional positions submitted to | ||
the Board by community colleges and for reviewing the | ||
promotional lists on an annual basis. When recommending | ||
promotional lists, the Board shall consider the similarity of | ||
the positions submitted to those positions recognized for State | ||
universities by the State Universities Civil Service System. | ||
The Illinois Community College Board shall file a copy of its | ||
findings with the System. The System shall consider the | ||
findings of the Illinois Community College Board when making |
determinations under this Section. The System shall not exclude | ||
any earnings increases resulting from a promotion when the | ||
promotion was not submitted by a community college. Nothing in | ||
this subsection (k) shall require any community college to | ||
submit any information to the Community College Board.
| ||
(l) For purposes of determining the required State | ||
contribution to the System, the value of the System's assets | ||
shall be equal to the actuarial value of the System's assets, | ||
which shall be calculated as follows: | ||
As of June 30, 2008, the actuarial value of the System's | ||
assets shall be equal to the market value of the assets as of | ||
that date. In determining the actuarial value of the System's | ||
assets for fiscal years after June 30, 2008, any actuarial | ||
gains or losses from investment return incurred in a fiscal | ||
year shall be recognized in equal annual amounts over the | ||
5-year period following that fiscal year. | ||
(m) For purposes of determining the required State | ||
contribution to the system for a particular year, the actuarial | ||
value of assets shall be assumed to earn a rate of return equal | ||
to the system's actuarially assumed rate of return. | ||
(Source: P.A. 96-43, eff. 7-15-09; 96-1497, eff. 1-14-11; | ||
96-1511, eff. 1-27-11; 96-1554, eff. 3-18-11; 97-813, eff. | ||
7-13-12; revised 10-17-12.)
| ||
(40 ILCS 5/16-106) (from Ch. 108 1/2, par. 16-106)
| ||
Sec. 16-106. Teacher. "Teacher": The following |
individuals, provided
that, for employment prior to July 1, | ||
1990, they are employed on a
full-time basis, or if not | ||
full-time, on a permanent and continuous basis
in a position in | ||
which services are expected to be rendered for at least
one | ||
school term:
| ||
(1) Any educational, administrative, professional or | ||
other staff employed
in the public common schools included | ||
within this system in a position
requiring certification | ||
under the law governing the certification of
teachers;
| ||
(2) Any educational, administrative, professional or | ||
other staff employed
in any facility of the Department of | ||
Children and Family Services or the
Department of Human | ||
Services, in a position requiring certification under
the | ||
law governing the certification of teachers, and any person | ||
who (i)
works in such a position for the Department of | ||
Corrections, (ii) was a member
of this System on May 31, | ||
1987, and (iii) did not elect to become a member of
the | ||
State Employees' Retirement System pursuant to Section | ||
14-108.2 of this
Code; except that "teacher" does not | ||
include any person who (A) becomes
a security employee of | ||
the Department of Human Services, as defined in
Section | ||
14-110, after June 28, 2001 (the effective date of Public | ||
Act
92-14), or (B) becomes a member of the State Employees'
| ||
Retirement System pursuant to Section 14-108.2c of this | ||
Code;
| ||
(3) Any regional superintendent of schools, assistant |
regional
superintendent of schools, State Superintendent | ||
of Education; any person
employed by the State Board of | ||
Education as an executive; any executive of
the boards | ||
engaged in the service of public common school education in
| ||
school districts covered under this system of which the | ||
State
Superintendent of Education is an ex-officio member;
| ||
(4) Any employee of a school board association | ||
operating in compliance
with Article 23 of the School Code | ||
who is certificated under the law
governing the | ||
certification of teachers;
| ||
(5) Any person employed by the retirement system
who:
| ||
(i) was an employee of and a participant in the | ||
system on August 17,
2001 (the effective date of Public | ||
Act 92-416), or
| ||
(ii) becomes an employee of the system on or after | ||
August 17, 2001;
| ||
(6) Any educational, administrative, professional or | ||
other staff
employed by and under the supervision and | ||
control of a regional
superintendent of schools, provided | ||
such employment position requires the
person to be | ||
certificated under the law governing the certification of
| ||
teachers and is in an educational program serving 2 or more | ||
districts in
accordance with a joint agreement authorized | ||
by the School Code or by federal
legislation;
| ||
(7) Any educational, administrative, professional or | ||
other staff employed
in an educational program serving 2 or |
more school districts in accordance
with a joint agreement | ||
authorized by the School Code or by federal
legislation and | ||
in a position requiring certification under the laws
| ||
governing the certification of teachers;
| ||
(8) Any officer or employee of a statewide teacher | ||
organization or
officer of a national teacher organization | ||
who is certified under the law
governing certification of | ||
teachers, provided: (i) the individual had
previously | ||
established creditable service under this Article, (ii) | ||
the
individual files with the system an irrevocable | ||
election to become a member before the effective date of | ||
this amendatory Act of the 97th General Assembly,
(iii) the | ||
individual does not receive credit for such service under | ||
any
other Article of this Code, and (iv) the individual | ||
first became an officer or employee of the teacher | ||
organization and becomes a member before the effective date | ||
of this amendatory Act of the 97th General Assembly;
| ||
(9) Any educational, administrative, professional, or | ||
other staff
employed in a charter school operating in | ||
compliance with the Charter
Schools Law who is certificated | ||
under the law governing the certification
of teachers ; .
| ||
(10) Any person employed, on the effective date of this | ||
amendatory Act of the 94th General Assembly, by the | ||
Macon-Piatt Regional Office of Education in a | ||
birth-through-age-three pilot program receiving funds | ||
under Section 2-389 of the School Code who is required by |
the Macon-Piatt Regional Office of Education to hold a | ||
teaching certificate, provided that the Macon-Piatt | ||
Regional Office of Education makes an election, within 6 | ||
months after the effective date of this amendatory Act of | ||
the 94th General Assembly, to have the person participate | ||
in the system. Any service established prior to the | ||
effective date of this amendatory Act of the 94th General | ||
Assembly for service as an employee of the Macon-Piatt | ||
Regional Office of Education in a birth-through-age-three | ||
pilot program receiving funds under Section 2-389 of the | ||
School Code shall be considered service as a teacher if | ||
employee and employer contributions have been received by | ||
the system and the system has not refunded those | ||
contributions.
| ||
An annuitant receiving a retirement annuity under this | ||
Article or under
Article 17 of this Code who is employed by a | ||
board of education
or other employer as permitted under Section | ||
16-118
or 16-150.1 is not a "teacher" for purposes of this | ||
Article. A person who
has received a single-sum retirement | ||
benefit under Section 16-136.4 of this
Article is not a | ||
"teacher" for purposes of this Article.
| ||
(Source: P.A. 97-651, eff. 1-5-12; revised 8-3-12.)
| ||
(40 ILCS 5/16-133.4) (from Ch. 108 1/2, par. 16-133.4)
| ||
Sec. 16-133.4. Early retirement incentives for teachers.
| ||
(a) To be eligible for the benefits provided in this |
Section, a member must:
| ||
(1) be a member of this System who, on or after May 1, | ||
1993, is
(i) in active payroll status as a full-time | ||
teacher employed by an employer
under this Article, or (ii) | ||
on layoff status from such a position with a
right of | ||
re-employment or recall to service, or (iii) on disability | ||
or a
leave of absence from such a position, but only if the | ||
member has not been
receiving benefits under Section 16-149 | ||
or 16-149.1 for a continuous period
of 2 years or more as | ||
of the date of application;
| ||
(2) have never previously received a retirement | ||
annuity under this
Article, except that receipt of a | ||
disability retirement annuity does not
disqualify a member | ||
if the annuity has been terminated and the member has
| ||
returned to full-time employment under this Article before | ||
the effective
date of this Section;
| ||
(3) file with the Board before March 1, 1993, an | ||
application
requesting the benefits provided in this | ||
Section;
| ||
(4) in the case of an employee of an employer that is | ||
not a not State
agency, be eligible to receive a retirement | ||
annuity under this Article
(for which purpose any age | ||
enhancement or creditable service received under
this | ||
Section may be used), and elect to receive the retirement | ||
annuity
beginning not earlier than June 1, 1993 and not | ||
later than September 1,
1993 (September 1, 1994 if |
retirement is delayed under subsection (e) of
this | ||
Section);
| ||
(5) in the case of an employee of an employer that is a | ||
State agency,
be eligible to receive a retirement annuity | ||
under this Article
(for which purpose any age enhancement | ||
or creditable service received under
this Section may be | ||
used), and elect to receive the retirement annuity
| ||
beginning not earlier than July 1, 1993 and not later than | ||
March 1,
1994 (March 1, 1995 if retirement is delayed under | ||
subsection (e) of
this Section);
| ||
(6) have attained age 50 (without the use of any age | ||
enhancement
received under this Section) by the effective | ||
date of the retirement annuity;
| ||
(7) have at least 5 years of creditable service under | ||
this System or
any of the participating systems under the | ||
Retirement Systems Reciprocal
Act (without the use of any | ||
creditable service received under this Section)
by the | ||
effective date of the retirement annuity.
| ||
(b) An eligible person may establish up to 5 years of | ||
creditable service
under this Section. In addition, for each | ||
period of creditable service
established under this Section, a | ||
person shall have his or her age at
retirement deemed enhanced | ||
by an equivalent period.
| ||
The creditable service established under this Section may | ||
be used for all
purposes under this Article and the Retirement | ||
Systems Reciprocal Act,
except for the computation of final |
average salary, the determination of
salary or compensation | ||
under this or any other Article of the Code, or the
| ||
determination of eligibility for and the computation of | ||
benefits under
Section 16-133.2 of this Article.
| ||
The age enhancement established under this Section may be | ||
used for all
purposes under this Article (including calculation | ||
of a proportionate
annuity payable by this System under the | ||
Retirement Systems Reciprocal
Act), except for purposes of a | ||
reversionary annuity under Section 16-136,
the retirement | ||
annuity under Section 16-133(a)(A), the required
distributions | ||
under Section 16-142.3, and the determination of eligibility
| ||
for and the computation of benefits under Section 16-133.2 of | ||
this Article.
However, age enhancement established under this | ||
Section shall not be used
in determining benefits payable under | ||
other Articles of this Code under the
Retirement Systems | ||
Reciprocal Act.
| ||
(c) For all creditable service established under this | ||
Section by an
employee of an employer that is not a State | ||
agency, the employer must pay
to the System an employer | ||
contribution consisting of 20% of the member's
highest annual | ||
salary rate used in the determination of the average salary
for | ||
retirement annuity purposes for each year of creditable service | ||
granted
under this Section. No employer contribution is | ||
required under this
Section from any employer that is a State | ||
agency.
| ||
The employer contribution shall be paid to the System in |
one of the
following ways: (i) in a single sum at the time of | ||
the member's
retirement, (ii) in equal quarterly installments | ||
over a period of 5 years
from the date of retirement, or (iii) | ||
subject to the approval of the Board
of the System, in unequal | ||
installments over a period of no more than 5
years from the | ||
date of retirement, as provided in a payment plan designed
by | ||
the System to accommodate the needs of the employer. The | ||
employer's
failure to make the required contributions in a | ||
timely manner shall not
affect the payment of the retirement | ||
annuity.
| ||
For all creditable service established under this Section, | ||
the
employee must pay to the System an employee contribution | ||
consisting of
4% of the member's highest annual salary rate | ||
used in the determination of
the retirement annuity for each | ||
year of creditable service granted under
this Section. The | ||
employee may elect either to pay the employee contribution in
| ||
full before the retirement annuity commences, or to have it | ||
deducted from the
retirement annuity in 24 monthly | ||
installments.
| ||
(d) An annuitant who has received any age enhancement or | ||
creditable
service under this Section and who re-enters | ||
contributing service under
this Article shall thereby forfeit | ||
the age enhancement and creditable service,
and upon | ||
re-retirement the annuity shall be recomputed. The forfeiture | ||
of
creditable service under this subsection shall not entitle | ||
the employer to a
refund of the employer contribution paid |
under this Section, nor to forgiveness
of any part of that | ||
contribution that remains unpaid. The forfeiture of
creditable | ||
service under this subsection shall not entitle the employee to | ||
a
refund of the employee contribution paid under this Section.
| ||
(e) If the number of employees of an employer that actually | ||
apply for
early retirement under this Section exceeds 30% of | ||
those eligible, the
employer may require that, for the number | ||
of applicants in excess of that
30%, the starting date of the | ||
retirement annuity enhanced under this
Section may not be | ||
earlier than June 1, 1994. The right to have the
retirement | ||
annuity begin before that date shall be allocated among the
| ||
applicants on the basis of seniority in the service of that | ||
employer.
| ||
This delay applies only to persons who are applying for | ||
early
retirement incentives under this Section, and does not | ||
prevent a person
whose application for early retirement | ||
incentives has been withdrawn from
receiving a retirement | ||
annuity on the earliest date upon which
the person is otherwise | ||
eligible under this Article.
| ||
(f) For a member who is notified after February 15, 1993, | ||
but before
September 15, 1993, that he or she will be laid off | ||
in the 1993-1994 school
year: (1) the March 1 application | ||
deadline in subdivision (a)(3) of this
Section is extended to a | ||
date 15 days after the date of issuance of the
layoff notice, | ||
and (2) the member shall not be included in the calculation
of | ||
the 30% under subsection (e) and is not subject to delay in |
retirement
under that subsection.
| ||
(g) A member who receives any early retirement incentive | ||
under Section
16-133.5 may not receive any early retirement | ||
incentive under
this Section.
| ||
(Source: P.A. 87-1265; revised 8-3-12.)
| ||
(40 ILCS 5/Art. 22A heading) | ||
ARTICLE 22A . INVESTMENT BOARD
| ||
(Source: P.A. 76-1829; revised 8-3-12.) | ||
Section 225. The Illinois Police Training Act is amended by | ||
changing Section 7 as follows:
| ||
(50 ILCS 705/7) (from Ch. 85, par. 507)
| ||
Sec. 7. Rules and standards for schools. The Board shall | ||
adopt rules and
minimum standards for such schools which shall | ||
include but not be limited to
the following:
| ||
a. The curriculum for probationary police officers which | ||
shall be
offered by all certified schools shall include but not | ||
be limited to
courses of arrest, search and seizure, civil | ||
rights, human relations,
cultural
diversity, including racial | ||
and ethnic sensitivity,
criminal law, law of criminal | ||
procedure, vehicle and traffic law including
uniform and | ||
non-discriminatory enforcement of the Illinois Vehicle Code,
| ||
traffic control and accident investigation, techniques of | ||
obtaining
physical evidence, court testimonies, statements, |
reports, firearms
training, first-aid (including | ||
cardiopulmonary resuscitation), handling of
juvenile | ||
offenders, recognition of
mental conditions which require | ||
immediate assistance and methods to
safeguard and provide | ||
assistance to a person in need of mental
treatment, recognition | ||
of elder abuse and neglect , as defined in Section 2 of the | ||
Elder Abuse and Neglect Act, crimes against the elderly, law of | ||
evidence, the hazards of high-speed police vehicle
chases with | ||
an emphasis on alternatives to the high-speed chase, and
| ||
physical training. The curriculum shall include specific | ||
training in
techniques for immediate response to and | ||
investigation of cases of domestic
violence and of sexual | ||
assault of adults and children. The curriculum shall include
| ||
training in techniques designed to promote effective
| ||
communication at the initial contact with crime victims and | ||
ways to comprehensively
explain to victims and witnesses their | ||
rights under the Rights
of Crime Victims and Witnesses Act and | ||
the Crime
Victims Compensation Act. The curriculum shall also | ||
include a block of instruction aimed at identifying and | ||
interacting with persons with autism and other developmental | ||
disabilities, reducing barriers to reporting crimes against | ||
persons with autism, and addressing the unique challenges | ||
presented by cases involving victims or witnesses with autism | ||
and other developmental disabilities. The curriculum for
| ||
permanent police officers shall include but not be limited to | ||
(1) refresher
and in-service training in any of the courses |
listed above in this
subparagraph, (2) advanced courses in any | ||
of the subjects listed above in
this subparagraph, (3) training | ||
for supervisory personnel, and (4)
specialized training in | ||
subjects and fields to be selected by the board.
| ||
b. Minimum courses of study, attendance requirements and | ||
equipment
requirements.
| ||
c. Minimum requirements for instructors.
| ||
d. Minimum basic training requirements, which a | ||
probationary police
officer must satisfactorily complete | ||
before being eligible for permanent
employment as a local law | ||
enforcement officer for a participating local
governmental | ||
agency. Those requirements shall include training in first aid
| ||
(including cardiopulmonary resuscitation).
| ||
e. Minimum basic training requirements, which a | ||
probationary county
corrections officer must satisfactorily | ||
complete before being eligible for
permanent employment as a | ||
county corrections officer for a participating
local | ||
governmental agency.
| ||
f. Minimum basic training requirements which a | ||
probationary court
security officer must satisfactorily | ||
complete before being eligible for
permanent employment as a | ||
court security officer for a participating local
governmental | ||
agency. The Board shall
establish those training requirements | ||
which it considers appropriate for court
security officers and | ||
shall certify schools to conduct that training.
| ||
A person hired to serve as a court security officer must |
obtain from the
Board a certificate (i) attesting to his or her | ||
successful completion of the
training course; (ii) attesting to | ||
his or her satisfactory
completion of a training program of | ||
similar content and number of hours that
has been found | ||
acceptable by the Board under the provisions of this Act; or
| ||
(iii) attesting to the Board's determination that the training
| ||
course is unnecessary because of the person's extensive prior | ||
law enforcement
experience.
| ||
Individuals who currently serve as court security officers | ||
shall be deemed
qualified to continue to serve in that capacity | ||
so long as they are certified
as provided by this Act within 24 | ||
months of the effective date of this
amendatory Act of 1996. | ||
Failure to be so certified, absent a waiver from the
Board, | ||
shall cause the officer to forfeit his or her position.
| ||
All individuals hired as court security officers on or | ||
after the effective
date of this amendatory Act of 1996 shall | ||
be certified within 12 months of the
date of their hire, unless | ||
a waiver has been obtained by the Board, or they
shall forfeit | ||
their positions.
| ||
The Sheriff's Merit Commission, if one exists, or the | ||
Sheriff's Office if
there is no Sheriff's Merit Commission, | ||
shall maintain a list of all
individuals who have filed | ||
applications to become court security officers and
who meet the | ||
eligibility requirements established under this Act. Either
| ||
the Sheriff's Merit Commission, or the Sheriff's Office if no | ||
Sheriff's Merit
Commission exists, shall establish a schedule |
of reasonable intervals for
verification of the applicants' | ||
qualifications under
this Act and as established by the Board.
| ||
(Source: P.A. 97-815, eff. 1-1-13; 97-862, eff. 1-1-13; revised | ||
8-3-12.)
| ||
Section 230. The Counties Code is amended by changing | ||
Section 5-1014.3 as follows:
| ||
(55 ILCS 5/5-1014.3)
| ||
Sec. 5-1014.3. Agreements to share or rebate occupation | ||
taxes.
| ||
(a) On and after
June 1, 2004, a county board shall not | ||
enter into
any agreement to share or
rebate any portion of
| ||
retailers' occupation taxes generated by retail sales of | ||
tangible personal
property if: (1) the tax on those retail | ||
sales, absent the agreement,
would have been paid to another | ||
unit of local government; and (2) the retailer
maintains, | ||
within that other unit of local government, a retail
location | ||
from which the tangible personal property is delivered to | ||
purchasers,
or a warehouse from which the tangible personal | ||
property is delivered to
purchasers. Any unit of local | ||
government denied
retailers' occupation tax revenue because of | ||
an agreement that violates this
Section may file an action in | ||
circuit court against only the county.
Any agreement entered | ||
into prior to
June 1,
2004 is not affected by this amendatory | ||
Act of the 93rd General Assembly.
Any unit of local
government |
that prevails in the circuit court action is entitled to | ||
damages in
the amount of the tax revenue it was denied as a | ||
result of the agreement,
statutory interest, costs, reasonable | ||
attorney's fees, and an amount equal to
50% of the tax.
| ||
(b) On and after the effective date of this amendatory Act | ||
of the 93rd
General Assembly, a home rule unit shall not enter | ||
into any agreement
prohibited
by this Section. This Section is | ||
a denial and limitation of home rule powers
and
functions under | ||
subsection (g) of Section 6 of Article VII of the Illinois
| ||
Constitution.
| ||
(c) Any county that enters into an agreement to share or
| ||
rebate any portion of
retailers' occupation taxes generated by | ||
retail sales of tangible personal
property must complete and | ||
submit a report by electronic filing to the Department of | ||
Revenue within 30 days after the execution of the agreement. | ||
Any county that has entered into such an agreement before the | ||
effective date of this amendatory Act of the 97th General | ||
Assembly that has not been terminated or expired as of the | ||
effective date of this amendatory Act of the 97th General | ||
Assembly shall submit a report with respect to the agreements | ||
within 90 days after the effective date of this amendatory Act | ||
of the 97th General Assembly. | ||
(d) The report described in this Section shall be made on a | ||
form to be supplied by the Department of Revenue and shall | ||
contain the following: | ||
(1) the names of the county and the business entering |
into the agreement; | ||
(2) the location or locations of the business within | ||
the county; | ||
(3) the form shall also contain a statement, to be | ||
answered in the affirmative or negative, as to whether or | ||
not the company maintains additional places of business in | ||
the State other than those described pursuant to paragraph | ||
(2); | ||
(4) the terms of the agreement, including (i) the | ||
manner in which the amount of any retailers' occupation tax | ||
to be shared, rebated, or refunded is to be determined each | ||
year for the duration of the agreement, (ii) the duration | ||
of the agreement, and (iii) the name of any business who is | ||
not a party to the agreement but who directly or indirectly | ||
receives a share, refund, or rebate of the retailers' | ||
occupation tax; and | ||
(5) a copy of the agreement to share or
rebate any | ||
portion of
retailers' occupation taxes generated by retail | ||
sales of tangible personal
property. | ||
An updated report must be filed by the county within 30 | ||
days after the execution of any amendment made to an agreement. | ||
Reports filed with the Department pursuant to this Section | ||
shall not constitute tax returns. | ||
(e) The Department and the county shall redact the sales | ||
figures, the amount of sales tax collected, and the amount of | ||
sales tax rebated prior to disclosure of information contained |
in a report required by this Section or the Freedom of | ||
Information Act. The information redacted shall be exempt from | ||
the provisions of the Freedom of Information Act. | ||
(f) All reports, except the copy of the agreement, required | ||
to be filed with the Department of Revenue pursuant to this | ||
Section shall be posted on the Department's website within 6 | ||
months after the effective date of this amendatory Act of the | ||
97th General Assembly. The website shall be updated on a | ||
monthly basis to include newly received reports. | ||
(Source: P.A. 97-976, eff. 1-1-13; revised 10-17-12.) | ||
Section 235. The County Economic Development Project Area | ||
Property
Tax Allocation Act is amended by changing Section 7 as | ||
follows:
| ||
(55 ILCS 85/7) (from Ch. 34, par. 7007)
| ||
Sec. 7. Creation of special tax allocation fund. If a | ||
county has
adopted property tax allocation financing by | ||
ordinance for an economic
development project area, the | ||
Department has approved and certified the
economic development | ||
project area, and the county clerk has thereafter
certified the | ||
"total initial equalized value" of the taxable real property
| ||
within such economic development project area in the manner | ||
provided in
subsection (b) of Section 6 of this Act, each year | ||
after the date of the
certification by the county clerk of the | ||
"initial equalized assessed value"
until economic development |
project costs and all county obligations
financing economic | ||
development project costs have been paid, the ad valorem
taxes, | ||
if any, arising from the levies upon the taxable real property | ||
in
the economic development project area by taxing districts | ||
and tax rates
determined in the manner provided in subsection | ||
(b) of Section 6 of this Act
shall be divided as follows:
| ||
(1) That portion of the taxes levied upon each taxable | ||
lot, block, tract
or parcel of real property which is | ||
attributable to the lower of the current
equalized assessed | ||
value or the initial equalized assessed value of each
such | ||
taxable lot, block, tract, or parcel of real property | ||
existing at the
time property tax allocation financing was | ||
adopted shall be allocated and
when collected shall be paid | ||
by the county collector to the respective
affected taxing | ||
districts in the manner required by the law in the absence
| ||
of the adoption of property tax allocation financing.
| ||
(2) That portion, if any, of those taxes which is | ||
attributable to the
increase in the current equalized | ||
assessed valuation of each taxable lot,
block, tract, or | ||
parcel of real property in the economic development
project | ||
are, over and above the initial equalized assessed value of | ||
each
property existing at the time property tax allocation | ||
financing was
adopted shall be allocated to and when | ||
collected shall be paid to the
county treasurer, who shall | ||
deposit those taxes into a special fund called
the special | ||
tax allocation fund of the county for the purpose of paying
|
economic development project costs and obligations | ||
incurred in the payment
thereof.
| ||
The county, by an ordinance adopting property tax | ||
allocation financing,
may pledge the funds in and to be | ||
deposited in the special tax allocation
fund for the payment of | ||
obligations issued under this Act and for the
payment of | ||
economic development project costs. No part of the current
| ||
equalized assessed valuation of each property in the economic | ||
development
project area attributable to any increase above the | ||
total initial equalized
assessed value of such properties shall | ||
be used in calculating the general
State school aid formula, | ||
provided for in Section 18-8 of the School Code,
until such | ||
time as all economic development projects costs have been paid
| ||
as provided for in this Section.
| ||
Whenever a county issues bonds for the purpose of financing | ||
economic
development project costs, the county may provide by | ||
ordinance for the
appointment of a trustee, which may be any | ||
trust company within the State,
and for the establishment of | ||
the funds or accounts to be maintained by such
trustee as the | ||
county shall deem necessary to provide for the security and
| ||
payment of the bonds. If the county provides for the | ||
appointment of a
trustee, the trustee shall be considered the | ||
assignee of any payments
assigned by the county pursuant to the | ||
ordinance and this Section. Any
amounts paid to the trustee as | ||
assignee shall be deposited in the funds or
accounts | ||
established pursuant to the trust agreement, and shall be held |
by
the trustee in trust for the benefit of the holders of the | ||
bonds, and the
holders shall have a lien on and a security | ||
interest in those bonds or
accounts so long as the bonds remain | ||
outstanding and unpaid. Upon
retirement of the bonds, the | ||
trustee shall pay over any excess amounts held
to the county | ||
for deposit in the special tax allocation fund.
| ||
When the economic development project costs, including | ||
without limitation
all county obligations financing economic | ||
development project costs
incurred under this Act, have been | ||
paid, all surplus funds then remaining
in the special tax | ||
allocation funds shall be distributed by being paid by
the | ||
county treasurer to the county collector, who shall immediately
| ||
thereafter pay those funds to the taxing districts having | ||
taxable property
in the economic development project area in | ||
the same manner and proportion
as the most recent distribution | ||
by the county collector to those taxing
districts of real | ||
property taxes from real property in the economic
development | ||
project area.
| ||
Upon the payment of all economic development project costs, | ||
retirement of
obligations and the distribution of any excess | ||
monies pursuant to this
Section and not later than 23 years | ||
from the date of adoption of the
ordinance adopting property | ||
tax allocation financing, the county shall
adopt an ordinance | ||
dissolving the special tax allocation fund for the
economic | ||
development project area and terminating the designation of the
| ||
economic development project area as an economic development |
project area.
Thereafter the rates of the taxing districts | ||
shall be extended and taxes
levied, collected and distributed | ||
in the manner applicable in the absence
of the adoption of | ||
property tax allocation financing.
| ||
Nothing in this Section shall be construed as relieving | ||
property in
economic development project areas from being | ||
assessed as provided in the
Property Tax Code or as relieving | ||
owners of that
property from paying a uniform rate of taxes, as | ||
required by Section 4 of
Article IX 9 of the Illinois | ||
Constitution of 1970.
| ||
(Source: P.A. 88-670, eff. 12-2-94; revised 10-17-12.)
| ||
Section 240. The County Economic Development Project Area | ||
Tax Increment
Allocation Act of 1991 is amended by changing | ||
Section 50 as follows:
| ||
(55 ILCS 90/50) (from Ch. 34, par. 8050)
| ||
Sec. 50. Special tax allocation fund.
| ||
(a) If a county clerk has certified the "total initial | ||
equalized
assessed value" of the taxable real property within | ||
an economic development
project area in the manner provided in | ||
Section 45, each year
after the date of the certification by | ||
the county clerk of the "total
initial equalized assessed | ||
value", until economic development project costs
and all county | ||
obligations financing economic development
project costs have | ||
been paid, the ad valorem taxes, if any, arising from
the |
levies upon the taxable real property in the economic | ||
development
project area by taxing districts and tax rates | ||
determined in the manner
provided in subsection (b) of Section | ||
45 shall be divided as follows:
| ||
(1) That portion of the taxes levied upon each taxable | ||
lot, block,
tract, or parcel of real property that is | ||
attributable to the lower of the
current equalized assessed | ||
value or the initial equalized assessed value of
each | ||
taxable lot, block, tract, or parcel of real property | ||
existing at
the time tax increment financing was adopted | ||
shall be allocated to (and
when collected shall be paid by | ||
the county collector to) the respective
affected taxing | ||
districts in the manner required by law in the absence of
| ||
the adoption of tax increment allocation financing.
| ||
(2) That portion, if any, of the taxes that is | ||
attributable to the
increase in the current equalized | ||
assessed valuation of each taxable lot,
block, tract, or | ||
parcel of real property in the economic development
project | ||
area, over and above the initial equalized assessed value | ||
of each
property existing at the time tax increment | ||
financing was adopted, shall be
allocated to (and when | ||
collected shall be paid to) the county treasurer,
who shall | ||
deposit the taxes into a special fund (called the special | ||
tax
allocation fund of the county) for the purpose of | ||
paying economic development
project costs and obligations | ||
incurred in the payment of those costs.
|
(b) The county, by an ordinance adopting tax increment
| ||
allocation financing, may pledge the monies in and to be | ||
deposited into the
special tax allocation fund for the payment | ||
of obligations issued under
this Act and for the payment of | ||
economic development project costs. No
part of the current | ||
equalized assessed valuation of each property in the
economic | ||
development project area attributable to any increase above the
| ||
total initial equalized assessed value of those properties | ||
shall be used in
calculating the general State school aid | ||
formula under Section
18-8 of the School Code until all | ||
economic development
projects costs have been paid as provided | ||
for in this Section.
| ||
(c) When the economic development projects costs, | ||
including without
limitation all county obligations financing | ||
economic
development project costs incurred under this Act, | ||
have been paid, all
surplus monies then remaining in the | ||
special tax allocation fund shall be
distributed by being paid | ||
by the county treasurer to the
county collector, who shall | ||
immediately pay the monies to the
taxing districts having | ||
taxable property in the economic development
project area in | ||
the same manner and proportion as the most recent
distribution | ||
by the county collector to those taxing districts of real
| ||
property taxes from real property in the economic development | ||
project area.
| ||
(d) Upon the payment of all economic development project | ||
costs,
retirement of obligations, and distribution of any |
excess monies
under this Section, the county shall adopt an | ||
ordinance dissolving the
special tax allocation fund for the | ||
economic development project area and
terminating the | ||
designation of the economic development project area as an
| ||
economic development project area. Thereafter, the rates of the | ||
taxing
districts shall be extended and taxes shall be levied, | ||
collected, and
distributed in the manner applicable in the | ||
absence of the adoption of tax
increment allocation financing.
| ||
(e) Nothing in this Section shall be construed as relieving | ||
property in
the economic development project areas from being | ||
assessed as provided in
the Property Tax Code or as relieving | ||
owners of
that property from paying a uniform rate of taxes as | ||
required by Section 4 of
Article IX 9 of the Illinois | ||
Constitution.
| ||
(Source: P.A. 87-1; 88-670, eff. 12-2-94; revised 10-17-12.)
| ||
Section 245. The Illinois Municipal Code is amended by | ||
changing Sections 8-11-21, 11-74.4-3.5, and 11-74.4-8 as | ||
follows:
| ||
(65 ILCS 5/8-11-21)
| ||
Sec. 8-11-21. Agreements to share or rebate occupation | ||
taxes.
| ||
(a) On and after
June 1, 2004, the corporate authorities of | ||
a municipality shall
not enter into any agreement to share or | ||
rebate
any
portion of retailers' occupation taxes generated by |
retail sales of tangible
personal
property if: (1) the tax on | ||
those retail sales, absent the agreement,
would have been paid | ||
to another unit of local government; and (2) the
retailer | ||
maintains, within that other unit of local government, a
retail | ||
location from which the tangible personal property is delivered | ||
to
purchasers, or a warehouse from which the tangible personal | ||
property is
delivered to purchasers. Any unit of local | ||
government
denied retailers' occupation tax revenue because of | ||
an agreement that violates
this Section may file an action in | ||
circuit court against only the municipality.
Any agreement | ||
entered into prior to
June 1,
2004 is not affected by this | ||
amendatory Act of the 93rd General Assembly.
Any unit of
local | ||
government that prevails in the circuit court action is | ||
entitled to
damages in
the amount of the tax revenue it was | ||
denied as a result of the agreement,
statutory interest, costs, | ||
reasonable attorney's fees, and an amount equal to
50% of the
| ||
tax.
| ||
(b) On and after the effective date of this amendatory Act | ||
of the 93rd
General Assembly, a home rule unit shall not enter | ||
into any agreement
prohibited
by this Section. This Section is | ||
a denial and limitation of home rule powers
and
functions under | ||
subsection (g) of Section 6 of Article VII of the Illinois
| ||
Constitution.
| ||
(c) Any municipality that enters into an agreement to share | ||
or rebate
any
portion of retailers' occupation taxes generated | ||
by retail sales of tangible
personal
property must complete and |
submit a report by electronic filing to the Department of | ||
Revenue within 30 days after the execution of the agreement. | ||
Any municipality that has entered into such an agreement before | ||
the effective date of this amendatory Act of the 97th General | ||
Assembly that has not been terminated or expired as of the | ||
effective date of this amendatory Act of the 97th General | ||
Assembly shall submit a report with respect to the agreements | ||
within 90 days after the effective date of this amendatory Act | ||
of the 97th General Assembly. | ||
(d) The report described in this Section shall be made on a | ||
form to be supplied by the Department of Revenue and shall | ||
contain the following: | ||
(1) the names of the municipality and the business | ||
entering into the agreement; | ||
(2) the location or locations of the business within | ||
the municipality; | ||
(3) the form shall also contain a statement, to be | ||
answered in the affirmative or negative, as to whether or | ||
not the company maintains additional places of business in | ||
the State other than those described pursuant to paragraph | ||
(2); | ||
(4) the terms of the agreement, including (i) the | ||
manner in which the amount of any retailers' occupation tax | ||
to be shared, rebated, or refunded is to be determined each | ||
year for the duration of the agreement, (ii) the duration | ||
of the agreement, and (iii) the name of any business who is |
not a party to the agreement but who directly or indirectly | ||
receives a share, refund, or rebate of the retailers' | ||
occupation tax; and | ||
(5) a copy of the agreement to share or rebate
any
| ||
portion of retailers' occupation taxes generated by retail | ||
sales of tangible
personal
property. | ||
An updated report must be filed by the municipality within | ||
30 days after the execution of any amendment made to an | ||
agreement. | ||
Reports filed with the Department pursuant to this Section | ||
shall not constitute tax returns. | ||
(e) The Department and the municipality shall redact the | ||
sales figures, the amount of sales tax collected, and the | ||
amount of sales tax rebated prior to disclosure of information | ||
contained in a report required by this Section or the Freedom | ||
of Information Act. The information redacted shall be exempt | ||
from the provisions of the Freedom of Information Act. | ||
(f) All reports, except the copy of the agreement, required | ||
to be filed with the Department of Revenue pursuant to this | ||
Section shall be posted on the Department's website within 6 | ||
months after the effective date of this amendatory Act of the | ||
97th General Assembly. The website shall be updated on a | ||
monthly basis to include newly received reports. | ||
(Source: P.A. 97-976, eff. 1-1-13; revised 10-17-12.) | ||
(65 ILCS 5/11-74.4-3.5) |
Sec. 11-74.4-3.5. Completion dates for redevelopment | ||
projects. | ||
(a) Unless otherwise stated in this Section, the estimated | ||
dates of completion
of the redevelopment project and retirement | ||
of obligations issued to finance
redevelopment project costs | ||
(including refunding bonds under Section 11-74.4-7) may not be
| ||
later than December 31 of the year in which the payment to the | ||
municipal
treasurer, as provided in subsection (b) of Section | ||
11-74.4-8 of this Act, is to
be made with respect to ad valorem | ||
taxes levied in the 23rd
calendar year after the year in which | ||
the ordinance approving the
redevelopment project area was | ||
adopted if the ordinance was adopted on or after
January 15, | ||
1981. | ||
(b) The estimated dates of completion of the redevelopment | ||
project and retirement of obligations issued to finance | ||
redevelopment project costs (including refunding bonds under | ||
Section 11-74.4-7) may not be later than December 31 of the | ||
year in which the payment to the municipal treasurer as | ||
provided in subsection (b) of Section 11-74.4-8 of this Act is | ||
to be made with respect to ad valorem taxes levied in the 32nd | ||
calendar year after the year in which the ordinance approving | ||
the redevelopment project area was adopted , if the ordinance | ||
was adopted on September 9, 1999 by the Village of Downs. | ||
The estimated dates of completion
of the redevelopment | ||
project and retirement of obligations issued to finance
| ||
redevelopment project costs (including refunding bonds under |
Section 11-74.4-7) may not be later than December 31 of the | ||
year in which the payment to the municipal
treasurer as | ||
provided in subsection (b) of Section 11-74.4-8 of this Act is | ||
to
be made with respect to ad valorem taxes levied in the 33rd | ||
calendar
year after the year in which the ordinance approving | ||
the
redevelopment project area was adopted , if the ordinance | ||
was adopted on May 20, 1985 by the Village of Wheeling. | ||
The estimated dates of completion of the redevelopment | ||
project and retirement of obligations issued to finance | ||
redevelopment project costs (including refunding bonds under | ||
Section 11-74.4-7) may not be later than December 31 of the | ||
year in which the payment to the municipal treasurer as | ||
provided in subsection (b) of Section 11-74.4-8 of this Act is | ||
to be made with respect to ad valorem taxes levied in the 28th | ||
calendar year after the year in which the ordinance approving | ||
the redevelopment project area was adopted , if the ordinance | ||
was adopted on October 12, 1989 by the City of Lawrenceville. | ||
(c) The estimated dates of completion
of the redevelopment | ||
project and retirement of obligations issued to finance
| ||
redevelopment project costs (including refunding bonds under | ||
Section 11-74.4-7) may not be later than December 31 of the | ||
year in which the payment to the municipal
treasurer as | ||
provided in subsection (b) of Section 11-74.4-8 of this Act is | ||
to
be made with respect to ad valorem taxes levied in the 35th | ||
calendar
year after the year in which the ordinance approving | ||
the
redevelopment project area was adopted: |
(1) if the ordinance was adopted before January 15, | ||
1981; | ||
(2) if the ordinance was adopted in December 1983, | ||
April 1984, July 1985,
or December 1989; | ||
(3) if the ordinance was adopted in December 1987 and | ||
the redevelopment
project is located within one mile of | ||
Midway Airport; | ||
(4) if the ordinance was adopted before January 1, 1987 | ||
by a municipality in
Mason County; | ||
(5) if the municipality is subject to the Local | ||
Government Financial Planning
and Supervision Act or the | ||
Financially Distressed City Law; | ||
(6) if the ordinance was adopted in December 1984 by | ||
the Village of Rosemont; | ||
(7) if the ordinance was adopted on December 31, 1986 | ||
by a municipality
located in Clinton County for which at | ||
least $250,000 of tax increment
bonds were authorized on | ||
June 17, 1997, or if the ordinance was adopted on
December | ||
31, 1986 by a municipality with a population in 1990 of | ||
less than
3,600 that is located in a county with a | ||
population in 1990 of less than
34,000 and for which at | ||
least $250,000 of tax increment bonds were authorized
on | ||
June 17, 1997; | ||
(8) if the ordinance was adopted on October 5, 1982 by | ||
the City of Kankakee, or if the ordinance was adopted on | ||
December 29, 1986 by East St. Louis; |
(9) if
the ordinance was adopted on November 12, 1991 | ||
by the Village of Sauget; | ||
(10) if the ordinance was
adopted on February 11, 1985 | ||
by the City of Rock Island; | ||
(11) if the ordinance was adopted before December 18, | ||
1986 by the City of
Moline; | ||
(12) if the ordinance was adopted in September 1988 by | ||
Sauk Village; | ||
(13) if the ordinance was adopted in October 1993 by | ||
Sauk Village; | ||
(14) if the ordinance was adopted on December 29, 1986 | ||
by the City of Galva; | ||
(15) if the ordinance was adopted in March 1991 by the | ||
City of Centreville; | ||
(16) if the ordinance was adopted on January 23, 1991
| ||
by the City of East St. Louis; | ||
(17) if the ordinance was adopted on December 22, 1986 | ||
by the City of Aledo; | ||
(18) if the ordinance was adopted on February 5, 1990 | ||
by the City of Clinton; | ||
(19) if the ordinance was adopted on September 6, 1994 | ||
by the City of Freeport; | ||
(20) if the ordinance was adopted on December 22, 1986 | ||
by the City of Tuscola; | ||
(21) if the ordinance was adopted on December 23, 1986 | ||
by the City of Sparta; |
(22) if the ordinance was adopted on December 23, 1986 | ||
by the City of
Beardstown; | ||
(23) if the ordinance was adopted on April 27, 1981, | ||
October 21, 1985, or
December 30, 1986 by the City of | ||
Belleville; | ||
(24) if the ordinance was adopted on December 29, 1986 | ||
by the City of
Collinsville; | ||
(25) if the ordinance was adopted on September 14, 1994 | ||
by the
City of Alton; | ||
(26) if the ordinance was adopted on November 11, 1996 | ||
by the
City of Lexington; | ||
(27) if the ordinance was adopted on November 5, 1984 | ||
by
the City of LeRoy; | ||
(28) if the ordinance was adopted on April 3, 1991 or
| ||
June 3, 1992 by the City of Markham; | ||
(29) if the ordinance was adopted on November 11, 1986 | ||
by the City of Pekin; | ||
(30) if the ordinance was adopted on December 15, 1981 | ||
by the City of Champaign; | ||
(31) if the ordinance was adopted on December 15, 1986 | ||
by the City of Urbana; | ||
(32) if the ordinance was adopted on December 15, 1986 | ||
by the Village of Heyworth; | ||
(33) if the ordinance was adopted on February 24, 1992 | ||
by the Village of Heyworth; | ||
(34) if the ordinance was adopted on March 16, 1995 by |
the Village of Heyworth; | ||
(35) if the ordinance was adopted on December 23, 1986 | ||
by the Town of Cicero; | ||
(36) if the ordinance was adopted on December 30, 1986 | ||
by the City of Effingham; | ||
(37) if the ordinance was adopted on May 9, 1991 by the | ||
Village of
Tilton; | ||
(38) if the ordinance was adopted on October 20, 1986 | ||
by the City of Elmhurst; | ||
(39) if the ordinance was adopted on January 19, 1988 | ||
by the City of
Waukegan; | ||
(40) if the ordinance was adopted on September 21, 1998 | ||
by the City of
Waukegan; | ||
(41) if the ordinance was adopted on December 31, 1986 | ||
by the City of Sullivan; | ||
(42) if the ordinance was adopted on December 23, 1991 | ||
by the City of Sullivan; | ||
(43) if the ordinance was adopted on December 31, 1986 | ||
by the City of Oglesby; | ||
(44) if the ordinance was adopted on July 28, 1987 by | ||
the City of Marion; | ||
(45) if the ordinance was adopted on April 23, 1990 by | ||
the City of Marion; | ||
(46) if the ordinance was adopted on August 20, 1985 by | ||
the Village of Mount Prospect; | ||
(47) if the ordinance was adopted on February 2, 1998 |
by the Village of Woodhull; | ||
(48) if the ordinance was adopted on April 20, 1993 by | ||
the Village of Princeville; | ||
(49) if the ordinance was adopted on July 1, 1986 by | ||
the City of Granite City; | ||
(50) if the ordinance was adopted on February 2, 1989 | ||
by the Village of Lombard; | ||
(51) if the ordinance was adopted on December 29, 1986 | ||
by the Village of Gardner; | ||
(52) if the ordinance was adopted on July 14, 1999 by | ||
the Village of Paw Paw; | ||
(53) if the ordinance was adopted on November 17, 1986 | ||
by the Village of Franklin Park; | ||
(54) if the ordinance was adopted on November 20, 1989 | ||
by the Village of South Holland; | ||
(55) if the ordinance was adopted on July 14, 1992 by | ||
the Village of Riverdale; | ||
(56) if the ordinance was adopted on December 29, 1986 | ||
by the City of Galesburg; | ||
(57) if the ordinance was adopted on April 1, 1985 by | ||
the City of Galesburg; | ||
(58) if the ordinance was adopted on May 21, 1990 by | ||
the City of West Chicago; | ||
(59) if the ordinance was adopted on December 16, 1986 | ||
by the City of Oak Forest; | ||
(60) if the ordinance was adopted in 1999 by the City |
of Villa Grove; | ||
(61) if the ordinance was adopted on January 13, 1987 | ||
by the Village of Mt. Zion; | ||
(62) if the ordinance was adopted on December 30, 1986 | ||
by the Village of Manteno; | ||
(63) if the ordinance was adopted on April 3, 1989 by | ||
the City of Chicago Heights; | ||
(64) if the ordinance was adopted on January 6, 1999 by | ||
the Village of Rosemont; | ||
(65) if the ordinance was adopted on December 19, 2000 | ||
by the Village of Stone Park; | ||
(66) if the ordinance was adopted on December 22, 1986 | ||
by the City of DeKalb; | ||
(67) if the ordinance was adopted on December 2, 1986 | ||
by the City of Aurora;
| ||
(68)
if the ordinance was adopted on December 31, 1986 | ||
by the Village of Milan; | ||
(69)
if the ordinance was adopted on September 8, 1994 | ||
by the City of West Frankfort; | ||
(70) if the ordinance was adopted on December 23, 1986 | ||
by the Village of Libertyville; | ||
(71) if the ordinance was adopted on December 22, 1986 | ||
by the Village of Hoffman Estates;
| ||
(72) if the ordinance was adopted on September 17, 1986 | ||
by the Village of Sherman;
| ||
(73) if the ordinance was adopted on December 16, 1986 |
by the City of Macomb; | ||
(74) if the ordinance was adopted on June 11, 2002 by | ||
the City of East Peoria to create the West Washington | ||
Street TIF; | ||
(75) if the ordinance was adopted on June 11, 2002 by | ||
the City of East Peoria to create the Camp Street TIF;
| ||
(76) if the ordinance was adopted on August 7, 2000 by | ||
the City of Des Plaines; | ||
(77) if the ordinance was adopted on December 22, 1986 | ||
by the City of Washington to create the Washington Square | ||
TIF #2; | ||
(78) if the ordinance was adopted on December 29, 1986 | ||
by the City of Morris;
| ||
(79) if the ordinance was adopted on July 6, 1998 by | ||
the Village of Steeleville; | ||
(80) if the ordinance was adopted on December 29, 1986 | ||
by the City of Pontiac to create TIF I (the Main St TIF); | ||
(81) if the ordinance was adopted on December 29, 1986 | ||
by the City of Pontiac to create TIF II (the Interstate | ||
TIF); | ||
(82) if the ordinance was adopted on November 6, 2002 | ||
by the City of Chicago to create the Madden/Wells TIF | ||
District; | ||
(83) if the ordinance was adopted on November 4, 1998 | ||
by the City of Chicago to create the Roosevelt/Racine TIF | ||
District; |
(84) if the ordinance was adopted on June 10, 1998 by | ||
the City of Chicago to create the Stony Island | ||
Commercial/Burnside Industrial Corridors TIF District; | ||
(85) if the ordinance was adopted on November 29, 1989 | ||
by the City of Chicago to create the Englewood Mall TIF | ||
District; | ||
(86) if the ordinance was adopted on December 27, 1986 | ||
by the City of Mendota; | ||
(87) if the ordinance was adopted on December 31, 1986 | ||
by the Village of Cahokia; | ||
(88) if the ordinance was adopted on September 20, 1999 | ||
by the City of Belleville; | ||
(89) if the ordinance was adopted on December 30, 1986 | ||
by the Village of Bellevue to create the Bellevue TIF | ||
District 1; | ||
(90) if the ordinance was adopted on December 13, 1993 | ||
by the Village of Crete; | ||
(91) if the ordinance was adopted on February 12, 2001 | ||
by the Village of Crete; | ||
(92) if the ordinance was adopted on April 23, 2001 by | ||
the Village of Crete; | ||
(93) if the ordinance was adopted on December 16, 1986 | ||
by the City of Champaign; | ||
(94) if the ordinance was adopted on December 20, 1986 | ||
by the City of Charleston; | ||
(95) if the ordinance was adopted on June 6, 1989 by |
the Village of Romeoville; | ||
(96) if the ordinance was adopted on October 14, 1993 | ||
and amended on August 2, 2010 by the City of Venice; | ||
(97) if the ordinance was adopted on June 1, 1994 by | ||
the City of Markham; | ||
(98) if the ordinance was adopted on May 19, 1998 by | ||
the Village of Bensenville; | ||
(99) if the ordinance was adopted on November 12, 1987 | ||
by the City of Dixon; | ||
(100) if the ordinance was adopted on December 20, 1988 | ||
by the Village of Lansing; | ||
(101) if the ordinance was adopted on October 27, 1998 | ||
by the City of Moline; or | ||
(102) if the ordinance was adopted on May 21, 1991 by | ||
the Village of Glenwood ; . | ||
(103) (102) if the ordinance was adopted on January 28, | ||
1992 by the City of East Peoria; or | ||
(104) (103) if the ordinance was adopted on December | ||
14, 1998 by the City of Carlyle. | ||
(d) For redevelopment project areas for which bonds were | ||
issued before
July 29, 1991, or for which contracts were | ||
entered into before June 1,
1988, in connection with a | ||
redevelopment project in the area within
the State Sales Tax | ||
Boundary, the estimated dates of completion of the
| ||
redevelopment project and retirement of obligations to finance | ||
redevelopment
project costs (including refunding bonds under |
Section 11-74.4-7) may be extended by municipal ordinance to | ||
December 31, 2013.
The termination procedures of subsection (b) | ||
of Section 11-74.4-8 are not
required for
these redevelopment | ||
project areas in 2009 but are required in 2013.
The extension | ||
allowed by Public Act 87-1272 shall not apply to real
property | ||
tax increment allocation financing under Section 11-74.4-8. | ||
(e) Those dates, for purposes of real property tax | ||
increment allocation
financing pursuant to Section 11-74.4-8 | ||
only, shall be not more than 35 years
for redevelopment project | ||
areas that were adopted on or after December 16,
1986 and for | ||
which at least $8 million worth of municipal bonds were | ||
authorized
on or after December 19, 1989 but before January 1, | ||
1990; provided that the
municipality elects to extend the life | ||
of the redevelopment project area to 35
years by the adoption | ||
of an ordinance after at least 14 but not more than 30
days' | ||
written notice to the taxing bodies, that would otherwise | ||
constitute the
joint review board for the redevelopment project | ||
area, before the adoption of
the ordinance. | ||
(f) Those dates, for purposes of real property tax | ||
increment allocation
financing pursuant to Section 11-74.4-8 | ||
only, shall be not more than 35 years
for redevelopment project | ||
areas that were established on or after December 1,
1981 but | ||
before January 1, 1982 and for which at least $1,500,000 worth | ||
of
tax increment revenue bonds were authorized
on or after | ||
September 30, 1990 but before July 1, 1991; provided that the
| ||
municipality elects to extend the life of the redevelopment |
project area to 35
years by the adoption of an ordinance after | ||
at least 14 but not more than 30
days' written notice to the | ||
taxing bodies, that would otherwise constitute the
joint review | ||
board for the redevelopment project area, before the adoption | ||
of
the ordinance. | ||
(g) In consolidating the material relating to completion | ||
dates from Sections 11-74.4-3 and 11-74.4-7 into this Section, | ||
it is not the intent of the General Assembly to make any | ||
substantive change in the law, except for the extension of the | ||
completion dates for the City of Aurora, the Village of Milan,
| ||
the City of West Frankfort, the Village of Libertyville, and | ||
the Village of Hoffman Estates set forth under items (67),
| ||
(68), (69), (70), and (71) of subsection (c) of this Section. | ||
(Source: P.A. 96-127, eff. 8-4-09; 96-182, eff. 8-10-09; | ||
96-208, eff. 8-10-09; 96-209, eff. 1-1-10; 96-213, eff. | ||
8-10-09; 96-264, eff. 8-11-09; 96-328, eff. 8-11-09; 96-439, | ||
eff. 8-14-09; 96-454, eff. 8-14-09; 96-722, eff. 8-25-09; | ||
96-773, eff. 8-28-09; 96-830, eff. 12-4-09; 96-837, eff. | ||
12-16-09; 96-1000, eff. 7-2-10; 96-1359, eff. 7-28-10; | ||
96-1494, eff. 12-30-10; 96-1514, eff. 2-4-11; 96-1552, eff. | ||
3-10-11; 97-93, eff. 1-1-12; 97-372, eff. 8-15-11; 97-600, eff. | ||
8-26-11; 97-633, eff. 12-16-11; 97-635, eff. 12-16-11; 97-807, | ||
eff. 7-13-12; 97-1114, eff. 8-27-12; revised 9-20-12.)
| ||
(65 ILCS 5/11-74.4-8)
(from Ch. 24, par. 11-74.4-8)
| ||
Sec. 11-74.4-8. Tax increment allocation financing. A |
municipality may
not adopt tax increment financing in a
| ||
redevelopment
project area after the effective date of this | ||
amendatory Act of 1997 that will
encompass an area that is | ||
currently included in an enterprise zone created
under the | ||
Illinois Enterprise Zone Act unless that municipality, | ||
pursuant to
Section 5.4 of the Illinois Enterprise Zone Act, | ||
amends the enterprise zone
designating ordinance to limit the | ||
eligibility for tax abatements as provided
in Section 5.4.1 of | ||
the Illinois Enterprise Zone Act.
A municipality, at the time a | ||
redevelopment project area
is designated, may adopt tax | ||
increment allocation financing by passing an
ordinance | ||
providing that the ad valorem taxes, if any, arising from the
| ||
levies upon taxable real property in such redevelopment project
| ||
area by taxing districts and tax rates determined in the manner | ||
provided
in paragraph (c) of Section 11-74.4-9 each year after | ||
the effective
date of the ordinance until redevelopment project | ||
costs and all municipal
obligations financing redevelopment | ||
project costs incurred under this Division
have been paid shall | ||
be divided as follows:
| ||
(a) That portion of taxes levied upon each taxable lot, | ||
block, tract or
parcel of real property which is attributable | ||
to the lower of the current
equalized assessed value or the | ||
initial equalized assessed
value of each such taxable lot, | ||
block, tract or parcel of real property
in the redevelopment | ||
project area shall be allocated to and when collected
shall be | ||
paid by the county collector to the respective affected taxing
|
districts in the manner required by law in the absence of the | ||
adoption of
tax increment allocation financing.
| ||
(b) Except from a tax levied by a township to retire bonds | ||
issued to satisfy
court-ordered damages, that portion, if any, | ||
of such taxes which is
attributable to the
increase in the | ||
current equalized assessed valuation of each taxable lot,
| ||
block, tract or parcel of real property in the redevelopment | ||
project area
over and above the initial equalized assessed | ||
value of each property in the
project area shall be allocated | ||
to and when collected shall be paid to the
municipal treasurer | ||
who shall deposit said taxes into a special fund called
the | ||
special tax allocation fund of the municipality for the purpose | ||
of
paying redevelopment project costs and obligations incurred | ||
in the payment
thereof. In any county with a population of | ||
3,000,000 or more that has adopted
a procedure for collecting | ||
taxes that provides for one or more of the
installments of the | ||
taxes to be billed and collected on an estimated basis,
the | ||
municipal treasurer shall be paid for deposit in the special | ||
tax
allocation fund of the municipality, from the taxes | ||
collected from
estimated bills issued for property in the | ||
redevelopment project area, the
difference between the amount | ||
actually collected from each taxable lot,
block, tract, or | ||
parcel of real property within the redevelopment project
area | ||
and an amount determined by multiplying the rate at which taxes | ||
were
last extended against the taxable lot, block, track, or | ||
parcel of real
property in the manner provided in subsection |
(c) of Section 11-74.4-9 by
the initial equalized assessed | ||
value of the property divided by the number
of installments in | ||
which real estate taxes are billed and collected within
the | ||
county; provided that the payments on or before December 31,
| ||
1999 to a municipal treasurer shall be made only if each of the | ||
following
conditions are met:
| ||
(1) The total equalized assessed value of the | ||
redevelopment project
area as last determined was not less | ||
than 175% of the total initial
equalized assessed value.
| ||
(2) Not more than 50% of the total equalized assessed | ||
value of the
redevelopment project area as last determined | ||
is attributable to a piece of
property assigned a single | ||
real estate index number.
| ||
(3) The municipal clerk has certified to the county | ||
clerk that the
municipality has issued its obligations to | ||
which there has been pledged
the incremental property taxes | ||
of the redevelopment project area or taxes
levied and | ||
collected on any or all property in the municipality or
the | ||
full faith and credit of the municipality to pay or secure | ||
payment for
all or a portion of the redevelopment project | ||
costs. The certification
shall be filed annually no later | ||
than September 1 for the estimated taxes
to be distributed | ||
in the following year; however, for the year 1992 the
| ||
certification shall be made at any time on or before March | ||
31, 1992.
| ||
(4) The municipality has not requested that the total |
initial
equalized assessed value of real property be | ||
adjusted as provided in
subsection (b) of Section | ||
11-74.4-9.
| ||
The conditions of paragraphs (1) through (4) do not apply | ||
after December
31, 1999 to payments to a municipal treasurer
| ||
made by a county with 3,000,000 or more inhabitants that has | ||
adopted an
estimated billing procedure for collecting taxes.
If | ||
a county that has adopted the estimated billing
procedure makes | ||
an erroneous overpayment of tax revenue to the municipal
| ||
treasurer, then the county may seek a refund of that | ||
overpayment.
The county shall send the municipal treasurer a | ||
notice of liability for the
overpayment on or before the | ||
mailing date of the next real estate tax bill
within the | ||
county. The refund shall be limited to the amount of the
| ||
overpayment.
| ||
It is the intent of this Division that after the effective | ||
date of this
amendatory Act of 1988 a municipality's own ad | ||
valorem
tax arising from levies on taxable real property be | ||
included in the
determination of incremental revenue in the | ||
manner provided in paragraph
(c) of Section 11-74.4-9. If the | ||
municipality does not extend such a tax,
it shall annually | ||
deposit in the municipality's Special Tax Increment Fund
an | ||
amount equal to 10% of the total contributions to the fund from | ||
all
other taxing districts in that year. The annual 10% deposit | ||
required by
this paragraph shall be limited to the actual | ||
amount of municipally
produced incremental tax revenues |
available to the municipality from
taxpayers located in the | ||
redevelopment project area in that year if:
(a) the plan for | ||
the area restricts the use of the property primarily to
| ||
industrial purposes, (b) the municipality establishing the | ||
redevelopment
project area is a home-rule community with a 1990 | ||
population of between
25,000 and 50,000, (c) the municipality | ||
is wholly located within a county
with a 1990 population of | ||
over 750,000 and (d) the redevelopment project
area was | ||
established by the municipality prior to June 1, 1990. This
| ||
payment shall be in lieu of a contribution of ad valorem taxes | ||
on real
property. If no such payment is made, any redevelopment | ||
project area of the
municipality shall be dissolved.
| ||
If a municipality has adopted tax increment allocation | ||
financing by ordinance
and the County Clerk thereafter | ||
certifies the "total initial equalized assessed
value as | ||
adjusted" of the taxable real property within such | ||
redevelopment
project area in the manner provided in paragraph | ||
(b) of Section 11-74.4-9,
each year after the date of the | ||
certification of the total initial equalized
assessed value as | ||
adjusted until redevelopment project costs and all
municipal | ||
obligations financing redevelopment project costs have been | ||
paid
the ad valorem taxes, if any, arising from the levies upon | ||
the taxable real
property in such redevelopment project area by | ||
taxing districts and tax
rates determined in the manner | ||
provided in paragraph (c) of Section
11-74.4-9 shall be divided | ||
as follows:
|
(1) That portion of the taxes levied upon each taxable | ||
lot, block, tract
or parcel of real property which is | ||
attributable to the lower of the
current equalized assessed | ||
value or "current equalized assessed value as
adjusted" or | ||
the initial equalized assessed value of each such taxable | ||
lot,
block, tract, or parcel of real property existing at | ||
the time tax increment
financing was adopted, minus the | ||
total current homestead exemptions under Article 15 of the | ||
Property
Tax Code in the
redevelopment project area shall | ||
be allocated to and when collected shall be
paid by the | ||
county collector to the respective affected taxing | ||
districts in the
manner required by law in the absence of | ||
the adoption of tax increment
allocation financing.
| ||
(2) That portion, if any, of such taxes which is | ||
attributable to the
increase in the current equalized | ||
assessed valuation of each taxable lot,
block, tract, or | ||
parcel of real property in the redevelopment project area,
| ||
over and above the initial equalized assessed value of each | ||
property
existing at the time tax increment financing was | ||
adopted, minus the total
current homestead exemptions | ||
pertaining to each piece of property provided
by Article 15 | ||
of the Property Tax Code
in the redevelopment
project area, | ||
shall be allocated to and when collected shall be paid to | ||
the
municipal Treasurer, who shall deposit said taxes into | ||
a special fund called
the special tax allocation fund of | ||
the municipality for the purpose of paying
redevelopment |
project costs and obligations incurred in the payment | ||
thereof.
| ||
The municipality may pledge in the ordinance the funds in | ||
and to be
deposited in the special tax allocation fund for the | ||
payment of such costs
and obligations. No part of the current | ||
equalized assessed valuation of
each property in the | ||
redevelopment project area attributable to any
increase above | ||
the total initial equalized assessed value, or the total
| ||
initial equalized assessed value as adjusted, of such | ||
properties shall be
used in calculating the general State | ||
school aid formula, provided for in
Section 18-8 of the School | ||
Code, until such time as all redevelopment
project costs have | ||
been paid as provided for in this Section.
| ||
Whenever a municipality issues bonds for the purpose of | ||
financing
redevelopment project costs, such municipality may | ||
provide by ordinance for the
appointment of a trustee, which | ||
may be any trust company within the State,
and for the | ||
establishment of such funds or accounts to be maintained by
| ||
such trustee as the municipality shall deem necessary to | ||
provide for the
security and payment of the bonds. If such | ||
municipality provides for
the appointment of a trustee, such | ||
trustee shall be considered the assignee
of any payments | ||
assigned by the municipality pursuant to such ordinance
and | ||
this Section. Any amounts paid to such trustee as assignee | ||
shall be
deposited in the funds or accounts established | ||
pursuant to such trust
agreement, and shall be held by such |
trustee in trust for the benefit of the
holders of the bonds, | ||
and such holders shall have a lien on and a security
interest | ||
in such funds or accounts so long as the bonds remain | ||
outstanding and
unpaid. Upon retirement of the bonds, the | ||
trustee shall pay over any excess
amounts held to the | ||
municipality for deposit in the special tax allocation
fund.
| ||
When such redevelopment projects costs, including without | ||
limitation all
municipal obligations financing redevelopment | ||
project costs incurred under
this Division, have been paid, all | ||
surplus funds then remaining in the
special tax allocation fund | ||
shall be distributed
by being paid by the
municipal treasurer | ||
to the Department of Revenue, the municipality and the
county | ||
collector; first to the Department of Revenue and the | ||
municipality
in direct proportion to the tax incremental | ||
revenue received from the State
and the municipality, but not | ||
to exceed the total incremental revenue received
from the State | ||
or the municipality less any annual surplus distribution
of | ||
incremental revenue previously made; with any remaining funds | ||
to be paid
to the County Collector who shall immediately | ||
thereafter pay said funds to
the taxing districts in the | ||
redevelopment project area in the same manner
and proportion as | ||
the most recent distribution by the county collector to
the | ||
affected districts of real property taxes from real property in | ||
the
redevelopment project area.
| ||
Upon the payment of all redevelopment project costs, the | ||
retirement of
obligations, the distribution of any excess |
monies pursuant to this
Section, and final closing of the books | ||
and records of the redevelopment
project
area, the municipality | ||
shall adopt an ordinance dissolving the special
tax allocation | ||
fund for the redevelopment project area and terminating the
| ||
designation of the redevelopment project area as a | ||
redevelopment project
area.
Title to real or personal property | ||
and public improvements
acquired
by or for
the
municipality as | ||
a result of the redevelopment project and plan shall vest in
| ||
the
municipality when acquired and shall continue to be held by | ||
the municipality
after the redevelopment project area has been | ||
terminated.
Municipalities shall notify affected taxing | ||
districts prior to
November 1 if the redevelopment project area | ||
is to be terminated by December 31
of
that same year. If a | ||
municipality extends estimated dates of completion of a
| ||
redevelopment project and retirement of obligations to finance | ||
a
redevelopment project, as allowed by this amendatory Act of | ||
1993, that
extension shall not extend the property tax | ||
increment allocation financing
authorized by this Section. | ||
Thereafter the rates of the taxing districts
shall be extended | ||
and taxes levied, collected and distributed in the manner
| ||
applicable in the absence of the adoption of tax increment | ||
allocation
financing.
| ||
Nothing in this Section shall be construed as relieving | ||
property in such
redevelopment project areas from being | ||
assessed as provided in the Property
Tax Code or as relieving | ||
owners of such property from paying a uniform rate of
taxes, as |
required by Section 4 of Article IX 9 of the Illinois | ||
Constitution.
| ||
(Source: P.A. 95-644, eff. 10-12-07; revised 10-17-12.)
| ||
Section 250. The Economic Development Project Area Tax | ||
Increment Allocation Act of
1995 is amended by changing Section | ||
50 as follows:
| ||
(65 ILCS 110/50)
| ||
Sec. 50. Special tax allocation fund.
| ||
(a) If a county clerk has certified the "total initial | ||
equalized assessed
value" of the taxable real property within | ||
an economic development project area
in the manner provided in | ||
Section 45, each year after the date of the
certification by | ||
the county clerk of the "total initial equalized assessed
| ||
value", until economic development project costs and all | ||
municipal obligations
financing economic development project | ||
costs have been paid, the ad valorem
taxes, if any, arising | ||
from the levies upon the taxable real property in the
economic | ||
development project area by taxing districts and tax rates | ||
determined
in the manner provided in subsection (b) of Section | ||
45 shall be divided as
follows:
| ||
(1) That portion of the taxes levied upon each taxable
| ||
lot, block, tract, or parcel of real property that is | ||
attributable to the lower
of the current equalized assessed | ||
value or the initial equalized assessed value
of each |
taxable lot, block, tract, or parcel of real property | ||
existing
at the time tax increment financing was adopted | ||
shall be allocated to (and when
collected shall be paid by | ||
the county collector to) the respective affected
taxing | ||
districts in the manner required by law in the absence of | ||
the adoption
of tax increment allocation financing.
| ||
(2) That portion, if any, of the taxes that is | ||
attributable to the
increase in the current equalized | ||
assessed valuation of each taxable lot,
block, tract, or
| ||
parcel of real property in the economic development project | ||
area, over and
above the initial equalized assessed value | ||
of each property existing at the
time tax increment | ||
financing was adopted, shall be allocated to (and when
| ||
collected shall be paid to) the municipal treasurer, who | ||
shall deposit the
taxes into a special fund (called the | ||
special tax allocation fund of the
municipality) for the | ||
purpose of paying economic development project costs and
| ||
obligations incurred in the payment of those costs.
| ||
(b) The municipality, by an ordinance adopting tax | ||
increment allocation
financing, may pledge the monies in and to | ||
be deposited into the special tax
allocation fund for the | ||
payment of obligations issued under this Act and for
the | ||
payment of economic development project costs. No part of the | ||
current
equalized assessed valuation of each property in the | ||
economic development
project area attributable to any increase | ||
above the total initial equalized
assessed value of those |
properties shall be used in calculating the general
State | ||
school aid formula under
Section 18-8 of the School Code until | ||
all economic development projects costs
have been paid as | ||
provided for in this Section.
| ||
(c) When the economic development projects costs, | ||
including without
limitation all municipal obligations | ||
financing economic development project
costs incurred under | ||
this Act, have been paid, all surplus monies then
remaining in | ||
the special tax allocation fund shall be distributed by being | ||
paid
by the municipal treasurer to the county collector, who | ||
shall immediately pay
the monies to the taxing districts having | ||
taxable property in the economic
development project area in | ||
the same manner and proportion as the most recent
distribution | ||
by the county collector to those taxing districts of real | ||
property
taxes from real property in the economic development | ||
project area.
| ||
(d) Upon the payment of all economic development project | ||
costs, retirement
of obligations, and distribution of any | ||
excess monies under this Section and
not later than 23 years | ||
from the date of the adoption of the ordinance
establishing the | ||
economic development project area, the municipality shall
| ||
adopt an ordinance dissolving the special tax allocation fund | ||
for the economic
development project area and terminating the | ||
designation of the economic
development project area as an | ||
economic development project area.
Thereafter, the rates of the | ||
taxing districts shall be extended and taxes shall
be levied, |
collected, and distributed in the manner applicable in the | ||
absence
of the adoption of tax increment allocation financing.
| ||
(e) Nothing in this Section shall be construed as relieving | ||
property in the
economic development project areas from being | ||
assessed as provided in the
Property Tax Code or as relieving | ||
owners or lessees of that property from
paying a uniform rate | ||
of taxes as required by Section 4 of Article IX 9 of the
| ||
Illinois Constitution.
| ||
(Source: P.A. 89-176, eff. 1-1-96; revised 10-17-12.)
| ||
Section 255. The Metropolitan Pier and Exposition | ||
Authority Act is amended by changing Section 13 as follows:
| ||
(70 ILCS 210/13) (from Ch. 85, par. 1233)
| ||
Sec. 13.
(a) The Authority shall not have power to levy | ||
taxes for any
purpose, except as provided in subsections (b), | ||
(c), (d), (e), and (f).
| ||
(b) By ordinance the Authority shall, as soon as | ||
practicable after the
effective date of this amendatory Act of | ||
1991, impose a Metropolitan Pier and
Exposition Authority | ||
Retailers' Occupation Tax upon all persons engaged in
the | ||
business of selling tangible personal property at retail within | ||
the
territory described in this subsection at the rate of 1.0% | ||
of the gross
receipts (i) from the sale of food, alcoholic | ||
beverages, and soft drinks
sold for consumption on the premises | ||
where sold and (ii) from the sale of
food, alcoholic beverages, |
and soft drinks sold for consumption off the
premises where | ||
sold by a retailer whose principal source of gross receipts
is | ||
from the sale of food, alcoholic beverages, and soft drinks | ||
prepared for
immediate consumption.
| ||
The tax imposed under this subsection and all civil | ||
penalties that may
be assessed as an incident to that tax shall | ||
be collected and enforced by the
Illinois Department of | ||
Revenue. The Department shall have full power to
administer and | ||
enforce this subsection, to collect all taxes and penalties so
| ||
collected in the manner provided in this subsection, and to | ||
determine all
rights to credit memoranda arising on account of | ||
the erroneous payment of
tax or penalty under this subsection. | ||
In the administration of and
compliance with this subsection, | ||
the Department and persons who are subject
to this subsection | ||
shall have the same rights, remedies, privileges,
immunities, | ||
powers, and duties, shall be subject to the same conditions,
| ||
restrictions, limitations, penalties, exclusions, exemptions, | ||
and
definitions of terms, and shall employ the same modes of | ||
procedure
applicable to this Retailers' Occupation Tax as are | ||
prescribed in Sections
1, 2 through 2-65 (in respect to all | ||
provisions of those Sections other
than the State rate of | ||
taxes), 2c, 2h, 2i, 3 (except as to the disposition
of taxes | ||
and penalties collected), 4, 5, 5a, 5b, 5c, 5d, 5e, 5f, 5g, 5i,
| ||
5j, 6, 6a, 6b, 6c, 7, 8, 9, 10, 11, 12, 13 , and, and until | ||
January 1, 1994, 13.5
of the Retailers' Occupation Tax Act, | ||
and, on and after January 1, 1994, all
applicable provisions of |
the Uniform Penalty and Interest Act that are not
inconsistent | ||
with this Act, as fully as if provisions contained in those
| ||
Sections of the Retailers' Occupation Tax Act were set forth in | ||
this
subsection.
| ||
Persons subject to any tax imposed under the authority | ||
granted in
this subsection may reimburse themselves for their | ||
seller's tax liability
under this subsection by separately | ||
stating that tax as an additional
charge, which charge may be | ||
stated in combination, in a single amount, with
State taxes | ||
that sellers are required to collect under the Use Tax Act,
| ||
pursuant to bracket schedules as the Department may prescribe.
| ||
The retailer filing the return shall, at the time of filing the
| ||
return, pay to the Department the amount of tax imposed under | ||
this
subsection, less a discount of 1.75%, which is allowed to | ||
reimburse the
retailer for the expenses incurred in keeping | ||
records, preparing and
filing returns, remitting the tax, and | ||
supplying data to the Department on
request.
| ||
Whenever the Department determines that a refund should be | ||
made under
this subsection to a claimant instead of issuing a | ||
credit memorandum, the
Department shall notify the State | ||
Comptroller, who shall cause a warrant
to be drawn for the | ||
amount specified and to the person named in the
notification | ||
from the Department. The refund shall be paid by the State
| ||
Treasurer out of the Metropolitan Pier and Exposition Authority | ||
trust fund
held by the State Treasurer as trustee for the | ||
Authority.
|
Nothing in this subsection authorizes the Authority to | ||
impose a tax upon
the privilege of engaging in any business | ||
that under the Constitution of
the United States may not be | ||
made the subject of taxation by this State.
| ||
The Department shall forthwith pay over to the State | ||
Treasurer, ex
officio, as trustee for the Authority, all taxes | ||
and penalties collected
under this subsection for deposit into | ||
a trust fund held outside of the
State Treasury. | ||
As soon as possible after the first day of each month, | ||
beginning January 1, 2011, upon certification of the Department | ||
of Revenue, the Comptroller shall order transferred, and the | ||
Treasurer shall transfer, to the STAR Bonds Revenue Fund the | ||
local sales tax increment, as defined in the Innovation | ||
Development and Economy Act, collected under this subsection | ||
during the second preceding calendar month for sales within a | ||
STAR bond district. | ||
After the monthly transfer to the STAR Bonds Revenue Fund, | ||
on or before the 25th day of each calendar month, the
| ||
Department shall prepare and certify to the Comptroller the | ||
amounts to be
paid under subsection (g) of this Section, which | ||
shall be the amounts, not
including credit memoranda, collected | ||
under this subsection during the second
preceding calendar | ||
month by the Department, less any amounts determined by the
| ||
Department to be necessary for the payment of refunds, less 2% | ||
of such
balance, which sum shall be deposited by the State | ||
Treasurer into the Tax
Compliance and Administration Fund in |
the State Treasury from which it shall be
appropriated to the | ||
Department to cover the costs of the Department in
| ||
administering and enforcing the provisions of this subsection, | ||
and less any amounts that are transferred to the STAR Bonds | ||
Revenue Fund. Within 10 days
after receipt by the Comptroller | ||
of the certification, the Comptroller shall
cause the orders to | ||
be drawn for the remaining amounts, and the Treasurer shall
| ||
administer those amounts as required in subsection (g).
| ||
A certificate of registration issued by the Illinois | ||
Department of Revenue
to a retailer under the Retailers' | ||
Occupation Tax Act shall permit the
registrant to engage in a | ||
business that is taxed under the tax imposed
under this | ||
subsection, and no additional registration shall be required
| ||
under the ordinance imposing the tax or under this subsection.
| ||
A certified copy of any ordinance imposing or discontinuing | ||
any tax under
this subsection or effecting a change in the rate | ||
of that tax shall be
filed with the Department, whereupon the | ||
Department shall proceed to
administer and enforce this | ||
subsection on behalf of the Authority as of the
first day of | ||
the third calendar month following the date of filing.
| ||
The tax authorized to be levied under this subsection may | ||
be levied within
all or any part of the following described | ||
portions of the metropolitan area:
| ||
(1) that portion of the City of Chicago located within | ||
the following
area: Beginning at the point of intersection | ||
of the Cook County - DuPage
County line and York Road, then |
North along York Road to its intersection
with Touhy | ||
Avenue, then east along Touhy Avenue to its intersection | ||
with
the Northwest Tollway, then southeast along the | ||
Northwest Tollway to its
intersection with Lee Street, then | ||
south along Lee Street to Higgins Road,
then south and east | ||
along Higgins Road to its intersection with Mannheim
Road, | ||
then south along Mannheim Road to its intersection with | ||
Irving Park
Road, then west along Irving Park Road to its | ||
intersection with the Cook
County - DuPage County line, | ||
then north and west along the county line to
the point of | ||
beginning; and
| ||
(2) that portion of the City of Chicago located within | ||
the following
area: Beginning at the intersection of West | ||
55th Street with Central
Avenue, then east along West 55th | ||
Street to its intersection with South
Cicero Avenue, then | ||
south along South Cicero Avenue to its intersection
with | ||
West 63rd Street, then west along West 63rd Street to its | ||
intersection
with South Central Avenue, then north along | ||
South Central Avenue to the
point of beginning; and
| ||
(3) that portion of the City of Chicago located within | ||
the following
area: Beginning at the point 150 feet west of | ||
the intersection of the west
line of North Ashland Avenue | ||
and the north line of West Diversey Avenue,
then north 150 | ||
feet, then east along a line 150 feet north of the north
| ||
line of West Diversey Avenue extended to the shoreline of | ||
Lake Michigan,
then following the shoreline of Lake |
Michigan (including Navy Pier and all
other improvements | ||
fixed to land, docks, or piers) to the point where the
| ||
shoreline of Lake Michigan and the Adlai E. Stevenson | ||
Expressway extended
east to that shoreline intersect, then | ||
west along the Adlai E. Stevenson
Expressway to a point 150 | ||
feet west of the west line of South Ashland
Avenue, then | ||
north along a line 150 feet west of the west line of South | ||
and
North Ashland Avenue to the point of beginning.
| ||
The tax authorized to be levied under this subsection may | ||
also be
levied on food, alcoholic beverages, and soft drinks | ||
sold on boats and
other watercraft departing from and returning | ||
to the shoreline of Lake
Michigan (including Navy Pier and all | ||
other improvements fixed to land,
docks, or piers) described in | ||
item (3).
| ||
(c) By ordinance the Authority shall, as soon as | ||
practicable after the
effective date of this amendatory Act of | ||
1991, impose an occupation tax
upon all persons engaged in the | ||
corporate limits of the City of Chicago in
the business of | ||
renting, leasing, or letting rooms in a hotel, as defined
in | ||
the Hotel Operators' Occupation Tax Act, at a rate of 2.5% of | ||
the gross
rental receipts from the renting, leasing, or letting | ||
of hotel rooms within
the City of Chicago, excluding, however, | ||
from gross rental receipts
the proceeds of renting, leasing, or | ||
letting to permanent residents of
a hotel, as defined in that | ||
Act. Gross rental receipts shall not include
charges that are | ||
added on account of the liability arising from any tax
imposed |
by the State or any governmental agency on the occupation of
| ||
renting, leasing, or letting rooms in a hotel.
| ||
The tax imposed by the Authority under this subsection and | ||
all civil
penalties that may be assessed as an incident to that | ||
tax shall be collected
and enforced by the Illinois Department | ||
of Revenue. The certificate of
registration that is issued by | ||
the Department to a lessor under the Hotel
Operators' | ||
Occupation Tax Act shall permit that registrant to engage in a
| ||
business that is taxable under any ordinance enacted under this
| ||
subsection without registering separately with the Department | ||
under that
ordinance or under this subsection. The Department | ||
shall have full power to
administer and enforce this | ||
subsection, to collect all taxes and penalties
due under this | ||
subsection, to dispose of taxes and penalties so collected
in | ||
the manner provided in this subsection, and to determine all | ||
rights to
credit memoranda arising on account of the erroneous | ||
payment of tax or
penalty under this subsection. In the | ||
administration of and compliance with
this subsection, the | ||
Department and persons who are subject to this
subsection shall | ||
have the same rights, remedies, privileges, immunities,
| ||
powers, and duties, shall be subject to the same conditions, | ||
restrictions,
limitations, penalties, and definitions of | ||
terms, and shall employ the same
modes of procedure as are | ||
prescribed in the Hotel Operators' Occupation Tax
Act (except | ||
where that Act is inconsistent with this subsection), as fully
| ||
as if the provisions contained in the Hotel Operators' |
Occupation Tax Act
were set out in this subsection.
| ||
Whenever the Department determines that a refund should be | ||
made under
this subsection to a claimant instead of issuing a | ||
credit memorandum, the
Department shall notify the State | ||
Comptroller, who shall cause a warrant
to be drawn for the | ||
amount specified and to the person named in the
notification | ||
from the Department. The refund shall be paid by the State
| ||
Treasurer out of the Metropolitan Pier and Exposition Authority | ||
trust fund
held by the State Treasurer as trustee for the | ||
Authority.
| ||
Persons subject to any tax imposed under the authority | ||
granted in
this subsection may reimburse themselves for their | ||
tax liability for that
tax by separately stating that tax as an | ||
additional charge,
which charge may be stated in combination, | ||
in a single amount, with State
taxes imposed under the Hotel | ||
Operators' Occupation Tax Act, the
municipal tax imposed under | ||
Section 8-3-13 of the Illinois Municipal
Code, and the tax | ||
imposed under Section 19 of the Illinois Sports
Facilities | ||
Authority Act.
| ||
The person filing the return shall, at the time of filing | ||
the return,
pay to the Department the amount of tax, less a | ||
discount of 2.1% or $25 per
calendar year, whichever is | ||
greater, which is allowed to reimburse the
operator for the | ||
expenses incurred in keeping records, preparing and filing
| ||
returns, remitting the tax, and supplying data to the | ||
Department on request.
|
The Department shall forthwith pay over to the State | ||
Treasurer,
ex officio, as trustee for the Authority, all taxes | ||
and penalties collected
under this subsection for deposit into | ||
a trust fund held outside the State
Treasury. On or before the | ||
25th day of each calendar month, the Department
shall certify | ||
to the Comptroller the amounts to be paid under subsection
(g) | ||
of this Section, which shall be the amounts (not including | ||
credit
memoranda) collected under this subsection during the | ||
second preceding
calendar month by the Department, less any | ||
amounts determined by the
Department to be necessary for | ||
payment of refunds. Within 10 days after
receipt by the | ||
Comptroller of the Department's certification, the
Comptroller | ||
shall cause the orders to be drawn for such amounts, and the
| ||
Treasurer shall administer those amounts as required in | ||
subsection (g).
| ||
A certified copy of any ordinance imposing or discontinuing | ||
a tax under this
subsection or effecting a change in the rate | ||
of that tax shall be filed with
the Illinois Department of | ||
Revenue, whereupon the Department shall proceed to
administer | ||
and enforce this subsection on behalf of the Authority as of | ||
the
first day of the third calendar month following the date of | ||
filing.
| ||
(d) By ordinance the Authority shall, as soon as | ||
practicable after the
effective date of this amendatory Act of | ||
1991, impose a tax
upon all persons engaged in the business of | ||
renting automobiles in the
metropolitan area at the rate of 6% |
of the gross
receipts from that business, except that no tax | ||
shall be imposed on the
business of renting automobiles for use | ||
as taxicabs or in livery service.
The tax imposed under this | ||
subsection and all civil penalties that may be
assessed as an | ||
incident to that tax shall be collected and enforced by the
| ||
Illinois Department of Revenue. The certificate of | ||
registration issued by
the Department to a retailer under the | ||
Retailers' Occupation Tax Act or
under the Automobile Renting | ||
Occupation and Use Tax Act shall permit that
person to engage | ||
in a business that is taxable under any ordinance enacted
under | ||
this subsection without registering separately with the | ||
Department
under that ordinance or under this subsection. The | ||
Department shall have
full power to administer and enforce this | ||
subsection, to collect all taxes
and penalties due under this | ||
subsection, to dispose of taxes and penalties
so collected in | ||
the manner provided in this subsection, and to determine
all | ||
rights to credit memoranda arising on account of the erroneous | ||
payment
of tax or penalty under this subsection. In the | ||
administration of and
compliance with this subsection, the | ||
Department and persons who are subject
to this subsection shall | ||
have the same rights, remedies, privileges,
immunities, | ||
powers, and duties, be subject to the same conditions,
| ||
restrictions, limitations, penalties, and definitions of | ||
terms, and employ
the same modes of procedure as are prescribed | ||
in Sections 2 and 3 (in
respect to all provisions of those | ||
Sections other than the State rate of
tax; and in respect to |
the provisions of the Retailers' Occupation Tax Act
referred to | ||
in those Sections, except as to the disposition of taxes and
| ||
penalties collected, except for the provision allowing | ||
retailers a
deduction from the tax to cover certain costs, and | ||
except that credit
memoranda issued under this subsection may | ||
not be used to discharge any
State tax liability) of the | ||
Automobile Renting Occupation and Use Tax Act,
as fully as if | ||
provisions contained in those Sections of that Act were set
| ||
forth in this subsection.
| ||
Persons subject to any tax imposed under the authority | ||
granted in
this subsection may reimburse themselves for their | ||
tax liability under this
subsection by separately stating that | ||
tax as an additional charge, which
charge may be stated in | ||
combination, in a single amount, with State tax
that sellers | ||
are required to collect under the Automobile Renting
Occupation | ||
and Use Tax Act, pursuant to bracket schedules as the | ||
Department
may prescribe.
| ||
Whenever the Department determines that a refund should be | ||
made under
this subsection to a claimant instead of issuing a | ||
credit memorandum, the
Department shall notify the State | ||
Comptroller, who shall cause a warrant to
be drawn for the | ||
amount specified and to the person named in the
notification | ||
from the Department. The refund shall be paid by the State
| ||
Treasurer out of the Metropolitan Pier and Exposition Authority | ||
trust fund
held by the State Treasurer as trustee for the | ||
Authority.
|
The Department shall forthwith pay over to the State | ||
Treasurer, ex officio,
as trustee, all taxes and penalties | ||
collected under this subsection for
deposit into a trust fund | ||
held outside the State Treasury. On or before the
25th day of | ||
each calendar month, the Department shall certify
to the | ||
Comptroller the amounts to be paid under subsection (g) of this
| ||
Section (not including credit memoranda) collected under this | ||
subsection
during the second preceding calendar month by the | ||
Department, less any
amount determined by the Department to be | ||
necessary for payment of refunds.
Within 10 days after receipt | ||
by the Comptroller of the Department's
certification, the | ||
Comptroller shall cause the orders to be drawn for such
| ||
amounts, and the Treasurer shall administer those amounts as | ||
required in
subsection (g).
| ||
Nothing in this subsection authorizes the Authority to | ||
impose a tax upon
the privilege of engaging in any business | ||
that under the Constitution of
the United States may not be | ||
made the subject of taxation by this State.
| ||
A certified copy of any ordinance imposing or discontinuing | ||
a tax under
this subsection or effecting a change in the rate | ||
of that tax shall be
filed with the Illinois Department of | ||
Revenue, whereupon the Department
shall proceed to administer | ||
and enforce this subsection on behalf of the
Authority as of | ||
the first day of the third calendar month following the
date of | ||
filing.
| ||
(e) By ordinance the Authority shall, as soon as |
practicable after the
effective date of this amendatory Act of | ||
1991, impose a tax upon the
privilege of using in the | ||
metropolitan area an automobile that is rented
from a rentor | ||
outside Illinois and is titled or registered with an agency
of | ||
this State's government at a rate of 6% of the rental price of | ||
that
automobile, except that no tax shall be imposed on the | ||
privilege of using
automobiles rented for use as taxicabs or in | ||
livery service. The tax shall
be collected from persons whose | ||
Illinois address for titling or
registration purposes is given | ||
as being in the metropolitan area. The tax
shall be collected | ||
by the Department of Revenue for the Authority. The tax
must be | ||
paid to the State or an exemption determination must be | ||
obtained
from the Department of Revenue before the title or | ||
certificate of
registration for the property may be issued. The | ||
tax or proof of exemption
may be transmitted to the Department | ||
by way of the State agency with which
or State officer with | ||
whom the tangible personal property must be titled or
| ||
registered if the Department and that agency or State officer | ||
determine
that this procedure will expedite the processing of | ||
applications for title
or registration.
| ||
The Department shall have full power to administer and | ||
enforce this
subsection, to collect all taxes, penalties, and | ||
interest due under this
subsection, to dispose of taxes, | ||
penalties, and interest so collected in
the manner provided in | ||
this subsection, and to determine all rights to
credit | ||
memoranda or refunds arising on account of the erroneous |
payment of
tax, penalty, or interest under this subsection. In | ||
the administration of
and compliance with this subsection, the | ||
Department and persons who are
subject to this subsection shall | ||
have the same rights, remedies,
privileges, immunities, | ||
powers, and duties, be subject to the same
conditions, | ||
restrictions, limitations, penalties, and definitions of | ||
terms,
and employ the same modes of procedure as are prescribed | ||
in Sections 2 and
4 (except provisions pertaining to the State | ||
rate of tax; and in respect to
the provisions of the Use Tax | ||
Act referred to in that Section, except
provisions concerning | ||
collection or refunding of the tax by retailers,
except the | ||
provisions of Section 19 pertaining to claims by retailers,
| ||
except the last paragraph concerning refunds, and except that | ||
credit
memoranda issued under this subsection may not be used | ||
to discharge any
State tax liability) of the Automobile Renting | ||
Occupation and Use Tax Act,
as fully as if provisions contained | ||
in those Sections of that Act were set
forth in this | ||
subsection.
| ||
Whenever the Department determines that a refund should be | ||
made under this
subsection to a claimant instead of issuing a | ||
credit memorandum, the Department
shall notify the State | ||
Comptroller, who shall cause a warrant to be drawn
for the | ||
amount specified and to the person named in the notification
| ||
from the Department. The refund shall be paid by the State | ||
Treasurer out
of the Metropolitan Pier and Exposition Authority | ||
trust fund held by the
State Treasurer as trustee for the |
Authority.
| ||
The Department shall forthwith pay over to the State | ||
Treasurer, ex officio,
as trustee, all taxes, penalties, and | ||
interest collected under this
subsection for deposit into a | ||
trust fund held outside the State Treasury.
On or before the | ||
25th day of each calendar month, the Department shall
certify | ||
to the State Comptroller the amounts to be paid under | ||
subsection
(g) of this Section, which shall be the amounts (not | ||
including credit
memoranda) collected under this subsection | ||
during the second preceding
calendar month by the Department, | ||
less any amounts determined by the
Department to be necessary | ||
for payment of refunds. Within 10 days after
receipt by the | ||
State Comptroller of the Department's certification, the
| ||
Comptroller shall cause the orders to be drawn for such | ||
amounts, and the
Treasurer shall administer those amounts as | ||
required in subsection (g).
| ||
A certified copy of any ordinance imposing or discontinuing | ||
a tax or
effecting a change in the rate of that tax shall be | ||
filed with the Illinois
Department of Revenue, whereupon the | ||
Department shall proceed to administer
and enforce this | ||
subsection on behalf of the Authority as of the first day
of | ||
the third calendar month following the date of filing.
| ||
(f) By ordinance the Authority shall, as soon as | ||
practicable after the
effective date of this amendatory Act of | ||
1991, impose an occupation tax on all
persons, other than a | ||
governmental agency, engaged in the business of
providing |
ground transportation for hire to passengers in the | ||
metropolitan
area at a rate of (i) $4 per taxi or livery | ||
vehicle departure with
passengers for hire from commercial | ||
service airports in the metropolitan
area, (ii) for each | ||
departure with passengers for hire from a commercial
service | ||
airport in the metropolitan area in a bus or van operated by a
| ||
person other than a person described in item (iii): $18 per bus | ||
or van with
a capacity of 1-12 passengers, $36 per bus or van | ||
with a capacity of 13-24
passengers, and $54 per bus or van | ||
with a capacity of over 24 passengers,
and (iii) for each | ||
departure with passengers for hire from a commercial
service | ||
airport in the metropolitan area in a bus or van operated by a
| ||
person regulated by the Interstate Commerce Commission or | ||
Illinois Commerce
Commission, operating scheduled service from | ||
the airport, and charging fares on
a per passenger basis: $2 | ||
per passenger for hire in each bus or van. The term
"commercial | ||
service airports" means those airports receiving scheduled
| ||
passenger service and enplaning more than 100,000 passengers | ||
per year.
| ||
In the ordinance imposing the tax, the Authority may | ||
provide for the
administration and enforcement of the tax and | ||
the collection of the tax
from persons subject to the tax as | ||
the Authority determines to be necessary
or practicable for the | ||
effective administration of the tax. The Authority
may enter | ||
into agreements as it deems appropriate with any governmental
| ||
agency providing for that agency to act as the Authority's |
agent to
collect the tax.
| ||
In the ordinance imposing the tax, the Authority may | ||
designate a method or
methods for persons subject to the tax to | ||
reimburse themselves for the tax
liability arising under the | ||
ordinance (i) by separately stating the full
amount of the tax | ||
liability as an additional charge to passengers departing
the | ||
airports, (ii) by separately stating one-half of the tax | ||
liability as
an additional charge to both passengers departing | ||
from and to passengers
arriving at the airports, or (iii) by | ||
some other method determined by the
Authority.
| ||
All taxes, penalties, and interest collected under any | ||
ordinance adopted
under this subsection, less any amounts | ||
determined to be necessary for the
payment of refunds and less | ||
the taxes, penalties, and interest attributable to any increase | ||
in the rate of tax authorized by Public Act 96-898, shall be | ||
paid forthwith to the State Treasurer, ex
officio, for deposit | ||
into a trust fund held outside the State Treasury and
shall be | ||
administered by the State Treasurer as provided in subsection | ||
(g)
of this Section. All taxes, penalties, and interest | ||
attributable to any increase in the rate of tax authorized by | ||
Public Act 96-898 shall be paid by the State Treasurer as | ||
follows: 25% for deposit into the Convention Center Support | ||
Fund, to be used by the Village of Rosemont for the repair, | ||
maintenance, and improvement of the Donald E. Stephens | ||
Convention Center and for debt service on debt instruments | ||
issued for those purposes by the village and 75% to the |
Authority to be used for grants to an organization meeting the | ||
qualifications set out in Section 5.6 of this Act, provided the | ||
Metropolitan Pier and Exposition Authority has entered into a | ||
marketing agreement with such an organization.
| ||
(g) Amounts deposited from the proceeds of taxes imposed by | ||
the
Authority under subsections (b), (c), (d), (e), and (f) of | ||
this Section and
amounts deposited under Section 19 of the | ||
Illinois Sports Facilities
Authority Act shall be held in a | ||
trust fund outside the State Treasury and
shall be administered | ||
by the Treasurer as follows: | ||
(1) An amount necessary for the payment of refunds with | ||
respect to those taxes shall be retained in the trust fund | ||
and used for those payments. | ||
(2) On July 20 and on the 20th of each month | ||
thereafter, provided that the amount requested in the | ||
annual certificate of the Chairman of the Authority filed | ||
under Section 8.25f of the State Finance Act has been | ||
appropriated for payment to the Authority, 1/8 of the local | ||
tax transfer amount, together with any cumulative | ||
deficiencies in the amounts transferred into the McCormick | ||
Place Expansion Project Fund under this subparagraph (2) | ||
during the fiscal year for which the certificate has been | ||
filed, shall be transferred from the trust fund into the | ||
McCormick Place Expansion Project Fund in the State | ||
treasury until 100% of the local tax transfer amount has | ||
been so transferred. "Local tax transfer amount" shall mean |
the amount requested in the annual certificate, minus the | ||
reduction amount. "Reduction amount" shall mean $41.7 | ||
million in fiscal year 2011, $36.7 million in fiscal year | ||
2012, $36.7 million in fiscal year 2013, $36.7 million in | ||
fiscal year 2014, and $31.7 million in each fiscal year | ||
thereafter until 2032, provided that the reduction amount | ||
shall be reduced by (i) the amount certified by the | ||
Authority to the State Comptroller and State Treasurer | ||
under Section 8.25 of the State Finance Act, as amended, | ||
with respect to that fiscal year and (ii) in any fiscal | ||
year in which the amounts deposited in the trust fund under | ||
this Section exceed $318.3 million, exclusive of amounts | ||
set aside for refunds and for the reserve account, one | ||
dollar for each dollar of the deposits in the trust fund | ||
above $318.3 million with respect to that year, exclusive | ||
of amounts set aside for refunds and for the reserve | ||
account. | ||
(3) On July 20, 2010, the Comptroller shall certify to | ||
the Governor, the Treasurer, and the Chairman of the | ||
Authority the 2010 deficiency amount, which means the | ||
cumulative amount of transfers that were due from the trust | ||
fund to the McCormick Place Expansion Project Fund in | ||
fiscal years 2008, 2009, and 2010 under Section 13(g) of | ||
this Act, as it existed prior to May 27, 2010 (the | ||
effective date of Public Act 96-898), but not made. On July | ||
20, 2011 and on July 20 of each year through July 20, 2014, |
the Treasurer shall calculate for the previous fiscal year | ||
the surplus revenues in the trust fund and pay that amount | ||
to the Authority. On July 20, 2015 and on July 20 of each | ||
year thereafter, as long as bonds and notes issued under | ||
Section 13.2 or bonds and notes issued to refund those | ||
bonds and notes are outstanding, the Treasurer shall | ||
calculate for the previous fiscal year the surplus revenues | ||
in the trust fund and pay one-half of that amount to the | ||
State Treasurer for deposit into the General Revenue Fund | ||
until the 2010 deficiency amount has been paid and shall | ||
pay the balance of the surplus revenues to the Authority. | ||
"Surplus revenues" means the amounts remaining in the trust | ||
fund on June 30 of the previous fiscal year (A) after the | ||
State Treasurer has set aside in the trust fund (i) amounts | ||
retained for refunds under subparagraph (1) and (ii) any | ||
amounts necessary to meet the reserve account amount and | ||
(B) after the State Treasurer has transferred from the | ||
trust fund to the General Revenue Fund 100% of any | ||
post-2010 deficiency amount. "Reserve account amount" | ||
means $15 million in fiscal year 2011 and $30 million in | ||
each fiscal year thereafter. The reserve account amount | ||
shall be set aside in the trust fund and used as a reserve | ||
to be transferred to the McCormick Place Expansion Project | ||
Fund in the event the proceeds of taxes imposed under this | ||
Section 13 are not sufficient to fund the transfer required | ||
in subparagraph (2). "Post-2010 deficiency amount" means |
any deficiency in transfers from the trust fund to the | ||
McCormick Place Expansion Project Fund with respect to | ||
fiscal years 2011 and thereafter. It is the intention of | ||
this subparagraph (3) that no surplus revenues shall be | ||
paid to the Authority with respect to any year in which a | ||
post-2010 deficiency amount has not been satisfied by the | ||
Authority. | ||
Moneys received by the Authority as surplus revenues may be | ||
used (i) for the purposes of paying debt service on the bonds | ||
and notes issued by the Authority, including early redemption | ||
of those bonds or notes, (ii) for the purposes of repair, | ||
replacement, and improvement of the grounds, buildings, and | ||
facilities of the Authority, and (iii) for the corporate | ||
purposes of the Authority in fiscal years 2011 through 2015 in | ||
an amount not to exceed $20,000,000 annually or $80,000,000 | ||
total, which amount shall be reduced $0.75 for each dollar of | ||
the receipts of the Authority in that year from any contract | ||
entered into with respect to naming rights at McCormick Place | ||
under Section 5(m) of this Act. When bonds and notes issued | ||
under Section 13.2, or bonds or notes issued to refund those | ||
bonds and notes, are no longer outstanding, the balance in the | ||
trust fund shall be paid to the Authority.
| ||
(h) The ordinances imposing the taxes authorized by this | ||
Section shall
be repealed when bonds and notes issued under | ||
Section 13.2 or bonds and
notes issued to refund those bonds | ||
and notes are no longer outstanding.
|
(Source: P.A. 96-898, eff. 5-27-10; 96-939, eff. 6-24-10; | ||
97-333, eff. 8-12-11; revised 8-3-12.)
| ||
Section 260. The Quad Cities Regional Economic Development
| ||
Authority Act, approved September 22, 1987 is amended by | ||
changing Section 4 as follows:
| ||
(70 ILCS 510/4) (from Ch. 85, par. 6204)
| ||
Sec. 4. (a) There is hereby created a political | ||
subdivision, body politic
and municipal corporation named the | ||
Quad Cities Regional Economic Development
Authority.
The | ||
territorial jurisdiction of the Authority is that geographic | ||
area
within the boundaries of Jo Daviess JoDaviess , Carroll, | ||
Whiteside, Stephenson, Lee, Rock Island, Henry, Knox, and | ||
Mercer counties in
the State of
Illinois and any navigable | ||
waters and air space located therein.
| ||
(b) The governing and administrative powers of the | ||
Authority shall be
vested in a body consisting of 16
members | ||
including, as an ex officio
member,
the Director of Commerce | ||
and Economic Opportunity, or his or her
designee.
The other | ||
members of the Authority
shall be designated "public members", | ||
6 of whom shall be
appointed by the Governor
with the advice | ||
and consent of the Senate. Of the 6 members
appointed by
the | ||
Governor, one shall be from a city within the Authority's | ||
territory
with a population of 25,000 or more and the remainder | ||
shall be appointed at
large. Of the 6 members appointed by the |
Governor, 2 members shall
have
business or finance experience. | ||
One member shall be appointed by each of
the county board | ||
chairmen of Rock Island, Henry, Knox, and Mercer
Counties with | ||
the advice and consent of the respective county board.
Within | ||
60 days after the effective date of this amendatory Act of the | ||
97th General Assembly, one additional public member shall be | ||
appointed by each of the county board chairpersons of Jo | ||
Daviess JoDaviess , Carroll, Whiteside, Stephenson, and Lee | ||
counties with the advice and consent of the respective county | ||
board. Of the public members added by this amendatory Act of | ||
the 97th General Assembly, one shall serve for a one-year term, | ||
2 shall serve for 2-year terms, and 2 shall serve for 3-year | ||
terms, to be determined by lot. Their successors shall serve | ||
for 3-year terms. All public members shall reside within the | ||
territorial jurisdiction of this
Act. Nine
members shall | ||
constitute a quorum.
The public members shall be
persons of | ||
recognized ability and
experience in one or more of the | ||
following areas: economic development,
finance, banking, | ||
industrial development, small business management, real
estate | ||
development, community development, venture finance, organized | ||
labor
or civic, community or neighborhood organization. The | ||
Chairman of the
Authority shall be a public member elected by | ||
the affirmative vote of not
fewer than 6 members of the | ||
Authority, except that any chairperson elected on or after the | ||
effective date of this amendatory Act of the 97th General | ||
Assembly shall be elected by the affirmative vote of not fewer |
than 9 members. The term of the Chairman
shall be one year.
| ||
(c) The terms of the initial
members of the Authority shall | ||
begin 30 days after
the effective date of this Act, except (i) | ||
the terms of those
members added by this
amendatory Act of 1989 | ||
shall begin 30 days after the effective
date of this amendatory | ||
Act of 1989 and (ii) the terms of those members added
by this | ||
amendatory Act of the 92nd General Assembly shall begin 30 days | ||
after
the effective date of this amendatory Act of the 92nd | ||
General Assembly. Of
the 10 public members
appointed pursuant | ||
to this Act, 2 (one of whom shall be appointed by the
Governor) | ||
shall serve until the
third Monday in January, 1989, 2 (one of | ||
whom shall be appointed by the
Governor) shall serve until the | ||
third Monday in
January, 1990, 2
(one of whom shall be | ||
appointed by the Governor) shall serve until the
third Monday | ||
in January, 1991, 2 (both of whom shall be appointed by
the | ||
Governor) shall serve until the third Monday in January, 1992, | ||
and 2 (one
of whom shall be appointed by the Governor and one | ||
of whom shall be appointed
by the county board chairman of Knox | ||
County) shall serve until the third Monday
in January, 2004.
| ||
The initial terms of the members appointed by the county board | ||
chairmen
(other than the county board chairman of Knox County)
| ||
shall be determined by lot. All successors shall be appointed | ||
by the
original appointing authority and
hold office for a term | ||
of 3 years commencing the third
Monday in January of the year | ||
in which their term commences, except in case
of an appointment | ||
to fill a vacancy.
Vacancies
occurring among the public members |
shall be filled for the
remainder of the term.
In case of | ||
vacancy in a Governor-appointed membership when
the Senate is | ||
not in session, the Governor may make a temporary appointment
| ||
until the next meeting of the Senate when a person shall be | ||
nominated to
fill such office, and any person so nominated who | ||
is confirmed by the
Senate shall hold office during the | ||
remainder of the term and until a
successor shall be appointed | ||
and qualified.
Members of the Authority shall not be entitled | ||
to compensation for their
services
as members but shall be | ||
entitled to reimbursement for all necessary
expenses incurred | ||
in connection with the performance of their duties as members.
| ||
(d) The Governor may remove any public member of the | ||
Authority appointed
by the Governor in case
of incompetency, | ||
neglect of duty, or malfeasance in office. The Chairman
of a | ||
county board may remove any public member of the Authority | ||
appointed
by such Chairman in the case of incompetency, neglect | ||
of duty, or malfeasance in office.
| ||
(e) The Board shall appoint an Executive Director who shall | ||
have a
background in finance, including familiarity with the | ||
legal and
procedural requirements of issuing bonds, real estate | ||
or economic
development and administration. The Executive | ||
Director shall hold office
at the discretion of the Board. The | ||
Executive Director shall be the chief
administrative and | ||
operational officer of the Authority, shall direct
and | ||
supervise its administrative affairs and general management, | ||
shall perform
such other duties as may be prescribed from time |
to time by the members and
shall receive compensation fixed by | ||
the Authority.
The Authority may engage the services of such
| ||
other agents and employees, including attorneys, appraisers, | ||
engineers,
accountants, credit analysts and other consultants, | ||
as it may deem
advisable and may prescribe their duties and fix | ||
their compensation.
| ||
(f) The Board shall create a task force to study and make
| ||
recommendations to the Board on the economic development of the | ||
territory
within the jurisdiction of this Act. The number of | ||
members
constituting the task force shall be set by the Board | ||
and may vary from
time to time. The Board may set a specific | ||
date by which the task force is
to submit its final report and | ||
recommendations to the Board.
| ||
(Source: P.A. 97-278, eff. 8-8-11; revised 10-17-12.)
| ||
Section 265. The Downstate Forest Preserve District Act is | ||
amended by changing Section 8 as follows:
| ||
(70 ILCS 805/8) (from Ch. 96 1/2, par. 6315)
| ||
Sec. 8. Powers and duties of corporate authority and | ||
officers; contracts; salaries.
| ||
(a) The board shall be the corporate authority of such | ||
forest
preserve district and shall have power to pass and | ||
enforce all necessary
ordinances, rules and regulations for the | ||
management of the property and
conduct of the business of such | ||
district. The president of such board
shall have power to |
appoint such employees as may be necessary. In counties
with | ||
population of less than 3,000,000, within 60 days after their | ||
selection
the commissioners appointed under the provisions of | ||
Section 3a of this Act
shall organize by selecting from their | ||
members a president, secretary,
treasurer and such other | ||
officers as are deemed necessary who shall hold
office for the | ||
fiscal year in which elected and until their successors are
| ||
selected and qualify. In the one district in existence on July | ||
1, 1977, that
is managed by an appointed board of | ||
commissioners, the incumbent president
and the other officers | ||
appointed in the manner as originally prescribed in this
Act | ||
shall hold such offices until the completion of their | ||
respective terms or
in the case of the officers other than | ||
president until their successors
are appointed by said | ||
president, but in all cases not to extend beyond January
1, | ||
1980 and until their successors are selected and qualify. | ||
Thereafter,
the officers shall be selected in the manner as | ||
prescribed in this Section
except that their first term of | ||
office shall not expire until June 30, 1981
and until their | ||
successors are selected and qualify.
| ||
(b) In any county, city, village, incorporated town or
| ||
sanitary district where the corporate authorities act as the
| ||
governing body of a forest preserve district, the person | ||
exercising
the powers of the president of the board shall have | ||
power to appoint a
secretary and an assistant secretary and | ||
treasurer and an assistant
treasurer and such other officers |
and such employees as may be necessary.
The assistant secretary | ||
and assistant treasurer shall perform the duties
of the | ||
secretary and treasurer, respectively in case of death of such | ||
officers
or when such officers are unable to perform the duties | ||
of their respective
offices. All contracts for supplies, | ||
material or
work involving an expenditure in excess of $20,000 | ||
shall be let to the lowest
responsible bidder, after | ||
advertising at least once in one or more
newspapers of general | ||
circulation within the district, excepting work
requiring | ||
personal confidence or necessary
supplies under the control of | ||
monopolies, where competitive bidding is
impossible. Contracts | ||
for supplies, material or work involving an
expenditure of | ||
$20,000 or less may be let without advertising for bids,
but | ||
whenever practicable, at least 3 competitive bids shall be | ||
obtained
before letting such contract. All contracts for | ||
supplies, material or
work shall be signed by the president of | ||
the board of commissioners or
by any such other officer as the | ||
board in its discretion may designate.
| ||
(c) The president of any board of commissioners appointed | ||
under the
provisions of Section 3a of this Act shall receive a | ||
salary not to
exceed the sum of $2500 per annum and the salary | ||
of other members of the
board so appointed shall not exceed | ||
$1500 per annum. Salaries of the
commissioners, officers and | ||
employees shall be fixed by ordinance.
| ||
(d) Whenever a forest preserve district owns any personal | ||
property that, in the opinion of three-fifths of the members of |
the board of commissioners , is no longer necessary, useful to, | ||
or for the best interests of the forest preserve district, then | ||
three-fifths of the members of the board, at any regular | ||
meeting or any special meeting called for that purpose by an | ||
ordinance or resolution that includes a general description of | ||
the personal property, may authorize the conveyance or sale of | ||
that personal property in any manner that they may designate, | ||
with or without advertising the sale. | ||
(Source: P.A. 97-851, eff. 7-26-12; revised 10-17-12.)
| ||
Section 270. The Metropolitan Water Reclamation District | ||
Act is amended by changing Section 4 as follows: | ||
(70 ILCS 2605/4) (from Ch. 42, par. 323)
| ||
Sec. 4. The commissioners elected under this Act constitute | ||
a board
of commissioners for the district by which they are | ||
elected, which board
of commissioners is the corporate | ||
authority of the sanitary district,
and, in addition to all | ||
other powers specified in this Act, shall
establish the | ||
policies and goals of the sanitary district. The executive | ||
director, in addition to all other powers specified in this | ||
Act,
shall manage and control all the affairs and property of | ||
the sanitary
district and shall regularly report to the Board | ||
of Commissioners on the
activities of the sanitary district in | ||
executing the policies and goals
established by the board. At | ||
the regularly scheduled meeting of odd
numbered years following |
the induction of new commissioners the board of
commissioners | ||
shall elect from its own number a president and a
| ||
vice-president to serve in the absence of the president, and | ||
the
chairman of the committee on finance. The board shall | ||
provide by rule
when a vacancy occurs in the office of the | ||
president, vice-president, or
the chairman of the committee on | ||
finance and the manner of filling such
vacancy.
| ||
The board shall appoint from outside its own number the | ||
executive director and treasurer for the district.
| ||
The executive director must be a resident of the sanitary
| ||
district and a citizen of the United States. He must be | ||
selected solely
upon his administrative and technical | ||
qualifications and without regard
to his political | ||
affiliations.
| ||
In the event of illness or other prolonged absence, death | ||
or
resignation creating a vacancy in the office of the | ||
executive director, or treasurer, the board of commissioners | ||
may appoint an
acting officer from outside its own number, to | ||
perform the duties and
responsibilities of the office during | ||
the term of the absence or
vacancy.
| ||
The executive director , with the advice and consent of the | ||
board
of commissioners, shall appoint the director of | ||
engineering, director of maintenance and operations, director | ||
of human resources, director of procurement and materials | ||
management, clerk, general counsel, director of monitoring and | ||
research, and director of information technology.
These |
constitute the heads of the Department of Engineering, | ||
Maintenance and
Operations, Human Resources, Procurement and | ||
Materials Management, Finance, Law, Monitoring and Research, | ||
and
Information Technology, respectively. No other departments | ||
or heads of
departments may be created without subsequent | ||
amendment to this Act. All such
department heads are under the | ||
direct supervision of the executive director.
| ||
The executive director , with the advice and consent of the | ||
board of commissioners, shall appoint a public and | ||
intergovernmental affairs officer. The public and | ||
intergovernmental affairs officer shall serve under the direct | ||
supervision of the executive director. | ||
The director of human resources must be qualified under | ||
Section 4.2a of
this Act.
| ||
The director of procurement and materials management must | ||
be selected in accordance with Section
11.16 of this Act.
| ||
In the event of illness or other prolonged absence, death | ||
or
resignation creating a vacancy in the office of director of | ||
engineering, director of maintenance and operations, director | ||
of human resources, director of procurement and materials | ||
management,
clerk, general counsel, director of monitoring and | ||
research, public and intergovernmental affairs officer, or | ||
director
of information technology, the executive director | ||
shall appoint an acting
officer to perform the duties and | ||
responsibilities of the office during the
term of the absence | ||
or vacancy. Any such officers appointed in an acting
capacity |
are under the direct supervision of the executive director.
| ||
All appointive officers and acting officers shall give bond | ||
as may be
required by the board.
| ||
The executive director, treasurer, acting executive | ||
director,
and acting treasurer hold their offices at the | ||
pleasure of the board of
commissioners.
| ||
The acting director of engineering, acting director of | ||
maintenance and operations, acting director of human | ||
resources, acting director of procurement and materials | ||
management,
acting clerk, acting general counsel, acting | ||
director of monitoring and research, acting public and | ||
intergovernmental affairs officer, and acting director of | ||
information technology hold their
offices at the pleasure of | ||
the executive director.
| ||
The director of engineering, director of maintenance and | ||
operations, director of human resources, director of | ||
procurement and materials management, clerk, general counsel, | ||
director of monitoring and research, public and | ||
intergovernmental affairs officer, and director of information | ||
technology may be removed
from office for cause by the | ||
executive director. Prior to removal, such
officers are | ||
entitled to a public hearing before the executive director at
| ||
which hearing they may be represented by counsel. Before the | ||
hearing, the
executive director shall notify the board of | ||
commissioners of the date,
time, place and nature of the | ||
hearing.
|
In addition to the general counsel appointed by the | ||
executive director,
the board of commissioners may appoint from | ||
outside its own number an
attorney, or retain counsel, to | ||
advise the board of commissioners with
respect to its powers | ||
and duties and with respect to legal questions and
matters of | ||
policy for which the board of commissioners is responsible.
| ||
The executive director is the chief administrative officer | ||
of the
district, has supervision over and is responsible for | ||
all administrative
and operational matters of the sanitary | ||
district including the duties of
all employees which are not | ||
otherwise designated by law, and is the
appointing authority as | ||
specified in Section 4.11 of this Act.
| ||
The board, through the budget process, shall set the
| ||
compensation of all the officers and employees of the sanitary | ||
district.
Any incumbent of the office of president may appoint | ||
an administrative aide
which appointment remains in force | ||
during his incumbency unless revoked by
the president.
| ||
Effective upon the election in January, 1985 of the | ||
president and
vice-president of the board of commissioners and | ||
the chairman of the
committee on finance, the annual salary of | ||
the president shall be $37,500
and shall be increased to | ||
$39,500 in January, 1987, $41,500 in January,
1989, $50,000 in | ||
January, 1991, and $60,000 in January, 2001; the annual
salary | ||
of the vice-president shall be $35,000 and shall be increased | ||
to
$37,000 in January, 1987, $39,000 in January, 1989, $45,000 | ||
in January,
1991, and $55,000 in January, 2001; the annual |
salary of the
chairman of the committee on finance shall be | ||
$32,500 and shall be
increased to $34,500 in January, 1987, | ||
$36,500 in January, 1989,
$45,000 in January, 1991, and $55,000 | ||
in January, 2001.
| ||
The annual salaries of the other members of the Board shall | ||
be as follows:
| ||
For the three members elected in November, 1980, $26,500 | ||
per annum
for the first two years of the term; $28,000 per | ||
annum for the next two
years of the term and $30,000 per annum | ||
for the last two years.
| ||
For the three members elected in November, 1982, $28,000 | ||
per annum
for the first two years of the term and $30,000 per | ||
annum thereafter.
| ||
For members elected in November, 1984, $30,000 per
annum.
| ||
For the three members elected in November, 1986, $32,000 | ||
for each of
the first two years of the term, $34,000 for each | ||
of the next two years and
$36,000 for the last two years;
| ||
For three members elected in November, 1988, $34,000 for | ||
each of the
first two years of the term and $36,000 for each | ||
year thereafter.
| ||
For members elected in November, 1990, 1992, 1994, 1996, or | ||
1998, $40,000.
| ||
For members elected in November, 2000 and thereafter, | ||
$50,000.
| ||
Notwithstanding the other provisions of this Section, the | ||
board,
prior to January 1, 2007 and with a two-thirds vote, may |
increase the annual rate of compensation
at a separate flat | ||
amount for each of the following: the president, the | ||
vice-president, the chairman of the committee on finance, and | ||
the other members; the increased annual rate of compensation | ||
shall apply to all such officers and members whose terms as | ||
members of the board commence after the increase in | ||
compensation is adopted by the board.
| ||
The board of commissioners has full power to pass all | ||
necessary
ordinances, orders, rules, resolutions and | ||
regulations for the proper
management and conduct of the | ||
business of the board of commissioners and
the corporation and | ||
for carrying into effect the object for which the
sanitary | ||
district is formed. All ordinances, orders, rules, resolutions
| ||
and regulations passed by the board of commissioners must, | ||
before they
take effect, be approved by the president of the | ||
board of commissioners.
If he approves thereof, he shall sign | ||
them, and such as he does not
approve he shall return to the | ||
board of commissioners with his
objections in writing at the | ||
next regular meeting of the board of
commissioners occurring | ||
after the passage thereof. Such veto may extend
to any one or | ||
more items or appropriations contained in any ordinance
making | ||
an appropriation, or to the entire ordinance. If the veto | ||
extends
to a part of such ordinance, the residue takes effect. | ||
If the
president of such board of commissioners fails to return | ||
any ordinance,
order, rule, resolution or regulation with his | ||
objections thereto in the
time required, he is deemed to have |
approved it, and it takes effect
accordingly. Upon the return | ||
of any ordinance, order, rule, resolution,
or regulation by the | ||
president, the vote by which it was passed must be
reconsidered | ||
by the board of commissioners, and if upon such
reconsideration | ||
two-thirds of all the members agree by yeas and nays to
pass | ||
it, it takes effect notwithstanding the president's refusal to
| ||
approve thereof.
| ||
It is the policy of this State that all powers granted, | ||
either expressly
or by necessary implication, by this Act or | ||
any other Illinois statute to
the District may be exercised by | ||
the District notwithstanding effects on
competition. It is the | ||
intention of the
General Assembly that the "State action | ||
exemption" to the application of
federal antitrust statutes be | ||
fully available to the District to the extent
its activities | ||
are authorized by law as stated herein.
| ||
(Source: P.A. 97-893, eff. 8-3-12; revised 10-17-12.)
| ||
Section 275. The School Code is amended by changing | ||
Sections 1H-115, 10-17a, and 22-45 and by setting
forth and | ||
renumbering multiple versions of Sections 22-75 and 34-18.45 as | ||
follows: | ||
(105 ILCS 5/1H-115) | ||
Sec. 1H-115. Abolition of Panel. | ||
(a) Except as provided in subsections (b), (c), and (d) of | ||
this Section, the Panel shall be abolished 10 years after its |
creation. | ||
(b) The State Board, upon recommendation of the Panel or | ||
petition of the school board, may abolish the Panel at any time | ||
after the Panel has been in existence for 3 years if no | ||
obligations of the Panel are outstanding or remain undefeased | ||
and upon investigation and finding that: | ||
(1) none of the factors specified in Section 1A-8 of | ||
this Code remain applicable to the district; and | ||
(2) there has been substantial achievement of the goals | ||
and objectives established pursuant to the financial plan | ||
and required under Section 1H-15 of this Code. | ||
(c) The Panel of a district that otherwise meets all of the | ||
requirements for abolition of a Panel under subsection (b) of | ||
this Section , except for the fact that there are outstanding | ||
financial obligations of the Panel , may petition the State | ||
Board for reinstatement of all of the school board's boards | ||
powers and duties assumed by the Panel; and if approved by the | ||
State Board, then: | ||
(1) the Panel shall continue in operation, but its | ||
powers and duties shall be limited to those necessary to | ||
manage and administer its outstanding obligations; | ||
(2) the school board shall once again begin exercising | ||
all of the powers and duties otherwise allowed by statute; | ||
and | ||
(3) the Panel shall be abolished as provided in | ||
subsection (a) of this Section. |
(d) If the Panel of a district that otherwise meets all of | ||
the requirements for abolition of a Panel under subsection (b) | ||
of this Section, except for outstanding obligations of the | ||
Panel, then the district may petition the State Board for | ||
abolition of the Panel if the district: | ||
(1) establishes an irrevocable trust fund, the purpose | ||
of which is to provide moneys to defease the outstanding | ||
obligations of the Panel; and | ||
(2) issues funding bonds pursuant to the provisions of | ||
Sections Section 19-8 and 19-9 of this Code. | ||
A district with a Panel that falls under this subsection | ||
(d) these provisions shall be abolished as provided in | ||
subsection (a) of this Section.
| ||
(Source: P.A. 97-429, eff. 8-16-11; revised 8-3-12.)
| ||
(105 ILCS 5/10-17a) (from Ch. 122, par. 10-17a)
| ||
Sec. 10-17a. State, school district, and school report | ||
cards.
| ||
(1) By October 31, 2013 and October 31 of each subsequent | ||
school year, the State Board of Education, through the State | ||
Superintendent of Education, shall prepare a State report card, | ||
school district report cards, and school report cards, and | ||
shall by the most economic means provide to each school
| ||
district in this State, including special charter districts and | ||
districts
subject to the provisions of Article 34, the report | ||
cards for the school district and each of its schools. |
(2) In addition to any information required by federal law, | ||
the State Superintendent shall determine the indicators and | ||
presentation of the school report card, which must include, at | ||
a minimum, the most current data possessed by the State Board | ||
of Education related to the following: | ||
(A) school characteristics and student demographics, | ||
including average class size, average teaching experience, | ||
student racial/ethnic breakdown, and the percentage of | ||
students classified as low-income; the percentage of | ||
students classified as limited English proficiency; the | ||
percentage of students who have individualized education | ||
plans or 504 plans that provide for special education | ||
services; the percentage of students who annually | ||
transferred in or out of the school district; the per-pupil | ||
operating expenditure of the school district; and the | ||
per-pupil State average operating expenditure for the | ||
district type (elementary, high school, or unit); | ||
(B) curriculum information, including, where | ||
applicable, Advanced Placement, International | ||
Baccalaureate or equivalent courses, dual enrollment | ||
courses, foreign language classes, school personnel | ||
resources (including Career Technical Education teachers), | ||
before and after school programs, extracurricular | ||
activities, subjects in which elective classes are | ||
offered, health and wellness initiatives (including the | ||
average number of days of Physical Education per week per |
student), approved programs of study, awards received, | ||
community partnerships, and special programs such as | ||
programming for the gifted and talented, students with | ||
disabilities, and work-study students; | ||
(C) student outcomes, including, where applicable, the | ||
percentage of students meeting as well as exceeding State | ||
standards on assessments, the percentage of students in the | ||
eighth grade who pass Algebra, the percentage of students | ||
enrolled in post-secondary institutions (including | ||
colleges, universities, community colleges, | ||
trade/vocational schools, and training programs leading to | ||
career certification within 2 semesters of high school | ||
graduation), the percentage of students graduating from | ||
high school who are college ready, the percentage of | ||
students graduating from high school who are career ready, | ||
and the percentage of graduates enrolled in community | ||
colleges, colleges, and universities who are in one or more | ||
courses that the community college, college, or university | ||
identifies as a remedial course; | ||
(D) student progress, including, where applicable, the | ||
percentage of students in the ninth grade who have earned 5 | ||
credits or more without failing more than one core class, a | ||
measure of students entering kindergarten ready to learn, a | ||
measure of growth, and the percentage of students who enter | ||
high school on track for college and career readiness; and | ||
(E) the school environment, including, where |
applicable, the percentage of students with less than 10 | ||
absences in a school year, the percentage of teachers with | ||
less than 10 absences in a school year for reasons other | ||
than professional development, leaves taken pursuant to | ||
the federal Family Medical Leave Act of 1993, long-term | ||
disability, or parental leaves, the 3-year average of the | ||
percentage of teachers returning to the school from the | ||
previous year, the number of different principals at the | ||
school in the last 6 years, 2 or more indicators from any | ||
school climate survey developed by the State and | ||
administered pursuant to Section 2-3.153 of this Code, and | ||
the combined percentage of teachers rated as proficient or | ||
excellent in their most recent evaluation. | ||
The school report card shall also provide
information that | ||
allows for comparing the current outcome, progress, and | ||
environment data to the State average, to the school data from | ||
the past 5 years, and to the outcomes, progress, and | ||
environment of similar schools based on the type of school and | ||
enrollment of low-income, special education, and limited | ||
English proficiency students.
| ||
(3) At the discretion of the State Superintendent, the | ||
school district report card shall include a subset of the | ||
information identified in paragraphs (A) through (E) of | ||
subsection (2) of this Section, as well as information relating | ||
to the operating expense per pupil and other finances of the | ||
school district, and the State report card shall include a |
subset of the information identified in paragraphs (A) through | ||
(E) of subsection subsections (2) of this Section. | ||
(4) Notwithstanding anything to the contrary in this | ||
Section, in consultation with key education stakeholders, the | ||
State Superintendent shall at any time have the discretion to | ||
amend or update any and all metrics on the school, district, or | ||
State report card. | ||
(5) Annually, no more than 30 calendar days after receipt | ||
of the school district and school report cards from the State | ||
Superintendent of Education, each school district, including | ||
special charter districts and districts subject to the | ||
provisions of Article 34, shall present such report
cards at a | ||
regular school board meeting subject to
applicable notice | ||
requirements, post the report cards
on the
school district's | ||
Internet web site, if the district maintains an Internet web
| ||
site, make the report cards
available
to a newspaper of general | ||
circulation serving the district, and, upon
request, send the | ||
report cards
home to a parent (unless the district does not | ||
maintain an Internet web site,
in which case
the report card | ||
shall be sent home to parents without request). If the
district | ||
posts the report card on its Internet web
site, the district
| ||
shall send a
written notice home to parents stating (i) that | ||
the report card is available on
the web site,
(ii) the address | ||
of the web site, (iii) that a printed copy of the report card
| ||
will be sent to
parents upon request, and (iv) the telephone | ||
number that parents may
call to
request a printed copy of the |
report card.
| ||
(Source: P.A. 97-671, eff. 1-24-12; revised 8-3-12.)
| ||
(105 ILCS 5/22-45)
| ||
Sec. 22-45. Illinois P-20 Council. | ||
(a) The General Assembly finds that preparing Illinoisans | ||
for success in school and the workplace requires a continuum of | ||
quality education from preschool through graduate school. This | ||
State needs a framework to guide education policy and integrate | ||
education at every level. A statewide coordinating council to | ||
study and make recommendations concerning education at all | ||
levels can avoid fragmentation of policies, promote improved | ||
teaching and learning, and continue to cultivate and | ||
demonstrate strong accountability and efficiency. Establishing | ||
an Illinois P-20 Council will develop a statewide agenda that | ||
will move the State towards the common goals of improving | ||
academic achievement, increasing college access and success, | ||
improving use of existing data and measurements, developing | ||
improved accountability, fostering innovative approaches to | ||
education, promoting lifelong learning, easing the transition | ||
to college, and reducing remediation. A pre-kindergarten | ||
through grade 20 agenda will strengthen this State's economic | ||
competitiveness by producing a highly-skilled workforce. In | ||
addition, lifelong learning plans will enhance this State's | ||
ability to leverage funding. | ||
(b) There is created the Illinois P-20 Council. The |
Illinois P-20 Council shall include all of the following | ||
members: | ||
(1) The Governor or his or her designee, to serve as | ||
chairperson. | ||
(2) Four members of the General Assembly, one appointed | ||
by the Speaker of the House of Representatives, one | ||
appointed by the Minority Leader of the House of | ||
Representatives, one appointed by the President of the | ||
Senate, and one appointed by the Minority Leader of the | ||
Senate. | ||
(3) Six at-large members appointed by the Governor as | ||
follows, with 2 members being from the City of Chicago, 2
| ||
members being from Lake County, McHenry County, Kane
| ||
County, DuPage County, Will County, or that part of Cook
| ||
County outside of the City of Chicago, and 2 members being
| ||
from the remainder of the State: | ||
(A) one representative of civic leaders; | ||
(B) one representative of local government; | ||
(C) one representative of trade unions; | ||
(D) one representative of nonprofit organizations | ||
or foundations; | ||
(E) one representative of parents' organizations; | ||
and | ||
(F) one education research expert. | ||
(4) Five members appointed by statewide business | ||
organizations and business trade associations. |
(5) Six members appointed by statewide professional | ||
organizations and associations representing | ||
pre-kindergarten through grade 20 teachers, community | ||
college faculty, and public university faculty. | ||
(6) Two members appointed by associations representing | ||
local school administrators and school board members. One | ||
of these members must be a special education administrator. | ||
(7) One member representing community colleges, | ||
appointed by the Illinois Council of Community College | ||
Presidents. | ||
(8) One member representing 4-year independent | ||
colleges and universities, appointed by a statewide | ||
organization representing private institutions of higher | ||
learning. | ||
(9) One member representing public 4-year | ||
universities, appointed jointly by the university | ||
presidents and chancellors. | ||
(10) Ex-officio members as follows: | ||
(A) The State Superintendent of Education or his or | ||
her designee. | ||
(B) The Executive Director of the Board of Higher
| ||
Education or his or her designee. | ||
(C) The President and Chief Executive Officer of | ||
the Illinois Community College Board or his or her | ||
designee. | ||
(D) The Executive Director of the Illinois Student |
Assistance Commission or his or her designee. | ||
(E) The Co-chairpersons of the Illinois Workforce | ||
Investment Board or their designee. | ||
(F) The Director of Commerce and Economic | ||
Opportunity or his or her designee. | ||
(G) The Chairperson of the Illinois Early Learning | ||
Council or his or her designee. | ||
(H) The President of the Illinois Mathematics and | ||
Science Academy or his or her designee. | ||
(I) The president of an association representing | ||
educators of adult learners or his or her
designee. | ||
Ex-officio members shall have no vote on the Illinois P-20 | ||
Council. | ||
Appointed members shall serve for staggered terms expiring | ||
on July 1 of the first, second, or third calendar year | ||
following their appointments or until their successors are | ||
appointed and have qualified. Staggered terms shall be | ||
determined by lot at the organizing meeting of the Illinois | ||
P-20 Council. | ||
Vacancies shall be filled in the same manner as original | ||
appointments, and any member so appointed shall serve during | ||
the remainder of the term for which the vacancy occurred. | ||
(c) The Illinois P-20 Council shall be funded through State | ||
appropriations to support staff activities, research, | ||
data-collection, and dissemination. The Illinois P-20 Council | ||
shall be staffed by the Office of the Governor, in coordination |
with relevant State agencies, boards, and commissions. The | ||
Illinois Education Research Council shall provide research and | ||
coordinate research collection activities for the Illinois | ||
P-20 Council. | ||
(d) The Illinois P-20 Council shall have all of the | ||
following duties: | ||
(1) To make recommendations to do all of the following: | ||
(A) Coordinate pre-kindergarten through grade 20 | ||
(graduate school) education in this State through | ||
working at the intersections of educational systems to | ||
promote collaborative infrastructure. | ||
(B) Coordinate and leverage strategies, actions, | ||
legislation, policies, and resources of all | ||
stakeholders to support fundamental and lasting | ||
improvement in this State's public schools, community | ||
colleges, and universities. | ||
(C) Better align the high school curriculum with | ||
postsecondary expectations. | ||
(D) Better align assessments across all levels of | ||
education. | ||
(E) Reduce the need for students entering | ||
institutions of higher education to take remedial | ||
courses. | ||
(F) Smooth the transition from high school to | ||
college. | ||
(G) Improve high school and college graduation |
rates. | ||
(H) Improve the rigor and relevance of academic | ||
standards for college and workforce readiness. | ||
(I) Better align college and university teaching | ||
programs with the needs of Illinois schools.
| ||
(2) To advise the Governor, the General Assembly, the | ||
State's education and higher education agencies, and the
| ||
State's workforce and economic development boards and
| ||
agencies on policies related to lifelong learning for | ||
Illinois students and families. | ||
(3) To articulate a framework for systemic educational | ||
improvement and innovation that will enable every student | ||
to meet or exceed Illinois learning standards and be | ||
well-prepared to succeed in the workforce and community. | ||
(4) To provide an estimated fiscal impact for | ||
implementation of all Council recommendations.
| ||
(e) The chairperson of the Illinois P-20 Council may | ||
authorize the creation of working groups focusing on areas of | ||
interest to Illinois educational and workforce development, | ||
including without limitation the following areas: | ||
(1) Preparation, recruitment, and certification of | ||
highly qualified teachers. | ||
(2) Mentoring and induction of highly qualified | ||
teachers. | ||
(3) The diversity of highly qualified teachers. | ||
(4) Funding for highly qualified teachers, including |
developing a strategic and collaborative plan to seek | ||
federal and private grants to support initiatives | ||
targeting teacher preparation and its impact on student | ||
achievement. | ||
(5) Highly effective administrators. | ||
(6) Illinois birth through age 3 education, | ||
pre-kindergarten, and early childhood education. | ||
(7) The assessment, alignment, outreach, and network | ||
of college and workforce readiness efforts.
| ||
(8) Alternative routes to college access. | ||
(9) Research data and accountability. | ||
(10) Community schools, community participation, and | ||
other innovative approaches to education that foster | ||
community partnerships. | ||
The chairperson of the Illinois P-20 Council may designate | ||
Council members to serve as working group chairpersons. Working | ||
groups may invite organizations and individuals representing | ||
pre-kindergarten through grade 20 interests to participate in | ||
discussions, data collection, and dissemination.
| ||
(Source: P.A. 95-626, eff. 6-1-08; 95-996, eff. 10-3-08; | ||
96-746, eff. 8-25-09; revised 8-3-12.) | ||
(105 ILCS 5/22-75) | ||
Sec. 22-75. The Eradicate Domestic Violence Task Force. | ||
(a) There is hereby created the Eradicate Domestic Violence | ||
Task Force. The Eradicate Domestic Violence Task Force shall |
develop a statewide effective and feasible prevention course | ||
for high school students designed to prevent interpersonal, | ||
adolescent violence based on the Step Back Program for boys and | ||
girls. The Clerk of the Circuit Court in the First Judicial | ||
District shall provide administrative staff and support to the | ||
task force. | ||
(b) The Eradicate Domestic Violence Task Force shall do the | ||
following: | ||
(1) Conduct meetings to evaluate the effectiveness and | ||
feasibility of statewide implementation of the curricula | ||
of the Step Back Program at Oak Park and River Forest High | ||
School, located in Cook County, Illinois, for the | ||
prevention of domestic violence. | ||
(2) Invite the testimony of and confer with experts on | ||
relevant topics as needed. | ||
(3) Propose content for integration into school | ||
curricula aimed at preventing domestic violence. | ||
(4) Propose a method of training facilitators on the | ||
school curricula aimed at preventing domestic violence. | ||
(5) Propose partnerships with anti-violence agencies | ||
to assist with the facilitator roles and the nature of the | ||
partnerships. | ||
(6) Evaluate the approximate cost per school or school | ||
district to implement and maintain school curricula aimed | ||
at preventing domestic violence. | ||
(7) Propose a funding source or sources to support |
school curricula aimed at preventing domestic violence and | ||
agencies that provide training to the facilitators, such as | ||
a fee to be charged in domestic violence, sexual assault, | ||
and related cases to be collected by the clerk of the court | ||
for deposit into a special fund in the State treasury and | ||
to be used to fund a proposed eradicate domestic violence | ||
program in the schools of this State. | ||
(8) Propose an evaluation structure to ensure that the | ||
school curricula aimed at preventing domestic violence is | ||
effectively taught by trained facilitators. | ||
(9) Propose a method of evaluation for the purpose of | ||
modifying the content of the curriculum over time, | ||
including whether studies of the program should be | ||
conducted by the University of Illinois' Interpersonal | ||
Violence Prevention Information Center. | ||
(10) Recommend legislation developed by the task | ||
force, such as amending Sections 27-5 through 27-13.3 and | ||
27-23.4 of this Code, and legislation to create a fee to be | ||
charged in domestic violence, sexual assault, and related | ||
cases to be collected by the clerk of court for deposit | ||
into a special fund in the State treasury and to be used to | ||
fund a proposed eradicate domestic violence program in the | ||
schools of this State. | ||
(11) Produce a report of the task force's findings on | ||
best practices and policies, which shall include a plan | ||
with a phased and prioritized implementation timetable for |
implementation of school curricula aimed at preventing | ||
domestic violence in schools. The task force shall submit a | ||
report to the General Assembly on or before April 1, 2013 | ||
on its findings, recommendations, and implementation plan. | ||
Any task force reports must be published on the State Board | ||
of Education's Internet website on the date the report is | ||
delivered to the General Assembly. | ||
(c) The President of the Senate and the Speaker of the | ||
House of Representatives shall each appoint one co-chairperson | ||
of the Eradicate Domestic Violence Task Force. The Minority | ||
Leader of the Senate and the Minority Leader of the House of | ||
Representatives shall each appoint one member to the task | ||
force. In addition, the task force shall be comprised of the | ||
following members appointed by the State Board of Education and | ||
shall be representative of the geographic, racial, and ethnic | ||
diversity of this State: | ||
(1) Four representatives involved with a program for | ||
high school students at a high school that is located in a | ||
municipality with a population of 2,000,000 or more and the | ||
program is a daily, 6-week to 9-week, 45-session, | ||
gender-specific, primary prevention course designed to | ||
raise awareness of topics such as dating and domestic | ||
violence, any systematic conduct that causes measurable | ||
physical harm or emotional distress, sexual assault, | ||
digital abuse, self-defense, and suicide. | ||
(2) A representative of an interpersonal violence |
prevention program within a State university. | ||
(3) A representative of a statewide nonprofit, | ||
nongovernmental, domestic violence organization. | ||
(4) A representative of a different nonprofit, | ||
nongovernmental domestic violence organization that is | ||
located in a municipality with a population of 2,000,000 or | ||
more. | ||
(5) A representative of a statewide nonprofit, | ||
nongovernmental, sexual assault organization. | ||
(6) A representative of a different nonprofit, | ||
nongovernmental, sexual assault organization based in a | ||
county with a population of 3,000,000 or more. | ||
(7) The State Superintendent of Education or his or her | ||
designee. | ||
(8) The Chief Executive Officer of City of Chicago | ||
School District 299 or his or her designee or the President | ||
of the Chicago Board of Education or his or her designee. | ||
(9) A representative of the Department of Human | ||
Services. | ||
(10) A representative of a statewide, nonprofit | ||
professional organization representing law enforcement | ||
executives. | ||
(11) A representative of the Chicago Police | ||
Department, Youth Services Division. | ||
(12) The Clerk of the Circuit Court in the First | ||
Judicial District or his or her designee. |
(13) A representative of a statewide professional | ||
teachers organization. | ||
(14) A representative of a different statewide | ||
professional teachers organization. | ||
(15) A representative of a professional teachers | ||
organization in a city having a population exceeding | ||
500,000. | ||
(16) A representative of an organization representing | ||
principals. | ||
(17) A representative of an organization representing | ||
school administrators. | ||
(18) A representative of an organization representing | ||
school boards. | ||
(19) A representative of an organization representing | ||
school business officials. | ||
(20) A representative of an organization representing | ||
large unit school districts. | ||
(d) The following underlying purposes should be liberally | ||
construed by the task force convened under this Section: | ||
(1) Recognize that, according to the Centers for | ||
Disease Control and Prevention, National Intimate Partner | ||
and Sexual Violence Survey, December 2010 Summary Report, | ||
on average 24 people per minute are victims of rape, | ||
physical violence, or stalking by an intimate partner in | ||
the United States, equaling more than 12 million women and | ||
men. |
(2) Recognize that abused children and children | ||
exposed to domestic violence in their homes may have short | ||
and long-term physical, emotional, and learning problems, | ||
including increased aggression, decreased responsiveness | ||
to adults, failure to thrive, posttraumatic stress | ||
disorder, depression, anxiety, hypervigilance and | ||
hyperactivity, eating and sleeping problems, and | ||
developmental delays, according to the Journal of | ||
Interpersonal Violence and the Futures Without Violence | ||
organization. | ||
(3) Recognize that the Illinois Violence Prevention | ||
Authority has found that children exposed to violence in | ||
the media may become numb to the horror of violence, may | ||
gradually accept violence as a way to solve problems, may | ||
imitate the violence they see, and may identify with | ||
certain characters, victims, or victimizers. | ||
(4) Recognize that crimes and the incarceration of | ||
youth are often associated with a history of child abuse | ||
and exposure to domestic violence, according to Futures | ||
Without Violence. | ||
(5) Recognize that the cost of prosecuting crime in | ||
this State is unnecessarily high due to a lack of | ||
prevention programs designed to eradicate domestic | ||
violence. | ||
(6) Recognize that sexual violence, stalking, and | ||
intimate partner violence are serious and widespread |
public health problems for children and adults in this | ||
State. | ||
(7) Recognize that intervention programs aimed at | ||
preventing domestic violence may yield better results than | ||
programs aimed at treating the victims of domestic | ||
violence, because treatment programs may reduce the | ||
likelihood that a particular woman will be re-victimized, | ||
but might not otherwise reduce the overall amount of | ||
domestic violence. | ||
(8) Recognize that uniform, effective, feasible, and | ||
widespread prevention of sexual violence and intimate | ||
partner violence is a high priority in this State. | ||
(9) Recognize that the Step Back Program at Oak Park | ||
and River Forest High School in Cook County, Illinois, is a | ||
daily, 6 to 9 week, 45-session, gender-specific, primary | ||
prevention course for high school students designed to | ||
raise awareness of topics, including dating and domestic | ||
violence, bullying and harassment, sexual assault, digital | ||
abuse, self-defense, and suicide. The Step Back Program is | ||
co-facilitated by the high school and a nonprofit, | ||
nongovernmental domestic violence prevention specialist | ||
and service provider. | ||
(10) Develop a statewide effective prevention course | ||
for high school students based on the Step Back Program for | ||
boys and girls designed to prevent interpersonal, | ||
adolescent violence. |
(e) Members of the Eradicate Domestic Violence Task Force | ||
shall receive no compensation for their participation, but may | ||
be reimbursed by the State Board of Education for expenses in | ||
connection with their participation, including travel, if | ||
funds are available. | ||
(f) Nothing in this Section or in the prevention course is | ||
intended to infringe upon any right to exercise free expression | ||
or the free exercise of religion or religiously based views | ||
protected under the First Amendment to the United States | ||
Constitution or under Section 3 or 4 of Article 1 of the | ||
Illinois Constitution.
| ||
(Source: P.A. 97-1037, eff. 8-20-12.) | ||
(105 ILCS 5/22-76) | ||
(Section scheduled to be repealed on September 1, 2013) | ||
Sec. 22-76 22-75 . Enhance Physical Education Task Force. | ||
(a) The Enhance Physical Education Task Force is | ||
established. The task force shall consist of the following | ||
voting members: | ||
(1) a member of the General Assembly, appointed by the | ||
Speaker of the House of Representatives; | ||
(2) a member of the General Assembly, appointed by the | ||
Minority Leader of the House of Representatives; | ||
(3) a member of the General Assembly, appointed by the | ||
President of the Senate; | ||
(4) a member of the General Assembly, appointed by the |
Minority Leader of the Senate; | ||
(5) the Lieutenant Governor or his or her designee; | ||
(6) the State Superintendent of Education or his or her | ||
designee, who shall serve as a co-chairperson of the task | ||
force; | ||
(7) the Director of Public Health or his or her | ||
designee, who shall serve as a co-chairperson of the task | ||
force; | ||
(8) the chief executive officer of City of Chicago | ||
School District 299 or his or her designee; | ||
(9) 2 representatives from a statewide organization | ||
representing health, physical education, recreation, and | ||
dance, appointed by the head of that organization; | ||
(10) a representative of City of Chicago School | ||
District 299, appointed by the Chicago Board of Education; | ||
(11) 2 representatives of a statewide professional | ||
teachers' organization, appointed by the head of that | ||
organization; | ||
(12) 2 representatives of a different statewide | ||
professional teachers' organization, appointed by the head | ||
of that organization; | ||
(13) a representative of an organization representing | ||
professional teachers in a city having a population | ||
exceeding 500,000, appointed by the head of that | ||
organization; | ||
(14) a representative of a statewide organization |
representing principals, appointed by the head of that | ||
organization; | ||
(15) a representative of a statewide organization | ||
representing school administrators, appointed by the head | ||
of that organization; | ||
(16) a representative of a statewide organization | ||
representing school boards, appointed by the head of that | ||
organization; | ||
(17) a representative of a statewide organization | ||
representing school business officials, appointed by the | ||
head of that organization; | ||
(18) a representative of a statewide organization | ||
representing parents, appointed by the head of that | ||
organization; | ||
(19) a representative of a national research and | ||
advocacy organization focused on cardiovascular health and | ||
wellness, appointed by the head of that organization; | ||
(20) a representative of an organization that | ||
advocates for healthy school environments, appointed by | ||
the head of that organization; | ||
(21) a representative of a not-for-profit organization | ||
serving children and youth, appointed by the head of that | ||
organization; and | ||
(22) a representative of a not-for-profit organization | ||
that partners to promote prevention and improve public | ||
health systems that maximize the health and quality of life |
of the people of this State, appointed by the head of that | ||
organization. | ||
Additional members may be appointed to the task force with the | ||
approval of the task force's co-chairpersons. | ||
(b)
The task force shall meet at the call of the | ||
co-chairpersons, with the initial meeting of the task force | ||
being held as soon as possible after the effective date of this | ||
amendatory Act of the 97th General Assembly. | ||
(c)
The State Board of Education and the Department of | ||
Public Health shall provide assistance and necessary staff | ||
support services to the task force. | ||
(d)
The purpose of the task force is to promote and | ||
recommend enhanced physical education programs that can be | ||
integrated with a broader wellness strategy and health | ||
curriculum in elementary and secondary schools in this State, | ||
including educating and promoting leadership on enhanced | ||
physical education among school district and school officials; | ||
developing and utilizing metrics to assess the impact of | ||
enhanced physical education; promoting training and | ||
professional development in enhanced physical education for | ||
teachers and other school and community stakeholders; | ||
identifying and seeking local, State, and national resources to | ||
support enhanced physical education; and such other strategies | ||
as may be identified by the task force. | ||
(e) The task force shall
make recommendations to the | ||
Governor and the General Assembly on Goals 19, 20, 21, 22, 23, |
and 24 of the Illinois Learning Standards for Physical | ||
Development and Health. The task force shall focus on updating | ||
the standards based on research in neuroscience that impacts | ||
the relationship between physical activity and learning. | ||
(f)
On or before August 31, 2013, the task force must make | ||
recommendations and file a report with the Governor and the | ||
General Assembly. | ||
(g) This Section is repealed on September 1, 2013.
| ||
(Source: P.A. 97-1102, eff. 8-27-12; revised 10-4-12.) | ||
(105 ILCS 5/34-18.45) | ||
Sec. 34-18.45. Minimum reading instruction. The board | ||
shall promote 60 minutes of minimum reading opportunities daily | ||
for students in kindergarten through 3rd grade whose reading | ||
level is one grade level or lower than their current grade | ||
level according to current learning standards and the school | ||
district.
| ||
(Source: P.A. 97-88, eff. 7-8-11; 97-813, eff. 7-13-12.) | ||
(105 ILCS 5/34-18.47) | ||
Sec. 34-18.47 34-18.45 . Youth program. The board may | ||
develop a plan for implementing a program that seeks to | ||
establish common bonds between youth of various backgrounds and | ||
ethnicities, which may be similar to that of the Challenge Day | ||
organization.
| ||
(Source: P.A. 97-909, eff. 1-1-13; revised 9-10-12.) |
Section 280. The Currency Exchange Act is amended by | ||
changing Section 14.1 as follows:
| ||
(205 ILCS 405/14.1)
| ||
Sec. 14.1.
All moneys received by the Department
under this | ||
Act shall be deposited in the Financial Institution | ||
Institutions Fund created
under Section 6z-26 of the State | ||
Finance Act.
| ||
(Source: P.A. 97-315, eff. 1-1-12; revised 10-17-12.)
| ||
Section 285. The Residential Mortgage License Act of 1987 | ||
is amended by changing Section 3-2 as follows:
| ||
(205 ILCS 635/3-2) (from Ch. 17, par. 2323-2)
| ||
Sec. 3-2. Annual audit.
| ||
(a) At the licensee's fiscal year-end, but in no
case more | ||
than 12 months after the last audit conducted pursuant to this
| ||
Section, except as otherwise provided in this Section, it shall | ||
be
mandatory for each residential mortgage licensee to
cause | ||
its books and accounts to be audited by a certified public | ||
accountant
not connected with such licensee. The books and | ||
records of all licensees
under this Act shall be maintained on | ||
an accrual basis. The audit must be
sufficiently comprehensive | ||
in scope to permit
the expression of an opinion on the | ||
financial statements, which must be
prepared in accordance with |
generally accepted accounting principles, and
must be | ||
performed in accordance with generally accepted auditing | ||
standards. Notwithstanding
the requirements of this | ||
subsection, a licensee that is a first tier subsidiary
may | ||
submit audited consolidated financial statements of its parent | ||
as long as
the consolidated statements are supported by | ||
consolidating statements. The
licensee's chief financial | ||
officer shall attest to the licensee's financial
statements | ||
disclosed in the consolidating statements.
| ||
(b) As used herein, the term "expression of opinion" | ||
includes either
(1) an unqualified opinion, (2) a qualified | ||
opinion, (3) a disclaimer of
opinion, or (4) an adverse | ||
opinion.
| ||
(c) If a qualified or adverse opinion is expressed or if an | ||
opinion is
disclaimed, the reasons therefore must be fully | ||
explained. An opinion,
qualified as to a scope limitation, | ||
shall not be acceptable.
| ||
(d) The most recent audit report shall be filed with the
| ||
Commissioner within 90 days after the end of the licensee's | ||
fiscal year, or with the Nationwide Mortgage Licensing System | ||
and Registry, if applicable, pursuant to Mortgage Call Report | ||
requirements. The report
filed with the Commissioner shall be | ||
certified by the certified public
accountant conducting the | ||
audit. The Commissioner may promulgate rules
regarding late | ||
audit reports.
| ||
(e) If any licensee required to make an audit shall fail to |
cause an
audit to be made, the Commissioner shall cause the | ||
same to be made by a
certified public accountant at the | ||
licensee's expense. The Commissioner
shall select such | ||
certified public accountant by advertising for bids or
by such | ||
other fair and impartial means as he or she establishes by | ||
regulation.
| ||
(f) In lieu of the audit or compilation financial statement
| ||
required by this Section, a licensee shall submit and the | ||
Commissioner may
accept any audit made in conformance with the | ||
audit
requirements of the U.S. Department of Housing and Urban | ||
Development.
| ||
(g) With respect to licensees who solely broker residential | ||
mortgage
loans as defined in subsection (o) of Section 1-4, | ||
instead of the audit
required by this Section, the Commissioner | ||
may
accept
compilation financial statements prepared at least | ||
every 12 months, and
the compilation financial statement must | ||
be principles submitted within 90 days after the end of
the | ||
licensee's fiscal year, or with the Nationwide Mortgage | ||
Licensing System and Registry, if applicable, pursuant to | ||
Mortgage Call Report requirements. If a
licensee
under this | ||
Section fails to file a compilation as required, the | ||
Commissioner
shall cause an audit of the licensee's books and | ||
accounts to be made by a
certified public accountant at the | ||
licensee's expense. The Commissioner shall
select the | ||
certified public accountant by advertising for bids or by such | ||
other
fair and impartial means as he or she establishes by |
rule. A licensee who
files false or misleading compilation | ||
financial statements is guilty of a
business offense and shall | ||
be fined not less than $5,000.
| ||
(h) The workpapers of the certified public accountants | ||
employed
by each
licensee for purposes of this Section are to | ||
be made available to the
Commissioner or the Commissioner's | ||
designee upon request and may be
reproduced by the Commissioner | ||
or the Commissioner's designee to enable to
the Commissioner to | ||
carry out the purposes of this Act.
| ||
(i) Notwithstanding any other provision of this Section, if | ||
a licensee
relying on subsection (g) of this Section causes its | ||
books to be audited at any
other time or causes its financial | ||
statements to be reviewed, a complete copy
of the audited or | ||
reviewed financial statements shall be delivered to the
| ||
Commissioner at the time of the annual license renewal payment | ||
following
receipt by the licensee of the audited or reviewed | ||
financial statements. All workpapers shall be made available to | ||
the
Commissioner upon request. The financial statements and | ||
workpapers may be
reproduced by the Commissioner or the | ||
Commissioner's designee to carry out the
purposes of this Act.
| ||
(Source: P.A. 96-112, eff. 7-31-09; 97-813, eff. 7-13-12; | ||
97-891, eff. 8-3-12; revised 9-20-12.)
| ||
Section 290. The Transmitters of Money Act is amended by | ||
changing Section 45 as follows:
|
(205 ILCS 657/45)
| ||
Sec. 45. Fees.
| ||
(a) The Director shall charge and collect fees,
which shall | ||
be nonrefundable unless otherwise indicated, in accordance | ||
with the
provisions of this Act as follows:
| ||
(1) For applying for a license, an application fee of | ||
$100 and a
license
fee, which shall be refunded if the | ||
application is denied or withdrawn, of
$100 plus $10 for | ||
each location at which the applicant and its authorized
| ||
sellers are conducting business or propose to conduct | ||
business excepting the
applicant's principal place of | ||
business.
| ||
(2) For renewal of a license, a fee of $100 plus $10 | ||
for each location at
which the licensee and its authorized | ||
sellers are conducting business, except
the licensee's | ||
principal place of business.
| ||
(3) For an application to add an authorized seller | ||
location, $10 for each
authorized seller location.
| ||
(4) For service of process or other notice upon the | ||
Director as provided
by
Section 100, a fee of $10.
| ||
(5) For an application for renewal of a license | ||
received by the
Department after
December 1, a penalty fee | ||
of $10 per day for each day after December
1 in addition to | ||
any other
fees required under this Act unless an extension | ||
of time has been granted by
the
Director.
| ||
(6) For failure to submit financial statements as |
required by Section 40,
a penalty fee of $10 per day for | ||
each day the
statement is late
unless an extension of time | ||
has been granted by the Director.
| ||
(b) Beginning one year after the effective date of this | ||
Act,
the Director may, by rule, amend the fees set forth in | ||
this Section.
| ||
(c) All moneys received by the Department under this Act | ||
shall be deposited
into the Financial Institution Institutions | ||
Fund.
| ||
(Source: P.A. 92-400, eff. 1-1-02; revised 10-17-12.)
| ||
Section 295. The Sales Finance Agency Act is amended by | ||
changing Section 6.1 as follows:
| ||
(205 ILCS 660/6.1)
| ||
Sec. 6.1.
All moneys received by the Department of | ||
Financial Institutions
under this Act shall be deposited in the | ||
Financial Institution Institutions Fund created
under Section | ||
6z-26 of the State Finance Act.
| ||
(Source: P.A. 88-13; revised 10-17-12.)
| ||
Section 300. The Debt Management Service Act is amended by | ||
changing Section 12.1 as follows:
| ||
(205 ILCS 665/12.1)
| ||
Sec. 12.1.
All moneys received by the Department of |
Financial Institutions
under this Act, except moneys received | ||
for the Debt Management Service Consumer Protection Fund, shall | ||
be deposited in the Financial Institution Institutions Fund | ||
created
under Section 6z-26 of the State Finance Act.
| ||
(Source: P.A. 96-1420, eff. 8-3-10; revised 10-17-12.)
| ||
Section 305. The Consumer Installment Loan Act is amended | ||
by changing Section 8.1 as follows:
| ||
(205 ILCS 670/8.1)
| ||
Sec. 8.1.
All moneys received by the Department of | ||
Financial Institutions
under this Act shall be deposited in the | ||
Financial Institution Institutions Fund created
under Section | ||
6z-26 of the State Finance Act.
| ||
(Source: P.A. 88-13; revised 10-17-12.)
| ||
Section 310. The Nursing Home Care Act is amended by | ||
changing Section 2-204 as follows:
| ||
(210 ILCS 45/2-204) (from Ch. 111 1/2, par. 4152-204)
| ||
Sec. 2-204. The Director shall appoint a Long-Term Care | ||
Facility Advisory
Board to consult with the Department and the | ||
residents' advisory councils
created under Section 2-203.
| ||
(a) The Board shall be comprised of the following persons:
| ||
(1) The Director who shall serve as chairman, ex | ||
officio and nonvoting;
and
|
(2) One representative each of the Department of | ||
Healthcare and Family Services, the
Department of Human | ||
Services, the Department on
Aging, and the Office of the | ||
State Fire Marshal, all nonvoting members;
| ||
(3) One member who shall be a physician licensed to | ||
practice medicine
in all its branches;
| ||
(4) One member who shall be a registered nurse selected | ||
from the
recommendations of professional nursing | ||
associations;
| ||
(5) Four members who shall be selected from the | ||
recommendations by
organizations whose membership consists | ||
of facilities;
| ||
(6) Two members who shall represent the general public | ||
who are not members
of a residents' advisory council | ||
established under Section 2-203 and who
have no | ||
responsibility for management or formation of policy or | ||
financial
interest in a facility;
| ||
(7) One member who is a member of a residents' advisory | ||
council
established under Section 2-203 and is capable of | ||
actively participating on the
Board; and
| ||
(8) One member who shall be selected from the | ||
recommendations of
consumer organizations which engage | ||
solely in advocacy or legal
representation on behalf of | ||
residents and their immediate families.
| ||
(b) The terms of those members of the Board appointed prior | ||
to the
effective date of this amendatory Act of 1988 shall |
expire on December 31,
1988. Members of the Board created by | ||
this amendatory Act of 1988 shall be
appointed to serve for | ||
terms as follows: 3 for 2 years, 3 for 3 years
and 3 for 4 | ||
years. The member of the Board added by this amendatory Act
of | ||
1989 shall be appointed to serve for a term of 4 years. Each | ||
successor
member shall be appointed for a term of 4 years. Any | ||
member appointed to fill
a vacancy occurring prior to the | ||
expiration of the term for which his
predecessor was appointed | ||
shall be appointed for the remainder of such term.
The Board | ||
shall meet as frequently as the chairman deems necessary, but | ||
not
less than 4 times each year. Upon request by 4 or more | ||
members the chairman
shall call a meeting of the Board. The | ||
affirmative vote of 6 members of the
Board shall be necessary | ||
for Board action. A member of the Board can designate
a | ||
replacement to serve at the Board meeting and vote in place of | ||
the member by
submitting a letter of designation to the | ||
chairman prior to or at the
Board meeting. The Board members | ||
shall be reimbursed for their actual
expenses incurred in the | ||
performance of their duties.
| ||
(c) The Advisory Board shall advise the Department of | ||
Public Health on
all aspects of its responsibilities under this | ||
Act and the Specialized Mental Health Rehabilitation | ||
Facilities Act, including the format
and content of any rules | ||
promulgated by the Department of Public Health.
Any such rules, | ||
except emergency rules promulgated pursuant to Section 5-45 of
| ||
the Illinois Administrative Procedure Act, promulgated without
|
obtaining the advice of the Advisory Board are null and void. | ||
In the event
that the Department fails to follow the advice of | ||
the Board, the Department
shall, prior to the promulgation of | ||
such rules, transmit a written explanation
of the reason | ||
thereof to the Board. During its review of rules, the Board
| ||
shall analyze the economic and regulatory impact of those | ||
rules. If the
Advisory Board, having been asked for its advice, | ||
fails to advise the
Department within 90 days, the rules shall | ||
be considered acted upon.
| ||
(Source: P.A. 97-38, eff. 6-28-11; revised 8-3-12.)
| ||
Section 315. The ID/DD Community Care Act is amended by | ||
changing Section 3-310 as follows: | ||
(210 ILCS 47/3-310)
| ||
Sec. 3-310. Collection of penalties. All penalties shall be | ||
paid to the Department within 10 days of receipt of notice of | ||
assessment or, if the penalty is contested under Section 3-309, | ||
within 10 days of receipt of the final decision, unless the | ||
decision is appealed and the order is stayed by court order | ||
under Section 3-713. A facility choosing to waive the right to | ||
a hearing under Section 3-309 shall submit a payment totaling | ||
65% of the original fine amount along with the written waiver. | ||
A penalty assessed under this Act shall be collected by the | ||
Department and shall be deposited with the State Treasurer into | ||
the Long Term Care Monitor/Receiver Fund. If the person or |
facility against whom a penalty has been assessed does not | ||
comply with a written demand for payment within 30 days, the | ||
Director shall issue an order to do any of the following: | ||
(1) Direct the State Treasurer or Comptroller to deduct | ||
the amount
of the fine from amounts otherwise due from the | ||
State for the penalty, including any payments to be made | ||
from the Developmentally Disabled Care Provider Fund for | ||
Persons with a Developmental Disability established under | ||
Section 5C-7 of the Illinois Public Aid Code, and remit | ||
that amount to the Department; | ||
(2) Add the amount of the penalty to the facility's
| ||
licensing fee; if the licensee refuses to make the payment | ||
at the time of application for renewal of its license, the | ||
license shall not be renewed; or | ||
(3) Bring an action in circuit court to recover the
| ||
amount of the penalty.
| ||
(Source: P.A. 96-339, eff. 7-1-10; 97-38, eff. 6-28-11; 97-333, | ||
eff. 8-12-11; 97-813, eff. 7-13-12; revised 10-18-12.) | ||
Section 320. The Specialized Mental Health Rehabilitation | ||
Act is amended by changing Sections 1-101.01, 3-207, and 4-101 | ||
as follows: | ||
(210 ILCS 48/1-101.01)
| ||
Sec. 1-101.01. Legislative findings. Illinois is committed | ||
to providing behavioral health services in the most |
community-integrated settings possible, based on the needs of | ||
residents who qualify for State support. This goal is | ||
consistent with federal law and regulations and recent court | ||
decrees. A variety of services and settings are necessary to | ||
ensure that people with serious mental illness receive high | ||
quality care that is oriented towards their safety, | ||
rehabilitation, and recovery. | ||
Residential settings are an important component of the | ||
system of behavioral health care that Illinois is developing. | ||
When residential treatment is necessary these facilities must | ||
offer high quality rehabilitation and recover care, help | ||
residents achieve and maintain their highest level of | ||
independent functioning, and prepare them to live in permanent | ||
supportive housing and other community-integrated settings. | ||
Facilities licensed under the Specialized Mental Health | ||
Rehabilitation Act will be models of such residential | ||
residental care, demonstrating the elements essential to help | ||
people with serious mental illness transition to more | ||
independent living and return to healthy, productive lives.
| ||
(Source: P.A. 97-38, eff. 6-28-11; revised 8-3-12.) | ||
(210 ILCS 48/3-207)
| ||
Sec. 3-207. Statement of ownership. | ||
(a) As a condition of the issuance or renewal of the | ||
license of any facility, the applicant shall file a statement | ||
of ownership. The applicant shall update the information |
required in the statement of ownership within 10 days of any | ||
change. | ||
(b) The statement of ownership shall include the following: | ||
(1) The name, address, telephone number, occupation or | ||
business activity, business address and business telephone | ||
number of the person who is the owner of the facility and | ||
every person who owns the building in which the facility is | ||
located, if other than the owner of the facility, which is | ||
the subject of the application or license; and if the owner | ||
is a partnership or corporation, the name of every partner | ||
and stockholder of the owner; | ||
(2) The name and address of any facility, wherever | ||
whereever located, any financial interest in which is owned | ||
by the applicant, if the facility were required to be | ||
licensed if it were located in this State; | ||
(3) Other information necessary to determine the | ||
identity and qualifications of an applicant or licensee to | ||
operate a facility in accordance with this Act as required | ||
by the Department in regulations. | ||
(c) The information in the statement of ownership shall be | ||
public information and shall be available from the Department.
| ||
(Source: P.A. 97-38, eff. 6-28-11; revised 8-3-12.) | ||
(210 ILCS 48/4-101)
| ||
Sec. 4-101. Payments. For facilities licensed by the | ||
Department of Public Health under this the Specialized Mental |
Health Rehabilitation Facilities Act, the payment methodology | ||
in effect on June 30, 2011, shall be $1 less than the rate that | ||
would have been paid pursuant to Article V of the Illinois | ||
Public Aid Code for that same facility, had the facility been | ||
licensed under a different Act and been participating in the | ||
Demonstration Program pursuant to Department rules. Any | ||
adjustment in the support component or the capital component | ||
for facilities licensed by the Department of Public Health | ||
under the Nursing Home Care Act shall apply equally to | ||
facilities licensed by the Department of Public Health under | ||
this the Specialized Mental Health Rehabilitation Facilities | ||
Act. Any change in rate methodology shall be made in statute.
| ||
(Source: P.A. 97-38, eff. 6-28-11; revised 8-3-12.) | ||
Section 325. The Emergency Medical Services (EMS) Systems | ||
Act is amended by changing Sections 3.50 and 3.190 as follows:
| ||
(210 ILCS 50/3.50)
| ||
Sec. 3.50. Emergency Medical Technician (EMT) Licensure.
| ||
(a) "Emergency Medical Technician-Basic" or
"EMT-B" means | ||
a person who has successfully completed a course of
instruction | ||
in basic life support
as prescribed by the
Department, is | ||
currently licensed by the Department in
accordance with | ||
standards prescribed by this Act and rules
adopted by the | ||
Department pursuant to this Act, and practices within an EMS
| ||
System.
|
(b) "Emergency Medical Technician-Intermediate"
or "EMT-I" | ||
means a person who has successfully completed a
course of | ||
instruction in intermediate life support
as
prescribed by the | ||
Department, is currently licensed by the
Department in | ||
accordance with standards prescribed by this
Act and rules | ||
adopted by the Department pursuant to this
Act, and practices | ||
within an Intermediate or Advanced
Life Support EMS System.
| ||
(c) "Emergency Medical Technician-Paramedic" or "EMT-P" | ||
means a person who
has successfully completed a
course of | ||
instruction in advanced life support care
as
prescribed by the | ||
Department, is licensed by the Department
in accordance with | ||
standards prescribed by this Act and
rules adopted by the | ||
Department pursuant to this Act, and
practices within an | ||
Advanced Life Support EMS System.
| ||
(d) The Department shall have the authority and
| ||
responsibility to:
| ||
(1) Prescribe education and training requirements, | ||
which
includes training in the use of epinephrine,
for all | ||
levels of EMT, based on the respective national
curricula | ||
of the United States Department of Transportation
and any | ||
modifications to such curricula specified by the
| ||
Department through rules adopted pursuant to this Act.
| ||
(2) Prescribe licensure testing requirements
for all | ||
levels of EMT, which shall include a requirement that
all | ||
phases of instruction, training, and field experience be
| ||
completed before taking the EMT licensure examination.
|
Candidates may elect to take the National Registry of
| ||
Emergency Medical Technicians examination in lieu of the
| ||
Department's examination, but are responsible for making
| ||
their own arrangements for taking the National Registry
| ||
examination.
| ||
(2.5) Review applications for EMT licensure from
| ||
honorably discharged members of the armed forces of the | ||
United States with military emergency medical training. | ||
Applications shall be filed with the Department within one | ||
year after military discharge and shall contain: (i) proof | ||
of successful completion of military emergency medical | ||
training; (ii) a detailed description of the emergency | ||
medical curriculum completed; and (iii) a detailed | ||
description of the applicant's clinical experience. The | ||
Department may request additional and clarifying | ||
information. The Department shall evaluate the | ||
application, including the applicant's training and | ||
experience, consistent with the standards set forth under | ||
subsections (a), (b), (c), and (d) of Section 3.10. If the | ||
application clearly demonstrates that the training and | ||
experience meets such standards, the Department shall | ||
offer the applicant the opportunity to successfully | ||
complete a Department-approved
EMT examination for which | ||
the applicant is qualified. Upon passage of an examination, | ||
the Department shall issue a license, which shall be | ||
subject to all provisions of this Act that are otherwise |
applicable to the class of EMT
license issued.
| ||
(3) License individuals as an EMT-B, EMT-I,
or EMT-P | ||
who have met the Department's education, training and
| ||
examination requirements.
| ||
(4) Prescribe annual continuing education and
| ||
relicensure requirements for all levels of EMT.
| ||
(5) Relicense individuals as an EMT-B, EMT-I,
or EMT-P | ||
every 4 years, based on their compliance with
continuing | ||
education and relicensure requirements. An Illinois | ||
licensed Emergency Medical Technician whose license has | ||
been expired for less than 36 months may apply for | ||
reinstatement by the Department. Reinstatement shall | ||
require that the applicant (i) submit satisfactory proof of | ||
completion of continuing medical education and clinical | ||
requirements to be prescribed by the Department in an | ||
administrative rule; (ii) submit a positive recommendation | ||
from an Illinois EMS Medical Director attesting to the | ||
applicant's qualifications for retesting; and (iii) pass a | ||
Department approved test for the level of EMT license | ||
sought to be reinstated.
| ||
(6) Grant inactive status to any EMT who
qualifies, | ||
based on standards and procedures established by
the | ||
Department in rules adopted pursuant to this Act.
| ||
(7) Charge a fee for EMT examination, licensure, and | ||
license renewal.
| ||
(8) Suspend, revoke, or refuse to issue or renew the
|
license of any licensee, after an opportunity for an | ||
impartial hearing before a neutral administrative law | ||
judge appointed by the Director, where the preponderance of | ||
the evidence shows one or more of the following:
| ||
(A) The licensee has not met continuing
education | ||
or relicensure requirements as prescribed by the | ||
Department;
| ||
(B) The licensee has failed to maintain
| ||
proficiency in the level of skills for which he or she | ||
is licensed;
| ||
(C) The licensee, during the provision of
medical | ||
services, engaged in dishonorable, unethical, or
| ||
unprofessional conduct of a character likely to | ||
deceive,
defraud, or harm the public;
| ||
(D) The licensee has failed to maintain or
has | ||
violated standards of performance and conduct as | ||
prescribed
by the Department in rules adopted pursuant | ||
to this Act or
his or her EMS System's Program Plan;
| ||
(E) The licensee is physically impaired to
the | ||
extent that he or she cannot physically perform the | ||
skills and
functions for which he or she is licensed, | ||
as verified by a
physician, unless the person is on | ||
inactive status pursuant
to Department regulations;
| ||
(F) The licensee is mentally impaired to the
extent | ||
that he or she cannot exercise the appropriate | ||
judgment,
skill and safety for performing the |
functions for which he
or she is licensed, as verified | ||
by a physician, unless the person
is on inactive status | ||
pursuant to Department regulations;
| ||
(G) The licensee has violated this Act or any
rule | ||
adopted by the Department pursuant to this Act; or | ||
(H) The licensee has been convicted (or entered a | ||
plea of guilty or nolo-contendere) by a court of | ||
competent jurisdiction of a Class X, Class 1, or Class | ||
2 felony in this State or an out-of-state equivalent | ||
offense. | ||
(9) An EMT who is a member of the Illinois National Guard | ||
or an Illinois State Trooper or who exclusively serves as a | ||
volunteer for units of local government with a population base | ||
of less than 5,000 or as a volunteer
for a not-for-profit | ||
organization that serves a service area
with a population base | ||
of less than 5,000 may submit an application to the Department | ||
for a waiver of the these fees described under paragraph (7) on | ||
a form prescribed by the Department. | ||
The education requirements prescribed by the Department | ||
under this subsection must allow for the suspension of those | ||
requirements in the case of a member of the armed services or | ||
reserve forces of the United States or a member of the Illinois | ||
National Guard who is on 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 at | ||
the time that the member would otherwise be required to fulfill |
a particular education requirement. Such a person must fulfill | ||
the education requirement within 6 months after his or her | ||
release from active duty.
| ||
(e) In the event that any rule of the
Department or an EMS | ||
Medical Director that requires testing for drug
use as a | ||
condition for EMT licensure conflicts with or
duplicates a | ||
provision of a collective bargaining agreement
that requires | ||
testing for drug use, that rule shall not
apply to any person | ||
covered by the collective bargaining
agreement.
| ||
(Source: P.A. 96-540, eff. 8-17-09; 96-1149, eff. 7-21-10; | ||
96-1469, eff. 1-1-11; 97-333, eff. 8-12-11; 97-509, eff. | ||
8-23-11; 97-813, eff. 7-13-12; 97-1014, eff. 1-1-13; revised | ||
10-17-12.)
| ||
(210 ILCS 50/3.190)
| ||
Sec. 3.190. Emergency Department Classifications. The | ||
Department shall have the authority and
responsibility to:
| ||
(a) Establish criteria for classifying the
emergency | ||
departments of all hospitals within the State as
| ||
Comprehensive, Basic, or Standby. In establishing such
| ||
criteria, the Department may consult with the Illinois
| ||
Hospital Licensing Board and incorporate by reference all
| ||
or part of existing standards adopted as rules pursuant to
| ||
the Hospital Licensing Act or Emergency Medical Treatment
| ||
Act;
| ||
(b) Classify the emergency departments of all
|
hospitals within the State in accordance with this Section;
| ||
(c) Annually publish, and distribute to all EMS
| ||
Systems, a list reflecting the classification of all
| ||
emergency departments.
| ||
(d) For the purposes of paragraphs (a) and (b) of this | ||
Section, long-term acute care hospitals, as defined under the | ||
Hospital Emergency Service Act, are not required to provide | ||
hospital emergency services and shall be classified as not | ||
available. | ||
(Source: P.A. 97-667, eff. 1-13-12; revised 8-3-12.)
| ||
Section 330. The Hospital Licensing Act is amended by | ||
changing Section 6.14a as follows:
| ||
(210 ILCS 85/6.14a)
| ||
Sec. 6.14a. Public disclosure of information. The | ||
following
information is subject to disclosure to
the public | ||
from the Department:
| ||
(1) Information submitted under Section 5 of this Act;
| ||
(2) Final records of license and certification | ||
inspections, surveys, and
evaluations of hospitals; and
| ||
(3) Investigated complaints filed against a hospital | ||
and complaint
investigation
reports, except that a | ||
complaint or complaint investigation report shall
not be | ||
disclosed to a person other than the complainant or | ||
complainant's
representative before it is disclosed to a |
hospital,
and except that a complainant or patient's name | ||
shall not be
disclosed.
| ||
The Department shall disclose information under this | ||
Section in
accordance with provisions for inspection and | ||
copying of public records
required by the Freedom of | ||
Information Act.
| ||
However, the disclosure of information described in | ||
subsection (1) shall
not be restricted by any provision of the | ||
Freedom of Information Act.
| ||
Notwithstanding any other provision of law, under no | ||
circumstances shall the
Department disclose information | ||
obtained from a hospital that is confidential
under Part 21 of | ||
Article VIII 8 of the Code of Civil Procedure.
| ||
Any records or reports of inspections, surveys, or | ||
evaluations of hospitals
may be disclosed only after the | ||
acceptance of a plan of correction by the
Health Care Financing | ||
Administration of the U.S. Department of Health and Human
| ||
Services or the Department, as appropriate, or at the | ||
conclusion of any
administrative review of the Department's | ||
decision, or at the conclusion of any
judicial review of such | ||
administrative decision. Whenever any record or report
is | ||
subject to disclosure under this Section, the Department shall | ||
permit the
hospital to provide a written statement pertaining | ||
to such report which shall
be included as part of the | ||
information to be disclosed. The Department shall
not divulge | ||
or disclose any record or report in a manner that identifies or
|
would permit the identification of any natural person.
| ||
(Source: P.A. 91-242, eff. 1-1-00; revised 10-17-12.)
| ||
Section 335. The Hospital Report Card Act is amended by | ||
changing Section 25 as follows:
| ||
(210 ILCS 86/25)
| ||
Sec. 25. Hospital reports.
| ||
(a) Individual hospitals shall prepare a quarterly report | ||
including all of
the
following:
| ||
(1) Nursing hours per patient day, average daily | ||
census, and average daily
hours worked
for each clinical | ||
service area.
| ||
(2) Infection-related measures for the facility for | ||
the specific clinical
procedures
and devices determined by | ||
the Department by rule under 2 or more of the following | ||
categories:
| ||
(A) Surgical procedure outcome measures.
| ||
(B) Surgical procedure infection control process | ||
measures.
| ||
(C)
Outcome or process measures related to | ||
ventilator-associated pneumonia.
| ||
(D) Central vascular catheter-related bloodstream | ||
infection rates in designated critical care units.
| ||
(3) Information required under paragraph (4) of | ||
Section 2310-312 of the Department of Public Health Powers |
and Duties Law of the
Civil Administrative Code of | ||
Illinois.
| ||
The infection-related measures developed by the Department | ||
shall be based upon measures and methods developed by the | ||
Centers for Disease Control and Prevention, the Centers for | ||
Medicare and Medicaid Services, the Agency for Healthcare | ||
Research and Quality, the Joint Commission on Accreditation of | ||
Healthcare Organizations, or the National Quality Forum. | ||
The Department shall include interpretive guidelines for | ||
infection-related indicators and, when available, shall | ||
include relevant benchmark information published by national | ||
organizations.
| ||
(b) Individual hospitals shall prepare annual reports | ||
including vacancy and
turnover rates
for licensed nurses per | ||
clinical service area.
| ||
(c) None of the information the Department discloses to the | ||
public may be
made
available
in any form or fashion unless the | ||
information has been reviewed, adjusted, and
validated
| ||
according to the following process:
| ||
(1) The Department shall organize an advisory | ||
committee, including
representatives
from the Department, | ||
public and private hospitals, direct care nursing staff,
| ||
physicians,
academic researchers, consumers, health | ||
insurance companies, organized labor,
and
organizations | ||
representing hospitals and physicians. The advisory | ||
committee
must be
meaningfully involved in the development |
of all aspects of the Department's
methodology
for | ||
collecting, analyzing, and disclosing the information | ||
collected under this
Act, including
collection methods, | ||
formatting, and methods and means for release and
| ||
dissemination.
| ||
(2) The entire methodology for collecting and | ||
analyzing the data shall be
disclosed
to all
relevant | ||
organizations and to all hospitals that are the subject of | ||
any
information to be made
available to the public before | ||
any public disclosure of such information.
| ||
(3) Data collection and analytical methodologies shall | ||
be used that meet
accepted
standards of validity and | ||
reliability before any information is made available
to the | ||
public.
| ||
(4) The limitations of the data sources and analytic | ||
methodologies used to
develop
comparative hospital | ||
information shall be clearly identified and acknowledged,
| ||
including but not
limited to the appropriate and | ||
inappropriate uses of the data.
| ||
(5) To the greatest extent possible, comparative | ||
hospital information
initiatives shall
use standard-based | ||
norms derived from widely accepted provider-developed
| ||
practice
guidelines.
| ||
(6) Comparative hospital information and other | ||
information that the
Department
has
compiled regarding | ||
hospitals shall be shared with the hospitals under review
|
prior to
public
dissemination of such information and these | ||
hospitals have 30 days to make
corrections and
to add | ||
helpful explanatory comments about the information before | ||
the
publication.
| ||
(7) Comparisons among hospitals shall adjust for | ||
patient case mix and
other
relevant
risk factors and | ||
control for provider peer groups, when appropriate.
| ||
(8) Effective safeguards to protect against the | ||
unauthorized use or
disclosure
of
hospital information | ||
shall be developed and implemented.
| ||
(9) Effective safeguards to protect against the | ||
dissemination of
inconsistent,
incomplete, invalid, | ||
inaccurate, or subjective hospital data shall be developed
| ||
and
implemented.
| ||
(10) The quality and accuracy of hospital information | ||
reported under this
Act
and its
data collection, analysis, | ||
and dissemination methodologies shall be evaluated
| ||
regularly.
| ||
(11) Only the most basic identifying information from | ||
mandatory reports
shall be
used, and
information | ||
identifying a patient, employee, or licensed professional
| ||
shall not be released.
None of the information the | ||
Department discloses to the public under this Act
may be | ||
used to
establish a standard of care in a private civil | ||
action.
| ||
(d) Quarterly reports shall be submitted, in a format set |
forth in rules
adopted
by the
Department, to the Department by | ||
April 30, July 31, October 31, and January 31
each year
for the | ||
previous quarter. Data in quarterly reports must cover a period | ||
ending
not earlier than
one month prior to submission of the | ||
report. Annual reports shall be submitted
by December
31 in a | ||
format set forth in rules adopted by the Department to the | ||
Department.
All reports
shall be made available to the public | ||
on-site and through the Department.
| ||
(e) If the hospital is a division or subsidiary of another | ||
entity that owns
or
operates other
hospitals or related | ||
organizations, the annual public disclosure report shall
be for | ||
the specific
division or subsidiary and not for the other | ||
entity.
| ||
(f) The Department shall disclose information under this | ||
Section in
accordance with provisions for inspection and | ||
copying of public records
required by the Freedom of
| ||
Information Act provided that such information satisfies the | ||
provisions of
subsection (c) of this Section.
| ||
(g) Notwithstanding any other provision of law, under no | ||
circumstances shall
the
Department disclose information | ||
obtained from a hospital that is confidential
under Part 21
of | ||
Article VIII 8 of the Code of Civil Procedure.
| ||
(h) No hospital report or Department disclosure may contain | ||
information
identifying a patient, employee, or licensed | ||
professional.
| ||
(Source: P.A. 94-275, eff. 7-19-05; 95-282, eff. 8-20-07; |
revised 10-17-12.)
| ||
Section 340. The Community-Integrated Living Arrangements | ||
Licensure and
Certification Act is amended by changing Section | ||
10 as follows:
| ||
(210 ILCS 135/10) (from Ch. 91 1/2, par. 1710)
| ||
Sec. 10. State plan. | ||
(a) Community-integrated Community integrated living | ||
arrangements
shall be located so as to enable residents to | ||
participate in and be
integrated into their community or | ||
neighborhood. The location of such
arrangements shall promote | ||
community integration of persons with mental
disabilities. The | ||
Department shall adopt a plan ("State plan") for the
| ||
distribution of community living arrangements throughout the | ||
State,
considering the need for such arrangements in the | ||
various locations in
which they are to be used. Each agency | ||
licensed under this Act must define
the process of obtaining | ||
community acceptance of community living
arrangements. The | ||
State plan shall include guidelines regarding the
location of | ||
community-integrated community integrated living arrangements | ||
within the geographic
areas to be served by the agencies, and | ||
the availability of support
services within those areas for | ||
residents under such arrangements. The
Department shall | ||
promulgate such guidelines as rules pursuant to the The
| ||
Illinois Administrative Procedure Act.
|
The Department shall require any agency licensed under this | ||
Act to establish
procedures for assuring compliance with such | ||
criteria, including annual
review and comment by | ||
representatives of local governmental authorities,
community | ||
mental health and developmental disabilities planning and | ||
service
agencies, and other interested civil organizations, | ||
regarding the impact on
their community areas of any living | ||
arrangements, programs or services to
be certified by such | ||
agency. The Department shall give consideration to
the comments | ||
of such community representatives in determinations of
| ||
compliance with the State plan under this Section, and the | ||
Department may
modify, suspend or withhold funding of such | ||
programs and services subject
to this Act until such times as | ||
assurance is achieved.
| ||
(b) Beginning January 1, 1990, no Department of State | ||
government, as
defined in the The Civil
Administrative Code of | ||
Illinois, shall place any person in or utilize any
services of | ||
a community-integrated living arrangement which is not
| ||
certified by an agency under this Act.
| ||
(Source: P.A. 86-922; revised 10-17-12.)
| ||
Section 345. The Illinois Insurance Code is amended by | ||
changing Sections 408, 511.111, and 513a5 as follows:
| ||
(215 ILCS 5/408) (from Ch. 73, par. 1020)
| ||
Sec. 408. Fees and charges.
|
(1) The Director shall charge, collect and
give proper | ||
acquittances for the payment of the following fees and charges:
| ||
(a) For filing all documents submitted for the | ||
incorporation or
organization or certification of a | ||
domestic company, except for a fraternal
benefit society, | ||
$2,000.
| ||
(b) For filing all documents submitted for the | ||
incorporation or
organization of a fraternal benefit | ||
society, $500.
| ||
(c) For filing amendments to articles of incorporation | ||
and amendments to
declaration of organization, except for a | ||
fraternal benefit society, a
mutual benefit association, a | ||
burial society or a farm mutual, $200.
| ||
(d) For filing amendments to articles of incorporation | ||
of a fraternal
benefit society, a mutual benefit | ||
association or a burial society, $100.
| ||
(e) For filing amendments to articles of incorporation | ||
of a farm mutual,
$50.
| ||
(f) For filing bylaws or amendments thereto, $50.
| ||
(g) For filing agreement of merger or consolidation:
| ||
(i) for a domestic company, except
for a fraternal | ||
benefit society, a
mutual benefit association, a | ||
burial society,
or a farm mutual, $2,000.
| ||
(ii) for a foreign or
alien company, except for a | ||
fraternal
benefit society, $600.
| ||
(iii) for a fraternal benefit society,
a mutual |
benefit association, a burial society,
or a farm | ||
mutual, $200.
| ||
(h) For filing agreements of reinsurance by a domestic | ||
company, $200.
| ||
(i) For filing all documents submitted by a foreign or | ||
alien
company to be admitted to transact business or | ||
accredited as a
reinsurer in this State, except for a
| ||
fraternal benefit society, $5,000.
| ||
(j) For filing all documents submitted by a foreign or | ||
alien
fraternal benefit society to be admitted to transact | ||
business
in this State, $500.
| ||
(k) For filing declaration of withdrawal of a foreign | ||
or
alien company, $50.
| ||
(l) For filing annual statement by a domestic company, | ||
except a fraternal benefit
society, a mutual benefit | ||
association, a burial society, or
a farm mutual, $200.
| ||
(m) For filing annual statement by a domestic fraternal | ||
benefit
society, $100.
| ||
(n) For filing annual statement by a farm mutual, a | ||
mutual benefit
association, or a burial society, $50.
| ||
(o) For issuing a certificate of authority or
renewal | ||
thereof except to a foreign fraternal benefit society, | ||
$400.
| ||
(p) For issuing a certificate of authority or renewal | ||
thereof to a foreign
fraternal benefit society, $200.
| ||
(q) For issuing an amended certificate of authority, |
$50.
| ||
(r) For each certified copy of certificate of | ||
authority, $20.
| ||
(s) For each certificate of deposit, or valuation, or | ||
compliance
or surety certificate, $20.
| ||
(t) For copies of papers or records per page, $1.
| ||
(u) For each certification to copies
of papers or | ||
records, $10.
| ||
(v) For multiple copies of documents or certificates | ||
listed in
subparagraphs (r), (s), and (u) of paragraph (1) | ||
of this Section, $10 for
the first copy of a certificate of | ||
any type and $5 for each additional copy
of the same | ||
certificate requested at the same time, unless, pursuant to
| ||
paragraph (2) of this Section, the Director finds these | ||
additional fees
excessive.
| ||
(w) For issuing a permit to sell shares or increase | ||
paid-up
capital:
| ||
(i) in connection with a public stock offering, | ||
$300;
| ||
(ii) in any other case, $100.
| ||
(x) For issuing any other certificate required or | ||
permissible
under the law, $50.
| ||
(y) For filing a plan of exchange of the stock of a | ||
domestic
stock insurance company, a plan of | ||
demutualization of a domestic
mutual company, or a plan of | ||
reorganization under Article XII, $2,000.
|
(z) For filing a statement of acquisition of a
domestic | ||
company as defined in Section 131.4 of this Code, $2,000.
| ||
(aa) For filing an agreement to purchase the business | ||
of an
organization authorized under the Dental Service Plan | ||
Act
or the Voluntary Health Services Plans Act or
of a | ||
health maintenance
organization or a limited health | ||
service organization, $2,000.
| ||
(bb) For filing a statement of acquisition of a foreign | ||
or alien
insurance company as defined in Section 131.12a of | ||
this Code, $1,000.
| ||
(cc) For filing a registration statement as required in | ||
Sections 131.13
and 131.14, the notification as required by | ||
Sections 131.16,
131.20a, or 141.4, or an
agreement or | ||
transaction required by Sections 124.2(2), 141, 141a, or
| ||
141.1, $200.
| ||
(dd) For filing an application for licensing of:
| ||
(i) a religious or charitable risk pooling trust or | ||
a workers'
compensation pool, $1,000;
| ||
(ii) a workers' compensation service company, | ||
$500;
| ||
(iii) a self-insured automobile fleet, $200; or
| ||
(iv) a renewal of or amendment of any license | ||
issued pursuant to (i),
(ii), or (iii) above, $100.
| ||
(ee) For filing articles of incorporation for a | ||
syndicate to engage in
the business of insurance through | ||
the Illinois Insurance Exchange, $2,000.
|
(ff) For filing amended articles of incorporation for a | ||
syndicate engaged
in the business of insurance through the | ||
Illinois Insurance Exchange, $100.
| ||
(gg) For filing articles of incorporation for a limited | ||
syndicate to
join with other subscribers or limited | ||
syndicates to do business through
the Illinois Insurance | ||
Exchange, $1,000.
| ||
(hh) For filing amended articles of incorporation for a | ||
limited
syndicate to do business through the Illinois | ||
Insurance Exchange, $100.
| ||
(ii) For a permit to solicit subscriptions to a | ||
syndicate
or limited syndicate, $100.
| ||
(jj) For the filing of each form as required in Section | ||
143 of this
Code, $50 per form. The fee for advisory and | ||
rating
organizations shall be $200 per form.
| ||
(i) For the purposes of the form filing fee, | ||
filings made on insert page
basis will be considered | ||
one form at the time of its original submission.
| ||
Changes made to a form subsequent to its approval shall | ||
be considered a
new filing.
| ||
(ii) Only one fee shall be charged for a form, | ||
regardless of the number
of other forms or policies | ||
with which it will be used.
| ||
(iii) Fees charged for a policy filed as it will be | ||
issued regardless of the number of forms comprising | ||
that policy shall not exceed $1,500. For advisory or |
rating organizations, fees charged for a policy filed | ||
as it will be issued regardless of the number of forms | ||
comprising that policy shall not exceed $2,500.
| ||
(iv) The Director may by rule exempt forms from | ||
such fees.
| ||
(kk) For filing an application for licensing of a | ||
reinsurance
intermediary, $500.
| ||
(ll) For filing an application for renewal of a license | ||
of a reinsurance
intermediary, $200.
| ||
(2) When printed copies or numerous copies of the same | ||
paper or records
are furnished or certified, the Director may | ||
reduce such fees for copies
if he finds them excessive. He may, | ||
when he considers it in the public
interest, furnish without | ||
charge to state insurance departments and persons
other than | ||
companies, copies or certified copies of reports of | ||
examinations
and of other papers and records.
| ||
(3) The expenses incurred in any performance
examination | ||
authorized by law shall be paid by the company or person being
| ||
examined. The charge shall be reasonably related to the cost of | ||
the
examination including but not limited to compensation of | ||
examiners,
electronic data processing costs, supervision and | ||
preparation of an
examination report and lodging and travel | ||
expenses.
All lodging and travel expenses shall be in accord
| ||
with the applicable travel regulations as published by the | ||
Department of
Central Management Services and approved by the | ||
Governor's Travel Control
Board, except that out-of-state |
lodging and travel expenses related to
examinations authorized | ||
under Section 132 shall be in accordance with
travel rates | ||
prescribed under paragraph 301-7.2 of the Federal Travel
| ||
Regulations, 41 C.F.R. 301-7.2, for reimbursement of | ||
subsistence expenses
incurred during official travel. All | ||
lodging and travel expenses may be reimbursed directly upon | ||
authorization of the
Director. With the exception of the
direct | ||
reimbursements authorized by the
Director, all performance | ||
examination charges collected by the
Department shall be paid
| ||
to the Insurance Producer Producers Administration Fund,
| ||
however, the electronic data processing costs
incurred by the | ||
Department in the performance of any examination shall be
| ||
billed directly to the company being examined for payment to | ||
the
Statistical Services Revolving Fund.
| ||
(4) At the time of any service of process on the Director
| ||
as attorney for such service, the Director shall charge and | ||
collect the
sum of $20, which may be recovered as taxable costs | ||
by
the party to the suit or action causing such service to be | ||
made if he prevails
in such suit or action.
| ||
(5) (a) The costs incurred by the Department of Insurance
| ||
in conducting any hearing authorized by law shall be assessed | ||
against the
parties to the hearing in such proportion as the | ||
Director of Insurance may
determine upon consideration of all | ||
relevant circumstances including: (1)
the nature of the | ||
hearing; (2) whether the hearing was instigated by, or
for the | ||
benefit of a particular party or parties; (3) whether there is |
a
successful party on the merits of the proceeding; and (4) the | ||
relative levels
of participation by the parties.
| ||
(b) For purposes of this subsection (5) costs incurred | ||
shall
mean the hearing officer fees, court reporter fees, and | ||
travel expenses
of Department of Insurance officers and | ||
employees; provided however, that
costs incurred shall not | ||
include hearing officer fees or court reporter
fees unless the | ||
Department has retained the services of independent
| ||
contractors or outside experts to perform such functions.
| ||
(c) The Director shall make the assessment of costs | ||
incurred as part of
the final order or decision arising out of | ||
the proceeding; provided, however,
that such order or decision | ||
shall include findings and conclusions in support
of the | ||
assessment of costs. This subsection (5) shall not be construed | ||
as
permitting the payment of travel expenses unless calculated | ||
in accordance
with the applicable travel regulations of the | ||
Department
of Central Management Services, as approved by the | ||
Governor's Travel Control
Board. The Director as part of such | ||
order or decision shall require all
assessments for hearing | ||
officer fees and court reporter fees, if any, to
be paid | ||
directly to the hearing officer or court reporter by the | ||
party(s)
assessed for such costs. The assessments for travel | ||
expenses of Department
officers and employees shall be | ||
reimbursable to the
Director of Insurance for
deposit to the | ||
fund out of which those expenses had been paid.
| ||
(d) The provisions of this subsection (5) shall apply in |
the case of any
hearing conducted by the Director of Insurance | ||
not otherwise specifically
provided for by law.
| ||
(6) The Director shall charge and collect an annual | ||
financial
regulation fee from every domestic company for | ||
examination and analysis of
its financial condition and to fund | ||
the internal costs and expenses of the
Interstate Insurance | ||
Receivership Commission as may be allocated to the State
of | ||
Illinois and companies doing an insurance business in this | ||
State pursuant to
Article X of the Interstate Insurance | ||
Receivership Compact. The fee shall be
the greater fixed amount | ||
based upon
the combination of nationwide direct premium income | ||
and
nationwide reinsurance
assumed premium
income or upon | ||
admitted assets calculated under this subsection as follows:
| ||
(a) Combination of nationwide direct premium income | ||
and
nationwide reinsurance assumed premium.
| ||
(i) $150, if the premium is less than $500,000 and | ||
there is
no
reinsurance assumed premium;
| ||
(ii) $750, if the premium is $500,000 or more, but | ||
less
than $5,000,000
and there is no reinsurance | ||
assumed premium; or if the premium is less than
| ||
$5,000,000 and the reinsurance assumed premium is less | ||
than $10,000,000;
| ||
(iii) $3,750, if the premium is less than | ||
$5,000,000 and
the reinsurance
assumed premium is | ||
$10,000,000 or more;
| ||
(iv) $7,500, if the premium is $5,000,000 or more, |
but
less than
$10,000,000;
| ||
(v) $18,000, if the premium is $10,000,000 or more, | ||
but
less than $25,000,000;
| ||
(vi) $22,500, if the premium is $25,000,000 or | ||
more, but
less
than $50,000,000;
| ||
(vii) $30,000, if the premium is $50,000,000 or | ||
more,
but less than $100,000,000;
| ||
(viii) $37,500, if the premium is $100,000,000 or | ||
more.
| ||
(b) Admitted assets.
| ||
(i) $150, if admitted assets are less than | ||
$1,000,000;
| ||
(ii) $750, if admitted assets are $1,000,000 or | ||
more, but
less than
$5,000,000;
| ||
(iii) $3,750, if admitted assets are $5,000,000 or | ||
more,
but less than
$25,000,000;
| ||
(iv) $7,500, if admitted assets are $25,000,000 or | ||
more,
but less than
$50,000,000;
| ||
(v) $18,000, if admitted assets are $50,000,000 or | ||
more,
but less than
$100,000,000;
| ||
(vi) $22,500, if admitted assets are $100,000,000 | ||
or
more, but less
than $500,000,000;
| ||
(vii) $30,000, if admitted assets are $500,000,000 | ||
or
more, but less
than $1,000,000,000;
| ||
(viii) $37,500, if admitted assets are | ||
$1,000,000,000
or more.
|
(c) The sum of financial regulation fees charged to the | ||
domestic
companies of the same affiliated group shall not | ||
exceed $250,000
in the aggregate in any single year and | ||
shall be billed by the Director to
the member company | ||
designated by the
group.
| ||
(7) The Director shall charge and collect an annual | ||
financial regulation
fee from every foreign or alien company, | ||
except fraternal benefit
societies, for the
examination and | ||
analysis of its financial condition and to fund the internal
| ||
costs and expenses of the Interstate Insurance Receivership | ||
Commission as may
be allocated to the State of Illinois and | ||
companies doing an insurance business
in this State pursuant to | ||
Article X of the Interstate Insurance Receivership
Compact.
The | ||
fee shall be a fixed amount based upon Illinois direct premium | ||
income
and nationwide reinsurance assumed premium income in | ||
accordance with the
following schedule:
| ||
(a) $150, if the premium is less than $500,000 and | ||
there is
no
reinsurance assumed premium;
| ||
(b) $750, if the premium is $500,000 or more, but less | ||
than
$5,000,000
and there is no reinsurance assumed | ||
premium;
or if the premium is less than $5,000,000 and the | ||
reinsurance assumed
premium is less than $10,000,000;
| ||
(c) $3,750, if the premium is less than $5,000,000 and | ||
the
reinsurance
assumed premium is $10,000,000 or more;
| ||
(d) $7,500, if the premium is $5,000,000 or more, but | ||
less
than
$10,000,000;
|
(e) $18,000, if the premium is $10,000,000 or more, but
| ||
less than
$25,000,000;
| ||
(f) $22,500, if the premium is $25,000,000 or more, but
| ||
less than
$50,000,000;
| ||
(g) $30,000, if the premium is $50,000,000 or more, but
| ||
less than
$100,000,000;
| ||
(h) $37,500, if the premium is $100,000,000 or more.
| ||
The sum of financial regulation fees under this subsection | ||
(7)
charged to the foreign or alien companies within the same | ||
affiliated group
shall not exceed $250,000 in the aggregate in | ||
any single year
and shall be
billed by the Director to the | ||
member company designated by the group.
| ||
(8) Beginning January 1, 1992, the financial regulation | ||
fees imposed
under subsections (6) and (7)
of this Section | ||
shall be paid by each company or domestic affiliated group
| ||
annually. After January
1, 1994, the fee shall be billed by | ||
Department invoice
based upon the company's
premium income or | ||
admitted assets as shown in its annual statement for the
| ||
preceding calendar year. The invoice is due upon
receipt and | ||
must be paid no later than June 30 of each calendar year. All
| ||
financial
regulation fees collected by the Department shall be | ||
paid to the Insurance
Financial Regulation Fund. The Department | ||
may not collect financial
examiner per diem charges from | ||
companies subject to subsections (6) and (7)
of this Section | ||
undergoing financial examination
after June 30, 1992.
| ||
(9) In addition to the financial regulation fee required by |
this
Section, a company undergoing any financial examination | ||
authorized by law
shall pay the following costs and expenses | ||
incurred by the Department:
electronic data processing costs, | ||
the expenses authorized under Section 131.21
and
subsection (d) | ||
of Section 132.4 of this Code, and lodging and travel expenses.
| ||
Electronic data processing costs incurred by the | ||
Department in the
performance of any examination shall be | ||
billed directly to the company
undergoing examination for | ||
payment to the Statistical Services Revolving
Fund. Except for | ||
direct reimbursements authorized by the Director or
direct | ||
payments made under Section 131.21 or subsection (d) of Section
| ||
132.4 of this Code, all financial regulation fees and all | ||
financial
examination charges collected by the Department | ||
shall be paid to the
Insurance Financial Regulation Fund.
| ||
All lodging and travel expenses shall be in accordance with | ||
applicable
travel regulations published by the Department of | ||
Central Management
Services and approved by the Governor's | ||
Travel Control Board, except that
out-of-state lodging and | ||
travel expenses related to examinations authorized
under | ||
Sections 132.1 through 132.7 shall be in accordance
with travel | ||
rates prescribed
under paragraph 301-7.2 of the Federal Travel | ||
Regulations, 41 C.F.R. 301-7.2,
for reimbursement of | ||
subsistence expenses incurred during official travel.
All | ||
lodging and travel expenses may be
reimbursed directly upon the | ||
authorization of the Director.
| ||
In the case of an organization or person not subject to the |
financial
regulation fee, the expenses incurred in any | ||
financial examination authorized
by law shall be paid by the | ||
organization or person being examined. The charge
shall be | ||
reasonably related to the cost of the examination including, | ||
but not
limited to, compensation of examiners and other costs | ||
described in this
subsection.
| ||
(10) Any company, person, or entity failing to make any | ||
payment of $150
or more as required under this Section shall be | ||
subject to the penalty and
interest provisions provided for in | ||
subsections (4) and (7)
of Section 412.
| ||
(11) Unless otherwise specified, all of the fees collected | ||
under this
Section shall be paid into the Insurance Financial | ||
Regulation Fund.
| ||
(12) For purposes of this Section:
| ||
(a) "Domestic company" means a company as defined in | ||
Section 2 of this
Code which is incorporated or organized | ||
under the laws of this State, and in
addition includes a | ||
not-for-profit corporation authorized under the Dental
| ||
Service Plan Act or the Voluntary Health
Services Plans | ||
Act, a health maintenance organization, and a
limited
| ||
health service organization.
| ||
(b) "Foreign company" means a company as defined in | ||
Section 2 of this
Code which is incorporated or organized | ||
under the laws of any state of the
United States other than | ||
this State and in addition includes a health
maintenance | ||
organization and a limited health service organization |
which is
incorporated or organized under the laws
of any | ||
state of the United States other than this State.
| ||
(c) "Alien company" means a company as defined in | ||
Section 2 of this Code
which is incorporated or organized | ||
under the laws of any country other than
the United States.
| ||
(d) "Fraternal benefit society" means a corporation, | ||
society, order,
lodge or voluntary association as defined | ||
in Section 282.1 of this
Code.
| ||
(e) "Mutual benefit association" means a company, | ||
association or
corporation authorized by the Director to do | ||
business in this State under
the provisions of Article | ||
XVIII of this Code.
| ||
(f) "Burial society" means a person, firm, | ||
corporation, society or
association of individuals | ||
authorized by the Director to do business in
this State | ||
under the provisions of Article XIX of this Code.
| ||
(g) "Farm mutual" means a district, county and township | ||
mutual insurance
company authorized by the Director to do | ||
business in this State under the
provisions of the Farm | ||
Mutual Insurance Company Act of 1986.
| ||
(Source: P.A. 97-486, eff. 1-1-12; 97-603, eff. 8-26-11; | ||
97-813, eff. 7-13-12; revised 10-18-12.)
| ||
(215 ILCS 5/511.111) (from Ch. 73, par. 1065.58-111)
| ||
(Section scheduled to be repealed on January 1, 2017)
| ||
Sec. 511.111. Insurance Producer Administration Fund. All |
fees and fines
paid to and collected by the Director under this | ||
Article shall be paid promptly
after receipt thereof, together | ||
with a detailed statement of such fees,
into a special fund in | ||
the State Treasury to be known as the Insurance Producer
| ||
Administration Fund. The monies deposited into the Insurance | ||
Producer
Administration Fund shall be used only for payment of | ||
the expenses of the
Department and shall be appropriated as | ||
otherwise provided by law for the
payment of such expenses. | ||
Moneys in the Insurance Producer Producers Administration Fund | ||
may be transferred to the Professions Indirect Cost Fund, as | ||
authorized under Section 2105-300 of the Department of | ||
Professional Regulation Law of the Civil Administrative Code of | ||
Illinois.
| ||
(Source: P.A. 94-91, eff. 7-1-05; revised 10-18-12.)
| ||
(215 ILCS 5/513a5) (from Ch. 73, par. 1065.60a5)
| ||
Sec. 513a5. Insurance Producer Administration Fund. All | ||
fees and
penalties paid to and collected by the Director under | ||
this Article shall be
paid promptly after receipt, together | ||
with a detailed statement of the
fees, into the Insurance | ||
Producer Producers Administration Fund.
| ||
(Source: P.A. 87-811; revised 10-18-12.)
| ||
Section 350. The Title Insurance Act is amended by changing | ||
Section 14.1 as follows:
|
(215 ILCS 155/14.1)
| ||
Sec. 14.1. Financial Institution Institutions Fund.
All | ||
moneys received by the Department of Financial and Professional | ||
Regulation
under this Act shall be deposited in the Financial | ||
Institution Institutions Fund created
under Section 6z-26 of | ||
the State Finance Act.
| ||
(Source: P.A. 94-893, eff. 6-20-06; revised 10-18-12.)
| ||
Section 355. The Public Utilities Act is amended by | ||
changing Section 9-220 as follows:
| ||
(220 ILCS 5/9-220) (from Ch. 111 2/3, par. 9-220)
| ||
Sec. 9-220. Rate changes based on changes in fuel costs. | ||
(a) Notwithstanding the provisions of Section 9-201, the
| ||
Commission may authorize the increase or decrease of rates and | ||
charges
based upon changes in the cost of fuel used in the | ||
generation or production
of electric power, changes in the cost | ||
of purchased power, or changes in
the cost of purchased gas | ||
through the application of fuel adjustment
clauses or purchased | ||
gas adjustment clauses. The Commission may also
authorize the | ||
increase or decrease of rates and charges based upon | ||
expenditures
or revenues resulting from the purchase or sale of | ||
emission allowances created
under the federal Clean Air Act | ||
Amendments of 1990,
through such fuel adjustment clauses, as a | ||
cost of fuel. For the purposes of
this paragraph, cost of fuel | ||
used in the generation or production of electric
power shall |
include the amount of any fees paid by the utility for the
| ||
implementation and operation of a process for the | ||
desulfurization of the
flue gas when burning high sulfur coal | ||
at any location within the State of
Illinois irrespective of | ||
the attainment status designation of such
location; but shall | ||
not include transportation costs
of coal
(i) except to the | ||
extent that for contracts entered into on
and after the | ||
effective date of this amendatory Act of 1997,
the cost of the | ||
coal, including transportation costs,
constitutes the lowest | ||
cost for adequate and reliable fuel
supply reasonably available | ||
to the public utility in
comparison to the cost, including | ||
transportation costs, of
other adequate and reliable sources of | ||
fuel supply reasonably
available to the public utility, or (ii)
| ||
except as otherwise provided in the next 3 sentences of this | ||
paragraph.
Such costs of fuel
shall, when requested by a | ||
utility or at the conclusion of the utility's
next general | ||
electric rate proceeding, whichever shall first occur, include
| ||
transportation costs of coal purchased under existing coal | ||
purchase
contracts. For purposes of this paragraph "existing | ||
coal purchase
contracts" means contracts for the purchase of | ||
coal in effect on the
effective date of this amendatory Act of | ||
1991, as such contracts may
thereafter be amended, but only to | ||
the extent that any such amendment does
not increase the | ||
aggregate quantity of coal to be purchased under such
contract.
| ||
Nothing herein shall authorize an electric utility
to recover | ||
through its fuel adjustment clause any amounts of
|
transportation costs of coal that were included in the revenue
| ||
requirement used to set base rates in its most recent general
| ||
rate proceeding.
Cost shall be based upon uniformly applied | ||
accounting
principles. Annually, the Commission shall initiate | ||
public hearings to
determine whether the clauses reflect actual | ||
costs of fuel, gas, power, or
coal transportation purchased to | ||
determine whether such purchases were
prudent, and to reconcile | ||
any amounts collected with the actual costs of
fuel, power, | ||
gas, or coal transportation prudently purchased. In each such
| ||
proceeding, the burden of proof shall be upon the utility to | ||
establish the
prudence of its cost of fuel, power, gas, or coal
| ||
transportation purchases
and costs.
The Commission shall
issue | ||
its final order in each such annual proceeding for an
electric | ||
utility by December 31 of the year immediately
following the | ||
year to which the proceeding pertains, provided,
that the | ||
Commission shall issue its final order with respect
to such | ||
annual proceeding for the years 1996 and earlier by December | ||
31, 1998. | ||
(b) A public utility providing electric service, other than | ||
a public utility
described in subsections (e) or (f) of this | ||
Section, may at
any time during the mandatory transition period | ||
file with the
Commission proposed tariff sheets that eliminate | ||
the public
utility's fuel adjustment clause and adjust the | ||
public
utility's base rate tariffs by the amount necessary for | ||
the
base fuel component of the base rates to recover the public
| ||
utility's average fuel and power supply costs per kilowatt-hour |
for the 2
most recent years for which the Commission
has issued | ||
final orders in annual proceedings pursuant to
subsection (a), | ||
where the average fuel and power supply costs
per kilowatt-hour | ||
shall be calculated as the sum of the public
utility's prudent | ||
and allowable fuel and power supply costs as
found by the | ||
Commission in the 2 proceedings divided by the
public utility's | ||
actual jurisdictional kilowatt-hour sales for
those 2 years. | ||
Notwithstanding any contrary or inconsistent
provisions in | ||
Section 9-201 of this Act, in subsection (a) of
this Section or | ||
in any rules or regulations promulgated by the
Commission | ||
pursuant to subsection (g) of this Section, the
Commission | ||
shall review and shall by order approve, or approve
as | ||
modified, the proposed tariff sheets within 60 days after
the | ||
date of the public utility's filing. The Commission may
modify | ||
the public utility's proposed tariff sheets only to the
extent | ||
the Commission finds necessary to achieve conformance
to the | ||
requirements of this subsection (b). During the 5
years | ||
following the date of the Commission's order, but in any
event | ||
no earlier than January 1, 2007, a public utility whose
fuel | ||
adjustment clause has been eliminated pursuant to this
| ||
subsection shall not file proposed tariff sheets seeking, or
| ||
otherwise petition the Commission for, reinstatement of a fuel
| ||
adjustment clause. | ||
(c) Notwithstanding any contrary or inconsistent
| ||
provisions in Section 9-201 of this Act, in subsection (a) of
| ||
this Section or in any rules or regulations promulgated by the
|
Commission pursuant to subsection (g) of this Section, a
public | ||
utility providing electric service, other than a public utility
| ||
described
in subsection (e) or (f) of this Section, may at any | ||
time
during the mandatory transition period file with the
| ||
Commission proposed tariff sheets that establish the rate per
| ||
kilowatt-hour to be applied pursuant to the public utility's
| ||
fuel adjustment clause at the average value for such rate
| ||
during the preceding 24 months, provided that such average
rate | ||
results in a credit to customers' bills, without making
any | ||
revisions to the public utility's base rate tariffs. The
| ||
proposed tariff sheets shall establish the fuel adjustment
rate | ||
for a specific time period of at least 3 years but not
more | ||
than 5 years, provided that the terms and conditions for
any | ||
reinstatement earlier than 5 years shall be set forth in
the | ||
proposed tariff sheets and subject to modification or
approval | ||
by the Commission. The Commission shall review and
shall by | ||
order approve the proposed tariff sheets if it finds
that the | ||
requirements of this subsection are met. The
Commission shall | ||
not conduct the annual hearings specified in the
last 3 | ||
sentences of subsection (a) of this Section for the
utility for | ||
the period that the factor established pursuant to
this | ||
subsection is in effect. | ||
(d) A public utility providing electric service, or a | ||
public utility
providing gas service
may file with the | ||
Commission proposed tariff sheets that
eliminate the public | ||
utility's fuel or purchased gas
adjustment clause and adjust |
the public utility's base rate
tariffs to provide for recovery | ||
of power supply costs or gas
supply costs that would have been | ||
recovered through such
clause; provided, that the provisions of | ||
this subsection (d) shall not be
available to a public utility | ||
described in subsections (e) or (f) of this
Section to | ||
eliminate its fuel adjustment clause. Notwithstanding any | ||
contrary
or inconsistent
provisions in Section 9-201 of this | ||
Act, in subsection (a) of
this Section, or in any rules or | ||
regulations promulgated by
the Commission pursuant to | ||
subsection (g) of this Section, the
Commission shall review and | ||
shall by order approve, or approve
as modified in the | ||
Commission's order, the proposed tariff
sheets within 240 days | ||
after the date of the public utility's
filing. The Commission's | ||
order shall approve rates and
charges that the Commission, | ||
based on information in the
public utility's filing or on the | ||
record if a hearing is held
by the Commission, finds will | ||
recover the reasonable, prudent
and necessary jurisdictional | ||
power supply costs or gas supply
costs incurred or to be | ||
incurred by the public utility during
a 12 month period found | ||
by the Commission to be appropriate
for these purposes, | ||
provided, that such period shall be either
(i) a 12 month | ||
historical period occurring during the 15
months ending on the | ||
date of the public utility's filing, or
(ii) a 12 month future | ||
period ending no later than 15 months
following the date of the | ||
public utility's filing. The public
utility shall include with | ||
its tariff filing information
showing both (1) its actual |
jurisdictional power supply costs
or gas supply costs for a 12 | ||
month historical period
conforming to (i) above and (2) its | ||
projected jurisdictional
power supply costs or gas supply costs | ||
for a future 12 month
period conforming to (ii) above. If the | ||
Commission's order
requires modifications in the tariff sheets | ||
filed by the
public utility, the public utility shall have 7 | ||
days following
the date of the order to notify the Commission | ||
whether the
public utility will implement the modified tariffs | ||
or elect to
continue its fuel or purchased gas adjustment | ||
clause in force
as though no order had been entered. The | ||
Commission's order
shall provide for any reconciliation of | ||
power supply costs or
gas supply costs, as the case may be, and | ||
associated revenues
through the date that the public utility's | ||
fuel or purchased
gas adjustment clause is eliminated. During | ||
the 5 years
following the date of the Commission's order, a | ||
public utility
whose fuel or purchased gas adjustment clause | ||
has been
eliminated pursuant to this subsection shall not file | ||
proposed
tariff sheets seeking, or otherwise petition the | ||
Commission
for, reinstatement or adoption of a fuel or | ||
purchased gas
adjustment clause. Nothing in this subsection (d) | ||
shall be
construed as limiting the Commission's authority to | ||
eliminate
a public utility's fuel adjustment clause or | ||
purchased gas
adjustment clause in accordance with any other | ||
applicable
provisions of this Act. | ||
(e) Notwithstanding any contrary or inconsistent | ||
provisions in
Section 9-201 of this Act, in subsection (a) of |
this Section, or in
any rules promulgated by the Commission | ||
pursuant
to subsection (g) of this Section, a public utility | ||
providing
electric service to more than 1,000,000 customers in | ||
this State may, within the
first 6 months after the
effective | ||
date of this amendatory Act of 1997, file with the
Commission | ||
proposed tariff sheets that eliminate, effective
January 1, | ||
1997, the public utility's fuel adjustment clause
without | ||
adjusting its base rates, and such tariff sheets shall be
| ||
effective upon filing. To the extent the application of the | ||
fuel
adjustment clause had resulted in net charges to customers | ||
after
January 1, 1997, the utility shall also file a tariff | ||
sheet that
provides for a refund stated on a per kilowatt-hour | ||
basis of such
charges over a period not to exceed 6 months; | ||
provided
however, that such refund shall not include the | ||
proportional
amounts of taxes paid under the Use Tax Act, | ||
Service Use Tax Act,
Service Occupation Tax Act, and Retailers' | ||
Occupation Tax Act on
fuel used in generation. The Commission | ||
shall issue an order
within 45 days after the date of the | ||
public utility's filing
approving or approving as modified such | ||
tariff sheet. If the fuel
adjustment clause is eliminated | ||
pursuant to this subsection, the
Commission shall not conduct | ||
the annual hearings specified in the
last 3 sentences of | ||
subsection (a) of this Section for the
utility for any period | ||
after December 31, 1996 and prior to any
reinstatement of such | ||
clause. A public utility whose fuel
adjustment clause has been | ||
eliminated pursuant to this subsection
shall not file a |
proposed tariff sheet seeking, or otherwise
petition the | ||
Commission for, reinstatement of the fuel adjustment
clause | ||
prior to January 1, 2007. | ||
(f) Notwithstanding any contrary or inconsistent | ||
provisions in Section
9-201 of this Act, in subsection (a) of | ||
this Section, or in any rules or
regulations promulgated by the | ||
Commission pursuant to subsection (g) of this
Section, a public | ||
utility providing electric service to more than 500,000
| ||
customers but fewer than 1,000,000 customers in this State may, | ||
within the
first
6 months after the effective date of this | ||
amendatory Act of 1997, file with the
Commission proposed | ||
tariff sheets that eliminate, effective January 1, 1997,
the | ||
public utility's fuel adjustment clause and adjust its base | ||
rates by the
amount necessary for the base fuel component of | ||
the base rates to recover
91% of the public utility's average | ||
fuel and power supply costs for the 2 most
recent years for | ||
which the Commission, as of January 1, 1997, has issued final
| ||
orders in annual proceedings pursuant to subsection (a), where | ||
the average fuel
and power supply costs per kilowatt-hour shall | ||
be calculated as the sum of the
public utility's prudent and | ||
allowable fuel and power supply costs as found by
the | ||
Commission in the 2 proceedings divided by the public utility's | ||
actual
jurisdictional kilowatt-hour sales for those 2 years, | ||
provided, that such
tariff sheets shall be effective upon | ||
filing. To the extent the application of
the fuel adjustment | ||
clause had resulted in net charges to customers after
January |
1, 1997, the utility shall also file a tariff sheet that | ||
provides for a
refund stated on a per kilowatt-hour basis of | ||
such charges over a period not to
exceed 6 months. Provided | ||
however, that such refund shall not include the
proportional | ||
amounts of taxes paid under the Use Tax Act, Service Use Tax | ||
Act,
Service Occupation Tax Act, and Retailers' Occupation Tax | ||
Act on fuel used in
generation. The Commission shall issue an | ||
order within 45 days after the date
of the public utility's | ||
filing approving or approving as modified such tariff
sheet. If | ||
the fuel adjustment clause is eliminated pursuant to this
| ||
subsection, the Commission shall not conduct the annual | ||
hearings specified in
the last 3 sentences of subsection (a) of | ||
this Section for the utility for any
period after December 31, | ||
1996 and prior to any reinstatement of such clause.
A public | ||
utility whose fuel adjustment clause has been eliminated | ||
pursuant to
this subsection shall not file a proposed tariff | ||
sheet seeking, or otherwise
petition the Commission for, | ||
reinstatement of the fuel adjustment clause prior
to January 1, | ||
2007. | ||
(g) The Commission shall have authority to promulgate rules | ||
and
regulations to
carry out the provisions of this Section. | ||
(h) Any Illinois gas utility may enter into a contract on | ||
or before September 30, 2011 for up to 10 years of supply with | ||
any company for the purchase of substitute natural gas (SNG) | ||
produced from coal through the gasification process if the | ||
company has commenced construction of a clean coal SNG facility |
by July 1, 2012 and commencement of construction shall mean | ||
that material physical site work has occurred, such as site | ||
clearing and excavation, water runoff prevention, water | ||
retention reservoir preparation, or foundation development. | ||
The contract shall contain the following provisions: (i) at | ||
least 90% of feedstock to be used in the gasification process | ||
shall be coal with a high volatile bituminous rank and greater | ||
than 1.7 pounds of sulfur per million Btu content; (ii) at the | ||
time the contract term commences, the price per million Btu may | ||
not exceed $7.95 in 2008 dollars, adjusted annually based on | ||
the change in the Annual Consumer Price Index for All Urban | ||
Consumers for the Midwest Region as published in April by the | ||
United States Department of Labor, Bureau of Labor Statistics | ||
(or a suitable Consumer Price Index calculation if this | ||
Consumer Price Index is not available) for the previous | ||
calendar year; provided that the price per million Btu shall | ||
not exceed $9.95 at any time during the contract; (iii) the | ||
utility's supply contract for the purchase of SNG does not | ||
exceed 15% of the annual system supply requirements of the | ||
utility as of 2008; and (iv) the contract costs pursuant to | ||
subsection (h-10) of this Section shall not include any | ||
lobbying expenses, charitable contributions, advertising, | ||
organizational memberships, carbon dioxide pipeline or | ||
sequestration expenses, or marketing expenses. | ||
Any gas utility that is providing service to more than | ||
150,000 customers on August 2, 2011 (the effective date of |
Public Act 97-239) shall either elect to enter into a contract | ||
on or before September 30, 2011 for 10 years of SNG supply with | ||
the owner of a clean coal SNG facility or to file biennial rate | ||
proceedings before the Commission in the years 2012, 2014, and | ||
2016, with such filings made after August 2, 2011 and no later | ||
than September 30 of the years 2012, 2014, and 2016 consistent | ||
with all requirements of 83 Ill. Adm. Code 255 and 285 as | ||
though the gas utility were filing for an increase in its | ||
rates, without regard to whether such filing would produce an | ||
increase, a decrease, or no change in the gas utility's rates, | ||
and the Commission shall review the gas utility's filing and | ||
shall issue its order in accordance with the provisions of | ||
Section 9-201 of this Act. | ||
Within 7 days after August 2, 2011, the owner of the clean | ||
coal SNG facility shall submit to the Illinois Power Agency and | ||
each gas utility that is providing service to more than 150,000 | ||
customers on August 2, 2011 a copy of a draft contract. Within | ||
30 days after the receipt of the draft contract, each such gas | ||
utility shall provide the Illinois Power Agency and the owner | ||
of the clean coal SNG facility with its comments and | ||
recommended revisions to the draft contract. Within 7 days | ||
after the receipt of the gas utility's comments and recommended | ||
revisions, the owner of the facility shall submit its | ||
responsive comments and a further revised draft of the contract | ||
to the Illinois Power Agency. The Illinois Power Agency shall | ||
review the draft contract and comments. |
During its review of the draft contract, the Illinois Power | ||
Agency shall: | ||
(1) review and confirm in writing that the terms stated | ||
in this subsection (h) are incorporated in the SNG | ||
contract; | ||
(2) review the SNG pricing formula included in the | ||
contract and approve that formula if the Illinois Power | ||
Agency determines that the formula, at the time the | ||
contract term commences: (A) starts with a price of $6.50 | ||
per MMBtu adjusted by the adjusted final capitalized plant | ||
cost; (B) takes into account budgeted miscellaneous net | ||
revenue after cost allowance, including sale of SNG | ||
produced by the clean coal SNG facility above the nameplate | ||
capacity of the facility and other by-products produced by | ||
the facility, as approved by the Illinois Power Agency; (C) | ||
does not include carbon dioxide transportation or | ||
sequestration expenses; and (D) includes all provisions | ||
required under this subsection (h); if the Illinois Power | ||
Agency does not approve of the SNG pricing formula, then | ||
the Illinois Power Agency shall modify the formula to | ||
ensure that it meets the requirements of this subsection | ||
(h); | ||
(3) review and approve the amount of budgeted | ||
miscellaneous net revenue after cost allowance, including | ||
sale of SNG produced by the clean coal SNG facility above | ||
the nameplate capacity of the facility and other |
by-products produced by the facility, to be included in the | ||
pricing formula; the Illinois Power Agency shall approve | ||
the amount of budgeted miscellaneous net revenue to be | ||
included in the pricing formula if it determines the | ||
budgeted amount to be reasonable and accurate; | ||
(4) review and confirm in writing that using the EIA | ||
Annual Energy Outlook-2011 Henry Hub Spot Price, the | ||
contract terms set out in subsection (h), the | ||
reconciliation account terms as set out in subsection | ||
(h-15), and an estimated inflation rate of 2.5% for each | ||
corresponding year, that there will be no cumulative | ||
estimated increase for residential customers; and | ||
(5) allocate the nameplate capacity of the clean coal | ||
SNG by total therms sold to ultimate customers by each gas | ||
utility in 2008; provided, however, no utility shall be | ||
required to purchase more than 42% of the projected annual | ||
output of the facility; additionally, the Illinois Power | ||
Agency shall further adjust the allocation only as required | ||
to take into account (A) adverse consolidation, | ||
derivative, or lease impacts to the balance sheet or income | ||
statement of any gas utility or (B) the physical capacity | ||
of the gas utility to accept SNG. | ||
If the parties to the contract do not agree on the terms | ||
therein, then the Illinois Power Agency shall retain an | ||
independent mediator to mediate the dispute between the | ||
parties. If the parties are in agreement on the terms of the |
contract, then the Illinois Power Agency shall approve the | ||
contract. If after mediation the parties have failed to come to | ||
agreement, then the Illinois Power Agency shall revise the | ||
draft contract as necessary to confirm that the contract | ||
contains only terms that are reasonable and equitable. The | ||
Illinois Power Agency may, in its discretion, retain an | ||
independent, qualified, and experienced expert to assist in its | ||
obligations under this subsection (h). The Illinois Power | ||
Agency shall adopt and make public policies detailing the | ||
processes for retaining a mediator and an expert under this | ||
subsection (h). Any mediator or expert retained under this | ||
subsection (h) shall be retained no later than 60 days after | ||
August 2, 2011. | ||
The Illinois Power Agency shall complete all of its | ||
responsibilities under this subsection (h) within 60 days after | ||
August 2, 2011. The clean coal SNG facility shall pay a | ||
reasonable fee as required by the Illinois Power Agency for its | ||
services under this subsection (h) and shall pay the mediator's | ||
and expert's reasonable fees, if any. A gas utility and its | ||
customers shall have no obligation to reimburse the clean coal | ||
SNG facility or the Illinois Power Agency of any such costs. | ||
Within 30 days after commercial production of SNG has | ||
begun, the Commission shall initiate a review to determine | ||
whether the final capitalized plant cost of the clean coal SNG | ||
facility reflects actual incurred costs and whether the | ||
incurred costs were reasonable. In determining the actual |
incurred costs included in the final capitalized plant cost and | ||
the reasonableness of those costs, the Commission may in its | ||
discretion retain independent, qualified, and experienced | ||
experts to assist in its determination. The expert shall not | ||
own or control any direct or indirect interest in the clean | ||
coal SNG facility and shall have no contractual relationship | ||
with the clean coal SNG facility. If an expert is retained by | ||
the Commission, then the clean coal SNG facility shall pay the | ||
expert's reasonable fees. The fees shall not be passed on to a | ||
utility or its customers. The Commission shall adopt and make | ||
public a policy detailing the process for retaining experts | ||
under this subsection (h). | ||
Within 30 days after completion of its review, the | ||
Commission shall initiate a formal proceeding on the final | ||
capitalized plant cost of the clean coal SNG facility at which | ||
comments and testimony may be submitted by any interested | ||
parties and the public. If the Commission finds that the final | ||
capitalized plant cost includes costs that were not actually | ||
incurred or costs that were unreasonably incurred, then the | ||
Commission shall disallow the amount of non-incurred or | ||
unreasonable costs from the SNG price under contracts entered | ||
into under this subsection (h). If the Commission disallows any | ||
costs, then the Commission shall adjust the SNG price using the | ||
price formula in the contract approved by the Illinois Power | ||
Agency under this subsection (h) to reflect the disallowed | ||
costs and shall enter an order specifying the revised price. In |
addition, the Commission's order shall direct the clean coal | ||
SNG facility to issue refunds of such sums as shall represent | ||
the difference between actual gross revenues and the gross | ||
revenue that would have been obtained based upon the same | ||
volume, from the price revised by the Commission. Any refund | ||
shall include interest calculated at a rate determined by the | ||
Commission and shall be returned according to procedures | ||
prescribed by the Commission. | ||
Nothing in this subsection (h) shall preclude any party | ||
affected by a decision of the Commission under this subsection | ||
(h) from seeking judicial review of the Commission's decision. | ||
(h-1) Any Illinois gas utility may enter into a sourcing | ||
agreement for up to 30 years of supply with the clean coal SNG | ||
brownfield facility if the clean coal SNG brownfield facility | ||
has commenced construction. Any gas utility that is providing | ||
service to more than 150,000 customers on July 13, 2011 (the | ||
effective date of Public Act 97-096) shall either elect to file | ||
biennial rate proceedings before the Commission in the years | ||
2012, 2014, and 2016 or enter into a sourcing agreement or | ||
sourcing agreements with a clean coal SNG brownfield facility | ||
with an initial term of 30 years for either (i) a percentage of | ||
43,500,000,000 cubic feet per year, such that the utilities | ||
entering into sourcing agreements with the clean coal SNG | ||
brownfield facility purchase 100%,
allocated by total therms | ||
sold to ultimate customers by each
gas utility in 2008 or (ii) | ||
such lesser amount as may be available from the clean coal SNG |
brownfield facility; provided that no utility shall be required | ||
to purchase more than 42% of the projected annual output of the | ||
clean coal SNG brownfield facility, with the remainder of such | ||
utility's obligation to be divided proportionately between the | ||
other utilities, and provided that the Illinois Power Agency | ||
shall
further adjust the allocation only as required to take | ||
into
account adverse consolidation, derivative, or lease | ||
impacts to
the balance sheet or income statement of any gas | ||
utility. | ||
A gas utility electing to file biennial rate proceedings | ||
before the Commission must file a notice of its election with | ||
the Commission within 60 days after July 13, 2011 or its right | ||
to make the election is irrevocably waived. A gas utility | ||
electing to file biennial rate proceedings shall make such | ||
filings no later than August 1 of the years 2012, 2014, and | ||
2016, consistent with all requirements of 83 Ill. Adm. Code 255 | ||
and 285 as though the gas utility were filing for an increase | ||
in its rates, without regard to whether such filing would | ||
produce an increase, a decrease, or no change in the gas | ||
utility's rates, and notwithstanding any other provisions of | ||
this Act, the Commission shall fully review the gas utility's | ||
filing and shall issue its order in accordance with the | ||
provisions of Section 9-201 of this Act, regardless of whether | ||
the
Commission has approved a formula rate for the gas utility. | ||
Within 15 days after July 13, 2011, the owner of the clean | ||
coal SNG brownfield facility shall submit to the Illinois Power |
Agency and each gas utility that is providing service to more | ||
than 150,000 customers on July 13, 2011 a copy of a draft | ||
sourcing agreement. Within 45 days after receipt of the draft | ||
sourcing agreement, each such gas utility shall provide the | ||
Illinois Power Agency and the owner of a clean coal SNG | ||
brownfield facility with its comments and recommended | ||
revisions to the draft sourcing agreement. Within 15 days after | ||
the receipt of the gas utility's comments and recommended | ||
revisions, the owner of the clean coal SNG brownfield facility | ||
shall submit its responsive comments and a further revised | ||
draft of the sourcing agreement to the Illinois Power Agency. | ||
The Illinois Power Agency shall review the draft sourcing | ||
agreement and comments. | ||
If the parties to the sourcing agreement do not agree on | ||
the terms therein, then the Illinois Power Agency shall retain | ||
an independent mediator to mediate the dispute between the | ||
parties. If the parties are in agreement on the terms of the | ||
sourcing agreement, the Illinois Power Agency shall approve the | ||
final draft sourcing agreement. If after mediation the parties | ||
have failed to come to agreement, then the Illinois Power | ||
Agency shall revise the draft sourcing agreement as necessary | ||
to confirm that the final draft sourcing agreement contains | ||
only terms that are reasonable and equitable. The Illinois | ||
Power Agency shall adopt and make public a policy detailing the | ||
process for retaining a mediator under this subsection (h-1). | ||
Any mediator retained to assist with mediating disputes between |
the parties regarding the sourcing agreement shall be retained | ||
no later than 60 days after July 13, 2011. | ||
Upon approval of a final draft agreement, the Illinois | ||
Power Agency shall submit the final draft agreement to the | ||
Capital Development Board and the Commission no later than 90 | ||
days after July 13, 2011. The gas utility and the clean coal | ||
SNG brownfield facility shall pay a reasonable fee as required | ||
by the Illinois Power Agency for its services under this | ||
subsection (h-1) and shall pay the mediator's reasonable fees, | ||
if any. The Illinois Power Agency shall adopt and make public a | ||
policy detailing the process for retaining a mediator under | ||
this Section. | ||
The sourcing agreement between a gas utility and the clean | ||
coal SNG brownfield facility shall contain the following | ||
provisions: | ||
(1) Any and all coal used in the gasification process | ||
must be coal that has high volatile bituminous rank and | ||
greater than 1.7 pounds of sulfur per million Btu content. | ||
(2) Coal and petroleum coke are feedstocks for the | ||
gasification process, with coal comprising at least 50% of | ||
the total feedstock over the term of the sourcing agreement | ||
unless the facility reasonably determines that it is
| ||
necessary to use additional petroleum coke to deliver net
| ||
consumer savings, in which case the facility shall use
coal | ||
for at least 35% of the total feedstock over the
term of | ||
any sourcing agreement and with the feedstocks to be |
procured in accordance with requirements of Section 1-78 of | ||
the Illinois Power Agency Act. | ||
(3) The sourcing agreement has an initial term that | ||
once entered into terminates no more than 30 years after | ||
the commencement of the commercial production of SNG at the | ||
clean coal SNG brownfield facility. | ||
(4) The clean coal SNG brownfield facility guarantees a | ||
minimum of $100,000,000 in consumer savings to customers of
| ||
the utilities that have entered into sourcing agreements
| ||
with the clean coal SNG brownfield facility, calculated in | ||
real 2010 dollars at the conclusion of the term of the | ||
sourcing agreement by comparing the delivered SNG price to | ||
the Chicago City-gate price on a weighted daily basis for | ||
each day over the entire term of the sourcing agreement, to | ||
be provided in accordance with subsection (h-2) of this | ||
Section. | ||
(5) Prior to the clean coal SNG brownfield facility | ||
issuing a notice to proceed to construction, the clean coal | ||
SNG brownfield facility shall establish a consumer | ||
protection reserve account for the benefit of the customers | ||
of the utilities that have entered into sourcing agreements | ||
with the clean coal SNG brownfield facility pursuant to | ||
this subsection (h-1), with cash principal in the amount of | ||
$150,000,000. This cash principal shall only be | ||
recoverable through the consumer protection reserve | ||
account and not as a cost to be recovered in the delivered |
SNG price pursuant to subsection (h-3) of this Section. The | ||
consumer protection reserve account shall be maintained | ||
and administered by an independent trustee that is mutually | ||
agreed upon by the clean coal SNG brownfield facility, the | ||
utilities, and the Commission in an interest-bearing | ||
account in accordance with subsection (h-2) of this | ||
Section. | ||
"Consumer protection reserve account principal maximum | ||
amount" shall mean the maximum amount of principal to be | ||
maintained in the consumer protection reserve account. | ||
During the first 2 years of operation of the facility, | ||
there shall be no consumer protection reserve account | ||
maximum amount. After the first 2 years of operation of the | ||
facility, the consumer protection reserve account maximum | ||
amount shall be $150,000,000. After 5 years of operation, | ||
and every 5 years thereafter, the trustee shall calculate | ||
the 5-year average balance of the consumer protection | ||
reserve account. If the trustee determines that during the | ||
prior 5 years the consumer protection reserve account has | ||
had an average account balance of less than $75,000,000, | ||
then the consumer protection reserve account principal | ||
maximum amount shall be increased by $5,000,000. If the | ||
trustee determines that during the prior 5 years the | ||
consumer protection reserve account has had an average | ||
account balance of more than $75,000,000, then the consumer | ||
protection reserve account principal maximum amount shall |
be decreased by $5,000,000. | ||
(6) The clean coal SNG brownfield facility shall | ||
identify and sell economically viable by-products produced | ||
by the facility. | ||
(7) Fifty percent of all additional net revenue, | ||
defined as miscellaneous net revenue from products | ||
produced by the
facility and delivered during the month | ||
after cost allowance for costs associated with additional | ||
net revenue that are not otherwise recoverable pursuant to | ||
subsection (h-3) of this Section, including net revenue | ||
from sales of substitute natural gas derived from the | ||
facility above the nameplate capacity of the facility and | ||
other by-products produced by the facility, shall be | ||
credited to the consumer protection reserve account | ||
pursuant to subsection (h-2) of this Section. | ||
(8) The delivered SNG price per million btu to be paid | ||
monthly by the utility to the clean coal SNG brownfield | ||
facility, which shall be based only upon the following: (A) | ||
a capital recovery charge, operations and maintenance | ||
costs, and sequestration costs, only to the extent approved | ||
by the Commission pursuant to paragraphs (1), (2), and (3) | ||
of subsection (h-3) of this Section; (B) the actual | ||
delivered and processed fuel costs pursuant to paragraph | ||
(4) of subsection (h-3) of this Section; (C) actual costs | ||
of SNG transportation pursuant to paragraph (6) of | ||
subsection (h-3) of this Section; (D) certain taxes and |
fees imposed by the federal government, the State, or any | ||
unit of local government as provided in paragraph (6) of | ||
subsection (h-3) of this Section; and (E) the credit, if | ||
any, from the consumer protection reserve account pursuant | ||
to subsection (h-2) of this Section. The delivered SNG | ||
price per million Btu shall proportionately reflect these | ||
elements over the term of the sourcing agreement. | ||
(9) A formula to translate the recoverable costs and | ||
charges under subsection (h-3) of this Section into the | ||
delivered SNG price per million btu. | ||
(10) Title to the SNG shall pass at a mutually | ||
agreeable point in Illinois, and may provide that, rather | ||
than the utility taking title to the SNG, a mutually agreed | ||
upon third-party gas marketer pursuant to a contract | ||
approved by the Illinois Power Agency or its designee may | ||
take title to the SNG pursuant to an agreement between the | ||
utility, the owner of the clean coal SNG brownfield | ||
facility, and the third-party gas marketer. | ||
(11) A utility may exit the sourcing agreement without | ||
penalty if the clean coal SNG brownfield facility does not | ||
commence construction by July 1, 2015. | ||
(12) A utility is responsible to pay only the | ||
Commission determined unit price cost of SNG that is | ||
purchased by the utility. Nothing in the sourcing agreement | ||
will obligate a utility to invest capital in a clean coal | ||
SNG brownfield facility. |
(13) The quality of SNG must, at a minimum, be | ||
equivalent to the quality required for interstate pipeline | ||
gas before a utility is required to accept and pay for SNG | ||
gas. | ||
(14) Nothing in the sourcing agreement will require a | ||
utility to construct any facilities to accept delivery of | ||
SNG. Provided, however, if a utility is required by law or | ||
otherwise elects to connect the clean coal SNG brownfield | ||
facility to an interstate pipeline, then the utility shall | ||
be entitled to recover pursuant to its tariffs all just and | ||
reasonable costs that are prudently incurred. Any costs | ||
incurred by the utility to receive, deliver, manage, or | ||
otherwise accommodate purchases under the SNG sourcing | ||
agreement will be fully recoverable through a utility's | ||
purchased gas adjustment clause rider mechanism in
| ||
conjunction with a SNG brownfield facility rider
| ||
mechanism. The SNG brownfield facility rider mechanism
(A) | ||
shall be applicable to all customers who receive
| ||
transportation service from the utility, (B) shall be
| ||
designed to have an equal percent impact on the
| ||
transportation services rates of each class of the
| ||
utility's customers, and (C) shall accurately reflect the
| ||
net consumer savings, if any, and above-market costs, if
| ||
any, associated with the utility receiving, delivering,
| ||
managing, or otherwise accommodating purchases under the
| ||
SNG sourcing agreement. |
(15) Remedies for the clean coal SNG brownfield | ||
facility's failure to deliver a designated amount for a | ||
designated period. | ||
(16) The clean coal SNG brownfield facility shall
make | ||
a good faith effort to ensure that an amount equal
to not | ||
less than 15% of the value of its prime
construction | ||
contract for the facility shall be
established as a goal to | ||
be awarded to minority owned
businesses, female owned | ||
businesses, and businesses owned
by a person with a | ||
disability; provided that at least 75%
of the amount of | ||
such total goal shall be for minority
owned businesses. | ||
"Minority owned business", "female
owned business", and | ||
"business owned by a person with a
disability" shall have | ||
the meanings ascribed to them in
Section 2 of the Business | ||
Enterprise for Minorities,
Females and Persons with | ||
Disabilities Act. | ||
(17) Prior to the clean coal SNG brownfield facility | ||
issuing a notice to proceed to construction, the clean coal | ||
SNG brownfield facility shall file with the Commission a | ||
certificate from an independent engineer that the clean | ||
coal SNG brownfield facility has (A) obtained all | ||
applicable State and federal environmental permits | ||
required for construction; (B) obtained approval from the | ||
Commission of a carbon capture and sequestration plan; and | ||
(C) obtained all necessary permits required for | ||
construction for the transportation and sequestration of |
carbon dioxide as set forth in the Commission-approved | ||
carbon capture and sequestration plan. | ||
(h-2) Consumer protection reserve account. The clean coal | ||
SNG brownfield facility shall guarantee a minimum of | ||
$100,000,000 in consumer savings to customers of the utilities
| ||
that have entered into sourcing agreements with the clean coal
| ||
SNG brownfield facility, calculated in real 2010 dollars at the | ||
conclusion of the term of the sourcing agreement by comparing | ||
the delivered SNG price to the Chicago City-gate price on a | ||
weighted daily basis for each day over the entire term of the | ||
sourcing agreement. Prior to the clean coal SNG brownfield | ||
facility issuing a notice to proceed to construction, the clean | ||
coal SNG brownfield facility shall establish a consumer | ||
protection reserve account for the benefit of the retail | ||
customers of the utilities that have entered into sourcing | ||
agreements with the clean coal SNG brownfield facility pursuant | ||
to subsection (h-1), with cash principal in the amount of | ||
$150,000,000. Such cash principal shall only be recovered | ||
through the consumer protection reserve account and not as a | ||
cost to be recovered in the delivered SNG price pursuant to | ||
subsection (h-3) of this Section. The consumer protection | ||
reserve account shall be maintained and administered by an | ||
independent trustee that is mutually agreed upon by the clean | ||
coal SNG brownfield facility, the utilities, and the Commission | ||
in an interest-bearing account in accordance with the | ||
following: |
(1) The clean coal SNG brownfield facility monthly | ||
shall calculate (A) the difference between the monthly | ||
delivered SNG price and the Chicago City-gate price, by | ||
comparing the delivered SNG price, which shall include the | ||
cost of transportation to the delivery point, if any, to | ||
the Chicago City-gate price on a weighted daily basis for | ||
each day of the prior month based upon a mutually agreed | ||
upon published index and (B) the overage amount, if any, by
| ||
calculating the annualized incremental additional cost,
if | ||
any, of the delivered SNG in excess of 2.015% of the
| ||
average annual inflation-adjusted amounts paid by all gas
| ||
distribution customers in connection with natural gas
| ||
service during the 5 years ending May 31, 2010. | ||
(2) During the first 2 years of operation of the | ||
facility: | ||
(A) to the extent there is an overage amount, the | ||
consumer protection reserve account shall be used to | ||
provide a credit to reduce the SNG price by an amount | ||
equal to the overage amount; and | ||
(B) to the extent the monthly delivered SNG price | ||
is less than or equal to the Chicago City-gate price, | ||
the utility shall credit the difference between the | ||
monthly delivered SNG price and the monthly Chicago | ||
City-gate price, if any, to the consumer protection | ||
reserve account. Such credit issued pursuant to this | ||
paragraph (B) shall be deemed prudent and reasonable |
and not subject to a Commission prudence review; | ||
(3) After 2 years of operation of the facility, and | ||
monthly, on an on-going basis, thereafter: | ||
(A) to the extent that the monthly delivered SNG | ||
price is less than or equal to the Chicago City-gate | ||
price, calculated using the weighted average of the | ||
daily Chicago City-gate price on a daily basis over the | ||
entire month, the utility shall credit the difference, | ||
if any, to the consumer protection reserve account. | ||
Such credit issued pursuant to this subparagraph (A) | ||
shall be deemed prudent and reasonable and not subject | ||
to a Commission prudence review; | ||
(B) any amounts in the consumer protection reserve | ||
account in excess of the consumer protection reserve | ||
account principal maximum amount shall be distributed | ||
as follows: (i) if retail customers have not realized
| ||
net consumer savings, calculated by comparing the
| ||
delivered SNG price to the weighted average of the
| ||
daily Chicago City-gate price on a daily basis over
the | ||
entire term of the sourcing agreement to date,
then 50% | ||
of any amounts in the consumer protection
reserve | ||
account in excess of the consumer protection reserve | ||
account principal maximum shall be
distributed to the | ||
clean coal SNG brownfield
facility, with the remaining | ||
50% of any such
additional amounts being credited to | ||
retail
customers, and (ii) if retail customers have |
realized net
consumer savings, then 100% of any amounts | ||
in the
consumer protection reserve account in excess of
| ||
the consumer protection reserve account principal | ||
maximum shall be distributed to the clean coal
SNG | ||
brownfield facility; provided, however, that under no | ||
circumstances shall the total cumulative amount | ||
distributed to the clean coal SNG brownfield facility | ||
under this subparagraph (B) exceed $150,000,000; | ||
(C) to the extent there is an overage amount, after | ||
distributing the amounts pursuant to subparagraph (B) | ||
of this paragraph (3), if any, the consumer protection | ||
reserve account shall be used to provide a credit to | ||
reduce the SNG price by an amount equal to the overage | ||
amount; | ||
(D) if retail customers have realized net consumer | ||
savings, calculated by comparing the delivered SNG | ||
price to the weighted average of the daily Chicago | ||
City-gate price on a daily basis over the entire term | ||
of the sourcing agreement to date, then after | ||
distributing the amounts pursuant to subparagraphs (B) | ||
and (C) of this paragraph (3), 50% of any additional | ||
amounts in the consumer protection reserve account in | ||
excess of the consumer protection reserve account | ||
principal maximum shall be distributed to the clean | ||
coal SNG brownfield facility, with the remaining 50% of | ||
any such additional amounts being credited to retail |
customers; provided, however, that if retail customers | ||
have not realized such net consumer savings, no such | ||
distribution shall be made to the clean coal SNG | ||
brownfield facility, and 100% of such additional | ||
amounts shall be credited to the retail customers to | ||
the extent the consumer protection reserve account | ||
exceeds the consumer protection reserve account | ||
principal maximum amount. | ||
(4) Fifty percent of all additional net revenue, | ||
defined as miscellaneous net revenue after cost allowance | ||
for costs associated with additional net revenue that are | ||
not otherwise recoverable pursuant to subsection (h-3) of | ||
this Section, including net revenue from sales of | ||
substitute natural gas derived from the facility above the | ||
nameplate capacity of the facility and other by-products | ||
produced by the facility, shall be credited to the consumer | ||
protection reserve account. | ||
(5) At the conclusion of the term of the sourcing | ||
agreement, to the extent retail customers have not saved | ||
the minimum of $100,000,000 in consumer savings as | ||
guaranteed in this subsection (h-2), amounts in the | ||
consumer protection reserve account shall be credited to | ||
retail customers to the extent the retail customers have | ||
saved the minimum of $100,000,000; 50% of any additional | ||
amounts in the consumer protection reserve account shall be | ||
distributed to the company, and the remaining 50% shall be |
distributed to retail customers. | ||
(6) If, at the conclusion of the term of the sourcing | ||
agreement, the customers have not saved the minimum | ||
$100,000,000 in savings as guaranteed in this subsection | ||
(h-2) and the consumer protection reserve account has been | ||
depleted, then the clean coal SNG brownfield facility shall | ||
be liable for any remaining amount owed to the retail | ||
customers to the extent that the customers are provided | ||
with the $100,000,000 in savings as guaranteed in this | ||
subsection (h-2). The retail customers shall have first | ||
priority in recovering that debt above any creditors, | ||
except the original senior secured lender to the extent | ||
that the original senior secured lender has any senior | ||
secured debt outstanding, including any clean coal SNG | ||
brownfield facility parent companies or affiliates. | ||
(7) The clean coal SNG brownfield facility, the | ||
utilities, and the trustee shall work together to take | ||
commercially reasonable steps to minimize the tax impact of | ||
these transactions, while preserving the consumer | ||
benefits. | ||
(8) The clean coal SNG brownfield facility shall each | ||
month, starting in the facility's first year of commercial | ||
operation, file with the Commission, in such form as the | ||
Commission shall require, a report as to the consumer | ||
protection reserve account. The monthly report must | ||
contain the following information: |
(A) the extent the monthly delivered SNG price is | ||
greater than, less than, or equal to the Chicago | ||
City-gate price; | ||
(B) the amount credited or debited to the consumer | ||
protection reserve account during the month; | ||
(C) the amounts credited to consumers and | ||
distributed to the clean coal SNG brownfield facility | ||
during the month; | ||
(D) the total amount of the consumer protection | ||
reserve account at the beginning and end of the month; | ||
(E) the total amount of consumer savings to date; | ||
(F) a confidential summary of the inputs used to | ||
calculate the additional net revenue; and | ||
(G) any other additional information the | ||
Commission shall require. | ||
When any report is erroneous or defective or appears to | ||
the Commission to be erroneous or defective, the Commission | ||
may notify the clean coal SNG brownfield facility to amend | ||
the report within 30 days, and, before or after the | ||
termination of the 30-day period, the Commission may | ||
examine the trustee of the consumer protection reserve | ||
account or the officers, agents, employees, books, | ||
records, or accounts of the clean coal SNG brownfield | ||
facility and correct such items in the report as upon such | ||
examination the Commission may find defective or | ||
erroneous. All reports shall be under oath. |
All reports made to the Commission by the clean coal | ||
SNG brownfield facility and the contents of the reports | ||
shall be open to public inspection and shall be deemed a | ||
public record under the Freedom of Information Act. Such | ||
reports shall be preserved in the office of the Commission. | ||
The Commission shall publish an annual summary of the | ||
reports prior to February 1 of the following year. The | ||
annual summary shall be made available to the public on the | ||
Commission's website and shall be submitted to the General | ||
Assembly. | ||
Any facility that fails to file a report required under | ||
this paragraph (8) to the Commission within the time | ||
specified or to make specific answer to any question | ||
propounded by the Commission within 30 days from the time | ||
it is lawfully required to do so, or within such further | ||
time not to exceed 90 days as may in its discretion be | ||
allowed by the Commission, shall pay a penalty of $500 to | ||
the Commission for each day it is in default. | ||
Any person who willfully makes any false report to the | ||
Commission or to any member, officer, or employee thereof, | ||
any person who willfully in a report withholds or fails to | ||
provide material information to which the Commission is | ||
entitled under this paragraph (8) and which information is | ||
either required to be filed by statute, rule, regulation, | ||
order, or decision of the Commission or has been requested | ||
by the Commission, and any person who willfully aids or |
abets such person shall be guilty of a Class A misdemeanor. | ||
(h-3) Recoverable costs and revenue by the clean coal SNG | ||
brownfield facility. | ||
(1) A capital recovery charge approved by the | ||
Commission shall be recoverable by the clean coal SNG | ||
brownfield facility under a sourcing agreement. The | ||
capital recovery charge shall be comprised of capital costs | ||
and a reasonable rate of return. "Capital costs" means | ||
costs to be incurred in connection with the construction | ||
and development of a facility, as defined in Section 1-10 | ||
of the Illinois Power Agency Act, and such other costs as | ||
the Capital Development Board deems appropriate to be | ||
recovered in the capital recovery charge. | ||
(A) Capital costs. The Capital Development Board | ||
shall calculate a range of capital costs that it | ||
believes would be reasonable for the clean coal SNG | ||
brownfield facility to recover under the sourcing | ||
agreement. In making this determination, the Capital | ||
Development Board shall review the facility cost
| ||
report, if any, of the clean coal SNG brownfield
| ||
facility, adjusting the results based on the change in
| ||
the Annual Consumer Price Index for All Urban Consumers
| ||
for the Midwest Region as published in April by the
| ||
United States Department of Labor, Bureau of Labor
| ||
Statistics, the final draft of the sourcing agreement, | ||
and the rate of return approved by the Commission. In |
addition, the Capital Development Board may consult as | ||
much as it deems necessary with the clean coal SNG | ||
brownfield facility and conduct whatever research and | ||
investigation it deems necessary. | ||
The Capital Development Board shall retain an | ||
engineering expert to assist in determining both the | ||
range of capital costs and the range of operations and | ||
maintenance costs that it believes would be reasonable | ||
for the clean coal SNG brownfield facility to recover | ||
under the sourcing agreement. Provided, however, that | ||
such expert shall: (i) not have been involved in the | ||
clean coal SNG brownfield facility's facility cost | ||
report, if any, (ii) not own or control any direct or | ||
indirect interest in the initial clean coal facility, | ||
and (iii) have no contractual relationship with the | ||
clean coal SNG brownfield facility. In order to qualify | ||
as an independent expert, a person or company must | ||
have: | ||
(i) direct previous experience conducting | ||
front-end engineering and design studies for | ||
large-scale energy facilities and administering | ||
large-scale energy operations and maintenance | ||
contracts, which may be particularized to the | ||
specific type of financing associated with the | ||
clean coal SNG brownfield facility; | ||
(ii) an advanced degree in economics, |
mathematics, engineering, or a related area of | ||
study; | ||
(iii) ten years of experience in the energy | ||
sector, including construction and risk management | ||
experience; | ||
(iv) expertise in assisting companies with | ||
obtaining financing for large-scale energy | ||
projects, which may be particularized to the | ||
specific type of financing associated with the | ||
clean coal SNG brownfield facility; | ||
(v) expertise in operations and maintenance | ||
which may be particularized to the specific type of | ||
operations and maintenance associated with the | ||
clean coal SNG brownfield facility; | ||
(vi) expertise in credit and contract | ||
protocols; | ||
(vii) adequate resources to perform and | ||
fulfill the required functions and | ||
responsibilities; and | ||
(viii) the absence of a conflict of interest | ||
and inappropriate bias for or against an affected | ||
gas utility or the clean coal SNG brownfield | ||
facility. | ||
The clean coal SNG brownfield facility and the | ||
Illinois Power Agency shall cooperate with the Capital | ||
Development Board in any investigation it deems |
necessary. The Capital Development Board shall make | ||
its final determination of the range of capital costs | ||
confidentially and shall submit that range to the | ||
Commission in a confidential filing within 120 days | ||
after July 13, 2011 (the effective date of Public Act | ||
97-096). The clean coal SNG brownfield facility shall | ||
submit to the Commission its estimate of the capital | ||
costs to be recovered under the sourcing agreement. | ||
Only after the clean coal SNG brownfield facility has | ||
submitted this estimate shall the Commission publicly | ||
announce the range of capital costs submitted by the | ||
Capital Development Board. | ||
In the event that the estimate submitted by the | ||
clean coal SNG brownfield facility is within or below | ||
the range submitted by the Capital Development Board, | ||
the clean coal SNG brownfield facility's estimate | ||
shall be approved by the Commission as the amount of | ||
capital costs to be recovered under the sourcing | ||
agreement. In the event that the estimate submitted by | ||
the clean coal SNG brownfield facility is above the | ||
range submitted by the Capital Development Board, the | ||
amount of capital costs at the lowest end of the range | ||
submitted by the Capital Development Board shall be | ||
approved by the Commission as the amount of capital | ||
costs to be recovered under the sourcing agreement. | ||
Within 15 days after the Capital Development Board has |
submitted its range and the clean coal SNG brownfield | ||
facility has submitted its estimate, the Commission | ||
shall approve the capital costs for the clean coal SNG | ||
brownfield facility. | ||
The Capital Development Board shall monitor the | ||
construction of the clean coal SNG brownfield facility | ||
for the full duration of construction to assess | ||
potential cost overruns. The Capital Development | ||
Board, in its discretion, may retain an expert to | ||
facilitate such monitoring. The clean coal SNG | ||
brownfield facility shall pay a reasonable fee as | ||
required by the Capital Development Board for the | ||
Capital Development Board's services under this | ||
subsection (h-3) to be deposited into the Capital | ||
Development Board Revolving Fund, and such fee shall | ||
not be passed through to a utility or its customers. If | ||
an expert is retained by the Capital Development Board | ||
for monitoring of construction, then the clean coal SNG | ||
brownfield facility must pay for the expert's | ||
reasonable fees and such costs shall not be passed | ||
through to a utility or its customers. | ||
(B) Rate of Return. No later than 30 days after the | ||
date on which the Illinois Power Agency submits a final | ||
draft sourcing agreement, the Commission shall hold a | ||
public hearing to determine the rate of return to be | ||
recovered under the sourcing agreement. Rate of return |
shall be comprised of the clean coal SNG brownfield | ||
facility's actual cost of debt, including | ||
mortgage-style amortization, and a reasonable return | ||
on equity. The Commission shall post notice of the | ||
hearing on its website no later than 10 days prior to | ||
the date of the hearing. The Commission shall provide | ||
the public and all interested parties, including the | ||
gas utilities, the Attorney General, and the Illinois | ||
Power Agency, an opportunity to be heard. | ||
In determining the return on equity, the | ||
Commission shall select a commercially reasonable | ||
return on equity taking into account the return on | ||
equity being received by developers of similar | ||
facilities in or outside of Illinois, the need to | ||
balance an incentive for clean-coal technology with | ||
the need to protect ratepayers from high gas prices, | ||
the risks being borne by the clean coal SNG brownfield | ||
facility in the final draft sourcing agreement, and any | ||
other information that the Commission may deem | ||
relevant. The Commission may establish a return on | ||
equity that varies with the amount of savings, if any, | ||
to customers during the term of the sourcing agreement, | ||
comparing the delivered SNG price to a daily weighted | ||
average price of natural gas, based upon an index. The | ||
Illinois Power Agency shall recommend a return on | ||
equity to the Commission using the same criteria. |
Within 60 days after receiving the final draft sourcing | ||
agreement from the Illinois Power Agency, the | ||
Commission shall approve the rate of return for the | ||
clean coal brownfield facility. Within 30 days after | ||
obtaining debt financing for the clean coal SNG | ||
brownfield facility, the clean coal SNG brownfield | ||
facility shall file a notice with the Commission | ||
identifying the actual cost of debt. | ||
(2) Operations and maintenance costs approved by the | ||
Commission shall be recoverable by the clean coal SNG | ||
brownfield facility under the sourcing agreement. The | ||
operations and maintenance costs mean costs that have been | ||
incurred for the administration, supervision, operation, | ||
maintenance, preservation, and protection of the clean | ||
coal SNG brownfield facility's physical plant. | ||
The Capital Development Board shall calculate a range | ||
of operations and maintenance costs that it believes would | ||
be reasonable for the clean coal SNG brownfield facility to | ||
recover under the sourcing agreement, incorporating an
| ||
inflation index or combination of inflation indices to
most | ||
accurately reflect the actual costs of operating the
clean | ||
coal SNG brownfield facility. In making this | ||
determination, the Capital Development Board shall review | ||
the facility cost report, if any, of the clean coal SNG
| ||
brownfield facility, adjusting the results for inflation
| ||
based on the change in the Annual Consumer Price Index for
|
All Urban Consumers for the Midwest Region as published in
| ||
April by the United States Department of Labor, Bureau of
| ||
Labor Statistics, the final draft of the sourcing | ||
agreement, and the rate of return approved by the | ||
Commission. In addition, the Capital Development Board may | ||
consult as much as it deems necessary with the clean coal | ||
SNG brownfield facility and conduct whatever research and | ||
investigation it deems necessary. As set forth in | ||
subparagraph (A) of paragraph (1) of this subsection (h-3), | ||
the Capital Development Board shall retain an independent | ||
engineering expert to assist in determining both the range | ||
of operations and maintenance costs that it believes would | ||
be reasonable for the clean coal SNG brownfield facility to | ||
recover under the sourcing agreement. The clean coal SNG | ||
brownfield facility and the Illinois Power Agency shall | ||
cooperate with the Capital Development Board in any | ||
investigation it deems necessary. The Capital Development | ||
Board shall make its final determination of the range of | ||
operations and maintenance costs confidentially and shall | ||
submit that range to the Commission in a confidential | ||
filing within 120 days after July 13, 2011. | ||
The clean coal SNG brownfield facility shall submit to | ||
the Commission its estimate of the operations and | ||
maintenance costs to be recovered under the sourcing | ||
agreement. Only after the clean coal SNG brownfield | ||
facility has submitted this estimate shall the Commission |
publicly announce the range of operations and maintenance | ||
costs submitted by the Capital Development Board. In the | ||
event that the estimate submitted by the clean coal SNG | ||
brownfield facility is within or below the range submitted | ||
by the Capital Development Board, the clean coal SNG | ||
brownfield facility's estimate shall be approved by the | ||
Commission as the amount of operations and maintenance | ||
costs to be recovered under the sourcing agreement. In the | ||
event that the estimate submitted by the clean coal SNG | ||
brownfield facility is above the range submitted by the | ||
Capital Development Board, the amount of operations and | ||
maintenance costs at the lowest end of the range submitted | ||
by the Capital Development Board shall be approved by the | ||
Commission as the amount of operations and maintenance | ||
costs to be recovered under the sourcing agreement. Within | ||
15 days after the Capital Development Board has submitted | ||
its range and the clean coal SNG brownfield facility has | ||
submitted its estimate, the Commission shall approve the | ||
operations and maintenance costs for the clean coal SNG | ||
brownfield facility. | ||
The clean coal SNG brownfield facility shall pay for | ||
the independent engineering expert's reasonable fees and | ||
such costs shall not be passed through to a utility or its | ||
customers. The clean coal SNG brownfield facility shall pay | ||
a reasonable fee as required by the Capital Development | ||
Board for the Capital Development Board's services under |
this subsection (h-3) to be deposited into the Capital | ||
Development Board Revolving Fund, and such fee shall not be | ||
passed through to a utility or its customers. | ||
(3) Sequestration costs approved by the Commission | ||
shall be recoverable by the clean coal SNG brownfield | ||
facility. "Sequestration costs" means costs to be incurred | ||
by the clean coal SNG brownfield facility in accordance | ||
with its Commission-approved carbon capture and | ||
sequestration plan to: | ||
(A) capture carbon dioxide; | ||
(B) build, operate, and maintain a sequestration | ||
site in which carbon dioxide may be injected; | ||
(C) build, operate, and maintain a carbon dioxide | ||
pipeline; and | ||
(D) transport the carbon dioxide to the | ||
sequestration site or a pipeline. | ||
The Commission shall assess the prudency of the | ||
sequestration costs for the clean coal SNG brownfield | ||
facility before construction commences at the | ||
sequestration site or pipeline. Any revenues the clean coal | ||
SNG brownfield facility receives as a result of the | ||
capture, transportation, or sequestration of carbon | ||
dioxide shall be first credited against all sequestration | ||
costs, with the positive balance, if any, treated as | ||
additional net revenue. | ||
The Commission may, in its discretion, retain an expert |
to assist in its review of sequestration costs. The clean | ||
coal SNG brownfield facility shall pay for the expert's | ||
reasonable fees if an expert is retained by the Commission, | ||
and such costs shall not be passed through to a utility or | ||
its customers. Once made, the Commission's determination | ||
of the amount of recoverable sequestration costs shall not | ||
be increased unless the clean coal SNG brownfield facility | ||
can show by clear and convincing evidence that (i) the | ||
costs were not reasonably foreseeable; (ii) the costs were | ||
due to circumstances beyond the clean coal SNG brownfield | ||
facility's control; and (iii) the clean coal SNG brownfield | ||
facility took all reasonable steps to mitigate the costs. | ||
If the Commission determines that sequestration costs may | ||
be increased, the Commission shall provide for notice and a | ||
public hearing for approval of the increased sequestration | ||
costs. | ||
(4) Actual delivered and processed fuel costs shall be | ||
set by the Illinois Power Agency through a SNG feedstock | ||
procurement, pursuant to Sections 1-20, 1-77, and 1-78 of | ||
the Illinois Power Agency Act, to be performed at least | ||
every 5 years and purchased by the clean coal SNG | ||
brownfield facility pursuant to feedstock procurement | ||
contracts developed by the Illinois Power Agency, with coal | ||
comprising at least 50% of the total feedstock over the | ||
term of the sourcing agreement and petroleum coke | ||
comprising the remainder of the SNG feedstock. If the |
Commission fails to approve a feedstock procurement plan or | ||
fails to approve the results of a feedstock procurement | ||
event, then the fuel shall be purchased by the company | ||
month-by-month on the spot market and those actual | ||
delivered and processed fuel costs shall be recoverable | ||
under the sourcing agreement. If a supplier defaults under | ||
the terms of a procurement contract, then the Illinois | ||
Power Agency shall immediately initiate a feedstock | ||
procurement process to obtain a replacement supply, and, | ||
prior to the conclusion of that process, fuel shall be | ||
purchased by the company month-by-month on the spot market | ||
and those actual delivered and processed fuel costs shall | ||
be recoverable under the sourcing agreement. | ||
(5) Taxes and fees imposed by the federal government, | ||
the State, or any unit of local government applicable to | ||
the clean coal SNG brownfield facility, excluding income | ||
tax, shall be recoverable by the clean coal SNG brownfield | ||
facility under the sourcing agreement to the extent such | ||
taxes and fees were not applicable to the facility on July | ||
13, 2011. | ||
(6) The actual transportation costs, in accordance | ||
with the applicable utility's tariffs, and third-party | ||
marketer costs incurred by the company, if any, associated | ||
with transporting the SNG from the clean coal SNG | ||
brownfield facility to the Chicago City-gate to sell such | ||
SNG into the natural gas markets shall be recoverable under |
the sourcing agreement. | ||
(7) Unless otherwise provided, within 30 days after a | ||
decision of the Commission on recoverable costs under this | ||
Section, any interested party to the Commission's decision | ||
may apply for a rehearing with respect to the decision. The | ||
Commission shall receive and consider the application for | ||
rehearing and shall grant or deny the application in whole | ||
or in part within 20 days after the date of the receipt of | ||
the application by the Commission. If no rehearing is | ||
applied for within the required 30 days or an application | ||
for rehearing is denied, then the Commission decision shall | ||
be final. If an application for rehearing is granted, then | ||
the Commission shall hold a rehearing within 30 days after | ||
granting the application. The decision of the Commission | ||
upon rehearing shall be final. | ||
Any person affected by a decision of the Commission | ||
under this subsection (h-3) may have the decision reviewed | ||
only under and in accordance with the Administrative Review | ||
Law. Unless otherwise provided, the provisions of the | ||
Administrative Review Law, all amendments and | ||
modifications to that Law, and the rules adopted pursuant | ||
to that Law shall apply to and govern all proceedings for | ||
the judicial review of final administrative decisions of | ||
the Commission under this subsection (h-3). The term | ||
"administrative decision" is defined as in Section 3-101 of | ||
the Code of Civil Procedure. |
(8) The Capital Development Board shall adopt and make | ||
public a policy detailing the process for retaining experts | ||
under this Section. Any experts retained to assist with | ||
calculating the range of capital costs or operations and | ||
maintenance costs shall be retained no later than 45 days | ||
after July 13, 2011. | ||
(h-4) No later than 90 days after the Illinois Power Agency | ||
submits the final draft sourcing agreement pursuant to | ||
subsection (h-1), the Commission shall approve a sourcing | ||
agreement containing (i) the capital costs, rate of return, and | ||
operations and maintenance costs established pursuant to | ||
subsection (h-3) and (ii) all other terms and conditions, | ||
rights, provisions, exceptions, and limitations contained in | ||
the final draft sourcing agreement; provided, however, the | ||
Commission shall correct typographical and scrivener's errors | ||
and modify the contract only as necessary to provide that the | ||
gas utility does not have the right to terminate the sourcing | ||
agreement due to any future events that may occur other than | ||
the clean coal SNG brownfield facility's failure to timely meet | ||
milestones, uncured default, extended force majeure, or | ||
abandonment. Once the sourcing agreement is approved, then the | ||
gas utility subject to that sourcing agreement shall have 45 | ||
days after the date of the Commission's approval to enter into | ||
the sourcing agreement. | ||
(h-5) Sequestration enforcement. | ||
(A) All contracts entered into under subsection (h) of |
this Section and all sourcing agreements under subsection | ||
(h-1) of this Section, regardless of duration, shall | ||
require the owner of any facility supplying SNG under the | ||
contract or sourcing agreement to provide certified | ||
documentation to the Commission each year, starting in the | ||
facility's first year of commercial operation, accurately | ||
reporting the quantity of carbon dioxide emissions from the | ||
facility that have been captured and sequestered and | ||
reporting any quantities of carbon dioxide released from | ||
the site or sites at which carbon dioxide emissions were | ||
sequestered in prior years, based on continuous monitoring | ||
of those sites. | ||
(B) If, in any year, the owner of the clean coal SNG | ||
facility fails to demonstrate that the SNG facility | ||
captured and sequestered at least 90% of the total carbon | ||
dioxide emissions that the facility would otherwise emit or | ||
that sequestration of emissions from prior years has | ||
failed, resulting in the release of carbon dioxide into the | ||
atmosphere, then the owner of the clean coal SNG facility | ||
must pay a penalty of $20 per ton of excess carbon dioxide | ||
emissions not to exceed $40,000,000, in any given year | ||
which shall be deposited into the Energy Efficiency Trust | ||
Fund and distributed pursuant to subsection (b) of Section | ||
6-6 of the Renewable Energy, Energy Efficiency, and Coal | ||
Resources Development Law of 1997. On or before the 5-year | ||
anniversary of the execution of the contract and every 5 |
years thereafter, an expert hired by the owner of the | ||
facility with the approval of the Attorney General shall | ||
conduct an analysis to determine the cost of sequestration | ||
of at least 90% of the total carbon dioxide emissions the | ||
plant would otherwise emit. If the analysis shows that the | ||
actual annual cost is greater than the penalty, then the | ||
penalty shall be increased to equal the actual cost. | ||
Provided, however, to the extent that the owner of the | ||
facility described in subsection (h) of this Section can | ||
demonstrate that the failure was as a result of acts of God | ||
(including fire, flood, earthquake, tornado, lightning, | ||
hurricane, or other natural disaster); any amendment, | ||
modification, or abrogation of any applicable law or | ||
regulation that would prevent performance; war; invasion; | ||
act of foreign enemies; hostilities (regardless of whether | ||
war is declared); civil war; rebellion; revolution; | ||
insurrection; military or usurped power or confiscation; | ||
terrorist activities; civil disturbance; riots; | ||
nationalization; sabotage; blockage; or embargo, the owner | ||
of the facility described in subsection (h) of this Section | ||
shall not be subject to a penalty if and only if (i) it | ||
promptly provides notice of its failure to the Commission; | ||
(ii) as soon as practicable and consistent with any order | ||
or direction from the Commission, it submits to the | ||
Commission proposed modifications to its carbon capture | ||
and sequestration plan; and (iii) it carries out its |
proposed modifications in the manner and time directed by | ||
the Commission. | ||
If the Commission finds that the facility has not | ||
satisfied each of these requirements, then the facility | ||
shall be subject to the penalty. If the owner of the clean | ||
coal SNG facility captured and sequestered more than 90% of | ||
the total carbon dioxide emissions that the facility would | ||
otherwise emit, then the owner of the facility may credit | ||
such additional amounts to reduce the amount of any future | ||
penalty to be paid. The penalty resulting from the failure | ||
to capture and sequester at least the minimum amount of | ||
carbon dioxide shall not be passed on to a utility or its | ||
customers. | ||
If the clean coal SNG facility fails to meet the | ||
requirements specified in this subsection (h-5), then the | ||
Attorney General, on behalf of the People of the State of | ||
Illinois, shall bring an action to enforce the obligations | ||
related to the facility set forth in this subsection (h-5), | ||
including any penalty payments owed, but not including the | ||
physical obligation to capture and sequester at least 90% | ||
of the total carbon dioxide emissions that the facility | ||
would otherwise emit. Such action may be filed in any | ||
circuit court in Illinois. By entering into a contract | ||
pursuant to subsection (h) of this Section, the clean coal | ||
SNG facility agrees to waive any objections to venue or to | ||
the jurisdiction of the court with regard to the Attorney |
General's action under this subsection (h-5). | ||
Compliance with the sequestration requirements and any | ||
penalty requirements specified in this subsection (h-5) | ||
for the clean coal SNG facility shall be assessed annually | ||
by the Commission, which may in its discretion retain an | ||
expert to facilitate its assessment. If any expert is | ||
retained by the Commission, then the clean coal SNG | ||
facility shall pay for the expert's reasonable fees, and | ||
such costs shall not be passed through to the utility or | ||
its customers. | ||
In addition, carbon dioxide emission credits received | ||
by the clean coal SNG facility in connection with | ||
sequestration of carbon dioxide from the facility must be | ||
sold in a timely fashion with any revenue, less applicable | ||
fees and expenses and any expenses required to be paid by | ||
facility for carbon dioxide transportation or | ||
sequestration, deposited into the reconciliation account | ||
within 30 days after receipt of such funds by the owner of | ||
the clean coal SNG facility. | ||
The clean coal SNG facility is prohibited from | ||
transporting or sequestering carbon dioxide unless the | ||
owner of the carbon dioxide pipeline that transfers the | ||
carbon dioxide from the facility and the owner of the | ||
sequestration site where the carbon dioxide captured by the | ||
facility is stored has acquired all applicable permits | ||
under applicable State and federal laws, statutes, rules, |
or regulations prior to the transfer or sequestration of | ||
carbon dioxide. The responsibility for compliance with the | ||
sequestration requirements specified in this subsection | ||
(h-5) for the clean coal SNG facility shall reside solely | ||
with the clean coal SNG facility, regardless of whether the | ||
facility has contracted with another party to capture, | ||
transport, or sequester carbon dioxide. | ||
(C) If, in any year, the owner of a clean coal SNG | ||
brownfield facility fails to demonstrate that the clean | ||
coal SNG brownfield facility captured and sequestered at | ||
least 85% of the total carbon dioxide emissions that the | ||
facility would otherwise emit, then the owner of the clean | ||
coal SNG brownfield facility must pay a penalty of $20 per | ||
ton of excess carbon emissions up to $20,000,000, which | ||
shall be deposited into the Energy Efficiency Trust Fund | ||
and distributed pursuant to subsection (b) of Section 6-6 | ||
of the Renewable Energy, Energy Efficiency, and Coal | ||
Resources Development Law of 1997. Provided, however, to | ||
the extent that the owner of the clean coal SNG brownfield | ||
facility can demonstrate that the failure was as a result | ||
of acts of God (including fire, flood, earthquake, tornado, | ||
lightning, hurricane, or other natural disaster); any | ||
amendment, modification, or abrogation of any applicable | ||
law or regulation that would prevent performance; war; | ||
invasion; act of foreign enemies; hostilities (regardless | ||
of whether war is declared); civil war; rebellion; |
revolution; insurrection; military or usurped power or | ||
confiscation; terrorist activities; civil disturbances; | ||
riots; nationalization; sabotage; blockage; or embargo, | ||
the owner of the clean coal SNG brownfield facility shall | ||
not be subject to a penalty if and only if (i) it promptly | ||
provides notice of its failure to the Commission; (ii) as | ||
soon as practicable and consistent with any order or | ||
direction from the Commission, it submits to the Commission | ||
proposed modifications to its carbon capture and | ||
sequestration plan; and (iii) it carries out its proposed | ||
modifications in the manner and time directed by the | ||
Commission. If the Commission finds that the facility has | ||
not satisfied each of these requirements, then the facility | ||
shall be subject to the penalty. If the owner of a clean | ||
coal SNG brownfield facility demonstrates that the clean | ||
coal SNG brownfield facility captured and sequestered more | ||
than 85% of the total carbon emissions that the facility | ||
would otherwise emit, the owner of the clean coal SNG | ||
brownfield facility may credit such additional amounts to | ||
reduce the amount of any future penalty to be paid. The | ||
penalty resulting from the failure to capture and sequester | ||
at least the minimum amount of carbon dioxide shall not be | ||
passed on to a utility or its customers. | ||
In addition to any penalty for the clean coal SNG | ||
brownfield facility's failure to capture and sequester at | ||
least its minimum sequestration requirement, the Attorney |
General, on behalf of the People of the State of Illinois, | ||
shall bring an action for specific performance of this | ||
subsection (h-5). Such action may be filed in any circuit | ||
court in Illinois. By entering into a sourcing agreement | ||
pursuant to subsection (h-1) of this Section, the clean | ||
coal SNG brownfield facility agrees to waive any objections | ||
to venue or to the jurisdiction of the court with regard to | ||
the Attorney General's action for specific performance | ||
under this subsection (h-5). | ||
Compliance with the sequestration requirements and | ||
penalty requirements specified in this subsection (h-5) | ||
for the clean coal SNG brownfield facility shall be | ||
assessed annually by the Commission, which may in its | ||
discretion retain an expert to facilitate its assessment. | ||
If an expert is retained by the Commission, then the clean | ||
coal SNG brownfield facility shall pay for the expert's | ||
reasonable fees, and such costs shall not be passed through | ||
to a utility or its customers. A SNG facility operating | ||
pursuant to this subsection (h-5) shall not forfeit its | ||
designation as a clean coal SNG facility or a clean coal | ||
SNG brownfield facility if the facility fails to fully | ||
comply with the applicable carbon sequestration | ||
sequestrian requirements in any given year, provided the | ||
requisite offsets are purchased or requisite penalties are | ||
paid. | ||
Responsibility for compliance with the sequestration |
requirements specified in this subsection (h-5) for the | ||
clean coal SNG brownfield facility shall reside solely with | ||
the clean coal SNG brownfield facility regardless of | ||
whether the facility has contracted with another party to | ||
capture, transport, or sequester carbon dioxide.
| ||
(h-7) Sequestration permitting, oversight, and | ||
investigations. | ||
(1) No clean coal facility or clean coal SNG brownfield | ||
facility may transport or sequester carbon dioxide unless | ||
the Commission approves the method of carbon dioxide | ||
transportation or sequestration. Such approval shall be | ||
required regardless of whether the facility has contracted | ||
with another to transport or sequester the carbon dioxide. | ||
Nothing in this subsection (h-7) shall release the owner or | ||
operator of a carbon dioxide sequestration site or carbon | ||
dioxide pipeline from any other permitting requirements | ||
under applicable State and federal laws, statutes, rules, | ||
or regulations. | ||
(2) The Commission shall review carbon dioxide | ||
transportation and sequestration methods proposed by a | ||
clean coal facility or a clean coal SNG brownfield facility | ||
and shall approve those methods it deems reasonable and | ||
cost-effective. For purposes of this review, | ||
"cost-effective" means a commercially reasonable price for | ||
similar carbon dioxide transportation or sequestration | ||
techniques. In determining whether sequestration is |
reasonable and cost-effective, the Commission may consult | ||
with the Illinois State Geological Survey and retain third | ||
parties to assist in its determination, provided that such | ||
third parties shall not own or control any direct or | ||
indirect interest in the facility that is proposing the | ||
carbon dioxide transportation or the carbon dioxide | ||
sequestration method and shall have no contractual | ||
relationship with that facility. If a third party is | ||
retained by the Commission, then the facility proposing the | ||
carbon dioxide transportation or sequestration method | ||
shall pay for the expert's reasonable fees, and these costs | ||
shall not be passed through to a utility or its customers. | ||
No later than 6 months prior to the date upon which the | ||
owner intends to commence construction of a clean coal | ||
facility or the clean coal SNG brownfield facility, the | ||
owner of the facility shall file with the Commission a | ||
carbon dioxide transportation or sequestration plan. The | ||
Commission shall hold a public hearing within 30 days after | ||
receipt of the facility's carbon dioxide transportation or | ||
sequestration plan. The Commission shall post notice of the | ||
review on its website upon submission of a carbon dioxide | ||
transportation or sequestration method and shall accept | ||
written public comments. The Commission shall take the | ||
comments into account when making its decision. | ||
The Commission may not approve a carbon dioxide | ||
sequestration method if the owner or operator of the |
sequestration site has not received (i) an Underground | ||
Injection Control permit from the United States | ||
Environmental Protection Agency, or from the Illinois | ||
Environmental Protection Agency pursuant to the | ||
Environmental Protection Act; (ii) an Underground | ||
Injection Control permit from the Illinois Department of | ||
Natural Resources pursuant to the Illinois Oil and Gas Act; | ||
or (iii) an Underground Injection Control permit from the | ||
United States Environmental Protection Agency or a permit | ||
similar to items (i) or (ii) from the state in which the | ||
sequestration site is located if the sequestration will | ||
take place outside of Illinois. The Commission shall | ||
approve or deny the carbon dioxide transportation or | ||
sequestration method within 90 days after the receipt of | ||
all required information. | ||
(3) At least annually, the Illinois Environmental | ||
Protection Agency shall inspect all carbon dioxide | ||
sequestration sites in Illinois. The Illinois | ||
Environmental Protection Agency may, as often as deemed | ||
necessary, monitor and conduct investigations of those | ||
sites. The owner or operator of the sequestration site must | ||
cooperate with the Illinois Environmental Protection | ||
Agency investigations of carbon dioxide sequestration | ||
sites. | ||
If the Illinois Environmental Protection Agency | ||
determines at any time a site creates conditions that |
warrant the issuance of a seal order under Section 34 of | ||
the Environmental Protection Act, then the Illinois | ||
Environmental Protection Agency shall seal the site | ||
pursuant to the Environmental Protection Act. If the | ||
Illinois Environmental Protection Agency determines at any | ||
time a carbon dioxide sequestration site creates | ||
conditions that warrant the institution of a civil action | ||
for an injunction under Section 43 of the Environmental | ||
Protection Act, then the Illinois Environmental Protection | ||
Agency shall request the State's Attorney or the Attorney | ||
General institute such action. The Illinois Environmental | ||
Protection Agency shall provide notice of any such actions | ||
as soon as possible on its website. The SNG facility shall | ||
incur all reasonable costs associated with any such | ||
inspection or monitoring of the sequestration sites, and | ||
these costs shall not be recoverable from utilities or | ||
their customers. | ||
(4) (Blank). | ||
(h-9) The clean coal SNG brownfield facility shall have the | ||
right to recover prudently incurred increased costs or reduced | ||
revenue resulting from any new or amendatory legislation or | ||
other action. The State of Illinois pledges that the State will | ||
not enact any law or take any action to: | ||
(1) break, or repeal the authority for, sourcing | ||
agreements approved by the Commission and entered into | ||
between public utilities and the clean coal SNG brownfield |
facility; | ||
(2) deny public utilities full cost recovery for their | ||
costs incurred under those sourcing agreements; or | ||
(3) deny the clean coal SNG brownfield facility full | ||
cost and revenue recovery as provided under those sourcing | ||
agreements that are recoverable pursuant to subsection | ||
(h-3) of this Section. | ||
These pledges are for the benefit of the parties to those | ||
sourcing agreements and the issuers and holders of bonds or | ||
other obligations issued or incurred to finance or refinance | ||
the clean coal SNG brownfield facility. The clean coal SNG | ||
brownfield facility is authorized to include and refer to these | ||
pledges in any financing agreement into which it may enter in | ||
regard to those sourcing agreements. | ||
The State of Illinois retains and reserves all other rights | ||
to enact new or amendatory legislation or take any other | ||
action, without impairment of the right of the clean coal SNG | ||
brownfield facility to recover prudently incurred increased | ||
costs or reduced revenue resulting from the new or amendatory | ||
legislation or other action, including, but not limited to, | ||
such legislation or other action that would (i) directly or | ||
indirectly raise the costs the clean coal SNG brownfield | ||
facility must incur; (ii) directly or indirectly place | ||
additional restrictions, regulations, or requirements on the | ||
clean coal SNG brownfield facility; (iii) prohibit | ||
sequestration in general or prohibit a specific sequestration |
method or project; or (iv) increase minimum sequestration | ||
requirements for the clean coal SNG brownfield facility to the | ||
extent technically feasible. The clean coal SNG brownfield | ||
facility shall have the right to recover prudently incurred | ||
increased costs or reduced revenue resulting from the new or | ||
amendatory legislation or other action as described in this | ||
subsection (h-9). | ||
(h-10) Contract costs for SNG incurred by an Illinois gas | ||
utility are reasonable and prudent and recoverable through the | ||
purchased gas adjustment clause and are not subject to review | ||
or disallowance by the Commission. Contract costs are costs | ||
incurred by the utility under the terms of a contract that | ||
incorporates the terms stated in subsection (h) of this Section | ||
as confirmed in writing by the Illinois Power Agency as set | ||
forth in subsection (h) of this Section, which confirmation | ||
shall be deemed conclusive, or as a consequence of or condition | ||
to its performance under the contract, including (i) amounts | ||
paid for SNG under the SNG contract and (ii) costs of | ||
transportation and storage services of SNG purchased from | ||
interstate pipelines under federally approved tariffs. The | ||
Illinois gas utility shall initiate a clean coal SNG facility | ||
rider mechanism that (A) shall be applicable to all customers | ||
who receive transportation service from the utility, (B) shall | ||
be designed to have an equal percentage impact on the | ||
transportation services rates of each class of the utility's | ||
total customers, and (C) shall accurately reflect the net |
customer savings, if any, and above market costs, if any, under | ||
the SNG contract. Any contract, the terms of which have been | ||
confirmed in writing by the Illinois Power Agency as set forth | ||
in subsection (h) of this Section and the performance of the | ||
parties under such contract cannot be grounds for challenging | ||
prudence or cost recovery by the utility through the purchased | ||
gas adjustment clause, and in such cases, the Commission is | ||
directed not to consider, and has no authority to consider, any | ||
attempted challenges. | ||
The contracts entered into by Illinois gas utilities | ||
pursuant to subsection (h) of this Section shall provide that | ||
the utility retains the right to terminate the contract without | ||
further obligation or liability to any party if the contract | ||
has been impaired as a result of any legislative, | ||
administrative, judicial, or other governmental action that is | ||
taken that eliminates all or part of the prudence protection of | ||
this subsection (h-10) or denies the recoverability of all or | ||
part of the contract costs through the purchased gas adjustment | ||
clause. Should any Illinois gas utility exercise its right | ||
under this subsection (h-10) to terminate the contract, all | ||
contract costs incurred prior to termination are and will be | ||
deemed reasonable, prudent, and recoverable as and when | ||
incurred and not subject to review or disallowance by the | ||
Commission. Any order, issued by the State requiring or | ||
authorizing the discontinuation of the merchant function, | ||
defined as the purchase and sale of natural gas by an Illinois |
gas utility for the ultimate consumer in its service territory | ||
shall include provisions necessary to prevent the impairment of | ||
the value of any contract hereunder over its full term. | ||
(h-11) All costs incurred by an Illinois gas utility in | ||
procuring SNG from a clean coal SNG brownfield facility | ||
pursuant to subsection (h-1) or a third-party marketer pursuant | ||
to subsection (h-1) are reasonable and prudent and recoverable | ||
through the purchased gas adjustment clause in conjunction with
| ||
a SNG brownfield facility rider mechanism and are not subject | ||
to review or disallowance by the Commission; provided that
if a | ||
utility is required by law or otherwise elects to connect
the | ||
clean coal SNG brownfield facility to an interstate
pipeline, | ||
then the utility shall be entitled to recover
pursuant to its | ||
tariffs all just and reasonable costs that are
prudently | ||
incurred. Sourcing agreement costs are costs incurred by the | ||
utility under the terms of a sourcing agreement that | ||
incorporates the terms stated in subsection (h-1) of this | ||
Section as approved by the Commission as set forth in | ||
subsection (h-4) of this Section, which approval shall be | ||
deemed conclusive, or as a consequence of or condition to its | ||
performance under the contract, including (i) amounts paid for | ||
SNG under the SNG contract and (ii) costs of transportation and | ||
storage services of SNG purchased from interstate pipelines | ||
under federally approved tariffs. Any sourcing agreement, the | ||
terms of which have been approved by the Commission as set | ||
forth in subsection (h-4) of this Section, and the performance |
of the parties under the sourcing agreement cannot be grounds | ||
for challenging prudence or cost recovery by the utility, and | ||
in these cases, the Commission is directed not to consider, and | ||
has no authority to consider, any attempted challenges. | ||
(h-15) Reconciliation account. The clean coal SNG facility | ||
shall establish a reconciliation account for the benefit of the | ||
retail customers of the utilities that have entered into | ||
contracts with the clean coal SNG facility pursuant to | ||
subsection (h). The reconciliation account shall be maintained | ||
and administered by an independent trustee that is mutually | ||
agreed upon by the owners of the clean coal SNG facility, the | ||
utilities, and the Commission in an interest-bearing account in | ||
accordance with the following: | ||
(1) The clean coal SNG facility shall conduct an | ||
analysis annually within 60 days after receiving the | ||
necessary cost information, which shall be provided by the | ||
gas utility within 6 months after the end of the preceding | ||
calendar year, to determine (i) the average annual contract | ||
SNG cost, which shall be calculated as the total amount | ||
paid for SNG purchased from the clean coal SNG facility | ||
over the preceding 12 months, plus the cost to the utility | ||
of the required transportation and storage services of SNG, | ||
divided by the total number of MMBtus of SNG actually | ||
purchased from the clean coal SNG facility in the preceding | ||
12 months under the utility contract; (ii) the average | ||
annual natural gas purchase cost, which shall be calculated |
as the total annual supply costs paid for baseload natural | ||
gas (excluding any SNG) purchased by such utility over the | ||
preceding 12 months plus the costs of transportation and | ||
storage services of such natural gas (excluding such costs | ||
for SNG), divided by the total number of MMbtus of baseload | ||
natural gas (excluding SNG) actually purchased by the | ||
utility during the year; (iii) the cost differential, which | ||
shall be the difference between the average annual contract | ||
SNG cost and the average annual natural gas purchase cost; | ||
and (iv) the revenue share target which shall be the cost | ||
differential multiplied by the total amount of SNG | ||
purchased over the preceding 12 months under such utility | ||
contract. | ||
(A) To the extent the annual average contract SNG | ||
cost is less than the annual average natural gas | ||
purchase cost, the utility shall credit an amount equal | ||
to the revenue share target to the reconciliation | ||
account. Such credit payment shall be made monthly | ||
starting within 30 days after the completed analysis in | ||
this subsection (h-15) and based on collections from | ||
all customers via a line item charge in all customer | ||
bills designed to have an equal percentage impact on | ||
the transportation services of each class of | ||
customers. Credit payments made pursuant to this | ||
subparagraph (A) shall be deemed prudent and | ||
reasonable and not subject to Commission prudence |
review. | ||
(B) To the extent the annual average contract SNG | ||
cost is greater than the annual average natural gas | ||
purchase cost, the reconciliation account shall be | ||
used to provide a credit equal to the revenue share | ||
target to the utilities to be used to reduce the | ||
utility's natural gas costs through the purchased gas | ||
adjustment clause. Such payment shall be made within 30 | ||
days after the completed analysis pursuant to this | ||
subsection (h-15), but only to the extent that the | ||
reconciliation account has a positive balance. | ||
(2) At the conclusion of the term of the SNG contracts | ||
pursuant to subsection (h) and the completion of the final | ||
annual analysis pursuant to this subsection (h-15), to the | ||
extent the facility owes any amount to retail customers, | ||
amounts in the account shall be credited to retail | ||
customers to the extent the owed amount is repaid; 50% of | ||
any additional amount in the reconciliation account shall | ||
be distributed to the utilities to be used to reduce the | ||
utilities' natural gas costs through the purchase gas | ||
adjustment clause with the remaining amount distributed to | ||
the clean coal SNG facility. Such payment shall be made | ||
within 30 days after the last completed analysis pursuant | ||
to this subsection (h-15). If the facility has repaid all | ||
owed amounts, if any, to retail customers and has | ||
distributed 50% of any additional amount in the account to |
the utilities, then the owners of the clean coal SNG | ||
facility shall have no further obligation to the utility or | ||
the retail customers. | ||
If, at the conclusion of the term of the contracts | ||
pursuant to subsection (h) and the completion of the final | ||
annual analysis pursuant to this subsection (h-15), the | ||
facility owes any amount to retail customers and the | ||
account has been depleted, then the clean coal SNG facility | ||
shall be liable for any remaining amount owed to the retail | ||
customers. The clean coal SNG facility shall market the | ||
daily production of SNG and distribute on a monthly basis | ||
5% of the amounts collected with respect to such future | ||
sales to the utilities in proportion to each utility's SNG | ||
contract to be used to reduce the utility's natural gas | ||
costs through the purchase gas adjustment clause; such | ||
payments to the utility shall continue until either 15 | ||
years after the conclusion of the contract or such time as | ||
the sum of such payments equals the remaining amount owed | ||
to the retail customers at the end of the contract, | ||
whichever is earlier. If the debt to the retail customers | ||
is not repaid within 15 years after the conclusion of the | ||
contract, then the owner of the clean coal SNG facility | ||
must sell the facility, and all proceeds from that sale | ||
must be used to repay any amount owed to the retail | ||
customers under this subsection (h-15). | ||
The retail customers shall have first priority in |
recovering that debt above any creditors, except the | ||
secured lenders to the extent that the secured lenders have | ||
any secured debt outstanding, including any parent | ||
companies or affiliates of the clean coal SNG facility. | ||
(3) 50% of all additional net revenue, defined as | ||
miscellaneous net revenue after cost allowance and above | ||
the budgeted estimate established for revenue pursuant to | ||
subsection (h), including sale of substitute natural gas | ||
derived from the clean coal SNG facility above the | ||
nameplate capacity of the facility and other by-products | ||
produced by the facility, shall be credited to the | ||
reconciliation account on an annual basis with such payment | ||
made within 30 days after the end of each calendar year | ||
during the term of the contract. | ||
(4) The clean coal SNG facility shall each year, | ||
starting in the facility's first year of commercial | ||
operation, file with the Commission, in such form as the | ||
Commission shall require, a report as to the reconciliation | ||
account. The annual report must contain the following | ||
information: | ||
(A) the revenue share target amount; | ||
(B) the amount credited or debited to the | ||
reconciliation account during the year; | ||
(C) the amount credited to the utilities to be used | ||
to reduce the utilities natural gas costs though the | ||
purchase gas adjustment clause; |
(D) the total amount of reconciliation account at | ||
the beginning and end of the year; | ||
(E) the total amount of consumer savings to date; | ||
and | ||
(F) any additional information the Commission may | ||
require. | ||
When any report is erroneous or defective or appears to the | ||
Commission to be erroneous or defective, the Commission may | ||
notify the clean coal SNG facility to amend the report within | ||
30 days; before or after the termination of the 30-day period, | ||
the Commission may examine the trustee of the reconciliation | ||
account or the officers, agents, employees, books, records, or | ||
accounts of the clean coal SNG facility and correct such items | ||
in the report as upon such examination the Commission may find | ||
defective or erroneous. All reports shall be under oath. | ||
All reports made to the Commission by the clean coal SNG | ||
facility and the contents of the reports shall be open to | ||
public inspection and shall be deemed a public record under the | ||
Freedom of Information Act. Such reports shall be preserved in | ||
the office of the Commission. The Commission shall publish an | ||
annual summary of the reports prior to February 1 of the | ||
following year. The annual summary shall be made available to | ||
the public on the Commission's website and shall be submitted | ||
to the General Assembly. | ||
Any facility that fails to file the report required under | ||
this paragraph (4) to the Commission within the time specified |
or to make specific answer to any question propounded by the | ||
Commission within 30 days after the time it is lawfully | ||
required to do so, or within such further time not to exceed 90 | ||
days as may be allowed by the Commission in its discretion, | ||
shall pay a penalty of $500 to the Commission for each day it | ||
is in default. | ||
Any person who willfully makes any false report to the | ||
Commission or to any member, officer, or employee thereof, any | ||
person who willfully in a report withholds or fails to provide | ||
material information to which the Commission is entitled under | ||
this paragraph (4) and which information is either required to | ||
be filed by statute, rule, regulation, order, or decision of | ||
the Commission or has been requested by the Commission, and any | ||
person who willfully aids or abets such person shall be guilty | ||
of a Class A misdemeanor. | ||
(h-20) The General Assembly authorizes the Illinois | ||
Finance Authority to issue bonds to the maximum extent | ||
permitted to finance coal gasification facilities described in | ||
this Section, which constitute both "industrial projects" | ||
under Article 801 of the Illinois Finance Authority Act and | ||
"clean coal and energy projects" under Sections 825-65 through | ||
825-75 of the Illinois Finance Authority Act. | ||
Administrative costs incurred by the Illinois Finance | ||
Authority in performance of this subsection (h-20) shall be | ||
subject to reimbursement by the clean coal SNG facility on | ||
terms as the Illinois Finance Authority and the clean coal SNG |
facility may agree. The utility and its customers shall have no | ||
obligation to reimburse the clean coal SNG facility or the | ||
Illinois Finance Authority for any such costs. | ||
(h-25) The State of Illinois pledges that the State may not | ||
enact any law or take any action to (1) break or repeal the | ||
authority for SNG purchase contracts entered into between | ||
public gas utilities and the clean coal SNG facility pursuant | ||
to subsection (h) of this Section or (2) deny public gas | ||
utilities their full cost recovery for contract costs, as | ||
defined in subsection (h-10), that are incurred under such SNG | ||
purchase contracts. These pledges are for the benefit of the | ||
parties to such SNG purchase contracts and the issuers and | ||
holders of bonds or other obligations issued or incurred to | ||
finance or refinance the clean coal SNG facility. The | ||
beneficiaries are authorized to include and refer to these | ||
pledges in any finance agreement into which they may enter in | ||
regard to such contracts. | ||
(h-30) The State of Illinois retains and reserves all other | ||
rights to enact new or amendatory legislation or take any other | ||
action, including, but not limited to, such legislation or | ||
other action that would (1) directly or indirectly raise the | ||
costs that the clean coal SNG facility must incur; (2) directly | ||
or indirectly place additional restrictions, regulations, or | ||
requirements on the clean coal SNG facility; (3) prohibit | ||
sequestration in general or prohibit a specific sequestration | ||
method or project; or (4) increase minimum sequestration |
requirements. | ||
(i) If a gas utility or an affiliate of a gas utility has | ||
an ownership interest in any entity that produces or sells | ||
synthetic natural gas, Article VII of this Act shall apply.
| ||
(Source: P.A. 96-1364, eff. 7-28-10; 97-96, eff. 7-13-11; | ||
97-239, eff. 8-2-11; 97-630, eff. 12-8-11; 97-906, eff. 8-7-12; | ||
97-1081, eff. 8-24-12; revised 1-24-13.) | ||
Section 360. The Child Care Act of 1969 is amended by | ||
changing Section 3.5 as follows: | ||
(225 ILCS 10/3.5) | ||
Sec. 3.5. Group homes for adolescents diagnosed with | ||
autism. | ||
(a) Subject to appropriation, the Department of Human | ||
Services, Developmental Disabilities Division, shall provide | ||
for the establishment of 3 children's group homes for | ||
adolescents who have been diagnosed with autism and who are at | ||
least 15 years of age and not more than 18 years of age. The | ||
homes shall be located in 3 separate geographical areas of the | ||
State. The homes shall operate 7 days per week and shall be | ||
staffed 24 hours per day. The homes shall feature maximum | ||
family involvement based on a service and support agreement | ||
signed by the adolescent's family and the provider. An eligible | ||
service provider: (i) must have a minimum of 5 years experience | ||
serving individuals with autism residentially and have |
successfully supported individuals with challenging behaviors; | ||
(ii) must demonstrate that staff have equal experience in this | ||
regard; and (iii) must have a full-time Board-Certified | ||
Behavior Analyst on staff. | ||
(b) The provider shall ensure that the staff at each home | ||
receives appropriate training in matters that include, but need | ||
not be limited to, the following: behavior analysis, skill | ||
training, and other methodologies of teaching such as discrete | ||
discreet trial and picture exchange communication system. | ||
(c) The homes shall provide therapeutic and other support | ||
services to the adolescents being served there. The therapeutic | ||
curriculum shall be based on the principles of applied behavior | ||
analysis. | ||
(d) An agreeable rate shall be established by the | ||
Department of Children and Family Services and the Department | ||
of Human Services, Developmental Disabilities Division.
| ||
(Source: P.A. 95-411, eff. 8-24-07; revised 8-3-12.) | ||
Section 365. The Illinois Dental Practice Act is amended by | ||
changing Section 17 as follows:
| ||
(225 ILCS 25/17) (from Ch. 111, par. 2317)
| ||
(Section scheduled to be repealed on January 1, 2016)
| ||
Sec. 17. Acts Constituting the Practice of Dentistry. A | ||
person
practices dentistry, within the meaning of this Act:
| ||
(1) Who represents himself or herself as being able to |
diagnose or diagnoses,
treats, prescribes, or operates for | ||
any disease, pain, deformity, deficiency,
injury, or | ||
physical condition of the human tooth, teeth, alveolar | ||
process,
gums or jaw; or
| ||
(2) Who is a manager, proprietor, operator or conductor | ||
of a
business where
dental operations are performed; or
| ||
(3) Who performs dental operations of any kind; or
| ||
(4) Who uses an X-Ray machine or X-Ray films for
dental | ||
diagnostic purposes; or
| ||
(5) Who extracts a human tooth or teeth, or corrects or | ||
attempts to
correct
malpositions of the human teeth or | ||
jaws; or
| ||
(6) Who offers or undertakes, by any means or method, | ||
to diagnose, treat
or remove stains, calculus, and bonding | ||
materials from human teeth or jaws; or
| ||
(7) Who uses or administers local or general | ||
anesthetics in the treatment
of dental or oral diseases or | ||
in any preparation incident to a dental operation
of any | ||
kind or character; or
| ||
(8) Who takes impressions of the human tooth, teeth, or | ||
jaws or performs
any phase of any operation incident to the | ||
replacement of a part of a tooth,
a tooth, teeth or | ||
associated tissues by means of a filling, crown, a bridge,
| ||
a denture or other appliance; or
| ||
(9) Who offers to furnish, supply, construct, | ||
reproduce or repair, or
who furnishes, supplies, |
constructs, reproduces or repairs, prosthetic
dentures, | ||
bridges or other substitutes for natural teeth, to the user | ||
or
prospective user thereof; or
| ||
(10) Who instructs students on clinical matters or | ||
performs any clinical
operation included in the curricula | ||
of recognized dental schools and colleges; or
| ||
(11) Who takes impressions of human teeth or places his | ||
or her hands in the mouth of any person for the purpose of | ||
applying teeth whitening materials, or who takes | ||
impressions of human teeth or places his or her hands in | ||
the mouth of any person for the purpose of assisting in the | ||
application of teeth whitening materials. A person does not | ||
practice dentistry when he or she discloses to the consumer | ||
that he or she is not licensed as a dentist under this Act | ||
and (i) discusses the use of teeth whitening materials with | ||
a consumer purchasing these materials; (ii) provides | ||
instruction on the use of teeth whitening materials with a | ||
consumer purchasing these materials; or (iii) provides | ||
appropriate equipment on-site to the consumer for the | ||
consumer to self-apply teeth whitening materials. | ||
The fact that any person engages in or performs, or offers | ||
to engage in
or perform, any of the practices, acts, or | ||
operations set forth in this
Section, shall be prima facie | ||
evidence that such person is engaged in the
practice of | ||
dentistry.
| ||
The following practices, acts, and operations, however, |
are exempt from
the operation of this Act:
| ||
(a) The rendering of dental relief in emergency cases | ||
in the practice
of his or her profession by a physician or | ||
surgeon, licensed as such
under the laws of this State, | ||
unless he or she undertakes to reproduce or reproduces
lost | ||
parts of the human teeth in the mouth or to restore or | ||
replace lost
or missing teeth in the mouth; or
| ||
(b) The practice of dentistry in the discharge of their | ||
official duties
by dentists in any branch of the Armed | ||
Services of the United States, the
United States Public | ||
Health Service, or the United States Veterans
| ||
Administration; or
| ||
(c) The practice of dentistry by students in their | ||
course of study
in dental schools or colleges approved by | ||
the Department, when acting under the
direction and | ||
supervision of dentists acting as instructors; or
| ||
(d) The practice of dentistry by clinical instructors | ||
in the course of
their teaching duties in dental schools or | ||
colleges approved by the
Department:
| ||
(i) when acting under the direction and | ||
supervision of dentists,
provided that such clinical | ||
instructors have instructed continuously in
this State | ||
since January 1, 1986; or
| ||
(ii) when holding the rank of full professor at | ||
such approved dental
school or college and possessing a | ||
current valid license or authorization
to practice |
dentistry in another country; or
| ||
(e) The practice of dentistry by licensed dentists of | ||
other states or
countries at meetings of the Illinois State | ||
Dental Society or component
parts thereof, alumni meetings | ||
of dental colleges, or any other like dental
organizations, | ||
while appearing as clinicians; or
| ||
(f) The use of X-Ray machines for exposing X-Ray films | ||
of dental or oral
tissues by dental hygienists or dental | ||
assistants; or
| ||
(g) The performance of any dental service by a dental | ||
assistant, if such
service is performed under the | ||
supervision and full responsibility of a
dentist.
| ||
For purposes of this paragraph (g), "dental service" is | ||
defined to mean
any intraoral procedure or act which shall | ||
be prescribed by rule or
regulation of the Department. | ||
Dental service, however, shall not include:
| ||
(1) Any and all diagnosis of or prescription for | ||
treatment of disease,
pain, deformity, deficiency, | ||
injury or physical condition of the human teeth
or | ||
jaws, or adjacent structures.
| ||
(2) Removal of, or restoration of, or addition
to | ||
the hard or soft tissues of the oral cavity, except for | ||
the placing, carving, and finishing of amalgam | ||
restorations by dental assistants who have had | ||
additional formal education and certification as | ||
determined by the Department. A dentist utilizing |
dental assistants shall not supervise more than 4 | ||
dental assistants at any one time for placing, carving, | ||
and finishing of amalgam restorations.
| ||
(3) Any and all correction of malformation of teeth | ||
or of the jaws.
| ||
(4) Administration of anesthetics, except for | ||
application of topical
anesthetics and monitoring of | ||
nitrous oxide. Monitoring of
nitrous oxide may be | ||
performed after successful completion of a training
| ||
program approved by the Department. A dentist | ||
utilizing dental assistants shall not supervise more | ||
than 4 dental assistants at any one time for the | ||
monitoring of nitrous oxide.
| ||
(5) Removal of calculus from human teeth.
| ||
(6) Taking of impressions for the fabrication of | ||
prosthetic
appliances,
crowns,
bridges, inlays, | ||
onlays, or other restorative or replacement
dentistry.
| ||
(7) The operative procedure of dental hygiene | ||
consisting of oral
prophylactic procedures, except for | ||
coronal polishing and pit and fissure sealants,
which | ||
may be
performed by a
dental assistant who has | ||
successfully completed a training program approved by
| ||
the Department. Dental assistants may perform coronal | ||
polishing under the
following circumstances: (i) the | ||
coronal polishing shall be limited to
polishing the
| ||
clinical crown of the tooth and existing restorations, |
supragingivally; (ii)
the
dental assistant performing | ||
the coronal polishing shall be limited to the use
of
| ||
rotary instruments using a rubber cup or brush | ||
polishing method (air polishing
is
not permitted); and | ||
(iii) the supervising dentist shall not supervise more
| ||
than 4
dental assistants at any one time for the task | ||
of coronal polishing or pit and fissure sealants.
| ||
(h) The practice of dentistry by an individual who:
| ||
(i) has applied in writing to the Department, in | ||
form and substance
satisfactory to the Department, for | ||
a general dental license and has
complied with all | ||
provisions of Section 9 of this Act, except for the
| ||
passage of the examination specified in subsection | ||
(e), of Section 9, of this
Act; or
| ||
(ii) has applied in writing to the Department, in | ||
form and substance
satisfactory to the Department, for | ||
a temporary dental license and has
complied with all | ||
provisions of subsection (c), of Section 11, of this | ||
Act; and
| ||
(iii) has been accepted or appointed for specialty | ||
or residency training
by a hospital situated in this | ||
State; or
| ||
(iv) has been accepted or appointed for specialty | ||
training in an
approved dental program situated in this | ||
State; or
| ||
(v) has been accepted or appointed for specialty |
training in a dental
public health agency situated in | ||
this State.
| ||
The applicant shall be permitted to practice dentistry | ||
for a period of 3
months from the starting date of the | ||
program, unless authorized in writing
by the Department to | ||
continue such practice for a period specified in
writing by | ||
the Department.
| ||
The applicant shall only be entitled to perform such | ||
acts as may be
prescribed by and incidental to his or her | ||
program of residency or specialty
training and shall not | ||
otherwise engage in the practice of dentistry in this
| ||
State.
| ||
The authority to practice shall terminate immediately | ||
upon:
| ||
(1) the decision of the Department that the | ||
applicant has failed the
examination; or
| ||
(2) denial of licensure by the Department; or
| ||
(3) withdrawal of the application.
| ||
(Source: P.A. 96-617, eff. 8-24-09; 97-526, eff. 1-1-12; | ||
97-886, eff. 8-2-12; 97-1013, eff. 8-17-12; revised 8-23-12.)
| ||
Section 370. The Naprapathic Practice Act is amended by | ||
changing Section 110 as follows:
| ||
(225 ILCS 63/110)
| ||
(Section scheduled to be repealed on January 1, 2023)
|
Sec. 110. Grounds for disciplinary action; refusal, | ||
revocation,
suspension. | ||
(a) The Department may refuse to issue or to renew, or may | ||
revoke, suspend,
place on probation, reprimand or take other | ||
disciplinary or non-disciplinary action as
the
Department may | ||
deem appropriate, including imposing fines not to exceed | ||
$10,000 for each
violation, with regard to any licensee or | ||
license for any one or
combination of
the
following causes:
| ||
(1) Violations of this Act or of rules adopted under | ||
this Act.
| ||
(2) Material misstatement in furnishing information to | ||
the Department.
| ||
(3) Conviction by plea of guilty or nolo contendere, | ||
finding of guilt, jury verdict, or entry of judgment, or by | ||
sentencing of any crime, including, but not limited to, | ||
convictions, preceding sentences of supervision, | ||
conditional discharge, or first offender probation, under | ||
the laws of any jurisdiction of the United States: (i) that | ||
is a felony or (ii) that is a misdemeanor, an essential | ||
element of which is dishonesty, or that is directly related | ||
to the practice of the profession.
| ||
(4) Fraud or any misrepresentation in applying for or | ||
procuring a license under this Act or in connection with | ||
applying for renewal of a license under this Act.
| ||
(5) Professional incompetence or gross negligence.
| ||
(6) Malpractice.
|
(7) Aiding or assisting another person in violating any
| ||
provision of
this Act or its rules.
| ||
(8) Failing to provide information within 60 days in | ||
response
to a
written request made by the Department.
| ||
(9) Engaging in dishonorable, unethical, or | ||
unprofessional
conduct of a
character likely to deceive, | ||
defraud, or harm the public.
| ||
(10) Habitual or excessive use or abuse of drugs | ||
defined in law as controlled substances, alcohol, or any | ||
other substance which results in the
inability to practice | ||
with reasonable judgment, skill, or safety.
| ||
(11) Discipline by another U.S. jurisdiction or | ||
foreign
nation if at
least one of the grounds for the | ||
discipline is the same or substantially
equivalent to those | ||
set forth in this Act.
| ||
(12) 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 any professional services not actually or
personally | ||
rendered. This shall not be deemed to include rent or other
| ||
remunerations paid to an individual, partnership, or | ||
corporation by a
naprapath for the lease, rental, or use of | ||
space, owned or controlled by
the individual, partnership, | ||
corporation, or association. Nothing in this paragraph | ||
(12) affects any bona fide independent contractor or | ||
employment arrangements among health care professionals, |
health facilities, health care providers, or other | ||
entities, except as otherwise prohibited by law. Any | ||
employment arrangements may include provisions for | ||
compensation, health insurance, pension, or other | ||
employment benefits for the provision of services within | ||
the scope of the licensee's practice under this Act. | ||
Nothing in this paragraph (12) shall be construed to | ||
require an employment arrangement to receive professional | ||
fees for services rendered.
| ||
(13) Using the title "Doctor" or its abbreviation | ||
without further
clarifying that title or abbreviation with | ||
the word "naprapath" or "naprapathy"
or the designation | ||
"D.N.".
| ||
(14) A finding by the Department that the licensee, | ||
after
having his
or her license placed on probationary | ||
status, has violated the terms of
probation.
| ||
(15) Abandonment of a patient without cause.
| ||
(16) Willfully making or filing false records or | ||
reports
relating to a licensee's
practice, including but | ||
not limited to, false records filed with State
agencies or | ||
departments.
| ||
(17) Willfully failing to report an instance of | ||
suspected
child abuse or
neglect as required by the Abused | ||
and Neglected Child Reporting Act.
| ||
(18) Physical or mental illness 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.
| ||
(19) Solicitation of professional services by means | ||
other
than
permitted advertising.
| ||
(20) Failure to provide a patient with a copy of his or | ||
her
record
upon the written request of the patient.
| ||
(21) Cheating on or attempting to subvert the licensing | ||
examination administered under this Act.
| ||
(22) Allowing one's license under this Act to be used | ||
by an unlicensed person in violation of this Act.
| ||
(23) (Blank).
| ||
(24) Being named as a perpetrator in an indicated | ||
report by
the
Department of Children and Family Services | ||
under the Abused and Neglected
Child Reporting Act and upon | ||
proof by clear and convincing evidence that the
licensee | ||
has caused a child to be an abused child or a neglected | ||
child as
defined in the Abused and Neglected Child | ||
Reporting Act.
| ||
(25) Practicing under a false or, except as provided by | ||
law, an assumed name.
| ||
(26) Immoral conduct in the commission of any act, such | ||
as
sexual abuse,
sexual misconduct, or sexual | ||
exploitation, related to the licensee's practice.
| ||
(27) Maintaining a professional relationship with any | ||
person,
firm, or
corporation when the naprapath knows, or |
should know, that the person,
firm, or corporation is | ||
violating this Act.
| ||
(28) Promotion of the sale of food supplements, | ||
devices,
appliances, or
goods provided for a client or | ||
patient in such manner as to exploit the
patient or client | ||
for financial gain of the licensee.
| ||
(29) Having treated ailments of human beings other than | ||
by
the
practice of naprapathy as defined in this Act, or | ||
having treated ailments
of human beings as a licensed | ||
naprapath independent of a documented
referral or | ||
documented current and relevant diagnosis from a | ||
physician,
dentist, or podiatrist, or having failed to | ||
notify the physician, dentist,
or podiatrist who | ||
established a documented current and relevant
diagnosis | ||
that the patient is receiving naprapathic treatment | ||
pursuant to
that diagnosis.
| ||
(30) Use by a registered naprapath of the word | ||
"infirmary",
"hospital",
"school", "university", in | ||
English or any other language, in connection
with the place | ||
where naprapathy may be practiced or demonstrated.
| ||
(31) Continuance of a naprapath in the employ of any | ||
person,
firm, or
corporation, or as an assistant to any | ||
naprapath or naprapaths, directly or
indirectly, after his | ||
or her employer or superior has been found guilty of
| ||
violating or has been enjoined from violating the laws of | ||
the State of
Illinois relating to the practice of |
naprapathy when the employer or
superior persists in that | ||
violation.
| ||
(32) The performance of naprapathic service in | ||
conjunction
with a scheme
or plan with another person, | ||
firm, or corporation known to be advertising in
a manner | ||
contrary to this Act or otherwise violating the laws of the | ||
State
of Illinois concerning the practice of naprapathy.
| ||
(33) Failure to provide satisfactory proof of having
| ||
participated in
approved continuing education programs as | ||
determined by and
approved by the Secretary. Exceptions for | ||
extreme hardships are to be
defined by the rules of the | ||
Department.
| ||
(34) (Blank).
| ||
(35) Gross or willful overcharging for
professional | ||
services.
| ||
(36) (Blank).
| ||
All fines imposed under this Section shall be paid within | ||
60 days after the effective date of the order imposing the | ||
fine. | ||
(b) The Department may refuse to issue or may suspend | ||
without hearing, as provided for in the Department of | ||
Professional Regulation Law of the Civil Administrative Code, | ||
the license of any person who fails to file a return, or pay | ||
the tax, penalty, or interest shown in a filed return, or pay | ||
any final assessment of the tax, penalty, or interest as | ||
required by any tax Act administered by the Illinois Department |
of Revenue, until such time as the requirements of any such tax | ||
Act are satisfied in accordance with subsection (g) of Section | ||
2105-15 of the Department of Professional Regulation Law of the | ||
Civil Administrative Code of Illinois. | ||
(c) The Department shall deny a license or renewal | ||
authorized by this Act to a person who has defaulted on an | ||
educational loan or scholarship provided or guaranteed by the | ||
Illinois Student Assistance Commission or any governmental | ||
agency of this State in accordance with item (5) of subsection | ||
(a) of Section 2105-15 of the Department of Professional | ||
Regulation Law of the Civil Administrative Code of Illinois. | ||
(d) In cases where the Department of Healthcare and Family | ||
Services has previously determined a licensee or a potential | ||
licensee is more than 30 days delinquent in the payment of | ||
child support and has subsequently certified the delinquency to | ||
the Department, the Department may refuse to issue or renew or | ||
may revoke or suspend that person's license or may take other | ||
disciplinary action against that person based solely upon the | ||
certification of delinquency made by the Department of | ||
Healthcare and Family Services in accordance with item (5) of | ||
subsection (a) of Section 2105-15 of the Department of | ||
Professional Regulation Law of the Civil Administrative Code of | ||
Illinois. | ||
(e) 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 Development |
Disabilities Code, operates as an automatic suspension. The | ||
suspension shall end only upon a finding by a court that the | ||
patient is no longer subject to involuntary admission or | ||
judicial admission and the issuance of an order so finding and | ||
discharging the patient. | ||
(f) In enforcing this Act, the Department, upon a showing | ||
of a possible violation, may compel an individual licensed to | ||
practice under this Act, or who has applied for licensure under | ||
this Act, to submit to a mental or physical examination and | ||
evaluation, or both, which may include a substance abuse or | ||
sexual offender evaluation, as required by and at the expense | ||
of the Department. The Department shall specifically designate | ||
the examining physician licensed to practice medicine in all of | ||
its branches or, if applicable, the multidisciplinary team | ||
involved in providing the mental or physical examination and | ||
evaluation, or both. The multidisciplinary team shall be led by | ||
a physician licensed to practice medicine in all of its | ||
branches and may consist of one or more or a combination of | ||
physicians licensed to practice medicine in all of its | ||
branches, licensed chiropractic physicians, licensed clinical | ||
psychologists, licensed clinical social workers, licensed | ||
clinical professional counselors, and other professional and | ||
administrative staff. Any examining physician or member of the | ||
multidisciplinary team may require any person ordered to submit | ||
to an examination and evaluation pursuant to this Section to | ||
submit to any additional supplemental testing deemed necessary |
to complete any examination or evaluation process, including, | ||
but not limited to, blood testing, urinalysis, psychological | ||
testing, or neuropsychological testing. | ||
The Department may order the examining physician or any | ||
member of the multidisciplinary team to provide to the | ||
Department any and all records including business records that | ||
relate to the examination and evaluation, including any | ||
supplemental testing performed. The Department may order the | ||
examining physician or any member of the multidisciplinary team | ||
to present testimony concerning the examination and evaluation | ||
of the licensee or applicant, including testimony concerning | ||
any supplemental testing or documents in any way related to the | ||
examination and evaluation. No information, report, record, or | ||
other documents in any way related to the examination and | ||
evaluation shall be excluded by reason of any common law or | ||
statutory privilege relating to communications between the | ||
licensee or applicant and the examining physician or any member | ||
of the multidisciplinary team. No authorization is necessary | ||
from the licensee or applicant ordered to undergo an evaluation | ||
and examination for the examining physician or any member of | ||
the multidisciplinary team to provide information, reports, | ||
records, or other documents or to provide any testimony | ||
regarding the examination and evaluation. 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 this | ||
examination. Failure of an individual to submit to a mental or |
physical examination and evaluation, or both, when directed, | ||
shall result in an automatic suspension without hearing, until | ||
such time as the individual submits to the examination. | ||
A person holding a license under this Act or who has | ||
applied for a license under this Act who, because of a physical | ||
or mental illness or disability, including, but not limited to, | ||
deterioration through the aging process or loss of motor skill, | ||
is unable to practice the profession with reasonable judgment, | ||
skill, or safety, may be required by the Department to submit | ||
to care, counseling, or treatment by physicians approved or | ||
designated by the Department as a condition, term, or | ||
restriction for continued, reinstated, or renewed licensure to | ||
practice. Submission to care, counseling, or treatment as | ||
required by the Department shall not be considered discipline | ||
of a license. If the licensee refuses to enter into a care, | ||
counseling, or treatment agreement or fails to abide by the | ||
terms of the agreement, the Department may file a complaint to | ||
revoke, suspend, or otherwise discipline the license of the | ||
individual. The Secretary may order the license suspended | ||
immediately, pending a hearing by the Department. Fines shall | ||
not be assessed in disciplinary actions involving physical or | ||
mental illness or impairment. | ||
In instances in which the Secretary immediately suspends a | ||
person's license under this Section, a hearing on that person's | ||
license must be convened by the Department within 15 days after | ||
the suspension and completed without appreciable delay. The |
Department shall have the authority to review the subject | ||
individual'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 and affected under | ||
this Section shall be afforded an opportunity to demonstrate to | ||
the Department that he or she can resume practice in compliance | ||
with acceptable and prevailing standards under the provisions | ||
of his or her license.
| ||
(Source: P.A. 96-1482, eff. 11-29-10; 97-778, eff. 7-13-12; | ||
revised 8-3-12.)
| ||
Section 375. The Wholesale Drug Distribution Licensing Act | ||
is amended by changing Section 55 as follows:
| ||
(225 ILCS 120/55) (from Ch. 111, par. 8301-55)
| ||
(Section scheduled to be repealed on January 1, 2023)
| ||
Sec. 55. Discipline; grounds.
| ||
(a) The Department may refuse to issue, restore, or renew, | ||
or may revoke,
suspend, place on probation, reprimand or take | ||
other disciplinary or non-disciplinary action as
the | ||
Department may deem appropriate, including imposing fines not | ||
to exceed $10,000 for each violation, with regard to any | ||
applicant or licensee or any officer, director, manager, or | ||
shareholder who owns 5% or more interest in the business that |
holds the license for any one or a combination of the following | ||
reasons:
| ||
(1) Violation of this Act or of the rules adopted under | ||
this Act.
| ||
(2) Aiding or assisting another person in violating any | ||
provision of
this Act or the rules adopted under this Act.
| ||
(3) Failing, within 60 days, to provide information in | ||
response to a written requirement made by
the Department.
| ||
(4) Engaging in dishonorable, unethical, or | ||
unprofessional conduct of a
character likely to deceive, | ||
defraud, or harm the public. This includes
violations of | ||
"good faith" as defined by the Illinois Controlled | ||
Substances
Act and applies to all prescription drugs.
| ||
(5) Discipline by another U.S. jurisdiction or foreign | ||
nation, if at
least one of the grounds for the discipline | ||
is the same or substantially
equivalent to those set forth | ||
in this Act.
| ||
(6) Selling or engaging in the sale of drug samples | ||
provided at no cost
by drug manufacturers.
| ||
(7) Conviction by plea of guilty or nolo contendere, | ||
finding of guilt, jury verdict, or entry of judgment or by | ||
sentencing of any crime, including, but not limited to, | ||
convictions, preceding sentences of supervision, | ||
conditional discharge, or first offender probation, under | ||
the laws of any jurisdiction of the United States (i) that | ||
is (i) a felony or (ii) a misdemeanor, an essential element |
of which is dishonesty or that is directly related to the | ||
practice of this profession.
| ||
(8) Habitual or excessive use or addiction to alcohol, | ||
narcotics,
stimulants, or any other chemical agent or drug | ||
by the designated representative, as provided for in item | ||
(7) of subsection (b) of Section 25 of this Act, any | ||
officer, or director that results in the
inability to | ||
function with reasonable judgment, skill, or safety. | ||
proper
| ||
(9) Material misstatement in furnishing information to | ||
the Department.
| ||
(10) A finding by the Department that the licensee, | ||
after having his
or her license placed on probationary | ||
status, has violated the terms of
probation.
| ||
(11) 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.
| ||
(12) Willfully making or filing false records or | ||
reports.
| ||
(13) A finding of a substantial discrepancy in a | ||
Department audit
of a prescription drug, including a | ||
controlled substance as that term is
defined in this Act or | ||
in the Illinois Controlled Substances Act.
| ||
(14) Falsifying a pedigree or selling, distributing, | ||
transferring, manufacturing, repackaging, handling, or | ||
holding a counterfeit prescription drug intended for human |
use. | ||
(15) Interfering with a Department investigation. | ||
(16) Failing to adequately secure controlled | ||
substances or other prescription drugs from diversion. | ||
(17) Acquiring or distributing prescription drugs not | ||
obtained from a source licensed by the Department. | ||
(18) Failing to properly store drugs. | ||
(19) Failing to maintain the licensed premises with | ||
proper storage and security controls. | ||
(b) The Department may refuse to issue or may suspend the | ||
license or
registration 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
| ||
Illinois Department of Revenue, until the time the requirements | ||
of
the tax Act are satisfied.
| ||
(c) The Department shall revoke the license or certificate | ||
of
registration issued under this Act or any prior Act of
this | ||
State of any person who has been convicted a second time of | ||
committing
any felony under the Illinois Controlled Substances | ||
Act or the Methamphetamine Control and Community Protection Act
| ||
or who
has been convicted a second time of committing a Class 1 | ||
felony under
Sections 8A-3 and 8A-6 of the Illinois Public Aid | ||
Code. A
person whose license or certificate of registration | ||
issued under
this Act or any prior Act of this State is revoked | ||
under this
subsection (c) (b) shall be prohibited from engaging |
in the practice of
pharmacy in this State.
| ||
(Source: P.A. 97-804, eff. 1-1-13; 97-813, eff. 7-13-12; | ||
revised 7-25-12.)
| ||
Section 380. The Detection of Deception Examiners Act is | ||
amended by changing Section 14 as follows:
| ||
(225 ILCS 430/14) (from Ch. 111, par. 2415)
| ||
(Section scheduled to be repealed on January 1, 2022)
| ||
Sec. 14.
(a) The Department may refuse to issue or renew or | ||
may revoke, suspend, place on probation, reprimand, or take | ||
other disciplinary or non-disciplinary action as the | ||
Department may deem appropriate, including imposing fines not | ||
to exceed $10,000 for each violation, with regard to any | ||
license for any one or a combination of the following:
| ||
(1) Material misstatement in furnishing information to | ||
the Department.
| ||
(2) Violations of this Act, or of the rules adopted | ||
under this Act.
| ||
(3) Conviction by plea of guilty or nolo contendere, | ||
finding of guilt, jury verdict, or entry of judgment or by | ||
sentencing of any crime, including, but not limited to, | ||
convictions, preceding sentences of supervision, | ||
conditional discharge, or first offender probation, under | ||
the laws of any jurisdiction of the United States: (i) that | ||
is a felony or (ii) that is a misdemeanor, an essential |
element of which is dishonesty, or that is directly related | ||
to the practice of the profession.
| ||
(4) Making any misrepresentation for the purpose of | ||
obtaining licensure or violating any provision of this Act | ||
or the rules adopted under this Act pertaining to | ||
advertising.
| ||
(5) Professional incompetence.
| ||
(6) Allowing one's license under this Act to be used by | ||
an unlicensed
person in violation of this Act.
| ||
(7) Aiding or assisting another person in violating | ||
this Act or
any rule adopted under this Act.
| ||
(8) Where the license holder has been adjudged mentally | ||
ill, mentally
deficient or subject to involuntary | ||
admission as provided in the Mental
Health and | ||
Developmental Disabilities Code.
| ||
(9) Failing, within 60 days, to provide information in | ||
response to a written request made
by the Department.
| ||
(10) Engaging in dishonorable, unethical, or | ||
unprofessional conduct of a character likely to deceive, | ||
defraud, or harm the public. | ||
(11) Inability to practice with reasonable judgment, | ||
skill, or safety as a result of habitual or excessive use | ||
or addiction to alcohol, narcotics, stimulants, or any | ||
other chemical agent or drug. | ||
(12) 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 in this Section. | ||
(13) A finding by the Department that the licensee, | ||
after having his or her license placed on probationary | ||
status, has violated the terms of probation. | ||
(14) 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. | ||
(15) Inability to practice the profession with | ||
reasonable judgment, skill, or safety as a result of a | ||
physical illness, including, but not limited to, | ||
deterioration through the aging process or loss of motor | ||
skill, or a mental illness or disability. | ||
(16) Charging for professional services not rendered, | ||
including filing false statements for the collection of | ||
fees for which services are not rendered. | ||
(17) Practicing under a false or, except as provided by | ||
law, an assumed name. | ||
(18) 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. | ||
(19) Cheating on or attempting to subvert the licensing | ||
examination administered under this Act. | ||
All fines imposed under this Section shall be paid within | ||
60 days after the effective date of the order imposing the | ||
fine.
|
(b) The Department may refuse to issue or may suspend | ||
without hearing, as provided for in the Code of Civil | ||
Procedure, the license of any person who fails to file a | ||
return, or pay the tax, penalty, or interest shown in a filed | ||
return, or pay any final assessment of the tax, penalty, or | ||
interest as required by any tax Act administered by the | ||
Illinois Department of Revenue, until such time as the | ||
requirements of any such tax Act are satisfied in accordance | ||
with subsection (g) of Section 2105-15 of the Civil | ||
Administrative Code of Illinois. | ||
(c) The Department shall deny a license or renewal | ||
authorized by this Act to a person who has defaulted on an | ||
educational loan or scholarship provided or guaranteed by the | ||
Illinois Student Assistance Commission or any governmental | ||
agency of this State in accordance with item (5) of subsection | ||
(g) of Section 2105-15 of the Civil Administrative Code of | ||
Illinois. | ||
(d) In cases where the Department of Healthcare and Family | ||
Services has previously determined a licensee or a potential | ||
licensee is more than 30 days delinquent in the payment of | ||
child support and has subsequently certified the delinquency to | ||
the Department, the Department may refuse to issue or renew or | ||
may revoke or suspend that person's license or may take other | ||
disciplinary action against that person based solely upon the | ||
certification of delinquency made by the Department of | ||
Healthcare and Family Services in accordance with item (5) of |
subsection (g) of Section 1205-15 of the Civil Administrative | ||
Code of Illinois. | ||
(e) 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 Development | ||
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 the issuance of an order so finding and | ||
discharging the patient. | ||
(f) In enforcing this Act, the Department, upon a showing | ||
of a possible violation, may compel an individual licensed to | ||
practice under this Act, or who has applied for licensure under | ||
this Act, to submit to a mental or physical examination, or | ||
both, as required by and at the expense of the Department. The | ||
Department may order the examining physician to present | ||
testimony concerning the 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 examining physicians shall be | ||
specifically designated by the Department. 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 this | ||
examination. The examination shall be performed by a physician | ||
licensed to practice medicine in all its branches. Failure of |
an individual to submit to a mental or physical examination, | ||
when directed, shall result in an automatic suspension without | ||
hearing. | ||
A person holding a license under this Act or who has | ||
applied for a license under this Act who, because of a physical | ||
or mental illness or disability, including, but not limited to, | ||
deterioration through the aging process or loss of motor skill, | ||
is unable to practice the profession with reasonable judgment, | ||
skill, or safety, may be required by the Department to submit | ||
to care, counseling, or treatment by physicians approved or | ||
designated by the Department as a condition, term, or | ||
restriction for continued, reinstated, or renewed licensure to | ||
practice. Submission to care, counseling, or treatment as | ||
required by the Department shall not be considered discipline | ||
of a license. If the licensee refuses to enter into a care, | ||
counseling, or treatment agreement or fails to abide by the | ||
terms of the agreement, the Department may file a complaint to | ||
revoke, suspend, or otherwise discipline the license of the | ||
individual. The Secretary may order the license suspended | ||
immediately, pending a hearing by the Department. Fines shall | ||
not be assessed in disciplinary actions involving physical or | ||
mental illness or impairment. | ||
In instances in which the Secretary immediately suspends a | ||
person's license under this Section, a hearing on that person's | ||
license must be convened by the Department within 15 days after | ||
the suspension and completed without appreciable delay. The |
Department shall have the authority to review the subject | ||
individual'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 and affected under | ||
this Section shall be afforded an opportunity to demonstrate to | ||
the Department that he or she can resume practice in compliance | ||
with acceptable and prevailing standards under the provisions | ||
of his or her license. | ||
(Source: P.A. 97-168, eff. 7-22-11; revised 8-3-12.)
| ||
Section 385. The Real Estate Appraiser Licensing Act of | ||
2002 is amended by changing Section 30-10 as follows:
| ||
(225 ILCS 458/30-10)
| ||
(Section scheduled to be repealed on January 1, 2022)
| ||
Sec. 30-10. Appraisal Administration Fund.
| ||
(a) The Appraisal Administration Administrative Fund, | ||
created under the Real Estate License
Act of 1983 and continued | ||
under Section 40 of the Real Estate Appraiser
Licensing Act, is | ||
continued under this Act. All fees collected under this Act
| ||
shall be deposited into the Appraisal Administration Fund, | ||
created in the State
Treasury under the Real Estate License Act | ||
of 1983.
| ||
(b) Appropriations
to the Department
from the Appraisal |
Administration Fund for the purpose of
administering the Real | ||
Estate Appraiser Licensing Act
may be used by the Department
| ||
for the purpose of administering and enforcing the
provisions | ||
of this Act.
| ||
(Source: P.A. 96-844, eff. 12-23-09; revised 10-18-12.)
| ||
Section 390. The Illinois Horse Racing Act of 1975 is | ||
amended by changing Section 30.5 as follows:
| ||
(230 ILCS 5/30.5)
| ||
Sec. 30.5. Illinois Racing Quarter Horse Breeders Fund.
| ||
(a) The General Assembly declares that it is the policy of | ||
this State to
encourage the breeding of racing quarter horses | ||
in this State and the ownership
of such horses by residents of | ||
this State in order to provide for sufficient
numbers of high | ||
quality racing quarter horses in this State and to establish
| ||
and
preserve the agricultural and commercial benefits of such | ||
breeding and racing
industries to the State of Illinois. It is | ||
the intent of the General Assembly
to
further this policy by | ||
the provisions of this Act.
| ||
(b) There is hereby created a special fund in the State | ||
Treasury to be
known as the Illinois Racing Quarter Horse | ||
Breeders Fund. Except as provided
in
subsection (g) of Section | ||
27 of this Act, 8.5% of all the moneys received by
the
State as | ||
pari-mutuel taxes on quarter horse racing shall be paid into | ||
the
Illinois
Racing Quarter Horse Breeders Fund.
|
(c) The Illinois Racing Quarter Horse Breeders Fund shall | ||
be administered
by the Department of Agriculture with the | ||
advice and assistance of the Advisory
Board created in | ||
subsection (d) of this Section.
| ||
(d) The Illinois Racing Quarter Horse Breeders Fund | ||
Advisory Board shall
consist of the Director of the Department | ||
of Agriculture, who shall serve as
Chairman; a member of the | ||
Illinois Racing Board, designated by it; one
representative of | ||
the organization licensees conducting pari-mutuel
quarter | ||
horse racing meetings,
recommended by them; 2 representatives | ||
of the Illinois Running Quarter Horse
Association, recommended | ||
by it; and the Superintendent of Fairs and Promotions
from the | ||
Department of Agriculture. Advisory Board members shall serve | ||
for 2
years commencing January 1 of each odd numbered year. If | ||
representatives have
not
been recommended by January 1 of each | ||
odd numbered year, the Director of the
Department of | ||
Agriculture may make an appointment for the organization | ||
failing
to
so recommend a member of the Advisory Board. | ||
Advisory Board members shall
receive
no compensation for their | ||
services as members but may be reimbursed for all
actual and | ||
necessary expenses and disbursements incurred in the execution | ||
of
their official duties.
| ||
(e) No moneys shall be expended from the Illinois Racing | ||
Quarter Horse
Breeders Fund except as appropriated by the | ||
General Assembly. Moneys
appropriated
from the Illinois Racing | ||
Quarter Horse Breeders Fund shall be expended by the
Department |
of Agriculture, with the advice and assistance of the Illinois
| ||
Racing
Quarter Horse Breeders Fund Advisory Board, for the | ||
following purposes only:
| ||
(1) To provide stakes and awards to be paid to the
| ||
owners of the winning horses in certain races. This | ||
provision
is limited to Illinois conceived and foaled | ||
horses.
| ||
(2) To provide an award to the owner or owners of an | ||
Illinois
conceived and foaled horse that wins a race when | ||
pari-mutuel wagering is
conducted; providing the race is | ||
not restricted to Illinois conceived and
foaled horses.
| ||
(3) To provide purse money for an Illinois stallion | ||
stakes program.
| ||
(4) To provide for purses to be distributed for the | ||
running of races
during the Illinois State Fair and the | ||
DuQuoin State Fair exclusively for
quarter horses | ||
conceived and foaled in Illinois.
| ||
(5) To provide for purses to be distributed for the | ||
running of races
at Illinois county fairs exclusively for | ||
quarter horses conceived and foaled
in Illinois.
| ||
(6) To provide for purses to be distributed for running | ||
races
exclusively for quarter horses conceived and foaled | ||
in Illinois at locations
in Illinois determined by the | ||
Department of Agriculture with advice and
consent of the | ||
Illinois Racing Quarter Horse Breeders Fund Advisory | ||
Board.
|
(7) No less than 90% of all moneys appropriated from | ||
the Illinois
Racing Quarter Horse Breeders Fund shall be | ||
expended for the purposes in
items (1), (2), (3), (4), and | ||
(5) of this subsection (e).
| ||
(8) To provide for research programs concerning the | ||
health,
development, and care of racing quarter horses.
| ||
(9) To provide for dissemination of public information | ||
designed to
promote the breeding of racing quarter horses | ||
in Illinois.
| ||
(10) To provide for expenses incurred in the | ||
administration of the
Illinois Racing Quarter Horse | ||
Breeders Fund.
| ||
(f) The Department of Agriculture shall, by rule, with the | ||
advice and
assistance of the Illinois Racing Quarter Horse | ||
Breeders Fund Advisory Board:
| ||
(1) Qualify stallions for Illinois breeding; such | ||
stallions to stand
for service within the State of | ||
Illinois, at the time of a foal's
conception. Such stallion | ||
must not stand for service at any place outside
the State | ||
of Illinois during the calendar year in which the foal is
| ||
conceived. The Department of Agriculture may assess and | ||
collect application
fees for the registration of | ||
Illinois-eligible stallions. All fees collected
are to be | ||
paid into the Illinois Racing Quarter Horse Breeders Fund.
| ||
(2) Provide for the registration of Illinois conceived | ||
and foaled
horses. No such horse shall compete in the races |
limited to Illinois
conceived and foaled horses unless it | ||
is registered with the Department of
Agriculture. The | ||
Department of Agriculture may prescribe such forms as are
| ||
necessary to determine the eligibility of such horses. The | ||
Department of
Agriculture may assess and collect | ||
application fees for the registration of
Illinois-eligible | ||
foals. All fees collected are to be paid into the Illinois
| ||
Racing Quarter Horse Breeders Fund. No person shall | ||
knowingly prepare or
cause preparation of an application | ||
for registration of such foals that
contains false | ||
information.
| ||
(g) The Department of Agriculture, with the advice and | ||
assistance of the
Illinois Racing Quarter Horse Breeders Fund | ||
Advisory Board, shall provide that
certain races limited to | ||
Illinois conceived and foaled be stakes races and
determine the | ||
total amount of stakes and awards to be paid to the owners of | ||
the
winning horses in such races.
| ||
(Source: P.A. 91-40, eff. 6-25-99; revised 10-18-12.)
| ||
Section 395. The Liquor Control Act of 1934 is amended by | ||
changing Section 6-11 as follows:
| ||
(235 ILCS 5/6-11)
| ||
Sec. 6-11. Sale near churches, schools, and hospitals.
| ||
(a) No license shall be issued for the sale at retail of | ||
any
alcoholic liquor within 100 feet of any church, school |
other than an
institution of higher learning, hospital, home | ||
for aged or indigent
persons or for veterans, their spouses or | ||
children or any military or
naval station, provided, that this | ||
prohibition shall not apply to hotels
offering restaurant | ||
service, regularly organized clubs, or to
restaurants, food | ||
shops or other places where sale of alcoholic liquors
is not | ||
the principal business carried on if the place of business so
| ||
exempted is not located in a municipality of more than 500,000 | ||
persons,
unless required by local ordinance; nor to the renewal | ||
of a license for the
sale at retail of alcoholic liquor on | ||
premises within 100 feet of any church
or school where the | ||
church or school has been established within such
100 feet | ||
since the issuance of the original license. In the case of a
| ||
church, the distance of 100 feet shall be measured to the | ||
nearest part
of any building used for worship services or | ||
educational programs and
not to property boundaries.
| ||
(b) Nothing in this Section shall prohibit the issuance of | ||
a retail
license
authorizing the sale of alcoholic liquor to a | ||
restaurant, the primary business
of which is the sale of goods | ||
baked on the premises if (i) the restaurant is
newly | ||
constructed and located on a lot of not less than 10,000 square | ||
feet,
(ii) the restaurant costs at least $1,000,000 to | ||
construct, (iii) the licensee
is the titleholder to the | ||
premises and resides on the premises, and (iv) the
construction | ||
of the restaurant is completed within 18 months of the | ||
effective
date of this amendatory Act of 1998.
|
(c) Nothing in this Section shall prohibit the issuance of | ||
a retail
license
authorizing the sale of alcoholic liquor | ||
incidental to a restaurant if (1) the
primary
business of the | ||
restaurant consists of the sale of food where the sale of
| ||
liquor is incidental to the sale of food and the applicant is a | ||
completely new
owner of the restaurant, (2) the immediately
| ||
prior owner or operator of the premises where the restaurant is | ||
located
operated the premises as a restaurant and held a valid | ||
retail license
authorizing the
sale of alcoholic liquor at the | ||
restaurant for at least part of the 24 months
before the
change | ||
of ownership, and (3) the restaurant is located 75 or more feet | ||
from a
school.
| ||
(d) In the interest of further developing Illinois' economy | ||
in the area
of
commerce, tourism, convention, and banquet | ||
business, nothing in this
Section shall
prohibit issuance of a | ||
retail license authorizing the sale of alcoholic
beverages to a | ||
restaurant, banquet facility, grocery store, or hotel having
| ||
not fewer than
150 guest room accommodations located in a | ||
municipality of more than 500,000
persons, notwithstanding the | ||
proximity of such hotel, restaurant,
banquet facility, or | ||
grocery store to any church or school, if the licensed
premises
| ||
described on the license are located within an enclosed mall or | ||
building of a
height of at least 6 stories, or 60 feet in the | ||
case of a building that has
been registered as a national | ||
landmark, or in a grocery store having a
minimum of 56,010 | ||
square feet of floor space in a single story building in an
|
open mall of at least 3.96 acres that is adjacent to a public | ||
school that
opened as a boys technical high school in 1934, or | ||
in a grocery store having a minimum of 31,000 square feet of | ||
floor space in a single story building located a distance of | ||
more than 90 feet but less than 100 feet from a high school | ||
that opened in 1928 as a junior high school and became a senior | ||
high school in 1933, and in each of these
cases if the sale of
| ||
alcoholic liquors is not the principal business carried on by | ||
the licensee.
| ||
For purposes of this Section, a "banquet facility" is any | ||
part of a
building that caters to private parties and where the | ||
sale of alcoholic liquors
is not the principal business.
| ||
(e) Nothing in this Section shall prohibit the issuance of | ||
a license to
a
church or private school to sell at retail | ||
alcoholic liquor if any such
sales are limited to periods when | ||
groups are assembled on the premises
solely for the promotion | ||
of some common object other than the sale or
consumption of | ||
alcoholic liquors.
| ||
(f) Nothing in this Section shall prohibit a church or | ||
church affiliated
school
located in a home rule municipality or | ||
in a municipality with 75,000 or more
inhabitants from locating
| ||
within 100 feet of a property for which there is a preexisting | ||
license to sell
alcoholic liquor at retail. In these instances, | ||
the local zoning authority
may, by ordinance adopted | ||
simultaneously with the granting of an initial
special use | ||
zoning permit for the church or church affiliated school, |
provide
that the 100-foot restriction in this Section shall not | ||
apply to that church or
church affiliated school and future | ||
retail liquor licenses.
| ||
(g) Nothing in this Section shall prohibit the issuance of | ||
a retail
license authorizing the sale of alcoholic liquor at | ||
premises within 100 feet,
but not less than 90 feet, of a | ||
public school if (1) the premises have been
continuously | ||
licensed to sell alcoholic liquor
for a period of at least 50 | ||
years,
(2) the premises are located in a municipality having a | ||
population of over
500,000 inhabitants, (3) the licensee is an | ||
individual who is a member of a
family that has held the | ||
previous 3 licenses for that location for more than 25
years, | ||
(4) the
principal of the school and the alderman of the ward in | ||
which the school is
located have delivered a written statement | ||
to the local liquor control
commissioner stating that they do | ||
not object to the issuance of a license
under this subsection | ||
(g), and (5) the local liquor control commissioner has
received | ||
the written consent of a majority of the registered voters who | ||
live
within 200 feet of the premises.
| ||
(h) Notwithstanding any provision of this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor within premises and at an outdoor patio area attached to | ||
premises that are located in a municipality with a population | ||
in excess of 300,000 inhabitants and that are within 100 feet | ||
of a church if:
|
(1) the sale of alcoholic liquor at the premises is | ||
incidental to the sale of food,
| ||
(2) the sale of liquor is not the principal business | ||
carried on by the licensee at the premises, | ||
(3) the premises are less than 1,000 square feet, | ||
(4) the premises are owned by the University of | ||
Illinois, | ||
(5) the premises are immediately adjacent to property | ||
owned by a church and are not less than 20 nor more than 40 | ||
feet from the church space used for worship services, and | ||
(6) the principal religious leader at the place of | ||
worship has indicated his or her support for the issuance | ||
of the license in writing.
| ||
(i) Notwithstanding any provision in this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license to sell alcoholic liquor at a premises | ||
that is located within a municipality with a population in | ||
excess of 300,000 inhabitants and is within 100 feet of a | ||
church, synagogue, or other place of worship if: | ||
(1) the primary entrance of the premises and the | ||
primary entrance of the church, synagogue, or other place | ||
of worship are at least 100 feet apart, on parallel | ||
streets, and separated by an alley; and | ||
(2) the principal religious leader at the place of | ||
worship has not indicated his or her opposition to the | ||
issuance or renewal of the license in writing. |
(j) Notwithstanding any provision in this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
of a retail
license authorizing the sale of alcoholic liquor at | ||
a theater that is within 100 feet of a church if (1) the church | ||
owns the theater, (2) the church leases the theater to one or | ||
more entities, and
(3) the theater is used by at least 5 | ||
different not-for-profit theater groups. | ||
(k) Notwithstanding any provision in this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor at a premises that is located within a municipality with | ||
a population in excess of 1,000,000 inhabitants and is within | ||
100 feet of a school if:
| ||
(1) the primary entrance of the premises and the | ||
primary entrance of the school are parallel, on different | ||
streets, and separated by an alley; | ||
(2) the southeast corner of the premises are at least | ||
350 feet from the southwest corner of the school; | ||
(3) the school was built in 1978; | ||
(4) the sale of alcoholic liquor at the premises is | ||
incidental to the sale of food; | ||
(5) the sale of alcoholic liquor is not the principal | ||
business carried on by the licensee at the premises; | ||
(6) the applicant is the owner of the restaurant and | ||
has held a valid license authorizing the sale of alcoholic | ||
liquor for the business to be conducted on the premises at |
a different location for more than 7 years; and | ||
(7) the premises is at least 2,300 square feet and sits | ||
on a lot that is between 6,100 and 6,150 square feet. | ||
(l) Notwithstanding any provision in this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor at a premises that is located within a municipality with | ||
a population in excess of 1,000,000 inhabitants and is within | ||
100 feet of a church or school if: | ||
(1) the primary entrance of the premises and the | ||
closest entrance of the church or school is at least 90 | ||
feet apart and no greater than 95 feet apart; | ||
(2) the shortest distance between the premises and the | ||
church or school is at least 80 feet apart and no greater | ||
than 85 feet apart; | ||
(3) the applicant is the owner of the restaurant and on | ||
November 15, 2006 held a valid license authorizing the sale | ||
of alcoholic liquor for the business to be conducted on the | ||
premises for at least 14 different locations; | ||
(4) the sale of alcoholic liquor at the premises is | ||
incidental to the sale of food; | ||
(5) the sale of alcoholic liquor is not the principal | ||
business carried on by the licensee at the premises; | ||
(6) the premises is at least 3,200 square feet and sits | ||
on a lot that is between 7,150 and 7,200 square feet; and | ||
(7) the principal religious leader at the place of |
worship has not indicated his or her opposition to the | ||
issuance or renewal of the license in writing.
| ||
(m) Notwithstanding any provision in this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor at a premises that is located within a municipality with | ||
a population in excess of 1,000,000 inhabitants and is within | ||
100 feet of a church if: | ||
(1) the premises and the church are perpendicular, and | ||
the primary entrance of the premises faces South while the | ||
primary entrance of the church faces West and the distance | ||
between the two entrances is more than 100 feet; | ||
(2) the shortest distance between the premises lot line | ||
and the exterior wall of the church is at least 80 feet; | ||
(3) the church was established at the current location | ||
in 1916 and the present structure was erected in 1925; | ||
(4) the premises is a single story, single use building | ||
with at least 1,750 square feet and no more than 2,000 | ||
square feet; | ||
(5) the sale of alcoholic liquor at the premises is | ||
incidental to the sale of food; | ||
(6) the sale of alcoholic liquor is not the principal | ||
business carried on by the licensee at the premises; and | ||
(7) the principal religious leader at the place of | ||
worship has not indicated his or her opposition to the | ||
issuance or renewal of the license in writing. |
(n) Notwithstanding any provision in this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor at a premises that is located within a municipality with | ||
a population in excess of 1,000,000 inhabitants and is within | ||
100 feet of a school if: | ||
(1) the school is a City of Chicago School District 299 | ||
school; | ||
(2) the school is located within subarea E of City of | ||
Chicago Residential Business Planned Development Number | ||
70; | ||
(3) the sale of alcoholic liquor is not the principal | ||
business carried on by the licensee on the premises; | ||
(4) the sale of alcoholic liquor at the premises is | ||
incidental to the sale of food; and | ||
(5) the administration of City of Chicago School | ||
District 299 has expressed, in writing, its support for the | ||
issuance of the license. | ||
(o) Notwithstanding any provision of this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a retail license authorizing the sale of | ||
alcoholic liquor at a premises that is located within a | ||
municipality in excess of 1,000,000 inhabitants and within 100 | ||
feet of a church if: | ||
(1) the sale of alcoholic liquor at the premises is | ||
incidental to the sale of food; |
(2) the sale of alcoholic liquor is not the principal | ||
business carried on by the licensee at the premises; | ||
(3) the premises is located on a street that runs | ||
perpendicular to the street on which the church is located; | ||
(4) the primary entrance of the premises is at least | ||
100 feet from the primary entrance of the church; | ||
(5) the shortest distance between any part of the | ||
premises and any part of the church is at least 60 feet; | ||
(6) the premises is between 3,600 and 4,000 square feet | ||
and sits on a lot that is between 3,600 and 4,000 square | ||
feet; and | ||
(7) the premises was built in the year 1909. | ||
For purposes of this subsection (o), "premises" means a | ||
place of business together with a privately owned outdoor | ||
location that is adjacent to the place of business. | ||
(p) Notwithstanding any provision in this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor at a premises that is located within a municipality with | ||
a population in excess of 1,000,000 inhabitants and within 100 | ||
feet of a church if: | ||
(1) the shortest distance between the backdoor of the | ||
premises, which is used as an emergency exit, and the | ||
church is at least 80 feet; | ||
(2) the church was established at the current location | ||
in 1889; and |
(3) liquor has been sold on the premises since at least | ||
1985. | ||
(q) Notwithstanding any provision of this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor within a premises that is located in a municipality with | ||
a population in excess of 1,000,000 inhabitants and within 100 | ||
feet of a church-owned property if: | ||
(1) the premises is located within a larger building | ||
operated as a grocery store; | ||
(2) the area of the premises does not exceed 720 square | ||
feet and the area of the larger building exceeds 18,000 | ||
square feet; | ||
(3) the larger building containing the premises is | ||
within 100 feet of the nearest property line of a | ||
church-owned property on which a church-affiliated school | ||
is located; | ||
(4) the sale of liquor is not the principal business | ||
carried on within the larger building; | ||
(5) the primary entrance of the larger building and the | ||
premises and the primary entrance of the church-affiliated | ||
school are on different, parallel streets, and the distance | ||
between the 2 primary entrances is more than 100 feet; | ||
(6) the larger building is separated from the | ||
church-owned property and church-affiliated school by an | ||
alley; |
(7) the larger building containing the premises and the | ||
church building front are on perpendicular streets and are | ||
separated by a street; and | ||
(8) (Blank). | ||
(r) Notwithstanding any provision of this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance, | ||
renewal, or maintenance of a license authorizing the sale of | ||
alcoholic liquor incidental to the sale of food within a | ||
restaurant established in a premises that is located in a | ||
municipality with a population in excess of 1,000,000 | ||
inhabitants and within 100 feet of a church if: | ||
(1) the primary entrance of the church and the primary | ||
entrance of the restaurant are at least 100 feet apart; | ||
(2) the restaurant has operated on the ground floor and | ||
lower level of a multi-story, multi-use building for more | ||
than 40 years; | ||
(3) the primary business of the restaurant consists of | ||
the sale of food where the sale of liquor is incidental to | ||
the sale of food; | ||
(4) the sale of alcoholic liquor is conducted primarily | ||
in the below-grade level of the restaurant to which the | ||
only public access is by a staircase located inside the | ||
restaurant; and | ||
(5) the restaurant has held a license authorizing the | ||
sale of alcoholic liquor on the premises for more than 40 | ||
years. |
(s) Notwithstanding any provision of this Section to the | ||
contrary, nothing in this Section shall prohibit renewal of a | ||
license authorizing the sale of alcoholic liquor at a premises | ||
that is located within a municipality with a population more | ||
than 5,000 and less than 10,000 and is within 100 feet of a | ||
church if: | ||
(1) the church was established at the location within | ||
100 feet of the premises after a license for the sale of | ||
alcoholic liquor at the premises was first issued; | ||
(2) a license for sale of alcoholic liquor at the | ||
premises was first issued before January 1, 2007; and | ||
(3) a license for the sale of alcoholic liquor on the | ||
premises has been continuously in effect since January 1, | ||
2007, except for interruptions between licenses of no more | ||
than 90 days. | ||
(t) Notwithstanding any provision of this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a
license authorizing the sale of alcoholic | ||
liquor
incidental to the sale of food within a restaurant that | ||
is established in a premises that is located in a municipality | ||
with a population in excess of 1,000,000 inhabitants and within | ||
100 feet of a school and a church if: | ||
(1) the restaurant is located inside a five-story | ||
building with over 16,800 square feet of commercial space; | ||
(2) the area of the premises does not exceed 31,050 | ||
square feet; |
(3) the area of the restaurant does not exceed 5,800 | ||
square feet; | ||
(4) the building has no less than 78 condominium units; | ||
(5) the construction of the building in which the | ||
restaurant is located was completed in 2006; | ||
(6) the building has 10 storefront properties, 3 of | ||
which are used for the restaurant; | ||
(7) the restaurant will open for business in 2010; | ||
(8) the building is north of the school and separated | ||
by an alley; and | ||
(9) the principal religious leader of the church and | ||
either the alderman of the ward in which the school is | ||
located or the principal of the school have delivered a | ||
written statement to the local liquor control commissioner | ||
stating that he or she does not object to the issuance of a | ||
license under this subsection (t). | ||
(u) Notwithstanding any provision in this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license to sell alcoholic liquor at a premises | ||
that is located within a municipality with a population in | ||
excess of 1,000,000 inhabitants and within 100 feet of a school | ||
if: | ||
(1) the premises operates as a restaurant and has been | ||
in operation since February 2008; | ||
(2) the applicant is the owner of the premises; | ||
(3) the sale of alcoholic liquor is incidental to the |
sale of food; | ||
(4) the sale of alcoholic liquor is not the principal | ||
business carried on by the licensee on the premises; | ||
(5) the premises occupy the first floor of a 3-story | ||
building that is at least 90 years old; | ||
(6) the rear lot of the school and the rear corner of | ||
the building that the premises occupy are separated by an | ||
alley; | ||
(7) the distance from the southwest corner of the | ||
property line of the school and the northeast corner of the | ||
building that the premises occupy is at least 16 feet, 5 | ||
inches; | ||
(8) the distance from the rear door of the premises to | ||
the southwest corner of the property line of the school is | ||
at least 93 feet; | ||
(9) the school is a City of Chicago School District 299 | ||
school; | ||
(10) the school's main structure was erected in 1902 | ||
and an addition was built to the main structure in 1959; | ||
and | ||
(11) the principal of the school and the alderman in | ||
whose district the premises are located have expressed, in | ||
writing, their support for the issuance of the license. | ||
(v) Notwithstanding any provision in this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic |
liquor at a premises that is located within a municipality with | ||
a population in excess of 1,000,000 inhabitants and is within | ||
100 feet of a school if: | ||
(1) the total land area of the premises for which the | ||
license or renewal is sought is more than 600,000 square | ||
feet; | ||
(2) the premises for which the license or renewal is | ||
sought has more than 600 parking stalls; | ||
(3) the total area of all buildings on the premises for | ||
which the license or renewal is sought exceeds 140,000 | ||
square feet; | ||
(4) the property line of the premises for which the | ||
license or renewal is sought is separated from the property | ||
line of the school by a street; | ||
(5) the distance from the school's property line to the | ||
property line of the premises for which the license or | ||
renewal is sought is at least 60 feet; | ||
(6) as of the effective date of this amendatory Act of | ||
the 97th General Assembly, the premises for which the | ||
license or renewal is sought is located in the Illinois | ||
Medical District. | ||
(w) Notwithstanding any provision in this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license to sell alcoholic liquor at a premises | ||
that is located within a municipality with a population in | ||
excess of 1,000,000 inhabitants and within 100 feet of a church |
if: | ||
(1) the sale of alcoholic liquor at the premises is | ||
incidental to the sale of food; | ||
(2) the sale of alcoholic liquor is not the principal
| ||
business carried on by the licensee at the premises; | ||
(3) the premises occupy the first floor and basement of | ||
a 2-story building that is 106 years old; | ||
(4) the premises is at least 7,000 square feet and | ||
located on a lot that is at least 11,000 square feet; | ||
(5) the premises is located directly west of the | ||
church, on perpendicular streets, and separated by an | ||
alley; | ||
(6) the distance between the
property line of the | ||
premises and the property line of the church is at least 20 | ||
feet; | ||
(7) the distance between the primary entrance of the | ||
premises and the primary entrance of the church is at least | ||
130 feet; and | ||
(8) the church has been at its location for at least 40 | ||
years. | ||
(x) Notwithstanding any provision of this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor at a premises that is located within a municipality with | ||
a population in excess of 1,000,000 inhabitants and within 100 | ||
feet of a church if: |
(1) the sale of alcoholic liquor is not the principal | ||
business carried on by the licensee at the premises; | ||
(2) the church has been operating in its current | ||
location since 1973; | ||
(3) the premises has been operating in its current | ||
location since 1988; | ||
(4) the church and the premises are owned by the same | ||
parish; | ||
(5) the premises is used for cultural and educational | ||
purposes; | ||
(6) the primary entrance to the premises and the | ||
primary entrance to the church are located on the same | ||
street; | ||
(7) the principal religious leader of the church has | ||
indicated his support of the issuance of the license; | ||
(8) the premises is a 2-story building of approximately | ||
23,000 square feet; and | ||
(9) the premises houses a ballroom on its ground floor | ||
of approximately 5,000 square feet. | ||
(y) Notwithstanding any provision of this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor at a premises that is located within a municipality with | ||
a population in excess of 1,000,000 inhabitants and within 100 | ||
feet of a school if: | ||
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; | ||
(2) the sale of alcoholic liquor at the premises is | ||
incidental to the sale of food; | ||
(3) according to the municipality, the distance | ||
between the east property line of the premises and the west | ||
property line of the school is 97.8 feet; | ||
(4) the school is a City of Chicago School District 299 | ||
school; | ||
(5) the school has been operating since 1959; | ||
(6) the primary entrance to the premises and the | ||
primary entrance to the school are located on the same | ||
street; | ||
(7) the street on which the entrances of the premises | ||
and the school are located is a major diagonal | ||
thoroughfare; | ||
(8) the premises is a single-story building of | ||
approximately 2,900 square feet; and | ||
(9) the premises is used for commercial purposes only. | ||
(z) Notwithstanding any provision of this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor at a premises that is located within a municipality with | ||
a population in excess of 1,000,000 inhabitants and within 100 | ||
feet of a mosque if: | ||
(1) the sale of alcoholic liquor is not the principal | ||
business carried on by the licensee at the premises; |
(2) the licensee shall only sell packaged liquors at | ||
the premises; | ||
(3) the licensee is a national retail chain having over | ||
100 locations within the municipality; | ||
(4) the licensee has over 8,000 locations nationwide; | ||
(5) the licensee has locations in all 50 states; | ||
(6) the premises is located in the North-East quadrant | ||
of the municipality; | ||
(7) the premises is a free-standing building that has | ||
"drive-through" pharmacy service; | ||
(8) the premises has approximately 14,490 square feet | ||
of retail space; | ||
(9) the premises has approximately 799 square feet of | ||
pharmacy space; | ||
(10) the premises is located on a major arterial street | ||
that runs east-west and accepts truck traffic; and | ||
(11) the alderman of the ward in which the premises is | ||
located has expressed, in writing, his or her support for | ||
the issuance of the license. | ||
(aa) Notwithstanding any provision of this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor at a premises that is located within a municipality with | ||
a population in excess of 1,000,000 inhabitants and within 100 | ||
feet of a church if: | ||
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; | ||
(2) the licensee shall only sell packaged liquors at | ||
the premises; | ||
(3) the licensee is a national retail chain having over | ||
100 locations within the municipality; | ||
(4) the licensee has over 8,000 locations nationwide; | ||
(5) the licensee has locations in all 50 states; | ||
(6) the premises is located in the North-East quadrant | ||
of the municipality; | ||
(7) the premises is located across the street from a | ||
national grocery chain outlet; | ||
(8) the premises has approximately 16,148 square feet | ||
of retail space; | ||
(9) the premises has approximately 992 square feet of | ||
pharmacy space; | ||
(10) the premises is located on a major arterial street | ||
that runs north-south and accepts truck traffic; and | ||
(11) the alderman of the ward in which the premises is | ||
located has expressed, in writing, his or her support for | ||
the issuance of the license. | ||
(bb) Notwithstanding any provision of this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor at a premises that is located within a municipality with | ||
a population in excess of 1,000,000 inhabitants and within 100 | ||
feet of a church if: |
(1) the sale of alcoholic liquor is not the principal | ||
business carried on by the licensee at the premises; | ||
(2) the sale of alcoholic liquor at the premises is | ||
incidental to the sale of food; | ||
(3) the primary entrance to the premises and the | ||
primary entrance to the church are located on the same | ||
street; | ||
(4) the premises is across the street from the church; | ||
(5) the street on which the premises and the church are | ||
located is a major arterial street that runs east-west; | ||
(6) the church is an elder-led and Bible-based Assyrian | ||
church; | ||
(7) the premises and the church are both single-story | ||
buildings; | ||
(8) the storefront directly west of the church is being | ||
used as a restaurant; and | ||
(9) the distance between the northern-most property | ||
line of the premises and the southern-most property line of | ||
the church is 65 feet. | ||
(cc) Notwithstanding any provision of this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor at a premises that is located within a municipality with | ||
a population in excess of 1,000,000 inhabitants and within 100 | ||
feet of a school if: | ||
(1) the sale of alcoholic liquor is not the principal |
business carried on by the licensee at the premises; | ||
(2) the licensee shall only sell packaged liquors at | ||
the premises; | ||
(3) the licensee is a national retail chain; | ||
(4) as of October 25, 2011, the licensee has 1,767 | ||
stores operating nationwide, 87 stores operating in the | ||
State, and 10 stores operating within the municipality; | ||
(5) the licensee shall occupy approximately 124,000 | ||
square feet of space in the basement and first and second | ||
floors of a building located across the street from a | ||
school; | ||
(6) the school opened in August of 2009 and occupies | ||
approximately 67,000 square feet of space; and | ||
(7) the building in which the premises shall be located | ||
has been listed on the National Register of Historic Places | ||
since April 17, 1970. | ||
(dd) Notwithstanding any provision in this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor within a full-service grocery store at a premises that | ||
is located within a municipality with a population in excess of | ||
1,000,000 inhabitants and is within 100 feet of a school if: | ||
(1) the premises is constructed on land that was | ||
purchased from the municipality at a fair market price; | ||
(2) the premises is constructed on land that was | ||
previously used as a parking facility for public safety |
employees; | ||
(3) the sale of alcoholic liquor is not the principal | ||
business carried on by the licensee at the premises; | ||
(4) the main entrance to the store is more than 100 | ||
feet from the main entrance to the school; | ||
(5) the premises is to be new construction; | ||
(6) the school is a private school; | ||
(7) the principal of the school has given written | ||
approval for the license; | ||
(8) the alderman of the ward where the premises is | ||
located has given written approval of the issuance of the | ||
license; | ||
(9) the grocery store level of the premises is between | ||
60,000 and 70,000 square feet; and | ||
(10) the owner and operator of the grocery store | ||
operates 2 other grocery stores that have alcoholic liquor | ||
licenses within the same municipality. | ||
(ee) Notwithstanding any provision in this Section to the | ||
contrary, nothing in this Section shall prohibit the issuance | ||
or renewal of a license authorizing the sale of alcoholic | ||
liquor within a full-service grocery store at a premises that | ||
is located within a municipality with a population in excess of | ||
1,000,000 inhabitants and is within 100 hundred feet of a | ||
school if: | ||
(1) the premises is constructed on land that once | ||
contained an industrial steel facility; |
(2) the premises is located on land that has undergone | ||
environmental remediation; | ||
(3) the premises is located within a retail complex | ||
containing retail stores where some of the stores sell | ||
alcoholic beverages; | ||
(4) the principal activity of any restaurant in the | ||
retail complex is the sale of food, and the sale of | ||
alcoholic liquor is incidental to the sale of food; | ||
(5) the sale of alcoholic liquor is not the principal | ||
business carried on by the grocery store; | ||
(6) the entrance to any business that sells alcoholic | ||
liquor is more than 100 feet from the entrance to the | ||
school; | ||
(7) the alderman of the ward where the premises is | ||
located has given written approval of the issuance of the | ||
license; and | ||
(8) the principal of the school has given written | ||
consent to the issuance of the license. | ||
(ff) (dd) Notwithstanding any provision of this Section to | ||
the contrary, nothing in this Section shall prohibit the | ||
issuance or renewal of a license authorizing the sale of | ||
alcoholic liquor at a premises that is located within a | ||
municipality with a population in excess of 1,000,000 | ||
inhabitants and within 100 feet of a school if: | ||
(1) the sale of alcoholic liquor is not the principal | ||
business carried on at the premises; |
(2) the sale of alcoholic liquor at the premises is | ||
incidental to the operation of a theater; | ||
(3) the premises is a one and one-half-story building | ||
of approximately 10,000 square feet; | ||
(4) the school is a City of Chicago School District 299 | ||
school; | ||
(5) the primary entrance of the premises and the | ||
primary entrance of the school are at least 300 feet apart | ||
and no more than 400 feet apart; | ||
(6) the alderman of the ward in which the premises is | ||
located has expressed, in writing, his support for the | ||
issuance of the license; and | ||
(7) the principal of the school has expressed, in | ||
writing, that there is no objection to the issuance of a | ||
license under this subsection (ff) (dd) . | ||
(Source: P.A. 96-283, eff. 8-11-09; 96-744, eff. 8-25-09; | ||
96-851, eff. 12-23-09; 96-871, eff. 1-21-10; 96-1051, eff. | ||
7-14-10; 97-9, eff. 6-14-11; 97-12, eff. 6-14-11; 97-634, eff. | ||
12-16-11; 97-774, eff. 7-13-12; 97-780, eff. 7-13-12; 97-806, | ||
eff. 7-13-12; revised 7-23-12.)
| ||
Section 400. The Safety Deposit License Act is amended by | ||
changing Section 22.1 as follows:
| ||
(240 ILCS 5/22.1)
| ||
Sec. 22.1.
All moneys received by the Department of |
Financial Institutions
under this Act shall be deposited in the | ||
Financial Institution Institutions Fund created
under Section | ||
6z-26 of the State Finance Act.
| ||
(Source: P.A. 88-13; revised 10-18-12.)
| ||
Section 405. The Illinois Public Aid Code is amended by | ||
changing Sections 5-2, 5-4.2, 5-5, 5-5.12, 5A-5, 5A-8, 5A-10, | ||
5A-12.4, 5C-1, 5C-5, 5C-7, 11-26, 12-5, and 14-8 as follows:
| ||
(305 ILCS 5/5-2) (from Ch. 23, par. 5-2)
| ||
Sec. 5-2. Classes of Persons Eligible. Medical assistance | ||
under this
Article shall be available to any of the following | ||
classes of persons in
respect to whom a plan for coverage has | ||
been submitted to the Governor
by the Illinois Department and | ||
approved by him:
| ||
1. Recipients of basic maintenance grants under | ||
Articles III and IV.
| ||
2. Persons otherwise eligible for basic maintenance | ||
under Articles
III and IV, excluding any eligibility | ||
requirements that are inconsistent with any federal law or | ||
federal regulation, as interpreted by the U.S. Department | ||
of Health and Human Services, but who fail to qualify | ||
thereunder on the basis of need or who qualify but are not | ||
receiving basic maintenance under Article IV, and
who have | ||
insufficient income and resources to meet the costs of
| ||
necessary medical care, including but not limited to the |
following:
| ||
(a) All persons otherwise eligible for basic | ||
maintenance under Article
III but who fail to qualify | ||
under that Article on the basis of need and who
meet | ||
either of the following requirements:
| ||
(i) their income, as determined by the | ||
Illinois Department in
accordance with any federal | ||
requirements, is equal to or less than 70% in
| ||
fiscal year 2001, equal to or less than 85% in | ||
fiscal year 2002 and until
a date to be determined | ||
by the Department by rule, and equal to or less
| ||
than 100% beginning on the date determined by the | ||
Department by rule, of the nonfarm income official | ||
poverty
line, as defined by the federal Office of | ||
Management and Budget and revised
annually in | ||
accordance with Section 673(2) of the Omnibus | ||
Budget Reconciliation
Act of 1981, applicable to | ||
families of the same size; or
| ||
(ii) their income, after the deduction of | ||
costs incurred for medical
care and for other types | ||
of remedial care, is equal to or less than 70% in
| ||
fiscal year 2001, equal to or less than 85% in | ||
fiscal year 2002 and until
a date to be determined | ||
by the Department by rule, and equal to or less
| ||
than 100% beginning on the date determined by the | ||
Department by rule, of the nonfarm income official |
poverty
line, as defined in item (i) of this | ||
subparagraph (a).
| ||
(b) All persons who, excluding any eligibility | ||
requirements that are inconsistent with any federal | ||
law or federal regulation, as interpreted by the U.S. | ||
Department of Health and Human Services, would be | ||
determined eligible for such basic
maintenance under | ||
Article IV by disregarding the maximum earned income
| ||
permitted by federal law.
| ||
3. Persons who would otherwise qualify for Aid to the | ||
Medically
Indigent under Article VII.
| ||
4. Persons not eligible under any of the preceding | ||
paragraphs who fall
sick, are injured, or die, not having | ||
sufficient money, property or other
resources to meet the | ||
costs of necessary medical care or funeral and burial
| ||
expenses.
| ||
5.(a) Women during pregnancy, after the fact
of | ||
pregnancy has been determined by medical diagnosis, and | ||
during the
60-day period beginning on the last day of the | ||
pregnancy, together with
their infants and children born | ||
after September 30, 1983,
whose income and
resources are | ||
insufficient to meet the costs of necessary medical care to
| ||
the maximum extent possible under Title XIX of the
Federal | ||
Social Security Act.
| ||
(b) The Illinois Department and the Governor shall | ||
provide a plan for
coverage of the persons eligible under |
paragraph 5(a) by April 1, 1990. Such
plan shall provide | ||
ambulatory prenatal care to pregnant women during a
| ||
presumptive eligibility period and establish an income | ||
eligibility standard
that is equal to 133%
of the nonfarm | ||
income official poverty line, as defined by
the federal | ||
Office of Management and Budget and revised annually in
| ||
accordance with Section 673(2) of the Omnibus Budget | ||
Reconciliation Act of
1981, applicable to families of the | ||
same size, provided that costs incurred
for medical care | ||
are not taken into account in determining such income
| ||
eligibility.
| ||
(c) The Illinois Department may conduct a | ||
demonstration in at least one
county that will provide | ||
medical assistance to pregnant women, together
with their | ||
infants and children up to one year of age,
where the | ||
income
eligibility standard is set up to 185% of the | ||
nonfarm income official
poverty line, as defined by the | ||
federal Office of Management and Budget.
The Illinois | ||
Department shall seek and obtain necessary authorization
| ||
provided under federal law to implement such a | ||
demonstration. Such
demonstration may establish resource | ||
standards that are not more
restrictive than those | ||
established under Article IV of this Code.
| ||
6. Persons under the age of 18 who fail to qualify as | ||
dependent under
Article IV and who have insufficient income | ||
and resources to meet the costs
of necessary medical care |
to the maximum extent permitted under Title XIX
of the | ||
Federal Social Security Act.
| ||
7. (Blank).
| ||
8. Persons who become ineligible for basic maintenance | ||
assistance
under Article IV of this Code in programs | ||
administered by the Illinois
Department due to employment | ||
earnings and persons in
assistance units comprised of | ||
adults and children who become ineligible for
basic | ||
maintenance assistance under Article VI of this Code due to
| ||
employment earnings. The plan for coverage for this class | ||
of persons shall:
| ||
(a) extend the medical assistance coverage for up | ||
to 12 months following
termination of basic | ||
maintenance assistance; and
| ||
(b) offer persons who have initially received 6 | ||
months of the
coverage provided in paragraph (a) above, | ||
the option of receiving an
additional 6 months of | ||
coverage, subject to the following:
| ||
(i) such coverage shall be pursuant to | ||
provisions of the federal
Social Security Act;
| ||
(ii) such coverage shall include all services | ||
covered while the person
was eligible for basic | ||
maintenance assistance;
| ||
(iii) no premium shall be charged for such | ||
coverage; and
| ||
(iv) such coverage shall be suspended in the |
event of a person's
failure without good cause to | ||
file in a timely fashion reports required for
this | ||
coverage under the Social Security Act and | ||
coverage shall be reinstated
upon the filing of | ||
such reports if the person remains otherwise | ||
eligible.
| ||
9. Persons with acquired immunodeficiency syndrome | ||
(AIDS) or with
AIDS-related conditions with respect to whom | ||
there has been a determination
that but for home or | ||
community-based services such individuals would
require | ||
the level of care provided in an inpatient hospital, | ||
skilled
nursing facility or intermediate care facility the | ||
cost of which is
reimbursed under this Article. Assistance | ||
shall be provided to such
persons to the maximum extent | ||
permitted under Title
XIX of the Federal Social Security | ||
Act.
| ||
10. Participants in the long-term care insurance | ||
partnership program
established under the Illinois | ||
Long-Term Care Partnership Program Act who meet the
| ||
qualifications for protection of resources described in | ||
Section 15 of that
Act.
| ||
11. Persons with disabilities who are employed and | ||
eligible for Medicaid,
pursuant to Section | ||
1902(a)(10)(A)(ii)(xv) of the Social Security Act, and, | ||
subject to federal approval, persons with a medically | ||
improved disability who are employed and eligible for |
Medicaid pursuant to Section 1902(a)(10)(A)(ii)(xvi) of | ||
the Social Security Act, as
provided by the Illinois | ||
Department by rule. In establishing eligibility standards | ||
under this paragraph 11, the Department shall, subject to | ||
federal approval: | ||
(a) set the income eligibility standard at not | ||
lower than 350% of the federal poverty level; | ||
(b) exempt retirement accounts that the person | ||
cannot access without penalty before the age
of 59 1/2, | ||
and medical savings accounts established pursuant to | ||
26 U.S.C. 220; | ||
(c) allow non-exempt assets up to $25,000 as to | ||
those assets accumulated during periods of eligibility | ||
under this paragraph 11; and
| ||
(d) continue to apply subparagraphs (b) and (c) in | ||
determining the eligibility of the person under this | ||
Article even if the person loses eligibility under this | ||
paragraph 11.
| ||
12. Subject to federal approval, persons who are | ||
eligible for medical
assistance coverage under applicable | ||
provisions of the federal Social Security
Act and the | ||
federal Breast and Cervical Cancer Prevention and | ||
Treatment Act of
2000. Those eligible persons are defined | ||
to include, but not be limited to,
the following persons:
| ||
(1) persons who have been screened for breast or | ||
cervical cancer under
the U.S. Centers for Disease |
Control and Prevention Breast and Cervical Cancer
| ||
Program established under Title XV of the federal | ||
Public Health Services Act in
accordance with the | ||
requirements of Section 1504 of that Act as | ||
administered by
the Illinois Department of Public | ||
Health; and
| ||
(2) persons whose screenings under the above | ||
program were funded in whole
or in part by funds | ||
appropriated to the Illinois Department of Public | ||
Health
for breast or cervical cancer screening.
| ||
"Medical assistance" under this paragraph 12 shall be | ||
identical to the benefits
provided under the State's | ||
approved plan under Title XIX of the Social Security
Act. | ||
The Department must request federal approval of the | ||
coverage under this
paragraph 12 within 30 days after the | ||
effective date of this amendatory Act of
the 92nd General | ||
Assembly.
| ||
In addition to the persons who are eligible for medical | ||
assistance pursuant to subparagraphs (1) and (2) of this | ||
paragraph 12, and to be paid from funds appropriated to the | ||
Department for its medical programs, any uninsured person | ||
as defined by the Department in rules residing in Illinois | ||
who is younger than 65 years of age, who has been screened | ||
for breast and cervical cancer in accordance with standards | ||
and procedures adopted by the Department of Public Health | ||
for screening, and who is referred to the Department by the |
Department of Public Health as being in need of treatment | ||
for breast or cervical cancer is eligible for medical | ||
assistance benefits that are consistent with the benefits | ||
provided to those persons described in subparagraphs (1) | ||
and (2). Medical assistance coverage for the persons who | ||
are eligible under the preceding sentence is not dependent | ||
on federal approval, but federal moneys may be used to pay | ||
for services provided under that coverage upon federal | ||
approval. | ||
13. Subject to appropriation and to federal approval, | ||
persons living with HIV/AIDS who are not otherwise eligible | ||
under this Article and who qualify for services covered | ||
under Section 5-5.04 as provided by the Illinois Department | ||
by rule.
| ||
14. Subject to the availability of funds for this | ||
purpose, the Department may provide coverage under this | ||
Article to persons who reside in Illinois who are not | ||
eligible under any of the preceding paragraphs and who meet | ||
the income guidelines of paragraph 2(a) of this Section and | ||
(i) have an application for asylum pending before the | ||
federal Department of Homeland Security or on appeal before | ||
a court of competent jurisdiction and are represented | ||
either by counsel or by an advocate accredited by the | ||
federal Department of Homeland Security and employed by a | ||
not-for-profit organization in regard to that application | ||
or appeal, or (ii) are receiving services through a |
federally funded torture treatment center. Medical | ||
coverage under this paragraph 14 may be provided for up to | ||
24 continuous months from the initial eligibility date so | ||
long as an individual continues to satisfy the criteria of | ||
this paragraph 14. If an individual has an appeal pending | ||
regarding an application for asylum before the Department | ||
of Homeland Security, eligibility under this paragraph 14 | ||
may be extended until a final decision is rendered on the | ||
appeal. The Department may adopt rules governing the | ||
implementation of this paragraph 14.
| ||
15. Family Care Eligibility. | ||
(a) On and after July 1, 2012, a caretaker relative | ||
who is 19 years of age or older when countable income | ||
is at or below 133% of the Federal Poverty Level | ||
Guidelines, as published annually in the Federal | ||
Register, for the appropriate family size. A person may | ||
not spend down to become eligible under this paragraph | ||
15. | ||
(b) Eligibility shall be reviewed annually. | ||
(c) (Blank). | ||
(d) (Blank). | ||
(e) (Blank). | ||
(f) (Blank). | ||
(g) (Blank). | ||
(h) (Blank). | ||
(i) Following termination of an individual's |
coverage under this paragraph 15, the individual must | ||
be determined eligible before the person can be | ||
re-enrolled. | ||
16. Subject to appropriation, uninsured persons who | ||
are not otherwise eligible under this Section who have been | ||
certified and referred by the Department of Public Health | ||
as having been screened and found to need diagnostic | ||
evaluation or treatment, or both diagnostic evaluation and | ||
treatment, for prostate or testicular cancer. For the | ||
purposes of this paragraph 16, uninsured persons are those | ||
who do not have creditable coverage, as defined under the | ||
Health Insurance Portability and Accountability Act, or | ||
have otherwise exhausted any insurance benefits they may | ||
have had, for prostate or testicular cancer diagnostic | ||
evaluation or treatment, or both diagnostic evaluation and | ||
treatment.
To be eligible, a person must furnish a Social | ||
Security number.
A person's assets are exempt from | ||
consideration in determining eligibility under this | ||
paragraph 16.
Such persons shall be eligible for medical | ||
assistance under this paragraph 16 for so long as they need | ||
treatment for the cancer. A person shall be considered to | ||
need treatment if, in the opinion of the person's treating | ||
physician, the person requires therapy directed toward | ||
cure or palliation of prostate or testicular cancer, | ||
including recurrent metastatic cancer that is a known or | ||
presumed complication of prostate or testicular cancer and |
complications resulting from the treatment modalities | ||
themselves. Persons who require only routine monitoring | ||
services are not considered to need treatment.
"Medical | ||
assistance" under this paragraph 16 shall be identical to | ||
the benefits provided under the State's approved plan under | ||
Title XIX of the Social Security Act.
Notwithstanding any | ||
other provision of law, the Department (i) does not have a | ||
claim against the estate of a deceased recipient of | ||
services under this paragraph 16 and (ii) does not have a | ||
lien against any homestead property or other legal or | ||
equitable real property interest owned by a recipient of | ||
services under this paragraph 16. | ||
17. Persons who, pursuant to a waiver approved by the | ||
Secretary of the U.S. Department of Health and Human | ||
Services, are eligible for medical assistance under Title | ||
XIX or XXI of the federal Social Security Act. | ||
Notwithstanding any other provision of this Code and | ||
consistent with the terms of the approved waiver, the | ||
Illinois Department, may by rule: | ||
(a) Limit the geographic areas in which the waiver | ||
program operates. | ||
(b) Determine the scope, quantity, duration, and | ||
quality, and the rate and method of reimbursement, of | ||
the medical services to be provided, which may differ | ||
from those for other classes of persons eligible for | ||
assistance under this Article. |
(c) Restrict the persons' freedom in choice of | ||
providers. | ||
In implementing the provisions of Public Act 96-20, the | ||
Department is authorized to adopt only those rules necessary, | ||
including emergency rules. Nothing in Public Act 96-20 permits | ||
the Department to adopt rules or issue a decision that expands | ||
eligibility for the FamilyCare Program to a person whose income | ||
exceeds 185% of the Federal Poverty Level as determined from | ||
time to time by the U.S. Department of Health and Human | ||
Services, unless the Department is provided with express | ||
statutory authority. | ||
The Illinois Department and the Governor shall provide a | ||
plan for
coverage of the persons eligible under paragraph 7 as | ||
soon as possible after
July 1, 1984.
| ||
The eligibility of any such person for medical assistance | ||
under this
Article is not affected by the payment of any grant | ||
under the Senior
Citizens and Disabled Persons Property Tax | ||
Relief Act or any distributions or items of income described | ||
under
subparagraph (X) of
paragraph (2) of subsection (a) of | ||
Section 203 of the Illinois Income Tax
Act. The Department | ||
shall by rule establish the amounts of
assets to be disregarded | ||
in determining eligibility for medical assistance,
which shall | ||
at a minimum equal the amounts to be disregarded under the
| ||
Federal Supplemental Security Income Program. The amount of | ||
assets of a
single person to be disregarded
shall not be less | ||
than $2,000, and the amount of assets of a married couple
to be |
disregarded shall not be less than $3,000.
| ||
To the extent permitted under federal law, any person found | ||
guilty of a
second violation of Article VIIIA
shall be | ||
ineligible for medical assistance under this Article, as | ||
provided
in Section 8A-8.
| ||
The eligibility of any person for medical assistance under | ||
this Article
shall not be affected by the receipt by the person | ||
of donations or benefits
from fundraisers held for the person | ||
in cases of serious illness,
as long as neither the person nor | ||
members of the person's family
have actual control over the | ||
donations or benefits or the disbursement
of the donations or | ||
benefits.
| ||
Notwithstanding any other provision of this Code, if the | ||
United States Supreme Court holds Title II, Subtitle A, Section | ||
2001(a) of Public Law 111-148 to be unconstitutional, or if a | ||
holding of Public Law 111-148 makes Medicaid eligibility | ||
allowed under Section 2001(a) inoperable, the State or a unit | ||
of local government shall be prohibited from enrolling | ||
individuals in the Medical Assistance Program as the result of | ||
federal approval of a State Medicaid waiver on or after the | ||
effective date of this amendatory Act of the 97th General | ||
Assembly, and any individuals enrolled in the Medical | ||
Assistance Program pursuant to eligibility permitted as a | ||
result of such a State Medicaid waiver shall become immediately | ||
ineligible. | ||
Notwithstanding any other provision of this Code, if an Act |
of Congress that becomes a Public Law eliminates Section | ||
2001(a) of Public Law 111-148, the State or a unit of local | ||
government shall be prohibited from enrolling individuals in | ||
the Medical Assistance Program as the result of federal | ||
approval of a State Medicaid waiver on or after the effective | ||
date of this amendatory Act of the 97th General Assembly, and | ||
any individuals enrolled in the Medical Assistance Program | ||
pursuant to eligibility permitted as a result of such a State | ||
Medicaid waiver shall become immediately ineligible. | ||
(Source: P.A. 96-20, eff. 6-30-09; 96-181, eff. 8-10-09; | ||
96-328, eff. 8-11-09; 96-567, eff. 1-1-10; 96-1000, eff. | ||
7-2-10; 96-1123, eff. 1-1-11; 96-1270, eff. 7-26-10; 97-48, | ||
eff. 6-28-11; 97-74, eff. 6-30-11; 97-333, eff. 8-12-11; | ||
97-687, eff. 6-14-12; 97-689, eff. 6-14-12; 97-813, eff. | ||
7-13-12; revised 7-23-12.)
| ||
(305 ILCS 5/5-4.2) (from Ch. 23, par. 5-4.2)
| ||
Sec. 5-4.2. Ambulance services payments. | ||
(a) For
ambulance
services provided to a recipient of aid | ||
under this Article on or after
January 1, 1993, the Illinois | ||
Department shall reimburse ambulance service
providers at | ||
rates calculated in accordance with this Section. It is the | ||
intent
of the General Assembly to provide adequate | ||
reimbursement for ambulance
services so as to ensure adequate | ||
access to services for recipients of aid
under this Article and | ||
to provide appropriate incentives to ambulance service
|
providers to provide services in an efficient and | ||
cost-effective manner. Thus,
it is the intent of the General | ||
Assembly that the Illinois Department implement
a | ||
reimbursement system for ambulance services that, to the extent | ||
practicable
and subject to the availability of funds | ||
appropriated by the General Assembly
for this purpose, is | ||
consistent with the payment principles of Medicare. To
ensure | ||
uniformity between the payment principles of Medicare and | ||
Medicaid, the
Illinois Department shall follow, to the extent | ||
necessary and practicable and
subject to the availability of | ||
funds appropriated by the General Assembly for
this purpose, | ||
the statutes, laws, regulations, policies, procedures,
| ||
principles, definitions, guidelines, and manuals used to | ||
determine the amounts
paid to ambulance service providers under | ||
Title XVIII of the Social Security
Act (Medicare).
| ||
(b) For ambulance services provided to a recipient of aid | ||
under this Article
on or after January 1, 1996, the Illinois | ||
Department shall reimburse ambulance
service providers based | ||
upon the actual distance traveled if a natural
disaster, | ||
weather conditions, road repairs, or traffic congestion | ||
necessitates
the use of a
route other than the most direct | ||
route.
| ||
(c) For purposes of this Section, "ambulance services" | ||
includes medical
transportation services provided by means of | ||
an ambulance, medi-car, service
car, or
taxi.
| ||
(c-1) For purposes of this Section, "ground ambulance |
service" means medical transportation services that are | ||
described as ground ambulance services by the Centers for | ||
Medicare and Medicaid Services and provided in a vehicle that | ||
is licensed as an ambulance by the Illinois Department of | ||
Public Health pursuant to the Emergency Medical Services (EMS) | ||
Systems Act. | ||
(c-2) For purposes of this Section, "ground ambulance | ||
service provider" means a vehicle service provider as described | ||
in the Emergency Medical Services (EMS) Systems Act that | ||
operates licensed ambulances for the purpose of providing | ||
emergency ambulance services, or non-emergency ambulance | ||
services, or both. For purposes of this Section, this includes | ||
both ambulance providers and ambulance suppliers as described | ||
by the Centers for Medicare and Medicaid Services. | ||
(d) This Section does not prohibit separate billing by | ||
ambulance service
providers for oxygen furnished while | ||
providing advanced life support
services.
| ||
(e) Beginning with services rendered on or after July 1, | ||
2008, all providers of non-emergency medi-car and service car | ||
transportation must certify that the driver and employee | ||
attendant, as applicable, have completed a safety program | ||
approved by the Department to protect both the patient and the | ||
driver, prior to transporting a patient.
The provider must | ||
maintain this certification in its records. The provider shall | ||
produce such documentation upon demand by the Department or its | ||
representative. Failure to produce documentation of such |
training shall result in recovery of any payments made by the | ||
Department for services rendered by a non-certified driver or | ||
employee attendant. Medi-car and service car providers must | ||
maintain legible documentation in their records of the driver | ||
and, as applicable, employee attendant that actually | ||
transported the patient. Providers must recertify all drivers | ||
and employee attendants every 3 years.
| ||
Notwithstanding the requirements above, any public | ||
transportation provider of medi-car and service car | ||
transportation that receives federal funding under 49 U.S.C. | ||
5307 and 5311 need not certify its drivers and employee | ||
attendants under this Section, since safety training is already | ||
federally mandated.
| ||
(f) With respect to any policy or program administered by | ||
the Department or its agent regarding approval of non-emergency | ||
medical transportation by ground ambulance service providers, | ||
including, but not limited to, the Non-Emergency | ||
Transportation Services Prior Approval Program (NETSPAP), the | ||
Department shall establish by rule a process by which ground | ||
ambulance service providers of non-emergency medical | ||
transportation may appeal any decision by the Department or its | ||
agent for which no denial was received prior to the time of | ||
transport that either (i) denies a request for approval for | ||
payment of non-emergency transportation by means of ground | ||
ambulance service or (ii) grants a request for approval of | ||
non-emergency transportation by means of ground ambulance |
service at a level of service that entitles the ground | ||
ambulance service provider to a lower level of compensation | ||
from the Department than the ground ambulance service provider | ||
would have received as compensation for the level of service | ||
requested. The rule shall be filed by December 15, 2012 and | ||
shall provide that, for any decision rendered by the Department | ||
or its agent on or after the date the rule takes effect, the | ||
ground ambulance service provider shall have 60 days from the | ||
date the decision is received to file an appeal. The rule | ||
established by the Department shall be, insofar as is | ||
practical, consistent with the Illinois Administrative | ||
Procedure Act. The Director's decision on an appeal under this | ||
Section shall be a final administrative decision subject to | ||
review under the Administrative Review Law. | ||
(f-5) (g) Beginning 90 days after July 20, 2012 ( the | ||
effective date of Public Act 97-842) this amendatory Act of the | ||
97th General Assembly , (i) no denial of a request for approval | ||
for payment of non-emergency transportation by means of ground | ||
ambulance service, and (ii) no approval of non-emergency | ||
transportation by means of ground ambulance service at a level | ||
of service that entitles the ground ambulance service provider | ||
to a lower level of compensation from the Department than would | ||
have been received at the level of service submitted by the | ||
ground ambulance service provider, may be issued by the | ||
Department or its agent unless the Department has submitted the | ||
criteria for determining the appropriateness of the transport |
for first notice publication in the Illinois Register pursuant | ||
to Section 5-40 of the Illinois Administrative Procedure Act. | ||
(g) Whenever a patient covered by a medical assistance | ||
program under this Code or by another medical program | ||
administered by the Department is being discharged from a | ||
facility, a physician discharge order as described in this | ||
Section shall be required for each patient whose discharge | ||
requires medically supervised ground ambulance services. | ||
Facilities shall develop procedures for a physician with | ||
medical staff privileges to provide a written and signed | ||
physician discharge order. The physician discharge order shall | ||
specify the level of ground ambulance services needed and | ||
complete a medical certification establishing the criteria for | ||
approval of non-emergency ambulance transportation, as | ||
published by the Department of Healthcare and Family Services, | ||
that is met by the patient. This order and the medical | ||
certification shall be completed prior to ordering an ambulance | ||
service and prior to patient discharge. | ||
Pursuant to subsection (E) of Section 12-4.25 of this Code, | ||
the Department is entitled to recover overpayments paid to a | ||
provider or vendor, including, but not limited to, from the | ||
discharging physician, the discharging facility, and the | ||
ground ambulance service provider, in instances where a | ||
non-emergency ground ambulance service is rendered as the | ||
result of improper or false certification. | ||
(h) On and after July 1, 2012, the Department shall reduce |
any rate of reimbursement for services or other payments or | ||
alter any methodologies authorized by this Code to reduce any | ||
rate of reimbursement for services or other payments in | ||
accordance with Section 5-5e. | ||
(Source: P.A. 97-584, eff. 8-26-11; 97-689, eff. 6-14-12; | ||
97-842, eff. 7-20-12; revised 8-3-12.)
| ||
(305 ILCS 5/5-5) (from Ch. 23, par. 5-5)
| ||
Sec. 5-5. Medical services. The Illinois Department, by | ||
rule, shall
determine the quantity and quality of and the rate | ||
of reimbursement for the
medical assistance for which
payment | ||
will be authorized, and the medical services to be provided,
| ||
which may include all or part of the following: (1) inpatient | ||
hospital
services; (2) outpatient hospital services; (3) other | ||
laboratory and
X-ray services; (4) skilled nursing home | ||
services; (5) physicians'
services whether furnished in the | ||
office, the patient's home, a
hospital, a skilled nursing home, | ||
or elsewhere; (6) medical care, or any
other type of remedial | ||
care furnished by licensed practitioners; (7)
home health care | ||
services; (8) private duty nursing service; (9) clinic
| ||
services; (10) dental services, including prevention and | ||
treatment of periodontal disease and dental caries disease for | ||
pregnant women, provided by an individual licensed to practice | ||
dentistry or dental surgery; for purposes of this item (10), | ||
"dental services" means diagnostic, preventive, or corrective | ||
procedures provided by or under the supervision of a dentist in |
the practice of his or her profession; (11) physical therapy | ||
and related
services; (12) prescribed drugs, dentures, and | ||
prosthetic devices; and
eyeglasses prescribed by a physician | ||
skilled in the diseases of the eye,
or by an optometrist, | ||
whichever the person may select; (13) other
diagnostic, | ||
screening, preventive, and rehabilitative services, including | ||
to ensure that the individual's need for intervention or | ||
treatment of mental disorders or substance use disorders or | ||
co-occurring mental health and substance use disorders is | ||
determined using a uniform screening, assessment, and | ||
evaluation process inclusive of criteria, for children and | ||
adults; for purposes of this item (13), a uniform screening, | ||
assessment, and evaluation process refers to a process that | ||
includes an appropriate evaluation and, as warranted, a | ||
referral; "uniform" does not mean the use of a singular | ||
instrument, tool, or process that all must utilize; (14)
| ||
transportation and such other expenses as may be necessary; | ||
(15) medical
treatment of sexual assault survivors, as defined | ||
in
Section 1a of the Sexual Assault Survivors Emergency | ||
Treatment Act, for
injuries sustained as a result of the sexual | ||
assault, including
examinations and laboratory tests to | ||
discover evidence which may be used in
criminal proceedings | ||
arising from the sexual assault; (16) the
diagnosis and | ||
treatment of sickle cell anemia; and (17)
any other medical | ||
care, and any other type of remedial care recognized
under the | ||
laws of this State, but not including abortions, or induced
|
miscarriages or premature births, unless, in the opinion of a | ||
physician,
such procedures are necessary for the preservation | ||
of the life of the
woman seeking such treatment, or except an | ||
induced premature birth
intended to produce a live viable child | ||
and such procedure is necessary
for the health of the mother or | ||
her unborn child. The Illinois Department,
by rule, shall | ||
prohibit any physician from providing medical assistance
to | ||
anyone eligible therefor under this Code where such physician | ||
has been
found guilty of performing an abortion procedure in a | ||
wilful and wanton
manner upon a woman who was not pregnant at | ||
the time such abortion
procedure was performed. The term "any | ||
other type of remedial care" shall
include nursing care and | ||
nursing home service for persons who rely on
treatment by | ||
spiritual means alone through prayer for healing.
| ||
Notwithstanding any other provision of this Section, a | ||
comprehensive
tobacco use cessation program that includes | ||
purchasing prescription drugs or
prescription medical devices | ||
approved by the Food and Drug Administration shall
be covered | ||
under the medical assistance
program under this Article for | ||
persons who are otherwise eligible for
assistance under this | ||
Article.
| ||
Notwithstanding any other provision of this Code, the | ||
Illinois
Department may not require, as a condition of payment | ||
for any laboratory
test authorized under this Article, that a | ||
physician's handwritten signature
appear on the laboratory | ||
test order form. The Illinois Department may,
however, impose |
other appropriate requirements regarding laboratory test
order | ||
documentation.
| ||
On and after July 1, 2012, the Department of Healthcare and | ||
Family Services may provide the following services to
persons
| ||
eligible for assistance under this Article who are | ||
participating in
education, training or employment programs | ||
operated by the Department of Human
Services as successor to | ||
the Department of Public Aid:
| ||
(1) dental services provided by or under the | ||
supervision of a dentist; and
| ||
(2) eyeglasses prescribed by a physician skilled in the | ||
diseases of the
eye, or by an optometrist, whichever the | ||
person may select.
| ||
Notwithstanding any other provision of this Code and | ||
subject to federal approval, the Department may adopt rules to | ||
allow a dentist who is volunteering his or her service at no | ||
cost to render dental services through an enrolled | ||
not-for-profit health clinic without the dentist personally | ||
enrolling as a participating provider in the medical assistance | ||
program. A not-for-profit health clinic shall include a public | ||
health clinic or Federally Qualified Health Center or other | ||
enrolled provider, as determined by the Department, through | ||
which dental services covered under this Section are performed. | ||
The Department shall establish a process for payment of claims | ||
for reimbursement for covered dental services rendered under | ||
this provision. |
The Illinois Department, by rule, may distinguish and | ||
classify the
medical services to be provided only in accordance | ||
with the classes of
persons designated in Section 5-2.
| ||
The Department of Healthcare and Family Services must | ||
provide coverage and reimbursement for amino acid-based | ||
elemental formulas, regardless of delivery method, for the | ||
diagnosis and treatment of (i) eosinophilic disorders and (ii) | ||
short bowel syndrome when the prescribing physician has issued | ||
a written order stating that the amino acid-based elemental | ||
formula is medically necessary.
| ||
The Illinois Department shall authorize the provision of, | ||
and shall
authorize payment for, screening by low-dose | ||
mammography for the presence of
occult breast cancer for women | ||
35 years of age or older who are eligible
for medical | ||
assistance under this Article, as follows: | ||
(A) A baseline
mammogram for women 35 to 39 years of | ||
age.
| ||
(B) An annual mammogram for women 40 years of age or | ||
older. | ||
(C) A mammogram at the age and intervals considered | ||
medically necessary by the woman's health care provider for | ||
women under 40 years of age and having a family history of | ||
breast cancer, prior personal history of breast cancer, | ||
positive genetic testing, or other risk factors. | ||
(D) A comprehensive ultrasound screening of an entire | ||
breast or breasts if a mammogram demonstrates |
heterogeneous or dense breast tissue, when medically | ||
necessary as determined by a physician licensed to practice | ||
medicine in all of its branches. | ||
All screenings
shall
include a physical breast exam, | ||
instruction on self-examination and
information regarding the | ||
frequency of self-examination and its value as a
preventative | ||
tool. For purposes of this Section, "low-dose mammography" | ||
means
the x-ray examination of the breast using equipment | ||
dedicated specifically
for mammography, including the x-ray | ||
tube, filter, compression device,
and image receptor, with an | ||
average radiation exposure delivery
of less than one rad per | ||
breast for 2 views of an average size breast.
The term also | ||
includes digital mammography.
| ||
On and after January 1, 2012, providers participating in a | ||
quality improvement program approved by the Department shall be | ||
reimbursed for screening and diagnostic mammography at the same | ||
rate as the Medicare program's rates, including the increased | ||
reimbursement for digital mammography. | ||
The Department shall convene an expert panel including | ||
representatives of hospitals, free-standing mammography | ||
facilities, and doctors, including radiologists, to establish | ||
quality standards. | ||
Subject to federal approval, the Department shall | ||
establish a rate methodology for mammography at federally | ||
qualified health centers and other encounter-rate clinics. | ||
These clinics or centers may also collaborate with other |
hospital-based mammography facilities. | ||
The Department shall establish a methodology to remind | ||
women who are age-appropriate for screening mammography, but | ||
who have not received a mammogram within the previous 18 | ||
months, of the importance and benefit of screening mammography. | ||
The Department shall establish a performance goal for | ||
primary care providers with respect to their female patients | ||
over age 40 receiving an annual mammogram. This performance | ||
goal shall be used to provide additional reimbursement in the | ||
form of a quality performance bonus to primary care providers | ||
who meet that goal. | ||
The Department shall devise a means of case-managing or | ||
patient navigation for beneficiaries diagnosed with breast | ||
cancer. This program shall initially operate as a pilot program | ||
in areas of the State with the highest incidence of mortality | ||
related to breast cancer. At least one pilot program site shall | ||
be in the metropolitan Chicago area and at least one site shall | ||
be outside the metropolitan Chicago area. An evaluation of the | ||
pilot program shall be carried out measuring health outcomes | ||
and cost of care for those served by the pilot program compared | ||
to similarly situated patients who are not served by the pilot | ||
program. | ||
Any medical or health care provider shall immediately | ||
recommend, to
any pregnant woman who is being provided prenatal | ||
services and is suspected
of drug abuse or is addicted as | ||
defined in the Alcoholism and Other Drug Abuse
and Dependency |
Act, referral to a local substance abuse treatment provider
| ||
licensed by the Department of Human Services or to a licensed
| ||
hospital which provides substance abuse treatment services. | ||
The Department of Healthcare and Family Services
shall assure | ||
coverage for the cost of treatment of the drug abuse or
| ||
addiction for pregnant recipients in accordance with the | ||
Illinois Medicaid
Program in conjunction with the Department of | ||
Human Services.
| ||
All medical providers providing medical assistance to | ||
pregnant women
under this Code shall receive information from | ||
the Department on the
availability of services under the Drug | ||
Free Families with a Future or any
comparable program providing | ||
case management services for addicted women,
including | ||
information on appropriate referrals for other social services
| ||
that may be needed by addicted women in addition to treatment | ||
for addiction.
| ||
The Illinois Department, in cooperation with the | ||
Departments of Human
Services (as successor to the Department | ||
of Alcoholism and Substance
Abuse) and Public Health, through a | ||
public awareness campaign, may
provide information concerning | ||
treatment for alcoholism and drug abuse and
addiction, prenatal | ||
health care, and other pertinent programs directed at
reducing | ||
the number of drug-affected infants born to recipients of | ||
medical
assistance.
| ||
Neither the Department of Healthcare and Family Services | ||
nor the Department of Human
Services shall sanction the |
recipient solely on the basis of
her substance abuse.
| ||
The Illinois Department shall establish such regulations | ||
governing
the dispensing of health services under this Article | ||
as it shall deem
appropriate. The Department
should
seek the | ||
advice of formal professional advisory committees appointed by
| ||
the Director of the Illinois Department for the purpose of | ||
providing regular
advice on policy and administrative matters, | ||
information dissemination and
educational activities for | ||
medical and health care providers, and
consistency in | ||
procedures to the Illinois Department.
| ||
The Illinois Department may develop and contract with | ||
Partnerships of
medical providers to arrange medical services | ||
for persons eligible under
Section 5-2 of this Code. | ||
Implementation of this Section may be by
demonstration projects | ||
in certain geographic areas. The Partnership shall
be | ||
represented by a sponsor organization. The Department, by rule, | ||
shall
develop qualifications for sponsors of Partnerships. | ||
Nothing in this
Section shall be construed to require that the | ||
sponsor organization be a
medical organization.
| ||
The sponsor must negotiate formal written contracts with | ||
medical
providers for physician services, inpatient and | ||
outpatient hospital care,
home health services, treatment for | ||
alcoholism and substance abuse, and
other services determined | ||
necessary by the Illinois Department by rule for
delivery by | ||
Partnerships. Physician services must include prenatal and
| ||
obstetrical care. The Illinois Department shall reimburse |
medical services
delivered by Partnership providers to clients | ||
in target areas according to
provisions of this Article and the | ||
Illinois Health Finance Reform Act,
except that:
| ||
(1) Physicians participating in a Partnership and | ||
providing certain
services, which shall be determined by | ||
the Illinois Department, to persons
in areas covered by the | ||
Partnership may receive an additional surcharge
for such | ||
services.
| ||
(2) The Department may elect to consider and negotiate | ||
financial
incentives to encourage the development of | ||
Partnerships and the efficient
delivery of medical care.
| ||
(3) Persons receiving medical services through | ||
Partnerships may receive
medical and case management | ||
services above the level usually offered
through the | ||
medical assistance program.
| ||
Medical providers shall be required to meet certain | ||
qualifications to
participate in Partnerships to ensure the | ||
delivery of high quality medical
services. These | ||
qualifications shall be determined by rule of the Illinois
| ||
Department and may be higher than qualifications for | ||
participation in the
medical assistance program. Partnership | ||
sponsors may prescribe reasonable
additional qualifications | ||
for participation by medical providers, only with
the prior | ||
written approval of the Illinois Department.
| ||
Nothing in this Section shall limit the free choice of | ||
practitioners,
hospitals, and other providers of medical |
services by clients.
In order to ensure patient freedom of | ||
choice, the Illinois Department shall
immediately promulgate | ||
all rules and take all other necessary actions so that
provided | ||
services may be accessed from therapeutically certified | ||
optometrists
to the full extent of the Illinois Optometric | ||
Practice Act of 1987 without
discriminating between service | ||
providers.
| ||
The Department shall apply for a waiver from the United | ||
States Health
Care Financing Administration to allow for the | ||
implementation of
Partnerships under this Section.
| ||
The Illinois Department shall require health care | ||
providers to maintain
records that document the medical care | ||
and services provided to recipients
of Medical Assistance under | ||
this Article. Such records must be retained for a period of not | ||
less than 6 years from the date of service or as provided by | ||
applicable State law, whichever period is longer, except that | ||
if an audit is initiated within the required retention period | ||
then the records must be retained until the audit is completed | ||
and every exception is resolved. The Illinois Department shall
| ||
require health care providers to make available, when | ||
authorized by the
patient, in writing, the medical records in a | ||
timely fashion to other
health care providers who are treating | ||
or serving persons eligible for
Medical Assistance under this | ||
Article. All dispensers of medical services
shall be required | ||
to maintain and retain business and professional records
| ||
sufficient to fully and accurately document the nature, scope, |
details and
receipt of the health care provided to persons | ||
eligible for medical
assistance under this Code, in accordance | ||
with regulations promulgated by
the Illinois Department. The | ||
rules and regulations shall require that proof
of the receipt | ||
of prescription drugs, dentures, prosthetic devices and
| ||
eyeglasses by eligible persons under this Section accompany | ||
each claim
for reimbursement submitted by the dispenser of such | ||
medical services.
No such claims for reimbursement shall be | ||
approved for payment by the Illinois
Department without such | ||
proof of receipt, unless the Illinois Department
shall have put | ||
into effect and shall be operating a system of post-payment
| ||
audit and review which shall, on a sampling basis, be deemed | ||
adequate by
the Illinois Department to assure that such drugs, | ||
dentures, prosthetic
devices and eyeglasses for which payment | ||
is being made are actually being
received by eligible | ||
recipients. Within 90 days after the effective date of
this | ||
amendatory Act of 1984, the Illinois Department shall establish | ||
a
current list of acquisition costs for all prosthetic devices | ||
and any
other items recognized as medical equipment and | ||
supplies reimbursable under
this Article and shall update such | ||
list on a quarterly basis, except that
the acquisition costs of | ||
all prescription drugs shall be updated no
less frequently than | ||
every 30 days as required by Section 5-5.12.
| ||
The rules and regulations of the Illinois Department shall | ||
require
that a written statement including the required opinion | ||
of a physician
shall accompany any claim for reimbursement for |
abortions, or induced
miscarriages or premature births. This | ||
statement shall indicate what
procedures were used in providing | ||
such medical services.
| ||
The Illinois Department shall require all dispensers of | ||
medical
services, other than an individual practitioner or | ||
group of practitioners,
desiring to participate in the Medical | ||
Assistance program
established under this Article to disclose | ||
all financial, beneficial,
ownership, equity, surety or other | ||
interests in any and all firms,
corporations, partnerships, | ||
associations, business enterprises, joint
ventures, agencies, | ||
institutions or other legal entities providing any
form of | ||
health care services in this State under this Article.
| ||
The Illinois Department may require that all dispensers of | ||
medical
services desiring to participate in the medical | ||
assistance program
established under this Article disclose, | ||
under such terms and conditions as
the Illinois Department may | ||
by rule establish, all inquiries from clients
and attorneys | ||
regarding medical bills paid by the Illinois Department, which
| ||
inquiries could indicate potential existence of claims or liens | ||
for the
Illinois Department.
| ||
Enrollment of a vendor
shall be
subject to a provisional | ||
period and shall be conditional for one year. During the period | ||
of conditional enrollment, the Department may
terminate the | ||
vendor's eligibility to participate in, or may disenroll the | ||
vendor from, the medical assistance
program without cause. | ||
Unless otherwise specified, such termination of eligibility or |
disenrollment is not subject to the
Department's hearing | ||
process.
However, a disenrolled vendor may reapply without | ||
penalty.
| ||
The Department has the discretion to limit the conditional | ||
enrollment period for vendors based upon category of risk of | ||
the vendor. | ||
Prior to enrollment and during the conditional enrollment | ||
period in the medical assistance program, all vendors shall be | ||
subject to enhanced oversight, screening, and review based on | ||
the risk of fraud, waste, and abuse that is posed by the | ||
category of risk of the vendor. The Illinois Department shall | ||
establish the procedures for oversight, screening, and review, | ||
which may include, but need not be limited to: criminal and | ||
financial background checks; fingerprinting; license, | ||
certification, and authorization verifications; unscheduled or | ||
unannounced site visits; database checks; prepayment audit | ||
reviews; audits; payment caps; payment suspensions; and other | ||
screening as required by federal or State law. | ||
The Department shall define or specify the following: (i) | ||
by provider notice, the "category of risk of the vendor" for | ||
each type of vendor, which shall take into account the level of | ||
screening applicable to a particular category of vendor under | ||
federal law and regulations; (ii) by rule or provider notice, | ||
the maximum length of the conditional enrollment period for | ||
each category of risk of the vendor; and (iii) by rule, the | ||
hearing rights, if any, afforded to a vendor in each category |
of risk of the vendor that is terminated or disenrolled during | ||
the conditional enrollment period. | ||
To be eligible for payment consideration, a vendor's | ||
payment claim or bill, either as an initial claim or as a | ||
resubmitted claim following prior rejection, must be received | ||
by the Illinois Department, or its fiscal intermediary, no | ||
later than 180 days after the latest date on the claim on which | ||
medical goods or services were provided, with the following | ||
exceptions: | ||
(1) In the case of a provider whose enrollment is in | ||
process by the Illinois Department, the 180-day period | ||
shall not begin until the date on the written notice from | ||
the Illinois Department that the provider enrollment is | ||
complete. | ||
(2) In the case of errors attributable to the Illinois | ||
Department or any of its claims processing intermediaries | ||
which result in an inability to receive, process, or | ||
adjudicate a claim, the 180-day period shall not begin | ||
until the provider has been notified of the error. | ||
(3) In the case of a provider for whom the Illinois | ||
Department initiates the monthly billing process. | ||
For claims for services rendered during a period for which | ||
a recipient received retroactive eligibility, claims must be | ||
filed within 180 days after the Department determines the | ||
applicant is eligible. For claims for which the Illinois | ||
Department is not the primary payer, claims must be submitted |
to the Illinois Department within 180 days after the final | ||
adjudication by the primary payer. | ||
In the case of long term care facilities, admission | ||
documents shall be submitted within 30 days of an admission to | ||
the facility through the Medical Electronic Data Interchange | ||
(MEDI) or the Recipient Eligibility Verification (REV) System, | ||
or shall be submitted directly to the Department of Human | ||
Services using required admission forms. Confirmation numbers | ||
assigned to an accepted transaction shall be retained by a | ||
facility to verify timely submittal. Once an admission | ||
transaction has been completed, all resubmitted claims | ||
following prior rejection are subject to receipt no later than | ||
180 days after the admission transaction has been completed. | ||
Claims that are not submitted and received in compliance | ||
with the foregoing requirements shall not be eligible for | ||
payment under the medical assistance program, and the State | ||
shall have no liability for payment of those claims. | ||
To the extent consistent with applicable information and | ||
privacy, security, and disclosure laws, State and federal | ||
agencies and departments shall provide the Illinois Department | ||
access to confidential and other information and data necessary | ||
to perform eligibility and payment verifications and other | ||
Illinois Department functions. This includes, but is not | ||
limited to: information pertaining to licensure; | ||
certification; earnings; immigration status; citizenship; wage | ||
reporting; unearned and earned income; pension income; |
employment; supplemental security income; social security | ||
numbers; National Provider Identifier (NPI) numbers; the | ||
National Practitioner Data Bank (NPDB); program and agency | ||
exclusions; taxpayer identification numbers; tax delinquency; | ||
corporate information; and death records. | ||
The Illinois Department shall enter into agreements with | ||
State agencies and departments, and is authorized to enter into | ||
agreements with federal agencies and departments, under which | ||
such agencies and departments shall share data necessary for | ||
medical assistance program integrity functions and oversight. | ||
The Illinois Department shall develop, in cooperation with | ||
other State departments and agencies, and in compliance with | ||
applicable federal laws and regulations, appropriate and | ||
effective methods to share such data. At a minimum, and to the | ||
extent necessary to provide data sharing, the Illinois | ||
Department shall enter into agreements with State agencies and | ||
departments, and is authorized to enter into agreements with | ||
federal agencies and departments, including but not limited to: | ||
the Secretary of State; the Department of Revenue; the | ||
Department of Public Health; the Department of Human Services; | ||
and the Department of Financial and Professional Regulation. | ||
Beginning in fiscal year 2013, the Illinois Department | ||
shall set forth a request for information to identify the | ||
benefits of a pre-payment, post-adjudication, and post-edit | ||
claims system with the goals of streamlining claims processing | ||
and provider reimbursement, reducing the number of pending or |
rejected claims, and helping to ensure a more transparent | ||
adjudication process through the utilization of: (i) provider | ||
data verification and provider screening technology; and (ii) | ||
clinical code editing; and (iii) pre-pay, pre- or | ||
post-adjudicated predictive modeling with an integrated case | ||
management system with link analysis. Such a request for | ||
information shall not be considered as a request for proposal | ||
or as an obligation on the part of the Illinois Department to | ||
take any action or acquire any products or services. | ||
The Illinois Department shall establish policies, | ||
procedures,
standards and criteria by rule for the acquisition, | ||
repair and replacement
of orthotic and prosthetic devices and | ||
durable medical equipment. Such
rules shall provide, but not be | ||
limited to, the following services: (1)
immediate repair or | ||
replacement of such devices by recipients; and (2) rental, | ||
lease, purchase or lease-purchase of
durable medical equipment | ||
in a cost-effective manner, taking into
consideration the | ||
recipient's medical prognosis, the extent of the
recipient's | ||
needs, and the requirements and costs for maintaining such
| ||
equipment. Subject to prior approval, such rules shall enable a | ||
recipient to temporarily acquire and
use alternative or | ||
substitute devices or equipment pending repairs or
| ||
replacements of any device or equipment previously authorized | ||
for such
recipient by the Department.
| ||
The Department shall execute, relative to the nursing home | ||
prescreening
project, written inter-agency agreements with the |
Department of Human
Services and the Department on Aging, to | ||
effect the following: (i) intake
procedures and common | ||
eligibility criteria for those persons who are receiving
| ||
non-institutional services; and (ii) the establishment and | ||
development of
non-institutional services in areas of the State | ||
where they are not currently
available or are undeveloped; and | ||
(iii) notwithstanding any other provision of law, subject to | ||
federal approval, on and after July 1, 2012, an increase in the | ||
determination of need (DON) scores from 29 to 37 for applicants | ||
for institutional and home and community-based long term care; | ||
if and only if federal approval is not granted, the Department | ||
may, in conjunction with other affected agencies, implement | ||
utilization controls or changes in benefit packages to | ||
effectuate a similar savings amount for this population; and | ||
(iv) no later than July 1, 2013, minimum level of care | ||
eligibility criteria for institutional and home and | ||
community-based long term care. In order to select the minimum | ||
level of care eligibility criteria, the Governor shall | ||
establish a workgroup that includes affected agency | ||
representatives and stakeholders representing the | ||
institutional and home and community-based long term care | ||
interests. This Section shall not restrict the Department from | ||
implementing lower level of care eligibility criteria for | ||
community-based services in circumstances where federal | ||
approval has been granted.
| ||
The Illinois Department shall develop and operate, in |
cooperation
with other State Departments and agencies and in | ||
compliance with
applicable federal laws and regulations, | ||
appropriate and effective
systems of health care evaluation and | ||
programs for monitoring of
utilization of health care services | ||
and facilities, as it affects
persons eligible for medical | ||
assistance under this Code.
| ||
The Illinois Department shall report annually to the | ||
General Assembly,
no later than the second Friday in April of | ||
1979 and each year
thereafter, in regard to:
| ||
(a) actual statistics and trends in utilization of | ||
medical services by
public aid recipients;
| ||
(b) actual statistics and trends in the provision of | ||
the various medical
services by medical vendors;
| ||
(c) current rate structures and proposed changes in | ||
those rate structures
for the various medical vendors; and
| ||
(d) efforts at utilization review and control by the | ||
Illinois Department.
| ||
The period covered by each report shall be the 3 years | ||
ending on the June
30 prior to the report. The report shall | ||
include suggested legislation
for consideration by the General | ||
Assembly. The filing of one copy of the
report with the | ||
Speaker, one copy with the Minority Leader and one copy
with | ||
the Clerk of the House of Representatives, one copy with the | ||
President,
one copy with the Minority Leader and one copy with | ||
the Secretary of the
Senate, one copy with the Legislative | ||
Research Unit, and such additional
copies
with the State |
Government Report Distribution Center for the General
Assembly | ||
as is required under paragraph (t) of Section 7 of the State
| ||
Library Act shall be deemed sufficient to comply with this | ||
Section.
| ||
Rulemaking authority to implement Public Act 95-1045, if | ||
any, is conditioned on the rules being adopted in accordance | ||
with all provisions of the Illinois Administrative Procedure | ||
Act and all rules and procedures of the Joint Committee on | ||
Administrative Rules; any purported rule not so adopted, for | ||
whatever reason, is unauthorized. | ||
On and after July 1, 2012, the Department shall reduce any | ||
rate of reimbursement for services or other payments or alter | ||
any methodologies authorized by this Code to reduce any rate of | ||
reimbursement for services or other payments in accordance with | ||
Section 5-5e. | ||
(Source: P.A. 96-156, eff. 1-1-10; 96-806, eff. 7-1-10; 96-926, | ||
eff. 1-1-11; 96-1000, eff. 7-2-10; 97-48, eff. 6-28-11; 97-638, | ||
eff. 1-1-12; 97-689, eff. 6-14-12; 97-1061, eff. 8-24-12; | ||
revised 9-20-12.)
| ||
(305 ILCS 5/5-5.12) (from Ch. 23, par. 5-5.12)
| ||
Sec. 5-5.12. Pharmacy payments.
| ||
(a) Every request submitted by a pharmacy for reimbursement | ||
under this
Article for prescription drugs provided to a | ||
recipient of aid under this
Article shall include the name of | ||
the prescriber or an acceptable
identification number as |
established by the Department.
| ||
(b) Pharmacies providing prescription drugs under
this | ||
Article shall be reimbursed at a rate which shall include
a | ||
professional dispensing fee as determined by the Illinois
| ||
Department, plus the current acquisition cost of the | ||
prescription
drug dispensed. The Illinois Department shall | ||
update its
information on the acquisition costs of all | ||
prescription drugs
no less frequently than every 30 days. | ||
However, the Illinois
Department may set the rate of | ||
reimbursement for the acquisition
cost, by rule, at a | ||
percentage of the current average wholesale
acquisition cost.
| ||
(c) (Blank).
| ||
(d) The Department shall review utilization of narcotic | ||
medications in the medical assistance program and impose | ||
utilization controls that protect against abuse.
| ||
(e) When making determinations as to which drugs shall be | ||
on a prior approval list, the Department shall include as part | ||
of the analysis for this determination, the degree to which a | ||
drug may affect individuals in different ways based on factors | ||
including the gender of the person taking the medication. | ||
(f) The Department shall cooperate with the Department of | ||
Public Health and the Department of Human Services Division of | ||
Mental Health in identifying psychotropic medications that, | ||
when given in a particular form, manner, duration, or frequency | ||
(including "as needed") in a dosage, or in conjunction with | ||
other psychotropic medications to a nursing home resident or to |
a resident of a facility licensed under the ID/DD Community | ||
Care Act, may constitute a chemical restraint or an | ||
"unnecessary drug" as defined by the Nursing Home Care Act or | ||
Titles XVIII and XIX of the Social Security Act and the | ||
implementing rules and regulations. The Department shall | ||
require prior approval for any such medication prescribed for a | ||
nursing home resident or to a resident of a facility licensed | ||
under the ID/DD Community Care Act, that appears to be a | ||
chemical restraint or an unnecessary drug. The Department shall | ||
consult with the Department of Human Services Division of | ||
Mental Health in developing a protocol and criteria for | ||
deciding whether to grant such prior approval. | ||
(g) The Department may by rule provide for reimbursement of | ||
the dispensing of a 90-day supply of a generic or brand name, | ||
non-narcotic maintenance medication in circumstances where it | ||
is cost effective. | ||
(g-5) On and after July 1, 2012, the Department may require | ||
the dispensing of drugs to nursing home residents be in a 7-day | ||
supply or other amount less than a 31-day supply. The | ||
Department shall pay only one dispensing fee per 31-day supply. | ||
(h) Effective July 1, 2011, the Department shall | ||
discontinue coverage of select over-the-counter drugs, | ||
including analgesics and cough and cold and allergy | ||
medications. | ||
(h-5) On and after July 1, 2012, the Department shall | ||
impose utilization controls, including, but not limited to, |
prior approval on specialty drugs, oncolytic drugs, drugs for | ||
the treatment of HIV or AIDS, immunosuppressant drugs, and | ||
biological products in order to maximize savings on these | ||
drugs. The Department may adjust payment methodologies for | ||
non-pharmacy billed drugs in order to incentivize the selection | ||
of lower-cost drugs. For drugs for the treatment of AIDS, the | ||
Department shall take into consideration the potential for | ||
non-adherence by certain populations, and shall develop | ||
protocols with organizations or providers primarily serving | ||
those with HIV/AIDS, as long as such measures intend to | ||
maintain cost neutrality with other utilization management | ||
controls such as prior approval.
For hemophilia, the Department | ||
shall develop a program of utilization review and control which | ||
may include, in the discretion of the Department, prior | ||
approvals. The Department may impose special standards on | ||
providers that dispense blood factors which shall include, in | ||
the discretion of the Department, staff training and education; | ||
patient outreach and education; case management; in-home | ||
patient assessments; assay management; maintenance of stock; | ||
emergency dispensing timeframes; data collection and | ||
reporting; dispensing of supplies related to blood factor | ||
infusions; cold chain management and packaging practices; care | ||
coordination; product recalls; and emergency clinical | ||
consultation. The Department may require patients to receive a | ||
comprehensive examination annually at an appropriate provider | ||
in order to be eligible to continue to receive blood factor. |
(i) On and after July 1, 2012, the Department shall reduce | ||
any rate of reimbursement for services or other payments or | ||
alter any methodologies authorized by this Code to reduce any | ||
rate of reimbursement for services or other payments in | ||
accordance with Section 5-5e. | ||
(i) (Blank). | ||
(j) On and after July 1, 2012, the Department shall impose | ||
limitations on prescription drugs such that the Department | ||
shall not provide reimbursement for more than 4 prescriptions, | ||
including 3 brand name prescriptions, for distinct drugs in a | ||
30-day period, unless prior approval is received for all | ||
prescriptions in excess of the 4-prescription limit. Drugs in | ||
the following therapeutic classes shall not be subject to prior | ||
approval as a result of the 4-prescription limit: | ||
immunosuppressant drugs, oncolytic drugs, and anti-retroviral | ||
drugs. | ||
(k) No medication therapy management program implemented | ||
by the Department shall be contrary to the provisions of the | ||
Pharmacy Practice Act. | ||
(l) Any provider enrolled with the Department that bills | ||
the Department for outpatient drugs and is eligible to enroll | ||
in the federal Drug Pricing Program under Section 340B of the | ||
federal Public Health Services Act shall enroll in that | ||
program. No entity participating in the federal Drug Pricing | ||
Program under Section 340B of the federal Public Health | ||
Services Act may exclude Medicaid from their participation in |
that program, although the Department may exclude entities | ||
defined in Section 1905(l)(2)(B) of the Social Security Act | ||
from this requirement. | ||
(Source: P.A. 96-1269, eff. 7-26-10; 96-1372, eff. 7-29-10; | ||
96-1501, eff. 1-25-11; 97-38, eff. 6-28-11; 97-74, eff. | ||
6-30-11; 97-333, eff. 8-12-11; 97-426, eff. 1-1-12; 97-689, | ||
eff. 6-14-12; 97-813, eff. 7-13-12; revised 8-3-12.)
| ||
(305 ILCS 5/5A-5) (from Ch. 23, par. 5A-5) | ||
Sec. 5A-5. Notice; penalty; maintenance of records.
| ||
(a)
The Illinois Department shall send a
notice of | ||
assessment to every hospital provider subject
to assessment | ||
under this Article. The notice of assessment shall notify the | ||
hospital of its assessment and shall be sent after receipt by | ||
the Department of notification from the Centers for Medicare | ||
and Medicaid Services of the U.S. Department of Health and | ||
Human Services that the payment methodologies required under | ||
this Article and, if necessary, the waiver granted under 42 CFR | ||
433.68 have been approved. The notice
shall be on a form
| ||
prepared by the Illinois Department and shall state the | ||
following:
| ||
(1) The name of the hospital provider.
| ||
(2) The address of the hospital provider's principal | ||
place
of business from which the provider engages in the | ||
occupation of hospital
provider in this State, and the name | ||
and address of each hospital
operated, conducted, or |
maintained by the provider in this State.
| ||
(3) The occupied bed days, occupied bed days less | ||
Medicare days, adjusted gross hospital revenue, or | ||
outpatient gross revenue of the
hospital
provider | ||
(whichever is applicable), the amount of
assessment | ||
imposed under Section 5A-2 for the State fiscal year
for | ||
which the notice is sent, and the amount of
each
| ||
installment to be paid during the State fiscal year.
| ||
(4) (Blank).
| ||
(5) Other reasonable information as determined by the | ||
Illinois
Department.
| ||
(b) If a hospital provider conducts, operates, or
maintains | ||
more than one hospital licensed by the Illinois
Department of | ||
Public Health, the provider shall pay the
assessment for each | ||
hospital separately.
| ||
(c) Notwithstanding any other provision in this Article, in
| ||
the case of a person who ceases to conduct, operate, or | ||
maintain a
hospital in respect of which the person is subject | ||
to assessment
under this Article as a hospital provider, the | ||
assessment for the State
fiscal year in which the cessation | ||
occurs shall be adjusted by
multiplying the assessment computed | ||
under Section 5A-2 by a
fraction, the numerator of which is the | ||
number of days in the
year during which the provider conducts, | ||
operates, or maintains
the hospital and the denominator of | ||
which is 365. Immediately
upon ceasing to conduct, operate, or | ||
maintain a hospital, the person
shall pay the assessment
for |
the year as so adjusted (to the extent not previously paid).
| ||
(d) Notwithstanding any other provision in this Article, a
| ||
provider who commences conducting, operating, or maintaining a
| ||
hospital, upon notice by the Illinois Department,
shall pay the | ||
assessment computed under Section 5A-2 and
subsection (e) in | ||
installments on the due dates stated in the
notice and on the | ||
regular installment due dates for the State
fiscal year | ||
occurring after the due dates of the initial
notice.
| ||
(e)
Notwithstanding any other provision in this Article, | ||
for State fiscal years 2009 through 2014 2015 , in the case of a | ||
hospital provider that did not conduct, operate, or maintain a | ||
hospital in 2005, the assessment for that State fiscal year | ||
shall be computed on the basis of hypothetical occupied bed | ||
days for the full calendar year as determined by the Illinois | ||
Department. Notwithstanding any other provision in this | ||
Article, for State fiscal years 2013 through 2014, and for July | ||
1, 2014 through December 31, 2014, in the case of a hospital | ||
provider that did not conduct, operate, or maintain a hospital | ||
in 2009, the assessment under subsection (b-5) of Section 5A-2 | ||
for that State fiscal year shall be computed on the basis of | ||
hypothetical gross outpatient revenue for the full calendar | ||
year as determined by the Illinois Department.
| ||
(f) Every hospital provider subject to assessment under | ||
this Article shall keep sufficient records to permit the | ||
determination of adjusted gross hospital revenue for the | ||
hospital's fiscal year. All such records shall be kept in the |
English language and shall, at all times during regular | ||
business hours of the day, be subject to inspection by the | ||
Illinois Department or its duly authorized agents and | ||
employees.
| ||
(g) The Illinois Department may, by rule, provide a | ||
hospital provider a reasonable opportunity to request a | ||
clarification or correction of any clerical or computational | ||
errors contained in the calculation of its assessment, but such | ||
corrections shall not extend to updating the cost report | ||
information used to calculate the assessment.
| ||
(h) (Blank).
| ||
(Source: P.A. 96-1530, eff. 2-16-11; 97-688, eff. 6-14-12; | ||
97-689, eff. 6-14-12; revised 10-17-12.)
| ||
(305 ILCS 5/5A-8) (from Ch. 23, par. 5A-8)
| ||
Sec. 5A-8. Hospital Provider Fund.
| ||
(a) There is created in the State Treasury the Hospital | ||
Provider Fund.
Interest earned by the Fund shall be credited to | ||
the Fund. The
Fund shall not be used to replace any moneys | ||
appropriated to the
Medicaid program by the General Assembly.
| ||
(b) The Fund is created for the purpose of receiving moneys
| ||
in accordance with Section 5A-6 and disbursing moneys only for | ||
the following
purposes, notwithstanding any other provision of | ||
law:
| ||
(1) For making payments to hospitals as required under | ||
this Code, under the Children's Health Insurance Program |
Act, under the Covering ALL KIDS Health Insurance Act, and | ||
under the Long Term Acute Care Hospital Quality Improvement | ||
Transfer Program Act.
| ||
(2) For the reimbursement of moneys collected by the
| ||
Illinois Department from hospitals or hospital providers | ||
through error or
mistake in performing the
activities | ||
authorized under this Code.
| ||
(3) For payment of administrative expenses incurred by | ||
the
Illinois Department or its agent in performing | ||
activities
under this Code, under the Children's Health | ||
Insurance Program Act, under the Covering ALL KIDS Health | ||
Insurance Act, and under the Long Term Acute Care Hospital | ||
Quality Improvement Transfer Program Act.
| ||
(4) For payments of any amounts which are reimbursable | ||
to
the federal government for payments from this Fund which | ||
are
required to be paid by State warrant.
| ||
(5) For making transfers, as those transfers are | ||
authorized
in the proceedings authorizing debt under the | ||
Short Term Borrowing Act,
but transfers made under this | ||
paragraph (5) shall not exceed the
principal amount of debt | ||
issued in anticipation of the receipt by
the State of | ||
moneys to be deposited into the Fund.
| ||
(6) For making transfers to any other fund in the State | ||
treasury, but
transfers made under this paragraph (6) shall | ||
not exceed the amount transferred
previously from that | ||
other fund into the Hospital Provider Fund plus any |
interest that would have been earned by that fund on the | ||
monies that had been transferred.
| ||
(6.5) For making transfers to the Healthcare Provider | ||
Relief Fund, except that transfers made under this | ||
paragraph (6.5) shall not exceed $60,000,000 in the | ||
aggregate. | ||
(7) For making transfers not exceeding the following | ||
amounts, in State fiscal years 2013 and 2014 in each State | ||
fiscal year during which an assessment is imposed pursuant | ||
to Section 5A-2 , to the following designated funds: | ||
Health and Human Services Medicaid Trust | ||
Fund ..............................$20,000,000 | ||
Long-Term Care Provider Fund ..........$30,000,000 | ||
General Revenue Fund .................$80,000,000. | ||
Transfers under this paragraph shall be made within 7 days | ||
after the payments have been received pursuant to the | ||
schedule of payments provided in subsection (a) of Section | ||
5A-4. | ||
(7.1) For making transfers not exceeding the following | ||
amounts, in State fiscal year 2015, to the following | ||
designated funds: | ||
Health and Human Services Medicaid Trust | ||
Fund ..............................$10,000,000 | ||
Long-Term Care Provider Fund ..........$15,000,000 | ||
General Revenue Fund .................$40,000,000. | ||
Transfers under this paragraph shall be made within 7 days |
after the payments have been received pursuant to the | ||
schedule of payments provided in subsection (a) of Section | ||
5A-4.
| ||
(7.5) (Blank). | ||
(7.8) (Blank). | ||
(7.9) (Blank). | ||
(7.10) For State fiscal years 2013 and 2014, for making | ||
transfers of the moneys resulting from the assessment under | ||
subsection (b-5) of Section 5A-2 and received from hospital | ||
providers under Section 5A-4 and transferred into the | ||
Hospital Provider Fund under Section 5A-6 to the designated | ||
funds not exceeding the following amounts in that State | ||
fiscal year: | ||
Health Care Provider Relief Fund ......$50,000,000 | ||
Transfers under this paragraph shall be made within 7 | ||
days after the payments have been received pursuant to the | ||
schedule of payments provided in subsection (a) of Section | ||
5A-4. | ||
(7.11) For State fiscal year 2015, for making transfers | ||
of the moneys resulting from the assessment under | ||
subsection (b-5) of Section 5A-2 and received from hospital | ||
providers under Section 5A-4 and transferred into the | ||
Hospital Provider Fund under Section 5A-6 to the designated | ||
funds not exceeding the following amounts in that State | ||
fiscal year: | ||
Health Care Provider Relief Fund .....$25,000,000 |
Transfers under this paragraph shall be made within 7 | ||
days after the payments have been received pursuant to the | ||
schedule of payments provided in subsection (a) of Section | ||
5A-4. | ||
(8) For making refunds to hospital providers pursuant | ||
to Section 5A-10.
| ||
Disbursements from the Fund, other than transfers | ||
authorized under
paragraphs (5) and (6) of this subsection, | ||
shall be by
warrants drawn by the State Comptroller upon | ||
receipt of vouchers
duly executed and certified by the Illinois | ||
Department.
| ||
(c) The Fund shall consist of the following:
| ||
(1) All moneys collected or received by the Illinois
| ||
Department from the hospital provider assessment imposed | ||
by this
Article.
| ||
(2) All federal matching funds received by the Illinois
| ||
Department as a result of expenditures made by the Illinois
| ||
Department that are attributable to moneys deposited in the | ||
Fund.
| ||
(3) Any interest or penalty levied in conjunction with | ||
the
administration of this Article.
| ||
(4) Moneys transferred from another fund in the State | ||
treasury.
| ||
(5) All other moneys received for the Fund from any | ||
other
source, including interest earned thereon.
| ||
(d) (Blank).
|
(Source: P.A. 96-3, eff. 2-27-09; 96-45, eff. 7-15-09; 96-821, | ||
eff. 11-20-09; 96-1530, eff. 2-16-11; 97-688, eff. 6-14-12; | ||
97-689, eff. 6-14-12; revised 10-17-12.)
| ||
(305 ILCS 5/5A-10) (from Ch. 23, par. 5A-10)
| ||
Sec. 5A-10. Applicability.
| ||
(a) The assessment imposed by subsection (a) of Section | ||
5A-2 shall cease to be imposed and the Department's obligation | ||
to make payments shall immediately cease, and
any moneys
| ||
remaining in the Fund shall be refunded to hospital providers
| ||
in proportion to the amounts paid by them, if:
| ||
(1) The payments to hospitals required under this | ||
Article are not eligible for federal matching funds under | ||
Title XIX or XXI of the Social Security Act;
| ||
(2) For State fiscal years 2009 through 2014, and July | ||
1, 2014 through December 31, 2014, the
Department of | ||
Healthcare and Family Services adopts any administrative | ||
rule change to reduce payment rates or alters any payment | ||
methodology that reduces any payment rates made to | ||
operating hospitals under the approved Title XIX or Title | ||
XXI State plan in effect January 1, 2008 except for: | ||
(A) any changes for hospitals described in | ||
subsection (b) of Section 5A-3; | ||
(B) any rates for payments made under this Article | ||
V-A; | ||
(C) any changes proposed in State plan amendment |
transmittal numbers 08-01, 08-02, 08-04, 08-06, and | ||
08-07; | ||
(D) in relation to any admissions on or after | ||
January 1, 2011, a modification in the methodology for | ||
calculating outlier payments to hospitals for | ||
exceptionally costly stays, for hospitals reimbursed | ||
under the diagnosis-related grouping methodology in | ||
effect on July 1, 2011 January 1, 2011 ; provided that | ||
the Department shall be limited to one such | ||
modification during the 36-month period after the | ||
effective date of this amendatory Act of the 96th | ||
General Assembly; or | ||
(E) any changes affecting hospitals authorized by | ||
Public Act 97-689 this amendatory Act of the 97th | ||
General Assembly .
| ||
(b) The assessment imposed by Section 5A-2 shall not take | ||
effect or
shall
cease to be imposed, and the Department's | ||
obligation to make payments shall immediately cease, if the | ||
assessment is determined to be an impermissible
tax under Title | ||
XIX
of the Social Security Act. Moneys in the Hospital Provider | ||
Fund derived
from assessments imposed prior thereto shall be
| ||
disbursed in accordance with Section 5A-8 to the extent federal | ||
financial participation is
not reduced due to the | ||
impermissibility of the assessments, and any
remaining
moneys | ||
shall be
refunded to hospital providers in proportion to the | ||
amounts paid by them.
|
(c) The assessments imposed by subsection (b-5) of Section | ||
5A-2 shall not take effect or shall cease to be imposed, the | ||
Department's obligation to make payments shall immediately | ||
cease, and any moneys remaining in the Fund shall be refunded | ||
to hospital providers in proportion to the amounts paid by | ||
them, if the payments to hospitals required under Section | ||
5A-12.4 are not eligible for federal matching funds under Title | ||
XIX of the Social Security Act. | ||
(d) The assessments imposed by Section 5A-2 shall not take | ||
effect or shall cease to be imposed, the Department's | ||
obligation to make payments shall immediately cease, and any | ||
moneys remaining in the Fund shall be refunded to hospital | ||
providers in proportion to the amounts paid by them, if: | ||
(1) for State fiscal years 2013 through 2014, and July | ||
1, 2014 through December 31, 2014, the Department reduces | ||
any payment rates to hospitals as in effect on May 1, 2012, | ||
or alters any payment methodology as in effect on May 1, | ||
2012, that has the effect of reducing payment rates to | ||
hospitals, except for any changes affecting hospitals | ||
authorized in Public Act 97-689 Senate Bill 2840 of the | ||
97th General Assembly in the form in which it becomes law , | ||
and except for any changes authorized under Section 5A-15; | ||
or | ||
(2) for State fiscal years 2013 through 2014, and July | ||
1, 2014 through December 31, 2014, the Department reduces | ||
any supplemental payments made to hospitals below the |
amounts paid for services provided in State fiscal year | ||
2011 as implemented by administrative rules adopted and in | ||
effect on or prior to June 30, 2011, except for any changes | ||
affecting hospitals authorized in Public Act 97-689 Senate | ||
Bill 2840 of the 97th General Assembly in the form in which | ||
it becomes law , and except for any changes authorized under | ||
Section 5A-15. | ||
(Source: P.A. 96-8, eff. 4-28-09; 96-1530, eff. 2-16-11; 97-72, | ||
eff. 7-1-11; 97-74, eff. 6-30-11; 97-688, eff. 6-14-12; 97-689, | ||
eff. 6-14-12; revised 10-17-12.)
| ||
(305 ILCS 5/5A-12.4) | ||
(Section scheduled to be repealed on January 1, 2015) | ||
Sec. 5A-12.4. Hospital access improvement payments on or | ||
after July 1, 2012. | ||
(a) Hospital access improvement payments. To preserve and | ||
improve access to hospital services, for hospital and physician | ||
services rendered on or after July 1, 2012, the Illinois | ||
Department shall, except for hospitals described in subsection | ||
(b) of Section 5A-3, make payments to hospitals as set forth in | ||
this Section. These payments shall be paid in 12 equal | ||
installments on or before the 7th State business day of each | ||
month, except that no payment shall be due within 100 days | ||
after the later of the date of notification of federal approval | ||
of the payment methodologies required under this Section or any | ||
waiver required under 42 CFR 433.68, at which time the sum of |
amounts required under this Section prior to the date of | ||
notification is due and payable. Payments under this Section | ||
are not due and payable, however, until (i) the methodologies | ||
described in this Section are approved by the federal | ||
government in an appropriate State Plan amendment and (ii) the | ||
assessment imposed under subsection (b-5) of Section 5A-2 of | ||
this Article is determined to be a permissible tax under Title | ||
XIX of the Social Security Act. The Illinois Department shall | ||
take all actions necessary to implement the payments under this | ||
Section effective July 1, 2012, including but not limited to | ||
providing public notice pursuant to federal requirements, the | ||
filing of a State Plan amendment, and the adoption of | ||
administrative rules. | ||
(a-5) Accelerated schedule. The Illinois Department may, | ||
when practicable, accelerate the schedule upon which payments | ||
authorized under this Section are made. | ||
(b) Magnet and perinatal hospital adjustment. In addition | ||
to rates paid for inpatient hospital services, the Department | ||
shall pay to each Illinois general acute care hospital that, as | ||
of August 25, 2011, was recognized as a Magnet hospital by the | ||
American Nurses Credentialing Center and that, as of September | ||
14, 2011, was designated as a level III perinatal center | ||
amounts as follows: | ||
(1) For hospitals with a case mix index equal to or | ||
greater than the 80th percentile of case mix indices for | ||
all Illinois hospitals, $470 for each Medicaid general |
acute care inpatient day of care provided by the hospital | ||
during State fiscal year 2009. | ||
(2) For all other hospitals, $170 for each Medicaid | ||
general acute care inpatient day of care provided by the | ||
hospital during State fiscal year 2009. | ||
(c) Trauma level II adjustment. In addition to rates paid | ||
for inpatient hospital services, the Department shall pay to | ||
each Illinois general acute care hospital that, as of July 1, | ||
2011, was designated as a level II trauma center amounts as | ||
follows: | ||
(1) For hospitals with a case mix index equal to or | ||
greater than the 50th percentile of case mix indices for | ||
all Illinois hospitals, $470 for each Medicaid general | ||
acute care inpatient day of care provided by the hospital | ||
during State fiscal year 2009. | ||
(2) For all other hospitals, $170 for each Medicaid | ||
general acute care inpatient day of care provided by the | ||
hospital during State fiscal year 2009. | ||
(3) For the purposes of this adjustment, hospitals | ||
located in the same city that alternate their trauma center | ||
designation as defined in 89 Ill. Adm. Code 148.295(a)(2) | ||
shall have the adjustment provided under this Section | ||
divided between the 2 hospitals. | ||
(d) Dual-eligible adjustment. In addition to rates paid for | ||
inpatient services, the Department shall pay each Illinois | ||
general acute care hospital that had a ratio of crossover days |
to total inpatient days for programs under Title XIX of the | ||
Social Security Act administered by the Department (utilizing | ||
information from 2009 paid claims) greater than 50%, and a case | ||
mix index equal to or greater than the 75th percentile of case | ||
mix indices for all Illinois hospitals, a rate of $400 for each | ||
Medicaid inpatient day during State fiscal year 2009 including | ||
crossover days. | ||
(e) Medicaid volume adjustment. In addition to rates paid | ||
for inpatient hospital services, the Department shall pay to | ||
each Illinois general acute care hospital that provided more | ||
than 10,000 Medicaid inpatient days of care in State fiscal | ||
year 2009, has a Medicaid inpatient utilization rate of at | ||
least 29.05% as calculated by the Department for the Rate Year | ||
2011 Disproportionate Share determination, and is not eligible | ||
for Medicaid Percentage Adjustment payments in rate year 2011 | ||
an amount equal to $135 for each Medicaid inpatient day of care | ||
provided during State fiscal year 2009. | ||
(f) Outpatient service adjustment. In addition to the rates | ||
paid for outpatient hospital services, the Department shall pay | ||
each Illinois hospital an amount at least equal to $100 | ||
multiplied by the hospital's outpatient ambulatory procedure | ||
listing services (excluding categories 3B and 3C) and by the | ||
hospital's end stage renal disease treatment services provided | ||
for State fiscal year 2009. | ||
(g) Ambulatory service adjustment. | ||
(1) In addition to the rates paid for outpatient |
hospital services provided in the emergency department, | ||
the Department shall pay each Illinois hospital an amount | ||
equal to $105 multiplied by the hospital's outpatient | ||
ambulatory procedure listing services for categories 3A, | ||
3B, and 3C for State fiscal year 2009. | ||
(2) In addition to the rates paid for outpatient | ||
hospital services, the Department shall pay each Illinois | ||
freestanding psychiatric hospital an amount equal to $200 | ||
multiplied by the hospital's ambulatory procedure listing | ||
services for category 5A for State fiscal year 2009. | ||
(h) Specialty hospital adjustment. In addition to the rates | ||
paid for outpatient hospital services, the Department shall pay | ||
each Illinois long term acute care hospital and each Illinois | ||
hospital devoted exclusively to the treatment of cancer, an | ||
amount equal to $700 multiplied by the hospital's outpatient | ||
ambulatory procedure listing services and by the hospital's end | ||
stage renal disease treatment services (including services | ||
provided to individuals eligible for both Medicaid and | ||
Medicare) provided for State fiscal year 2009. | ||
(h-1) ER Safety Net Payments. In addition to rates paid for | ||
outpatient services, the Department shall pay to each Illinois | ||
general acute care hospital with an emergency room ratio equal | ||
to or greater than 55%, that is not eligible for Medicaid | ||
percentage adjustments payments in rate year 2011, with a case | ||
mix index equal to or greater than the 20th percentile, and | ||
that is not designated as a trauma center by the Illinois |
Department of Public Health on July 1, 2011, as follows: | ||
(1) Each hospital with an emergency room ratio equal to | ||
or greater than 74% shall receive a rate of $225 for each | ||
outpatient ambulatory procedure listing and end-stage | ||
renal disease treatment service provided for State fiscal | ||
year 2009. | ||
(2) For all other hospitals, $65 shall be paid for each | ||
outpatient ambulatory procedure listing and end-stage | ||
renal disease treatment service provided for State fiscal | ||
year 2009. | ||
(i) Physician supplemental adjustment. In addition to the | ||
rates paid for physician services, the Department shall make an | ||
adjustment payment for services provided by physicians as | ||
follows: | ||
(1) Physician services eligible for the adjustment | ||
payment are those provided by physicians employed by or who | ||
have a contract to provide services to patients of the | ||
following hospitals: (i) Illinois general acute care | ||
hospitals that provided at least 17,000 Medicaid inpatient | ||
days of care in State fiscal year 2009 and are eligible for | ||
Medicaid Percentage Adjustment Payments in rate year 2011; | ||
and (ii) Illinois freestanding children's hospitals, as | ||
defined in 89 Ill. Adm. Code 149.50(c)(3)(A). | ||
(2) The amount of the adjustment for each eligible | ||
hospital under this subsection (i) shall be determined by | ||
rule by the Department to spend a total pool of at least |
$6,960,000 annually. This pool shall be allocated among the | ||
eligible hospitals based on the difference between the | ||
upper payment limit for what could have been paid under | ||
Medicaid for physician services provided during State | ||
fiscal year 2009 by physicians employed by or who had a | ||
contract with the hospital and the amount that was paid | ||
under Medicaid for such services, provided however, that in | ||
no event shall physicians at any individual hospital | ||
collectively receive an annual, aggregate adjustment in | ||
excess of $435,000, except that any amount that is not | ||
distributed to a hospital because of the upper payment | ||
limit shall be reallocated among the remaining eligible | ||
hospitals that are below the upper payment limitation, on a | ||
proportionate basis. | ||
(i-5) For any children's hospital which did not charge for | ||
its services during the base period, the Department shall use | ||
data supplied by the hospital to determine payments using | ||
similar methodologies for freestanding children's hospitals | ||
under this Section or Section 5A-12.2 12.2 . | ||
(j) For purposes of this Section, a hospital that is | ||
enrolled to provide Medicaid services during State fiscal year | ||
2009 shall have its utilization and associated reimbursements | ||
annualized prior to the payment calculations being performed | ||
under this Section. | ||
(k) For purposes of this Section, the terms "Medicaid | ||
days", "ambulatory procedure listing services", and |
"ambulatory procedure listing payments" do not include any | ||
days, charges, or services for which Medicare or a managed care | ||
organization reimbursed on a capitated basis was liable for | ||
payment, except where explicitly stated otherwise in this | ||
Section. | ||
(l) Definitions. Unless the context requires otherwise or | ||
unless provided otherwise in this Section, the terms used in | ||
this Section for qualifying criteria and payment calculations | ||
shall have the same meanings as those terms have been given in | ||
the Illinois Department's administrative rules as in effect on | ||
October 1, 2011. Other terms shall be defined by the Illinois | ||
Department by rule. | ||
As used in this Section, unless the context requires | ||
otherwise: | ||
"Case mix index" means, for a given hospital, the sum of
| ||
the per admission (DRG) relative weighting factors in effect on | ||
January 1, 2005, for all general acute care admissions for | ||
State fiscal year 2009, excluding Medicare crossover | ||
admissions and transplant admissions reimbursed under 89 Ill. | ||
Adm. Code 148.82, divided by the total number of general acute | ||
care admissions for State fiscal year 2009, excluding Medicare | ||
crossover admissions and transplant admissions reimbursed | ||
under 89 Ill. Adm. Code 148.82. | ||
"Emergency room ratio" means, for a given hospital, a | ||
fraction, the denominator of which is the number of the | ||
hospital's outpatient ambulatory procedure listing and |
end-stage renal disease treatment services provided for State | ||
fiscal year 2009 and the numerator of which is the hospital's | ||
outpatient ambulatory procedure listing services for | ||
categories 3A, 3B, and 3C for State fiscal year 2009. | ||
"Medicaid inpatient day" means, for a given hospital, the
| ||
sum of days of inpatient hospital days provided to recipients | ||
of medical assistance under Title XIX of the federal Social | ||
Security Act, excluding days for individuals eligible for | ||
Medicare under Title XVIII of that Act (Medicaid/Medicare | ||
crossover days), as tabulated from the Department's paid claims | ||
data for admissions occurring during State fiscal year 2009 | ||
that was adjudicated by the Department through June 30, 2010. | ||
"Outpatient ambulatory procedure listing services" means, | ||
for a given hospital, ambulatory procedure listing services, as | ||
described in 89 Ill. Adm. Code 148.140(b), provided to | ||
recipients of medical assistance under Title XIX of the federal | ||
Social Security Act, excluding services for individuals | ||
eligible for Medicare under Title XVIII of the Act | ||
(Medicaid/Medicare crossover days), as tabulated from the | ||
Department's paid claims data for services occurring in State | ||
fiscal year 2009 that were adjudicated by the Department | ||
through September 2, 2010. | ||
"Outpatient end-stage renal disease treatment services" | ||
means, for a given hospital, the services, as described in 89 | ||
Ill. Adm. Code 148.140(c), provided to recipients of medical | ||
assistance under Title XIX of the federal Social Security Act, |
excluding payments for individuals eligible for Medicare under | ||
Title XVIII of the Act (Medicaid/Medicare crossover days), as | ||
tabulated from the Department's paid claims data for services | ||
occurring in State fiscal year 2009 that were adjudicated by | ||
the Department through September 2, 2010. | ||
(m) The Department may adjust payments made under this | ||
Section 5A-12.4 to comply with federal law or regulations | ||
regarding hospital-specific payment limitations on | ||
government-owned or government-operated hospitals. | ||
(n) Notwithstanding any of the other provisions of this | ||
Section, the Department is authorized to adopt rules that | ||
change the hospital access improvement payments specified in | ||
this Section, but only to the extent necessary to conform to | ||
any federally approved amendment to the Title XIX State plan. | ||
Any such rules shall be adopted by the Department as authorized | ||
by Section 5-50 of the Illinois Administrative Procedure Act. | ||
Notwithstanding any other provision of law, any changes | ||
implemented as a result of this subsection (n) shall be given | ||
retroactive effect so that they shall be deemed to have taken | ||
effect as of the effective date of this Section. | ||
(o) The Department of Healthcare and Family Services must | ||
submit a State Medicaid Plan Amendment to the Centers of | ||
Medicare and Medicaid Services to implement the payments under | ||
this Section within 30 days of June 14, 2012 ( the effective | ||
date of Public Act 97-688) this Act .
| ||
(Source: P.A. 97-688, eff. 6-14-12; revised 8-3-12.)
|
(305 ILCS 5/5C-1) (from Ch. 23, par. 5C-1)
| ||
Sec. 5C-1. Definitions. As used in this Article, unless the | ||
context
requires otherwise:
| ||
"Fund" means the Developmentally Disabled Care Provider | ||
Fund for Persons with a Developmental Disability .
| ||
"Developmentally disabled care facility" means an | ||
intermediate care
facility for the intellectually disabled | ||
within the meaning of Title XIX of the
Social Security Act, | ||
whether public or private and whether organized for
profit or | ||
not-for-profit, but shall not include any facility operated by
| ||
the State.
| ||
"Developmentally disabled care provider" means a person | ||
conducting,
operating, or maintaining a developmentally | ||
disabled care facility. For
this purpose, "person" means any | ||
political subdivision of the State,
municipal corporation, | ||
individual, firm, partnership, corporation, company,
limited | ||
liability company, association, joint stock association, or | ||
trust,
or a receiver, executor, trustee, guardian or other | ||
representative
appointed by order of any court.
| ||
"Adjusted gross developmentally disabled care revenue" | ||
shall be computed
separately for each developmentally disabled | ||
care facility conducted,
operated, or maintained by a | ||
developmentally disabled care provider, and
means the | ||
developmentally disabled care provider's total revenue for
| ||
inpatient residential services less contractual allowances and |
discounts on
patients' accounts, but does not include | ||
non-patient revenue from sources
such as contributions, | ||
donations or bequests, investments, day training
services, | ||
television and telephone service, and rental of facility space.
| ||
(Source: P.A. 97-227, eff. 1-1-12; revised 10-18-12.)
| ||
(305 ILCS 5/5C-5) (from Ch. 23, par. 5C-5)
| ||
Sec. 5C-5. Disposition of proceeds. The Illinois | ||
Department
shall pay all moneys received from developmentally | ||
disabled care
providers under this Article into the | ||
Developmentally Disabled Care
Provider Fund for Persons with a | ||
Developmental Disability . Upon certification by the Illinois | ||
Department
to the State Comptroller of its intent to withhold | ||
from a
provider under Section 5C-6(b), the State Comptroller | ||
shall
draw a warrant on the treasury or other fund held by the | ||
State
Treasurer, as appropriate. The warrant shall state the
| ||
amount for which the provider is entitled to a warrant, the
| ||
amount of the deduction, and the reason therefor and shall | ||
direct the
State Treasurer to pay the balance to the provider, | ||
all in
accordance with Section 10.05 of the State Comptroller | ||
Act. The warrant
also shall direct the State Treasurer to | ||
transfer the amount of the
deduction so ordered from the | ||
treasury or other fund into the
Developmentally Disabled Care | ||
Provider Fund for Persons with a Developmental Disability .
| ||
(Source: P.A. 87-861; revised 10-18-12.)
|
(305 ILCS 5/5C-7) (from Ch. 23, par. 5C-7)
| ||
Sec. 5C-7. Developmentally Disabled Care Provider Fund for | ||
Persons with a Developmental Disability .
| ||
(a) There is created in the State Treasury the | ||
Developmentally Disabled
Care Provider Fund for Persons with a | ||
Developmental Disability . Interest earned by the Fund shall be | ||
credited to the
Fund. The Fund shall not be used to replace any | ||
moneys appropriated to the
Medicaid program by the General | ||
Assembly.
| ||
(b) The Fund is created for the purpose of receiving and
| ||
disbursing assessment moneys in accordance with this Article.
| ||
Disbursements from the Fund shall be made only as follows:
| ||
(1) For payments to intermediate care facilities for | ||
the
developmentally disabled under Title XIX of the Social | ||
Security
Act and Article V of this Code.
| ||
(2) For the reimbursement of moneys collected by the
| ||
Illinois Department through error or mistake, and to make
| ||
required payments under Section 5-4.28(a)(1) of this Code | ||
if
there are no moneys available for such payments in the | ||
Medicaid
Developmentally Disabled Provider Participation | ||
Fee Trust Fund.
| ||
(3) For payment of administrative expenses incurred by | ||
the Department of Human Services or its
agent or the | ||
Illinois Department or its agent in performing the | ||
activities
authorized by this Article.
| ||
(4) For payments of any amounts which are reimbursable |
to
the federal government for payments from this Fund which | ||
are
required to be paid by State warrant.
| ||
(5) For making transfers to the General Obligation Bond
| ||
Retirement and Interest Fund as those transfers are | ||
authorized in
the proceedings authorizing debt under the | ||
Short Term Borrowing Act,
but transfers made under this | ||
paragraph (5) shall not exceed the
principal amount of debt | ||
issued in anticipation of the receipt by
the State of | ||
moneys to be deposited into the Fund.
| ||
Disbursements from the Fund, other than transfers to the
| ||
General Obligation Bond Retirement and Interest Fund, shall be | ||
by
warrants drawn by the State Comptroller upon receipt of | ||
vouchers
duly executed and certified by the Illinois | ||
Department.
| ||
(c) The Fund shall consist of the following:
| ||
(1) All moneys collected or received by the Illinois
| ||
Department from the developmentally disabled care provider
| ||
assessment imposed by this Article.
| ||
(2) All federal matching funds received by the Illinois
| ||
Department as a result of expenditures made by the Illinois
| ||
Department that are attributable to moneys deposited in the | ||
Fund.
| ||
(3) Any interest or penalty levied in conjunction with | ||
the
administration of this Article.
| ||
(4) Any balance in the Medicaid Developmentally | ||
Disabled
Care Provider Participation Fee Trust Fund in the |
State Treasury.
The balance shall be transferred to the | ||
Fund upon certification
by the Illinois Department to the | ||
State Comptroller that all of
the disbursements required by | ||
Section 5-4.21(b) of this Code have
been made.
| ||
(5) All other moneys received for the Fund from any | ||
other
source, including interest earned thereon.
| ||
(Source: P.A. 89-21, eff. 7-1-95; 89-507, eff. 7-1-97; revised | ||
10-18-12.)
| ||
(305 ILCS 5/11-26) (from Ch. 23, par. 11-26)
| ||
Sec. 11-26. Recipient's abuse of medical care; | ||
restrictions on access to
medical care. | ||
(a) When the Department determines, on the basis of | ||
statistical norms and
medical judgment, that a medical care | ||
recipient has received medical services
in excess of need and | ||
with such frequency or in such a manner as to constitute
an | ||
abuse of the recipient's medical care privileges, the | ||
recipient's access to
medical care may be restricted.
| ||
(b) When the Department has determined that a recipient is | ||
abusing his or
her medical care privileges as described in this | ||
Section, it may require that
the recipient designate a primary | ||
provider type of the recipient's own choosing to assume
| ||
responsibility for the recipient's care. For the purposes of | ||
this subsection, "primary provider type" means a provider type
| ||
as determined by the Department. Instead of requiring a | ||
recipient to
make a designation as provided in this subsection, |
the Department, pursuant to
rules adopted by the Department and | ||
without regard to any choice of an entity
that the recipient | ||
might otherwise make, may initially designate a primary | ||
provider type provided that the primary provider type is | ||
willing to provide that care.
| ||
(c) When the Department has requested that a recipient | ||
designate a
primary provider type and the recipient fails or | ||
refuses to do so, the Department
may, after a reasonable period | ||
of time, assign the recipient to a primary provider type of its | ||
own choice and determination, provided such primary provider | ||
type is willing to provide such care.
| ||
(d) When a recipient has been restricted to a designated | ||
primary provider type, the
recipient may change the primary | ||
provider type:
| ||
(1) when the designated source becomes unavailable, as | ||
the Department
shall determine by rule; or
| ||
(2) when the designated primary provider type notifies | ||
the Department that it wishes to
withdraw from any | ||
obligation as primary provider type; or
| ||
(3) in other situations, as the Department shall | ||
provide by rule.
| ||
The Department shall, by rule, establish procedures for | ||
providing medical or
pharmaceutical services when the | ||
designated source becomes unavailable or
wishes to withdraw | ||
from any obligation as primary provider type, shall, by rule, | ||
take into
consideration the need for emergency or temporary |
medical assistance and shall
ensure that the recipient has | ||
continuous and unrestricted access to medical
care from the | ||
date on which such unavailability or withdrawal becomes | ||
effective
until such time as the recipient designates a primary | ||
provider type or a primary provider type willing to provide | ||
such care is designated by the Department
consistent with | ||
subsections (b) and (c) and such restriction becomes effective.
| ||
(e) Prior to initiating any action to restrict a | ||
recipient's access to
medical or pharmaceutical care, the | ||
Department shall notify the recipient
of its intended action. | ||
Such notification shall be in writing and shall set
forth the | ||
reasons for and nature of the proposed action. In addition, the
| ||
notification shall:
| ||
(1) inform the recipient that (i) the recipient has a | ||
right to
designate a primary provider type of the | ||
recipient's own choosing willing to accept such | ||
designation
and that the recipient's failure to do so | ||
within a reasonable time may result
in such designation | ||
being made by the Department or (ii) the Department has
| ||
designated a primary provider type to assume | ||
responsibility for the recipient's care; and
| ||
(2) inform the recipient that the recipient has a right | ||
to appeal the
Department's determination to restrict the | ||
recipient's access to medical care
and provide the | ||
recipient with an explanation of how such appeal is to be
| ||
made. The notification shall also inform the recipient of |
the circumstances
under which unrestricted medical | ||
eligibility shall continue until a decision is
made on | ||
appeal and that if the recipient chooses to appeal, the | ||
recipient will
be able to review the medical payment data | ||
that was utilized by the Department
to decide that the | ||
recipient's access to medical care should be restricted.
| ||
(f) The Department shall, by rule or regulation, establish | ||
procedures for
appealing a determination to restrict a | ||
recipient's access to medical care,
which procedures shall, at | ||
a minimum, provide for a reasonable opportunity
to be heard | ||
and, where the appeal is denied, for a written statement
of the | ||
reason or reasons for such denial.
| ||
(g) Except as otherwise provided in this subsection, when a | ||
recipient
has had his or her medical card restricted for 4 full | ||
quarters (without regard
to any period of ineligibility for | ||
medical assistance under this Code, or any
period for which the | ||
recipient voluntarily terminates his or her receipt of
medical | ||
assistance, that may occur before the expiration of those 4 | ||
full
quarters), the Department shall reevaluate the | ||
recipient's medical usage to
determine whether it is still in | ||
excess of need and with such frequency or in
such a manner as | ||
to constitute an abuse of the receipt of medical assistance.
If | ||
it is still in excess of need, the restriction shall be | ||
continued for
another 4 full quarters. If it is no longer in | ||
excess of need, the restriction
shall be discontinued. If a | ||
recipient's access to medical care has been
restricted under |
this Section and the Department then determines, either at
| ||
reevaluation or after the restriction has been discontinued, to | ||
restrict the
recipient's access to medical care a second or | ||
subsequent time, the second or
subsequent restriction may be | ||
imposed for a period of more than 4 full
quarters. If the | ||
Department restricts a recipient's access to medical care for
a | ||
period of more than 4 full quarters, as determined by rule, the | ||
Department
shall reevaluate the recipient's medical usage | ||
after the end of the restriction
period rather than after the | ||
end of 4 full quarters. The Department shall
notify the | ||
recipient, in writing, of any decision to continue the | ||
restriction
and the reason or reasons therefor. A "quarter", | ||
for purposes of this Section,
shall be defined as one of the | ||
following 3-month periods of time:
January-March, April-June, | ||
July-September or October-December.
| ||
(h) In addition to any other recipient whose acquisition of | ||
medical care
is determined to be in excess of need, the | ||
Department may restrict the medical
care privileges of the | ||
following persons:
| ||
(1) recipients found to have loaned or altered their | ||
cards or misused or
falsely represented medical coverage;
| ||
(2) recipients found in possession of blank or forged | ||
prescription pads;
| ||
(3) recipients who knowingly assist providers in | ||
rendering excessive
services or defrauding the medical | ||
assistance program.
|
The procedural safeguards in this Section shall apply to | ||
the above
individuals.
| ||
(i) Restrictions under this Section shall be in addition to | ||
and shall
not in any way be limited by or limit any actions | ||
taken under Article VIIIA
VIII-A of this Code.
| ||
(Source: P.A. 96-1501, eff. 1-25-11; 97-689, eff. 6-14-12; | ||
revised 8-3-12.)
| ||
(305 ILCS 5/12-5) (from Ch. 23, par. 12-5)
| ||
Sec. 12-5. Appropriations; uses; federal grants; report to
| ||
General Assembly. From the sums appropriated by the General | ||
Assembly,
the Illinois Department shall order for payment by | ||
warrant from the State
Treasury grants for public aid under | ||
Articles III, IV, and V,
including
grants for funeral and | ||
burial expenses, and all costs of administration of
the | ||
Illinois Department and the County Departments relating | ||
thereto. Moneys
appropriated to the Illinois Department for | ||
public aid under Article VI may
be used, with the consent of | ||
the Governor, to co-operate
with federal, State, and local | ||
agencies in the development of work
projects designed to | ||
provide suitable employment for persons receiving
public aid | ||
under Article VI. The Illinois Department, with the consent
of | ||
the Governor, may be the agent of the State for the receipt and
| ||
disbursement of federal funds or commodities for public aid | ||
purposes
under Article VI and for related purposes in which the
| ||
co-operation of the Illinois Department is sought by the |
federal
government, and, in connection therewith, may make | ||
necessary
expenditures from moneys appropriated for public aid | ||
under any Article
of this Code and for administration. The | ||
Illinois Department, with the
consent of the Governor, may be | ||
the agent of the State for the receipt and
disbursement of | ||
federal funds pursuant to the Immigration Reform and
Control | ||
Act of 1986 and may make necessary expenditures from monies
| ||
appropriated to it for operations, administration, and grants, | ||
including
payment to the Health Insurance Reserve Fund for | ||
group insurance costs at
the rate certified by the Department | ||
of Central Management Services. All
amounts received by the | ||
Illinois Department pursuant to the Immigration Reform
and | ||
Control Act of 1986 shall be deposited in the Immigration | ||
Reform and
Control Fund. All amounts received into the | ||
Immigration Reform and Control
Fund as reimbursement for | ||
expenditures from the General Revenue Fund shall be
transferred | ||
to the General Revenue Fund.
| ||
All grants received by the Illinois Department for programs | ||
funded by the
Federal Social Services Block Grant shall be | ||
deposited in the Social Services
Block Grant Fund. All funds | ||
received into the Social Services Block Grant Fund
as | ||
reimbursement for expenditures from the General Revenue Fund | ||
shall be
transferred to the General Revenue Fund. All funds | ||
received into the Social
Services Block Grant fund for | ||
reimbursement for expenditure out of the Local
Initiative Fund | ||
shall be transferred into the Local Initiative Fund. Any other
|
federal funds received into the Social Services Block Grant | ||
Fund shall be
transferred to the Special Purposes Trust Fund. | ||
All federal funds received by
the Illinois Department as | ||
reimbursement for Employment and Training Programs
for | ||
expenditures made by the Illinois Department from grants, | ||
gifts, or
legacies as provided in Section 12-4.18 or made by an | ||
entity other than the
Illinois Department shall be deposited | ||
into the Employment and Training Fund,
except that federal | ||
funds received as reimbursement as a result of the
| ||
appropriation made for the costs of providing adult education | ||
to public
assistance recipients under the "Adult Education, | ||
Public Assistance Fund" shall
be deposited into the General | ||
Revenue Fund; provided, however, that all funds,
except those | ||
that are specified in an interagency agreement between the
| ||
Illinois Community College Board and the Illinois Department, | ||
that are received
by the Illinois Department as reimbursement | ||
under Title IV-A of the Social
Security Act for
expenditures | ||
that are made by the Illinois Community College Board or any
| ||
public community college of this State shall be credited to a | ||
special account
that the State Treasurer shall establish and | ||
maintain within the Employment and
Training Fund for the | ||
purpose of segregating the reimbursements received for
| ||
expenditures made by those entities. As reimbursements are | ||
deposited into the
Employment and Training Fund, the Illinois | ||
Department shall certify to the
State Comptroller and State | ||
Treasurer the amount that is to be credited to the
special |
account established within that Fund as a reimbursement for
| ||
expenditures under Title IV-A of the Social Security Act made | ||
by the Illinois Community College
Board or any of the public | ||
community colleges. All amounts credited to the
special account | ||
established and maintained within the Employment and Training
| ||
Fund as provided in this Section shall be held for transfer to | ||
the TANF
Opportunities Fund as provided in subsection (d) of | ||
Section 12-10.3, and shall
not be transferred to any other fund | ||
or used for any other purpose.
| ||
Eighty percent of the federal financial participation | ||
funds received by the
Illinois Department under the Title IV-A | ||
Emergency Assistance program as
reimbursement for expenditures | ||
made from the Illinois Department of Children
and Family | ||
Services appropriations for the costs of providing services in
| ||
behalf of Department of Children and Family Services clients | ||
shall be deposited
into the DCFS Children's Services
Fund.
| ||
All federal funds, except those covered by the foregoing 3
| ||
paragraphs, received as reimbursement for expenditures from | ||
the General Revenue
Fund shall be deposited in the General | ||
Revenue Fund for administrative and
distributive expenditures | ||
properly chargeable by federal law or regulation to
aid | ||
programs established under Articles III through XII and Titles | ||
IV, XVI, XIX
and XX of the Federal Social Security Act. Any | ||
other federal funds received by
the Illinois Department under | ||
Sections 12-4.6, 12-4.18 and
12-4.19 that are required by | ||
Section 12-10 of this Code to be paid into the
Special Purposes |
Trust Fund shall be deposited into the Special Purposes Trust
| ||
Fund. Any other federal funds received by the Illinois | ||
Department pursuant to
the Child Support Enforcement Program | ||
established by Title IV-D of the Social
Security Act shall be | ||
deposited in the Child Support Enforcement Trust Fund
as | ||
required under Section 12-10.2 or in the Child Support | ||
Administrative Fund as required under Section 12-10.2a of this | ||
Code. Any other federal funds
received by the Illinois | ||
Department for medical assistance program expenditures
made | ||
under Title XIX of the Social Security Act and Article V of | ||
this Code that
are required by
Section 5-4.21 of this Code to | ||
be paid into the Medicaid Developmentally
Disabled Provider | ||
Participation Fee Trust Fund shall be deposited into the
| ||
Medicaid Developmentally Disabled Provider Participation Fee | ||
Trust Fund. Any
other federal funds received by the Illinois | ||
Department for medical
assistance program expenditures made | ||
under Title XIX of the Social
Security Act and Article V of | ||
this Code that are required by
Section 5-4.31 of this Code to | ||
be paid into the Medicaid Long Term Care
Provider Participation | ||
Fee Trust Fund shall be deposited into the Medicaid
Long Term | ||
Care Provider Participation Fee Trust Fund. Any other federal | ||
funds
received by the Illinois
Department for hospital | ||
inpatient, hospital ambulatory care, and
disproportionate | ||
share hospital expenditures made under Title XIX of the
Social | ||
Security Act and Article V of this Code that are
required by | ||
Section 14-2 of this Code to be paid into the Hospital Services
|
Trust Fund shall be deposited into the Hospital Services
Trust | ||
Fund. Any other federal funds received by the Illinois | ||
Department for
expenditures made under Title XIX of the Social | ||
Security Act and Articles
V and VI of this Code that are | ||
required by Section 15-2 of this Code
to be paid into the | ||
County Provider Trust Fund shall be deposited
into the County | ||
Provider Trust Fund. Any other federal funds received
by the | ||
Illinois Department for hospital
inpatient, hospital | ||
ambulatory care, and disproportionate share hospital
| ||
expenditures made under Title XIX of the Social Security Act | ||
and Article V of
this Code that are required by Section 5A-8 of | ||
this Code to be paid into the
Hospital Provider Fund shall be | ||
deposited into the Hospital Provider Fund. Any
other federal | ||
funds received by the Illinois Department for medical
| ||
assistance program expenditures made under Title XIX of the | ||
Social Security
Act and Article V of this Code that are | ||
required by Section 5B-8 of this
Code to be paid into the | ||
Long-Term Care Provider Fund shall be deposited
into the | ||
Long-Term Care Provider Fund. Any other federal funds received | ||
by
the Illinois Department for medical assistance program | ||
expenditures made
under Title XIX of the Social Security Act | ||
and Article V of this Code that
are required by Section 5C-7 of | ||
this Code to be paid into the
Developmentally Disabled Care | ||
Provider Fund for Persons with a Developmental Disability shall | ||
be deposited into the
Developmentally Disabled Care Provider | ||
Fund for Persons with a Developmental Disability . Any other |
federal funds received
by the Illinois Department for trauma | ||
center
adjustment payments that are required by Section 5-5.03 | ||
of this Code and made
under Title XIX of the Social Security | ||
Act and Article V of this Code shall be
deposited into the | ||
Trauma Center Fund. Any other federal funds received by
the | ||
Illinois Department as reimbursement for expenses for early | ||
intervention
services paid from the Early Intervention | ||
Services Revolving Fund shall be
deposited into that Fund.
| ||
The Illinois Department shall report to the General | ||
Assembly at the
end of each fiscal quarter the amount of all | ||
funds received and paid into
the Social Service Block Grant | ||
Fund and the Local Initiative Fund and the
expenditures and | ||
transfers of such funds for services, programs and other
| ||
purposes authorized by law. Such report shall be filed with the | ||
Speaker,
Minority Leader and Clerk of the House, with the | ||
President, Minority Leader
and Secretary of the Senate, with | ||
the Chairmen of the House and Senate
Appropriations Committees, | ||
the House Human Resources Committee and the
Senate Public | ||
Health, Welfare and Corrections Committee, or the successor
| ||
standing Committees of each as provided by the rules of the | ||
House and
Senate, respectively, with the Legislative Research | ||
Unit and with the State
Government Report Distribution Center | ||
for the General Assembly as is
required under paragraph (t) of | ||
Section 7 of the State Library Act
shall be deemed sufficient | ||
to comply with this Section.
| ||
(Source: P.A. 96-1100, eff. 1-1-11; revised 10-18-12.)
|
(305 ILCS 5/14-8) (from Ch. 23, par. 14-8)
| ||
Sec. 14-8. Disbursements to Hospitals.
| ||
(a) For inpatient hospital services rendered on and after | ||
September 1,
1991, the Illinois Department shall reimburse
| ||
hospitals for inpatient services at an inpatient payment rate | ||
calculated for
each hospital based upon the Medicare | ||
Prospective Payment System as set forth
in Sections 1886(b), | ||
(d), (g), and (h) of the federal Social Security Act, and
the | ||
regulations, policies, and procedures promulgated thereunder, | ||
except as
modified by this Section. Payment rates for inpatient | ||
hospital services
rendered on or after September 1, 1991 and on | ||
or before September 30, 1992
shall be calculated using the | ||
Medicare Prospective Payment rates in effect on
September 1, | ||
1991. Payment rates for inpatient hospital services rendered on
| ||
or after October 1, 1992 and on or before March 31, 1994 shall | ||
be calculated
using the Medicare Prospective Payment rates in | ||
effect on September 1, 1992.
Payment rates for inpatient | ||
hospital services rendered on or after April 1,
1994 shall be | ||
calculated using the Medicare Prospective Payment rates
| ||
(including the Medicare grouping methodology and weighting | ||
factors as adjusted
pursuant to paragraph (1) of this | ||
subsection) in effect 90 days prior to the
date of admission. | ||
For services rendered on or after July 1, 1995, the
| ||
reimbursement methodology implemented under this subsection | ||
shall not include
those costs referred to in Sections |
1886(d)(5)(B) and 1886(h) of the Social
Security Act. The | ||
additional payment amounts required under Section
| ||
1886(d)(5)(F) of the Social Security Act, for hospitals serving | ||
a
disproportionate share of low-income or indigent patients, | ||
are not required
under this Section. For hospital inpatient | ||
services rendered on or after July
1, 1995, the Illinois | ||
Department shall
reimburse hospitals using the relative | ||
weighting factors and the base payment
rates calculated for | ||
each hospital that were in effect on June 30, 1995, less
the | ||
portion of such rates attributed by the Illinois Department to | ||
the cost of
medical education.
| ||
(1) The weighting factors established under Section | ||
1886(d)(4) of the
Social Security Act shall not be used in | ||
the reimbursement system
established under this Section. | ||
Rather, the Illinois Department shall
establish by rule | ||
Medicaid weighting factors to be used in the reimbursement
| ||
system established under this Section.
| ||
(2) The Illinois Department shall define by rule those | ||
hospitals or
distinct parts of hospitals that shall be | ||
exempt from the reimbursement
system established under | ||
this Section. In defining such hospitals, the
Illinois | ||
Department shall take into consideration those hospitals | ||
exempt
from the Medicare Prospective Payment System as of | ||
September 1, 1991. For
hospitals defined as exempt under | ||
this subsection, the Illinois Department
shall by rule | ||
establish a reimbursement system for payment of inpatient
|
hospital services rendered on and after September 1, 1991. | ||
For all
hospitals that are children's hospitals as defined | ||
in Section 5-5.02 of
this Code, the reimbursement | ||
methodology shall, through June 30, 1992, net
of all | ||
applicable fees, at least equal each children's hospital | ||
1990 ICARE
payment rates, indexed to the current year by | ||
application of the DRI hospital
cost index from 1989 to the | ||
year in which payments are made. Excepting county
providers | ||
as defined in Article XV of this Code, hospitals licensed | ||
under the
University of Illinois Hospital Act, and | ||
facilities operated by the
Department of Mental Health and | ||
Developmental Disabilities (or its successor,
the | ||
Department of Human Services) for hospital inpatient | ||
services rendered on
or after July 1, 1995, the Illinois | ||
Department shall reimburse children's
hospitals, as | ||
defined in 89 Illinois Administrative Code Section | ||
149.50(c)(3),
at the rates in effect on June 30, 1995, and | ||
shall reimburse all other
hospitals at the rates in effect | ||
on June 30, 1995, less the portion of such
rates attributed | ||
by the Illinois Department to the cost of medical | ||
education.
For inpatient hospital services provided on or | ||
after August 1, 1998, the
Illinois Department may establish | ||
by rule a means of adjusting the rates of
children's | ||
hospitals, as defined in 89 Illinois Administrative Code | ||
Section
149.50(c)(3), that did not meet that definition on | ||
June 30, 1995, in order
for the inpatient hospital rates of |
such hospitals to take into account the
average inpatient | ||
hospital rates of those children's hospitals that did meet
| ||
the definition of children's hospitals on June 30, 1995.
| ||
(3) (Blank) .
| ||
(4) Notwithstanding any other provision of this | ||
Section, hospitals
that on August 31, 1991, have a contract | ||
with the Illinois Department under
Section 3-4 of the | ||
Illinois Health Finance Reform Act may elect to continue
to | ||
be reimbursed at rates stated in such contracts for general | ||
and specialty
care.
| ||
(5) In addition to any payments made under this | ||
subsection (a), the
Illinois Department shall make the | ||
adjustment payments required by Section
5-5.02 of this | ||
Code; provided, that in the case of any hospital reimbursed
| ||
under a per case methodology, the Illinois Department shall | ||
add an amount
equal to the product of the hospital's | ||
average length of stay, less one
day, multiplied by 20, for | ||
inpatient hospital services rendered on or
after September | ||
1, 1991 and on or before September 30, 1992.
| ||
(b) (Blank) .
| ||
(b-5) Excepting county providers as defined in Article XV | ||
of this Code,
hospitals licensed under the University of | ||
Illinois Hospital Act, and
facilities operated by the Illinois | ||
Department of Mental Health and
Developmental Disabilities (or | ||
its successor, the Department of Human
Services), for | ||
outpatient services rendered on or after July 1, 1995
and |
before July 1, 1998 the Illinois Department shall reimburse
| ||
children's hospitals, as defined in the Illinois | ||
Administrative Code
Section 149.50(c)(3), at the rates in | ||
effect on June 30, 1995, less that
portion of such rates | ||
attributed by the Illinois Department to the outpatient
| ||
indigent volume adjustment and shall reimburse all other | ||
hospitals at the rates
in effect on June 30, 1995, less the | ||
portions of such rates attributed by the
Illinois Department to | ||
the cost of medical education and attributed by the
Illinois | ||
Department to the outpatient indigent volume adjustment. For
| ||
outpatient services provided on or after July 1, 1998, | ||
reimbursement rates
shall be established by rule.
| ||
(c) In addition to any other payments under this Code, the | ||
Illinois
Department shall develop a hospital disproportionate | ||
share reimbursement
methodology that, effective July 1, 1991, | ||
through September 30, 1992,
shall reimburse hospitals | ||
sufficiently to expend the fee monies described
in subsection | ||
(b) of Section 14-3 of this Code and the federal matching
funds | ||
received by the Illinois Department as a result of expenditures | ||
made
by the Illinois Department as required by this subsection | ||
(c) and Section
14-2 that are attributable to fee monies | ||
deposited in the Fund, less
amounts applied to adjustment | ||
payments under Section 5-5.02.
| ||
(d) Critical Care Access Payments.
| ||
(1) In addition to any other payments made under this | ||
Code,
the Illinois Department shall develop a |
reimbursement methodology that shall
reimburse Critical | ||
Care Access Hospitals for the specialized services that
| ||
qualify them as Critical Care Access Hospitals. No | ||
adjustment payments shall be
made under this subsection on | ||
or after July 1, 1995.
| ||
(2) "Critical Care Access Hospitals" includes, but is | ||
not limited to,
hospitals that meet at least one of the | ||
following criteria:
| ||
(A) Hospitals located outside of a metropolitan | ||
statistical area that
are designated as Level II | ||
Perinatal Centers and that provide a
disproportionate | ||
share of perinatal services to recipients; or
| ||
(B) Hospitals that are designated as Level I Trauma | ||
Centers (adult
or pediatric) and certain Level II | ||
Trauma Centers as determined by the
Illinois | ||
Department; or
| ||
(C) Hospitals located outside of a metropolitan | ||
statistical area and
that provide a disproportionate | ||
share of obstetrical services to recipients.
| ||
(e) Inpatient high volume adjustment. For hospital | ||
inpatient services,
effective with rate periods beginning on or | ||
after October 1, 1993, in
addition to rates paid for inpatient | ||
services by the Illinois Department, the
Illinois Department | ||
shall make adjustment payments for inpatient services
| ||
furnished by Medicaid high volume hospitals. The Illinois | ||
Department shall
establish by rule criteria for qualifying as a |
Medicaid high volume hospital
and shall establish by rule a | ||
reimbursement methodology for calculating these
adjustment | ||
payments to Medicaid high volume hospitals. No adjustment | ||
payment
shall be made under this subsection for services | ||
rendered on or after July 1,
1995.
| ||
(f) The Illinois Department shall modify its current rules | ||
governing
adjustment payments for targeted access, critical | ||
care access, and
uncompensated care to classify those | ||
adjustment payments as not being payments
to disproportionate | ||
share hospitals under Title XIX of the federal Social
Security | ||
Act. Rules adopted under this subsection shall not be effective | ||
with
respect to services rendered on or after July 1, 1995. The | ||
Illinois Department
has no obligation to adopt or implement any | ||
rules or make any payments under
this subsection for services | ||
rendered on or after July 1, 1995.
| ||
(f-5) The State recognizes that adjustment payments to | ||
hospitals providing
certain services or incurring certain | ||
costs may be necessary to assure that
recipients of medical | ||
assistance have adequate access to necessary medical
services. | ||
These adjustments include payments for teaching costs and
| ||
uncompensated care, trauma center payments, rehabilitation | ||
hospital payments,
perinatal center payments, obstetrical care | ||
payments, targeted access payments,
Medicaid high volume | ||
payments, and outpatient indigent volume payments. On or
before | ||
April 1, 1995, the Illinois Department shall issue | ||
recommendations
regarding (i) reimbursement mechanisms or |
adjustment payments to reflect these
costs and services, | ||
including methods by which the payments may be calculated
and | ||
the method by which the payments may be financed, and (ii) | ||
reimbursement
mechanisms or adjustment payments to reflect | ||
costs and services of federally
qualified health centers with | ||
respect to recipients of medical assistance.
| ||
(g) If one or more hospitals file suit in any court | ||
challenging any part of
this Article XIV, payments to hospitals | ||
under this Article XIV shall be made
only to the extent that | ||
sufficient monies are available in the Fund and only to
the | ||
extent that any monies in the Fund are not prohibited from | ||
disbursement
under any order of the court.
| ||
(h) Payments under the disbursement methodology described | ||
in this Section
are subject to approval by the federal | ||
government in an appropriate State plan
amendment.
| ||
(i) The Illinois Department may by rule establish criteria | ||
for and develop
methodologies for adjustment payments to | ||
hospitals participating under this
Article.
| ||
(j) Hospital Residing Long Term Care Services. In addition | ||
to any other
payments made under this Code, the Illinois | ||
Department may by rule establish
criteria and develop | ||
methodologies for payments to hospitals for Hospital
Residing | ||
Long Term Care Services.
| ||
(k) Critical Access Hospital outpatient payments. In | ||
addition to any other payments authorized under this Code, the | ||
Illinois Department shall reimburse critical access hospitals, |
as designated by the Illinois Department of Public Health in | ||
accordance with 42 CFR 485, Subpart F, for outpatient services | ||
at an amount that is no less than the cost of providing such | ||
services, based on Medicare cost principles. Payments under | ||
this subsection shall be subject to appropriation. | ||
(l) On and after July 1, 2012, the Department shall reduce | ||
any rate of reimbursement for services or other payments or | ||
alter any methodologies authorized by this Code to reduce any | ||
rate of reimbursement for services or other payments in | ||
accordance with Section 5-5e. | ||
(Source: P.A. 96-1382, eff. 1-1-11; 97-689, eff. 6-14-12; | ||
revised 8-3-12.)
| ||
Section 410. The Mental Health and Developmental | ||
Disabilities Code is amended by changing Section 4-701 as | ||
follows:
| ||
(405 ILCS 5/4-701) (from Ch. 91 1/2, par. 4-701)
| ||
Sec. 4-701.
(a) Any client admitted to a developmental | ||
disabilities facility
under this Chapter may be
discharged | ||
whenever the facility director determines that he is suitable | ||
for discharge.
| ||
(b) Any client admitted to a facility or program of | ||
nonresidential services
upon court order under Article V
of | ||
this Chapter or admitted upon court order as intellectually | ||
disabled or mentally
deficient under any prior statute
shall be |
discharged whenever the facility director determines that he no
| ||
longer meets the standard for judicial
admission. When the | ||
facility director believes that continued residence
is | ||
advisable for such a client, he shall
inform the client and his | ||
guardian, if any, that the client may remain at
the facility on | ||
administrative
admission status. When a facility director | ||
discharges or changes the status
of such client, he shall | ||
promptly notify the clerk of the court who shall
note the | ||
action in the court record.
| ||
(c) When the facility director discharges a client pursuant | ||
to subsection
(b) of this Section, he shall promptly notify the | ||
State's Attorney of the
county in which the client resided | ||
immediately prior to his admission to
a developmental | ||
development disabilities facility. Upon receipt of such | ||
notice, the State's
Attorney may notify such peace officers | ||
that he deems appropriate.
| ||
(d) The facility director may grant a temporary release to | ||
any client
when such release is appropriate and
consistent with | ||
the habilitation needs of the client.
| ||
(Source: P.A. 97-227, eff. 1-1-12; revised 8-3-12.)
| ||
Section 415. The Crematory Regulation Act is amended by | ||
changing Sections 10 and 88 as follows:
| ||
(410 ILCS 18/10)
| ||
(Section scheduled to be repealed on January 1, 2021) |
Sec. 10. Establishment of crematory and licensing of
| ||
crematory authority. | ||
(a) Any person doing business in this State, or any | ||
cemetery,
funeral establishment, corporation, partnership, | ||
joint venture, voluntary
organization or any other entity, may | ||
erect, maintain, and operate a
crematory in this State and | ||
provide the necessary appliances and
facilities for the | ||
cremation of human remains in accordance with this Act.
| ||
(b) A crematory shall be subject to all local, State, and | ||
federal health and
environmental protection requirements and | ||
shall obtain all necessary licenses
and permits from the | ||
Department of Financial and Professional Regulation, the | ||
Department of Public Health, the federal Department of Health | ||
and Human
Services, and the Illinois and federal Environmental | ||
Protection Agencies, or
such other appropriate local, State, or | ||
federal agencies.
| ||
(c) A crematory may be constructed on or adjacent to any | ||
cemetery, on or
adjacent to any funeral establishment, or at | ||
any other location consistent with
local zoning regulations.
| ||
(d) An application for licensure as a crematory
authority | ||
shall be in
writing on forms furnished by the Comptroller. | ||
Applications shall be
accompanied by a fee of $50 and shall | ||
contain all of the following:
| ||
(1) The full name and address, both residence and | ||
business, of the
applicant if the applicant is an | ||
individual; the full name and address of
every member if |
the applicant is a partnership; the full name and address | ||
of
every member of the board of directors if the applicant | ||
is an association; and
the name and address of every | ||
officer, director, and shareholder holding more
than 25% of | ||
the corporate stock if the applicant is a corporation.
| ||
(2) The address and location of the crematory.
| ||
(3) A description of the type of structure and | ||
equipment to be used in
the operation of the crematory, | ||
including the operating permit number issued
to the | ||
cremation device by the Illinois Environmental Protection | ||
Agency.
| ||
(4) Any further information that the Comptroller | ||
reasonably may require.
| ||
(e) Each crematory authority shall file an annual report | ||
with the Comptroller, accompanied with a $25 fee, providing
(i) | ||
an affidavit signed by the owner of the crematory authority | ||
that at the
time
of the report the cremation device was in | ||
proper operating condition,
(ii) the total number of all | ||
cremations performed at the crematory
during the past
year, | ||
(iii) attestation by the licensee that all applicable permits | ||
and
certifications are
valid, (iv) either (A)
any changes | ||
required in the
information provided under subsection (d) or | ||
(B) an indication that no changes have
occurred, and (v) any | ||
other information that the Comptroller Department may require. | ||
The annual report shall be filed by a crematory authority on or
| ||
before March 15 of each calendar year. If the fiscal year of a |
crematory authority is other than on a calendar year basis, | ||
then the crematory authority shall file the report required by | ||
this Section within 75 days after the end of its fiscal year. | ||
If a crematory authority fails to
submit an annual report to | ||
the Comptroller within the time specified in
this Section, the | ||
Comptroller shall impose upon the crematory authority a
penalty | ||
of $5 for each and every day the crematory authority remains
| ||
delinquent in submitting the annual report. The Comptroller may | ||
abate all or
part of the $5 daily penalty for good cause shown.
| ||
(f) All records required to be maintained under this Act, | ||
including but
not limited to those relating to the license and | ||
annual
report of the
crematory authority required to be filed | ||
under this Section, shall be
subject to inspection by the | ||
Comptroller upon reasonable notice.
| ||
(g) The Comptroller may inspect crematory records at the | ||
crematory
authority's place of business to review
the
| ||
licensee's compliance with this Act. The inspection must | ||
include
verification that:
| ||
(1) the crematory authority has complied with | ||
record-keeping requirements
of this
Act;
| ||
(2) a crematory device operator's certification of | ||
training is
conspicuously
displayed at
the crematory;
| ||
(3) the cremation device has a current operating permit | ||
issued by the
Illinois
Environmental Protection Agency and | ||
the permit is conspicuously displayed
in the crematory;
| ||
(4) the crematory authority is in compliance with local |
zoning
requirements;
| ||
(5) the crematory authority license issued by the | ||
Comptroller is
conspicuously
displayed
at
the crematory; | ||
and
| ||
(6) other details as determined by rule. | ||
(h) The Comptroller shall issue licenses under this Act to | ||
the crematories
that are
registered
with
the Comptroller as of | ||
on March 1, 2012 without requiring the previously registered
| ||
crematories
to complete license applications.
| ||
(Source: P.A. 96-863, eff. 3-1-12; 97-679, eff. 2-6-12; 97-813, | ||
eff. 7-13-12; revised 7-25-12.)
| ||
(410 ILCS 18/88) | ||
(Section scheduled to be repealed on January 1, 2021) | ||
Sec. 88. Rehearing. At the conclusion of the hearing, a | ||
copy of the hearing officer's report shall be served upon the | ||
applicant or licensee by the Comptroller, either personally or | ||
as provided in this Act. Within 20 days after service, the | ||
applicant or licensee may present to the Comptroller Department | ||
a motion in writing for a rehearing, which shall specify the | ||
particular grounds for rehearing. The Comptroller may respond | ||
to the motion for rehearing within 20 days after its service on | ||
the Comptroller. If no motion for rehearing is filed, then upon | ||
the expiration of the time specified for filing such a motion, | ||
or if a motion for rehearing is denied, then upon denial, the | ||
Comptroller may enter an order in accordance with |
recommendations of the hearing officer except as provided in | ||
Section 89 of this Act. | ||
If the applicant or licensee orders from the reporting | ||
service and pays for a transcript of the record within the time | ||
for filing a motion for rehearing, the 20-day period within | ||
which a motion may be filed shall commence upon the delivery of | ||
the transcript to the applicant or licensee.
| ||
(Source: P.A. 96-863, eff. 3-1-12; 97-679, eff. 2-6-12; revised | ||
7-27-12.) | ||
Section 420. The Sexual Assault Survivors Emergency | ||
Treatment Act is amended by changing Section 7 as follows:
| ||
(410 ILCS 70/7) (from Ch. 111 1/2, par. 87-7)
| ||
Sec. 7. Reimbursement. | ||
(a) When any ambulance provider furnishes transportation, | ||
hospital provides hospital emergency services and forensic | ||
services, hospital or health care professional or laboratory | ||
provides follow-up healthcare, or pharmacy dispenses | ||
prescribed medications to any sexual
assault survivor, as | ||
defined by the Department of Healthcare and Family Services, | ||
who is neither eligible to
receive such services under the | ||
Illinois Public Aid Code nor covered as
to such services by a | ||
policy of insurance, the ambulance provider, hospital, health | ||
care professional, pharmacy, or laboratory
shall furnish such | ||
services to that person without charge and shall
be entitled to |
be reimbursed for
providing such services by the Illinois | ||
Sexual Assault Emergency Treatment Program under the
| ||
Department of Healthcare and Family Services and at the | ||
Department of Healthcare and Family Services' allowable rates | ||
under the Illinois Public Aid Code.
| ||
(b) The hospital is responsible for submitting the request | ||
for reimbursement for ambulance services, hospital emergency | ||
services, and forensic services to the Illinois Sexual Assault | ||
Emergency Treatment Program. Nothing in this Section precludes | ||
hospitals from providing follow-up healthcare and receiving | ||
reimbursement under this Section. | ||
(c) The health care professional who provides follow-up | ||
healthcare and the pharmacy that dispenses prescribed | ||
medications to a sexual assault survivor are responsible for | ||
submitting the request for reimbursement for follow-up | ||
healthcare or pharmacy services to the Illinois Sexual Assault | ||
Emergency Treatment Program. | ||
(d) On and after July 1, 2012, the Department shall reduce | ||
any rate of reimbursement for services or other payments or | ||
alter any methodologies authorized by this Act or the Illinois | ||
Public Aid Code to reduce any rate of reimbursement for | ||
services or other payments in accordance with Section 5-5e of | ||
the Illinois Public Aid Code. | ||
(e) (d) The Department of Healthcare and Family Services | ||
shall establish standards, rules, and regulations to implement | ||
this Section.
|
(Source: P.A. 97-689, eff. 6-14-12; revised 8-3-12.)
| ||
Section 425. The Illinois Solid Waste Management Act is | ||
amended by renumbering Section 10 as follows: | ||
(415 ILCS 20/7.4) | ||
Sec. 7.4 10 . The Task Force on the Advancement of Materials | ||
Recycling. | ||
(a) The Task Force on the Advancement of Materials | ||
Recycling
is hereby created to review the status of recycling | ||
and solid waste management planning in Illinois. The goal of | ||
the Task Force is to investigate and provide recommendations | ||
for expanding waste reduction, recycling, reuse, and | ||
composting in Illinois in a manner that protects the | ||
environment, as well as public health and safety, and promotes | ||
economic development. | ||
The Task Force's review shall include, but not be limited | ||
to, the following topics: county recycling and waste management | ||
planning; current and potential policies and initiatives in | ||
Illinois for waste reduction, recycling, composting, and | ||
reuse; funding for State and local oversight and regulation of | ||
solid waste activities; funding for State and local support of | ||
projects that advance solid waste reduction, recycling, reuse, | ||
and composting efforts; and the proper management of household | ||
hazardous waste. The review shall also evaluate the extent to | ||
which materials with economic value are lost to landfilling, |
and it shall also recommend ways to maximize the productive use | ||
of waste materials through efforts such as materials recycling | ||
and composting. | ||
(b) The Task Force on the Advancement of Materials | ||
Recycling shall consist of the following 21 members appointed | ||
as follows: | ||
(1) four legislators, appointed one each by the | ||
President of the Senate, the Minority Leader of the Senate, | ||
the Speaker of the House of Representatives, and the | ||
Minority Leader of the House of Representatives; | ||
(2) the Director of the Illinois Environmental | ||
Protection Agency, or his or her representative; | ||
(3) the Director of Commerce and Economic Opportunity, | ||
or his or her representative; | ||
(4) two persons appointed by the Director of Commerce | ||
and Economic Opportunity to represent local governments; | ||
(5) two persons appointed by the Director of the | ||
Illinois Environmental Protection Agency to represent a | ||
local solid waste management agency; | ||
(6) two persons appointed by the Director of the | ||
Illinois Environmental Protection Agency to represent the | ||
solid waste management industry; | ||
(7) one person appointed by the Director of Commerce | ||
and Economic Opportunity to represent non-profit | ||
organizations that provide recycling services; | ||
(8) one person appointed by the Director of Commerce |
and Economic Opportunity to represent recycling collection | ||
and processing services; | ||
(9) one person appointed by the Director of Commerce | ||
and Economic Opportunity to represent construction and | ||
demolition debris recycling services; | ||
(10) one person appointed by the Director of Commerce | ||
and Economic Opportunity to represent organic composting | ||
services; | ||
(11) one person appointed by the Director of Commerce | ||
and Economic Opportunity to represent general recycling | ||
interests; | ||
(12) one person appointed by the Director of the | ||
Illinois Environmental Protection Agency to represent | ||
environmental interest groups; | ||
(13) one person appointed by the Director of Commerce | ||
and Economic Opportunity to represent environmental | ||
interest groups; | ||
(14) one person appointed by the Director of the | ||
Illinois Environmental Protection Agency to represent a | ||
statewide manufacturing trade association; and | ||
(15) one person appointed by the Director of the | ||
Illinois Environmental Protection Agency to represent a | ||
statewide business association. | ||
(c) The Directors of Commerce and Economic Opportunity and | ||
the Illinois Environmental Protection Agency, or their | ||
representatives, shall co-chair and facilitate the Task Force. |
(d) The members of the Task Force shall be appointed no | ||
later than 90 days after the effective date of this amendatory | ||
Act of the 97th General Assembly. The members of the Task Force | ||
shall not receive compensation for serving as members of the | ||
Task Force. | ||
(e) The Task Force shall seek assistance from the Illinois | ||
Department of Central Management Services, the Illinois Green | ||
Economy Network, and the Illinois Green Governments | ||
Coordinating Council to help facilitate the Task Force, using | ||
technology, such as video conferencing and meeting space, with | ||
the goal of reducing costs and greenhouse gas emissions | ||
associated with travel. | ||
(f) The Task Force shall prepare a report that summarizes | ||
its work and makes recommendations resulting from its study, | ||
and it shall submit a report of its findings and | ||
recommendations to the Governor and the General Assembly no | ||
later than 2 years after the effective date of this amendatory | ||
Act of the 97th General Assembly. | ||
(g) The Task Force, upon issuing the report described in | ||
subsection (f) of this Section, is dissolved and this Section | ||
is repealed.
| ||
(Source: P.A. 97-853, eff. 1-1-13; revised 9-11-12.) | ||
Section 430. The Wildlife Code is amended by changing | ||
Section 2.30 as follows:
|
(520 ILCS 5/2.30) (from Ch. 61, par. 2.30)
| ||
Sec. 2.30. It shall be unlawful for any person to trap or | ||
to hunt
with gun, dog, dog and gun, or bow and arrow, gray fox, | ||
red fox,
raccoon, weasel, mink, muskrat, badger, and opossum | ||
except during
the open season which will be set annually by the | ||
Director between 12:01
a.m., November 1 to 12:00 midnight, | ||
February 15, both inclusive.
| ||
It is unlawful for any person to take bobcat
in this State | ||
at any time.
| ||
It is unlawful to pursue any fur-bearing mammal with a dog | ||
or dogs
between the hours of sunset and sunrise during the 10 | ||
day period
preceding the opening date of the raccoon hunting | ||
season and the 10 day
period following the closing date of the | ||
raccoon hunting season except
that the Department may issue | ||
field trial permits in accordance with Section
2.34 of this | ||
Act. A non-resident from a state with more restrictive
| ||
fur-bearer pursuit regulations for any particular species than | ||
provided for
that species in this Act may not pursue that | ||
species in Illinois except
during the period of time that | ||
Illinois residents are allowed to pursue
that species in the | ||
non-resident's state of residence. Hound running areas | ||
approved by the Department shall be exempt from the
provisions | ||
of this Section.
| ||
It shall be unlawful to take beaver, river otter, weasel, | ||
mink or muskrat except during
the open season set annually by | ||
the Director, and then, only with traps.
|
It shall be unlawful for any person to trap beaver or river | ||
otter with traps except during
the open season which will be | ||
set annually by the Director between 12:01
a.m., November 1st | ||
and 12:00 midnight, March 31, both inclusive.
| ||
Coyote may be taken by trapping methods only during the | ||
period from
September 1 to March 1, both inclusive, and by | ||
hunting methods at any time.
| ||
Striped skunk may be taken by trapping methods only during | ||
the period
from September 1 to March 1, both inclusive, and by | ||
hunting methods at
any time.
| ||
Muskrat may be taken by trapping methods during an open | ||
season set annually by the Director. | ||
For the purpose of taking fur-bearing mammals, the State | ||
may be
divided into management zones by administrative rule.
| ||
The provisions of this Section are subject to modification | ||
by
administrative rule.
| ||
It shall be unlawful to take or possess more than the | ||
season limit or possession limit of fur-bearing mammals that | ||
shall be set annually by the Director. The season limit for | ||
river otter shall not exceed 5 river otters per person per | ||
season. Possession limits shall not apply to fur buyers, | ||
tanners, manufacturers, and taxidermists, as defined by this | ||
Act, who possess fur-bearing mammals in accordance with laws | ||
governing such activities. | ||
Nothing in this Section shall prohibit the taking or | ||
possessing of fur-bearing mammals found dead or |
unintentionally killed by a vehicle along a roadway during the | ||
open season provided the person who possesses such fur-bearing | ||
mammals has all appropriate licenses, stamps, or permits; the | ||
season for which the species possessed is open; and that such | ||
possession and disposal of such fur-bearing mammals is | ||
otherwise subject to the provisions of this Section. | ||
The provisions of this Section are subject to modification | ||
by administrative rule. | ||
(Source: P.A. 97-19, eff. 6-28-11; 97-31, eff. 6-28-11; 97-628, | ||
eff. 11-10-11; revised 12-16-11.)
| ||
Section 435. The Illinois Veteran, Youth, and Young Adult | ||
Conservation Jobs Act is amended by changing the title of the | ||
Act and Sections 4, 5, and 9 as follows:
| ||
(525 ILCS 50/Act title)
| ||
An Act in relation to conservation and recreation children .
| ||
(525 ILCS 50/4) (from Ch. 48, par. 2554)
| ||
Sec. 4. Definition of Terms. For the purposes of this Act:
| ||
(a) "Department" means the Department of Natural | ||
Resources.
| ||
(b) "Director" means the Director of Natural Resources.
| ||
(c) "Local sponsor" means any unit of local government or
| ||
not-for-profit entity that can make available for a summer | ||
conservation or recreation program park lands, conservation or |
recreational lands or facilities, equipment, materials,
| ||
administration, supervisory personnel, etc.
| ||
(d) "Managing supervisor" means an enrollee in the Illinois | ||
Veteran Veterans Recreation Corps or the Illinois Youth | ||
Recreation Corps who is selected by the local sponsor to | ||
supervise the activities of the veterans or youth employee | ||
enrollees working on the conservation or recreation project. A | ||
managing supervisor in the Illinois Youth Recreation Corps may | ||
be 19 years of age or older. | ||
(e) "Veteran" means an Illinois resident who has served or | ||
is currently serving as a member of the United States Armed | ||
Forces, a member of the Illinois National Guard, or a member of | ||
a Reserve Component of the United States Armed Forces. | ||
(Source: P.A. 97-738, eff. 7-5-12; revised 8-3-12.)
| ||
(525 ILCS 50/5) (from Ch. 48, par. 2555)
| ||
Sec. 5. Cooperation. The Department of Natural Resources | ||
shall have the
full cooperation of the Illinois Department of | ||
Veterans' Affairs, the Department of Commerce and Economic | ||
Opportunity, the
Illinois State Job Coordinating Council | ||
created by the Federal Job Training
Partnership Act (Public Law | ||
97-300), and the Department of Employment
Security to carry out | ||
the purposes of this Act.
| ||
(Source: P.A. 97-738, eff. 7-5-12; revised 8-3-12.)
| ||
(525 ILCS 50/9) |
Sec. 9. Illinois Veteran Recreation Corps. With respect to | ||
the Illinois Veteran Recreation Corps: | ||
(a) Purpose. The Illinois Veteran Recreation Corps is | ||
established for the purpose of making grants to local sponsors | ||
to provide wages to veterans of any age operating and | ||
instructing in conservation or recreational programs. Such | ||
programs shall provide conservation or recreational | ||
opportunities and shall include, but are not limited to, the | ||
coordination and teaching of natural resource conservation and | ||
management, physical activities, or learning activities | ||
directly related to natural resource conservation management | ||
or recreation. Such programs may charge user fees, but such | ||
fees shall be designed to promote as much community involvement | ||
as possible, as determined by the Department. | ||
(b) Application. Local sponsors who can provide necessary | ||
facilities, materials, and management for summer conservation | ||
or recreational activities within the community and who desire | ||
a grant under this Act for the purpose of hiring managing | ||
supervisors as necessary and eligible veterans for such | ||
conservation or recreational programs may make application to | ||
the Department. Applications shall be evaluated on the basis of | ||
program content, location, need, local commitment of | ||
resources, and consistency with the purposes of this Act. | ||
(c) Enrollment. The Illinois Veteran Veterans' Recreation | ||
Corps shall be limited to citizens of this State who at the | ||
time of enrollment are veterans of any age and are unemployed |
and who have skills that can be utilized in the summer | ||
conservation or recreational program. Preference may be given | ||
to veterans with a disability. | ||
The ratio of veterans employee enrollees to a managing | ||
supervisor must not be less than 10 to 1 for any local sponsor | ||
with a total number of veterans employee enrollees of 10 or | ||
more. Any local sponsor program with a total number of veteran | ||
employee enrollees of less than 10 must be limited to one | ||
managing supervisor. Veterans who are unemployed shall be given | ||
preference for employment as managing supervisors. | ||
The local sponsors shall make public notification of the | ||
availability of jobs for eligible veterans in the Illinois | ||
Veteran Veterans Recreation Corps by the means of newspapers, | ||
electronic media, educational facilities, units of local | ||
government, and Department of Employment Security offices. | ||
Application for employment shall be made directly to the local | ||
sponsor. | ||
The Department shall adopt reasonable rules pertaining to | ||
the administration of the Illinois Veteran Recreation Corps. | ||
(d) Terms of employment. The enrollment period for any | ||
successful applicant of the program shall not be longer than 6 | ||
total months. Once enrolled in the program, each enrollee shall | ||
receive a reasonable wage as set by the Department and shall | ||
work hours as required by the conservation or recreation | ||
program but not in excess of a maximum number of hours as | ||
determined by the Department, except that an enrollee working |
as a managing supervisor shall receive a higher wage than an | ||
enrollee working in any other capacity on the conservation or | ||
recreation program. Enrollees shall be employees of the local | ||
sponsor and not contractual hires for the purpose of employment | ||
taxes, except that enrollees shall not be classified as | ||
employees of the State or the local sponsor for purposes of | ||
contributions to the State Employees' Retirement System of | ||
Illinois or any other public employee retirement system.
| ||
(Source: P.A. 97-738, eff. 7-5-12; revised 8-3-12.) | ||
Section 440. The Illinois Vehicle Code is amended by | ||
changing Sections 2-123, 3-400, 3-609, 3-658, 3-806, 3-815, | ||
3-902, 6-106, 6-110, 6-500, 11-208.6, 11-208.8, 11-501.01, | ||
11-1301.1, 11-1301.2, 11-1301.3, 11-1301.5, 11-1302, and | ||
12-610.1 as follows:
| ||
(625 ILCS 5/2-123) (from Ch. 95 1/2, par. 2-123)
| ||
Sec. 2-123. Sale and Distribution of Information.
| ||
(a) Except as otherwise provided in this Section, the | ||
Secretary may make the
driver's license, vehicle and title | ||
registration lists, in part or in whole,
and any statistical | ||
information derived from these lists available to local
| ||
governments, elected state officials, state educational | ||
institutions, and all
other governmental units of the State and | ||
Federal
Government
requesting them for governmental purposes. | ||
The Secretary shall require any such
applicant for services to |
pay for the costs of furnishing such services and the
use of | ||
the equipment involved, and in addition is empowered to | ||
establish prices
and charges for the services so furnished and | ||
for the use of the electronic
equipment utilized.
| ||
(b) The Secretary is further empowered to and he may, in | ||
his discretion,
furnish to any applicant, other than listed in | ||
subsection (a) of this Section,
vehicle or driver data on a | ||
computer tape, disk, other electronic format or
computer | ||
processable medium, or printout at a fixed fee of
$250 for | ||
orders received before October 1, 2003 and $500 for orders | ||
received
on or after October 1, 2003, in advance, and require | ||
in addition a
further sufficient
deposit based upon the | ||
Secretary of State's estimate of the total cost of the
| ||
information requested and a charge of $25 for orders received | ||
before October
1, 2003 and $50 for orders received on or after | ||
October 1, 2003, per 1,000
units or part
thereof identified or | ||
the actual cost, whichever is greater. The Secretary is
| ||
authorized to refund any difference between the additional | ||
deposit and the
actual cost of the request. This service shall | ||
not be in lieu of an abstract
of a driver's record nor of a | ||
title or registration search. This service may
be limited to | ||
entities purchasing a minimum number of records as required by
| ||
administrative rule. The information
sold pursuant to this | ||
subsection shall be the entire vehicle or driver data
list, or | ||
part thereof. The information sold pursuant to this subsection
| ||
shall not contain personally identifying information unless |
the information is
to be used for one of the purposes | ||
identified in subsection (f-5) of this
Section. Commercial | ||
purchasers of driver and vehicle record databases shall
enter | ||
into a written agreement with the Secretary of State that | ||
includes
disclosure of the commercial use of the information to | ||
be purchased. | ||
(b-1) The Secretary is further empowered to and may, in his | ||
or her discretion, furnish vehicle or driver data on a computer | ||
tape, disk, or other electronic format or computer processible | ||
medium, at no fee, to any State or local governmental agency | ||
that uses the information provided by the Secretary to transmit | ||
data back to the Secretary that enables the Secretary to | ||
maintain accurate driving records, including dispositions of | ||
traffic cases. This information may be provided without fee not | ||
more often than once every 6 months.
| ||
(c) Secretary of State may issue registration lists. The | ||
Secretary
of State may compile a list of all registered
| ||
vehicles. Each list of registered vehicles shall be arranged | ||
serially
according to the registration numbers assigned to | ||
registered vehicles and
may contain in addition the names and | ||
addresses of registered owners and
a brief description of each | ||
vehicle including the serial or other
identifying number | ||
thereof. Such compilation may be in such form as in the
| ||
discretion of the Secretary of State may seem best for the | ||
purposes intended.
| ||
(d) The Secretary of State shall furnish no more than 2 |
current available
lists of such registrations to the sheriffs | ||
of all counties and to the chiefs
of police of all cities and | ||
villages and towns of 2,000 population and over
in this State | ||
at no cost. Additional copies may be purchased by the sheriffs
| ||
or chiefs of police at the fee
of $500 each or at the cost of | ||
producing the list as determined
by the Secretary of State. | ||
Such lists are to be used for governmental
purposes only.
| ||
(e) (Blank).
| ||
(e-1) (Blank).
| ||
(f) The Secretary of State shall make a title or | ||
registration search of the
records of his office and a written | ||
report on the same for any person, upon
written application of | ||
such person, accompanied by a fee of $5 for
each registration | ||
or title search. The written application shall set forth
the | ||
intended use of the requested information. No fee shall be | ||
charged for a
title or
registration search, or for the | ||
certification thereof requested by a government
agency. The | ||
report of the title or registration search shall not contain
| ||
personally identifying information unless the request for a | ||
search was made for
one of the purposes identified in | ||
subsection (f-5) of this Section. The report of the title or | ||
registration search shall not contain highly
restricted | ||
personal
information unless specifically authorized by this | ||
Code.
| ||
The Secretary of State shall certify a title or | ||
registration record upon
written request. The fee for |
certification shall be $5 in addition
to the fee required for a | ||
title or registration search. Certification shall
be made under | ||
the signature of the Secretary of State and shall be
| ||
authenticated by Seal of the Secretary of State.
| ||
The Secretary of State may notify the vehicle owner or | ||
registrant of
the request for purchase of his title or | ||
registration information as the
Secretary deems appropriate.
| ||
No information shall be released to the requestor until | ||
expiration of a
10 day period. This 10 day period shall not | ||
apply to requests for
information made by law enforcement | ||
officials, government agencies,
financial institutions, | ||
attorneys, insurers, employers, automobile
associated | ||
businesses, persons licensed as a private detective or firms
| ||
licensed as a private detective agency under the Private | ||
Detective, Private
Alarm, Private Security, Fingerprint | ||
Vendor, and Locksmith Act of 2004, who are employed by or are
| ||
acting on
behalf of law enforcement officials, government | ||
agencies, financial
institutions, attorneys, insurers, | ||
employers, automobile associated businesses,
and other | ||
business entities for purposes consistent with the Illinois | ||
Vehicle
Code, the vehicle owner or registrant or other entities | ||
as the Secretary may
exempt by rule and regulation.
| ||
Any misrepresentation made by a requestor of title or | ||
vehicle information
shall be punishable as a petty offense, | ||
except in the case of persons
licensed as a private detective | ||
or firms licensed as a private detective agency
which shall be |
subject to disciplinary sanctions under Section 40-10 of the
| ||
Private Detective, Private Alarm, Private Security, | ||
Fingerprint Vendor, and Locksmith Act of 2004.
| ||
(f-5) The Secretary of State shall not disclose or | ||
otherwise make
available to
any person or entity any personally | ||
identifying information obtained by the
Secretary
of State in | ||
connection with a driver's license, vehicle, or title | ||
registration
record
unless the information is disclosed for one | ||
of the following purposes:
| ||
(1) For use by any government agency, including any | ||
court or law
enforcement agency, in carrying out its | ||
functions, or any private person or
entity acting on behalf | ||
of a federal, State, or local agency in carrying out
its
| ||
functions.
| ||
(2) For use in connection with matters of motor vehicle | ||
or driver safety
and theft; motor vehicle emissions; motor | ||
vehicle product alterations, recalls,
or advisories; | ||
performance monitoring of motor vehicles, motor vehicle | ||
parts,
and dealers; and removal of non-owner records from | ||
the original owner
records of motor vehicle manufacturers.
| ||
(3) For use in the normal course of business by a | ||
legitimate business or
its agents, employees, or | ||
contractors, but only:
| ||
(A) to verify the accuracy of personal information | ||
submitted by
an individual to the business or its | ||
agents, employees, or contractors;
and
|
(B) if such information as so submitted is not | ||
correct or is no
longer correct, to obtain the correct | ||
information, but only for the
purposes of preventing | ||
fraud by, pursuing legal remedies against, or
| ||
recovering on a debt or security interest against, the | ||
individual.
| ||
(4) For use in research activities and for use in | ||
producing statistical
reports, if the personally | ||
identifying information is not published,
redisclosed, or | ||
used to
contact individuals.
| ||
(5) For use in connection with any civil, criminal, | ||
administrative, or
arbitral proceeding in any federal, | ||
State, or local court or agency or before
any
| ||
self-regulatory body, including the service of process, | ||
investigation in
anticipation of litigation, and the | ||
execution or enforcement of judgments and
orders, or | ||
pursuant to an order of a federal, State, or local court.
| ||
(6) For use by any insurer or insurance support | ||
organization or by a
self-insured entity or its agents, | ||
employees, or contractors in connection with
claims | ||
investigation activities, antifraud activities, rating, or | ||
underwriting.
| ||
(7) For use in providing notice to the owners of towed | ||
or
impounded vehicles.
| ||
(8) For use by any person licensed as a private | ||
detective or firm licensed as a private
detective agency |
under
the Private Detective, Private Alarm, Private | ||
Security, Fingerprint Vendor, and Locksmith Act of
2004, | ||
private investigative agency or security service
licensed | ||
in Illinois for any purpose permitted under this | ||
subsection.
| ||
(9) For use by an employer or its agent or insurer to | ||
obtain or verify
information relating to a holder of a | ||
commercial driver's license that is
required under chapter | ||
313 of title 49 of the United States Code.
| ||
(10) For use in connection with the operation of | ||
private toll
transportation facilities.
| ||
(11) For use by any requester, if the requester | ||
demonstrates it has
obtained the written consent of the | ||
individual to whom the information
pertains.
| ||
(12) For use by members of the news media, as defined | ||
in
Section 1-148.5, for the purpose of newsgathering when | ||
the request relates to
the
operation of a motor vehicle or | ||
public safety.
| ||
(13) For any other use specifically authorized by law, | ||
if that use is
related to the operation of a motor vehicle | ||
or public safety. | ||
(f-6) The Secretary of State shall not disclose or | ||
otherwise make
available to any
person or entity any highly | ||
restricted personal information obtained by the
Secretary of
| ||
State in connection with a driver's license, vehicle, or
title | ||
registration
record unless
specifically authorized by this |
Code.
| ||
(g) 1. The Secretary of State may, upon receipt of a | ||
written request
and a fee of $6 before October 1, 2003 and | ||
a fee of $12 on and after October
1, 2003, furnish to the | ||
person or agency so requesting a
driver's record. Such | ||
document may include a record of: current driver's
license | ||
issuance information, except that the information on | ||
judicial driving
permits shall be available only as | ||
otherwise provided by this Code;
convictions; orders | ||
entered revoking, suspending or cancelling a
driver's
| ||
license or privilege; and notations of accident | ||
involvement. All other
information, unless otherwise | ||
permitted by
this Code, shall remain confidential. | ||
Information released pursuant to a
request for a driver's | ||
record shall not contain personally identifying
| ||
information, unless the request for the driver's record was | ||
made for one of the
purposes set forth in subsection (f-5) | ||
of this Section. The Secretary of State may, without fee, | ||
allow a parent or guardian of a person under the age of 18 | ||
years, who holds an instruction permit or graduated | ||
driver's license, to view that person's driving record | ||
online, through a computer connection.
The parent or | ||
guardian's online access to the driving record will | ||
terminate when the instruction permit or graduated | ||
driver's license holder reaches the age of 18.
| ||
2. The Secretary of State shall not disclose or |
otherwise make available
to any
person or
entity any highly | ||
restricted personal information obtained by the Secretary | ||
of
State in
connection with a driver's license, vehicle, or | ||
title
registration record
unless specifically
authorized | ||
by this Code. The Secretary of State may certify an | ||
abstract of a driver's record
upon written request | ||
therefor. Such certification
shall be made under the | ||
signature of the Secretary of State and shall be
| ||
authenticated by the Seal of his office.
| ||
3. All requests for driving record information shall be | ||
made in a manner
prescribed by the Secretary and shall set | ||
forth the intended use of the
requested information.
| ||
The Secretary of State may notify the affected driver | ||
of the request
for purchase of his driver's record as the | ||
Secretary deems appropriate.
| ||
No information shall be released to the requester until | ||
expiration of a
10 day period. This 10 day period shall not | ||
apply to requests for information
made by law enforcement | ||
officials, government agencies, financial institutions,
| ||
attorneys, insurers, employers, automobile associated | ||
businesses, persons
licensed as a private detective or | ||
firms licensed as a private detective agency
under the | ||
Private Detective, Private Alarm, Private Security, | ||
Fingerprint Vendor, and Locksmith Act
of 2004,
who are | ||
employed by or are acting on behalf of law enforcement | ||
officials,
government agencies, financial institutions, |
attorneys, insurers, employers,
automobile associated | ||
businesses, and other business entities for purposes
| ||
consistent with the Illinois Vehicle Code, the affected | ||
driver or other
entities as the Secretary may exempt by | ||
rule and regulation.
| ||
Any misrepresentation made by a requestor of driver | ||
information shall
be punishable as a petty offense, except | ||
in the case of persons licensed as
a private detective or | ||
firms licensed as a private detective agency which shall
be | ||
subject to disciplinary sanctions under Section 40-10 of | ||
the Private
Detective, Private Alarm, Private Security, | ||
Fingerprint Vendor, and Locksmith Act of 2004.
| ||
4. The Secretary of State may furnish without fee, upon | ||
the written
request of a law enforcement agency, any | ||
information from a driver's
record on file with the | ||
Secretary of State when such information is required
in the | ||
enforcement of this Code or any other law relating to the | ||
operation
of motor vehicles, including records of | ||
dispositions; documented
information involving the use of | ||
a motor vehicle; whether such individual
has, or previously | ||
had, a driver's license; and the address and personal
| ||
description as reflected on said driver's record.
| ||
5. Except as otherwise provided in this Section, the | ||
Secretary of
State may furnish, without fee, information | ||
from an individual driver's
record on file, if a written | ||
request therefor is submitted
by any public transit system |
or authority, public defender, law enforcement
agency, a | ||
state or federal agency, or an Illinois local | ||
intergovernmental
association, if the request is for the | ||
purpose of a background check of
applicants for employment | ||
with the requesting agency, or for the purpose of
an | ||
official investigation conducted by the agency, or to | ||
determine a
current address for the driver so public funds | ||
can be recovered or paid to
the driver, or for any other | ||
purpose set forth in subsection (f-5)
of this Section.
| ||
The Secretary may also furnish the courts a copy of an | ||
abstract of a
driver's record, without fee, subsequent to | ||
an arrest for a violation of
Section 11-501 or a similar | ||
provision of a local ordinance. Such abstract
may include | ||
records of dispositions; documented information involving
| ||
the use of a motor vehicle as contained in the current | ||
file; whether such
individual has, or previously had, a | ||
driver's license; and the address and
personal description | ||
as reflected on said driver's record.
| ||
6. Any certified abstract issued by the Secretary of | ||
State or
transmitted electronically by the Secretary of | ||
State pursuant to this
Section,
to a court or on request of | ||
a law enforcement agency, for the record of a
named person | ||
as to the status of the person's driver's license shall be
| ||
prima facie evidence of the facts therein stated and if the | ||
name appearing
in such abstract is the same as that of a | ||
person named in an information or
warrant, such abstract |
shall be prima facie evidence that the person named
in such | ||
information or warrant is the same person as the person | ||
named in
such abstract and shall be admissible for any | ||
prosecution under this Code and
be admitted as proof of any | ||
prior conviction or proof of records, notices, or
orders | ||
recorded on individual driving records maintained by the | ||
Secretary of
State.
| ||
7. Subject to any restrictions contained in the | ||
Juvenile Court Act of
1987, and upon receipt of a proper | ||
request and a fee of $6 before October 1,
2003 and a fee of | ||
$12 on or after October 1, 2003, the
Secretary of
State | ||
shall provide a driver's record to the affected driver, or | ||
the affected
driver's attorney, upon verification. Such | ||
record shall contain all the
information referred to in | ||
paragraph 1 of this subsection (g) plus: any
recorded | ||
accident involvement as a driver; information recorded | ||
pursuant to
subsection (e) of Section 6-117 and paragraph | ||
(4) of subsection (a) of
Section 6-204 of this Code. All | ||
other information, unless otherwise permitted
by this | ||
Code, shall remain confidential.
| ||
(h) The Secretary shall not disclose social security | ||
numbers or any associated information obtained from the Social | ||
Security Administration except pursuant
to a written request | ||
by, or with the prior written consent of, the
individual | ||
except: (1) to officers and employees of the Secretary
who
have | ||
a need to know the social security numbers in performance of |
their
official duties, (2) to law enforcement officials for a | ||
lawful, civil or
criminal law enforcement investigation, and if | ||
the head of the law enforcement
agency has made a written | ||
request to the Secretary specifying the law
enforcement | ||
investigation for which the social security numbers are being
| ||
sought, (3) to the United States Department of Transportation, | ||
or any other
State, pursuant to the administration and | ||
enforcement of the Commercial
Motor Vehicle Safety Act of 1986, | ||
(4) pursuant to the order of a court
of competent jurisdiction, | ||
(5) to the Department of Healthcare and Family Services | ||
(formerly Department of Public Aid) for
utilization
in the | ||
child support enforcement duties assigned to that Department | ||
under
provisions of the Illinois Public Aid Code after the | ||
individual has received advanced
meaningful notification of | ||
what redisclosure is sought by the Secretary in
accordance with | ||
the federal Privacy Act, (5.5) to the Department of Healthcare | ||
and Family Services and the Department of Human Services solely | ||
for the purpose of verifying Illinois residency where such | ||
residency is an eligibility requirement for benefits under the | ||
Illinois Public Aid Code or any other health benefit program | ||
administered by the Department of Healthcare and Family | ||
Services or the Department of Human Services, or (6) to the | ||
Illinois Department of Revenue solely for use by the Department | ||
in the collection of any tax or debt that the Department of | ||
Revenue is authorized or required by law to collect, provided | ||
that the Department shall not disclose the social security |
number to any person or entity outside of the Department, or | ||
(7) to the Illinois Department of Veterans' Affairs for the | ||
purpose of confirming veteran status.
| ||
(i) (Blank).
| ||
(j) Medical statements or medical reports received in the | ||
Secretary of
State's Office shall be confidential. Except as | ||
provided in this Section, no confidential information may be
| ||
open to public inspection or the contents disclosed to anyone, | ||
except
officers and employees of the Secretary who have a need | ||
to know the information
contained in the medical reports and | ||
the Driver License Medical Advisory
Board, unless so directed | ||
by an order of a court of competent jurisdiction. If the | ||
Secretary receives a medical report regarding a driver that | ||
does not address a medical condition contained in a previous | ||
medical report, the Secretary may disclose the unaddressed | ||
medical condition to the driver or his or her physician, or | ||
both, solely for the purpose of submission of a medical report | ||
that addresses the condition.
| ||
(k) All fees collected under this Section shall be paid | ||
into the Road
Fund of the State Treasury, except that (i) for | ||
fees collected before October
1, 2003, $3 of the $6 fee for a
| ||
driver's record shall be paid into the Secretary of State | ||
Special Services
Fund, (ii) for fees collected on and after | ||
October 1, 2003, of the $12 fee
for a driver's record, $3 shall | ||
be paid into the Secretary of State Special
Services Fund and | ||
$6 shall be paid into the General Revenue Fund, and (iii) for
|
fees collected on and after October 1, 2003, 50% of the amounts | ||
collected
pursuant to subsection (b) shall be paid into the | ||
General Revenue Fund.
| ||
(l) (Blank).
| ||
(m) Notations of accident involvement that may be disclosed | ||
under this
Section shall not include notations relating to | ||
damage to a vehicle or other
property being transported by a | ||
tow truck. This information shall remain
confidential, | ||
provided that nothing in this subsection (m) shall limit
| ||
disclosure of any notification of accident involvement to any | ||
law enforcement
agency or official.
| ||
(n) Requests made by the news media for driver's license, | ||
vehicle, or
title registration information may be furnished | ||
without charge or at a reduced
charge, as determined by the | ||
Secretary, when the specific purpose for
requesting the | ||
documents is deemed to be in the public interest. Waiver or
| ||
reduction of the fee is in the public interest if the principal | ||
purpose of the
request is to access and disseminate information | ||
regarding the health, safety,
and welfare or the legal rights | ||
of the general public and is not for the
principal purpose of | ||
gaining a personal or commercial benefit.
The information | ||
provided pursuant to this subsection shall not contain
| ||
personally identifying information unless the information is | ||
to be used for one
of the
purposes identified in subsection | ||
(f-5) of this Section.
| ||
(o) The redisclosure of personally identifying information
|
obtained
pursuant
to this Section is prohibited, except to the | ||
extent necessary to effectuate the
purpose
for which the | ||
original disclosure of the information was permitted.
| ||
(p) The Secretary of State is empowered to adopt rules
to
| ||
effectuate this Section.
| ||
(Source: P.A. 96-1383, eff. 1-1-11; 96-1501, eff. 1-25-11; | ||
97-229, eff. 7-28-11; 97-739, eff. 1-1-13; revised 8-3-12.)
| ||
(625 ILCS 5/3-400) (from Ch. 95 1/2, par. 3-400)
| ||
Sec. 3-400. Definitions Definition . Notwithstanding the | ||
definition set forth in
Chapter 1 of this Act, for the purposes | ||
of this Article, the following
words shall have the meaning | ||
ascribed to them as follows:
| ||
"Apportionable Fee" means any periodic recurring fee | ||
required for
licensing or registering vehicles, such as, but | ||
not limited to,
registration fees, license or weight fees.
| ||
"Apportionable Vehicle" means any vehicle, except | ||
recreational
vehicles, vehicles displaying restricted plates, | ||
city pickup and delivery
vehicles, buses used in transportation | ||
of chartered parties, and government
owned vehicles that are | ||
used or intended for use in 2 or more member
jurisdictions that | ||
allocate or proportionally register vehicles, in a
fleet which | ||
is used for the transportation of persons for hire or the
| ||
transportation of property and which has a gross vehicle weight | ||
in excess of
26,000 pounds; or has three or more axles | ||
regardless of weight; or is used in
combination when the weight |
of such combination exceeds 26,000 pounds gross
vehicle weight. | ||
Vehicles, or combinations having a gross vehicle weight of
| ||
26,000 pounds or less and two-axle vehicles may be | ||
proportionally registered at
the option of such owner.
| ||
"Base Jurisdiction" means, for purposes of fleet | ||
registration, the
jurisdiction where the registrant has an | ||
established place of business,
where operational records of the | ||
fleet are maintained and where mileage
is accrued by the fleet. | ||
In case a registrant operates more than one
fleet, and | ||
maintains records for each fleet in different places, the
"base | ||
jurisdiction" for a fleet shall be the jurisdiction where an
| ||
established place of business is maintained, where records of | ||
the
operation of that fleet are maintained and where mileage is | ||
accrued by
that fleet.
| ||
"Operational Records" means documents supporting miles | ||
traveled in
each jurisdiction and total miles traveled, such as | ||
fuel reports, trip
leases, and logs.
| ||
Owner. A person who holds legal title of a motor vehicle, | ||
or in the
event a motor vehicle is the subject of an agreement | ||
for the conditional
sale or lease thereof with the right of | ||
purchase upon performance of the
conditions stated in the | ||
agreement and with an immediate right of
possession vested in | ||
the conditional vendee or lessee with right of
purchase, or in | ||
the event a mortgagor of such motor vehicle is entitled
to | ||
possession, or in the event a lessee of such motor vehicle is
| ||
entitled to possession or control, then such conditional vendee |
or
lessee with right of purchase or mortgagor or lessee is | ||
considered to be
the owner for the purpose of this Act.
| ||
"Registration plate cover" means any tinted, colored, | ||
painted, marked, clear, or illuminated object that is designed | ||
to (i) cover any of the characters of a motor vehicle's
| ||
registration plate; or (ii) distort a recorded image of any of | ||
the characters
of a motor vehicle's registration plate recorded | ||
by an automated enforcement system as defined in Section | ||
11-208.6, 11-208.8, or 11-1201.1 of this Code or recorded by an | ||
automated traffic control system as defined in Section 15 of | ||
the Automated Traffic Control Systems in Highway Construction | ||
or Maintenance Zones Act. | ||
"Rental Owner" means an owner principally engaged, with | ||
respect to
one or more rental fleets, in renting to others or | ||
offering for rental
the vehicles of such fleets, without | ||
drivers.
| ||
"Restricted Plates" shall include but are not limited to | ||
dealer,
manufacturer, transporter, farm, repossessor, and | ||
permanently mounted type
plates. Vehicles displaying any of | ||
these type plates from a foreign
jurisdiction that is a member | ||
of the International Registration Plan shall be
granted | ||
reciprocity but shall be subject to the same limitations as | ||
similar
plated Illinois registered vehicles.
| ||
(Source: P.A. 97-743, eff. 1-1-13; revised 8-3-12.)
| ||
(625 ILCS 5/3-609) (from Ch. 95 1/2, par. 3-609)
|
Sec. 3-609. Disabled Veterans' Plates. | ||
(a) Any veteran who holds proof of a service-connected | ||
disability from the United States Department of Veterans | ||
Affairs, and who has obtained certification from a licensed | ||
physician, physician assistant, or advanced practice nurse | ||
that the service-connected disability qualifies the veteran | ||
for issuance of registration plates or decals to a person with | ||
disabilities in accordance with Section 3-616, may, without the | ||
payment of any registration fee, make application to the | ||
Secretary of State for disabled veterans license plates | ||
displaying the international symbol of access, for the | ||
registration of one motor vehicle of the first division or one | ||
motor vehicle of the second division weighing not more than | ||
8,000 pounds. | ||
(b) Any veteran who holds proof of a service-connected | ||
disability from the United States Department of Veterans | ||
Affairs, and whose degree of disability has been declared to be | ||
50% or more, but whose disability does not qualify the veteran | ||
for a plate or decal for persons with disabilities under | ||
Section 3-616, may, without the payment of any registration | ||
fee, make application to the Secretary for a special | ||
registration plate without the international symbol of access | ||
for the registration of one motor vehicle of the first division | ||
or one motor vehicle of the second division weighing not more | ||
than 8,000 pounds.
| ||
(c) Renewal of such registration must be accompanied with |
documentation
for eligibility of registration without fee | ||
unless the applicant has a
permanent qualifying disability, and | ||
such registration plates may not be
issued to any person not | ||
eligible therefor. The Illinois Department of Veterans' | ||
Affairs may assist in providing the
documentation of | ||
disability.
| ||
(d) The design and color of the plates shall be within the | ||
discretion of the Secretary, except that the plates issued | ||
under subsection (b) of this Section shall not contain the | ||
international symbol of access. The Secretary may, in his or | ||
her discretion, allow the plates to be issued as vanity or | ||
personalized plates in accordance with Section 3-405.1 of this | ||
Code. Registration shall be for a multi-year period and may be | ||
issued staggered registration. | ||
(e) Any person eligible to receive license plates under | ||
this Section who has been approved for benefits under the | ||
Senior Citizens and Disabled Persons Property Tax Relief Act, | ||
or who has claimed and received a grant under that Act, shall | ||
pay a fee of $24 instead of the fee otherwise provided in this | ||
Code for passenger cars displaying standard multi-year | ||
registration plates issued under Section 3-414.1, for motor | ||
vehicles registered at 8,000 pounds or less under Section | ||
3-815(a), or for recreational vehicles registered at 8,000 | ||
pounds or less under Section 3-815(b), for a second set of | ||
plates under this Section.
| ||
(Source: P.A. 96-79, eff. 1-1-10; 97-689, eff. 6-14-12; 97-918, |
eff. 1-1-13; revised 8-23-12.)
| ||
(625 ILCS 5/3-658)
| ||
Sec. 3-658. Professional Sports Teams license plates.
| ||
(a) The Secretary, upon receipt of an application made in | ||
the form
prescribed by the Secretary, may issue special | ||
registration plates designated
as Professional Sports Teams | ||
license plates. The special plates issued under
this Section
| ||
shall be affixed only to passenger vehicles of the first | ||
division, motorcycles, and motor
vehicles of the second | ||
division weighing not more than 8,000 pounds. Plates
issued | ||
under this Section shall expire according to the multi-year | ||
procedure
established by Section 3-414.1 of this Code.
| ||
(b) The design and color of the plates is wholly within the | ||
discretion of
the Secretary, except that the plates shall, | ||
subject to the permission of the
applicable team owner, display | ||
the logo of the Chicago Bears, the Chicago
Bulls, the Chicago | ||
Blackhawks, the Chicago Cubs, the
Chicago White Sox, the St. | ||
Louis Rams, or the St. Louis Cardinals, at the
applicant's | ||
option. The Secretary may allow the plates to be issued as | ||
vanity
or personalized plates under Section 3-405.1 of the | ||
Code. The Secretary shall
prescribe stickers or decals as | ||
provided under Section 3-412 of this Code.
| ||
(c) An applicant for the special plate shall be charged a | ||
$40 fee for
original issuance in addition to the appropriate | ||
registration fee. Of this
fee, $25 shall be deposited into the |
Professional Sports Teams Education Fund
and $15 shall be | ||
deposited into the Secretary of State Special License Plate
| ||
Fund, to be used by the Secretary to help defray the | ||
administrative processing
costs.
| ||
For each registration renewal period, a $27 fee, in | ||
addition to the
appropriate registration fee, shall be charged. | ||
Of this fee, $25 shall be
deposited into the Professional | ||
Sports Teams Education Fund and $2 shall be
deposited into the | ||
Secretary of State Special License Plate Fund.
| ||
(d) The Professional Sports Teams Education Fund is created | ||
as a special
fund in the State treasury. The Comptroller shall | ||
order transferred and the Treasurer shall transfer all moneys | ||
in the Professional Sports Teams Team Education Fund to the | ||
Common School Fund every 6 months.
| ||
(Source: P.A. 97-409, eff. 1-1-12; 97-914, eff. 1-1-13; revised | ||
10-18-12.)
| ||
(625 ILCS 5/3-806) (from Ch. 95 1/2, par. 3-806)
| ||
Sec. 3-806. Registration Fees; Motor Vehicles of the First
| ||
Division. Every owner of any other motor vehicle of the first
| ||
division, except as provided in Sections 3-804, 3-804.01, | ||
3-804.3, 3-805, 3-806.3, 3-806.7, and 3-808,
and every second | ||
division vehicle weighing 8,000 pounds or less,
shall pay the | ||
Secretary of State an annual registration fee
at the following | ||
rates:
| ||
| |||||||||||||||||||||||||||||||||||
Beginning with the 2010 registration year a $1 surcharge | |||||||||||||||||||||||||||||||||||
shall be collected in addition to the above fees for motor | |||||||||||||||||||||||||||||||||||
vehicles of the first division, motorcycles, motor driven | |||||||||||||||||||||||||||||||||||
cycles, and pedalcycles to be deposited into the State Police | |||||||||||||||||||||||||||||||||||
Vehicle Fund.
| |||||||||||||||||||||||||||||||||||
All of the proceeds of the additional fees imposed by | |||||||||||||||||||||||||||||||||||
Public Act 96-34 shall be deposited into the Capital Projects | |||||||||||||||||||||||||||||||||||
Fund. | |||||||||||||||||||||||||||||||||||
Beginning with the 2014 registration year, a $2 surcharge | |||||||||||||||||||||||||||||||||||
shall be collected in addition to the above fees for motor | |||||||||||||||||||||||||||||||||||
vehicles of the first division, motorcycles, motor driven | |||||||||||||||||||||||||||||||||||
cycles, and pedalcycles to be deposited into the Park and | |||||||||||||||||||||||||||||||||||
Conservation Fund for the Department of Natural Resources to | |||||||||||||||||||||||||||||||||||
use for conservation efforts. The monies deposited into the | |||||||||||||||||||||||||||||||||||
Park and Conservation Fund under this Section shall not be |
subject to administrative charges or chargebacks unless | ||||||||||||||||||||||||||
otherwise authorized by this Act. | ||||||||||||||||||||||||||
(Source: P.A. 96-34, eff. 7-13-09; 96-747, eff. 1-1-10; | ||||||||||||||||||||||||||
96-1000, eff. 7-2-10; 97-412, eff. 1-1-12; 97-811, eff. | ||||||||||||||||||||||||||
7-13-12; 97-1136, eff. 1-1-13; revised 1-2-13.)
| ||||||||||||||||||||||||||
(625 ILCS 5/3-815) (from Ch. 95 1/2, par. 3-815)
| ||||||||||||||||||||||||||
Sec. 3-815. Flat weight tax; vehicles of the second | ||||||||||||||||||||||||||
division.
| ||||||||||||||||||||||||||
(a) Except
as provided in Section 3-806.3 and 3-804.3, | ||||||||||||||||||||||||||
every owner
of a vehicle of the second division registered | ||||||||||||||||||||||||||
under Section 3-813, and
not registered under the mileage | ||||||||||||||||||||||||||
weight tax under Section 3-818, shall
pay to the Secretary of | ||||||||||||||||||||||||||
State, for each registration year, for the use
of the public | ||||||||||||||||||||||||||
highways, a flat weight tax at the rates set forth in the
| ||||||||||||||||||||||||||
following table, the rates including the $10 registration fee:
| ||||||||||||||||||||||||||
SCHEDULE OF FLAT WEIGHT TAX
| ||||||||||||||||||||||||||
REQUIRED BY LAW
| ||||||||||||||||||||||||||
|
| ||||||||||||||||||||||||||||||||||||||
Beginning with the 2010 registration year a $1 surcharge | ||||||||||||||||||||||||||||||||||||||
shall be collected for vehicles registered in the 8,000 lbs. | ||||||||||||||||||||||||||||||||||||||
and less flat weight plate category above to be deposited into | ||||||||||||||||||||||||||||||||||||||
the State Police Vehicle Fund.
| ||||||||||||||||||||||||||||||||||||||
Beginning with the 2014 registration year, a $2 surcharge | ||||||||||||||||||||||||||||||||||||||
shall be collected in addition to the above fees for vehicles | ||||||||||||||||||||||||||||||||||||||
registered in the 8,000 lb. and less flat weight plate category | ||||||||||||||||||||||||||||||||||||||
as described in this subsection (a) to be deposited into the | ||||||||||||||||||||||||||||||||||||||
Park and Conservation Fund for the Department of Natural | ||||||||||||||||||||||||||||||||||||||
Resources to use for conservation efforts. The monies deposited | ||||||||||||||||||||||||||||||||||||||
into the Park and Conservation Fund under this Section shall | ||||||||||||||||||||||||||||||||||||||
not be subject to administrative charges or chargebacks unless | ||||||||||||||||||||||||||||||||||||||
otherwise authorized by this Act. | ||||||||||||||||||||||||||||||||||||||
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. | ||||||||||||
(a-1) A Special Hauling Vehicle is a vehicle or combination | ||||||||||||
of vehicles of
the second
division registered under Section | ||||||||||||
3-813 transporting asphalt or concrete in the
plastic state or | ||||||||||||
a vehicle or combination of vehicles that are subject to the
| ||||||||||||
gross weight limitations in subsection (a) of Section 15-111 | ||||||||||||
for which the
owner of the
vehicle or combination of vehicles | ||||||||||||
has elected to pay, in addition to the
registration fee in | ||||||||||||
subsection (a), $125 to the Secretary of State
for each
| ||||||||||||
registration year. The Secretary shall designate this class of | ||||||||||||
vehicle as
a Special Hauling Vehicle.
| ||||||||||||
(b) Except as provided in Section 3-806.3, every camping | ||||||||||||
trailer,
motor home, mini motor home, travel trailer, truck | ||||||||||||
camper or van camper
used primarily for recreational purposes, | ||||||||||||
and not used commercially, nor
for hire, nor owned by a | ||||||||||||
commercial business, may be registered for each
registration | ||||||||||||
year upon the filing of a proper application and the payment
of | ||||||||||||
a registration fee and highway use tax, according to the | ||||||||||||
following table of
fees:
| ||||||||||||
MOTOR HOME, MINI MOTOR HOME, TRUCK CAMPER OR VAN CAMPER
| ||||||||||||
|
| ||||||||||||||||||||
CAMPING TRAILER OR TRAVEL TRAILER
| ||||||||||||||||||||
| ||||||||||||||||||||
Every house trailer must be registered under Section 3-819.
| ||||||||||||||||||||
(c) Farm Truck. Any truck used exclusively for the owner's | ||||||||||||||||||||
own
agricultural, horticultural or livestock raising | ||||||||||||||||||||
operations and
not-for-hire only, or any truck used only in the | ||||||||||||||||||||
transportation for-hire
of seasonal, fresh, perishable fruit | ||||||||||||||||||||
or vegetables from farm to the
point of first processing,
may | ||||||||||||||||||||
be registered by the owner under this paragraph in lieu of
| ||||||||||||||||||||
registration under paragraph (a), upon filing of a proper | ||||||||||||||||||||
application
and the payment of the $10 registration fee and the | ||||||||||||||||||||
highway use tax
herein specified as follows:
| ||||||||||||||||||||
SCHEDULE OF FEES AND TAXES
| ||||||||||||||||||||
|
| |||||||||||||||||||||||||||||
In the event the Secretary of State revokes a farm truck | |||||||||||||||||||||||||||||
registration
as authorized by law, the owner shall pay the flat | |||||||||||||||||||||||||||||
weight tax due
hereunder before operating such truck.
| |||||||||||||||||||||||||||||
Any combination of vehicles having 5 axles, with a distance | |||||||||||||||||||||||||||||
of 42 feet or
less between extreme axles, that are subject to | |||||||||||||||||||||||||||||
the weight limitations in
subsection (a) of Section 15-111 for | |||||||||||||||||||||||||||||
which the owner of the combination
of
vehicles has elected to | |||||||||||||||||||||||||||||
pay, in addition to the registration fee in subsection
(c), | |||||||||||||||||||||||||||||
$125 to the Secretary of State for each registration year
shall | |||||||||||||||||||||||||||||
be designated by the Secretary as a Special Hauling Vehicle.
| |||||||||||||||||||||||||||||
(d) The number of axles necessary to carry the maximum load | |||||||||||||||||||||||||||||
provided
shall be determined from Chapter 15 of this Code.
| |||||||||||||||||||||||||||||
(e) An owner may only apply for and receive 5 farm truck
| |||||||||||||||||||||||||||||
registrations, and only 2 of those 5 vehicles shall exceed | |||||||||||||||||||||||||||||
59,500 gross
weight in pounds per vehicle.
| |||||||||||||||||||||||||||||
(f) Every person convicted of violating this Section by | |||||||||||||||||||||||||||||
failure to pay
the appropriate flat weight tax to the Secretary |
of State as set forth in
the above tables shall be punished as | ||
provided for in Section 3-401.
| ||
(Source: P.A. 96-34, eff. 7-13-09; 97-201, eff. 1-1-12; 97-811, | ||
eff. 7-13-12; 97-1136, eff. 1-1-13; revised 1-2-13.)
| ||
(625 ILCS 5/3-902) (from Ch. 95 1/2, par. 3-902)
| ||
Sec. 3-902. Application of Article. This Article shall not | ||
apply to ( any person who, in connection with the issuance of a
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license to him to conduct a business in this State other than a | ||
remitter's license, shall have filed,
pursuant to a statutory | ||
requirement, a surety bond covering the proper
discharge of any | ||
liability incurred by him in connection with the
acceptance for | ||
remittance of money for the purposes designated in the
Article | ||
pursuant to which he or she is licensed.
| ||
(Source: P.A. 97-832, eff. 7-20-12; revised 8-3-12.)
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(625 ILCS 5/6-106) (from Ch. 95 1/2, par. 6-106)
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Sec. 6-106. Application for license or instruction permit.
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(a) Every application for any permit or license authorized | ||
to be issued
under this Act shall be made upon a form furnished | ||
by the Secretary of
State. Every application shall be | ||
accompanied by the proper fee and payment
of such fee shall | ||
entitle the applicant to not more than 3 attempts to pass
the | ||
examination within a period of 1 year after the date of | ||
application.
| ||
(b) Every application shall state the legal name, social |
security
number, zip
code, date of birth, sex, and residence | ||
address of the applicant; briefly
describe the applicant; state | ||
whether the applicant has theretofore been
licensed as a | ||
driver, and, if so, when and by what state or country, and
| ||
whether any such license has ever been cancelled, suspended, | ||
revoked or
refused, and, if so, the date and reason for such | ||
cancellation, suspension,
revocation or refusal; shall include | ||
an affirmation by the applicant that
all information set forth | ||
is true and correct; and shall bear the
applicant's signature. | ||
In addition to the residence address, the Secretary may allow | ||
the applicant to provide a mailing address. In the case of an | ||
applicant who is a judicial officer, the Secretary may allow | ||
the applicant to provide an office or work address in lieu of a | ||
residence or mailing address. The application form may
also | ||
require the statement of such additional relevant information | ||
as the
Secretary of State shall deem necessary to determine the | ||
applicant's
competency and eligibility. The Secretary of State | ||
may, in his
discretion, by rule or regulation, provide that an | ||
application for a
drivers license or permit may include a | ||
suitable photograph of the
applicant in the
form prescribed by | ||
the Secretary, and he may further provide that each
drivers | ||
license shall include a photograph of the driver. The Secretary | ||
of
State may utilize a photograph process or system most | ||
suitable to deter
alteration or improper reproduction of a | ||
drivers license and to prevent
substitution of another photo | ||
thereon.
|
(c) The application form shall include a notice to the | ||
applicant of the
registration obligations of sex offenders | ||
under the Sex Offender Registration
Act. The notice shall be | ||
provided in a form and manner prescribed by the
Secretary of | ||
State. For purposes of this subsection (c), "sex offender" has
| ||
the meaning ascribed to it in Section 2 of the Sex Offender | ||
Registration Act.
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(d) Any male United States citizen or immigrant who applies | ||
for any
permit or
license authorized to be issued under this | ||
Act or for a renewal of any permit
or
license,
and who is at | ||
least 18 years of age but less than 26 years of age, must be
| ||
registered in compliance with the requirements of the federal | ||
Military
Selective
Service Act.
The Secretary of State must | ||
forward in an electronic format the necessary
personal | ||
information regarding the applicants identified in this | ||
subsection (d)
to
the Selective Service System. The applicant's | ||
signature on the application
serves
as an indication that the | ||
applicant either has already registered with the
Selective
| ||
Service System or that he is authorizing the Secretary to | ||
forward to the
Selective
Service System the necessary | ||
information for registration. The Secretary must
notify the | ||
applicant at the time of application that his signature | ||
constitutes
consent to registration with the Selective Service | ||
System, if he is not already
registered.
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(e) Beginning on or before July 1, 2015, for each original | ||
or renewal driver's license application under this Act, the |
Secretary shall inquire as to whether the applicant is a | ||
veteran for purposes of issuing a driver's license with a | ||
veteran designation under subsection (e-5) of Section 6-110 of | ||
this Chapter. The acceptable forms of proof shall include, but | ||
are not limited to, Department of Defense form DD-214. The | ||
Secretary shall determine by rule what other forms of proof of | ||
a person's status as a veteran are acceptable. | ||
The Illinois Department of Veterans' Affairs shall confirm | ||
the status of the applicant as an honorably discharged veteran | ||
before the Secretary may issue the driver's license. | ||
For purposes of this subsection (e): | ||
"Active duty" means active duty under 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. | ||
"Armed forces" means any of the Armed Forces of the United | ||
States, including a member of any reserve component or National | ||
Guard unit called to active duty. | ||
"Veteran" means a person who has served on active duty in | ||
the armed forces and was discharged or separated under | ||
honorable conditions. | ||
(Source: P.A. 96-1231, eff. 7-23-10; 97-263, eff. 8-5-11; | ||
97-739, eff. 1-1-13; 97-847, eff. 1-1-13; revised 8-3-12.)
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(625 ILCS 5/6-110) (from Ch. 95 1/2, par. 6-110)
| ||
Sec. 6-110. Licenses issued to drivers.
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(a) The Secretary of State shall issue to every qualifying |
applicant a
driver's license as applied for, which license | ||
shall bear a
distinguishing
number assigned to the licensee, | ||
the legal name,
signature, zip
code, date of birth, residence | ||
address, and a brief description of the
licensee.
| ||
Licenses issued shall also indicate the classification and
| ||
the restrictions under Section 6-104 of this Code.
The | ||
Secretary may adopt rules to establish informational | ||
restrictions that can be placed on the driver's license | ||
regarding specific conditions of the licensee.
| ||
A driver's license issued may, in the discretion of the | ||
Secretary,
include a suitable photograph of a type prescribed | ||
by the Secretary.
| ||
(a-1) If the licensee is less than 18 years of age, unless | ||
one of the exceptions in subsection (a-2) apply, the license | ||
shall, as a matter of law, be invalid for the operation of any | ||
motor vehicle during the following times: | ||
(A) Between 11:00 p.m. Friday and 6:00 a.m. Saturday; | ||
(B) Between 11:00 p.m. Saturday and 6:00 a.m. on | ||
Sunday; and | ||
(C) Between 10:00 p.m. on Sunday to Thursday, | ||
inclusive, and 6:00 a.m. on the following day. | ||
(a-2) The driver's license of a person under the age of 18 | ||
shall not be invalid as described in subsection (a-1) of this | ||
Section if the licensee under the age of 18 was: | ||
(1) accompanied by the licensee's parent or guardian or | ||
other person in custody or control of the minor; |
(2) on an errand at the direction of the minor's parent | ||
or guardian, without any detour or stop; | ||
(3) in a motor vehicle involved in interstate travel; | ||
(4) going to or returning home from an employment | ||
activity, without any detour or stop; | ||
(5) involved in an emergency; | ||
(6) going to or returning home from, without any detour | ||
or stop, an official school, religious, or other | ||
recreational activity supervised by adults and sponsored | ||
by a government or governmental agency, a civic | ||
organization, or another similar entity that takes | ||
responsibility for the licensee, without any detour or | ||
stop; | ||
(7) exercising First Amendment rights protected by the | ||
United States Constitution, such as the free exercise of | ||
religion, freedom of speech, and the right of assembly; or | ||
(8) married or had been married or is an emancipated | ||
minor under the Emancipation of Minors Act. | ||
(a-2.5) The driver's license of a person who is 17 years of | ||
age and has been licensed for at least 12 months is not invalid | ||
as described in subsection (a-1) of this Section while the | ||
licensee is participating as an assigned driver in a Safe Rides | ||
program that meets the following criteria: | ||
(1) the program is sponsored by the Boy Scouts of | ||
America or another national public service organization; | ||
and |
(2) the sponsoring organization carries liability | ||
insurance covering the program. | ||
(a-3) If a graduated driver's license holder over the age | ||
of 18 committed an offense against traffic regulations | ||
governing the movement of vehicles or any violation of Section | ||
6-107 or Section 12-603.1 of this Code in the 6 months prior to | ||
the graduated driver's license holder's 18th birthday, and was | ||
subsequently convicted of the offense, the provisions of | ||
subsection (a-1) shall continue to apply until such time as a | ||
period of 6 consecutive months has elapsed without an | ||
additional violation and subsequent conviction of an offense | ||
against traffic regulations governing the movement of vehicles | ||
or Section 6-107 or Section 12-603.1 of this Code.
| ||
(a-4) If an applicant for a driver's license or instruction | ||
permit has a current identification card issued by the | ||
Secretary of State, the Secretary may require the applicant to | ||
utilize the same residence address and name on the | ||
identification card, driver's license, and instruction permit | ||
records maintained by the Secretary. The Secretary may | ||
promulgate rules to implement this provision. | ||
(a-5) If an applicant for a driver's license is a judicial | ||
officer, the applicant may elect to have his or her office or | ||
work address listed on the license instead of the applicant's | ||
residence or mailing address. The Secretary of State shall | ||
adopt rules to implement this subsection (a-5). | ||
(b) Until the Secretary of State establishes a First Person |
Consent organ and tissue donor registry under Section 6-117 of | ||
this Code, the Secretary of State shall provide a format on the | ||
reverse of
each driver's license issued which the licensee may | ||
use to execute a document
of gift conforming to the provisions | ||
of the Illinois Anatomical Gift Act.
The format shall allow the | ||
licensee to indicate the gift intended, whether
specific | ||
organs, any organ, or the entire body, and shall accommodate | ||
the
signatures of the donor and 2 witnesses. The Secretary | ||
shall also inform
each applicant or licensee of this format, | ||
describe the procedure for its
execution, and may offer the | ||
necessary witnesses; provided that in so doing,
the Secretary | ||
shall advise the applicant or licensee that he or she is
under | ||
no compulsion to execute a document of gift. A brochure
| ||
explaining this method of executing an anatomical gift document | ||
shall be given
to each applicant or licensee. The brochure | ||
shall advise the applicant or
licensee that he or she is under | ||
no compulsion to execute a document of
gift, and that he or she | ||
may wish to consult with family, friends or clergy
before doing | ||
so. The Secretary of State may undertake additional efforts,
| ||
including education and awareness activities, to promote organ | ||
and tissue
donation.
| ||
(c) The Secretary of State shall designate on each driver's | ||
license issued
a space where the licensee may place a sticker | ||
or decal of the uniform
size as the Secretary may specify, | ||
which sticker or decal may indicate in
appropriate language | ||
that the owner of the license carries an Emergency
Medical |
Information Card.
| ||
The sticker may be provided by any person, hospital, | ||
school,
medical group, or association interested in assisting | ||
in implementing
the Emergency Medical Information Card, but | ||
shall meet the specifications
as the Secretary may by rule or | ||
regulation require.
| ||
(d) The Secretary of State shall designate on each driver's | ||
license issued
a space where the licensee may indicate his | ||
blood type and RH factor.
| ||
(e) The Secretary of State shall provide
that each original | ||
or renewal driver's license issued to a licensee under
21 years | ||
of age shall be of a distinct nature from those driver's | ||
licenses
issued to individuals 21 years of age and older. The | ||
color designated for
driver's licenses for licensees under 21 | ||
years of age shall be at the
discretion of the Secretary of | ||
State.
| ||
(e-1) The Secretary shall provide that each driver's | ||
license issued to a
person under the age of 21 displays the | ||
date upon which the person becomes 18
years of age and the date | ||
upon which the person becomes 21 years of age.
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(e-3) The General Assembly recognizes the need to identify | ||
military veterans living in this State for the purpose of | ||
ensuring that they receive all of the services and benefits to | ||
which they are legally entitled, including healthcare, | ||
education assistance, and job placement. To assist the State in | ||
identifying these veterans and delivering these vital services |
and benefits, the Secretary of State is authorized to issue | ||
drivers' licenses with the word "veteran" appearing on the face | ||
of the licenses. This authorization is predicated on the unique | ||
status of veterans. The Secretary may not issue any other | ||
driver's license which identifies an occupation, status, | ||
affiliation, hobby, or other unique characteristics of the | ||
license holder which is unrelated to the purpose of the | ||
driver's license. | ||
(e-5) Beginning on or before July 1, 2015, the Secretary of | ||
State shall designate a space on each original or renewal | ||
driver's license where, at the request of the applicant, the | ||
word "veteran" shall be placed. The veteran designation shall | ||
be available to a person identified as a veteran under | ||
subsection (e) of Section paragraph 6-106 of this Code Chapter | ||
who was discharged or separated under honorable conditions. | ||
(f) The Secretary of State shall inform all Illinois | ||
licensed
commercial motor vehicle operators of the | ||
requirements of the Uniform
Commercial Driver License Act, | ||
Article V of this Chapter, and shall make
provisions to insure | ||
that all drivers, seeking to obtain a commercial
driver's | ||
license, be afforded an opportunity prior to April 1, 1992, to
| ||
obtain the license. The Secretary is authorized to extend
| ||
driver's license expiration dates, and assign specific times, | ||
dates and
locations where these commercial driver's tests shall | ||
be conducted. Any
applicant, regardless of the current | ||
expiration date of the applicant's
driver's license, may be |
subject to any assignment by the Secretary.
Failure to comply | ||
with the Secretary's assignment may result in the
applicant's | ||
forfeiture of an opportunity to receive a commercial driver's
| ||
license prior to April 1, 1992.
| ||
(g) The Secretary of State shall designate on a
driver's | ||
license issued, a space where the licensee may indicate that he | ||
or
she has drafted a living will in accordance with the | ||
Illinois Living Will
Act or a durable power of attorney for | ||
health care in accordance with the
Illinois Power of Attorney | ||
Act.
| ||
(g-1) The Secretary of State, in his or her discretion, may | ||
designate on
each driver's license issued a space where the | ||
licensee may place a sticker or
decal, issued by the Secretary | ||
of State, of uniform size as the Secretary may
specify, that | ||
shall indicate in appropriate language that the owner of the
| ||
license has renewed his or her driver's license.
| ||
(h) A person who acts in good faith in accordance with the | ||
terms of
this Section is not liable for damages in any civil | ||
action or subject to
prosecution in any criminal proceeding for | ||
his or her act.
| ||
(Source: P.A. 96-607, eff. 8-24-09; 96-1231, eff. 7-23-10; | ||
97-263, eff. 8-5-11; 97-739, eff. 1-1-13; 97-847, eff. 1-1-13; | ||
97-1127, eff. 1-1-13; revised 8-3-12.)
| ||
(625 ILCS 5/6-500) (from Ch. 95 1/2, par. 6-500)
| ||
Sec. 6-500. Definitions of words and phrases. |
Notwithstanding the
definitions set forth elsewhere in this
| ||
Code, for purposes of the Uniform Commercial Driver's License | ||
Act
(UCDLA), the words and phrases listed below have the | ||
meanings
ascribed to them as follows:
| ||
(1) Alcohol. "Alcohol" means any substance containing any | ||
form of
alcohol, including but not limited to ethanol,
| ||
methanol,
propanol, and
isopropanol.
| ||
(2) Alcohol concentration. "Alcohol concentration" means:
| ||
(A) the number of grams of alcohol per 210 liters of | ||
breath;
or
| ||
(B) the number of grams of alcohol per 100 milliliters | ||
of
blood; or
| ||
(C) the number of grams of alcohol per 67 milliliters | ||
of
urine.
| ||
Alcohol tests administered within 2 hours of the driver | ||
being
"stopped or detained" shall be considered that driver's | ||
"alcohol
concentration" for the purposes of enforcing this | ||
UCDLA.
| ||
(3) (Blank).
| ||
(4) (Blank).
| ||
(5) (Blank).
| ||
(5.3) CDLIS driver record. "CDLIS driver record" means the | ||
electronic record of the individual CDL driver's status and | ||
history stored by the State-of-Record as part of the Commercial | ||
Driver's License Information System, or CDLIS, established | ||
under 49 U.S.C. 31309. |
(5.5) CDLIS motor vehicle record. "CDLIS motor vehicle | ||
record" or "CDLIS MVR" means a report generated from the CDLIS | ||
driver record meeting the requirements for access to CDLIS | ||
information and provided by states to users authorized in 49 | ||
C.F.R. 384.225(e)(3) and (4), subject to the provisions of the | ||
Driver Privacy Protection Act, 18 U.S.C. 2721–2725. | ||
(5.7) Commercial driver's license downgrade. "Commercial | ||
driver's license downgrade" or "CDL downgrade" means either: | ||
(A) a state allows the driver to change his or her | ||
self-certification to interstate, but operating | ||
exclusively in transportation or operation excepted from | ||
49 C.F.R. Part 391, as provided in 49 C.F.R. 390.3(f), | ||
391.2, 391.68, or 398.3; | ||
(B) a state allows the driver to change his or her | ||
self-certification to intrastate only, if the driver | ||
qualifies under that state's physical qualification | ||
requirements for intrastate only; | ||
(C) a state allows the driver to change his or her | ||
certification to intrastate, but operating exclusively in | ||
transportation or operations excepted from all or part of | ||
the state driver qualification requirements; or | ||
(D) a state removes the CDL privilege from the driver | ||
license. | ||
(6) Commercial Motor Vehicle.
| ||
(A) "Commercial motor vehicle" or "CMV" means
a motor | ||
vehicle used in commerce, except those referred to in |
subdivision (B), designed
to transport passengers or | ||
property if:
| ||
(i) the vehicle has a GVWR of 26,001 pounds or more | ||
or such
a
lesser GVWR as subsequently determined by | ||
federal regulations or the Secretary
of State; or any
| ||
combination of vehicles with a GCWR of 26,001 pounds or | ||
more, provided the
GVWR of any vehicle or vehicles | ||
being towed is 10,001 pounds or more; or
| ||
(ii) the vehicle is designed to transport 16 or | ||
more
persons;
or
| ||
(iii) the vehicle is transporting hazardous | ||
materials and
is
required to
be placarded in accordance | ||
with 49 C.F.R. Part 172, subpart F.
| ||
(B) Pursuant to the interpretation of the Commercial | ||
Motor
Vehicle
Safety Act of 1986 by the Federal Highway | ||
Administration, the definition of
"commercial motor | ||
vehicle" does not include:
| ||
(i) recreational vehicles, when operated primarily | ||
for personal use;
| ||
(ii) vehicles owned by or operated under the | ||
direction of the United States Department of Defense or | ||
the United States Coast Guard only when operated by
| ||
non-civilian personnel. This includes any operator on | ||
active military
duty; members of the Reserves; | ||
National Guard; personnel on part-time
training; and | ||
National Guard military technicians (civilians who are
|
required to wear military uniforms and are subject to | ||
the Code of Military
Justice); or
| ||
(iii) firefighting, police, and other emergency | ||
equipment (including, without limitation, equipment | ||
owned or operated by a HazMat or technical rescue team | ||
authorized by a county board under Section 5-1127 of | ||
the Counties Code), with audible and
visual signals, | ||
owned or operated
by or for a
governmental entity, | ||
which is necessary to the preservation of life or
| ||
property or the execution of emergency governmental | ||
functions which are
normally not subject to general | ||
traffic rules and regulations.
| ||
(7) Controlled Substance. "Controlled substance" shall | ||
have the same
meaning as defined in Section 102 of the Illinois | ||
Controlled Substances Act,
and shall also include cannabis as | ||
defined in Section 3 of the Cannabis Control
Act and | ||
methamphetamine as defined in Section 10 of the Methamphetamine | ||
Control and Community Protection Act.
| ||
(8) Conviction. "Conviction" means an unvacated | ||
adjudication of guilt
or a determination that a person has | ||
violated or failed to comply with the
law in a court of | ||
original jurisdiction or by an authorized administrative
| ||
tribunal; an unvacated forfeiture of bail or collateral | ||
deposited to secure
the person's appearance in court; a plea of | ||
guilty or nolo contendere accepted by the court; the payment of | ||
a fine or court cost
regardless of whether the imposition of |
sentence is deferred and ultimately
a judgment dismissing the | ||
underlying charge is entered; or a violation of a
condition of | ||
release without bail, regardless of whether or not the penalty
| ||
is rebated, suspended or probated.
| ||
(8.5) Day. "Day" means calendar day.
| ||
(9) (Blank).
| ||
(10) (Blank).
| ||
(11) (Blank).
| ||
(12) (Blank).
| ||
(13) Driver. "Driver" means any person who drives, | ||
operates, or is in
physical control of a commercial motor | ||
vehicle, any person who is required to hold a
CDL, or any | ||
person who is a holder of a CDL while operating a | ||
non-commercial motor vehicle.
| ||
(13.5) Driver applicant. "Driver applicant" means an | ||
individual who applies to a state to obtain, transfer, upgrade, | ||
or renew a CDL.
| ||
(13.8) Electronic device. "Electronic device" includes, | ||
but is not limited to, a cellular telephone, personal digital | ||
assistant, pager, computer, or any other device used to input, | ||
write, send, receive, or read text. | ||
(14) Employee. "Employee" means a person who is employed as | ||
a
commercial
motor vehicle driver. A person who is | ||
self-employed as a commercial motor
vehicle driver must comply | ||
with the requirements of this UCDLA
pertaining to employees. An
| ||
owner-operator on a long-term lease shall be considered an |
employee.
| ||
(15) Employer. "Employer" means a person (including the | ||
United
States, a State or a local authority) who owns or leases | ||
a commercial motor
vehicle or assigns employees to operate such | ||
a vehicle. A person who is
self-employed as a commercial motor | ||
vehicle driver must
comply with the requirements of this UCDLA.
| ||
(15.3) Excepted interstate. "Excepted interstate" means a | ||
person who operates or expects to operate in interstate | ||
commerce, but engages exclusively in transportation or | ||
operations excepted under 49 C.F.R. 390.3(f), 391.2, 391.68, or | ||
398.3 from all or part of the qualification requirements of 49 | ||
C.F.R. Part 391 and is not required to obtain a medical | ||
examiner's certificate by 49 C.F.R. 391.45. | ||
(15.5) Excepted intrastate. "Excepted intrastate" means a | ||
person who operates in intrastate commerce but engages | ||
exclusively in transportation or operations excepted from all | ||
or parts of the state driver qualification requirements. | ||
(16) (Blank).
| ||
(16.5) Fatality. "Fatality" means the death of a person as | ||
a result of a motor vehicle accident.
| ||
(17) Foreign jurisdiction. "Foreign jurisdiction" means a | ||
sovereign
jurisdiction that does not fall within the definition | ||
of "State".
| ||
(18) (Blank).
| ||
(19) (Blank).
| ||
(20) Hazardous materials. "Hazardous Material" means any |
material that has been designated under 49 U.S.C.
5103 and is | ||
required to be placarded under subpart F of 49 C.F.R. part 172 | ||
or any quantity of a material listed as a select agent or toxin | ||
in 42 C.F.R. part 73.
| ||
(20.5) Imminent Hazard. "Imminent hazard" means the | ||
existence of a condition that presents a substantial likelihood | ||
that death, serious illness, severe personal injury, or a | ||
substantial endangerment to health, property, or the | ||
environment may occur before the reasonably foreseeable | ||
completion date of a formal proceeding begun to lessen the risk | ||
of that death, illness, injury or endangerment.
| ||
(21) Long-term lease. "Long-term lease" means a lease of a | ||
commercial
motor vehicle by the owner-lessor to a lessee, for a | ||
period of more than 29
days.
| ||
(21.1) Medical examiner. "Medical examiner" means a person | ||
who is licensed, certified, or registered in accordance with | ||
applicable state laws and regulations to perform physical | ||
examinations. The term includes but is not limited to doctors | ||
of medicine, doctors of osteopathy, physician assistants, | ||
advanced practice nurses, and doctors of chiropractic. | ||
(21.2) Medical examiner's certificate. "Medical examiner's | ||
certificate" means a document prescribed or approved by the | ||
Secretary of State that is issued by a medical examiner to a | ||
driver to medically qualify him or her to drive. | ||
(21.5) Medical variance. "Medical variance" means a driver | ||
has received one of the following from the Federal Motor |
Carrier Safety Administration which allows the driver to be | ||
issued a medical certificate: (1) an exemption letter | ||
permitting operation of a commercial motor vehicle pursuant to | ||
49 C.F.R. Part 381, Subpart C or 49 C.F.R. 391.64; or (2) a | ||
skill performance evaluation (SPE) certificate permitting | ||
operation of a commercial motor vehicle pursuant to 49 C.F.R. | ||
391.49. | ||
(21.7) Mobile telephone. "Mobile telephone" means a mobile | ||
communication device that falls under or uses any commercial | ||
mobile radio service, as defined in regulations of the Federal | ||
Communications Commission, 47 CFR 20.3. It does not include | ||
two-way or citizens band radio services. | ||
(22) Motor Vehicle. "Motor vehicle" means every vehicle
| ||
which is self-propelled, and every vehicle which is propelled | ||
by electric
power obtained from over head trolley wires but not | ||
operated upon rails,
except vehicles moved solely by human | ||
power and motorized wheel chairs.
| ||
(22.2) Motor vehicle record. "Motor vehicle record" means a | ||
report of the driving status and history of a driver generated | ||
from the driver record provided to users, such as drivers or | ||
employers, and is subject to the provisions of the Driver | ||
Privacy Protection Act, 18 U.S.C. 2721-2725. | ||
(22.5) Non-CMV. "Non-CMV" means a motor vehicle or | ||
combination of motor vehicles not defined by the term | ||
"commercial motor vehicle" or "CMV" in this Section.
| ||
(22.7) Non-excepted interstate. "Non-excepted interstate" |
means a person who operates or expects to operate in interstate | ||
commerce, is subject to and meets the qualification | ||
requirements under 49 C.F.R. Part 391, and is required to | ||
obtain a medical examiner's certificate by 49 C.F.R. 391.45. | ||
(22.8) Non-excepted intrastate. "Non-excepted intrastate" | ||
means a person who operates only in intrastate commerce and is | ||
subject to State driver qualification requirements. | ||
(23) Non-resident CDL. "Non-resident CDL" means a | ||
commercial driver's
license issued by a state under either of | ||
the following two conditions: | ||
(i) to an individual domiciled in a foreign country | ||
meeting the requirements of Part 383.23(b)(1) of 49 C.F.R. | ||
of the Federal Motor Carrier Safety Administration.
| ||
(ii) to an individual domiciled in another state | ||
meeting the requirements of Part 383.23(b)(2) of 49 C.F.R. | ||
of the Federal Motor Carrier Safety Administration.
| ||
(24) (Blank).
| ||
(25) (Blank).
| ||
(25.5) Railroad-Highway Grade Crossing Violation. | ||
"Railroad-highway
grade
crossing violation" means a
violation, | ||
while operating a commercial motor vehicle, of
any
of the | ||
following:
| ||
(A) Section 11-1201, 11-1202, or 11-1425 of this
| ||
Code.
| ||
(B) Any other similar
law or local ordinance of any | ||
state relating to
railroad-highway grade crossing.
|
(25.7) School Bus. "School bus" means a commercial motor | ||
vehicle used to transport pre-primary, primary, or secondary | ||
school students from home to school, from school to home, or to | ||
and from school-sponsored events. "School bus" does not include | ||
a bus used as a common carrier.
| ||
(26) Serious Traffic Violation. "Serious traffic | ||
violation"
means:
| ||
(A) a conviction when operating a commercial motor | ||
vehicle, or when operating a non-CMV while holding a CDL,
| ||
of:
| ||
(i) a violation relating to excessive speeding,
| ||
involving a single speeding charge of 15 miles per hour | ||
or more above the
legal speed limit; or
| ||
(ii) a violation relating to reckless driving; or
| ||
(iii) a violation of any State law or local | ||
ordinance relating to motor
vehicle traffic control | ||
(other than parking violations) arising in
connection | ||
with a fatal traffic accident; or
| ||
(iv) a violation of Section 6-501, relating to | ||
having multiple driver's
licenses; or
| ||
(v) a violation of paragraph (a) of Section 6-507, | ||
relating to the
requirement to have a valid CDL; or
| ||
(vi) a violation relating to improper or erratic | ||
traffic lane changes;
or
| ||
(vii) a violation relating to following another | ||
vehicle too closely; or
|
(viii) a violation relating to texting while | ||
driving; or | ||
(ix) a violation relating to the use of a hand-held | ||
mobile telephone while driving; or
| ||
(B) any other similar violation of a law or local
| ||
ordinance of any state relating to motor vehicle traffic | ||
control, other
than a parking violation, which the | ||
Secretary of State determines by
administrative rule to be | ||
serious.
| ||
(27) State. "State" means a state of the United States, the | ||
District of
Columbia and any province or territory of Canada.
| ||
(28) (Blank).
| ||
(29) (Blank).
| ||
(30) (Blank).
| ||
(31) (Blank).
| ||
(32) Texting. "Texting" means manually entering | ||
alphanumeric text into, or reading text from, an electronic | ||
device. | ||
(1) Texting includes, but is not limited to, short | ||
message service, emailing, instant messaging, a command or | ||
request to access a World Wide Web page, pressing more than | ||
a single button to initiate or terminate a voice | ||
communication using a mobile telephone, or engaging in any | ||
other form of electronic text retrieval or entry for | ||
present or future communication. | ||
(2) Texting does not include: |
(i) inputting, selecting, or reading information | ||
on a global positioning system or navigation system; or | ||
(ii) pressing a single button to initiate or | ||
terminate a voice communication using a mobile | ||
telephone; or | ||
(iii) using a device capable of performing | ||
multiple functions (for example, a fleet management | ||
system, dispatching device, smart phone, citizens band | ||
radio, or music player) for a purpose that is not | ||
otherwise prohibited by Part 392 of the Federal Motor | ||
Carrier Safety Regulations. | ||
(33) Use a hand-held mobile telephone. "Use a hand-held | ||
mobile telephone" means: | ||
(1) using at least one hand to hold a mobile telephone | ||
to conduct a voice communication; | ||
(2) dialing or answering a mobile telephone by pressing | ||
more than a single button; or | ||
(3) reaching for a mobile telephone in a manner that | ||
requires a driver to maneuver so that he or she is no | ||
longer in a seated driving position, restrained by a seat | ||
belt that is installed in accordance with 49 CFR 393.93 and | ||
adjusted in accordance with the vehicle manufacturer's | ||
instructions. | ||
(Source: P.A. 97-208, eff. 1-1-12; 97-750, eff. 7-6-12; 97-829, | ||
eff. 1-1-13; revised 8-3-12.)
|
(625 ILCS 5/11-208.6)
| ||
Sec. 11-208.6. Automated traffic law enforcement system.
| ||
(a) As used in this Section, "automated traffic law | ||
enforcement
system" means a device with one or more motor | ||
vehicle sensors working
in conjunction with a red light signal | ||
to produce recorded images of
motor vehicles entering an | ||
intersection against a red signal
indication in violation of | ||
Section 11-306 of this Code or a similar provision
of a local | ||
ordinance.
| ||
An
automated traffic law enforcement system is a system, in | ||
a municipality or
county operated by a
governmental agency, | ||
that
produces a recorded image of a motor vehicle's
violation | ||
of a provision of this Code or a local ordinance
and is | ||
designed to obtain a clear recorded image of the
vehicle and | ||
the vehicle's license plate. The recorded image must also
| ||
display the time, date, and location of the violation.
| ||
(b) As used in this Section, "recorded images" means images
| ||
recorded by an automated traffic law enforcement system on:
| ||
(1) 2 or more photographs;
| ||
(2) 2 or more microphotographs;
| ||
(3) 2 or more electronic images; or
| ||
(4) a video recording showing the motor vehicle and, on | ||
at
least one image or portion of the recording, clearly | ||
identifying the
registration plate number of the motor | ||
vehicle.
| ||
(b-5) A municipality or
county that
produces a recorded |
image of a motor vehicle's
violation of a provision of this | ||
Code or a local ordinance must make the recorded images of a | ||
violation accessible to the alleged violator by providing the | ||
alleged violator with a website address, accessible through the | ||
Internet. | ||
(c) Except as provided under Section 11-208.8 of this Code, | ||
a county or municipality, including a home rule county or | ||
municipality, may not use an automated traffic law enforcement | ||
system to provide recorded images of a motor vehicle for the | ||
purpose of recording its speed. Except as provided under | ||
Section 11-208.8 of this Code, the regulation of the use of | ||
automated traffic law enforcement systems to record vehicle | ||
speeds is an exclusive power and function of the State. This | ||
subsection (c) is a denial and limitation of home rule powers | ||
and functions under subsection (h) of Section 6 of Article VII | ||
of the Illinois Constitution.
| ||
(c-5) A county or municipality, including a home rule | ||
county or municipality, may not use an automated traffic law | ||
enforcement system to issue violations in instances where the | ||
motor vehicle comes to a complete stop and does not enter the | ||
intersection, as defined by Section 1-132 of this Code, during | ||
the cycle of the red signal indication unless one or more | ||
pedestrians or bicyclists are present, even if the motor | ||
vehicle stops at a point past a stop line or crosswalk where a | ||
driver is required to stop, as specified in subsection (c) of | ||
Section 11-306 of this Code or a similar provision of a local |
ordinance. | ||
(c-6) A county, or a municipality with less than 2,000,000 | ||
inhabitants, including a home rule county or municipality, may | ||
not use an automated traffic law enforcement system to issue | ||
violations in instances where a motorcyclist enters an | ||
intersection against a red signal
indication when the red | ||
signal fails to change to a green signal within a reasonable | ||
period of time not less than 120 seconds because of a signal | ||
malfunction or because the signal has failed to detect the | ||
arrival of the motorcycle due to the motorcycle's size or | ||
weight. | ||
(d) For each violation of a provision of this Code or a | ||
local ordinance
recorded by an automatic
traffic law | ||
enforcement system, the county or municipality having
| ||
jurisdiction shall issue a written notice of the
violation to | ||
the registered owner of the vehicle as the alleged
violator. | ||
The notice shall be delivered to the registered
owner of the | ||
vehicle, by mail, within 30 days after the Secretary of State | ||
notifies the municipality or county of the identity of the | ||
owner of the vehicle, but in no event later than 90 days after | ||
the violation.
| ||
The notice shall include:
| ||
(1) the name and address of the registered owner of the
| ||
vehicle;
| ||
(2) the registration number of the motor vehicle
| ||
involved in the violation;
|
(3) the violation charged;
| ||
(4) the location where the violation occurred;
| ||
(5) the date and time of the violation;
| ||
(6) a copy of the recorded images;
| ||
(7) the amount of the civil penalty imposed and the | ||
requirements of any traffic education program imposed and | ||
the date
by which the civil penalty should be paid and the | ||
traffic education program should be completed;
| ||
(8) a statement that recorded images are evidence of a
| ||
violation of a red light signal;
| ||
(9) a warning that failure to pay the civil penalty, to | ||
complete a required traffic education program, or to
| ||
contest liability in a timely manner is an admission of
| ||
liability and may result in a suspension of the driving
| ||
privileges of the registered owner of the vehicle;
| ||
(10) a statement that the person may elect to proceed | ||
by:
| ||
(A) paying the fine, completing a required traffic | ||
education program, or both; or
| ||
(B) challenging the charge in court, by mail, or by | ||
administrative hearing; and
| ||
(11) a website address, accessible through the | ||
Internet, where the person may view the recorded images of | ||
the violation. | ||
(e) If a person
charged with a traffic violation, as a | ||
result of an automated traffic law
enforcement system, does not |
pay the fine or complete a required traffic education program, | ||
or both, or successfully contest the civil
penalty resulting | ||
from that violation, the Secretary of State shall suspend the
| ||
driving privileges of the
registered owner of the vehicle under | ||
Section 6-306.5 of this Code for failing
to complete a required | ||
traffic education program or to pay any fine or penalty
due and | ||
owing, or both, as a result of a combination of 5 violations of | ||
the automated traffic law
enforcement system or the automated | ||
speed enforcement system under Section 11-208.8 of this Code.
| ||
(f) Based on inspection of recorded images produced by an
| ||
automated traffic law enforcement system, a notice alleging | ||
that the violation occurred shall be evidence of the facts | ||
contained
in the notice and admissible in any proceeding | ||
alleging a
violation under this Section.
| ||
(g) Recorded images made by an automatic traffic law
| ||
enforcement system are confidential and shall be made
available | ||
only to the alleged violator and governmental and
law | ||
enforcement agencies for purposes of adjudicating a
violation | ||
of this Section, for statistical purposes, or for other | ||
governmental purposes. Any recorded image evidencing a
| ||
violation of this Section, however, may be admissible in
any | ||
proceeding resulting from the issuance of the citation.
| ||
(h) The court or hearing officer may consider in defense of | ||
a violation:
| ||
(1) that the motor vehicle or registration plates of | ||
the motor
vehicle were stolen before the violation occurred |
and not
under the control of or in the possession of the | ||
owner at
the time of the violation;
| ||
(2) that the driver of the vehicle passed through the
| ||
intersection when the light was red either (i) in order to
| ||
yield the right-of-way to an emergency vehicle or (ii) as
| ||
part of a funeral procession; and
| ||
(3) any other evidence or issues provided by municipal | ||
or county ordinance.
| ||
(i) To demonstrate that the motor vehicle or the | ||
registration
plates were stolen before the violation occurred | ||
and were not under the
control or possession of the owner at | ||
the time of the violation, the
owner must submit proof that a | ||
report concerning the stolen
motor vehicle or registration | ||
plates was filed with a law enforcement agency in a timely | ||
manner.
| ||
(j) Unless the driver of the motor vehicle received a | ||
Uniform
Traffic Citation from a police officer at the time of | ||
the violation,
the motor vehicle owner is subject to a civil | ||
penalty not exceeding
$100 or the completion of a traffic | ||
education program, or both, plus an additional penalty of not | ||
more than $100 for failure to pay the original penalty or to | ||
complete a required traffic education program, or both, in a | ||
timely manner, if the motor vehicle is recorded by an automated | ||
traffic law
enforcement system. A violation for which a civil | ||
penalty is imposed
under this Section is not a violation of a | ||
traffic regulation governing
the movement of vehicles and may |
not be recorded on the driving record
of the owner of the | ||
vehicle.
| ||
(j-3) A registered owner who is a holder of a valid | ||
commercial driver's license is not required to complete a | ||
traffic education program. | ||
(j-5) For purposes of the required traffic education | ||
program only, a registered owner may submit an affidavit to the | ||
court or hearing officer swearing that at the time of the | ||
alleged violation, the vehicle was in the custody and control | ||
of another person. The affidavit must identify the person in | ||
custody and control of the vehicle, including the person's name | ||
and current address. The person in custody and control of the | ||
vehicle at the time of the violation is required to complete | ||
the required traffic education program. If the person in | ||
custody and control of the vehicle at the time of the violation | ||
completes the required traffic education program, the | ||
registered owner of the vehicle is not required to complete a | ||
traffic education program. | ||
(k) An intersection equipped with an automated traffic law
| ||
enforcement system must be posted with a sign visible to | ||
approaching traffic
indicating that the intersection is being | ||
monitored by an automated
traffic law enforcement system. | ||
(k-3) A municipality or
county that has one or more | ||
intersections equipped with an automated traffic law
| ||
enforcement system must provide notice to drivers by posting | ||
the locations of automated traffic law systems on the |
municipality or county website.
| ||
(k-5) An intersection equipped with an automated traffic | ||
law
enforcement system must have a yellow change interval that | ||
conforms with the Illinois Manual on Uniform Traffic Control | ||
Devices (IMUTCD) published by the Illinois Department of | ||
Transportation. | ||
(k-7) A municipality or county operating an automated | ||
traffic law enforcement system shall conduct a statistical | ||
analysis to assess the safety impact of each automated traffic | ||
law enforcement system at an intersection following | ||
installation of the system. The statistical analysis shall be | ||
based upon the best available crash, traffic, and other data, | ||
and shall cover a period of time before and after installation | ||
of the system sufficient to provide a statistically valid | ||
comparison of safety impact. The statistical analysis shall be | ||
consistent with professional judgment and acceptable industry | ||
practice. The statistical analysis also shall be consistent | ||
with the data required for valid comparisons of before and | ||
after conditions and shall be conducted within a reasonable | ||
period following the installation of the automated traffic law | ||
enforcement system. The statistical analysis required by this | ||
subsection (k-7) shall be made available to the public and | ||
shall be published on the website of the municipality or | ||
county. If the statistical analysis for the 36 month period | ||
following installation of the system indicates that there has | ||
been an increase in the rate of accidents at the approach to |
the intersection monitored by the system, the municipality or | ||
county shall undertake additional studies to determine the | ||
cause and severity of the accidents, and may take any action | ||
that it determines is necessary or appropriate to reduce the | ||
number or severity of the accidents at that intersection. | ||
(l) The compensation paid for an automated traffic law | ||
enforcement system
must be based on the value of the equipment | ||
or the services provided and may
not be based on the number of | ||
traffic citations issued or the revenue generated
by the | ||
system.
| ||
(m) This Section applies only to the counties of Cook, | ||
DuPage, Kane, Lake, Madison, McHenry, St. Clair, and Will and | ||
to municipalities located within those counties.
| ||
(n) The fee for participating in a traffic education | ||
program under this Section shall not exceed $25. | ||
A low-income individual required to complete a traffic | ||
education program under this Section who provides proof of | ||
eligibility for the federal earned income tax credit under | ||
Section 32 of the Internal Revenue Code or the Illinois earned | ||
income tax credit under Section 212 of the Illinois Income Tax | ||
Act shall not be required to pay any fee for participating in a | ||
required traffic education program. | ||
(o) A municipality or county shall make a certified report | ||
to the Secretary of State pursuant to Section 6-306.5 of this | ||
Code whenever a registered owner of a vehicle has failed to pay | ||
any
fine or penalty due and owing as a result of a combination |
of 5 offenses for automated traffic
law or speed enforcement | ||
system violations. | ||
(p) No person who is the lessor of a motor vehicle pursuant | ||
to a written lease agreement shall be liable for an automated | ||
speed or traffic law enforcement system violation involving | ||
such motor vehicle during the period of the lease; provided | ||
that upon the request of the appropriate authority received | ||
within 120 days after the violation occurred, the lessor | ||
provides within 60 days after such receipt the name and address | ||
of the lessee. The drivers license number of a lessee may be | ||
subsequently individually requested by the appropriate | ||
authority if needed for enforcement of this Section. | ||
Upon the provision of information by the lessor pursuant to | ||
this subsection, the county or municipality may issue the | ||
violation to the lessee of the vehicle in the same manner as it | ||
would issue a violation to a registered owner of a vehicle | ||
pursuant to this Section, and the lessee may be held liable for | ||
the violation. | ||
(Source: P.A. 96-288, eff. 8-11-09; 96-1016, eff. 1-1-11; | ||
97-29, eff. 1-1-12; 97-627, eff. 1-1-12; 97-672, eff. 7-1-12; | ||
97-762, eff. 7-6-12; revised 7-16-12.) | ||
(625 ILCS 5/11-208.8) | ||
Sec. 11-208.8. Automated speed enforcement systems in | ||
safety zones. | ||
(a) As used in this Section: |
"Automated speed enforcement
system" means a photographic | ||
device, radar device, laser device, or other electrical or | ||
mechanical device or devices installed or utilized in a safety | ||
zone and designed to record the speed of a vehicle and obtain a | ||
clear photograph or other recorded image of the vehicle and the | ||
vehicle's registration plate while the driver is violating | ||
Article VI of Chapter 11 of this Code or a similar provision of | ||
a local ordinance. | ||
An automated speed enforcement system is a system, located | ||
in a safety zone which is under the jurisdiction of a | ||
municipality, that produces a recorded image of a motor | ||
vehicle's violation of a provision of this Code or a local | ||
ordinance and is designed to obtain a clear recorded image of | ||
the vehicle and the vehicle's license plate. The recorded image | ||
must also display the time, date, and location of the | ||
violation. | ||
"Owner" means the person or entity to whom the vehicle is | ||
registered. | ||
"Recorded image" means images
recorded by an automated | ||
speed enforcement system on: | ||
(1) 2 or more photographs; | ||
(2) 2 or more microphotographs; | ||
(3) 2 or more electronic images; or | ||
(4) a video recording showing the motor vehicle and, on | ||
at
least one image or portion of the recording, clearly | ||
identifying the
registration plate number of the motor |
vehicle. | ||
"Safety zone" means an area that is within one-eighth of a | ||
mile from the nearest property line of any public or private | ||
elementary or secondary school, or from the nearest property | ||
line of any facility, area, or land owned by a school district | ||
that is used for educational purposes approved by the Illinois | ||
State Board of Education, not including school district | ||
headquarters or administrative buildings. A safety zone also | ||
includes an area that is within one-eighth of a mile from the | ||
nearest property line of any facility, area, or land owned by a | ||
park district used for recreational purposes. However, if any | ||
portion of a roadway is within either one-eighth mile radius, | ||
the safety zone also shall include the roadway extended to the | ||
furthest portion of the next furthest intersection. The term | ||
"safety zone" does not include any portion of the roadway known | ||
as Lake Shore Drive or any controlled access highway with 8 or | ||
more lanes of traffic. | ||
(a-5) The automated speed enforcement system shall be | ||
operational and violations shall be recorded only at the | ||
following times: | ||
(i) if the safety zone is based upon the property line | ||
of any facility, area, or land owned by a school district, | ||
only on school days and no earlier than 6 a.m. and no later | ||
than 8:30 p.m. if the school day is during the period of | ||
Monday through Thursday, or 9 p.m. if the school day is a | ||
Friday; and |
(ii) if the safety zone is based upon the property line | ||
of any facility, area, or land owned by a park district, no | ||
earlier than one hour prior to the time that the facility, | ||
area, or land is open to the public or other patrons, and | ||
no later than one hour after the facility, area, or land is | ||
closed to the public or other patrons. | ||
(b) A municipality that
produces a recorded image of a | ||
motor vehicle's
violation of a provision of this Code or a | ||
local ordinance must make the recorded images of a violation | ||
accessible to the alleged violator by providing the alleged | ||
violator with a website address, accessible through the | ||
Internet. | ||
(c) Notwithstanding any penalties for any other violations | ||
of this Code, the owner of a motor vehicle used in a traffic | ||
violation recorded by an automated speed enforcement system | ||
shall be subject to the following penalties: | ||
(1) if the recorded speed is no less than 6 miles per | ||
hour and no more than 10 miles per hour over the legal | ||
speed limit, a civil penalty not exceeding $50, plus an | ||
additional penalty of not more than $50 for failure to pay | ||
the original penalty in a timely manner; or | ||
(2) if the recorded speed is more than 10 miles per | ||
hour over the legal speed limit, a civil penalty not | ||
exceeding $100, plus an additional penalty of not more than | ||
$100 for failure to pay the original penalty in a timely | ||
manner. |
A penalty may not be imposed under this Section if the | ||
driver of the motor vehicle received a Uniform Traffic Citation | ||
from a police officer for a speeding violation occurring within | ||
one-eighth of a mile and 15 minutes of the violation that was | ||
recorded by the system. A violation for which a civil penalty | ||
is imposed
under this Section is not a violation of a traffic | ||
regulation governing
the movement of vehicles and may not be | ||
recorded on the driving record
of the owner of the vehicle. A | ||
law enforcement officer is not required to be present or to | ||
witness the violation. No penalty may be imposed under this | ||
Section if the recorded speed of a vehicle is 5 miles per hour | ||
or less over the legal speed limit. The municipality may send, | ||
in the same manner that notices are sent under this Section, a | ||
speed violation warning notice where the violation involves a | ||
speed of 5 miles per hour or less above the legal speed limit. | ||
(d) The net proceeds that a municipality receives from | ||
civil penalties imposed under an automated speed enforcement | ||
system, after deducting all non-personnel and personnel costs | ||
associated with the operation and maintenance of such system, | ||
shall be expended or obligated by the municipality for the | ||
following purposes: | ||
(i) public safety initiatives to ensure safe passage | ||
around schools, and to provide police protection and | ||
surveillance around schools and parks, including but not | ||
limited to:
(1) personnel costs; and
(2) non-personnel | ||
costs such as construction and maintenance of public safety |
infrastructure and equipment; | ||
(ii) initiatives to improve pedestrian and traffic | ||
safety; and | ||
(iii) construction and maintenance of infrastructure | ||
within the municipality, including but not limited to roads | ||
and bridges; and | ||
(iv) after school programs. | ||
(e) For each violation of a provision of this Code or a | ||
local ordinance
recorded by an automated speed enforcement | ||
system, the municipality having
jurisdiction shall issue a | ||
written notice of the
violation to the registered owner of the | ||
vehicle as the alleged
violator. The notice shall be delivered | ||
to the registered
owner of the vehicle, by mail, within 30 days | ||
after the Secretary of State notifies the municipality of the | ||
identity of the owner of the vehicle, but in no event later | ||
than 90 days after the violation. | ||
(f) The notice required under subsection (e) of this | ||
Section shall include: | ||
(1) the name and address of the registered owner of the
| ||
vehicle; | ||
(2) the registration number of the motor vehicle
| ||
involved in the violation; | ||
(3) the violation charged; | ||
(4) the date, time, and location where the violation | ||
occurred; | ||
(5) a copy of the recorded image or images; |
(6) the amount of the civil penalty imposed and the | ||
date
by which the civil penalty should be paid; | ||
(7) a statement that recorded images are evidence of a
| ||
violation of a speed restriction; | ||
(8) a warning that failure to pay the civil penalty or | ||
to
contest liability in a timely manner is an admission of
| ||
liability and may result in a suspension of the driving
| ||
privileges of the registered owner of the vehicle; | ||
(9) a statement that the person may elect to proceed | ||
by: | ||
(A) paying the fine; or | ||
(B) challenging the charge in court, by mail, or by | ||
administrative hearing; and | ||
(10) a website address, accessible through the
| ||
Internet, where the person may view the recorded images of | ||
the violation. | ||
(g) If a person
charged with a traffic violation, as a | ||
result of an automated speed enforcement system, does not pay | ||
the fine or successfully contest the civil
penalty resulting | ||
from that violation, the Secretary of State shall suspend the
| ||
driving privileges of the
registered owner of the vehicle under | ||
Section 6-306.5 of this Code for failing
to pay any fine or | ||
penalty
due and owing, or both, as a result of a combination of | ||
5 violations of the automated speed enforcement system or the | ||
automated traffic law under Section 11-208.6 of this Code. | ||
(h) Based on inspection of recorded images produced by an
|
automated speed enforcement system, a notice alleging that the | ||
violation occurred shall be evidence of the facts contained
in | ||
the notice and admissible in any proceeding alleging a
| ||
violation under this Section. | ||
(i) Recorded images made by an automated speed
enforcement | ||
system are confidential and shall be made
available only to the | ||
alleged violator and governmental and
law enforcement agencies | ||
for purposes of adjudicating a
violation of this Section, for | ||
statistical purposes, or for other governmental purposes. Any | ||
recorded image evidencing a
violation of this Section, however, | ||
may be admissible in
any proceeding resulting from the issuance | ||
of the citation. | ||
(j) The court or hearing officer may consider in defense of | ||
a violation: | ||
(1) that the motor vehicle or registration plates of | ||
the motor
vehicle were stolen before the violation occurred | ||
and not
under the control or in the possession of the owner | ||
at
the time of the violation; | ||
(2) that the driver of the motor vehicle received a | ||
Uniform Traffic Citation from a police officer for a | ||
speeding violation occurring within one-eighth of a mile | ||
and 15 minutes of the violation that was recorded by the | ||
system; and | ||
(3) any other evidence or issues provided by municipal | ||
ordinance. | ||
(k) To demonstrate that the motor vehicle or the |
registration
plates were stolen before the violation occurred | ||
and were not under the
control or possession of the owner at | ||
the time of the violation, the
owner must submit proof that a | ||
report concerning the stolen
motor vehicle or registration | ||
plates was filed with a law enforcement agency in a timely | ||
manner. | ||
(l) A roadway equipped with an automated speed enforcement | ||
system shall be posted with a sign conforming to the national | ||
Manual on Uniform Traffic Control Devices that is visible to | ||
approaching traffic stating that vehicle speeds are being | ||
photo-enforced and indicating the speed limit. The | ||
municipality shall install such additional signage as it | ||
determines is necessary to give reasonable notice to drivers as | ||
to where automated speed enforcement systems are installed. | ||
(m) A roadway where a new automated speed enforcement | ||
system is installed shall be posted with signs providing 30 | ||
days notice of the use of a new automated speed enforcement | ||
system prior to the issuance of any citations through the | ||
automated speed enforcement system. | ||
(n) The compensation paid for an automated speed | ||
enforcement system
must be based on the value of the equipment | ||
or the services provided and may
not be based on the number of | ||
traffic citations issued or the revenue generated
by the | ||
system. | ||
(o) A municipality shall make a certified report to the | ||
Secretary of State pursuant to Section 6-306.5 of this Code |
whenever a registered owner of a vehicle has failed to pay any
| ||
fine or penalty due and owing as a result of a combination of 5 | ||
offenses for automated speed or traffic law enforcement system | ||
violations. | ||
(p) No person who is the lessor of a motor vehicle pursuant | ||
to a written lease agreement shall be liable for an automated | ||
speed or traffic law enforcement system violation involving | ||
such motor vehicle during the period of the lease; provided | ||
that upon the request of the appropriate authority received | ||
within 120 days after the violation occurred, the lessor | ||
provides within 60 days after such receipt the name and address | ||
of the lessee. The drivers license number of a lessee may be | ||
subsequently individually requested by the appropriate | ||
authority if needed for enforcement of this Section. | ||
Upon the provision of information by the lessor pursuant to | ||
this subsection, the municipality may issue the violation to | ||
the lessee of the vehicle in the same manner as it would issue | ||
a violation to a registered owner of a vehicle pursuant to this | ||
Section, and the lessee may be held liable for the violation. | ||
(q) A municipality using an automated speed enforcement | ||
system must provide notice to drivers by publishing the | ||
locations of all safety zones where system equipment is | ||
installed on the website of the municipality. | ||
(r) A municipality operating an automated speed | ||
enforcement system shall conduct a statistical analysis to | ||
assess the safety impact of the system. The statistical |
analysis shall be based upon the best available crash, traffic, | ||
and other data, and shall cover a period of time before and | ||
after installation of the system sufficient to provide a | ||
statistically valid comparison of safety impact. The | ||
statistical analysis shall be consistent with professional | ||
judgment and acceptable industry practice. The statistical | ||
analysis also shall be consistent with the data required for | ||
valid comparisons of before and after conditions and shall be | ||
conducted within a reasonable period following the | ||
installation of the automated traffic law enforcement system. | ||
The statistical analysis required by this subsection shall be | ||
made available to the public and shall be published on the | ||
website of the municipality. | ||
(s) This Section applies only to municipalities with a | ||
population of 1,000,000 or more inhabitants.
| ||
(Source: P.A. 97-672, eff. 7-1-12; 97-674, eff. 7-1-12; revised | ||
8-3-12.) | ||
(625 ILCS 5/11-501.01)
| ||
Sec. 11-501.01. Additional administrative sanctions. | ||
(a) After a finding of guilt and prior to any final | ||
sentencing or an order for supervision, for an offense based | ||
upon an arrest for a violation of Section 11-501 or a similar | ||
provision of a local ordinance, individuals shall be required | ||
to undergo a professional evaluation to determine if an | ||
alcohol, drug, or intoxicating compound abuse problem exists |
and the extent of the problem, and undergo the imposition of | ||
treatment as appropriate. Programs conducting these | ||
evaluations shall be licensed by the Department of Human | ||
Services. The cost of any professional evaluation shall be paid | ||
for by the individual required to undergo the professional | ||
evaluation. | ||
(b) Any person who is found guilty of or pleads guilty to | ||
violating Section 11-501, including any person receiving a | ||
disposition of court supervision for violating that Section, | ||
may be required by the Court to attend a victim impact panel | ||
offered by, or under contract with, a county State's Attorney's | ||
office, a probation and court services department, Mothers | ||
Against Drunk Driving, or the Alliance Against Intoxicated | ||
Motorists. All costs generated by the victim impact panel shall | ||
be paid from fees collected from the offender or as may be | ||
determined by the court. | ||
(c) Every person found guilty of violating Section 11-501, | ||
whose operation of a motor vehicle while in violation of that | ||
Section proximately caused any incident resulting in an | ||
appropriate emergency response, shall be liable for the expense | ||
of an emergency response as provided in subsection (i) of this | ||
Section. | ||
(d) The Secretary of State shall revoke the driving | ||
privileges of any person convicted under Section 11-501 or a | ||
similar provision of a local ordinance. | ||
(e) 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 of | ||
Section 11-501 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. | ||
(f) In addition to any other penalties and liabilities, a | ||
person who is found guilty of or pleads guilty to violating | ||
Section 11-501, including any person placed on court | ||
supervision for violating Section 11-501, shall be assessed | ||
$750, payable to the circuit clerk, who shall distribute the | ||
money as follows: $350 to the law enforcement agency that made | ||
the arrest, and $400 shall be forwarded to the State Treasurer | ||
for deposit into the General Revenue Fund. If the person has | ||
been previously convicted of violating Section 11-501 or a | ||
similar provision of a local ordinance, the fine shall be | ||
$1,000, and the circuit clerk shall distribute
$200 to the law | ||
enforcement agency that
made the arrest and $800 to the State
| ||
Treasurer for deposit into the General Revenue Fund. In the | ||
event that more than one agency is responsible for the arrest, | ||
the amount payable to law enforcement agencies shall be shared | ||
equally. Any moneys received by a law enforcement agency under | ||
this subsection (f) shall be used for enforcement and |
prevention of driving while under the influence of alcohol, | ||
other drug or drugs, intoxicating compound or compounds or any | ||
combination thereof, as defined by Section 11-501 of this Code, | ||
including but not limited to the purchase of law enforcement | ||
equipment and commodities that will assist in the prevention of | ||
alcohol related criminal violence throughout the State; police | ||
officer training and education in areas related to alcohol | ||
related crime, including but not limited to DUI training; and | ||
police officer salaries, including but not limited to salaries | ||
for hire back funding for safety checkpoints, saturation | ||
patrols, and liquor store sting operations. Any moneys received | ||
by the Department of State Police under this subsection (f) | ||
shall be deposited into the State Police DUI Fund and shall be | ||
used to purchase law enforcement equipment that will assist in | ||
the prevention of alcohol related criminal violence throughout | ||
the State. | ||
(g) The Secretary of State Police DUI Fund is created as a | ||
special fund in the State treasury. All moneys received by the | ||
Secretary of State Police under subsection (f) of this Section | ||
shall be deposited into the Secretary of State Police DUI Fund | ||
and, subject to appropriation, shall be used for enforcement | ||
and prevention of driving while under the influence of alcohol, | ||
other drug or drugs, intoxicating compound or compounds or any | ||
combination thereof, as defined by Section 11-501 of this Code, | ||
including but not limited to the purchase of law enforcement | ||
equipment and commodities to assist in the prevention of |
alcohol related criminal violence throughout the State; police | ||
officer training and education in areas related to alcohol | ||
related crime, including but not limited to DUI training; and | ||
police officer salaries, including but not limited to salaries | ||
for hire back funding for safety checkpoints, saturation | ||
patrols, and liquor store sting operations. | ||
(h) Whenever an individual is sentenced for an offense | ||
based upon an arrest for a violation of Section 11-501 or a | ||
similar provision of a local ordinance, and the professional | ||
evaluation recommends remedial or rehabilitative treatment or | ||
education, neither the treatment nor the education shall be the | ||
sole disposition and either or both may be imposed only in | ||
conjunction with another disposition. The court shall monitor | ||
compliance with any remedial education or treatment | ||
recommendations contained in the professional evaluation. | ||
Programs conducting alcohol or other drug evaluation or | ||
remedial education must be licensed by the Department of Human | ||
Services. If the individual is not a resident of Illinois, | ||
however, the court may accept an alcohol or other drug | ||
evaluation or remedial education program in the individual's | ||
state of residence. Programs providing treatment must be | ||
licensed under existing applicable alcoholism and drug | ||
treatment licensure standards. | ||
(i) In addition to any other fine or penalty required by | ||
law, an individual convicted of a violation of Section 11-501, | ||
Section 5-7 of the Snowmobile Registration and Safety Act, |
Section 5-16 of the Boat Registration and Safety Act, or a | ||
similar provision, whose operation of a motor vehicle, | ||
snowmobile, or watercraft while in violation of Section 11-501, | ||
Section 5-7 of the Snowmobile Registration and Safety Act, | ||
Section 5-16 of the Boat Registration and Safety Act, or a | ||
similar provision proximately caused an incident resulting in | ||
an appropriate emergency response, shall be required to make | ||
restitution to a public agency for the costs of that emergency | ||
response. The restitution may not exceed $1,000 per public | ||
agency for each emergency response. As used in this subsection | ||
(i), "emergency response" means any incident requiring a | ||
response by a police officer, a firefighter carried on the | ||
rolls of a regularly constituted fire department, or an | ||
ambulance. With respect to funds designated for the Department | ||
of State Police, the moneys shall be remitted by the circuit | ||
court clerk to the State Police within one month after receipt | ||
for deposit into the State Police DUI Fund. With respect to | ||
funds designated for the Department of Natural Resources, the | ||
Department of Natural Resources shall deposit the moneys into | ||
the Conservation Police Operations Assistance Fund.
| ||
(Source: P.A. 96-1342, eff. 1-1-11; 97-931, eff. 1-1-13; | ||
97-1050, eff. 1-1-13; revised 8-23-12.)
| ||
(625 ILCS 5/11-1301.1) (from Ch. 95 1/2, par. 11-1301.1)
| ||
Sec. 11-1301.1. Persons with disabilities - Parking | ||
privileges - Exemptions. |
(a) A motor vehicle bearing registration plates issued to a | ||
person with
disabilities, as defined by Section 1-159.1, | ||
pursuant to Section 3-616 or to a
disabled veteran pursuant to | ||
subsection (a) of Section 3-609 or a special decal or device | ||
issued
pursuant to Section 3-616 or pursuant to Section | ||
11-1301.2 of this Code or a
motor vehicle registered in another | ||
jurisdiction, state, district, territory or
foreign country | ||
upon which is displayed a registration plate, special decal or
| ||
device issued by the other jurisdiction designating the vehicle | ||
is operated by
or for a person with disabilities shall be | ||
exempt from the payment of parking
meter fees until January 1, | ||
2014, and exempt from any statute or ordinance imposing time | ||
limitations
on parking, except limitations of one-half hour or | ||
less, on any street or
highway zone, a parking area subject to | ||
regulation under subsection (a) of Section 11-209 of this Code, | ||
or any parking lot or parking place which
are owned, leased or | ||
owned and leased by a municipality or a municipal
parking | ||
utility; and shall be recognized by state and local authorities
| ||
as a valid license plate or parking device and shall receive | ||
the same
parking privileges as residents of this State; but, | ||
such vehicle shall be
subject to the laws which prohibit | ||
parking in "no stopping" and "no
standing" zones in front of or | ||
near fire hydrants, driveways, public
building entrances and | ||
exits, bus stops and loading areas, and is
prohibited from | ||
parking where the motor vehicle constitutes a traffic
hazard, | ||
whereby such motor vehicle shall be moved at the instruction |
and
request of a law enforcement officer to a location | ||
designated by the
officer. | ||
(b) Any motor vehicle bearing registration plates or a | ||
special decal
or device specified in this Section or in Section | ||
3-616 of this Code or
such parking device as specifically | ||
authorized in Section 11-1301.2 as
evidence that the vehicle is | ||
operated by or for a person with disabilities or bearing | ||
registration plates issued to a
disabled veteran under | ||
subsection (a) of Section 3-609 may park, in addition to any
| ||
other lawful place, in any parking place specifically reserved | ||
for such
vehicles by the posting of an official sign as | ||
provided under Section 11-301.
Parking privileges granted by | ||
this Section are strictly limited
to the person to whom the | ||
special registration plates, special decal or
device were | ||
issued and to qualified operators acting under his or her | ||
express
direction while the person with disabilities is | ||
present.
A person to whom privileges were granted shall, at the | ||
request of a
police officer or any other person invested by law | ||
with authority to direct,
control, or regulate traffic, present | ||
an identification card with a picture as
verification that the
| ||
person is the person to whom the special registration plates, | ||
special decal or
device was issued.
| ||
(c) Such parking privileges granted by this Section are | ||
also extended to
motor vehicles of not-for-profit | ||
organizations used for the transportation of
persons with | ||
disabilities when such motor vehicles display the decal or |
device
issued pursuant to Section 11-1301.2 of this Code.
| ||
(d) No person shall use any area for the parking of any | ||
motor vehicle
pursuant to Section 11-1303 of this Code or where | ||
an official sign
controlling such area expressly prohibits | ||
parking at any time or during
certain hours.
| ||
(e) Beginning January 1, 2014, a vehicle displaying a decal | ||
or device issued under subsection (c-5) of Section 11-1301.2 of | ||
this Code shall be exempt from the payment of fees generated by | ||
parking in a metered space or in a publicly owned parking | ||
structure or area. | ||
(Source: P.A. 96-79, eff. 1-1-10; 97-845, eff. 1-1-13; 97-918, | ||
eff. 1-1-13; revised 8-23-12.)
| ||
(625 ILCS 5/11-1301.2) (from Ch. 95 1/2, par. 11-1301.2)
| ||
Sec. 11-1301.2. Special decals for parking; persons with | ||
disabilities.
| ||
(a) The Secretary of State shall provide for, by | ||
administrative rules, the
design, size, color, and placement of | ||
a person with disabilities motorist decal
or device
and shall | ||
provide for, by administrative
rules, the content and form of | ||
an application for a person with disabilities
motorist decal or | ||
device,
which shall be used by local authorities in the | ||
issuance thereof to a
person with temporary disabilities, | ||
provided that the decal or device is
valid for no more than 90 | ||
days, subject to renewal for like periods based upon
continued | ||
disability, and further provided that the decal or device |
clearly
sets forth the date that the decal or device expires.
| ||
The application shall
include the requirement of an Illinois | ||
Identification Card number or a State
of Illinois driver's | ||
license number.
This decal or device may be used by the | ||
authorized holder to designate and identify a vehicle not owned | ||
or displaying a
registration plate as provided in Sections | ||
3-609 and 3-616 of this Act to
designate when the vehicle is | ||
being used to transport said person or persons
with | ||
disabilities, and thus is entitled to enjoy all the privileges | ||
that would
be afforded a person with disabilities licensed | ||
vehicle.
Person with disabilities decals or devices issued and | ||
displayed pursuant to
this Section shall be recognized and | ||
honored by all local authorities
regardless of which local | ||
authority issued such decal or device.
| ||
The decal or device shall be issued only upon a showing by | ||
adequate
documentation that the person for whose benefit the | ||
decal or device is to be
used has a temporary disability as | ||
defined in Section 1-159.1 of this
Code.
| ||
(b) The local governing authorities shall be responsible | ||
for the provision
of such decal or device, its issuance and | ||
designated placement within the
vehicle. The cost of such decal | ||
or device shall be at the discretion of
such local governing | ||
authority.
| ||
(c) The Secretary of State may, pursuant to Section | ||
3-616(c), issue
a person with disabilities parking decal or | ||
device to a person with
disabilities as defined by Section |
1-159.1. Any person with disabilities
parking decal or device | ||
issued by the Secretary of State shall be registered to
that | ||
person with disabilities in the form to be prescribed by the | ||
Secretary of
State. The person with disabilities parking decal | ||
or device shall not display
that person's address. One | ||
additional decal or device may be issued to an
applicant upon | ||
his or her written request and with the approval of the
| ||
Secretary of
State.
The written request must include a | ||
justification of the need for the
additional decal or device.
| ||
(c-5) Beginning January 1, 2014, the Secretary shall | ||
provide by administrative rule for the issuance of a separate | ||
and distinct parking decal or device for persons with | ||
disabilities as defined by Section 1-159.1 of this Code. The | ||
authorized holder of a decal or device issued under this | ||
subsection (c-5) shall be exempt from the payment of fees | ||
generated by parking in a metered space, a parking area subject | ||
to paragraph (10) of subsection (a) of Section 11-209 of this | ||
Code, or a publicly owned parking structure or area. | ||
The Secretary shall issue a meter-exempt decal or device to | ||
a person with
disabilities who: (i) has been issued | ||
registration plates under Section 3-609 or 3-616 of this Code | ||
or a special decal or device under this Section, (ii) holds a | ||
valid Illinois driver's license , ; and (iii) is unable to do one | ||
or more of the following: | ||
(1) manage, manipulate, or insert coins, or obtain | ||
tickets or tokens in parking meters or ticket machines in |
parking lots or parking structures, due to the lack of fine | ||
motor control of both hands; | ||
(2) reach above his or her head to a height of 42 | ||
inches from the ground, due to a lack of finger, hand, or | ||
upper extremity strength or mobility; | ||
(3) approach a parking meter due to his or her use of a | ||
wheelchair or other device for mobility; or | ||
(4) walk more than 20 feet due to an orthopedic, | ||
neurological, cardiovascular, or lung condition in which | ||
the degree of debilitation is so severe that it almost | ||
completely impedes the ability to walk. | ||
The application for a meter-exempt parking decal or device | ||
shall contain a statement certified by a licensed physician, | ||
physician assistant, or advanced practice nurse attesting to | ||
the nature and estimated duration of the applicant's condition | ||
and verifying that the applicant meets the physical | ||
qualifications specified in this subsection (c-5). | ||
Notwithstanding the requirements of this subsection (c-5), | ||
the Secretary shall issue a meter-exempt decal or device to a | ||
person who has been issued registration plates under Section | ||
3-616 of this Code or a special decal or device under this | ||
Section, if the applicant is the parent or guardian of a person | ||
with disabilities who is under 18 years of age and incapable of | ||
driving. | ||
(d) Replacement decals or devices may be issued for lost, | ||
stolen, or
destroyed decals upon application and payment of a |
$10 fee. The replacement
fee may be waived for individuals that | ||
have claimed and received a grant under
the Senior Citizens and | ||
Disabled Persons Property Tax Relief Act.
| ||
(Source: P.A. 96-72, eff. 1-1-10; 96-79, eff. 1-1-10; 96-1000, | ||
eff. 7-2-10; 97-689, eff. 6-14-12; 97-845, eff. 1-1-13; revised | ||
8-3-12.)
| ||
(625 ILCS 5/11-1301.3) (from Ch. 95 1/2, par. 11-1301.3)
| ||
Sec. 11-1301.3. Unauthorized use of parking places | ||
reserved for persons with
disabilities. | ||
(a) It shall be prohibited to park any motor vehicle which | ||
is not properly
displaying
registration plates or decals issued | ||
to a person with disabilities, as defined
by Section 1-159.1, | ||
pursuant to Sections 3-616, 11-1301.1 or 11-1301.2, or to
a | ||
disabled veteran pursuant to Section 3-609 of this Act, as | ||
evidence that the
vehicle is operated by or for a person with | ||
disabilities or disabled veteran,
in any parking place, | ||
including any private
or public offstreet parking facility, | ||
specifically reserved, by the
posting of an official sign as | ||
designated under Section 11-301, for
motor vehicles displaying | ||
such registration plates.
It shall be prohibited to park any | ||
motor vehicle in a designated access
aisle adjacent to any | ||
parking place specifically reserved for persons with
| ||
disabilities, by the posting of an official sign as designated | ||
under Section
11-301, for motor vehicles displaying such | ||
registration plates.
When using the parking privileges for |
persons with disabilities, the parking
decal or device must be | ||
displayed properly in the vehicle where it is clearly
visible | ||
to law enforcement personnel, either hanging from the rearview | ||
mirror
or placed on the dashboard of the vehicle in clear view.
| ||
Disability license plates and parking decals and devices are | ||
not transferable from person to person. Proper usage of the | ||
disability license plate or parking decal or device requires | ||
the authorized holder to be present and enter or exit the | ||
vehicle at the time the parking privileges are being used. It | ||
is a violation of this Section to park in a space reserved for | ||
a person with disabilities if the authorized holder of the | ||
disability license plate or parking decal or device does not | ||
enter or exit the vehicle at the time the parking privileges | ||
are being used. Any motor vehicle properly displaying a | ||
disability license plate or a
parking decal or device | ||
containing the International symbol of access
issued to persons | ||
with disabilities by any local authority, state, district,
| ||
territory or foreign country shall be recognized by State and | ||
local
authorities as a valid license plate or device and | ||
receive the same parking
privileges as residents of this State.
| ||
(a-1) An individual with a vehicle displaying disability | ||
license plates or a parking decal or device issued to a | ||
qualified person with a disability under Sections 3-616, | ||
11-1301.1, or 11-1301.2 or to a disabled veteran under Section | ||
3-609 is in violation of this Section if (i) the person using | ||
the disability license plate or parking decal or device is not |
the authorized holder of the disability license plate or | ||
parking decal or device or is not transporting the authorized | ||
holder of the disability license plate or parking decal or | ||
device to or from the parking location and (ii) the person uses | ||
the disability license plate or parking decal or device to | ||
exercise any privileges granted through the disability license | ||
plate or parking decals or devices under this Code.
| ||
(a-2) A driver of a vehicle displaying disability license | ||
plates or a parking decal or device issued to a qualified | ||
person with a disability under Section 3-616, 11-1301.1, or | ||
11-1301.2 or to a disabled veteran under Section 3-609 is in | ||
violation of this Section if (i) the person to whom the | ||
disability license plate or parking decal or device was issued | ||
is deceased and (ii) the driver uses the disability license | ||
plate or parking decal or device to exercise any privileges | ||
granted through a disability license plate or parking decal or | ||
device under this Code. | ||
(b) Any person or local authority owning or operating any | ||
public or private
offstreet parking facility may, after | ||
notifying the police or sheriff's
department, remove or cause | ||
to be removed to the nearest garage or other
place of safety | ||
any vehicle parked within a stall or space reserved for
use by | ||
a person with disabilities which does not
display person with | ||
disabilities registration
plates or a special decal or device | ||
as required under this Section.
| ||
(c) Any person found guilty of violating the provisions of |
subsection (a) shall be fined $250 in addition to any costs or | ||
charges connected
with the removal or storage of any motor | ||
vehicle authorized under this
Section; but municipalities by | ||
ordinance may impose a fine up to $350
and shall display signs | ||
indicating the fine imposed. If the amount of
the fine is | ||
subsequently changed, the municipality shall change the sign to
| ||
indicate the current amount of the fine.
It shall not be a | ||
defense to a charge under this Section that either the sign | ||
posted
pursuant to this
Section or the intended accessible | ||
parking place does not comply with the technical requirements | ||
of Section 11-301,
Department
regulations, or local ordinance | ||
if a reasonable person would be made aware by
the
sign or | ||
notice on or near the parking place that the place is reserved | ||
for a
person
with
disabilities.
| ||
(c-1) Any person found guilty of violating the provisions | ||
of subsection (a-1) a first time shall be fined $600. Any | ||
person found guilty of violating subsection (a-1) a second or | ||
subsequent time shall be fined $1,000. Any person who violates | ||
subsection (a-2) is guilty of a Class A misdemeanor and shall | ||
be fined $2,500. The circuit clerk shall distribute 50% of the | ||
fine imposed on any person who is found guilty of or pleads | ||
guilty to violating this Section, including any person placed | ||
on court supervision for violating this Section, to the law | ||
enforcement agency that issued the citation or made the arrest. | ||
If more than one law enforcement agency is responsible for | ||
issuing the citation or making the arrest, the 50% of the fine |
imposed shall be shared equally.
If an officer of the Secretary | ||
of State Department of Police arrested a person for a violation | ||
of this Section, 50% of the fine imposed shall be deposited | ||
into the Secretary of State Police Services Fund. | ||
(d) Local authorities shall impose fines as established in | ||
subsections
(c) and (c-1) for violations of this Section.
| ||
(e) As used in this Section, "authorized holder" means an | ||
individual
issued a disability
license plate under Section | ||
3-616 of this
Code, an individual issued a parking decal or | ||
device
under Section 11-1301.2 of this Code, or an individual | ||
issued a disabled veteran's license plate under Section 3-609 | ||
of this Code. | ||
(f) Any person who commits a violation of subsection (a-1) | ||
or a similar provision of a local ordinance may have his or her | ||
driving privileges suspended or revoked by the Secretary of | ||
State for a period of time determined by the Secretary of | ||
State. Any person who commits a violation of subsection (a-2) | ||
or a similar provision of a local ordinance shall have his or | ||
her driving privileges revoked by the Secretary of State. The | ||
Secretary of State may also suspend or revoke the disability | ||
license plates or parking decal or device for a period of time | ||
determined by the Secretary of State.
| ||
(g) Any police officer may seize the parking decal
or | ||
device from any person who commits a violation of this Section. | ||
Any police officer may seize the disability license plate upon | ||
authorization from the Secretary of State. Any police officer |
may request that the Secretary of State revoke the parking | ||
decal or device or the disability license plate of any person | ||
who commits a violation of this Section. | ||
(Source: P.A. 96-72, eff. 1-1-10; 96-79, eff. 1-1-10; 96-962, | ||
eff. 7-2-10; 96-1000, eff. 7-2-10; 97-844, eff. 1-1-13; 97-845, | ||
eff. 1-1-13; revised 8-3-12.)
| ||
(625 ILCS 5/11-1301.5)
| ||
Sec. 11-1301.5. Fictitious or unlawfully altered | ||
disability
license plate or parking decal or device. | ||
(a) As used in this Section:
| ||
"Fictitious disability license plate or parking decal or
| ||
device" means any issued disability license plate or parking
| ||
decal
or device, or any license plate issued to a disabled | ||
veteran under Section 3-609 of this Code, that has been issued | ||
by the Secretary of State or an authorized unit
of local | ||
government that was issued based upon false information | ||
contained on
the required application.
| ||
"False information" means any incorrect or inaccurate | ||
information
concerning
the name, date of birth, social security | ||
number, driver's license number,
physician certification, or | ||
any other information required on the Persons with Disabilities | ||
Certification for Plate or Parking Placard, on the Application | ||
for Replacement Disability Parking Placard, or on the
| ||
application
for license plates issued to disabled veterans | ||
under Section 3-609 of this Code, that
falsifies the content of |
the application.
| ||
"Unlawfully altered disability
license plate or parking
| ||
permit or device" means any disability license plate or parking
| ||
permit or device, or any license plate issued to a disabled | ||
veteran under Section 3-609 of this Code, issued by the | ||
Secretary of State or an authorized unit of
local government | ||
that has been physically altered or changed in such manner
that | ||
false information appears on the license plate or parking decal | ||
or device.
| ||
"Authorized holder" means an individual issued a | ||
disability
license plate under Section 3-616 of this Code or an | ||
individual issued a parking decal or device under Section | ||
11-1301.2 of this Code, or an individual issued a disabled | ||
veteran's license plate under Section 3-609 of this Code.
| ||
(b) It is a violation of this Section for any person:
| ||
(1) to knowingly possess any fictitious or unlawfully | ||
altered disability license plate or parking decal or | ||
device;
| ||
(2) to knowingly issue or assist in the issuance of, by | ||
the Secretary of
State or unit of local government, any | ||
fictitious disability
license plate or parking decal or | ||
device;
| ||
(3) to knowingly alter any disability license plate or
| ||
parking decal or device;
| ||
(4) to knowingly manufacture, possess, transfer, or | ||
provide any
documentation used in the application process |
whether real or fictitious, for
the purpose of obtaining a | ||
fictitious disability license plate or
parking decal or | ||
device;
| ||
(5) to knowingly provide any false information to the | ||
Secretary of State
or a unit of local government in order | ||
to obtain a disability
license plate or parking decal or | ||
device;
| ||
(6) to knowingly transfer a disability license plate or
| ||
parking decal or device for the purpose of exercising the | ||
privileges granted
to an authorized holder of a disability
| ||
license plate or parking
decal or device under this Code in | ||
the absence of the authorized holder; or
| ||
(7) who is for a physician, physician assistant, or | ||
advanced practice nurse to knowingly falsify a | ||
certification that a person is a person with disabilities | ||
as defined by Section 1-159.1 of this Code. | ||
(c) Sentence.
| ||
(1) Any person convicted of a violation of paragraph | ||
(1), (2), (3), (4), (5), or (7) of subsection (b) of this | ||
Section shall be guilty of
a Class A misdemeanor and fined | ||
not less than $1,000 for a first offense and shall be | ||
guilty of a Class 4 felony and fined not less than $2,000 | ||
for a second or subsequent offense. Any person convicted of | ||
a violation of subdivision (b)(6) of this Section is guilty | ||
of a Class A misdemeanor and shall be fined not less than | ||
$1,000 for a first offense and not less than $2,000 for a |
second or subsequent offense. The circuit clerk shall | ||
distribute one-half of any fine imposed on any person who | ||
is found guilty of or pleads guilty to violating this | ||
Section, including any person placed on court supervision | ||
for violating this Section, to the law enforcement agency | ||
that issued the citation or made the arrest. If more than | ||
one law enforcement agency is responsible for issuing the | ||
citation or making the arrest, one-half of the fine imposed | ||
shall be shared equally.
| ||
(2) Any person who commits a violation of this Section | ||
or a similar provision of a local ordinance may have his
or | ||
her driving privileges suspended or revoked by the | ||
Secretary of State for a
period of time determined by the | ||
Secretary of State. The Secretary of State may suspend or | ||
revoke the parking decal or device or the disability | ||
license plate of any person who commits a violation of this | ||
Section.
| ||
(3) Any police officer may seize the parking decal or | ||
device from any
person who commits a violation of this | ||
Section. Any police officer may seize
the disability | ||
license plate upon authorization from the
Secretary of | ||
State. Any police officer may request that the Secretary of | ||
State
revoke the parking decal or device or the disability | ||
license
plate of any person who commits a violation of this | ||
Section.
| ||
(Source: P.A. 96-79, eff. 1-1-10; 97-844, eff. 1-1-13; 97-845, |
eff. 1-1-13; revised 8-3-12.)
| ||
(625 ILCS 5/11-1302) (from Ch. 95 1/2, par. 11-1302)
| ||
Sec. 11-1302. Officers authorized to remove vehicles. | ||
(a) Whenever any police officer
finds a vehicle
in | ||
violation of any of the provisions of Section
11-1301 such | ||
officer is hereby authorized to move such vehicle, or require | ||
the
driver or other person in charge of the vehicle to move the | ||
same, to a position
off the roadway.
| ||
(b) Any police officer is hereby authorized to remove or | ||
cause to be removed
to a place of safety any unattended
vehicle | ||
illegally left standing upon any highway, bridge, causeway,
or | ||
in a tunnel, in such a
position or under such circumstances as | ||
to obstruct the normal movement of traffic.
| ||
Whenever the Department finds an abandoned or disabled | ||
vehicle
standing upon the paved or main-traveled part of a | ||
highway, which
vehicle is or may be expected to interrupt the | ||
free flow of traffic
on the highway or interfere with the | ||
maintenance of the highway,
the Department is authorized to | ||
move the vehicle to a position off
the paved or improved or | ||
main-traveled part of the highway.
| ||
(c) Any police officer is hereby authorized to remove or | ||
cause
to be removed to the nearest garage or other place of | ||
safety any
vehicle found upon a highway when:
| ||
1. report has been made that such vehicle has been | ||
stolen or
taken without the consent of its owner, or
|
2. the person or persons in charge of such vehicle are | ||
unable
to provide for its custody or removal, or
| ||
3. When the person driving or in control of such | ||
vehicle is
arrested for an alleged offense for which the | ||
officer is required
by law to take the person arrested | ||
before a proper magistrate without
unnecessary delay, or
| ||
4. When the registration of the vehicle has been | ||
suspended, cancelled, or revoked. | ||
(Source: P.A. 97-743, eff. 1-1-13; revised 8-3-12.)
| ||
(625 ILCS 5/12-610.1) | ||
Sec. 12-610.1. Wireless telephones. | ||
(a) As used in this Section, "wireless telephone" means
a | ||
device that is capable of transmitting or receiving
telephonic | ||
communications without a wire connecting the
device to the | ||
telephone network. | ||
(b) A person under the age of 19 years who holds an | ||
instruction permit issued under Section 6-105 or 6-107.1, or a | ||
person under the age of 19 years who holds a graduated license | ||
issued under Section 6-107, may not drive a vehicle on a | ||
roadway while using a wireless phone.
| ||
(c) This Section does not apply to a person under the age | ||
of 19 years using a
wireless telephone for emergency purposes, | ||
including, but not
limited to, an emergency call to a law | ||
enforcement agency,
health care provider, fire department, or | ||
other emergency
services agency or entity.
|
(d) If a graduated driver's license holder over the age of | ||
18 committed an offense against traffic regulations governing | ||
the movement of vehicles or any violation of Section 6-107 or | ||
Section 12-603.1 of this Code in the 6 months prior to the | ||
graduated driver's license holder's 18th birthday, and was | ||
subsequently convicted of the violation, the provisions of | ||
paragraph (b) shall continue to apply until such time as a | ||
period of 6 consecutive months has elapsed without an | ||
additional violation and subsequent conviction of an offense | ||
against traffic regulations governing the movement of vehicles | ||
or any violation of Section 6-107 or Section 12-603.1 of this | ||
Code.
| ||
(e) A person, regardless of age, may not use a wireless
| ||
telephone at any time while operating a motor vehicle on a | ||
roadway in a school speed
zone established under Section | ||
11-605, on a highway in a construction or
maintenance speed | ||
zone established under Section 11-605.1, or within 500 feet of | ||
an emergency scene. As used in this Section, "emergency scene" | ||
means a location where an authorized emergency vehicle as | ||
defined by Section 1-105 of this Code is
present and has | ||
activated its oscillating, rotating, or flashing lights.
This | ||
subsection (e) does not apply to (i) a person engaged in a
| ||
highway construction or maintenance project for which a
| ||
construction or maintenance speed zone has been established
| ||
under Section 11-605.1, (ii) a person using a wireless
| ||
telephone for emergency purposes, including, but not limited |
to,
law enforcement agency, health care provider, fire | ||
department, or other emergency services agency or entity, (iii) | ||
a law enforcement officer or operator of an emergency vehicle | ||
when performing the officer's or operator's official duties, | ||
(iv) a person using a wireless telephone in voice-operated | ||
mode, which may include the use of a headset, or (v) to a | ||
person using a wireless telephone by pressing a single button | ||
to initiate or terminate a voice communication . , or (vi) (v) a | ||
person using an electronic communication device for the sole | ||
purpose of reporting an emergency situation and continued | ||
communication with emergency personnel during the emergency | ||
situation . | ||
(Source: P.A. 96-131, eff. 1-1-10; 97-828, eff. 7-20-12; | ||
97-830, eff. 1-1-13; revised 8-3-12.) | ||
Section 445. The Judicial Privacy Act is amended by | ||
changing Section 4-99 as follows: | ||
(705 ILCS 90/4-99)
| ||
Sec. 4-99. Effective date. This Act and this Section take | ||
takes effect 60 days after becoming law, except that Sections | ||
4-18 and 4-20 take effect January 1, 2013.
| ||
(Source: P.A. 97-847, eff. 9-22-12; revised 8-3-12.) | ||
Section 450. The Criminal Code of 2012 is amended by | ||
changing Sections 4-8, 14-3, 24-2, 33G-4, 33G-5, 33G-7, and |
36.5-5 as follows:
| ||
(720 ILCS 5/4-8) (from Ch. 38, par. 4-8)
| ||
Sec. 4-8. Ignorance or mistake. | ||
(a) A person's ignorance or mistake as to a matter of | ||
either fact or
law, except as provided in Section 4-3(c) above, | ||
is a defense if it
negatives the existence of the mental state | ||
which the statute prescribes
with respect to an element of the | ||
offense.
| ||
(b) A person's reasonable belief that his conduct does not | ||
constitute an
offense is a defense if:
| ||
(1) the The offense is defined by an administrative | ||
regulation or order
which is not known to him and has not | ||
been published or otherwise made
reasonably available to | ||
him, and he could not have acquired such knowledge
by the | ||
exercise of due diligence pursuant to facts known to him; | ||
or
| ||
(2) he He acts in reliance upon a statute which later | ||
is determined to
be invalid; or
| ||
(3) he He acts in reliance upon an order or opinion of | ||
an Illinois
Appellate or Supreme Court, or a United States | ||
appellate court later
overruled or reversed; or
| ||
(4) he He acts in reliance upon an official | ||
interpretation of the
statute, regulation or order | ||
defining the offense, made by a public officer
or agency | ||
legally authorized to interpret such statute.
|
(c) Although a person's ignorance or mistake of fact or | ||
law, or
reasonable belief, described in this Section 4-8 is a | ||
defense to the
offense charged, he may be convicted of an | ||
included offense of which he
would be guilty if the fact or law | ||
were as he believed it to be.
| ||
(d) A defense based upon this Section 4-8 is an affirmative | ||
defense.
| ||
(Source: Laws 1961, p. 1983; revised 8-3-12.)
| ||
(720 ILCS 5/14-3) | ||
Sec. 14-3. Exemptions. The following activities shall be
| ||
exempt from the provisions of this Article: | ||
(a) Listening to radio, wireless and television | ||
communications of
any sort where the same are publicly made; | ||
(b) Hearing conversation when heard by employees of any | ||
common
carrier by wire incidental to the normal course of their | ||
employment in
the operation, maintenance or repair of the | ||
equipment of such common
carrier by wire so long as no | ||
information obtained thereby is used or
divulged by the hearer; | ||
(c) Any broadcast by radio, television or otherwise whether | ||
it be a
broadcast or recorded for the purpose of later | ||
broadcasts of any
function where the public is in attendance | ||
and the conversations are
overheard incidental to the main | ||
purpose for which such broadcasts are
then being made; | ||
(d) Recording or listening with the aid of any device to | ||
any
emergency communication made in the normal course of |
operations by any
federal, state or local law enforcement | ||
agency or institutions dealing
in emergency services, | ||
including, but not limited to, hospitals,
clinics, ambulance | ||
services, fire fighting agencies, any public utility,
| ||
emergency repair facility, civilian defense establishment or | ||
military
installation; | ||
(e) Recording the proceedings of any meeting required to be | ||
open by
the Open Meetings Act, as amended; | ||
(f) Recording or listening with the aid of any device to | ||
incoming
telephone calls of phone lines publicly listed or | ||
advertised as consumer
"hotlines" by manufacturers or | ||
retailers of food and drug products. Such
recordings must be | ||
destroyed, erased or turned over to local law
enforcement | ||
authorities within 24 hours from the time of such recording and
| ||
shall not be otherwise disseminated. Failure on the part of the | ||
individual
or business operating any such recording or | ||
listening device to comply with
the requirements of this | ||
subsection shall eliminate any civil or criminal
immunity | ||
conferred upon that individual or business by the operation of
| ||
this Section; | ||
(g) With prior notification to the State's Attorney of the
| ||
county in which
it is to occur, recording or listening with the | ||
aid of any device to any
conversation
where a law enforcement | ||
officer, or any person acting at the direction of law
| ||
enforcement, is a party to the conversation and has consented | ||
to it being
intercepted or recorded under circumstances where |
the use of the device is
necessary for the protection of the | ||
law enforcement officer or any person
acting at the direction | ||
of law enforcement, in the course of an
investigation
of a | ||
forcible felony, a felony offense of involuntary servitude, | ||
involuntary sexual servitude of a minor, or trafficking in | ||
persons under Section 10-9 of this Code, an offense involving | ||
prostitution, solicitation of a sexual act, or pandering, a | ||
felony violation of the Illinois Controlled Substances
Act, a | ||
felony violation of the Cannabis Control Act, a felony | ||
violation of the Methamphetamine Control and Community | ||
Protection Act, any "streetgang
related" or "gang-related" | ||
felony as those terms are defined in the Illinois
Streetgang | ||
Terrorism Omnibus Prevention Act, or any felony offense | ||
involving any weapon listed in paragraphs (1) through (11) of | ||
subsection (a) of Section 24-1 of this Code.
Any recording or | ||
evidence derived
as the
result of this exemption shall be | ||
inadmissible in any proceeding, criminal,
civil or
| ||
administrative, except (i) where a party to the conversation | ||
suffers great
bodily injury or is killed during such | ||
conversation, or
(ii)
when used as direct impeachment of a | ||
witness concerning matters contained in
the interception or | ||
recording. The Director of the
Department of
State Police shall | ||
issue regulations as are necessary concerning the use of
| ||
devices, retention of tape recordings, and reports regarding | ||
their
use; | ||
(g-5) With approval of the State's Attorney of the county |
in
which it is to occur, recording or listening with the aid of | ||
any device to any
conversation where a law enforcement officer, | ||
or any person acting at the
direction of law enforcement, is a | ||
party to the conversation and has consented
to it being | ||
intercepted or recorded in the course of an investigation of | ||
any
offense defined in Article 29D of this Code.
In all such | ||
cases, an application for an order approving
the previous or | ||
continuing use of an eavesdropping
device must be made within | ||
48 hours of the commencement of
such use. In the absence of | ||
such an order, or upon its denial,
any continuing use shall | ||
immediately terminate.
The Director of
State Police shall issue | ||
rules as are necessary concerning the use of
devices, retention | ||
of tape recordings, and reports regarding their use. | ||
Any recording or evidence obtained or derived in the course | ||
of an
investigation of any offense defined in Article 29D of | ||
this Code shall, upon
motion of the State's Attorney or | ||
Attorney General prosecuting any violation of
Article 29D, be | ||
reviewed in camera with notice to all parties present by the
| ||
court presiding over the criminal
case, and, if ruled by the | ||
court to be relevant and otherwise admissible,
it shall be | ||
admissible at the trial of the criminal
case. | ||
This subsection (g-5) is inoperative on and after January | ||
1, 2005.
No conversations recorded or monitored pursuant to | ||
this subsection (g-5)
shall be inadmissible in a court of law | ||
by virtue of the repeal of this
subsection (g-5) on January 1, | ||
2005; |
(g-6) With approval of the State's Attorney of the county | ||
in which it is to occur, recording or listening with the aid of | ||
any device to any conversation where a law enforcement officer, | ||
or any person acting at the direction of law enforcement, is a | ||
party to the conversation and has consented to it being | ||
intercepted or recorded in the course of an investigation of | ||
involuntary servitude, involuntary sexual servitude of a | ||
minor, trafficking in persons, child pornography, aggravated | ||
child pornography, indecent solicitation of a child, child | ||
abduction, luring of a minor, sexual exploitation of a child, | ||
predatory criminal sexual assault of a child, aggravated | ||
criminal sexual abuse in which the victim of the offense was at | ||
the time of the commission of the offense under 18 years of | ||
age, criminal sexual abuse by force or threat of force in which | ||
the victim of the offense was at the time of the commission of | ||
the offense under 18 years of age, or aggravated criminal | ||
sexual assault in which the victim of the offense was at the | ||
time of the commission of the offense under 18 years of age. In | ||
all such cases, an application for an order approving the | ||
previous or continuing use of an eavesdropping device must be | ||
made within 48 hours of the commencement of such use. In the | ||
absence of such an order, or upon its denial, any continuing | ||
use shall immediately terminate. The Director of State Police | ||
shall issue rules as are necessary concerning the use of | ||
devices, retention of recordings, and reports regarding their | ||
use.
Any recording or evidence obtained or derived in the |
course of an investigation of involuntary servitude, | ||
involuntary sexual servitude of a minor, trafficking in | ||
persons, child pornography, aggravated child pornography, | ||
indecent solicitation of a child, child abduction, luring of a | ||
minor, sexual exploitation of a child, predatory criminal | ||
sexual assault of a child, aggravated criminal sexual abuse in | ||
which the victim of the offense was at the time of the | ||
commission of the offense under 18 years of age, criminal | ||
sexual abuse by force or threat of force in which the victim of | ||
the offense was at the time of the commission of the offense | ||
under 18 years of age, or aggravated criminal sexual assault in | ||
which the victim of the offense was at the time of the | ||
commission of the offense under 18 years of age shall, upon | ||
motion of the State's Attorney or Attorney General prosecuting | ||
any case involving involuntary servitude, involuntary sexual | ||
servitude of a minor, trafficking in persons, child | ||
pornography, aggravated child pornography, indecent | ||
solicitation of a child, child abduction, luring of a minor, | ||
sexual exploitation of a child, predatory criminal sexual | ||
assault of a child, aggravated criminal sexual abuse in which | ||
the victim of the offense was at the time of the commission of | ||
the offense under 18 years of age, criminal sexual abuse by | ||
force or threat of force in which the victim of the offense was | ||
at the time of the commission of the offense under 18 years of | ||
age, or aggravated criminal sexual assault in which the victim | ||
of the offense was at the time of the commission of the offense |
under 18 years of age, be reviewed in camera with notice to all | ||
parties present by the court presiding over the criminal case, | ||
and, if ruled by the court to be relevant and otherwise | ||
admissible, it shall be admissible at the trial of the criminal | ||
case. Absent such a ruling, any such recording or evidence | ||
shall not be admissible at the trial of the criminal case; | ||
(h) Recordings made simultaneously with the use of an | ||
in-car video camera recording of an oral
conversation between a | ||
uniformed peace officer, who has identified his or her office, | ||
and
a person in the presence of the peace officer whenever (i) | ||
an officer assigned a patrol vehicle is conducting an | ||
enforcement stop; or (ii) patrol vehicle emergency lights are | ||
activated or would otherwise be activated if not for the need | ||
to conceal the presence of law enforcement. | ||
For the purposes of this subsection (h), "enforcement stop" | ||
means an action by a law enforcement officer in relation to | ||
enforcement and investigation duties, including but not | ||
limited to, traffic stops, pedestrian stops, abandoned vehicle | ||
contacts, motorist assists, commercial motor vehicle stops, | ||
roadside safety checks, requests for identification, or | ||
responses to requests for emergency assistance; | ||
(h-5) Recordings of utterances made by a person while in | ||
the presence of a uniformed peace officer and while an occupant | ||
of a police vehicle including, but not limited to, (i) | ||
recordings made simultaneously with the use of an in-car video | ||
camera and (ii) recordings made in the presence of the peace |
officer utilizing video or audio systems, or both, authorized | ||
by the law enforcement agency; | ||
(h-10) Recordings made simultaneously with a video camera | ||
recording during
the use of a taser or similar weapon or device | ||
by a peace officer if the weapon or device is equipped with | ||
such camera; | ||
(h-15) Recordings made under subsection (h), (h-5), or | ||
(h-10) shall be retained by the law enforcement agency that | ||
employs the peace officer who made the recordings for a storage | ||
period of 90 days, unless the recordings are made as a part of | ||
an arrest or the recordings are deemed evidence in any | ||
criminal, civil, or administrative proceeding and then the | ||
recordings must only be destroyed upon a final disposition and | ||
an order from the court. Under no circumstances shall any | ||
recording be altered or erased prior to the expiration of the | ||
designated storage period. Upon completion of the storage | ||
period, the recording medium may be erased and reissued for | ||
operational use; | ||
(i) Recording of a conversation made by or at the request | ||
of a person, not a
law enforcement officer or agent of a law | ||
enforcement officer, who is a party
to the conversation, under | ||
reasonable suspicion that another party to the
conversation is | ||
committing, is about to commit, or has committed a criminal
| ||
offense against the person or a member of his or her immediate | ||
household, and
there is reason to believe that evidence of the | ||
criminal offense may be
obtained by the recording; |
(j) The use of a telephone monitoring device by either (1) | ||
a
corporation or other business entity engaged in marketing or | ||
opinion research
or (2) a corporation or other business entity | ||
engaged in telephone
solicitation, as
defined in this | ||
subsection, to record or listen to oral telephone solicitation
| ||
conversations or marketing or opinion research conversations | ||
by an employee of
the corporation or other business entity | ||
when: | ||
(i) the monitoring is used for the purpose of service | ||
quality control of
marketing or opinion research or | ||
telephone solicitation, the education or
training of | ||
employees or contractors
engaged in marketing or opinion | ||
research or telephone solicitation, or internal
research | ||
related to marketing or
opinion research or telephone
| ||
solicitation; and | ||
(ii) the monitoring is used with the consent of at | ||
least one person who
is an active party to the marketing or | ||
opinion research conversation or
telephone solicitation | ||
conversation being
monitored. | ||
No communication or conversation or any part, portion, or | ||
aspect of the
communication or conversation made, acquired, or | ||
obtained, directly or
indirectly,
under this exemption (j), may | ||
be, directly or indirectly, furnished to any law
enforcement | ||
officer, agency, or official for any purpose or used in any | ||
inquiry
or investigation, or used, directly or indirectly, in | ||
any administrative,
judicial, or other proceeding, or divulged |
to any third party. | ||
When recording or listening authorized by this subsection | ||
(j) on telephone
lines used for marketing or opinion research | ||
or telephone solicitation purposes
results in recording or
| ||
listening to a conversation that does not relate to marketing | ||
or opinion
research or telephone solicitation; the
person | ||
recording or listening shall, immediately upon determining | ||
that the
conversation does not relate to marketing or opinion | ||
research or telephone
solicitation, terminate the recording
or | ||
listening and destroy any such recording as soon as is | ||
practicable. | ||
Business entities that use a telephone monitoring or | ||
telephone recording
system pursuant to this exemption (j) shall | ||
provide current and prospective
employees with notice that the | ||
monitoring or recordings may occur during the
course of their | ||
employment. The notice shall include prominent signage
| ||
notification within the workplace. | ||
Business entities that use a telephone monitoring or | ||
telephone recording
system pursuant to this exemption (j) shall | ||
provide their employees or agents
with access to personal-only | ||
telephone lines which may be pay telephones, that
are not | ||
subject to telephone monitoring or telephone recording. | ||
For the purposes of this subsection (j), "telephone | ||
solicitation" means a
communication through the use of a | ||
telephone by live operators: | ||
(i) soliciting the sale of goods or services; |
(ii) receiving orders for the sale of goods or | ||
services; | ||
(iii) assisting in the use of goods or services; or | ||
(iv) engaging in the solicitation, administration, or | ||
collection of bank
or
retail credit accounts. | ||
For the purposes of this subsection (j), "marketing or | ||
opinion research"
means
a marketing or opinion research | ||
interview conducted by a live telephone
interviewer engaged by | ||
a corporation or other business entity whose principal
business | ||
is the design, conduct, and analysis of polls and surveys | ||
measuring
the
opinions, attitudes, and responses of | ||
respondents toward products and services,
or social or | ||
political issues, or both; | ||
(k) Electronic recordings, including but not limited to, a | ||
motion picture,
videotape, digital, or other visual or audio | ||
recording, made of a custodial
interrogation of an individual | ||
at a police station or other place of detention
by a law | ||
enforcement officer under Section 5-401.5 of the Juvenile Court | ||
Act of
1987 or Section 103-2.1 of the Code of Criminal | ||
Procedure of 1963; | ||
(l) Recording the interview or statement of any person when | ||
the person
knows that the interview is being conducted by a law | ||
enforcement officer or
prosecutor and the interview takes place | ||
at a police station that is currently
participating in the | ||
Custodial Interview Pilot Program established under the
| ||
Illinois Criminal Justice Information Act; |
(m) An electronic recording, including but not limited to, | ||
a motion picture,
videotape, digital, or other visual or audio | ||
recording, made of the interior of a school bus while the | ||
school bus is being used in the transportation of students to | ||
and from school and school-sponsored activities, when the | ||
school board has adopted a policy authorizing such recording, | ||
notice of such recording policy is included in student | ||
handbooks and other documents including the policies of the | ||
school, notice of the policy regarding recording is provided to | ||
parents of students, and notice of such recording is clearly | ||
posted on the door of and inside the school bus.
| ||
Recordings made pursuant to this subsection (m) shall be | ||
confidential records and may only be used by school officials | ||
(or their designees) and law enforcement personnel for | ||
investigations, school disciplinary actions and hearings, | ||
proceedings under the Juvenile Court Act of 1987, and criminal | ||
prosecutions, related to incidents occurring in or around the | ||
school bus; | ||
(n)
Recording or listening to an audio transmission from a | ||
microphone placed by a person under the authority of a law | ||
enforcement agency inside a bait car surveillance vehicle while | ||
simultaneously capturing a photographic or video image; | ||
(o) The use of an eavesdropping camera or audio device | ||
during an ongoing hostage or barricade situation by a law | ||
enforcement officer or individual acting on behalf of a law | ||
enforcement officer when the use of such device is necessary to |
protect the safety of the general public, hostages, or law | ||
enforcement officers or anyone acting on their behalf; | ||
(p) Recording or listening with the aid of any device to | ||
incoming telephone calls of phone lines publicly listed or | ||
advertised as the "CPS Violence Prevention Hotline", but only | ||
where the notice of recording is given at the beginning of each | ||
call as required by Section 34-21.8 of the School Code. The | ||
recordings may be retained only by the Chicago Police | ||
Department or other law enforcement authorities, and shall not | ||
be otherwise retained or disseminated; and | ||
(q)(1) With prior request to and verbal approval of the | ||
State's Attorney of the county in which the conversation is | ||
anticipated to occur, recording or listening with the aid of an | ||
eavesdropping device to a conversation in which a law | ||
enforcement officer, or any person acting at the direction of a | ||
law enforcement officer, is a party to the conversation and has | ||
consented to the conversation being intercepted or recorded in | ||
the course of an investigation of a drug offense. The State's | ||
Attorney may grant this verbal approval only after determining | ||
that reasonable cause exists to believe that a drug offense | ||
will be committed by a specified individual or individuals | ||
within a designated period of time. | ||
(2) Request for approval. To invoke the exception contained | ||
in this subsection (q), a law enforcement officer shall make a | ||
written or verbal request for approval to the appropriate | ||
State's Attorney. This request for approval shall include |
whatever information is deemed necessary by the State's | ||
Attorney but shall include, at a minimum, the following | ||
information about each specified individual whom the law | ||
enforcement officer believes will commit a drug offense: | ||
(A) his or her full or partial name, nickname or alias; | ||
(B) a physical description; or | ||
(C) failing either (A) or (B) of this paragraph (2), | ||
any other supporting information known to the law | ||
enforcement officer at the time of the request that gives | ||
rise to reasonable cause to believe the individual will | ||
commit a drug offense. | ||
(3) Limitations on verbal approval. Each verbal approval by | ||
the State's Attorney under this subsection (q) shall be limited | ||
to: | ||
(A) a recording or interception conducted by a | ||
specified law enforcement officer or person acting at the | ||
direction of a law enforcement officer; | ||
(B) recording or intercepting conversations with the | ||
individuals specified in the request for approval, | ||
provided that the verbal approval shall be deemed to | ||
include the recording or intercepting of conversations | ||
with other individuals, unknown to the law enforcement | ||
officer at the time of the request for approval, who are | ||
acting in conjunction with or as co-conspirators with the | ||
individuals specified in the request for approval in the | ||
commission of a drug offense; |
(C) a reasonable period of time but in no event longer | ||
than 24 consecutive hours. | ||
(4) Admissibility of evidence. No part of the contents of | ||
any wire, electronic, or oral communication that has been | ||
recorded or intercepted as a result of this exception may be | ||
received in evidence in any trial, hearing, or other proceeding | ||
in or before any court, grand jury, department, officer, | ||
agency, regulatory body, legislative committee, or other | ||
authority of this State, or a political subdivision of the | ||
State, other than in a prosecution of: | ||
(A) a drug offense; | ||
(B) a forcible felony committed directly in the course | ||
of the investigation of a drug offense for which verbal | ||
approval was given to record or intercept a conversation | ||
under this subsection (q); or | ||
(C) any other forcible felony committed while the | ||
recording or interception was approved in accordance with | ||
this Section (q), but for this specific category of | ||
prosecutions, only if the law enforcement officer or person | ||
acting at the direction of a law enforcement officer who | ||
has consented to the conversation being intercepted or | ||
recorded suffers great bodily injury or is killed during | ||
the commission of the charged forcible felony. | ||
(5) Compliance with the provisions of this subsection is a | ||
prerequisite to the admissibility in evidence of any part of | ||
the contents of any wire, electronic or oral communication that |
has been intercepted as a result of this exception, but nothing | ||
in this subsection shall be deemed to prevent a court from | ||
otherwise excluding the evidence on any other ground, nor shall | ||
anything in this subsection be deemed to prevent a court from | ||
independently reviewing the admissibility of the evidence for | ||
compliance with the Fourth Amendment to the U.S. Constitution | ||
or with Article I, Section 6 of the Illinois Constitution. | ||
(6) Use of recordings or intercepts unrelated to drug | ||
offenses. Whenever any wire, electronic, or oral communication | ||
has been recorded or intercepted as a result of this exception | ||
that is not related to a drug offense or a forcible felony | ||
committed in the course of a drug offense, no part of the | ||
contents of the communication and evidence derived from the | ||
communication may be received in evidence in any trial, | ||
hearing, or other proceeding in or before any court, grand | ||
jury, department, officer, agency, regulatory body, | ||
legislative committee, or other authority of this State, or a | ||
political subdivision of the State, nor may it be publicly | ||
disclosed in any way. | ||
(7) Definitions. For the purposes of this subsection (q) | ||
only: | ||
"Drug offense" includes and is limited to a felony | ||
violation of one of the following: (A) the Illinois | ||
Controlled Substances Act, (B) the Cannabis Control Act, | ||
and (C) the Methamphetamine Control and Community | ||
Protection Act. |
"Forcible felony" includes and is limited to those | ||
offenses contained in Section 2-8 of the Criminal Code of | ||
1961 as of the effective date of this amendatory Act of the | ||
97th General Assembly, and only as those offenses have been | ||
defined by law or judicial interpretation as of that date. | ||
"State's Attorney" includes and is limited to the | ||
State's Attorney or an assistant State's Attorney | ||
designated by the State's Attorney to provide verbal | ||
approval to record or intercept conversations under this | ||
subsection (q). | ||
(8) Sunset. This subsection (q) is inoperative on and after | ||
January 1, 2015. No conversations intercepted pursuant to this | ||
subsection (q), while operative, shall be inadmissible in a | ||
court of law by virtue of the inoperability of this subsection | ||
(q) on January 1, 2015. | ||
(Source: P.A. 96-425, eff. 8-13-09; 96-547, eff. 1-1-10; | ||
96-643, eff. 1-1-10; 96-670, eff. 8-25-09; 96-1000, eff. | ||
7-2-10; 96-1425, eff. 1-1-11; 96-1464, eff. 8-20-10; 97-333, | ||
eff. 8-12-11; 97-846, eff. 1-1-13; 97-897, eff. 1-1-13; revised | ||
8-23-12.)
| ||
(720 ILCS 5/24-2)
| ||
Sec. 24-2. Exemptions.
| ||
(a) Subsections 24-1(a)(3), 24-1(a)(4), 24-1(a)(10), and | ||
24-1(a)(13) and Section
24-1.6 do not apply to
or affect any of | ||
the following:
|
(1) Peace officers, and any person summoned by a peace | ||
officer to
assist in making arrests or preserving the | ||
peace, while actually engaged in
assisting such officer.
| ||
(2) Wardens, superintendents and keepers of prisons,
| ||
penitentiaries, jails and other institutions for the | ||
detention of persons
accused or convicted of an offense, | ||
while in the performance of their
official duty, or while | ||
commuting between their homes and places of employment.
| ||
(3) Members of the Armed Services or Reserve Forces of | ||
the United States
or the Illinois National Guard or the | ||
Reserve Officers Training Corps,
while in the performance | ||
of their official duty.
| ||
(4) Special agents employed by a railroad or a public | ||
utility to
perform police functions, and guards of armored | ||
car companies, while
actually engaged in the performance of | ||
the duties of their employment or
commuting between their | ||
homes and places of employment; and watchmen
while actually | ||
engaged in the performance of the duties of their | ||
employment.
| ||
(5) Persons licensed as private security contractors, | ||
private
detectives, or private alarm contractors, or | ||
employed by an agency
certified by the Department of | ||
Financial and Professional Regulation, if their duties
| ||
include the carrying of a weapon under the provisions of | ||
the Private
Detective, Private Alarm,
Private Security, | ||
Fingerprint Vendor, and Locksmith Act of 2004,
while |
actually
engaged in the performance of the duties of their | ||
employment or commuting
between their homes and places of | ||
employment, provided that such commuting
is accomplished | ||
within one hour from departure from home or place of
| ||
employment, as the case may be. A person shall be | ||
considered eligible for this
exemption if he or she has | ||
completed the required 20
hours of training for a private | ||
security contractor, private
detective, or private alarm | ||
contractor, or employee of a licensed agency and 20 hours | ||
of required firearm
training, and has been issued a firearm | ||
control card by
the Department of Financial and | ||
Professional Regulation. Conditions for the renewal of
| ||
firearm control cards issued under the provisions of this | ||
Section
shall be the same as for those cards issued under | ||
the provisions of the
Private Detective, Private Alarm,
| ||
Private Security, Fingerprint Vendor, and Locksmith Act of | ||
2004. The
firearm control card shall be carried by the | ||
private security contractor, private
detective, or private | ||
alarm contractor, or employee of the licensed agency at all
| ||
times when he or she is in possession of a concealable | ||
weapon.
| ||
(6) Any person regularly employed in a commercial or | ||
industrial
operation as a security guard for the protection | ||
of persons employed
and private property related to such | ||
commercial or industrial
operation, while actually engaged | ||
in the performance of his or her
duty or traveling between |
sites or properties belonging to the
employer, and who, as | ||
a security guard, is a member of a security force of
at | ||
least 5 persons registered with the Department of Financial | ||
and Professional
Regulation; provided that such security | ||
guard has successfully completed a
course of study, | ||
approved by and supervised by the Department of
Financial | ||
and Professional Regulation, consisting of not less than 40 | ||
hours of training
that includes the theory of law | ||
enforcement, liability for acts, and the
handling of | ||
weapons. A person shall be considered eligible for this
| ||
exemption if he or she has completed the required 20
hours | ||
of training for a security officer and 20 hours of required | ||
firearm
training, and has been issued a firearm control | ||
card by
the Department of Financial and Professional | ||
Regulation. Conditions for the renewal of
firearm control | ||
cards issued under the provisions of this Section
shall be | ||
the same as for those cards issued under the provisions of | ||
the
Private Detective, Private Alarm,
Private Security, | ||
Fingerprint Vendor, and Locksmith Act of 2004. The
firearm | ||
control card shall be carried by the security guard at all
| ||
times when he or she is in possession of a concealable | ||
weapon.
| ||
(7) Agents and investigators of the Illinois | ||
Legislative Investigating
Commission authorized by the | ||
Commission to carry the weapons specified in
subsections | ||
24-1(a)(3) and 24-1(a)(4), while on duty in the course of
|
any investigation for the Commission.
| ||
(8) Persons employed by a financial institution for the | ||
protection of
other employees and property related to such | ||
financial institution, while
actually engaged in the | ||
performance of their duties, commuting between
their homes | ||
and places of employment, or traveling between sites or
| ||
properties owned or operated by such financial | ||
institution, provided that
any person so employed has | ||
successfully completed a course of study,
approved by and | ||
supervised by the Department of Financial and Professional | ||
Regulation,
consisting of not less than 40 hours of | ||
training which includes theory of
law enforcement, | ||
liability for acts, and the handling of weapons.
A person | ||
shall be considered to be eligible for this exemption if he | ||
or
she has completed the required 20 hours of training for | ||
a security officer
and 20 hours of required firearm | ||
training, and has been issued a
firearm control card by the | ||
Department of Financial and Professional Regulation.
| ||
Conditions for renewal of firearm control cards issued | ||
under the
provisions of this Section shall be the same as | ||
for those issued under the
provisions of the Private | ||
Detective, Private Alarm,
Private Security, Fingerprint | ||
Vendor, and Locksmith Act of 2004.
Such firearm control | ||
card shall be carried by the person so
trained at all times | ||
when such person is in possession of a concealable
weapon. | ||
For purposes of this subsection, "financial institution" |
means a
bank, savings and loan association, credit union or | ||
company providing
armored car services.
| ||
(9) Any person employed by an armored car company to | ||
drive an armored
car, while actually engaged in the | ||
performance of his duties.
| ||
(10) Persons who have been classified as peace officers | ||
pursuant
to the Peace Officer Fire Investigation Act.
| ||
(11) Investigators of the Office of the State's | ||
Attorneys Appellate
Prosecutor authorized by the board of | ||
governors of the Office of the
State's Attorneys Appellate | ||
Prosecutor to carry weapons pursuant to
Section 7.06 of the | ||
State's Attorneys Appellate Prosecutor's Act.
| ||
(12) Special investigators appointed by a State's | ||
Attorney under
Section 3-9005 of the Counties Code.
| ||
(12.5) Probation officers while in the performance of | ||
their duties, or
while commuting between their homes, | ||
places of employment or specific locations
that are part of | ||
their assigned duties, with the consent of the chief judge | ||
of
the circuit for which they are employed.
| ||
(13) Court Security Officers while in the performance | ||
of their official
duties, or while commuting between their | ||
homes and places of employment, with
the
consent of the | ||
Sheriff.
| ||
(13.5) A person employed as an armed security guard at | ||
a nuclear energy,
storage, weapons or development site or | ||
facility regulated by the Nuclear
Regulatory Commission |
who has completed the background screening and training
| ||
mandated by the rules and regulations of the Nuclear | ||
Regulatory Commission.
| ||
(14) Manufacture, transportation, or sale of weapons | ||
to
persons
authorized under subdivisions (1) through | ||
(13.5) of this
subsection
to
possess those weapons.
| ||
(b) Subsections 24-1(a)(4) and 24-1(a)(10) and Section | ||
24-1.6 do not
apply to or affect
any of the following:
| ||
(1) Members of any club or organization organized for | ||
the purpose of
practicing shooting at targets upon | ||
established target ranges, whether
public or private, and | ||
patrons of such ranges, while such members
or patrons are | ||
using their firearms on those target ranges.
| ||
(2) Duly authorized military or civil organizations | ||
while parading,
with the special permission of the | ||
Governor.
| ||
(3) Hunters, trappers or fishermen with a license or
| ||
permit while engaged in hunting,
trapping or fishing.
| ||
(4) Transportation of weapons that are broken down in a
| ||
non-functioning state or are not immediately accessible.
| ||
(5) Carrying or possessing any pistol, revolver, stun | ||
gun or taser or other firearm on the land or in the legal | ||
dwelling of another person as an invitee with that person's | ||
permission. | ||
(c) Subsection 24-1(a)(7) does not apply to or affect any | ||
of the
following:
|
(1) Peace officers while in performance of their | ||
official duties.
| ||
(2) Wardens, superintendents and keepers of prisons, | ||
penitentiaries,
jails and other institutions for the | ||
detention of persons accused or
convicted of an offense.
| ||
(3) Members of the Armed Services or Reserve Forces of | ||
the United States
or the Illinois National Guard, while in | ||
the performance of their official
duty.
| ||
(4) Manufacture, transportation, or sale of machine | ||
guns to persons
authorized under subdivisions (1) through | ||
(3) of this subsection to
possess machine guns, if the | ||
machine guns are broken down in a
non-functioning state or | ||
are not immediately accessible.
| ||
(5) Persons licensed under federal law to manufacture | ||
any weapon from
which 8 or more shots or bullets can be | ||
discharged by a
single function of the firing device, or | ||
ammunition for such weapons, and
actually engaged in the | ||
business of manufacturing such weapons or
ammunition, but | ||
only with respect to activities which are within the lawful
| ||
scope of such business, such as the manufacture, | ||
transportation, or testing
of such weapons or ammunition. | ||
This exemption does not authorize the
general private | ||
possession of any weapon from which 8 or more
shots or | ||
bullets can be discharged by a single function of the | ||
firing
device, but only such possession and activities as | ||
are within the lawful
scope of a licensed manufacturing |
business described in this paragraph.
| ||
During transportation, such weapons shall be broken | ||
down in a
non-functioning state or not immediately | ||
accessible.
| ||
(6) The manufacture, transport, testing, delivery, | ||
transfer or sale,
and all lawful commercial or experimental | ||
activities necessary thereto, of
rifles, shotguns, and | ||
weapons made from rifles or shotguns,
or ammunition for | ||
such rifles, shotguns or weapons, where engaged in
by a | ||
person operating as a contractor or subcontractor pursuant | ||
to a
contract or subcontract for the development and supply | ||
of such rifles,
shotguns, weapons or ammunition to the | ||
United States government or any
branch of the Armed Forces | ||
of the United States, when such activities are
necessary | ||
and incident to fulfilling the terms of such contract.
| ||
The exemption granted under this subdivision (c)(6)
| ||
shall also apply to any authorized agent of any such | ||
contractor or
subcontractor who is operating within the | ||
scope of his employment, where
such activities involving | ||
such weapon, weapons or ammunition are necessary
and | ||
incident to fulfilling the terms of such contract.
| ||
During transportation, any such weapon shall be broken | ||
down in a
non-functioning state, or not immediately | ||
accessible.
| ||
(7) A person possessing a rifle with a barrel or | ||
barrels less than 16 inches in length if: (A) the person |
has been issued a Curios and Relics license from the U.S. | ||
Bureau of Alcohol, Tobacco, Firearms and Explosives; or (B) | ||
the person is an active member of a bona fide, nationally | ||
recognized military re-enacting group and the modification | ||
is required and necessary to accurately portray the weapon | ||
for historical re-enactment purposes; the re-enactor is in | ||
possession of a valid and current re-enacting group | ||
membership credential; and the overall length of the weapon | ||
as modified is not less than 26 inches. | ||
During transportation, any such weapon shall be broken | ||
down in a
non-functioning state, or not immediately | ||
accessible.
| ||
(d) Subsection 24-1(a)(1) does not apply to the purchase, | ||
possession
or carrying of a black-jack or slung-shot by a peace | ||
officer.
| ||
(e) Subsection 24-1(a)(8) does not apply to any owner, | ||
manager or
authorized employee of any place specified in that | ||
subsection nor to any
law enforcement officer.
| ||
(f) Subsection 24-1(a)(4) and subsection 24-1(a)(10) and | ||
Section 24-1.6
do not apply
to members of any club or | ||
organization organized for the purpose of practicing
shooting | ||
at targets upon established target ranges, whether public or | ||
private,
while using their firearms on those target ranges.
| ||
(g) Subsections 24-1(a)(11) and 24-3.1(a)(6) do not apply | ||
to:
| ||
(1) Members of the Armed Services or Reserve Forces of |
the United
States or the Illinois National Guard, while in | ||
the performance of their
official duty.
| ||
(2) Bonafide collectors of antique or surplus military | ||
ordinance.
| ||
(3) Laboratories having a department of forensic | ||
ballistics, or
specializing in the development of | ||
ammunition or explosive ordinance.
| ||
(4) Commerce, preparation, assembly or possession of | ||
explosive
bullets by manufacturers of ammunition licensed | ||
by the federal government,
in connection with the supply of | ||
those organizations and persons exempted
by subdivision | ||
(g)(1) of this Section, or like organizations and persons
| ||
outside this State, or the transportation of explosive | ||
bullets to any
organization or person exempted in this | ||
Section by a common carrier or by a
vehicle owned or leased | ||
by an exempted manufacturer.
| ||
(g-5) Subsection 24-1(a)(6) does not apply to or affect | ||
persons licensed
under federal law to manufacture any device or | ||
attachment of any kind designed,
used, or intended for use in | ||
silencing the report of any firearm, firearms, or
ammunition
| ||
for those firearms equipped with those devices, and actually | ||
engaged in the
business of manufacturing those devices, | ||
firearms, or ammunition, but only with
respect to
activities | ||
that are within the lawful scope of that business, such as the
| ||
manufacture, transportation, or testing of those devices, | ||
firearms, or
ammunition. This
exemption does not authorize the |
general private possession of any device or
attachment of any | ||
kind designed, used, or intended for use in silencing the
| ||
report of any firearm, but only such possession and activities | ||
as are within
the
lawful scope of a licensed manufacturing | ||
business described in this subsection
(g-5). During | ||
transportation, these devices shall be detached from any weapon
| ||
or
not immediately accessible.
| ||
(g-6) Subsections 24-1(a)(4) and 24-1(a)(10) and Section
| ||
24-1.6 do not apply to
or affect any parole agent or parole | ||
supervisor who meets the qualifications and conditions | ||
prescribed in Section 3-14-1.5 of the Unified Code of | ||
Corrections. | ||
(g-7) Subsection 24-1(a)(6) does not apply to a peace | ||
officer while serving as a member of a tactical response team | ||
or special operations team. A peace officer may not personally | ||
own or apply for ownership of a device or attachment of any | ||
kind designed, used, or intended for use in silencing the | ||
report of any firearm. These devices shall be owned and | ||
maintained by lawfully recognized units of government whose | ||
duties include the investigation of criminal acts. | ||
(g-10) Subsections 24-1(a)(4), 24-1(a)(8), and | ||
24-1(a)(10), and Sections 24-1.6 and 24-3.1 do not apply to an | ||
athlete's possession, transport on official Olympic and | ||
Paralympic transit systems established for athletes, or use of | ||
competition firearms sanctioned by the International Olympic | ||
Committee, the International Paralympic Committee, the |
International Shooting Sport Federation, or USA Shooting in | ||
connection with such athlete's training for and participation | ||
in shooting competitions at the 2016 Olympic and Paralympic | ||
Games and sanctioned test events leading up to the 2016 Olympic | ||
and Paralympic Games. | ||
(h) An information or indictment based upon a violation of | ||
any
subsection of this Article need not negative any exemptions | ||
contained in
this Article. The defendant shall have the burden | ||
of proving such an
exemption.
| ||
(i) Nothing in this Article shall prohibit, apply to, or | ||
affect
the transportation, carrying, or possession, of any | ||
pistol or revolver,
stun gun, taser, or other firearm consigned | ||
to a common carrier operating
under license of the State of | ||
Illinois or the federal government, where
such transportation, | ||
carrying, or possession is incident to the lawful
| ||
transportation in which such common carrier is engaged; and | ||
nothing in this
Article shall prohibit, apply to, or affect the | ||
transportation, carrying,
or possession of any pistol, | ||
revolver, stun gun, taser, or other firearm,
not the subject of | ||
and regulated by subsection 24-1(a)(7) or subsection
24-2(c) of | ||
this Article, which is unloaded and enclosed in a case, firearm
| ||
carrying box, shipping box, or other container, by the | ||
possessor of a valid
Firearm Owners Identification Card.
| ||
(Source: P.A. 96-7, eff. 4-3-09; 96-230, eff. 1-1-10; 96-742, | ||
eff. 8-25-09; 96-1000, eff. 7-2-10; 97-465, eff. 8-22-11; | ||
97-676, eff. 6-1-12; 97-936, eff. 1-1-13; 97-1010, eff. 1-1-13; |
revised 8-23-12.) | ||
(720 ILCS 5/33G-4) | ||
(Section scheduled to be repealed on June 11, 2017) | ||
Sec. 33G-4. Prohibited activities. | ||
(a) It is unlawful for any person, who intentionally | ||
participates in the operation or management of an enterprise, | ||
directly or indirectly, to: | ||
(1) knowingly do so, directly or indirectly, through a | ||
pattern of predicate activity; | ||
(2) knowingly cause another to violate this Article; or | ||
(3) knowingly conspire to violate this Article. | ||
Notwithstanding any other provision of law, in any | ||
prosecution for a conspiracy to violate this Article, no person | ||
may be convicted of that conspiracy unless an overt act in | ||
furtherance of the agreement is alleged and proved to have been | ||
committed by him, her, or by a coconspirator, but the | ||
commission of the overt act need not itself constitute | ||
predicate activity underlying the specific violation of this | ||
Article. | ||
(b) It is unlawful for any person knowingly to acquire or | ||
maintain, directly or indirectly, through a pattern of | ||
predicate activity any interest in, or control of, to any | ||
degree, of any enterprise, real property, or personal property | ||
of any character, including money. | ||
(c) Nothing in this Article shall be construed as to make |
unlawful any activity which is arguably protected or prohibited | ||
by the National Labor Relations Act, the Illinois Educational | ||
Labor Relations Act, the Illinois Public Labor Relations Act, | ||
or the Railway Labor Act. | ||
(d) The following organizations, and any officer or agent | ||
of those organizations acting in his or her official capacity | ||
as an officer or agent, may not be sued in civil actions under | ||
this Article: | ||
(1) a labor organization; or | ||
(2) any business defined in Division D, E, F, G, H, or | ||
I of the Standard Industrial Classification as established | ||
by the Occupational Safety and Health Administration, U.S. | ||
Department of Labor. | ||
(e) Any person prosecuted under this Article may be | ||
convicted and sentenced either: | ||
(1) for the offense of conspiring to violate this | ||
Article, and for any other particular offense or offenses | ||
that may be one of the objects of a conspiracy to violate | ||
this Article; or | ||
(2) for the offense of violating this Article, and for | ||
any other particular offense or offenses that may | ||
constitute predicate activity underlying a violation of | ||
this Article. | ||
(f) The State's Attorney, or a person designated by law to | ||
act for him or her and to perform his or her duties during his | ||
or her absence or disability, may authorize a criminal |
prosecution under this Article. Prior to any State's Attorney | ||
authorizing a criminal prosecution under this Article, the | ||
State's Attorney shall adopt rules and procedures governing the | ||
investigation and prosecution of any offense enumerated in this | ||
Article. These rules and procedures shall set forth guidelines | ||
which require that any potential prosecution under this Article | ||
be subject to an internal approval process in which it is | ||
determined, in a written prosecution memorandum prepared by the | ||
State's Attorney's Office, that (1) a prosecution under this | ||
Article is necessary to ensure that the indictment adequately | ||
reflects the nature and extent of the criminal conduct involved | ||
in a way that prosecution only on the underlying predicate | ||
activity would not, and (2) a prosecution under this Article | ||
would provide the basis for an appropriate sentence under all | ||
the circumstances of the case in a way that a prosecution only | ||
on the underlying predicate activity would not. No State's | ||
Attorney, or person designated by law to act for him or her and | ||
to perform his or her duties during his or her absence or | ||
disability, may authorize a criminal prosecution under this | ||
Article prior to reviewing the prepared written prosecution | ||
memorandum. However, any internal memorandum shall remain | ||
protected from disclosure under the attorney-client privilege, | ||
and this provision does not create any enforceable right on | ||
behalf of any defendant or party, nor does it subject the | ||
exercise of prosecutorial discretion to judicial review. | ||
(g) A labor organization and any officer or agent of that |
organization acting in his or her capacity as an officer or | ||
agent of the labor organization are exempt from prosecution | ||
under this Article.
| ||
(Source: P.A. 97-686, eff. 6-11-12; revised 8-3-12.) | ||
(720 ILCS 5/33G-5) | ||
(Section scheduled to be repealed on June 11, 2017) | ||
Sec. 33G-5. Penalties. Under this Article, notwithstanding | ||
any other provision of law: | ||
(a) Any violation of subsection (a) of Section 33G-4 of | ||
this Article shall be sentenced as a Class X felony with a term | ||
of imprisonment of not less than 7 years and not more than 30 | ||
years, or the sentence applicable to the underlying predicate | ||
activity, whichever is higher, and the sentence imposed shall | ||
also include restitution, and/or and or a criminal fine, | ||
jointly and severally, up to $250,000 or twice the gross amount | ||
of any intended proceeds of the violation, if any, whichever is | ||
higher. | ||
(b) Any violation of subsection (b) of Section 33G-4 of | ||
this Article shall be sentenced as a Class X felony, and the | ||
sentence imposed shall also include restitution, and/or and or | ||
a criminal fine, jointly and severally, up to $250,000 or twice | ||
the gross amount of any intended proceeds of the violation, if | ||
any, whichever is higher. | ||
(c) Wherever the unlawful death of any person or persons | ||
results as a necessary or natural consequence of any violation |
of this Article, the sentence imposed on the defendant shall | ||
include an enhanced term of imprisonment of at least 25 years | ||
up to natural life, in addition to any other penalty imposed by | ||
the court, provided: | ||
(1) the death or deaths were reasonably foreseeable to | ||
the defendant to be sentenced; and | ||
(2) the death or deaths occurred when the defendant was | ||
otherwise engaged in the violation of this Article as a | ||
whole. | ||
(d) A sentence of probation, periodic imprisonment, | ||
conditional discharge, impact incarceration or county impact | ||
incarceration, court supervision, withheld adjudication, or | ||
any pretrial diversionary sentence or suspended sentence, is | ||
not authorized for a violation of this Article.
| ||
(Source: P.A. 97-686, eff. 6-11-12; revised 8-3-12.) | ||
(720 ILCS 5/33G-7) | ||
(Section scheduled to be repealed on June 11, 2017) | ||
Sec. 33G-7. Construction. In interpreting the provisions | ||
of this Article, the court shall construe them in light of the | ||
applicable model jury instructions set forth in the Federal | ||
Criminal Jury Instructions for the Seventh Circuit (1999) for | ||
Title IX of Public Law , 91-452, 84 Stat. 922 (as amended in | ||
Title 18, United States Code, Sections 1961 through 1968), | ||
except to the extent that they are it is inconsistent with the | ||
plain language of this Article.
|
(Source: P.A. 97-686, eff. 6-11-12; revised 8-3-12.) | ||
(720 ILCS 5/36.5-5) | ||
Sec. 36.5-5. Vehicle impoundment. | ||
(a) In addition to any other penalty provided by law, a | ||
peace officer who arrests a person for a violation of Section | ||
10-9, 11-14 10-14 , 11-14.1, 11-14.3, 11-14.4, 11-18, or 11-18.1 | ||
of this Code, may tow and impound any vehicle used by the | ||
person in the commission of the offense. The person arrested | ||
for one or more such violations shall be charged a $1,000 fee, | ||
to be paid to the unit of government that made the arrest. The | ||
person may recover the vehicle from the impound after a minimum | ||
of 2 hours after arrest upon payment of the fee. | ||
(b) $500 of the fee shall be distributed to the unit of | ||
government whose peace officers made the arrest, for the costs | ||
incurred by the unit of government to tow and impound the | ||
vehicle. Upon the defendant's conviction of one or more of the | ||
offenses in connection with which the vehicle was impounded and | ||
the fee imposed under this Section, the remaining $500 of the | ||
fee shall be deposited into the DHS State Projects Violent | ||
Crime Victims Assistance Fund and shall be used by the | ||
Department of Human Services to make grants to non-governmental | ||
organizations to provide services for persons encountered | ||
during the course of an investigation into any violation of | ||
Section 10-9, 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, or 11-19.2 of this Code, provided such persons | ||
constitute prostituted persons or other victims of human | ||
trafficking. | ||
(c) Upon the presentation by the defendant of a signed | ||
court order showing that the defendant has been acquitted of | ||
all of the offenses in connection with which a vehicle was | ||
impounded and a fee imposed under this Section, or that the | ||
charges against the defendant for those offenses have been | ||
dismissed, the unit of government shall refund the $1,000 fee | ||
to the defendant.
| ||
(Source: P.A. 96-1551, eff. 7-1-11; incorporates 96-1503, eff. | ||
1-27-11, and 97-333, eff. 8-12-11; revised 9-14-11.) | ||
Section 455. The Sexually Violent Persons Commitment Act is | ||
amended by changing Sections 55, 60, and 65 as follows: | ||
(725 ILCS 207/55)
| ||
(Text of Section before amendment by P.A. 97-1098 ) | ||
Sec. 55. Periodic reexamination; report.
| ||
(a) If a person has been committed under Section 40 of this | ||
Act
and has not been discharged under Section 65 of this Act, | ||
the
Department shall submit a written report to the court on | ||
his or her mental
condition at least once every 12 months after | ||
an initial commitment under Section 40 for
the purpose of | ||
determining whether: (1) the person has made sufficient
| ||
progress in treatment to be conditionally released and (2) |
whether the person's condition has so changed since the most | ||
recent periodic reexamination (or initial commitment, if there | ||
has not yet been a periodic reexamination) that he or she is no | ||
longer a sexually violent person. At the time of
a | ||
reexamination under this Section, the person who has been
| ||
committed may retain or, if he or she is indigent and so | ||
requests,
the court may appoint a qualified expert or a | ||
professional person
to examine him or her.
| ||
(b) Any examiner conducting an examination under this | ||
Section
shall prepare a written report of the examination no | ||
later than 30
days after the date of the examination. The | ||
examiner shall place
a copy of the report in the person's | ||
health care records and shall
provide a copy of the report to | ||
the court that committed the
person under Section 40.
The | ||
examination shall be conducted in conformance with the | ||
standards
developed under the Sex Offender Management Board Act | ||
and by an evaluator
approved by the Board.
| ||
(c) Notwithstanding subsection (a) of this Section, the | ||
court
that committed a person under Section 40 may order a | ||
reexamination
of the person at any time during the period in | ||
which the person is
subject to the commitment order.
Any | ||
examiner conducting an examination under this Section shall | ||
prepare a written report of the examination no later than 30 | ||
days after the date of the examination.
| ||
(d) Petitions for discharge after reexamination must | ||
follow the
procedure
outlined in
Section 65 of this Act.
|
(Source: P.A. 97-1075, eff. 8-24-12.)
| ||
(Text of Section after amendment by P.A. 97-1098 )
| ||
Sec. 55. Periodic reexamination; report.
| ||
(a) If a person has been committed under Section 40 of this | ||
Act
and has not been discharged under Section 65 of this Act, | ||
the
Department shall submit a written report to the court on | ||
his or her mental
condition at least once every 12 months after | ||
an initial commitment under Section 40 for
the purpose of | ||
determining whether: (1) the person has made sufficient
| ||
progress in treatment to be conditionally released and (2) | ||
whether the person's condition has so changed since the most | ||
recent periodic reexamination (or initial commitment, if there | ||
has not yet been a periodic reexamination) that he or she is no | ||
longer a sexually violent person. At the time of
a | ||
reexamination under this Section, the person who has been
| ||
committed may retain or, if he or she is indigent and so | ||
requests,
the court may appoint a qualified expert or a | ||
professional person
to examine him or her.
| ||
(b) Any examiner conducting an examination under this | ||
Section
shall prepare a written report of the examination no | ||
later than 30
days after the date of the examination. The | ||
examiner shall place
a copy of the report in the person's | ||
health care records and shall
provide a copy of the report to | ||
the court that committed the
person under Section 40.
The | ||
examination shall be conducted in conformance with the |
standards
developed under the Sex Offender Management Board Act | ||
and by an evaluator
licensed under the Sex Offender Evaluation | ||
and Treatment Provider Act.
| ||
(c) Notwithstanding subsection (a) of this Section, the | ||
court
that committed a person under Section 40 may order a | ||
reexamination
of the person at any time during the period in | ||
which the person is
subject to the commitment order.
Any | ||
examiner conducting an examination under this Section shall | ||
prepare a written report of the examination no later than 30 | ||
days after the date of the examination.
| ||
(d) Petitions for discharge after reexamination must | ||
follow the
procedure
outlined in
Section 65 of this Act.
| ||
(Source: P.A. 97-1075, eff. 8-24-12; 97-1098, eff. 1-1-14; | ||
revised 9-28-12.) | ||
(725 ILCS 207/60)
| ||
(Text of Section before amendment by P.A. 97-1098 ) | ||
Sec. 60. Petition for conditional release.
| ||
(a) Any person who is committed for institutional care in a
| ||
secure facility or other facility under Section 40 of this Act | ||
may
petition the committing court to modify its order by | ||
authorizing
conditional release if at least 12 months have | ||
elapsed since the
initial commitment order was entered, an | ||
order continuing commitment was entered pursuant to Section 65, | ||
the most recent release
petition was denied or the most recent | ||
order for conditional
release was revoked. The director of the |
facility at which the
person is placed may file a petition | ||
under this Section on the
person's behalf at any time.
If the | ||
evaluator on behalf of the Department recommends that the | ||
committed person is appropriate for conditional release, then | ||
the director or designee shall, within 30 days of receipt of | ||
the evaluator's report, file with the committing court notice | ||
of his or her intention whether or not to petition for | ||
conditional release on the committed person's behalf.
| ||
(b) If the person files a timely petition without counsel, | ||
the
court shall serve a copy of the petition on the Attorney | ||
General
or State's Attorney, whichever is applicable and, | ||
subject to
paragraph (c)(1) of Section 25 of this Act, appoint | ||
counsel. If the person
petitions through counsel, his or her | ||
attorney shall serve the
Attorney General or State's Attorney, | ||
whichever is applicable.
| ||
(c) Within 20 days after receipt of the petition, upon the | ||
request of the committed person or on the court's own motion, | ||
the court may
appoint an examiner having the specialized
| ||
knowledge determined by the court to be appropriate, who shall
| ||
examine the mental condition of the person and furnish a | ||
written report of
the
examination
to the court within 30 days | ||
after appointment. The examiners
shall have reasonable access | ||
to the person for purposes of
examination and to the person's | ||
past and present treatment records
and patient health care | ||
records. If any such examiner believes
that the person is | ||
appropriate for conditional release, the
examiner shall report |
on the type of treatment and services that
the person may need | ||
while in the community on conditional release. The State
has | ||
the right to have the person evaluated by experts chosen by the | ||
State.
Any examination or evaluation conducted under this | ||
Section shall be in
conformance with the standards developed | ||
under the Sex Offender
Management Board Act and conducted by an | ||
evaluator approved by the Board.
The
court shall set a probable | ||
cause hearing as soon as practical after the
examiners' reports | ||
are filed. The probable cause hearing shall consist of a review | ||
of the examining evaluators' reports and arguments on behalf of | ||
the parties. If the court finds probable cause to believe the | ||
person has made sufficient progress in treatment to the point | ||
where he or she is no longer substantially probable to engage | ||
in acts of sexual violence if on conditional release, the court | ||
shall set a hearing on the issue.
| ||
(d) The court, without a jury, shall hear the petition as | ||
soon as practical after the reports of all examiners are filed
| ||
with the court. The
court shall grant the petition unless the | ||
State proves by clear
and convincing evidence that the person | ||
has not made sufficient progress in treatment to the point | ||
where he or she is no longer substantially probable to engage | ||
in acts of sexual violence if on conditional release. In making | ||
a decision under
this subsection, the court must consider the | ||
nature and
circumstances of the behavior that was the basis of | ||
the allegation
in the petition under paragraph (b)(1) of | ||
Section 15 of this Act, the person's
mental history and present |
mental condition, and what
arrangements are available to ensure | ||
that the person has access to
and will participate in necessary | ||
treatment.
| ||
(e) Before the court may enter an order directing | ||
conditional release to
a less restrictive alternative it must | ||
find the following: (1) the person will
be treated by a | ||
Department approved treatment provider, (2) the treatment
| ||
provider has presented a specific course of treatment and has | ||
agreed to assume
responsibility for the treatment and will | ||
report progress to the Department on
a regular basis, and will | ||
report violations immediately to the Department,
consistent | ||
with treatment and supervision needs of the respondent, (3) | ||
housing
exists that is sufficiently secure to protect the | ||
community, and the person or
agency providing housing to the | ||
conditionally released person has agreed in
writing to accept | ||
the person, to provide the level of security required by the
| ||
court, and
immediately to report to the Department if the | ||
person leaves the housing to
which he or she has been assigned | ||
without authorization, (4) the person is
willing to or has | ||
agreed to comply with the treatment provider, the Department,
| ||
and
the court, and (5) the person has agreed or is willing to | ||
agree to comply
with the behavioral monitoring requirements | ||
imposed by the court and the
Department.
| ||
(f) If the court finds that the person is appropriate for
| ||
conditional release, the court shall notify the Department. The
| ||
Department shall prepare a plan that identifies the treatment |
and
services, if any, that the person will receive in the | ||
community.
The plan shall address the person's need, if any, | ||
for supervision,
counseling, medication, community support | ||
services, residential
services, vocational services, and | ||
alcohol or other drug abuse
treatment. The Department may | ||
contract with a county health
department, with another public | ||
agency or with a private agency to
provide the treatment and | ||
services identified in the plan. The
plan shall specify who | ||
will be responsible for providing the
treatment and services | ||
identified in the plan. The plan shall be
presented to the | ||
court for its approval within 60 days after the
court finding | ||
that the person is appropriate for conditional
release, unless | ||
the Department and the person to be released
request additional | ||
time to develop the plan.
| ||
(g) The provisions of paragraphs (b)(4), (b)(5), and (b)(6) | ||
of Section 40 of this Act
apply to an
order for conditional | ||
release issued under this Section.
| ||
(Source: P.A. 96-1128, eff. 1-1-11; 97-1075, eff. 8-24-12.)
| ||
(Text of Section after amendment by P.A. 97-1098 )
| ||
Sec. 60. Petition for conditional release.
| ||
(a) Any person who is committed for institutional care in a
| ||
secure facility or other facility under Section 40 of this Act | ||
may
petition the committing court to modify its order by | ||
authorizing
conditional release if at least 12 months have | ||
elapsed since the
initial commitment order was entered, an |
order continuing commitment was entered pursuant to Section 65, | ||
the most recent release
petition was denied or the most recent | ||
order for conditional
release was revoked. The director of the | ||
facility at which the
person is placed may file a petition | ||
under this Section on the
person's behalf at any time.
If the | ||
evaluator on behalf of the Department recommends that the | ||
committed person is appropriate for conditional release, then | ||
the director or designee shall, within 30 days of receipt of | ||
the evaluator's report, file with the committing court notice | ||
of his or her intention whether or not to petition for | ||
conditional release on the committed person's behalf.
| ||
(b) If the person files a timely petition without counsel, | ||
the
court shall serve a copy of the petition on the Attorney | ||
General
or State's Attorney, whichever is applicable and, | ||
subject to
paragraph (c)(1) of Section 25 of this Act, appoint | ||
counsel. If the person
petitions through counsel, his or her | ||
attorney shall serve the
Attorney General or State's Attorney, | ||
whichever is applicable.
| ||
(c) Within 20 days after receipt of the petition, upon the | ||
request of the committed person or on the court's own motion, | ||
the court may
appoint an examiner having the specialized
| ||
knowledge determined by the court to be appropriate, who shall
| ||
examine the mental condition of the person and furnish a | ||
written report of
the
examination
to the court within 30 days | ||
after appointment. The examiners
shall have reasonable access | ||
to the person for purposes of
examination and to the person's |
past and present treatment records
and patient health care | ||
records. If any such examiner believes
that the person is | ||
appropriate for conditional release, the
examiner shall report | ||
on the type of treatment and services that
the person may need | ||
while in the community on conditional release. The State
has | ||
the right to have the person evaluated by experts chosen by the | ||
State.
Any examination or evaluation conducted under this | ||
Section shall be in
conformance with the standards developed | ||
under the Sex Offender
Management Board Act and conducted by an | ||
evaluator licensed under the Sex Offender Evaluation and | ||
Treatment Provider Act.
The
court shall set a probable cause | ||
hearing as soon as practical after the
examiners' reports are | ||
filed. The probable cause hearing shall consist of a review of | ||
the examining evaluators' reports and arguments on behalf of | ||
the parties. If the court finds probable cause to believe the | ||
person has made sufficient progress in treatment to the point | ||
where he or she is no longer substantially probable to engage | ||
in acts of sexual violence if on conditional release, the court | ||
shall set a hearing on the issue.
| ||
(d) The court, without a jury, shall hear the petition as | ||
soon as practical after the reports of all examiners are filed
| ||
with the court. The
court shall grant the petition unless the | ||
State proves by clear
and convincing evidence that the person | ||
has not made sufficient progress in treatment to the point | ||
where he or she is no longer substantially probable to engage | ||
in acts of sexual violence if on conditional release. In making |
a decision under
this subsection, the court must consider the | ||
nature and
circumstances of the behavior that was the basis of | ||
the allegation
in the petition under paragraph (b)(1) of | ||
Section 15 of this Act, the person's
mental history and present | ||
mental condition, and what
arrangements are available to ensure | ||
that the person has access to
and will participate in necessary | ||
treatment.
| ||
(e) Before the court may enter an order directing | ||
conditional release to
a less restrictive alternative it must | ||
find the following: (1) the person will
be treated by a | ||
Department approved treatment provider, (2) the treatment
| ||
provider has presented a specific course of treatment and has | ||
agreed to assume
responsibility for the treatment and will | ||
report progress to the Department on
a regular basis, and will | ||
report violations immediately to the Department,
consistent | ||
with treatment and supervision needs of the respondent, (3) | ||
housing
exists that is sufficiently secure to protect the | ||
community, and the person or
agency providing housing to the | ||
conditionally released person has agreed in
writing to accept | ||
the person, to provide the level of security required by the
| ||
court, and
immediately to report to the Department if the | ||
person leaves the housing to
which he or she has been assigned | ||
without authorization, (4) the person is
willing to or has | ||
agreed to comply with the treatment provider, the Department,
| ||
and
the court, and (5) the person has agreed or is willing to | ||
agree to comply
with the behavioral monitoring requirements |
imposed by the court and the
Department.
| ||
(f) If the court finds that the person is appropriate for
| ||
conditional release, the court shall notify the Department. The
| ||
Department shall prepare a plan that identifies the treatment | ||
and
services, if any, that the person will receive in the | ||
community.
The plan shall address the person's need, if any, | ||
for supervision,
counseling, medication, community support | ||
services, residential
services, vocational services, and | ||
alcohol or other drug abuse
treatment. The Department may | ||
contract with a county health
department, with another public | ||
agency or with a private agency to
provide the treatment and | ||
services identified in the plan. The
plan shall specify who | ||
will be responsible for providing the
treatment and services | ||
identified in the plan. The plan shall be
presented to the | ||
court for its approval within 60 days after the
court finding | ||
that the person is appropriate for conditional
release, unless | ||
the Department and the person to be released
request additional | ||
time to develop the plan.
| ||
(g) The provisions of paragraphs (b)(4), (b)(5), and (b)(6) | ||
of Section 40 of this Act
apply to an
order for conditional | ||
release issued under this Section.
| ||
(Source: P.A. 96-1128, eff. 1-1-11; 97-1075, eff. 8-24-12; | ||
97-1098, eff. 1-1-14; revised 9-28-12.) | ||
(725 ILCS 207/65)
| ||
(Text of Section before amendment by P.A. 97-1098 ) |
Sec. 65. Petition for discharge; procedure.
| ||
(a)(1) If the Secretary determines at any time that a | ||
person
committed under this Act is no longer a sexually violent | ||
person,
the Secretary shall authorize the person to petition | ||
the
committing court for discharge. If the evaluator on behalf | ||
of the Department recommends that the committed person is no | ||
longer a sexually violent person, then the Secretary or | ||
designee shall, within 30 days of receipt of the evaluator's | ||
report, file with the committing court notice of his or her | ||
determination whether or not to authorize the committed person | ||
to petition the committing court for discharge. The person | ||
shall file the
petition with the court and serve a copy upon | ||
the Attorney General
or the State's Attorney's office that | ||
filed the petition under
subsection (a) of Section 15 of this | ||
Act, whichever is applicable. The court,
upon receipt of the | ||
petition for discharge, shall order a hearing
to be held as | ||
soon as practical after the date of receipt of the
petition.
| ||
(2) At a hearing under this subsection, the Attorney | ||
General
or State's Attorney, whichever filed the original | ||
petition, shall
represent the State. The State has the right to | ||
have the person evaluated by experts chosen by the State. The | ||
examination shall be conducted in conformance with the
| ||
standards developed under the Sex Offender Management Board Act | ||
and by an
evaluator approved by the Board. The
committed person | ||
or the State may elect to have the hearing
before a jury.
The | ||
State has the burden of proving by clear and convincing
|
evidence that the petitioner is still a sexually violent | ||
person.
| ||
(3) If the court or jury is satisfied that the State has | ||
not met its
burden of proof under paragraph (a)(2) of this | ||
Section, the
petitioner shall be discharged from the custody or | ||
supervision of
the Department. If the court is satisfied that | ||
the State has met
its burden of proof under paragraph (a)(2), | ||
the court may proceed
under Section 40 of this Act to determine | ||
whether to modify the
petitioner's existing commitment order.
| ||
(b)(1) A person may petition the committing court for | ||
discharge
from custody or supervision without the Secretary's | ||
approval. At
the time of an examination under subsection (a) of | ||
Section 55 of this Act, the
Secretary shall provide the | ||
committed person with a written notice
of the person's right to | ||
petition the court for discharge over the
Secretary's | ||
objection. The notice shall contain a waiver of
rights. The | ||
Secretary shall forward the notice and waiver form to
the court | ||
with the report of the Department's examination under
Section | ||
55 of this Act. If the person does not affirmatively
waive the | ||
right to petition, the court shall set a probable cause
hearing | ||
to determine whether facts exist to believe that since the most | ||
recent periodic reexamination (or initial commitment, if there | ||
has not yet been a periodic reexamination), the condition of | ||
the committed person has so changed that he or she is no longer | ||
a sexually violent person. However, if a person has previously | ||
filed a petition for discharge without the Secretary's approval |
and the court determined, either upon review of the petition or | ||
following a hearing, that the person's petition was frivolous | ||
or that the person was still a sexually violent person, then | ||
the court shall deny any subsequent petition under this Section | ||
without a hearing unless the petition contains facts upon which | ||
a court could reasonably find that the condition of the person | ||
had so changed that a hearing was warranted.
If a
person does | ||
not file a petition for discharge, yet fails to waive the right | ||
to
petition under
this Section, then the probable cause hearing | ||
consists only of a review of
the
reexamination reports and | ||
arguments on behalf of the parties.
The
committed person has a | ||
right to have an attorney represent him or
her at the probable | ||
cause hearing, but the person is not entitled
to be present at | ||
the probable cause hearing.
The
probable cause hearing under | ||
this Section must be held as soon as practical after the
filing | ||
of the
reexamination report under Section 55 of this Act.
| ||
(2) If the court determines at the probable cause hearing
| ||
under paragraph (b)(1) of this Section that probable cause | ||
exists
to believe that since the most recent periodic | ||
reexamination (or initial commitment, if there has not yet been | ||
a periodic reexamination), the condition of the committed | ||
person has so changed that he or she is no longer a sexually
| ||
violent person, then the court shall set a hearing on the | ||
issue.
At a hearing under this Section, the committed person is | ||
entitled
to be present and to the benefit of the protections | ||
afforded to
the person under Section 25 of this Act.
The
|
committed person or the State may elect to have a hearing under | ||
this Section
before a
jury. A verdict of a jury under this | ||
Section is not valid unless it is
unanimous.
The Attorney | ||
General or
State's Attorney, whichever filed the original | ||
petition, shall
represent the State at a hearing under this | ||
Section. The State has the right
to have the committed person | ||
evaluated by experts chosen by the
State.
The examination shall | ||
be conducted in conformance with the standards
developed under | ||
the Sex Offender Management Board Act and by an evaluator
| ||
approved by the Board. At the hearing, the State has the burden | ||
of proving by
clear and convincing evidence that the committed | ||
person is still a
sexually violent person.
| ||
(3) If the court or jury is satisfied that the State has | ||
not met its
burden of proof under paragraph (b)(2) of this | ||
Section, the
person shall be discharged from the custody or | ||
supervision of the
Department. If the court or jury is | ||
satisfied that the State has met its
burden of proof under | ||
paragraph (b)(2) of this Section, the court
may proceed under | ||
Section 40 of this Act to determine whether to
modify the | ||
person's existing commitment order.
| ||
(c) This Section applies to petitions pending on the | ||
effective date of this amendatory Act of the 97th General | ||
Assembly and to petitions filed on or after that date. This | ||
provision is severable from the other provisions of this | ||
Section under Section 1.31 of the Statute on Statutes. | ||
(Source: P.A. 96-1128, eff. 1-1-11; 97-1075, eff. 8-24-12.)
|
(Text of Section after amendment by P.A. 97-1098 )
| ||
Sec. 65. Petition for discharge; procedure.
| ||
(a)(1) If the Secretary determines at any time that a | ||
person
committed under this Act is no longer a sexually violent | ||
person,
the Secretary shall authorize the person to petition | ||
the
committing court for discharge. If the evaluator on behalf | ||
of the Department recommends that the committed person is no | ||
longer a sexually violent person, then the Secretary or | ||
designee shall, within 30 days of receipt of the evaluator's | ||
report, file with the committing court notice of his or her | ||
determination whether or not to authorize the committed person | ||
to petition the committing court for discharge. The person | ||
shall file the
petition with the court and serve a copy upon | ||
the Attorney General
or the State's Attorney's office that | ||
filed the petition under
subsection (a) of Section 15 of this | ||
Act, whichever is applicable. The court,
upon receipt of the | ||
petition for discharge, shall order a hearing
to be held as | ||
soon as practical after the date of receipt of the
petition.
| ||
(2) At a hearing under this subsection, the Attorney | ||
General
or State's Attorney, whichever filed the original | ||
petition, shall
represent the State. The State has the right to | ||
have the person evaluated by experts chosen by the State. The | ||
examination shall be conducted in conformance with the
| ||
standards developed under the Sex Offender Management Board Act | ||
and by an
evaluator licensed under the Sex Offender Evaluation |
and Treatment Provider Act. The
committed person or the State | ||
may elect to have the hearing
before a jury.
The State has the | ||
burden of proving by clear and convincing
evidence that the | ||
petitioner is still a sexually violent person.
| ||
(3) If the court or jury is satisfied that the State has | ||
not met its
burden of proof under paragraph (a)(2) of this | ||
Section, the
petitioner shall be discharged from the custody or | ||
supervision of
the Department. If the court is satisfied that | ||
the State has met
its burden of proof under paragraph (a)(2), | ||
the court may proceed
under Section 40 of this Act to determine | ||
whether to modify the
petitioner's existing commitment order.
| ||
(b)(1) A person may petition the committing court for | ||
discharge
from custody or supervision without the Secretary's | ||
approval. At
the time of an examination under subsection (a) of | ||
Section 55 of this Act, the
Secretary shall provide the | ||
committed person with a written notice
of the person's right to | ||
petition the court for discharge over the
Secretary's | ||
objection. The notice shall contain a waiver of
rights. The | ||
Secretary shall forward the notice and waiver form to
the court | ||
with the report of the Department's examination under
Section | ||
55 of this Act. If the person does not affirmatively
waive the | ||
right to petition, the court shall set a probable cause
hearing | ||
to determine whether facts exist to believe that since the most | ||
recent periodic reexamination (or initial commitment, if there | ||
has not yet been a periodic reexamination), the condition of | ||
the committed person has so changed that he or she is no longer |
a sexually violent person. However, if a person has previously | ||
filed a petition for discharge without the Secretary's approval | ||
and the court determined, either upon review of the petition or | ||
following a hearing, that the person's petition was frivolous | ||
or that the person was still a sexually violent person, then | ||
the court shall deny any subsequent petition under this Section | ||
without a hearing unless the petition contains facts upon which | ||
a court could reasonably find that the condition of the person | ||
had so changed that a hearing was warranted.
If a
person does | ||
not file a petition for discharge, yet fails to waive the right | ||
to
petition under
this Section, then the probable cause hearing | ||
consists only of a review of
the
reexamination reports and | ||
arguments on behalf of the parties.
The
committed person has a | ||
right to have an attorney represent him or
her at the probable | ||
cause hearing, but the person is not entitled
to be present at | ||
the probable cause hearing.
The
probable cause hearing under | ||
this Section must be held as soon as practical after the
filing | ||
of the
reexamination report under Section 55 of this Act.
| ||
(2) If the court determines at the probable cause hearing
| ||
under paragraph (b)(1) of this Section that probable cause | ||
exists
to believe that since the most recent periodic | ||
reexamination (or initial commitment, if there has not yet been | ||
a periodic reexamination), the condition of the committed | ||
person has so changed that he or she is no longer a sexually
| ||
violent person, then the court shall set a hearing on the | ||
issue.
At a hearing under this Section, the committed person is |
entitled
to be present and to the benefit of the protections | ||
afforded to
the person under Section 25 of this Act.
The
| ||
committed person or the State may elect to have a hearing under | ||
this Section
before a
jury. A verdict of a jury under this | ||
Section is not valid unless it is
unanimous.
The Attorney | ||
General or
State's Attorney, whichever filed the original | ||
petition, shall
represent the State at a hearing under this | ||
Section. The State has the right
to have the committed person | ||
evaluated by experts chosen by the
State.
The examination shall | ||
be conducted in conformance with the standards
developed under | ||
the Sex Offender Management Board Act and by an evaluator
| ||
licensed under the Sex Offender Evaluation and Treatment | ||
Provider Act. At the hearing, the State has the burden of | ||
proving by
clear and convincing evidence that the committed | ||
person is still a
sexually violent person.
| ||
(3) If the court or jury is satisfied that the State has | ||
not met its
burden of proof under paragraph (b)(2) of this | ||
Section, the
person shall be discharged from the custody or | ||
supervision of the
Department. If the court or jury is | ||
satisfied that the State has met its
burden of proof under | ||
paragraph (b)(2) of this Section, the court
may proceed under | ||
Section 40 of this Act to determine whether to
modify the | ||
person's existing commitment order.
| ||
(c) This Section applies to petitions pending on the | ||
effective date of this amendatory Act of the 97th General | ||
Assembly and to petitions filed on or after that date. This |
provision is severable from the other provisions of this | ||
Section under Section 1.31 of the Statute on Statutes. | ||
(Source: P.A. 96-1128, eff. 1-1-11; 97-1075, eff. 8-24-12; | ||
97-1098, eff. 1-1-14; revised 9-28-12.) | ||
Section 460. The Unified Code of Corrections is amended by | ||
changing Sections 3-2-2, 3-2-5, 3-3-4, 3-3-9, and 5-5-3.1 as | ||
follows:
| ||
(730 ILCS 5/3-2-2) (from Ch. 38, par. 1003-2-2)
| ||
Sec. 3-2-2. Powers and Duties of the Department.
| ||
(1) In addition to the powers, duties and responsibilities | ||
which are
otherwise provided by law, the Department shall have | ||
the following powers:
| ||
(a) To accept persons committed to it by the courts of | ||
this State for
care, custody, treatment and | ||
rehabilitation, and to accept federal prisoners and aliens | ||
over whom the Office of the Federal Detention Trustee is | ||
authorized to exercise the federal detention function for | ||
limited purposes and periods of time.
| ||
(b) To develop and maintain reception and evaluation | ||
units for purposes
of analyzing the custody and | ||
rehabilitation needs of persons committed to
it and to | ||
assign such persons to institutions and programs under its | ||
control
or transfer them to other appropriate agencies. In | ||
consultation with the
Department of Alcoholism and |
Substance Abuse (now the Department of Human
Services), the | ||
Department of Corrections
shall develop a master plan for | ||
the screening and evaluation of persons
committed to its | ||
custody who have alcohol or drug abuse problems, and for
| ||
making appropriate treatment available to such persons; | ||
the Department
shall report to the General Assembly on such | ||
plan not later than April 1,
1987. The maintenance and | ||
implementation of such plan shall be contingent
upon the | ||
availability of funds.
| ||
(b-1) To create and implement, on January 1, 2002, a | ||
pilot
program to
establish the effectiveness of | ||
pupillometer technology (the measurement of the
pupil's
| ||
reaction to light) as an alternative to a urine test for | ||
purposes of screening
and evaluating
persons committed to | ||
its custody who have alcohol or drug problems. The
pilot | ||
program shall require the pupillometer technology to be | ||
used in at
least one Department of
Corrections facility. | ||
The Director may expand the pilot program to include an
| ||
additional facility or
facilities as he or she deems | ||
appropriate.
A minimum of 4,000 tests shall be included in | ||
the pilot program.
The
Department must report to the
| ||
General Assembly on the
effectiveness of the program by | ||
January 1, 2003.
| ||
(b-5) To develop, in consultation with the Department | ||
of State Police, a
program for tracking and evaluating each | ||
inmate from commitment through release
for recording his or |
her gang affiliations, activities, or ranks.
| ||
(c) To maintain and administer all State correctional | ||
institutions and
facilities under its control and to | ||
establish new ones as needed. Pursuant
to its power to | ||
establish new institutions and facilities, the Department
| ||
may, with the written approval of the Governor, authorize | ||
the Department of
Central Management Services to enter into | ||
an agreement of the type
described in subsection (d) of | ||
Section 405-300 of the
Department
of Central Management | ||
Services Law (20 ILCS 405/405-300). The Department shall
| ||
designate those institutions which
shall constitute the | ||
State Penitentiary System.
| ||
Pursuant to its power to establish new institutions and | ||
facilities, the
Department may authorize the Department of | ||
Central Management Services to
accept bids from counties | ||
and municipalities for the construction,
remodeling or | ||
conversion of a structure to be leased to the Department of
| ||
Corrections for the purposes of its serving as a | ||
correctional institution
or facility. Such construction, | ||
remodeling or conversion may be financed
with revenue bonds | ||
issued pursuant to the Industrial Building Revenue Bond
Act | ||
by the municipality or county. The lease specified in a bid | ||
shall be
for a term of not less than the time needed to | ||
retire any revenue bonds
used to finance the project, but | ||
not to exceed 40 years. The lease may
grant to the State | ||
the option to purchase the structure outright.
|
Upon receipt of the bids, the Department may certify | ||
one or more of the
bids and shall submit any such bids to | ||
the General Assembly for approval.
Upon approval of a bid | ||
by a constitutional majority of both houses of the
General | ||
Assembly, pursuant to joint resolution, the Department of | ||
Central
Management Services may enter into an agreement | ||
with the county or
municipality pursuant to such bid.
| ||
(c-5) To build and maintain regional juvenile | ||
detention centers and to
charge a per diem to the counties | ||
as established by the Department to defray
the costs of | ||
housing each minor in a center. In this subsection (c-5),
| ||
"juvenile
detention center" means a facility to house | ||
minors during pendency of trial who
have been transferred | ||
from proceedings under the Juvenile Court Act of 1987 to
| ||
prosecutions under the criminal laws of this State in | ||
accordance with Section
5-805 of the Juvenile Court Act of | ||
1987, whether the transfer was by operation
of
law or | ||
permissive under that Section. The Department shall | ||
designate the
counties to be served by each regional | ||
juvenile detention center.
| ||
(d) To develop and maintain programs of control, | ||
rehabilitation and
employment of committed persons within | ||
its institutions.
| ||
(d-5) To provide a pre-release job preparation program | ||
for inmates at Illinois adult correctional centers.
| ||
(e) To establish a system of supervision and guidance |
of committed persons
in the community.
| ||
(f) To establish in cooperation with the Department of | ||
Transportation
to supply a sufficient number of prisoners | ||
for use by the Department of
Transportation to clean up the | ||
trash and garbage along State, county,
township, or | ||
municipal highways as designated by the Department of
| ||
Transportation. The Department of Corrections, at the | ||
request of the
Department of Transportation, shall furnish | ||
such prisoners at least
annually for a period to be agreed | ||
upon between the Director of
Corrections and the Director | ||
of Transportation. The prisoners used on this
program shall | ||
be selected by the Director of Corrections on whatever | ||
basis
he deems proper in consideration of their term, | ||
behavior and earned eligibility
to participate in such | ||
program - where they will be outside of the prison
facility | ||
but still in the custody of the Department of Corrections. | ||
Prisoners
convicted of first degree murder, or a Class X | ||
felony, or armed violence, or
aggravated kidnapping, or | ||
criminal sexual assault, aggravated criminal sexual
abuse | ||
or a subsequent conviction for criminal sexual abuse, or | ||
forcible
detention, or arson, or a prisoner adjudged a | ||
Habitual Criminal shall not be
eligible for selection to | ||
participate in such program. The prisoners shall
remain as | ||
prisoners in the custody of the Department of Corrections | ||
and such
Department shall furnish whatever security is | ||
necessary. The Department of
Transportation shall furnish |
trucks and equipment for the highway cleanup
program and | ||
personnel to supervise and direct the program. Neither the
| ||
Department of Corrections nor the Department of | ||
Transportation shall replace
any regular employee with a | ||
prisoner.
| ||
(g) To maintain records of persons committed to it and | ||
to establish
programs of research, statistics and | ||
planning.
| ||
(h) To investigate the grievances of any person | ||
committed to the
Department, to inquire into any alleged | ||
misconduct by employees
or committed persons, and to | ||
investigate the assets
of committed persons to implement | ||
Section 3-7-6 of this Code; and for
these purposes it may | ||
issue subpoenas and compel the attendance of witnesses
and | ||
the production of writings and papers, and may examine | ||
under oath any
witnesses who may appear before it; to also | ||
investigate alleged violations
of a parolee's or | ||
releasee's conditions of parole or release; and for this
| ||
purpose it may issue subpoenas and compel the attendance of | ||
witnesses and
the production of documents only if there is | ||
reason to believe that such
procedures would provide | ||
evidence that such violations have occurred.
| ||
If any person fails to obey a subpoena issued under | ||
this subsection,
the Director may apply to any circuit | ||
court to secure compliance with the
subpoena. The failure | ||
to comply with the order of the court issued in
response |
thereto shall be punishable as contempt of court.
| ||
(i) To appoint and remove the chief administrative | ||
officers, and
administer
programs of training and | ||
development of personnel of the Department. Personnel
| ||
assigned by the Department to be responsible for the
| ||
custody and control of committed persons or to investigate | ||
the alleged
misconduct of committed persons or employees or | ||
alleged violations of a
parolee's or releasee's conditions | ||
of parole shall be conservators of the peace
for those | ||
purposes, and shall have the full power of peace officers | ||
outside
of the facilities of the Department in the | ||
protection, arrest, retaking
and reconfining of committed | ||
persons or where the exercise of such power
is necessary to | ||
the investigation of such misconduct or violations.
| ||
(j) To cooperate with other departments and agencies | ||
and with local
communities for the development of standards | ||
and programs for better
correctional services in this | ||
State.
| ||
(k) To administer all moneys and properties of the | ||
Department.
| ||
(l) To report annually to the Governor on the committed
| ||
persons, institutions and programs of the Department.
| ||
(l-5) (Blank).
| ||
(m) To make all rules and regulations and exercise all | ||
powers and duties
vested by law in the Department.
| ||
(n) To establish rules and regulations for |
administering a system of
sentence credits, established in | ||
accordance with Section 3-6-3, subject
to review by the | ||
Prisoner Review Board.
| ||
(o) To administer the distribution of funds
from the | ||
State Treasury to reimburse counties where State penal
| ||
institutions are located for the payment of assistant | ||
state's attorneys'
salaries under Section 4-2001 of the | ||
Counties Code.
| ||
(p) To exchange information with the Department of | ||
Human Services and the
Department of Healthcare and Family | ||
Services
for the purpose of verifying living arrangements | ||
and for other purposes
directly connected with the | ||
administration of this Code and the Illinois
Public Aid | ||
Code.
| ||
(q) To establish a diversion program.
| ||
The program shall provide a structured environment for | ||
selected
technical parole or mandatory supervised release | ||
violators and committed
persons who have violated the rules | ||
governing their conduct while in work
release. This program | ||
shall not apply to those persons who have committed
a new | ||
offense while serving on parole or mandatory supervised | ||
release or
while committed to work release.
| ||
Elements of the program shall include, but shall not be | ||
limited to, the
following:
| ||
(1) The staff of a diversion facility shall provide | ||
supervision in
accordance with required objectives set |
by the facility.
| ||
(2) Participants shall be required to maintain | ||
employment.
| ||
(3) Each participant shall pay for room and board | ||
at the facility on a
sliding-scale basis according to | ||
the participant's income.
| ||
(4) Each participant shall:
| ||
(A) provide restitution to victims in | ||
accordance with any court order;
| ||
(B) provide financial support to his | ||
dependents; and
| ||
(C) make appropriate payments toward any other | ||
court-ordered
obligations.
| ||
(5) Each participant shall complete community | ||
service in addition to
employment.
| ||
(6) Participants shall take part in such | ||
counseling, educational and
other programs as the | ||
Department may deem appropriate.
| ||
(7) Participants shall submit to drug and alcohol | ||
screening.
| ||
(8) The Department shall promulgate rules | ||
governing the administration
of the program.
| ||
(r) To enter into intergovernmental cooperation | ||
agreements under which
persons in the custody of the | ||
Department may participate in a county impact
| ||
incarceration program established under Section 3-6038 or |
3-15003.5 of the
Counties Code.
| ||
(r-5) (Blank).
| ||
(r-10) To systematically and routinely identify with | ||
respect to each
streetgang active within the correctional | ||
system: (1) each active gang; (2)
every existing inter-gang | ||
affiliation or alliance; and (3) the current leaders
in | ||
each gang. The Department shall promptly segregate leaders | ||
from inmates who
belong to their gangs and allied gangs. | ||
"Segregate" means no physical contact
and, to the extent | ||
possible under the conditions and space available at the
| ||
correctional facility, prohibition of visual and sound | ||
communication. For the
purposes of this paragraph (r-10), | ||
"leaders" means persons who:
| ||
(i) are members of a criminal streetgang;
| ||
(ii) with respect to other individuals within the | ||
streetgang, occupy a
position of organizer, | ||
supervisor, or other position of management or
| ||
leadership; and
| ||
(iii) are actively and personally engaged in | ||
directing, ordering,
authorizing, or requesting | ||
commission of criminal acts by others, which are
| ||
punishable as a felony, in furtherance of streetgang | ||
related activity both
within and outside of the | ||
Department of Corrections.
| ||
"Streetgang", "gang", and "streetgang related" have the | ||
meanings ascribed to
them in Section 10 of the Illinois |
Streetgang Terrorism Omnibus Prevention
Act.
| ||
(s) To operate a super-maximum security institution, | ||
in order to
manage and
supervise inmates who are disruptive | ||
or dangerous and provide for the safety
and security of the | ||
staff and the other inmates.
| ||
(t) To monitor any unprivileged conversation or any | ||
unprivileged
communication, whether in person or by mail, | ||
telephone, or other means,
between an inmate who, before | ||
commitment to the Department, was a member of an
organized | ||
gang and any other person without the need to show cause or | ||
satisfy
any other requirement of law before beginning the | ||
monitoring, except as
constitutionally required. The | ||
monitoring may be by video, voice, or other
method of | ||
recording or by any other means. As used in this | ||
subdivision (1)(t),
"organized gang" has the meaning | ||
ascribed to it in Section 10 of the Illinois
Streetgang | ||
Terrorism Omnibus Prevention Act.
| ||
As used in this subdivision (1)(t), "unprivileged | ||
conversation" or
"unprivileged communication" means a | ||
conversation or communication that is not
protected by any | ||
privilege recognized by law or by decision, rule, or order | ||
of
the Illinois Supreme Court.
| ||
(u) To establish a Women's and Children's Pre-release | ||
Community
Supervision
Program for the purpose of providing | ||
housing and services to eligible female
inmates, as | ||
determined by the Department, and their newborn and young
|
children.
| ||
(u-5) To issue an order, whenever a person committed to | ||
the Department absconds or absents himself or herself, | ||
without authority to do so, from any facility or program to | ||
which he or she is assigned. The order shall be certified | ||
by the Director, the Supervisor of the Apprehension Unit, | ||
or any person duly designated by the Director, with the | ||
seal of the Department affixed. The order shall be directed | ||
to all sheriffs, coroners, and police officers, or to any | ||
particular person named in the order. Any order issued | ||
pursuant to this subdivision (1) (u-5) shall be sufficient | ||
warrant for the officer or person named in the order to | ||
arrest and deliver the committed person to the proper | ||
correctional officials and shall be executed the same as | ||
criminal process.
| ||
(v) To do all other acts necessary to carry out the | ||
provisions
of this Chapter.
| ||
(2) The Department of Corrections shall by January 1, 1998, | ||
consider
building and operating a correctional facility within | ||
100 miles of a county of
over 2,000,000 inhabitants, especially | ||
a facility designed to house juvenile
participants in the | ||
impact incarceration program.
| ||
(3) When the Department lets bids for contracts for medical
| ||
services to be provided to persons committed to Department | ||
facilities by
a health maintenance organization, medical | ||
service corporation, or other
health care provider, the bid may |
only be let to a health care provider
that has obtained an | ||
irrevocable letter of credit or performance bond
issued by a | ||
company whose bonds have an investment grade or higher rating | ||
by a bond rating
organization.
| ||
(4) When the Department lets bids for
contracts for food or | ||
commissary services to be provided to
Department facilities, | ||
the bid may only be let to a food or commissary
services | ||
provider that has obtained an irrevocable letter of
credit or | ||
performance bond issued by a company whose bonds have an | ||
investment grade or higher rating by a bond rating | ||
organization.
| ||
(Source: P.A. 96-1265, eff. 7-26-10; 97-697, eff. 6-22-12; | ||
97-800, eff. 7-13-12; 97-802, eff. 7-13-12; revised 7-23-12.)
| ||
(730 ILCS 5/3-2-5) (from Ch. 38, par. 1003-2-5)
| ||
Sec. 3-2-5. Organization of the Department of Corrections | ||
and the Department of Juvenile Justice.
| ||
(a) There shall be a Department of Corrections which shall
| ||
be administered by a Director and an Assistant Director | ||
appointed by the Governor under
the Civil Administrative Code | ||
of Illinois. The Assistant Director shall be
under the | ||
direction of the Director. The Department of Corrections shall | ||
be
responsible for all persons committed or transferred to the | ||
Department
under Sections 3-10-7 or 5-8-6 of this Code.
| ||
(b)
There shall be a Department of Juvenile Justice which | ||
shall be administered by a Director appointed by the Governor |
under the Civil Administrative Code of Illinois. The Department | ||
of Juvenile Justice shall be responsible for all persons under | ||
17 years of age when sentenced to imprisonment and committed to | ||
the Department under subsection (c) of Section 5-8-6 of this | ||
Code, Section 5-10 of the Juvenile Court Act, or Section 5-750 | ||
of the Juvenile Court Act of 1987. Persons under 17 years of | ||
age committed to the Department of Juvenile Justice pursuant to | ||
this Code shall be sight and sound separate from adult | ||
offenders committed to the Department of Corrections.
| ||
(c) The Department shall create a gang intelligence unit | ||
under the
supervision of the Director. The unit shall be | ||
specifically designed to gather
information regarding the | ||
inmate gang population, monitor the activities of
gangs, and | ||
prevent the furtherance of gang activities through the | ||
development
and implementation of policies aimed at deterring | ||
gang activity. The Director
shall appoint a Corrections | ||
Intelligence Coordinator.
| ||
All information collected and maintained by the unit shall | ||
be highly
confidential, and access to that information shall be | ||
restricted by the
Department. The information
shall be used to | ||
control and limit the activities of gangs within correctional
| ||
institutions under the jurisdiction of the Illinois
Department | ||
of Corrections and may be shared with other law enforcement | ||
agencies
in order to curb gang activities outside of | ||
correctional institutions under the
jurisdiction of the | ||
Department and to assist in
the investigations and prosecutions |
of gang activity. The Department shall
establish and promulgate | ||
rules governing the release of information to outside
law | ||
enforcement agencies. Due to the highly sensitive nature of the
| ||
information, the information is exempt from requests for | ||
disclosure under the
Freedom
of Information Act as the | ||
information contained is highly confidential and may
be harmful | ||
if disclosed.
| ||
(Source: P.A. 97-800, eff. 7-13-12; 97-1083, eff. 8-24-12; | ||
revised 9-20-12.)
| ||
(730 ILCS 5/3-3-4) (from Ch. 38, par. 1003-3-4)
| ||
Sec. 3-3-4. Preparation for Parole Hearing.
| ||
(a) The Prisoner Review Board shall consider the parole
of | ||
each eligible person committed to the Department of Corrections | ||
at
least 30 days prior to the date he shall first become
| ||
eligible for parole, and shall consider the parole of each
| ||
person committed to the Department of Juvenile Justice as a | ||
delinquent
at least 30 days prior to the expiration of the | ||
first year
of confinement.
| ||
(b) A person eligible for parole shall, no less than 15 | ||
days in advance of
his parole interview, prepare a parole plan | ||
in accordance
with the rules of the Prisoner Review Board. The | ||
person
shall be assisted in preparing his parole plan by | ||
personnel
of the Department of Corrections, or the Department | ||
of Juvenile Justice in the case of a person committed to that | ||
Department, and may, for this purpose, be released
on furlough |
under Article 11 or on authorized absence under
Section 3-9-4. | ||
The appropriate Department shall also provide
assistance in | ||
obtaining information and records helpful to
the individual for | ||
his parole hearing. If the person eligible for parole has a | ||
petition or any written submissions prepared on his or her | ||
behalf by an attorney or other representative, the attorney or | ||
representative for the person eligible for parole must serve by | ||
certified mail the State's Attorney of the county where he or | ||
she was prosecuted with the petition or any written submissions | ||
15 days after his or her parole interview. The State's Attorney | ||
shall provide the attorney for the person eligible for parole | ||
with a copy of his or her letter in opposition to parole via | ||
certified mail within 5 business days of the en banc hearing.
| ||
(c) Any member of the Board shall have access at all
| ||
reasonable times to any committed person and to his master
| ||
record file within the Department, and the Department shall
| ||
furnish such a report to the Board
concerning the conduct and | ||
character of any such person prior to his or her parole | ||
interview.
| ||
(d) In making its determination of parole, the Board
shall | ||
consider:
| ||
(1) material transmitted to the Department of Juvenile | ||
Justice by the
clerk of the committing court under Section | ||
5-4-1 or Section
5-10 of the Juvenile Court Act or Section | ||
5-750 of the Juvenile
Court Act of 1987;
| ||
(2) the report under Section 3-8-2 or 3-10-2;
|
(3) a report by the Department and any report by the
| ||
chief administrative officer of the institution or | ||
facility;
| ||
(4) a parole progress report;
| ||
(5) a medical and psychological report, if requested
by | ||
the Board;
| ||
(6) material in writing, or on film, video tape or | ||
other electronic
means in the form of a recording submitted | ||
by the person whose parole
is being considered;
| ||
(7) material in writing, or on film, video tape or | ||
other electronic
means in the form of a recording or | ||
testimony submitted by the State's
Attorney and the victim | ||
or a concerned citizen pursuant to the Rights of Crime | ||
Victims and Witnesses Act; and
| ||
(8) the person's eligibility for commitment under the | ||
Sexually Violent Persons Commitment Act. | ||
(e) The prosecuting State's Attorney's office shall | ||
receive from the Board reasonable
written notice not less than | ||
30 days prior to the parole interview and may
submit relevant | ||
information by oral argument or testimony of victims and | ||
concerned citizens, or both, in writing, or on film, video tape | ||
or other
electronic means or in the form of a recording to the | ||
Board for its
consideration. Upon written request of the | ||
State's Attorney's office, the Prisoner Review Board shall hear | ||
protests to parole, except in counties of 1,500,000 or more | ||
inhabitants where there shall be standing objections to all |
such petitions. If a State's Attorney who represents a county | ||
of less than 1,500,000 inhabitants requests a protest hearing, | ||
the inmate's counsel or other representative shall also receive | ||
notice of such request.
This hearing shall take place the month | ||
following the inmate's parole interview. If the inmate's parole | ||
interview is rescheduled then the Prisoner Review Board shall | ||
promptly notify the State's Attorney of the new date. The | ||
person eligible for parole shall be heard at the next scheduled | ||
en banc hearing date. If the case is to be continued, the | ||
State's Attorney's office and the attorney or representative | ||
for the person eligible for parole will be notified of any | ||
continuance within 5 business days. The State's Attorney may | ||
waive the written notice.
| ||
(f) The victim of the violent crime for which the prisoner | ||
has been
sentenced shall receive notice of a parole hearing as | ||
provided in paragraph
(4) of subsection (d) of Section 4.5 of | ||
the Rights of Crime Victims and Witnesses
Act.
| ||
(g) Any recording considered under the provisions of | ||
subsection (d)(6),
(d)(7) or (e) of this Section shall be in | ||
the form designated by the Board.
Such recording shall be both | ||
visual and aural. Every voice on the
recording and person | ||
present shall be identified and the recording shall
contain | ||
either a visual or aural statement of the person submitting | ||
such
recording, the date of the recording and the name of the | ||
person whose
parole eligibility is being considered. Such | ||
recordings shall be retained by
the Board and shall be deemed |
to be submitted at any subsequent parole hearing
if the victim | ||
or State's Attorney submits in writing a declaration clearly
| ||
identifying such recording as representing the present | ||
position of the
victim or State's Attorney regarding the issues | ||
to be considered at the parole
hearing.
| ||
(h) The Board shall not release any material to the inmate, | ||
the inmate's attorney, any third party, or any other person | ||
containing any information from the victim or from a person | ||
related to the victim by blood, adoption, or marriage who has | ||
written objections, testified at any hearing, or submitted | ||
audio or visual objections to the inmate's parole, unless | ||
provided with a waiver from that objecting party. | ||
(Source: P.A. 96-875, eff. 1-22-10; 97-523, eff. 1-1-12; | ||
97-1075, eff. 8-24-12; 97-1083, eff. 8-24-12; revised | ||
9-20-12.)
| ||
(730 ILCS 5/3-3-9) (from Ch. 38, par. 1003-3-9)
| ||
Sec. 3-3-9. Violations; changes of conditions; preliminary
| ||
hearing; revocation of parole or mandatory supervised release;
| ||
revocation hearing. | ||
(a) If prior to expiration or termination of the term of
| ||
parole or mandatory supervised release, a person violates a
| ||
condition set by the Prisoner Review Board or a condition of | ||
parole or
mandatory supervised release under Section 3-3-7 of | ||
this Code to govern that
term,
the Board may:
| ||
(1) continue the existing term, with or without |
modifying or
enlarging the conditions; or
| ||
(2) parole or release the person to a half-way house; | ||
or
| ||
(3) revoke the parole or mandatory supervised release | ||
and
reconfine the person for a term computed in the | ||
following
manner:
| ||
(i) (A) For those sentenced under the law in effect | ||
prior to
this amendatory Act of 1977, the recommitment | ||
shall be for any
portion of the imposed maximum term of | ||
imprisonment or confinement
which had not been served | ||
at the time of parole and the parole
term, less the | ||
time elapsed between the parole of the person and
the | ||
commission of the violation for which parole was | ||
revoked;
| ||
(B) Except as set forth in paragraph (C), for
those | ||
subject to mandatory supervised release under
| ||
paragraph (d) of Section 5-8-1 of this Code, the | ||
recommitment
shall be for the total mandatory | ||
supervised release term, less
the time elapsed between | ||
the release of the person and the
commission of the | ||
violation for which mandatory supervised
release is | ||
revoked. The Board may also order that a prisoner
serve | ||
up to one year of the sentence imposed by the court | ||
which
was not served due to the accumulation of | ||
sentence credit;
| ||
(C) For those subject to sex offender supervision |
under clause (d)(4) of Section 5-8-1 of this Code, the | ||
reconfinement period for violations of clauses (a)(3) | ||
through (b-1)(15) of Section 3-3-7 shall not exceed 2 | ||
years from the date of reconfinement ; .
| ||
(ii) the person shall be given credit against the | ||
term of
reimprisonment or reconfinement for time spent | ||
in custody
since he was paroled or released which has | ||
not been credited
against another sentence or period of | ||
confinement;
| ||
(iii) persons committed under the Juvenile Court | ||
Act or the Juvenile
Court Act of 1987 may be continued | ||
under the existing term of parole with or without | ||
modifying the conditions of parole, paroled or | ||
released to a group home or other residential facility, | ||
or recommitted until the age of 21 unless sooner | ||
terminated;
| ||
(iv) this Section is subject to the release under
| ||
supervision and the reparole and rerelease provisions | ||
of Section
3-3-10.
| ||
(b) The Board may revoke parole or mandatory supervised
| ||
release for violation of a condition for the duration of the
| ||
term and for any further period which is reasonably necessary
| ||
for the adjudication of matters arising before its expiration.
| ||
The issuance of a warrant of arrest for an alleged violation
of | ||
the conditions of parole or mandatory supervised release
shall | ||
toll the running of the term until the final determination of |
the
charge. When
parole or mandatory supervised release is not | ||
revoked
that period shall be credited to the term, unless a | ||
community-based sanction is imposed as an alternative to | ||
revocation and reincarceration, including a diversion | ||
established by the Illinois Department of Corrections Parole | ||
Services Unit prior to the holding of a preliminary parole | ||
revocation hearing. Parolees who are diverted to a | ||
community-based sanction shall serve the entire term of parole | ||
or mandatory supervised release, if otherwise appropriate.
| ||
(b-5) The Board shall revoke parole or mandatory supervised | ||
release for violation of the conditions prescribed in paragraph | ||
(7.6) of subsection (a) of Section 3-3-7. | ||
(c) A person charged with violating a condition of parole | ||
or
mandatory supervised release shall have a preliminary | ||
hearing
before a hearing officer designated by the Board to | ||
determine
if there is cause to hold the person for a revocation | ||
hearing.
However, no preliminary hearing need be held when | ||
revocation is based
upon new criminal charges and a court finds | ||
probable cause on the new
criminal charges or when the | ||
revocation
is based upon a new criminal conviction and a | ||
certified copy of
that conviction is available.
| ||
(d) Parole or mandatory supervised release shall not be
| ||
revoked without written notice to the offender setting forth
| ||
the violation of parole or mandatory supervised release charged
| ||
against him.
| ||
(e) A hearing on revocation shall be conducted before at
|
least one member of the Prisoner Review Board. The Board may
| ||
meet and order its actions in panels of 3 or more members.
The | ||
action of a majority of the panel shall be the action of
the | ||
Board. In consideration of persons committed to the Department | ||
of Juvenile Justice, the member hearing the matter and at least | ||
a majority
of the panel shall be experienced in juvenile | ||
matters. A record
of the hearing shall be made. At the hearing | ||
the offender shall
be permitted to:
| ||
(1) appear and answer the charge; and
| ||
(2) bring witnesses on his behalf.
| ||
(f) The Board shall either revoke parole or mandatory
| ||
supervised release or order the person's term continued with
or | ||
without modification or enlargement of the conditions.
| ||
(g) Parole or mandatory supervised release shall not be
| ||
revoked for failure to make payments under the conditions of
| ||
parole or release unless the Board determines that such failure | ||
is
due to the offender's willful refusal to pay.
| ||
(Source: P.A. 96-1271, eff. 1-1-11; 97-697, eff. 6-22-12; | ||
revised 8-3-12.)
| ||
(730 ILCS 5/5-5-3.1) (from Ch. 38, par. 1005-5-3.1)
| ||
Sec. 5-5-3.1. Factors in Mitigation.
| ||
(a) The following
grounds shall be accorded weight in favor | ||
of withholding or
minimizing a sentence of imprisonment:
| ||
(1) The defendant's criminal conduct neither caused | ||
nor
threatened serious physical harm to another.
|
(2) The defendant did not contemplate that his criminal | ||
conduct would
cause or threaten serious physical harm to | ||
another.
| ||
(3) The defendant acted under a strong provocation.
| ||
(4) There were substantial grounds tending to excuse or | ||
justify
the defendant's criminal conduct, though failing | ||
to establish a
defense.
| ||
(5) The defendant's criminal conduct was induced or | ||
facilitated
by someone other than the defendant.
| ||
(6) The defendant has compensated or will compensate | ||
the victim
of his criminal conduct for the damage or injury | ||
that he sustained.
| ||
(7) The defendant has no history of prior delinquency | ||
or
criminal activity or has led a law-abiding life for a | ||
substantial
period of time before the commission of the | ||
present crime.
| ||
(8) The defendant's criminal conduct was the result of
| ||
circumstances unlikely to recur.
| ||
(9) The character and attitudes of the defendant | ||
indicate that he is
unlikely to commit another crime.
| ||
(10) The defendant is particularly likely to comply | ||
with the terms of
a period of probation.
| ||
(11) The imprisonment of the defendant would entail | ||
excessive
hardship to his dependents.
| ||
(12) The imprisonment of the defendant would endanger | ||
his or her medical
condition.
|
(13) The defendant was intellectually disabled as | ||
defined in Section 5-1-13 of
this Code.
| ||
(14) The defendant sought or obtained emergency | ||
medical assistance for an overdose and was convicted of a | ||
Class 3 felony or higher possession, manufacture, or | ||
delivery of a controlled, counterfeit, or look-alike | ||
substance or a controlled substance analog under the | ||
Illinois Controlled Substances Act or a Class 2 felony or | ||
higher possession, manufacture or delivery of | ||
methamphetamine under the Methamphetamine Control and | ||
Community Protection Act. | ||
(b) If the court, having due regard for the character of | ||
the
offender, the nature and circumstances of the offense and | ||
the
public interest finds that a sentence of imprisonment is | ||
the
most appropriate disposition of the offender, or where | ||
other
provisions of this Code mandate the imprisonment of the | ||
offender,
the grounds listed in paragraph (a) of this | ||
subsection shall be
considered as factors in mitigation of the | ||
term imposed.
| ||
(Source: P.A. 97-227, eff. 1-1-12; 97-678, eff. 6-1-12; revised | ||
10-16-12.) | ||
Section 470. The Stalking No Contact Order Act is amended | ||
by changing Section 115 as follows:
| ||
(740 ILCS 21/115)
|
Sec. 115. Notice of orders. | ||
(a) Upon issuance of any stalking no contact order, the | ||
clerk shall immediately, or on the next court day if an | ||
emergency order is issued in accordance with subsection (c) of | ||
Section 95: | ||
(1) enter the order on the record and file it in | ||
accordance with the circuit court procedures; and | ||
(2) provide a file stamped copy of the order to the | ||
respondent, if present, and to the petitioner. | ||
(b) The clerk of the issuing judge shall, or the petitioner | ||
may, on the same day that a stalking no contact order is | ||
issued, file a certified copy of that order with the sheriff or | ||
other law enforcement officials charged with maintaining | ||
Department of State Police records or charged with serving the | ||
order upon the respondent. If the order was issued in | ||
accordance with subsection (c) of Section 95, the clerk shall, | ||
on the next court day, file a certified copy of the order with | ||
the sheriff or other law enforcement officials charged with | ||
maintaining Department of State Police records. If the | ||
respondent, at the time of the issuance of the order, is | ||
committed to the custody of the Illinois Department of | ||
Corrections or is on parole or mandatory supervised release, | ||
the sheriff or other law enforcement officials charged with | ||
maintaining Department of State Police records shall notify the | ||
Department of Corrections within 48 hours of receipt of a copy | ||
of the stalking no contact order from the clerk of the issuing |
judge or the petitioner. Such notice shall include the name of | ||
the respondent, the respondent's IDOC inmate number, the | ||
respondent's date of birth, and the LEADS Record Index Number. | ||
(c) Unless the respondent 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 | ||
the respondent and file proof of such service in the manner | ||
provided for service of process in civil proceedings. Instead | ||
of serving the order upon the respondent, however, the sheriff, | ||
other law enforcement official, special process server, or | ||
other persons defined in Section 117 may serve the respondent | ||
with a short form notification as provided in Section 117. If | ||
process has not yet been served upon the respondent, it shall | ||
be served with the order or short form notification if such | ||
service is made by the sheriff, other law enforcement official, | ||
or special process server. | ||
(d) If the person against whom the stalking no contact | ||
order is issued is arrested and the written order is issued in | ||
accordance with subsection (c) of Section 95 and received by | ||
the custodial law enforcement agency before the respondent or | ||
arrestee is released from custody, the custodial law | ||
enforcement agent shall promptly serve the order upon the | ||
respondent or arrestee before the respondent or arrestee is | ||
released from custody. In no event shall detention of the | ||
respondent or arrestee be extended for hearing on the petition | ||
for stalking no contact order or receipt of the order issued |
under Section 95 of this Act. | ||
(e) Any order extending, modifying, or revoking any | ||
stalking no contact order shall be promptly recorded, issued, | ||
and served as provided in this Section. | ||
(f) Upon the request of the petitioner, within 24 hours of | ||
the issuance of a stalking no contact order, the clerk of the | ||
issuing judge shall send written notice of the order along with | ||
a certified copy of the order to any school, daycare, college, | ||
or university at which the petitioner is enrolled.
| ||
(Source: P.A. 96-246, eff. 1-1-10; 97-904, eff. 1-1-13; | ||
97-1017, eff. 1-1-13; revised 8-23-12.) | ||
Section 475. The Civil No Contact Order Act is amended by | ||
changing Section 218 as follows:
| ||
(740 ILCS 22/218)
| ||
Sec. 218. Notice of orders.
| ||
(a) Upon issuance of any civil no contact order, the clerk | ||
shall
immediately, or on the next court day if an emergency | ||
order is issued in
accordance with subsection (c) of Section | ||
214:
| ||
(1) enter the order on the record and file it in | ||
accordance with the
circuit court procedures; and
| ||
(2) provide a file stamped copy of the order to the | ||
respondent, if
present, and to the petitioner.
| ||
(b) The clerk of the issuing judge shall, or the petitioner |
may, on the
same day that a civil no contact order is issued, | ||
file a certified copy of that
order with the sheriff or other | ||
law enforcement officials charged with
maintaining Department | ||
of State Police records or charged with serving the
order upon | ||
the respondent. If the order was issued in accordance with
| ||
subsection (c) of Section 214, the clerk shall, on the next | ||
court day, file a
certified copy of the order with the Sheriff | ||
or other law enforcement officials
charged with maintaining | ||
Department of State Police records. If the respondent, at the | ||
time of the issuance of the order, is committed to the custody | ||
of the Illinois Department of Corrections or is on parole or | ||
mandatory supervised release, the sheriff or other law | ||
enforcement officials charged with maintaining Department of | ||
State Police records shall notify the Department of Corrections | ||
within 48 hours of receipt of a copy of the civil no contact | ||
order from the clerk of the issuing judge or the petitioner. | ||
Such notice shall include the name of the respondent, the | ||
respondent's IDOC inmate number, the respondent's date of | ||
birth, and the LEADS Record Index Number.
| ||
(c) Unless the respondent 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 | ||
the respondent and file proof of such
service in the manner | ||
provided for service of process in civil proceedings. Instead | ||
of serving the order upon the respondent, however, the sheriff, | ||
other law enforcement official, special process server, or |
other persons defined in Section 218.1 may serve the respondent | ||
with a short form notification as provided in Section 218.1. If
| ||
process has not yet been served upon the respondent, it shall | ||
be served with
the order or short form notification if such | ||
service is made by the sheriff, other law enforcement official, | ||
or special process server.
| ||
(d) If the person against whom the civil no contact order | ||
is issued is
arrested and the written order is issued in | ||
accordance with subsection (c) of
Section 214 and received by | ||
the custodial law enforcement agency before
the respondent or | ||
arrestee is released from custody, the custodial law
| ||
enforcement agent shall promptly serve the order upon the | ||
respondent or
arrestee before the respondent or arrestee is | ||
released from custody. In no
event shall detention of the | ||
respondent or arrestee be extended for hearing
on the petition | ||
for civil no contact order or receipt of the order issued under
| ||
Section 214 of this Act.
| ||
(e) Any order extending, modifying, or revoking any civil | ||
no contact
order shall be promptly recorded, issued, and served | ||
as provided in this
Section.
| ||
(f) Upon the request of the
petitioner, within 24 hours of | ||
the issuance of a civil no contact order, the
clerk of the | ||
issuing judge shall
send written notice of the order along with
| ||
a certified copy of the order to any school, college, or | ||
university at which
the
petitioner is enrolled.
| ||
(Source: P.A. 97-904, eff. 1-1-13; 97-1017, eff. 1-1-13; |
revised 8-23-12.)
| ||
Section 480. The Crime Victims Compensation Act is amended | ||
by changing Section 7.1 as follows:
| ||
(740 ILCS 45/7.1) (from Ch. 70, par. 77.1)
| ||
Sec. 7.1. (a) The application shall set out:
| ||
(1) the name and address of the victim;
| ||
(2) if the victim is deceased, the name and address of | ||
the applicant
and his relationship to the victim, the names | ||
and addresses of other
persons dependent on the victim for | ||
their support and the extent to
which each is so dependent, | ||
and other persons who may be entitled to
compensation for a | ||
pecuniary loss;
| ||
(3) the date and nature of the crime on which the | ||
application for
compensation is based;
| ||
(4) the date and place where and the law enforcement | ||
officials to
whom notification of the crime was given;
| ||
(5) the nature and extent of the injuries sustained by | ||
the victim,
and the names and addresses of those giving | ||
medical and hospitalization
treatment to the victim;
| ||
(6) the pecuniary loss to the applicant and to such | ||
other persons as
are specified under item (2) resulting | ||
from the injury or death;
| ||
(7) the amount of benefits, payments, or awards, if | ||
any, payable
under:
|
(a) the Workers' Compensation Act,
| ||
(b) the Dram Shop Act,
| ||
(c) any claim, demand, or cause of action based | ||
upon the
crime-related injury or death,
| ||
(d) the Federal Medicare program,
| ||
(e) the State Public Aid program,
| ||
(f) Social Security Administration burial | ||
benefits,
| ||
(g) Veterans administration burial benefits,
| ||
(h) life, health, accident or liability insurance,
| ||
(i) the Criminal Victims' Escrow Account Act,
| ||
(j) the Sexual Assault Survivors Emergency | ||
Treatment Act, | ||
(k) restitution, or | ||
(l) from any other source ; .
| ||
(8) releases authorizing the surrender to the Court of | ||
Claims or
Attorney General of reports, documents and other | ||
information relating to
the matters specified under this | ||
Act and rules promulgated in accordance
with the Act ; .
| ||
(9) such other information as the Court of Claims or | ||
the Attorney
General reasonably requires.
| ||
(b) The Attorney General may require that materials | ||
substantiating
the facts stated in the application be submitted | ||
with that application.
| ||
(c) An applicant, on his own motion, may file an amended | ||
application
or additional substantiating materials to correct |
inadvertent errors or
omissions at any time before the original | ||
application has been disposed
of by the Court of Claims. In | ||
either case, the filing of additional
information or of an | ||
amended application shall be considered for the
purpose of this | ||
Act to have been filed at the same time as the original
| ||
application.
| ||
(Source: P.A. 97-817, eff. 1-1-13; revised 8-3-12.)
| ||
Section 490. The Illinois Marriage and Dissolution of | ||
Marriage Act is amended by changing Section 505 as follows:
| ||
(750 ILCS 5/505) (from Ch. 40, par. 505)
| ||
Sec. 505. Child support; contempt; penalties.
| ||
(a) In a proceeding for dissolution of marriage, legal | ||
separation,
declaration of invalidity of marriage, a | ||
proceeding for child support
following dissolution of the | ||
marriage by a court that lacked personal
jurisdiction over the | ||
absent spouse, a proceeding for modification of a
previous | ||
order for child support under Section 510 of this Act, or any
| ||
proceeding authorized under Section 501 or 601 of this Act, the | ||
court may
order either or both parents owing a duty of support | ||
to a child of the
marriage to pay an amount reasonable and | ||
necessary for the support of the child, without
regard to | ||
marital misconduct. The duty of support owed to a child
| ||
includes the obligation to provide for the reasonable and | ||
necessary
educational, physical, mental and emotional health |
needs of the child.
For purposes of this Section, the term | ||||||||||||||||||
"child" shall include any child under
age 18 and
any child | ||||||||||||||||||
under age 19 who is still attending high school.
| ||||||||||||||||||
(1) The Court shall determine the minimum amount of | ||||||||||||||||||
support by using the
following guidelines:
| ||||||||||||||||||
| ||||||||||||||||||
(2) The above guidelines shall be applied in each case | ||||||||||||||||||
unless the court
finds that a deviation from the guidelines | ||||||||||||||||||
is appropriate after considering the best interest of the | ||||||||||||||||||
child in light of the evidence, including, but not limited | ||||||||||||||||||
to, one or more of the following relevant
factors:
| ||||||||||||||||||
(a) the financial resources and needs of the child;
| ||||||||||||||||||
(b) the financial resources and needs of the | ||||||||||||||||||
custodial parent;
| ||||||||||||||||||
(c) the standard of living the child would have | ||||||||||||||||||
enjoyed had the
marriage not been dissolved;
| ||||||||||||||||||
(d) the physical, mental, and emotional needs of | ||||||||||||||||||
the child;
| ||||||||||||||||||
(d-5) the educational needs of the child; and
|
(e) the financial resources and needs of the | ||
non-custodial parent.
| ||
If the court deviates from the guidelines, the court's | ||
finding
shall state the amount of support that would have | ||
been required under the
guidelines, if determinable. The | ||
court shall include the reason or reasons for
the variance | ||
from the
guidelines.
| ||
(2.5) The court, in its discretion, in addition to | ||
setting child support pursuant to the guidelines and | ||
factors, may order either or both parents owing a duty of | ||
support to a child of the marriage to contribute to the | ||
following expenses, if determined by the court to be | ||
reasonable: | ||
(a) health needs not covered by insurance; | ||
(b) child care; | ||
(c) education; and | ||
(d) extracurricular activities.
| ||
(3) "Net income" is defined as the total of all income | ||
from all
sources, minus the following deductions:
| ||
(a) Federal income tax (properly calculated | ||
withholding or estimated
payments);
| ||
(b) State income tax (properly calculated | ||
withholding or estimated
payments);
| ||
(c) Social Security (FICA payments);
| ||
(d) Mandatory retirement contributions required by | ||
law or as a
condition of employment;
|
(e) Union dues;
| ||
(f) Dependent and individual | ||
health/hospitalization insurance premiums and premiums | ||
for life insurance ordered by the court to reasonably | ||
secure payment of ordered child support;
| ||
(g) Prior obligations of support or maintenance | ||
actually paid pursuant
to a court order;
| ||
(h) Expenditures for repayment of debts that | ||
represent reasonable and
necessary expenses for the | ||
production of income, medical expenditures
necessary | ||
to preserve life or health, reasonable expenditures | ||
for the
benefit of the child and the other parent, | ||
exclusive of gifts. The court
shall reduce net income | ||
in determining the minimum amount of support to be
| ||
ordered only for the period that such payments are due | ||
and shall enter an
order containing provisions for its | ||
self-executing modification upon
termination of such | ||
payment period;
| ||
(i) Foster care payments paid by the Department of | ||
Children and Family Services for providing licensed | ||
foster care to a foster child.
| ||
(4) In cases where the court order provides for
| ||
health/hospitalization insurance coverage pursuant to | ||
Section 505.2 of
this Act, the premiums for that insurance, | ||
or that portion of the premiums
for which the supporting | ||
party is responsible in the case of insurance
provided |
through an employer's health insurance plan where
the | ||
employer pays a portion of the premiums, shall be | ||
subtracted
from net income in determining the minimum | ||
amount of support to be ordered.
| ||
(4.5) In a proceeding for child support following | ||
dissolution of the
marriage by a court that lacked personal | ||
jurisdiction over the absent spouse,
and in which the court | ||
is requiring payment of support for the period before
the | ||
date an order for current support is entered, there is a | ||
rebuttable
presumption
that the supporting party's net | ||
income for the prior period was the same as his
or her net | ||
income at the time the order for current support is | ||
entered.
| ||
(5) If the net income cannot be determined because of | ||
default or any
other reason, the court shall order support | ||
in an amount considered
reasonable in the particular case. | ||
The final order in all cases shall
state the support level | ||
in dollar amounts.
However, if the
court finds that the | ||
child support amount cannot be expressed exclusively as a
| ||
dollar amount because all or a portion of the payor's net | ||
income is uncertain
as to source, time of payment, or | ||
amount, the court may order a percentage
amount of support | ||
in addition to a specific dollar amount and enter
such | ||
other orders as may be necessary to determine and enforce, | ||
on a timely
basis, the applicable support ordered.
| ||
(6) If (i) the non-custodial parent was properly served |
with a request
for
discovery of financial information | ||
relating to the non-custodial parent's
ability to
provide | ||
child support, (ii) the non-custodial parent failed to | ||
comply with the
request,
despite having been ordered to do | ||
so by the court, and (iii) the non-custodial
parent is not | ||
present at the hearing to determine support despite having
| ||
received
proper notice, then any relevant financial | ||
information concerning the
non-custodial parent's ability | ||
to provide child support that was obtained
pursuant to
| ||
subpoena and proper notice shall be admitted into evidence | ||
without the need to
establish any further foundation for | ||
its admission.
| ||
(a-5) In an action to enforce an order for support based on | ||
the
respondent's failure
to make support payments as required | ||
by the order, notice of proceedings to
hold the respondent in | ||
contempt for that failure may be served on the
respondent by | ||
personal service or by regular mail addressed to the | ||
respondent's
last known address. The respondent's last known | ||
address may be determined from
records of the clerk of the | ||
court, from the Federal Case Registry of Child
Support Orders, | ||
or by any other reasonable means.
| ||
(b) Failure of either parent to comply with an order to pay | ||
support shall
be punishable as in other cases of contempt. In | ||
addition to other
penalties provided by law the Court may, | ||
after finding the parent guilty
of contempt, order that the | ||
parent be:
|
(1) placed on probation with such conditions of | ||
probation as the Court
deems advisable;
| ||
(2) sentenced to periodic imprisonment for a period not | ||
to exceed 6
months; provided, however, that the Court may | ||
permit the parent 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.
| ||
The Court may further order any part or all of the earnings | ||
of a parent
during a sentence of periodic imprisonment paid to | ||
the Clerk of the Circuit
Court or to the parent having custody | ||
or to the guardian having custody
of the children of the | ||
sentenced parent for the support of said
children until further | ||
order of the Court.
| ||
If a parent who is found guilty of contempt for failure to | ||
comply with an order to pay support is a person who conducts a | ||
business or who is self-employed, the court in addition to | ||
other penalties provided by law may order that the parent do | ||
one or more of the following: (i) provide to the court monthly | ||
financial statements showing income and expenses from the | ||
business or the self-employment; (ii) seek employment and | ||
report periodically to the court with a diary, listing, or | ||
other memorandum of his or her employment search efforts; or | ||
(iii) report to the Department of Employment Security for job | ||
search services to find employment that will be subject to |
withholding for child support. | ||
If there is a unity of interest and ownership sufficient to | ||
render no
financial separation between a non-custodial parent | ||
and another person or
persons or business entity, the court may | ||
pierce the ownership veil of the
person, persons, or business | ||
entity to discover assets of the non-custodial
parent held in | ||
the name of that person, those persons, or that business | ||
entity.
The following circumstances are sufficient to | ||
authorize a court to order
discovery of the assets of a person, | ||
persons, or business entity and to compel
the application of | ||
any discovered assets toward payment on the judgment for
| ||
support:
| ||
(1) the non-custodial parent and the person, persons, | ||
or business entity
maintain records together.
| ||
(2) the non-custodial parent and the person, persons, | ||
or business entity
fail to maintain an arm's length | ||
relationship between themselves with regard to
any assets.
| ||
(3) the non-custodial parent transfers assets to the | ||
person, persons,
or business entity with the intent to | ||
perpetrate a fraud on the custodial
parent.
| ||
With respect to assets which
are real property, no order | ||
entered under this paragraph shall affect the
rights of bona | ||
fide purchasers, mortgagees, judgment creditors, or other lien
| ||
holders who acquire their interests in the property prior to | ||
the time a notice
of lis pendens pursuant to the Code of Civil | ||
Procedure or a copy of the order
is placed of record in the |
office of the recorder of deeds for the county in
which the | ||
real property is located.
| ||
The court may also order in cases where the parent is 90 | ||
days or more
delinquent in payment of support or has been | ||
adjudicated in arrears in an
amount equal to 90 days obligation | ||
or more, that the parent's Illinois driving
privileges be | ||
suspended until the court
determines that the parent is in | ||
compliance with the order of support.
The court may also order | ||
that the parent be issued a family financial
responsibility | ||
driving permit that would allow limited driving privileges for
| ||
employment and medical purposes in accordance with Section | ||
7-702.1 of the
Illinois Vehicle Code. The clerk of the circuit | ||
court shall certify the order
suspending the driving privileges | ||
of the parent or granting the issuance of a
family financial | ||
responsibility driving permit to the Secretary of State on
| ||
forms prescribed by the Secretary. Upon receipt of the | ||
authenticated
documents, the Secretary of State shall suspend | ||
the parent's driving privileges
until further order of the | ||
court and shall, if ordered by the court, subject to
the | ||
provisions of Section 7-702.1 of the Illinois Vehicle Code, | ||
issue a family
financial responsibility driving permit to the | ||
parent.
| ||
In addition to the penalties or punishment that may be | ||
imposed under this
Section, any person whose conduct | ||
constitutes a violation of Section 15 of the
Non-Support | ||
Punishment Act may be prosecuted under that Act, and a person
|
convicted under that Act may be sentenced in accordance with | ||
that Act. The
sentence may include but need not be limited to a | ||
requirement that the person
perform community service under | ||
Section 50 of that Act or participate in a work
alternative | ||
program under Section 50 of that Act. A person may not be | ||
required
to participate in a work alternative program under | ||
Section 50 of that Act if
the person is currently participating | ||
in a work program pursuant to Section
505.1 of this Act.
| ||
A support obligation, or any portion of a support | ||
obligation, which becomes
due and remains unpaid as of the end | ||
of each month, excluding the child support that was due for | ||
that month to the extent that it was not paid in that month, | ||
shall accrue simple interest as set forth in Section 12-109 of | ||
the Code of Civil Procedure.
An order for support entered or | ||
modified on or after January 1, 2006 shall
contain a statement | ||
that a support obligation required under the order, or any
| ||
portion of a support obligation required under the order, that | ||
becomes due and
remains unpaid as of the end of each month, | ||
excluding the child support that was due for that month to the | ||
extent that it was not paid in that month, shall accrue simple | ||
interest as set forth in Section 12-109 of the Code of Civil | ||
Procedure. Failure to include the statement in the order for | ||
support does
not affect the validity of the order or the | ||
accrual of interest as provided in
this Section.
| ||
(c) A one-time charge of 20% is imposable upon the amount | ||
of
past-due child support owed on July 1, 1988 which has |
accrued under a
support order entered by the court. The charge | ||
shall be imposed in
accordance with the provisions of Section | ||
10-21 of the Illinois Public Aid
Code and shall be enforced by | ||
the court upon petition.
| ||
(d) Any new or existing support order entered by the court
| ||
under this Section shall be deemed to be a series of judgments | ||
against the
person obligated to pay support thereunder, each | ||
such judgment to be in the
amount of each payment or | ||
installment of support and each such judgment to
be deemed | ||
entered as of the date the corresponding payment or installment
| ||
becomes due under the terms of the support order. Each such | ||
judgment shall
have the full force, effect and attributes of | ||
any other judgment of this
State, including the ability to be | ||
enforced.
Notwithstanding any other State or local law to the | ||
contrary, a lien arises by operation of law against the real | ||
and personal property of
the noncustodial parent for each | ||
installment of overdue support owed by the
noncustodial parent.
| ||
(e) When child support is to be paid through the clerk of | ||
the court in a
county of 1,000,000 inhabitants or less, the | ||
order shall direct the obligor
to pay to the clerk, in addition | ||
to the child support payments, all fees
imposed by the county | ||
board under paragraph (3) of subsection (u) of
Section 27.1 of | ||
the Clerks of Courts Act. Unless paid in cash or pursuant to
an | ||
order for withholding, the payment of the fee shall be by a | ||
separate
instrument from the support payment and shall be made | ||
to the order of the
Clerk.
|
(f) All orders for support, when entered or
modified, shall | ||
include a provision requiring the obligor to notify
the court | ||
and, in cases in which a party is receiving child and spouse
| ||
services under Article X of the Illinois Public Aid Code, the
| ||
Department of Healthcare and Family Services, within 7 days, | ||
(i) of the name and address
of any new employer of the obligor, | ||
(ii) whether the obligor has access to
health insurance | ||
coverage through the employer or other group coverage and,
if | ||
so, the policy name and number and the names of persons covered | ||
under
the policy, and (iii) of any new residential or mailing | ||
address or telephone
number of the non-custodial parent. In any | ||
subsequent action to enforce a
support order, upon a sufficient | ||
showing that a diligent effort has been made
to ascertain the | ||
location of the non-custodial parent, service of process or
| ||
provision of notice necessary in the case may be made at the | ||
last known
address of the non-custodial parent in any manner | ||
expressly provided by the
Code of Civil Procedure or this Act, | ||
which service shall be sufficient for
purposes of due process.
| ||
(g) An order for support shall include a date on which the | ||
current
support obligation terminates. The termination date | ||
shall be no earlier than
the date on which the child covered by | ||
the order will attain the age of
18. However, if the child will | ||
not graduate from high school until after
attaining the age of | ||
18, then the termination date shall be no earlier than the
| ||
earlier of the date on which the child's high school graduation | ||
will occur or
the date on which the child will attain the age |
of 19. The order for support
shall state that the termination | ||
date does not apply to any arrearage that may
remain unpaid on | ||
that date. Nothing in this subsection shall be construed to
| ||
prevent the court from modifying the order or terminating the | ||
order in the
event the child is otherwise emancipated.
| ||
(g-5) If there is an unpaid arrearage or delinquency (as | ||
those terms are defined in the Income Withholding for Support | ||
Act) equal to at least one month's support obligation on the | ||
termination date stated in the order for support or, if there | ||
is no termination date stated in the order, on the date the | ||
child attains the age of majority or is otherwise emancipated, | ||
the periodic amount required to be paid for current support of | ||
that child immediately prior to that date shall automatically | ||
continue to be an obligation, not as current support but as | ||
periodic payment toward satisfaction of the unpaid arrearage or | ||
delinquency. That periodic payment shall be in addition to any | ||
periodic payment previously required for satisfaction of the | ||
arrearage or delinquency. The total periodic amount to be paid | ||
toward satisfaction of the arrearage or delinquency may be | ||
enforced and collected by any method provided by law for | ||
enforcement and collection of child support, including but not | ||
limited to income withholding under the Income Withholding for | ||
Support Act. Each order for support entered or modified on or | ||
after the effective date of this amendatory Act of the 93rd | ||
General Assembly must contain a statement notifying the parties | ||
of the requirements of this subsection. Failure to include the |
statement in the order for support does not affect the validity | ||
of the order or the operation of the provisions of this | ||
subsection with regard to the order. This subsection shall not | ||
be construed to prevent or affect the establishment or | ||
modification of an order for support of a minor child or the | ||
establishment or modification of an order for support of a | ||
non-minor child or educational expenses under Section 513 of | ||
this Act.
| ||
(h) An order entered under this Section shall include a | ||
provision requiring
the obligor to report to the obligee and to | ||
the clerk of court within 10 days
each time the obligor obtains | ||
new employment, and each time the obligor's
employment is | ||
terminated for any reason. The report shall be in writing and
| ||
shall, in the case of new employment, include the name and | ||
address of the new
employer. Failure to report new employment | ||
or the termination of current
employment, if coupled with | ||
nonpayment of support for a period in excess of 60
days, is | ||
indirect criminal contempt. For any obligor arrested for | ||
failure to
report new employment bond shall be set in the | ||
amount of the child support that
should have been paid during | ||
the period of unreported employment. An order
entered under | ||
this Section shall also include a provision requiring the | ||
obligor
and obligee parents to advise each other of a change in | ||
residence within 5 days
of the change except when the court | ||
finds that the physical, mental, or
emotional health of a party | ||
or that of a child, or both, would be
seriously endangered by |
disclosure of the party's address.
| ||
(i) The court does not lose the powers of contempt, | ||
driver's license
suspension, or other child support | ||
enforcement mechanisms, including, but
not limited to, | ||
criminal prosecution as set forth in this Act, upon the
| ||
emancipation of the minor child or children.
| ||
(Source: P.A. 96-1134, eff. 7-21-10; 97-186, eff. 7-22-11; | ||
97-608, eff. 1-1-12; 97-813, eff. 7-13-12; 97-878, eff. 8-2-12; | ||
97-941, eff. 1-1-13; 97-1029, eff. 1-1-13; revised 8-23-12.)
| ||
Section 495. The Adoption Act is amended by changing | ||
Section 10 as follows:
| ||
(750 ILCS 50/10) (from Ch. 40, par. 1512)
| ||
Sec. 10. Forms of consent and surrender; execution and
| ||
acknowledgment thereof. | ||
A. The form of consent required for the
adoption of a born | ||
child shall be substantially as follows:
| ||
FINAL AND IRREVOCABLE CONSENT TO ADOPTION
| ||
I, ...., (relationship, e.g., mother, father, relative, | ||
guardian)
of ...., a ..male child, state:
| ||
That such child was born on .... at ....
| ||
That I reside at ...., County of .... and State of ....
| ||
That I am of the age of .... years.
| ||
That I hereby enter my appearance in this proceeding and | ||
waive
service of summons on me.
|
That I hereby acknowledge that I have been provided with a | ||
copy of the Birth Parent Rights and Responsibilities-Private | ||
Form before signing this Consent and that I have had time to | ||
read, or have had read to me, this Form. I understand that if I | ||
do not receive any of the rights as described in this Form, it | ||
shall not constitute a basis to revoke this Final and | ||
Irrevocable Consent. | ||
That I do hereby consent and agree to the adoption of such | ||
child.
| ||
That I wish to and understand that by signing this consent | ||
I do
irrevocably and permanently give up all custody and other | ||
parental
rights I have to such child.
| ||
That I understand such child will be placed for adoption | ||
and that I
cannot under any circumstances, after signing this | ||
document, change my
mind and revoke or cancel this consent or | ||
obtain or recover custody or
any other rights over such child. | ||
That I have read and understand the
above and I am signing it | ||
as my free and voluntary act.
| ||
Dated (insert date).
| ||
.........................
| ||
If under Section 8 the consent of more than one person is | ||
required,
then each such person shall execute a separate | ||
consent.
| ||
A-1. (1) The form of the Final and Irrevocable Consent to | ||
Adoption by a Specified Person or Persons: Non-DCFS Case set |
forth in this subsection A-1 is to be used by legal parents | ||
only. This form is not to be used in cases in which there is a | ||
pending petition under Section 2-13 of the Juvenile Court Act | ||
of 1987. | ||
(2) The form of the Final and Irrevocable Consent to | ||
Adoption by a Specified Person or Persons in a non-DCFS case | ||
shall have the caption of the proceeding in which it is to be | ||
filed and shall be substantially as follows: | ||
FINAL AND IRREVOCABLE CONSENT TO ADOPTION BY | ||
A SPECIFIED PERSON OR PERSONS; NON-DCFS CASE | ||
I, ...., (relationship, e.g., mother, father) of ...., a | ||
..male child, state: | ||
1. That such child was born on ...., at ....., City of ... | ||
and State of .... | ||
2. That I reside at ...., County of .... and State of .... | ||
3. That I am of the age of .... years. | ||
4. That I hereby enter my appearance in this proceeding and | ||
waive service of summons on me. | ||
5. That I hereby acknowledge that I have been provided a | ||
copy of the Birth Parent Rights and Responsibilities-Private | ||
Form before signing this Consent and that I have had time to | ||
read, or have had read to me, this Form and that I understand | ||
the Rights and Responsibilities described in this Form. I | ||
understand that if I do not receive any of my rights as | ||
described in said Form, it shall not constitute a basis to | ||
revoke this Final and Irrevocable Consent to Adoption by a |
Specified Person. | ||
6. That I do hereby consent and agree to the adoption of | ||
such child by .... (specified persons) only. | ||
7. That I wish to and understand that upon signing this | ||
consent I do irrevocably and permanently give up all custody | ||
and other parental rights I have to such child if such child is | ||
adopted by .... (specified person or persons). I hereby | ||
transfer all of my rights to the custody, care and control of | ||
such child to ............................. (specified person | ||
or persons). | ||
8. That I understand such child will be adopted by | ||
....................... (specified person or persons) and that | ||
I cannot under any circumstances, after signing this document, | ||
change my mind and revoke or cancel this consent or obtain or | ||
recover custody or any other rights over such child if | ||
............................ (specified person or persons) | ||
adopt(s) such child; PROVIDED that each specified person has | ||
filed or shall file, within 60 days from the date hereof, a | ||
petition for the adoption of such child. | ||
9. That if the specified person or persons designated | ||
herein do not file a petition for adoption within the | ||
time-frame specified above, or, if said petition for adoption | ||
is filed within the time-frame specified above but the adoption | ||
petition is dismissed with prejudice or the adoption proceeding | ||
is otherwise concluded without an order declaring the child to | ||
be the adopted child of the specified person or persons, then I |
understand that I will receive written notice of such | ||
circumstances within 10 business days of their occurrence. I | ||
understand that the notice will be directed to me using the | ||
contact information I have provided in this consent. I | ||
understand that I will have 10 business days from the date that | ||
the written notice is sent to me to respond, within which time | ||
I may request the Court to declare this consent voidable and | ||
return the child to me. I further understand that the Court | ||
will make the final decision of whether or not the child will | ||
be returned to me. If I do not make such request within 10 | ||
business days of the date of the notice, then I expressly waive | ||
any other notice or service of process in any legal proceeding | ||
for the adoption of the child. | ||
10. That I expressly acknowledge that nothing in this | ||
Consent
impairs the validity and absolute finality of this
| ||
Consent under any circumstance other than those described in
| ||
paragraph 9 of this Consent. | ||
11. That I understand that I have a remaining duty and
| ||
obligation to keep .............. (insert name and address of | ||
the attorney
for the specified person or persons) informed of | ||
my current
address or other preferred contact information until | ||
this adoption has been finalized. My failure to
do so may | ||
result in the termination of my parental rights and
the child | ||
being placed for adoption in another home. | ||
12. That I do expressly waive any other notice or service | ||
of process in any of the legal proceedings for the adoption of |
the child as long as the adoption proceeding by the specified | ||
person or persons is pending. | ||
13. That I have read and understand the above and I am | ||
signing it as my free and voluntary act. | ||
14. That I acknowledge that this consent is valid even if | ||
the specified person or persons separate or divorce or one of | ||
the specified persons dies prior to the entry of the final | ||
judgment for adoption. | ||
Dated (insert date). | ||
............................................. | ||
Signature of parent. | ||
............................................. | ||
Address of parent. | ||
............................................. | ||
Phone number(s) of parent. | ||
............................................. | ||
Personal email(s) of parent. | ||
............................................. | ||
(3) The form of the certificate of acknowledgement for a | ||
Final and Irrevocable Consent for Adoption by a Specified | ||
Person or Persons: Non-DCFS Case shall be substantially as | ||
follows: | ||
STATE OF ..............)
| ||
) SS.
| ||
COUNTY OF .............) |
I, .................... (Name of Judge or other person), | ||
..................... (official title, name, and address), | ||
certify that ............., personally known to me to be the | ||
same person whose name is subscribed to the foregoing Final and | ||
Irrevocable Consent for Adoption by a Specified Person or | ||
Persons; non-DCFS case, appeared before me this day in person | ||
and acknowledged that (she)(he) signed and delivered the | ||
consent as (her)(his) free and voluntary act, for the specified | ||
purpose. I am further satisfied that, before signing this | ||
Consent, ........ has read, or has had read to him or her, the | ||
Birth Parent Rights and Responsibilities-Private Form. | ||
A-2. Birth Parent Rights and Responsibilities-Private | ||
Form. The Birth Parent Rights and Responsibilities-Private | ||
Form must be read by, or have been read to, any person | ||
executing a Final and Irrevocable Consent to Adoption under | ||
subsection A, a Final and Irrevocable Consent to Adoption by a | ||
Specified Person or Persons: Non-DCFS Case under subsection | ||
A-1, or a Consent to Adoption of Unborn Child under subsection | ||
B prior to the execution of said Consent. The form of the Birth | ||
Parent Rights and Responsibilities-Private Form shall be | ||
substantially as follows: | ||
Birth Parent Rights and Responsibilities-Private Form | ||
As a birth parent in the State of Illinois, you have the | ||
right: | ||
1. To have your own attorney represent you. The prospective | ||
adoptive parents may agree to pay for the cost of your attorney |
in a manner consistent with Illinois law, but they are not | ||
required to do so. | ||
2. To be treated with dignity and respect at all times and | ||
to make decisions free from coercion and pressure. | ||
3. To receive counseling before and after signing a Final | ||
and Irrevocable Consent to Adoption ("Consent"), a Final and | ||
Irrevocable Consent to Adoption by a Specified Person or | ||
Persons: Non-DCFS Case ("Specified Consent"), or a Consent to | ||
Adoption of Unborn Child ("Unborn Consent"). The prospective | ||
adoptive parents may agree to pay for the cost of counseling in | ||
a manner consistent with Illinois law, but they are not | ||
required to do so. | ||
4. To ask to be involved in choosing your child's | ||
prospective adoptive parents and to ask to meet them. | ||
5. To ask your child's prospective adoptive parents any | ||
questions that pertain to your decision to place your child | ||
with them. | ||
6. To see your child before signing a Consent or Specified | ||
Consent. | ||
7. To request contact with your child and/or the child's | ||
prospective adoptive parents, with the understanding that any | ||
promises regarding contact with your child or receipt of | ||
information about the child after signing a Consent, Specified | ||
Consent, or Unborn Consent cannot be enforced under Illinois | ||
law. | ||
8. To receive copies of all documents that you sign and |
have those documents provided to you in your preferred | ||
language. | ||
9. To request that your identifying information remain | ||
confidential, unless required otherwise by Illinois law or | ||
court order, and to register with the Illinois Adoption | ||
Registry and Medical Information Exchange. | ||
10. To work with an adoption agency or attorney of your | ||
choice, or change said agency or attorney, provided you | ||
promptly inform all of the parties currently involved. | ||
11. To receive, upon request, a written list of any | ||
promised support, financial or otherwise, from your attorney or | ||
the attorney for your child's prospective adoptive parents. | ||
12. To delay signing a Consent, Specified Consent, or | ||
Unborn Consent if you are not ready to do so. | ||
13. To decline to sign a Consent, Specified Consent, or | ||
Unborn Consent even if you have received financial support from | ||
the prospective adoptive parents. | ||
If you do not receive any of the rights described in this | ||
Form, it shall not be a basis to revoke a Consent, Specified | ||
Consent, or Unborn Consent. | ||
As a Birth Parent in the State of Illinois, you have the | ||
responsibility: | ||
1. To carefully consider your reasons for choosing | ||
adoption. | ||
2. To voluntarily provide all known medical, background, | ||
and family information about yourself and your immediate family |
to your child's prospective adoptive parents or their attorney. | ||
For the health of your child, you are strongly encouraged, but | ||
not required, to provide all known medical, background, and | ||
family history information about yourself and your family to | ||
your child's prospective adoptive parents or their attorney. | ||
3. (Birth mothers only) To accurately complete an Affidavit | ||
of Identification, which identifies the father of the child | ||
when known, with the understanding that a birth mother has a | ||
right to decline to identify the birth father. | ||
4. To not accept financial support or reimbursement of | ||
pregnancy related expenses simultaneously from more than one | ||
source. | ||
B. The form of consent required for the adoption of an | ||
unborn child
shall be substantially as follows:
| ||
CONSENT TO ADOPTION OF UNBORN CHILD
| ||
I, ...., state:
| ||
That I am the father of a child expected to be born on or | ||
about ....
to .... (name of mother).
| ||
That I reside at .... County of ...., and State of .....
| ||
That I am of the age of .... years.
| ||
That I hereby enter my appearance in such adoption | ||
proceeding and
waive service of summons on me.
| ||
That I hereby acknowledge that I have been provided with a | ||
copy of the Birth Parent Rights and Responsibilities-Private | ||
Form before signing this Consent, and that I have had time to | ||
read, or have had read to me, this Form. I understand that if I |
do not receive any of the rights as described in this Form, it | ||
shall not constitute a basis to revoke this Consent to Adoption | ||
of Unborn Child. | ||
That I do hereby consent and agree to the adoption of such | ||
child, and
that I have not previously executed a consent or | ||
surrender with respect
to such child.
| ||
That I wish to and do understand that by signing this | ||
consent I do
irrevocably and permanently give up all custody | ||
and other parental
rights I have to such child, except that I | ||
have the right to revoke this
consent by giving written notice | ||
of my revocation not later than 72
hours after the birth of the | ||
child.
| ||
That I understand such child will be placed for adoption | ||
and that,
except as hereinabove provided, I cannot under any | ||
circumstances, after
signing this document, change my mind and | ||
revoke or cancel this consent
or obtain or recover custody or | ||
any other rights over such child.
| ||
That I have read and understand the above and I am signing | ||
it as my
free and voluntary act.
| ||
Dated (insert date).
| ||
........................
| ||
B-5. (1) The parent of a child may execute a consent to | ||
standby
adoption by a specified person or persons. A consent | ||
under this subsection B-5
shall be acknowledged by a parent | ||
pursuant to subsection H and subsection K of
this Section.
The | ||
form of consent required for the standby adoption of a born |
child
effective at a future date when the consenting
parent of | ||
the child dies or
requests that a final judgment of adoption be | ||
entered shall be substantially as
follows:
| ||
FINAL AND IRREVOCABLE CONSENT
| ||
TO STANDBY ADOPTION
| ||
I, ..., (relationship, e.g. mother or father)
of ...., a | ||
..male child, state:
| ||
That the child was born on .... at .....
| ||
That I reside at ...., County of ...., and State of .....
| ||
That I am of the age of .... years.
| ||
That I hereby enter my appearance in this proceeding and | ||
waive service of
summons on me in this action only.
| ||
That I do hereby consent and
agree to the standby adoption | ||
of the child, and that I have not previously
executed a consent | ||
or surrender with respect to the child.
| ||
That I wish to and understand that by signing this consent | ||
I do irrevocably
and permanently give up all custody and other | ||
parental rights I have to the
child, effective upon
(my death) | ||
(the child's other parent's death) or upon (my) (the other
| ||
parent's) request for the entry of a final judgment for | ||
adoption if .....
(specified person or persons) adopt my child.
| ||
That I understand that until (I die) (the child's other | ||
parent dies), I
retain all legal rights and obligations | ||
concerning the child, but at that time,
I irrevocably give all | ||
custody and other parental rights to .... (specified
person or | ||
persons).
|
I understand my child will be adopted by ....... (specified | ||
person or
persons) only and that I cannot, under any | ||
circumstances, after signing this
document, change my mind and | ||
revoke or cancel this consent or obtain or recover
custody or | ||
any other rights over my child if ..... (specified person or
| ||
persons) adopt my child.
| ||
I understand that this consent to standby adoption is valid | ||
only if the
petition for standby adoption is filed and that if | ||
....... (specified person or
persons), for any reason, cannot | ||
or will not file a petition for standby
adoption or if his, | ||
her, or their petition for standby adoption is denied, then
| ||
this consent is void. I have the right to notice of any other | ||
proceeding that
could affect my parental rights.
| ||
That I have read and understand the above and I am signing | ||
it as my free and
voluntary act.
| ||
Dated (insert date).
| ||
....................
| ||
If under Section 8 the consent of more than one person is | ||
required, then each
such
person shall execute a separate | ||
consent. A separate consent shall be executed
for each
child.
| ||
(2) If the parent consents to a standby adoption by 2 | ||
specified persons,
then the form shall contain 2 additional | ||
paragraphs in substantially the
following form:
| ||
If .... (specified persons) obtain a judgment of
| ||
dissolution of
marriage before the judgment for adoption is |
entered, then .....
(specified person) shall adopt my child. I | ||
understand that I cannot change my
mind and revoke this consent | ||
or obtain or recover custody of my child if .....
(specified | ||
persons) obtain a judgment of dissolution of marriage and .....
| ||
(specified person) adopts my child. I understand that I cannot | ||
change my
mind and revoke this consent if ...... (specified | ||
persons) obtain a
judgment of dissolution of marriage before | ||
the adoption is final. I
understand that this consent to | ||
adoption has no effect on who will get custody
of my child if | ||
..... (specified persons) obtain a judgment of dissolution
of | ||
marriage after the adoption is final. I understand that if | ||
either .....
(specified persons) dies before the petition to | ||
adopt my child is granted, then
the surviving person may adopt | ||
my child. I understand that I cannot change my
mind and revoke | ||
this consent or obtain or recover custody of my child if the
| ||
surviving person adopts my child.
| ||
A consent to standby adoption by specified persons on this | ||
form shall have no
effect on a court's determination of custody | ||
or visitation under the Illinois
Marriage and Dissolution
of | ||
Marriage Act if the marriage of the specified persons is | ||
dissolved before
the adoption is final.
| ||
(3) The form of the certificate of acknowledgement for a | ||
Final and
Irrevocable Consent for Standby Adoption shall be | ||
substantially as follows:
| ||
STATE OF .....)
|
) SS.
| ||
COUNTY OF ....)
| ||
I, ....... (name of Judge or other person) ..... (official | ||
title,
name, and address), certify that ......., personally | ||
known to me to be
the same person whose name is subscribed to | ||
the foregoing Final and Irrevocable
Consent to Standby | ||
Adoption, appeared before me this day in person and
| ||
acknowledged that (she) (he) signed and
delivered the consent | ||
as (her) (his) free and voluntary act, for the specified
| ||
purpose.
| ||
I have fully explained that this consent to adoption is | ||
valid only if the
petition to adopt is filed, and that if the | ||
specified person or persons, for
any reason, cannot or will not | ||
adopt the child or if the adoption petition is
denied, then | ||
this consent will be void. I have fully explained that if the
| ||
specified person or persons adopt the child, by signing this | ||
consent (she) (he)
is irrevocably and permanently | ||
relinquishing all parental rights to the child,
and (she) (he) | ||
has stated that such is (her) (his) intention and desire.
| ||
Dated (insert date).
| ||
Signature ..............................
| ||
(4) If a consent to standby adoption is executed in this | ||
form,
the consent shall be valid only if the specified
person | ||
or persons adopt the child. The consent shall be void if:
| ||
(a) the specified person or persons do not file a petition |
for standby
adoption of the child; or
| ||
(b) a court denies the standby adoption petition.
| ||
The parent shall not need to take further action to revoke | ||
the consent if the
standby adoption by the specified person or | ||
persons does not occur,
notwithstanding the provisions of | ||
Section 11 of this Act.
| ||
C. The form of surrender to any agency given by a parent of | ||
a born
child who is to be subsequently placed for adoption | ||
shall be
substantially as follows and shall contain such other | ||
facts and
statements as the particular agency shall require.
| ||
FINAL AND IRREVOCABLE SURRENDER
| ||
FOR PURPOSES OF ADOPTION
| ||
I, .... (relationship, e.g., mother, father, relative, | ||
guardian) of
...., a ..male child, state:
| ||
That such child was born on ...., at .....
| ||
That I reside at ...., County of ...., and State of .....
| ||
That I am of the age of .... years.
| ||
That I do hereby surrender and entrust the entire custody | ||
and control
of such child to the .... (the "Agency"), a | ||
(public) (licensed) child
welfare agency with its principal | ||
office in the City of ...., County of
.... and State of ...., | ||
for the purpose of enabling it to care for and
supervise the | ||
care of such child, to place such child for adoption and
to | ||
consent to the legal adoption of such child.
| ||
That I hereby grant to the Agency full power and authority | ||
to place
such child with any person or persons it may in its |
sole discretion
select to become the adopting parent or parents | ||
and to consent to the
legal adoption of such child by such | ||
person or persons; and to take any
and all measures which, in | ||
the judgment of the Agency, may be for the
best interests of | ||
such child, including authorizing medical, surgical
and dental | ||
care and treatment including inoculation and anaesthesia for
| ||
such child.
| ||
That I wish to and understand that by signing this | ||
surrender I do
irrevocably and permanently give up all custody | ||
and other parental
rights I have to such child.
| ||
That I understand I cannot under any circumstances, after | ||
signing
this surrender, change my mind and revoke or cancel | ||
this surrender or
obtain or recover custody or any other rights | ||
over such child.
| ||
That I have read and understand the above and I am signing | ||
it as my
free and voluntary act.
| ||
Dated (insert date).
| ||
........................
| ||
C-5. The form of a Final and Irrevocable Designated | ||
Surrender for Purposes of Adoption to any agency given by a | ||
parent of a born child who is to be subsequently placed for | ||
adoption is to be used by legal parents only. The form shall be | ||
substantially as follows and shall contain such other facts and | ||
statements as the particular agency shall require: | ||
FINAL AND IRREVOCABLE DESIGNATED SURRENDER | ||
FOR PURPOSES OF ADOPTION |
I, .... (relationship, e.g., mother, father, relative, | ||
guardian) of ...., a ..male child, state: | ||
1. That such child was born on ...., at ..... | ||
2. That I reside at ...., County of ...., and State of | ||
..... | ||
3. That I am of the age of .... years. | ||
4. That I do hereby surrender and entrust the entire | ||
custody and control of such child to the .... (the "Agency"), a | ||
(public) (licensed) child welfare agency with its principal | ||
office in the City of ...., County of .... and State of ...., | ||
for the purpose of enabling it to care for and supervise the | ||
care of such child, to place such child for adoption with | ||
............................. (specified person or persons) | ||
and to consent to the legal adoption of such child and to take | ||
any and all measures which, in the judgment of the Agency, may | ||
be for the best interests of such child, including authorizing | ||
medical, surgical and dental care and treatment including | ||
inoculation and anesthesia for such child. | ||
5. That I wish to and understand that by signing this | ||
surrender I do irrevocably and permanently give up all custody | ||
and other parental rights I have to such child. | ||
6. That if the petition for adoption is not filed by the
| ||
specified person or persons designated herein or, if the
| ||
petition for adoption is filed but the adoption petition is
| ||
dismissed with prejudice or the adoption proceeding is
| ||
otherwise concluded without an order declaring the child to be
|
the adopted child of each specified person, then I understand | ||
that the Agency will provide notice to me within 10 business | ||
days and that such notice will be directed to me using the | ||
contact information I have provided to the Agency. I understand | ||
that I will have 10 business days from the date that the Agency | ||
sends me its notice to respond, within which time I may choose | ||
to designate other adoptive parent(s). However, I acknowledge | ||
that
the Agency has full power and authority to place the child | ||
for adoption with
any person or persons it may in its sole | ||
discretion select to
become the adopting parent or parents and | ||
to consent to the
legal adoption of the child by such person or | ||
persons. | ||
7. That I acknowledge that this surrender is valid even if | ||
the specified persons separate or divorce or one of the | ||
specified persons dies prior to the entry of the final judgment | ||
for adoption. | ||
8. That I expressly acknowledge that the above paragraphs 6 | ||
and 7 do not impair the validity and absolute finality of this | ||
surrender under any circumstance. | ||
9. That I understand that I have a remaining obligation to | ||
keep the Agency informed of my current contact information | ||
until the adoption of the child has been finalized if I wish to | ||
be notified in the event the adoption by the specified | ||
person(s) cannot proceed. | ||
10. That I understand I cannot under any circumstances, | ||
after signing this surrender, change my mind and revoke or |
cancel this surrender or obtain or recover custody or any other | ||
rights over such child. | ||
11. That I have read and understand the above and I am | ||
signing it as my free and voluntary act. | ||
Dated (insert date). | ||
.............................. | ||
D. The form of surrender to an agency given by a parent of | ||
an unborn
child who is to be subsequently placed for adoption | ||
shall be
substantially as follows and shall contain such other | ||
facts and
statements as the particular agency shall require.
| ||
SURRENDER OF UNBORN CHILD FOR
| ||
PURPOSES OF ADOPTION
| ||
I, .... (father), state:
| ||
That I am the father of a child expected to be born on or | ||
about ....
to .... (name of mother).
| ||
That I reside at ...., County of ...., and State of .....
| ||
That I am of the age of .... years.
| ||
That I do hereby surrender and entrust the entire custody | ||
and control
of such child to the .... (the "Agency"), a | ||
(public) (licensed) child
welfare agency with its principal | ||
office in the City of ...., County of
.... and State of ...., | ||
for the purpose of enabling it to care for and
supervise the | ||
care of such child, to place such child for adoption and
to | ||
consent to the legal adoption of such child, and that I have | ||
not
previously executed a consent or surrender with respect to | ||
such child.
|
That I hereby grant to the Agency full power and authority | ||
to place
such child with any person or persons it may in its | ||
sole discretion
select to become the adopting parent or parents | ||
and to consent to the
legal adoption of such child by such | ||
person or persons; and to take any
and all measures which, in | ||
the judgment of the Agency, may be for the
best interests of | ||
such child, including authorizing medical, surgical
and dental | ||
care and treatment, including inoculation and anaesthesia for
| ||
such child.
| ||
That I wish to and understand that by signing this | ||
surrender I do
irrevocably and permanently give up all custody | ||
and other parental
rights I have to such child.
| ||
That I understand I cannot under any circumstances, after | ||
signing
this surrender, change my mind and revoke or cancel | ||
this surrender or
obtain or recover custody or any other rights | ||
over such child, except
that I have the right to revoke this | ||
surrender by giving written notice
of my revocation not later | ||
than 72 hours after the birth of such child.
| ||
That I have read and understand the above and I am signing | ||
it as my
free and voluntary act.
| ||
Dated (insert date).
| ||
........................
| ||
E. The form of consent required from the parents for the | ||
adoption of
an adult, when such adult elects to obtain such | ||
consent, shall be
substantially as follows:
| ||
CONSENT
|
I, ...., (father) (mother) of ...., an adult, state:
| ||
That I reside at ...., County of .... and State of .....
| ||
That I do hereby consent and agree to the adoption of such | ||
adult by
.... and .....
| ||
Dated (insert date).
| ||
.........................
| ||
F. The form of consent required for the adoption of a child | ||
of the
age of 14 years or over, or of an adult, to be given by | ||
such person,
shall be substantially as follows:
| ||
CONSENT
| ||
I, ...., state:
| ||
That I reside at ...., County of .... and State of ..... | ||
That I am
of the age of .... years. That I hereby enter my | ||
appearance in this proceeding and waive service of summons on | ||
me. That I consent and agree to my adoption by
.... and .....
| ||
Dated (insert date).
| ||
........................
| ||
G. The form of consent given by an agency to the adoption | ||
by
specified persons of a child previously surrendered to it | ||
shall set
forth that the agency has the authority to execute | ||
such consent. The
form of consent given by a guardian of the | ||
person of a child sought to
be adopted, appointed by a court of | ||
competent jurisdiction, shall set
forth the facts of such | ||
appointment and the authority of the guardian to
execute such | ||
consent.
| ||
H. A consent (other than that given by an agency, or |
guardian of the
person of the child sought to be adopted who | ||
was appointed by a court of
competent jurisdiction) shall be | ||
acknowledged by a parent before a judge of a court of competent | ||
jurisdiction or, except as otherwise provided in
this Act, | ||
before a representative of an agency, or before a person, other | ||
than the attorney for the prospective adoptive parent or | ||
parents, designated by a court of competent
jurisdiction.
| ||
I. A surrender, or any other document equivalent to a | ||
surrender, by
which a child is surrendered to an agency shall | ||
be acknowledged by the
person signing such surrender, or other | ||
document, before a judge of a court of competent jurisdiction, | ||
or, except as otherwise provided in this Act, before a | ||
representative of an agency, or before a person designated by a | ||
court
of competent jurisdiction.
| ||
J. The form of the certificate of acknowledgment for a | ||
consent, a
surrender, or any other document equivalent to a | ||
surrender, shall be
substantially as follows:
| ||
STATE OF ....)
| ||
) SS.
| ||
COUNTY OF ...)
| ||
I, .... (Name of judge or other person), .... (official | ||
title, name and
location of court or status or position of | ||
other person),
certify that ...., personally known to me to be | ||
the same person whose
name is subscribed to the foregoing | ||
(consent) (surrender), appeared
before me this day in person | ||
and acknowledged that (she) (he) signed and
delivered such |
(consent) (surrender) as (her) (his) free and voluntary
act, | ||
for the specified purpose.
| ||
I have fully explained that by signing such (consent) | ||
(surrender)
(she) (he) is irrevocably relinquishing all | ||
parental rights to such
child or adult and (she) (he) has | ||
stated that such is (her) (his)
intention and desire. (Add if | ||
Consent only) I am further satisfied that, before signing this | ||
Consent, ........ has read, or has had read to him or her, the | ||
Birth Parent Rights and Responsibilities-Private Form.
| ||
Dated (insert date).
| ||
Signature ...............
| ||
K. When the execution of a consent or a surrender is | ||
acknowledged
before someone other than a judge,
such other | ||
person shall have his or her signature on the certificate
| ||
acknowledged before a notary public, in form substantially as | ||
follows:
| ||
STATE OF ....)
| ||
) SS.
| ||
COUNTY OF ...)
| ||
I, a Notary Public, in and for the County of ......, in the | ||
State of
......, certify that ...., personally known to me to | ||
be the
same person whose name is subscribed to the foregoing | ||
certificate of
acknowledgment, appeared before me in person and | ||
acknowledged that (she)
(he) signed such certificate as (her) | ||
(his) free and voluntary act and
that the statements made in | ||
the certificate are true.
|
Dated (insert date).
| ||
Signature ...................... Notary Public
| ||
(official seal)
| ||
There shall be attached a certificate of magistracy, or | ||
other
comparable proof of office of the notary public | ||
satisfactory to the
court, to a consent signed and acknowledged | ||
in another state.
| ||
L. A surrender or consent executed and acknowledged outside | ||
of this
State, either in accordance with the law of this State | ||
or in accordance
with the law of the place where executed, is | ||
valid.
| ||
M. Where a consent or a surrender is signed in a foreign | ||
country,
the execution of such consent shall be acknowledged or | ||
affirmed in a
manner conformable to the law and procedure of | ||
such country.
| ||
N. If the person signing a consent or surrender is in the | ||
military
service of the United States, the execution of such | ||
consent or surrender
may be acknowledged before a commissioned | ||
officer and the signature of
such officer on such certificate | ||
shall be verified or acknowledged
before a notary public or by | ||
such other procedure as is then in effect
for such division or | ||
branch of the armed forces.
| ||
O. (1) The parent or parents of a child in whose interests | ||
a petition
under Section 2-13 of the Juvenile Court Act of 1987 | ||
is pending may, with the
approval of the designated |
representative of the Department of Children and
Family | ||
Services ("Department" or "DCFS"), execute a consent to | ||
adoption by a specified person or
persons:
| ||
(a) in whose physical custody the child has resided for | ||
at least 6
months;
or
| ||
(b) in whose physical custody at least one sibling of | ||
the child who is the
subject of this consent has resided | ||
for at least 6 months, and
the child who is
the subject of | ||
this consent is currently residing in this foster home; or
| ||
(c) in whose physical custody a child under one year of | ||
age has resided
for at least 3 months.
| ||
The court may waive the time frames in subdivisions (a), | ||
(b), and (c) for good cause shown if the court finds it to be in | ||
the child's best interests. | ||
A consent under this subsection O shall be acknowledged by | ||
a parent pursuant to
subsection H and subsection K of this | ||
Section.
| ||
(2) The final and irrevocable consent to adoption by a | ||
specified person or persons in a Department of Children and | ||
Family Services (DCFS) case shall be substantially
as follows:
| ||
FINAL AND IRREVOCABLE CONSENT TO ADOPTION BY
| ||
A SPECIFIED PERSON OR PERSONS: DCFS CASE
| ||
I, ......................................, the | ||
.................. (mother or
father) of a ....male child, | ||
state:
| ||
1. My child ............................ (name of |
child) was born on
(insert date) at .................... | ||
Hospital in the municipality of ........., in
| ||
................ County, State of ...............
| ||
2. I reside at ......................, County of | ||
............. and
State of .............. | ||
Mail may also be sent to me at this address | ||
............................, in care of ................. | ||
My home telephone number is ...................... | ||
My cell telephone number is ...................... | ||
My e-mail address is .................................
| ||
3. I, ..........................., am .... years old.
| ||
4. I enter my appearance in this action for my child to | ||
be adopted by the
person or persons specified herein by me | ||
and waive service of
summons on me in this action only.
| ||
5. I hereby acknowledge that I have been provided a | ||
copy of the Birth Parent Rights and Responsibilities for | ||
DCFS Cases before signing this Consent and that I have had | ||
time to read this form or have it read to me and that I | ||
understand the rights and responsibilities described in | ||
this form. I understand that if I do not receive any of my | ||
rights as described in the form, it shall not constitute a | ||
basis to revoke this Final and Irrevocable Consent to | ||
Adoption by a Specified Person or Persons. | ||
6. I do hereby consent and agree to the adoption of | ||
such child by .......... (specified person or persons) | ||
only. |
7. I wish to sign this consent and I understand that by | ||
signing this consent I irrevocably and permanently give up | ||
all my parental rights I have to my child. | ||
8. I understand that this consent allows my child to be | ||
adopted by .......... only and that I cannot under any | ||
circumstances after signing this document change my mind | ||
and revoke or cancel this consent. | ||
9. I understand that this consent will be void if: | ||
(a) the Department places my child with someone | ||
other than the specified person or persons; or | ||
(b) a court denies the adoption petition for the | ||
specified person or persons to adopt my child; or | ||
(c) the DCFS Guardianship Administrator refuses to | ||
consent to my child's adoption by the specified person | ||
or persons on the basis that the adoption is not in my | ||
child's best interests. | ||
I understand that if this consent is void I have | ||
parental rights to my child, subject to any applicable | ||
court orders including those entered under Article II of | ||
the Juvenile Court Act of 1987, unless and until I sign a | ||
new consent or surrender or my parental rights are | ||
involuntarily terminated. I understand that if this | ||
consent is void, my child may be adopted by someone other | ||
than the specified person or persons only if I sign a new | ||
consent or surrender, or my parental rights are | ||
involuntarily terminated. I understand that if this |
consent is void, the Department will notify me within 30 | ||
days using the addresses and telephone numbers I provided | ||
in paragraph 2 of this form. I understand that if I receive | ||
such a notice, it is very important that I contact the | ||
Department immediately, and preferably within 30 days, to | ||
have input into the plan for my child's future. | ||
10. I understand that if a petition for adoption of my | ||
child is filed by someone other than the specified person | ||
or persons, the Department will notify me within 14 days | ||
after the Department becomes aware of the petition. The | ||
fact that someone other than the specified person or | ||
persons files a petition to adopt my child does not make | ||
this consent void. | ||
11. If a person other than the specified person or | ||
persons files a petition to adopt my child or if the | ||
consent is void under paragraph 9, the Department will send | ||
written notice to me using the mailing address and email | ||
address provided by me in paragraph 2 of this form. The | ||
Department will also contact me using the telephone numbers | ||
I provided in paragraph 2 of this form. It is very | ||
important that I let the Department know if any of my | ||
contact information changes. If I do not let the Department | ||
know if any of my contact information changes, I understand | ||
that I may not receive notification from the Department if | ||
this consent is void or if someone other than the specified | ||
person or persons files a petition to adopt my child. If |
any of my contact information changes, I should immediately | ||
notify: | ||
Caseworker's name and telephone number: | ||
............................................................; | ||
Agency name, address, zip code, and telephone number: | ||
............................................................; | ||
Supervisor's name and telephone number: | ||
............................................................; | ||
DCFS Advocacy Office for Children and Families: | ||
800-232-3798. | ||
12. I expressly acknowledge that paragraph 9 (and | ||
paragraphs 8a and 8b, if applicable) do not impair the | ||
validity and finality of this consent under any | ||
circumstances.
| ||
13. I have read and understand the above and I am | ||
signing it as my free
and voluntary act.
| ||
Dated (insert date).
| ||
.............................................
| ||
Signature of parent
| ||
(3) If the parent consents to an adoption by 2 specified | ||
persons, then the
form shall contain 2 additional paragraphs in | ||
substantially the following form:
| ||
8a. If ............... (specified persons) get a | ||
divorce
or are granted a dissolution of a civil union | ||
before the petition to adopt my child is granted, this | ||
consent is valid for ........... (specified person) to |
adopt my child. I understand that I cannot change my mind | ||
or revoke this consent or recover custody of my child on | ||
the basis that the specified persons divorce or are granted | ||
a dissolution of a civil union.
| ||
8b. I understand that if either ...............
| ||
(specified persons) dies before the petition to adopt
my | ||
child is granted, this consent remains valid for the | ||
surviving person to adopt my child. I understand that I | ||
cannot change my mind or revoke this consent or recover | ||
custody of my child on the basis that one of the specified | ||
persons dies.
| ||
(4) The form of the certificate of acknowledgement for a | ||
Final and
Irrevocable Consent for Adoption by a Specified | ||
Person or Persons: DCFS Case shall be
substantially as follows:
| ||
STATE OF ..............)
| ||
) SS.
| ||
COUNTY OF .............)
| ||
I, .................... (Name of Judge or other person),
| ||
..................... (official title, name, and address),
| ||
certify that ............., personally known to me to be the | ||
same person whose
name is subscribed to the foregoing Final and | ||
Irrevocable Consent for Adoption
by a Specified Person or | ||
Persons: DCFS Case, appeared before me this day
in person and | ||
acknowledged that (she)(he) signed and delivered the consent as
|
(her)(his) free and voluntary act, for the specified purpose.
| ||
I have fully explained that by signing this consent this | ||
parent is irrevocably
and permanently
relinquishing all | ||
parental rights to the child so that the child may be adopted | ||
by a specified person or persons, and this parent has stated | ||
that
such is (her)(his) intention and desire. I have fully | ||
explained that this consent is void only if:
| ||
(a) the placement is disrupted and the child is moved | ||
to a different placement; or | ||
(b) a court denies the petition for adoption; or | ||
(c) the Department of Children and Family Services | ||
Guardianship Administrator refuses to consent to the | ||
child's adoption by a specified person or persons on the | ||
basis that the adoption is not in the child's best | ||
interests. | ||
Dated (insert date).
| ||
...............................
| ||
Signature
| ||
(5) If a consent to adoption by a specified person or | ||
persons is executed in
this form, the following provisions | ||
shall apply. The consent shall be valid
only for the specified | ||
person or persons to adopt the child. The consent shall be void
| ||
if:
| ||
(a) the placement disrupts and the child is moved to | ||
another placement; or
| ||
(b) a court denies the petition for adoption; or
|
(c) the Department of Children and Family Services | ||
Guardianship
Administrator refuses to consent to the | ||
child's adoption by the specified person or persons on the | ||
basis that the adoption is not in the child's best | ||
interests.
| ||
If the consent is void under this Section, the parent shall | ||
not need to take further action to revoke the consent. No | ||
proceeding for termination of parental rights shall be brought | ||
unless the parent who executed the consent to adoption by a | ||
specified person or persons has been notified of the | ||
proceedings pursuant to Section 7 of this Act or subsection (4) | ||
of Section 2-13 of the Juvenile Court Act of 1987.
| ||
(6) The Department of Children and Family Services is | ||
authorized
to promulgate rules necessary to implement this | ||
subsection O.
| ||
(7) (Blank).
| ||
(8) The Department of Children and Family Services shall | ||
promulgate a rule and procedures regarding Consents to Adoption | ||
by a Specified Person or Persons in DCFS cases. The rule and | ||
procedures shall provide for the development of the Birth | ||
Parent Rights and Responsibilities Form for DCFS
Cases. | ||
(9) A consent to adoption by specified persons on this
| ||
consent form shall have no effect on a court's determination of
| ||
custody or visitation under the Illinois Marriage and
| ||
Dissolution of Marriage Act or the Illinois Religious Freedom
| ||
Protection and Civil Union Act if the marriage or civil union |
of the
specified persons is dissolved after the adoption is | ||
final. | ||
P. If the person signing a consent is incarcerated or | ||
detained in a correctional facility, prison, jail, detention | ||
center, or other comparable institution, either in this State | ||
or any other jurisdiction, the execution of such consent may be | ||
acknowledged before social service personnel of such | ||
institution, or before a person designated by a court of | ||
competent jurisdiction. | ||
Q. A consent may be acknowledged telephonically, via | ||
audiovisual connection, or other electronic means, provided | ||
that a court of competent jurisdiction has entered an order | ||
approving the execution of the consent in such manner and has | ||
designated an individual to be physically present with the | ||
parent executing such consent in order to verify the identity | ||
of the parent. | ||
R. An agency whose representative is acknowledging a | ||
consent pursuant to this Section shall be a public child | ||
welfare agency, or a child welfare agency, or a child placing | ||
agency that is authorized or licensed in the State or | ||
jurisdiction in which the consent is signed. | ||
S. The form of waiver by a putative or legal father of a | ||
born or unborn child shall be substantially as follows: | ||
FINAL AND IRREVOCABLE | ||
WAIVER OF PARENTAL RIGHTS OF PUTATIVE OR LEGAL FATHER |
I, .................... , state under oath or affirm as | ||
follows: | ||
1. That the biological mother ............... has | ||
named me as a possible biological or
legal father of her | ||
minor child who was born, or is expected to be born on
| ||
..........., ......, in the City/Town of........., State | ||
of ........... | ||
2. That I understand that the biological mother | ||
............. intends to or has placed the child
for | ||
adoption. | ||
3. That I reside at ................, in the City/Town | ||
of...........,
State of ................ | ||
4. That I am ................ years of age and my date | ||
of birth is ..............., ............. | ||
5. That I (select one): | ||
..... am married to the biological mother. | ||
..... am not married to the biological mother and | ||
have not been married to the biological
mother within | ||
300 days before the child's birth or expected date of | ||
child's birth. | ||
..... am not currently married to the biological | ||
mother, but was married to the biological
mother, | ||
within 300 days before the child's birth or expected | ||
date of child's birth. | ||
6. That I (select one): |
..... neither admit nor deny that I am the | ||
biological father of the child. | ||
..... deny that I am the biological father of the | ||
child. | ||
7. That I hereby agree to the termination of my | ||
parental rights, if any, without further notice to me
of | ||
any proceeding for the adoption of the minor child, even if | ||
I have taken any action to establish
parental rights or | ||
take any such action in the future including registering | ||
with any putative father
registry. | ||
8. That I understand that by signing this Waiver I do | ||
irrevocably and permanently give up all
custody and other | ||
parental rights I may have to such child. | ||
9. That I understand that this Waiver is FINAL AND | ||
IRREVOCABLE and that I am permanently
barred from | ||
contesting any proceeding for the adoption of the child | ||
after I sign this Waiver. | ||
10. That I waive any further service of summons or | ||
other pleadings in any proceeding to terminate
parental | ||
rights, if any to this child, or any proceeding for | ||
adoption of this child. | ||
11. That I understand that if a final judgment or order | ||
of adoption for this child is not entered, then
any | ||
parental rights or responsibilities that I may have remain | ||
intact. | ||
12. That I have read and understand the above and that |
I am signing it as my free and voluntary act. | ||
Dated: ................... , .............. | ||
........................................... | ||
Signature | ||
OATH | ||
I have been duly sworn and I state under oath that I have read | ||
and understood this Final and Irrevocable
Waiver of Parental | ||
Rights of Putative or Legal Father. The facts contained in it | ||
are true and correct to the
best of my knowledge. I have signed | ||
this document as my free and voluntary act in order to | ||
facilitate the
adoption of the child. | ||
.............................. | ||
Signature | ||
Signed and Sworn before me on | ||
this ............ day | ||
of ..........., 20.... | ||
................... | ||
Notary Public | ||
(Source: P.A. 96-601, eff. 8-21-09; 96-1461, eff. 1-1-11; | ||
97-493, eff. 8-22-11; 97-988, eff. 1-1-13; 97-1063, eff. | ||
1-1-13; revised 9-20-12.)
|
Section 500. The Disposition of Remains Act is amended by | ||
changing Section 5 as follows: | ||
(755 ILCS 65/5)
| ||
Sec. 5. Right to control disposition; priority. Unless a | ||
decedent has left directions in writing for the disposition or | ||
designated an agent to direct the disposition of the decedent's | ||
remains as provided in Section 65 of the Crematory Regulation | ||
Act or in subsection (a) of Section 40 of this Act, the | ||
following persons, in the priority listed, have the right to | ||
control the disposition, including cremation, of the | ||
decedent's remains and are liable for the reasonable costs of | ||
the disposition: | ||
(1) the person designated in a written instrument that | ||
satisfies the provisions of Sections 10 and 15 of this Act;
| ||
(2) any person serving as executor or legal | ||
representative of the decedent's estate and acting | ||
according to the decedent's written instructions contained | ||
in the decedent's will;
| ||
(3) the individual who was the spouse of the decedent | ||
at the time of the decedent's death;
| ||
(4) the sole surviving competent adult child of the | ||
decedent, or if there is more than one surviving competent | ||
adult child of the decedent, the majority of the surviving | ||
competent adult children; however, less than one-half of |
the surviving adult children shall be vested with the | ||
rights and duties of this Section if they have used | ||
reasonable efforts to notify all other surviving competent | ||
adult children of their instructions and are not aware of | ||
any opposition to those instructions on the part of more | ||
than one-half of all surviving competent adult children;
| ||
(5) the surviving competent parents of the decedent; if | ||
one of the surviving competent parents is absent, the | ||
remaining competent parent shall be vested with the rights | ||
and duties of this Act after reasonable efforts have been | ||
unsuccessful in locating the absent surviving competent | ||
parent;
| ||
(6) the surviving competent adult person or persons | ||
respectively in the next degrees of kindred or, if there is | ||
more than one surviving competent adult person of the same | ||
degree of kindred, the majority of those persons; less than | ||
the majority of surviving competent adult persons of the | ||
same degree of kindred shall be vested with the rights and | ||
duties of this Act if those persons have used reasonable | ||
efforts to notify all other surviving competent adult | ||
persons of the same degree of kindred of their instructions | ||
and are not aware of any opposition to those instructions | ||
on the part of one-half or more of all surviving competent | ||
adult persons of the same degree of kindred;
| ||
(7) in the case of indigents or any other individuals | ||
whose final disposition is the responsibility of the State |
or any of its instrumentalities, a public administrator, | ||
medical examiner, coroner, State appointed guardian, or | ||
any other public official charged with arranging the final | ||
disposition of the decedent;
| ||
(8) in the case of individuals who have donated their | ||
bodies to science, or whose death occurred in a nursing | ||
home or other private institution, who have executed | ||
cremation authorization forms under Section 65 of the | ||
Crematory Regulation Act and the institution is charged | ||
with making arrangements for the final disposition of the | ||
decedent, a representative of the institution; or
| ||
(9) any other person or organization that is willing to | ||
assume legal and financial responsibility.
| ||
As used in Section, "adult" means any individual who has | ||
reached his or her eighteenth birthday.
| ||
Notwithstanding provisions to the contrary, in the case of | ||
decedents who die while serving as members of the United States | ||
Armed Forces, the Illinois National Guard, or the United States | ||
Reserve Reserved Forces, as defined in Section 1481 of Title 10 | ||
of the United States Code, and who have executed the required | ||
U.S. Department of Defense Record of Emergency Data Form (DD | ||
Form 93), or successor form, the person designated in such form | ||
to direct disposition of the decedent's remains shall have the | ||
right to control the disposition, including cremation, of the | ||
decedent's remains. | ||
(Source: P.A. 96-1243, eff. 7-23-10; 97-333, eff. 8-12-11; |
revised 8-3-12.) | ||
Section 505. The Residential Real Property Disclosure Act | ||
is amended by changing Section 78 as follows: | ||
(765 ILCS 77/78)
| ||
Sec. 78. Exemption. Borrowers applying for reverse | ||
mortgage financing of residential real estate including under | ||
programs regulated by the Federal Housing Administration | ||
Authority (FHA) that require HUD-certified counseling are | ||
exempt from the program and may submit a HUD counseling | ||
certificate to comply with the program.
| ||
(Source: P.A. 95-691, eff. 6-1-08; revised 8-3-12.) | ||
Section 510. The Land Sales Registration Act of 1999 is | ||
amended by changing Section 20-25 as follows:
| ||
(765 ILCS 86/20-25)
| ||
(Section scheduled to be repealed on January 1, 2020)
| ||
Sec. 20-25. Real Estate License Administration Fund. All | ||
fees
collected for registration and for civil penalties | ||
pursuant to this Act and
administrative rules adopted under | ||
this Act shall be deposited into the Real
Estate License | ||
Administration Fund. The moneys deposited in the Real Estate | ||
License
Administration License Fund shall be appropriated to | ||
the Department for expenses for the administration and |
enforcement of this
Act.
| ||
(Source: P.A. 96-855, eff. 12-31-09; revised 10-18-12.)
| ||
Section 515. The Condominium Property Act is amended by | ||
changing Section 22.2 as follows: | ||
(765 ILCS 605/22.2) | ||
Sec. 22.2. Resale approval. In the event of a sale of a | ||
condominium unit by a unit owner, no condominium association | ||
shall exercise any right of refusal, option to purchase, or | ||
right to disapprove the sale, on the basis that the purchaser's | ||
financing is guaranteed by the Federal Housing Administration | ||
Authority .
| ||
(Source: P.A. 96-228, eff. 1-1-10; revised 8-3-12.) | ||
Section 520. The Health Care Services Lien Act is amended | ||
by changing Section 30 as follows:
| ||
(770 ILCS 23/30)
| ||
Sec. 30. Adjudication of rights. On petition filed by the | ||
injured person
or
the
health care professional or health care | ||
provider and on the petitioner's
written notice to all
| ||
interested adverse parties, the circuit court shall adjudicate | ||
the rights of
all interested
parties and enforce their liens. A | ||
lien created under the Crime Victims Compensation Act may be | ||
reduced only by the Court of Claims.
|
A petition filed under this Section may be served upon the | ||
interested adverse parties by personal service, substitute | ||
service, or registered or certified mail. | ||
(Source: P.A. 97-817, eff. 1-1-13; 97-1042, eff. 1-1-13; | ||
revised 8-23-12.)
| ||
Section 525. The Illinois Development Credit Corporation | ||
Act is amended by changing Section 6.1 as follows:
| ||
(805 ILCS 35/6.1)
| ||
Sec. 6.1.
All moneys received by the Department of | ||
Financial Institutions
under this Act shall be deposited in the | ||
Financial Institution Institutions Fund created
under Section | ||
6z-26 of the State Finance Act.
| ||
(Source: P.A. 88-13; revised 10-18-12.)
| ||
Section 530. The
Uniform Limited Partnership Act (2001) is | ||
amended by changing Sections 117 and 1308 as follows: | ||
(805 ILCS 215/117)
| ||
Sec. 117. Service of process. | ||
(a) An agent for service of process appointed by a limited | ||
partnership or foreign limited partnership is an agent of the | ||
limited partnership or foreign limited partnership for service | ||
of any process, notice, or demand required or permitted by law | ||
to be served upon the limited partnership or foreign limited |
partnership. | ||
(b) If a limited partnership or foreign limited partnership | ||
does not appoint or maintain an agent for service of process in | ||
this State or the agent for service of process cannot with | ||
reasonable diligence be found at the agent's address, the | ||
Secretary of State is an agent of the limited partnership or | ||
foreign limited partnership upon whom process, notice, or | ||
demand may be served. | ||
(c) Service under subsection (b) shall be made by the | ||
person instituting the action by doing all of the following: | ||
(1) serving upon the Secretary of State, or upon any | ||
employee having responsibility for administering this Act, | ||
a copy of the process, notice, or demand, together with any | ||
papers required by law to be delivered in connection with | ||
service and paying the fee prescribed by Section 1302 of | ||
this Act; | ||
(2) transmitting notice of the service upon the | ||
Secretary of State and a copy of the process, notice, or | ||
demand and accompanying papers to the limited partnership | ||
being served, by registered or certified mail: | ||
(A) at the last address of the agent for service of | ||
process for the limited partnership or foreign limited | ||
partnership shown by the records on file in the Office | ||
of the Secretary of State; and | ||
(B) at the address the use of which the person | ||
instituting the action, suit, or proceeding knows or, |
on the basis of reasonable inquiry, has reason to | ||
believe, is most likely to result in actual notice ; . | ||
(3) attaching an affidavit of compliance with this | ||
Section, in substantially the form that the Secretary of | ||
State may by rule or regulation prescribe, to the process, | ||
notice, or demand. | ||
(d) Service is effected under subsection (c) at the | ||
earliest of: | ||
(1) the date the limited partnership or foreign limited | ||
partnership receives the process, notice, or demand; | ||
(2) the date shown on the return receipt, if signed on | ||
behalf of the limited partnership or foreign limited | ||
partnership; or | ||
(3) five days after the process, notice, or demand is | ||
deposited in the mail, if mailed postpaid and correctly | ||
addressed. | ||
(e) The Secretary of State shall keep a record of each | ||
process, notice, and demand served pursuant to this Section and | ||
record the time of, and the action taken regarding, the | ||
service. | ||
(f) This Section does not affect the right to serve | ||
process, notice, or demand in any other manner provided by law.
| ||
(Source: P.A. 97-839, eff. 7-20-12; revised 8-3-12.) | ||
(805 ILCS 215/1308)
| ||
Sec. 1308. Department of Business Services Special |
Operations Fund. | ||
(a) A special fund in the State Treasury is created and | ||
shall be known as the Department of Business Services Special | ||
Operations Fund. Moneys deposited into the Fund shall, subject | ||
to appropriation, be used by the Department of Business | ||
Services of the Office of the Secretary of State, hereinafter | ||
"Department", to create and maintain the capability to perform | ||
expedited services in response to special requests made by the | ||
public for same day or 24 hour service. Moneys deposited into | ||
the Fund shall be used for, but not limited to, expenditures | ||
for personal services, retirement, Social Security, | ||
contractual services, equipment, electronic data processing, | ||
and telecommunications. | ||
(b) The balance in the Fund at the end of any fiscal year | ||
shall not exceed $600,000 and any amount in excess thereof | ||
shall be transferred to the General Revenue Fund. | ||
(c) All fees payable to the Secretary of State under this | ||
Section shall be deposited into the Fund. No other fees or | ||
charges collected under this Act shall be deposited into the | ||
Fund. | ||
(d) "Expedited services" means services rendered within | ||
the same day, or within 24 hours from the time the request | ||
therefor is submitted by the filer, law firm, service company, | ||
or messenger physically in person or, at the Secretary of | ||
State's discretion, by electronic means, to the Department's | ||
Springfield Office or Chicago Office and includes requests for |
certified copies, photocopies, and certificates of existence | ||
or abstracts of computer record made to the Department's | ||
Springfield Office in person or by telephone, or requests for | ||
certificates of existence or abstracts of computer record made | ||
in person or by telephone to the Department's Chicago Office. | ||
(e) Fees for expedited services shall be as follows: | ||
Merger or conversion, $200; | ||
Certificate of limited partnership, $100; | ||
Certificate of amendment, $100; | ||
Reinstatement, $100; | ||
Application for admission to transact business, $100; | ||
Certificate of existence or abstract of computer | ||
record, $20 ; . | ||
All other filings, copies of documents, annual renewal | ||
reports, and copies of documents of canceled limited | ||
partnerships, $50.
| ||
(Source: P.A. 97-839, eff. 7-20-12; revised 8-3-12.) | ||
Section 535. The Uniform Commercial Code is amended by | ||
changing Section 9-516 as follows:
| ||
(810 ILCS 5/9-516)
| ||
(Text of Section before amendment by P.A. 97-1034 ) | ||
Sec. 9-516. What constitutes filing; effectiveness of | ||
filing.
| ||
(a) What constitutes filing. Except as otherwise provided |
in
subsection (b), communication of a record to a filing office | ||
and tender of the
filing
fee or acceptance of the record by the | ||
filing office constitutes filing.
| ||
(b) Refusal to accept record; filing does not occur. Filing | ||
does
not occur with respect to a record that a filing office | ||
refuses to accept
because:
| ||
(1) the record is not communicated by a method or | ||
medium
of communication authorized by the filing office;
| ||
(2) an amount equal to or greater than the applicable | ||
filing
fee is not tendered;
| ||
(3) the filing office is unable to index the record | ||
because:
| ||
(A) in the case of an initial financing statement, | ||
the
record does not provide a name for the debtor;
| ||
(B) in the case of an amendment or correction
| ||
statement, the record:
| ||
(i) does not identify the initial financing
| ||
statement as required by Section 9-512 or 9-518, as | ||
applicable;
| ||
(ii) identifies an initial financing statement
| ||
whose effectiveness has lapsed under Section | ||
9-515; or
| ||
(iii) identifies an initial financing | ||
statement which was terminated pursuant to Section | ||
9-501.1;
| ||
(C) in the case of an initial financing statement |
that
provides the name of a debtor identified as an | ||
individual or an amendment that
provides a name of a | ||
debtor identified as an individual which was not | ||
previously
provided in the financing statement to | ||
which the record relates, the record does not
identify | ||
the debtor's last name;
| ||
(D) in the case of a record filed or recorded in | ||
the
filing office described in Section 9-501(a)(1), | ||
the record does not provide a
sufficient description of | ||
the real property to which it relates; or
| ||
(E) in the case of a record submitted to the filing | ||
office described in Section 9-501(a)(1), the filing | ||
office has reason to believe, from information | ||
contained in the record or from the person that | ||
communicated the record to the office, that: (i) if the | ||
record indicates that the debtor is a transmitting | ||
utility, the debtor does not meet the definition of a | ||
transmitting utility as described in Section | ||
9-102(a)(81); (ii) if the record indicates that the | ||
transaction relating to the record is a | ||
manufactured-home transaction, the transaction does | ||
not meet the definition of a manufactured-home | ||
transaction as described in Section 9-102(a)(54); or | ||
(iii) if the record indicates that the transaction | ||
relating to the record is a public-finance | ||
transaction, the transaction does not meet the |
definition of a public-finance transaction as | ||
described in Section 9-102(a)(67); | ||
(3.5) in the case of an initial financing statement or | ||
an amendment, if the filing office believes in good faith | ||
that the record was communicated to the filing office in | ||
violation of Section 9-501.1(a);
| ||
(4) in the case of an initial financing statement or an
| ||
amendment that adds a secured party of record, the record | ||
does not provide a
name
and mailing address for the secured | ||
party of record;
| ||
(5) in the case of an initial financing statement or an
| ||
amendment that provides a name of a debtor which was not | ||
previously provided in
the financing statement to which the | ||
amendment relates, the record does not:
| ||
(A) provide a mailing address for the debtor;
| ||
(B) indicate whether the debtor is an individual or | ||
an
organization; or
| ||
(C) if the financing statement indicates that the
| ||
debtor is an organization, provide:
| ||
(i) a type of organization for the debtor;
| ||
(ii) a jurisdiction of organization for the
| ||
debtor; or
| ||
(iii) an organizational identification number
| ||
for the debtor or indicate that the debtor has | ||
none;
| ||
(6) in the case of an assignment reflected in an |
initial
financing statement under Section 9-514(a) or an | ||
amendment filed under Section
9-514(b), the record does not | ||
provide a name and mailing address for the assignee;
or
| ||
(7) in the case of a continuation statement, the record | ||
is not
filed within the six-month period prescribed by | ||
Section 9-515(d).
| ||
(c) Rules applicable to subsection (b). For purposes of | ||
subsection
(b):
| ||
(1) a record does not provide information if the filing | ||
office
is unable to read or decipher the information; and
| ||
(2) a record that does not indicate that it is an | ||
amendment or
identify an initial financing statement to | ||
which it relates, as required by
Section
9-512, 9-514, or | ||
9-518, is an initial financing statement.
| ||
(d) Refusal to accept record; record effective as filed | ||
record. A
record that is communicated to the filing office with | ||
tender of the filing fee,
but
which the filing office refuses | ||
to accept for a reason other than one set forth
in
subsection | ||
(b), is effective as a filed record except as against a | ||
purchaser of
the
collateral which gives value in reasonable | ||
reliance upon the absence of the
record
from the files.
| ||
(e) The Secretary of State may refuse to accept a record | ||
for filing under subdivision (b)(3)(E) or (b)(3.5) only if the | ||
refusal is approved by the Department of Business Services of | ||
the Secretary of State and the General Counsel to the Secretary | ||
of State.
|
(Source: P.A. 97-836, eff. 7-20-12.)
| ||
(Text of Section after amendment by P.A. 97-1034 ) | ||
Sec. 9-516. What constitutes filing; effectiveness of | ||
filing.
| ||
(a) What constitutes filing. Except as otherwise provided | ||
in
subsection (b), communication of a record to a filing office | ||
and tender of the
filing
fee or acceptance of the record by the | ||
filing office constitutes filing.
| ||
(b) Refusal to accept record; filing does not occur. Filing | ||
does
not occur with respect to a record that a filing office | ||
refuses to accept
because:
| ||
(1) the record is not communicated by a method or | ||
medium
of communication authorized by the filing office;
| ||
(2) an amount equal to or greater than the applicable | ||
filing
fee is not tendered;
| ||
(3) the filing office is unable to index the record | ||
because:
| ||
(A) in the case of an initial financing statement, | ||
the
record does not provide a name for the debtor;
| ||
(B) in the case of an amendment or information
| ||
statement, the record:
| ||
(i) does not identify the initial financing
| ||
statement as required by Section 9-512 or 9-518, as | ||
applicable;
| ||
(ii) identifies an initial financing statement
|
whose effectiveness has lapsed under Section | ||
9-515; or
| ||
(iii) identifies an initial financing | ||
statement which was terminated pursuant to Section | ||
9-501.1;
| ||
(C) in the case of an initial financing statement | ||
that
provides the name of a debtor identified as an | ||
individual or an amendment that
provides a name of a | ||
debtor identified as an individual which was not | ||
previously
provided in the financing statement to | ||
which the record relates, the record does not
identify | ||
the debtor's surname;
| ||
(D) in the case of a record filed or recorded in | ||
the
filing office described in Section 9-501(a)(1), | ||
the record does not provide a
sufficient description of | ||
the real property to which it relates; or
| ||
(E) in the case of a record submitted to the filing | ||
office described in Section 9-501(a)(1), the filing | ||
office has reason to believe, from information | ||
contained in the record or from the person that | ||
communicated the record to the office, that: (i) if the | ||
record indicates that the debtor is a transmitting | ||
utility, the debtor does not meet the definition of a | ||
transmitting utility as described in Section | ||
9-102(a)(81); (ii) if the record indicates that the | ||
transaction relating to the record is a |
manufactured-home transaction, the transaction does | ||
not meet the definition of a manufactured-home | ||
transaction as described in Section 9-102(a)(54); or | ||
(iii) if the record indicates that the transaction | ||
relating to the record is a public-finance | ||
transaction, the transaction does not meet the | ||
definition of a public-finance transaction as | ||
described in Section 9-102(a)(67); | ||
(3.5) in the case of an initial financing statement or | ||
an amendment, if the filing office believes in good faith | ||
that the record was communicated to the filing office in | ||
violation of Section 9-501.1(a);
| ||
(4) in the case of an initial financing statement or an
| ||
amendment that adds a secured party of record, the record | ||
does not provide a
name
and mailing address for the secured | ||
party of record;
| ||
(5) in the case of an initial financing statement or an
| ||
amendment that provides a name of a debtor which was not | ||
previously provided in
the financing statement to which the | ||
amendment relates, the record does not:
| ||
(A) provide a mailing address for the debtor; or
| ||
(B) indicate whether the name provided as the name | ||
of the debtor is the name of an individual or an
| ||
organization;
| ||
(6) in the case of an assignment reflected in an | ||
initial
financing statement under Section 9-514(a) or an |
amendment filed under Section
9-514(b), the record does not | ||
provide a name and mailing address for the assignee;
or
| ||
(7) in the case of a continuation statement, the record | ||
is not
filed within the six-month period prescribed by | ||
Section 9-515(d).
| ||
(c) Rules applicable to subsection (b). For purposes of | ||
subsection
(b):
| ||
(1) a record does not provide information if the filing | ||
office
is unable to read or decipher the information; and
| ||
(2) a record that does not indicate that it is an | ||
amendment or
identify an initial financing statement to | ||
which it relates, as required by
Section
9-512, 9-514, or | ||
9-518, is an initial financing statement.
| ||
(d) Refusal to accept record; record effective as filed | ||
record. A
record that is communicated to the filing office with | ||
tender of the filing fee,
but
which the filing office refuses | ||
to accept for a reason other than one set forth
in
subsection | ||
(b), is effective as a filed record except as against a | ||
purchaser of
the
collateral which gives value in reasonable | ||
reliance upon the absence of the
record
from the files.
| ||
(e) The Secretary of State may refuse to accept a record | ||
for filing under subdivision (b)(3)(E) or (b)(3.5) only if the | ||
refusal is approved by the Department of Business Services of | ||
the Secretary of State and the General Counsel to the Secretary | ||
of State.
| ||
(Source: P.A. 97-836, eff. 7-20-12; 97-1034, eff. 7-1-13; |
revised 9-11-12.) | ||
Section 540. The Recyclable Metal Purchase Registration | ||
Law is amended by changing Section 3 as follows:
| ||
(815 ILCS 325/3) (from Ch. 121 1/2, par. 323)
| ||
Sec. 3. Records of purchases. Except as provided in Section | ||
5 of this Act every recyclable metal dealer in this
State shall | ||
enter into an electronic record-keeping system for each
| ||
purchase of recyclable metal or recyclable metal containing | ||
copper the following
information:
| ||
1. The name and address of the recyclable metal dealer;
| ||
2. The date and place of each purchase;
| ||
3. The name and address of the person or persons from | ||
whom the recyclable metal was
purchased, which shall be | ||
verified from a valid driver's license or other | ||
government-issued photo identification. The recyclable | ||
metal dealer shall make and record a photocopy or | ||
electronic scan of the driver's license or other | ||
government-issued photo identification. If the person | ||
delivering the recyclable metal does not have a valid | ||
driver's license or other government-issued photo | ||
identification, the recyclable metal dealer shall not | ||
complete the transaction;
| ||
4. The motor vehicle license number and state of | ||
issuance of the motor vehicle license number of the vehicle |
or conveyance on
which the recyclable metal was delivered | ||
to the recyclable metal dealer;
| ||
5. A description of the recyclable metal purchased, | ||
including the weight and
whether it consists of bars, | ||
cable, ingots, rods, tubing, wire, wire
scraps, clamps, | ||
connectors, other appurtenances, or some combination
| ||
thereof;
| ||
6. Photographs or video, or both, of the seller and of | ||
the materials as presented on the scale; and | ||
7. A declaration signed and dated by the person or | ||
persons from whom the recyclable metal was purchased which | ||
states the following: | ||
"I, the undersigned, affirm under penalty of law | ||
that the property that is subject to this transaction | ||
is not to the best of my knowledge stolen property.". | ||
A copy of the recorded information shall be kept in an | ||
electronic record-keeping system by the recyclable metal | ||
dealer. Purchase records shall be retained for a period of 3 | ||
years. Photographs shall be retained for a period of 3 months | ||
and video recordings shall be retained for a period of one | ||
month. The electronic record-keeping system shall be made | ||
available for inspection by any
law enforcement official or the | ||
representatives of common carriers and
persons, firms, | ||
corporations or municipal corporations engaged in either
the | ||
generation, transmission or distribution of electric energy or | ||
engaged
in telephone, telegraph or other communications, at any |
time.
| ||
(Source: P.A. 96-507, eff. 8-14-09; 97-923, eff. 1-1-13; | ||
97-924, eff. 1-1-13; revised 8-23-12.)
| ||
Section 545. The Consumer Fraud and Deceptive Business | ||
Practices Act is amended by setting
forth and renumbering | ||
multiple versions of Section 2MMM as follows: | ||
(815 ILCS 505/2MMM) | ||
Sec. 2MMM. Violations of the Private Business and | ||
Vocational Schools Act of 2012. A school subject to the Private | ||
Business
and Vocational Schools Act of 2012 commits an unlawful | ||
practice
within the meaning of this Act when it violates | ||
subsection (k) of Section 85 of the Private Business and | ||
Vocational Schools Act of 2012.
| ||
(Source: P.A. 97-650, eff. 2-1-12.) | ||
(815 ILCS 505/2PPP) | ||
Sec. 2PPP 2MMM . Internet dating safety. It is an unlawful | ||
practice under this Act for an Internet dating service to fail | ||
to provide notice or falsely indicate that it has performed | ||
criminal background screenings in accordance with the Internet | ||
Dating Safety Act. | ||
(Source: P.A. 97-1056, eff. 8-24-12; revised 1-24-13.) | ||
Section 550. The Day and Temporary Labor Services Act is |
amended by changing Section 80 as follows:
| ||
(820 ILCS 175/80)
| ||
Sec. 80. Child Labor and Day and Temporary Labor Services | ||
Enforcement Fund. All
moneys
received as
fees and civil
| ||
penalties
under this Act shall be deposited into the Child | ||
Labor and Day and Temporary
Labor Services Enforcement Fund and
| ||
may be used for the purposes set forth in Section 17.3 of the | ||
Child Labor
Law.
| ||
(Source: P.A. 92-783, eff. 1-1-03; revised 10-18-12.)
| ||
Section 555. The Child Labor Law is amended by changing | ||
Section 17.3 as follows:
| ||
(820 ILCS 205/17.3) (from Ch. 48, par. 31.17-3)
| ||
Sec. 17.3.
Any employer who violates any of the provisions | ||
of this
Act or any rule or regulation issued under the Act | ||
shall be subject to a
civil penalty of not to exceed $5,000 for | ||
each such violation. In
determining the amount of such penalty, | ||
the appropriateness of such
penalty to the size of the business | ||
of the employer charged and the
gravity of the violation shall | ||
be considered. The amount of such
penalty, when finally | ||
determined, may be
| ||
(1) recovered in a civil action brought by the Director | ||
of Labor in
any circuit court, in which litigation the | ||
Director of Labor
shall be represented by the Attorney |
General;
| ||
(2) ordered by the court, in an action brought for | ||
violation under
Section 19, to be paid to the Director of | ||
Labor.
| ||
Any administrative determination by the Department of | ||
Labor of the
amount of each penalty shall be final unless | ||
reviewed as provided in
Section 17.1 of this Act.
| ||
Civil penalties recovered under this Section shall be paid | ||
into the
Child Labor and Day and Temporary Labor Services | ||
Enforcement Fund, a special fund
which
is hereby
created in the
| ||
State treasury. Moneys in the Fund may be used,
subject to
| ||
appropriation, for exemplary programs, demonstration projects, | ||
and other
activities or purposes related to the enforcement of | ||
this Act or for the
activities or purposes related to the | ||
enforcement of the Day and Temporary
Labor Services Act.
| ||
(Source: P.A. 92-783, eff. 1-1-03; revised 10-18-12.)
| ||
Section 560. The Unemployment Insurance Act is amended by | ||
changing Sections 1402 and 1801.1 as follows:
| ||
(820 ILCS 405/1402) (from Ch. 48, par. 552)
| ||
Sec. 1402. Penalties. | ||
A. If any employer fails, within the time prescribed in | ||
this Act as
amended and in effect on October 5, 1980, and the | ||
regulations of the
Director, to file a report of wages paid to | ||
each of his workers, or to file
a sufficient report of such |
wages after having been notified by the
Director to do so, for | ||
any period which begins prior to January 1, 1982, he
shall pay | ||
to the Department as a penalty a sum determined in accordance | ||
with
the provisions of this Act as amended and in effect on | ||
October 5, 1980.
| ||
B. Except as otherwise provided in this Section, any | ||
employer who
fails to file a report of wages paid to each of | ||
his
workers for any period which begins on or after January 1, | ||
1982, within the
time prescribed by the provisions of this Act | ||
and the regulations of the
Director, or, if the Director | ||
pursuant to such regulations extends the time
for filing the | ||
report, fails to file it within the extended time, shall, in
| ||
addition to any sum otherwise payable by him under the | ||
provisions of this
Act, pay to the Department as a penalty a | ||
sum equal to the lesser of (1) $5
for each $10,000 or fraction | ||
thereof of the total wages for insured work
paid by him during | ||
the period or (2) $2,500, for each month
or part thereof of | ||
such failure to file the report. With respect to an employer | ||
who has elected to file reports of wages on an annual basis | ||
pursuant to Section 1400.2, in assessing penalties for the | ||
failure to submit all reports by the due date established | ||
pursuant to that Section, the 30-day period immediately | ||
following the due date shall be considered as one month.
| ||
If the Director deems an employer's report of wages paid to | ||
each of his
workers for any period which begins on or after | ||
January 1, 1982,
insufficient, he shall notify the employer to |
file a sufficient report. If
the employer fails to file such | ||
sufficient report within 30 days after the
mailing of the | ||
notice to him, he shall, in addition to any sum otherwise
| ||
payable by him under the provisions of this Act, pay to the | ||
Department as a
penalty a sum determined in accordance with the | ||
provisions of the first
paragraph of this subsection, for each | ||
month or part thereof of such
failure to file such sufficient | ||
report after the date of the notice.
| ||
For wages paid in calendar years prior to 1988, the penalty | ||
or
penalties which accrue under the two foregoing paragraphs
| ||
with respect to a report for any period shall not be less than | ||
$100, and
shall not exceed the lesser of
(1) $10 for each | ||
$10,000 or fraction thereof
of the total wages for insured work | ||
paid during the period or (2) $5,000.
For wages paid in | ||
calendar years after 1987, the penalty or penalties which
| ||
accrue under the 2 foregoing paragraphs with respect to a | ||
report for any
period shall not be less than $50, and shall not | ||
exceed the lesser of (1)
$10 for each $10,000 or fraction of | ||
the total wages for insured work
paid during the period or (2) | ||
$5,000.
With respect to an employer who has elected to file | ||
reports of wages on an annual basis pursuant to Section 1400.2, | ||
for purposes of calculating the minimum penalty prescribed by | ||
this Section for failure to file the reports on a timely basis, | ||
a calendar year shall constitute a single period. For reports | ||
of wages paid after 1986, the Director shall not,
however, | ||
impose a penalty pursuant to either of the two foregoing
|
paragraphs on any employer who can prove within 30 working days | ||
after the
mailing of a notice of his failure to file such a | ||
report, that (1) the
failure to file the report is his first | ||
such failure during the previous 20
consecutive calendar | ||
quarters, and (2) the amount of the total
contributions due for | ||
the calendar quarter of such report (or, in the case of an | ||
employer who is required to file the reports on a monthly | ||
basis, the amount of the total contributions due for the | ||
calendar quarter that includes the month of such report) is | ||
less than $500.
| ||
For any month which begins on or after January 1, 2013, a | ||
report of the wages paid to each of an employer's workers shall | ||
be due on or before the last day of the month next following | ||
the calendar month in which the wages were paid if the employer | ||
is required to report such wages electronically pursuant to the | ||
regulations of the Director; otherwise a report of the wages | ||
paid to each of the employer's workers shall be due on or | ||
before the last day of the month next following the calendar | ||
quarter in which the wages were paid. | ||
Any employer who wilfully fails to pay any contribution or | ||
part
thereof, based upon wages paid prior to 1987,
when | ||
required by the provisions of this Act and the regulations of | ||
the
Director, with intent to defraud the Director, shall in | ||
addition to such
contribution or part thereof pay to the | ||
Department a penalty equal to 50 percent
of the amount of such | ||
contribution or part thereof, as the case may
be, provided that |
the penalty shall not be less than $200.
| ||
Any employer who willfully fails to pay any contribution or | ||
part
thereof, based upon wages paid in 1987 and in each | ||
calendar year
thereafter, when required by the
provisions of | ||
this Act and the regulations of the Director, with intent to
| ||
defraud the Director, shall in addition to such contribution or | ||
part
thereof pay to the Department a penalty equal to 60% of | ||
the amount of such
contribution or part thereof, as the case | ||
may be, provided that the penalty
shall not be less than $400.
| ||
However, all or part of any penalty may be waived by the | ||
Director for
good cause shown.
| ||
(Source: P.A. 97-689, eff. 6-14-12; 97-791, eff. 1-1-13; | ||
revised 7-23-12.)
| ||
(820 ILCS 405/1801.1)
| ||
Sec. 1801.1. Directory of New Hires.
| ||
A. The Director shall establish and operate an automated | ||
directory of newly
hired employees which shall be known as the | ||
"Illinois Directory of New Hires"
which shall contain the | ||
information required to be reported by employers to the
| ||
Department under subsection B.
In the administration of the | ||
Directory, the Director
shall comply with any requirements | ||
concerning the Employer New Hire Reporting
Program established | ||
by the
federal Personal Responsibility and Work
Opportunity | ||
Reconciliation
Act of 1996. The Director is authorized to use | ||
the information contained in
the Directory of New Hires to |
administer any of the provisions of this Act.
| ||
B. Each employer in Illinois, except a department, agency, | ||
or
instrumentality of the United States, shall file with the | ||
Department a report
in accordance with rules adopted by the | ||
Department (but
in any event not later
than 20 days after the | ||
date the employer hires the employee or, in the case of
an | ||
employer transmitting reports magnetically or electronically, | ||
by 2 monthly
transmissions, if necessary, not less than 12 days | ||
nor more than 16 days apart)
providing
the following | ||
information concerning each newly hired employee: the
| ||
employee's name, address, and social security number, the date | ||
services for remuneration were first performed by the employee, | ||
the employee's projected monthly wages, and the employer's | ||
name,
address, Federal Employer Identification Number assigned | ||
under Section 6109 of
the Internal Revenue Code of 1986, and | ||
such other information
as may be required by federal law or | ||
regulation,
provided that each employer may voluntarily file | ||
the address to which the employer wants income
withholding | ||
orders to be mailed, if it is different from the address given | ||
on
the Federal Employer Identification Number. An
employer in | ||
Illinois which transmits its reports electronically or
| ||
magnetically and which also has employees in another state may | ||
report all
newly hired employees to a single designated state | ||
in which the employer has
employees if it has so notified the | ||
Secretary of the United States Department
of Health and Human | ||
Services in writing.
An employer may, at its option, submit |
information regarding
any rehired employee in the same manner | ||
as information is submitted
regarding a newly hired employee.
| ||
Each report required under this
subsection shall, to the extent | ||
practicable, be made on an Internal Revenue Service Form W-4 | ||
or, at the
option of the employer, an equivalent form, and may | ||
be transmitted by first
class mail, by telefax, magnetically, | ||
or electronically.
| ||
C. An employer which knowingly fails to comply with the | ||
reporting
requirements established by this Section shall be | ||
subject to a civil penalty of
$15 for each individual whom it | ||
fails to report. An employer shall be
considered to have | ||
knowingly failed to comply with the reporting requirements
| ||
established by this Section with respect to an individual if | ||
the employer has
been notified by the Department that it has | ||
failed to report
an individual, and it fails, without | ||
reasonable cause, to supply the
required information to the | ||
Department within 21 days after the date of
mailing of the | ||
notice.
Any individual who knowingly conspires with the newly | ||
hired
employee to cause the employer
to fail to report the | ||
information required by this Section or who knowingly
conspires | ||
with the newly hired employee to cause the employer to file a | ||
false
or incomplete report shall be guilty of a Class B | ||
misdemeanor with a fine not
to exceed $500 with respect to each | ||
employee with whom the individual so
conspires.
| ||
D. As used in this Section,
"newly hired employee" means an
| ||
individual who (i) is an employee within the meaning of Chapter |
24 of the Internal
Revenue Code of 1986 and (ii) either has not | ||
previously been employed by the employer or was previously | ||
employed by the employer but has been separated from that prior | ||
employment for at least 60 consecutive days; however, "newly | ||
hired employee" does not
include
an employee of a federal or | ||
State agency performing intelligence or
counterintelligence | ||
functions, if the head of that agency has determined that
the | ||
filing of the report required by this Section with respect to | ||
the employee
could endanger the safety of
the employee
or | ||
compromise an ongoing investigation or
intelligence mission.
| ||
Notwithstanding Section 205, and for the purposes of this | ||
Section only, the
term "employer" has the meaning given by | ||
Section 3401(d) of the Internal
Revenue Code of 1986 and | ||
includes any governmental entity and labor
organization as | ||
defined by Section 2(5) of the National Labor Relations Act,
| ||
and includes any entity (also known as a hiring hall) which is | ||
used by the
organization and an employer to carry out the | ||
requirements described in Section
8(f)(3) of that Act of an | ||
agreement between the organization and the
employer.
| ||
(Source: P.A. 97-621, eff. 11-18-11; 97-689, eff. 6-14-12; | ||
97-791, eff. 1-1-13; revised 7-23-12.)
| ||
Section 995. 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 996. No revival or extension. This Act does not | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
revive or extend any Section or Act otherwise repealed.
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Section 999. Effective date. This Act takes effect upon | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
becoming law.
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| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||