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Public Act 099-0480 |
HB0001 Enrolled | LRB099 00249 HEP 20254 b |
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AN ACT concerning health.
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Be it enacted by the People of the State of Illinois, |
represented in the General Assembly:
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ARTICLE 1. |
Section 1-1. This Article may be referred to as Lali's Law. |
Section 1-5. The Pharmacy Practice Act is amended by adding |
Section 19.1 as follows: |
(225 ILCS 85/19.1 new) |
Sec. 19.1. Dispensing naloxone antidotes. |
(a) Due to the recent rise in opioid-related deaths in
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Illinois and the existence of an opioid antagonist that can
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reverse the deadly effects of overdose, the General Assembly
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finds that in order to avoid further loss where possible, it is
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responsible to allow greater access of such an antagonist to
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those populations at risk of overdose. |
(b) Notwithstanding any general or special law to the
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contrary, a licensed pharmacist may dispense an opioid |
antagonist
in accordance with written, standardized procedures |
or
protocols developed by the Department with the Department of
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Public Health and the Department of Human Services if the
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procedures or protocols are filed at the pharmacy before
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implementation and are available to the Department upon
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request. |
(c) Before dispensing an opioid antagonist pursuant to this
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Section, a pharmacist shall complete a training program
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approved by the Department of Human Services pursuant to
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Section 5-23 of the Alcoholism and Other Drug Abuse and
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Dependency Act. The training program shall include, but not be
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limited to, proper documentation and quality assurance. |
(d) For the purpose of this Section, "opioid antagonist" |
means a drug that binds to opioid receptors and blocks or |
inhibits the effect of opioids acting on those receptors, |
including, but not limited to, naloxone hydrochloride or any |
other similarly acting and equally safe drug approved by the |
U.S. Food and Drug Administration for the treatment of drug |
overdose. |
ARTICLE 5. |
Section 5-1. The Open Meetings Act is amended by changing |
Section 2 as follows:
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(5 ILCS 120/2) (from Ch. 102, par. 42)
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Sec. 2. Open meetings.
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(a) Openness required. All meetings of public
bodies shall |
be open to the public unless excepted in subsection (c)
and |
closed in accordance with Section 2a.
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(b) Construction of exceptions. The exceptions contained |
in subsection
(c) are in derogation of the requirement that |
public bodies
meet in the open, and therefore, the exceptions |
are to be strictly
construed, extending only to subjects |
clearly within their scope.
The exceptions authorize but do not |
require the holding of
a closed meeting to discuss a subject |
included within an enumerated exception.
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(c) Exceptions. A public body may hold closed meetings to |
consider the
following subjects:
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(1) The appointment, employment, compensation, |
discipline, performance,
or dismissal of specific |
employees of the public body or legal counsel for
the |
public body, including hearing
testimony on a complaint |
lodged against an employee of the public body or
against |
legal counsel for the public body to determine its |
validity.
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(2) Collective negotiating matters between the public |
body and its
employees or their representatives, or |
deliberations concerning salary
schedules for one or more |
classes of employees.
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(3) The selection of a person to fill a public office,
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as defined in this Act, including a vacancy in a public |
office, when the public
body is given power to appoint |
under law or ordinance, or the discipline,
performance or |
removal of the occupant of a public office, when the public |
body
is given power to remove the occupant under law or |
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ordinance.
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(4) Evidence or testimony presented in open hearing, or |
in closed
hearing where specifically authorized by law, to
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a quasi-adjudicative body, as defined in this Act, provided |
that the body
prepares and makes available for public |
inspection a written decision
setting forth its |
determinative reasoning.
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(5) The purchase or lease of real property for the use |
of
the public body, including meetings held for the purpose |
of discussing
whether a particular parcel should be |
acquired.
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(6) The setting of a price for sale or lease of |
property owned
by the public body.
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(7) The sale or purchase of securities, investments, or |
investment
contracts. This exception shall not apply to the |
investment of assets or income of funds deposited into the |
Illinois Prepaid Tuition Trust Fund.
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(8) Security procedures and the use of personnel and
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equipment to respond to an actual, a threatened, or a |
reasonably
potential danger to the safety of employees, |
students, staff, the public, or
public
property.
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(9) Student disciplinary cases.
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(10) The placement of individual students in special |
education
programs and other matters relating to |
individual students.
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(11) Litigation, when an action against, affecting or |
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on behalf of the
particular public body has been filed and |
is pending before a court or
administrative tribunal, or |
when the public body finds that an action is
probable or |
imminent, in which case the basis for the finding shall be
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recorded and entered into the minutes of the closed |
meeting.
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(12) The establishment of reserves or settlement of |
claims as provided
in the Local Governmental and |
Governmental Employees Tort Immunity Act, if
otherwise the |
disposition of a claim or potential claim might be
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prejudiced, or the review or discussion of claims, loss or |
risk management
information, records, data, advice or |
communications from or with respect
to any insurer of the |
public body or any intergovernmental risk management
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association or self insurance pool of which the public body |
is a member.
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(13) Conciliation of complaints of discrimination in |
the sale or rental
of housing, when closed meetings are |
authorized by the law or ordinance
prescribing fair housing |
practices and creating a commission or
administrative |
agency for their enforcement.
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(14) Informant sources, the hiring or assignment of |
undercover personnel
or equipment, or ongoing, prior or |
future criminal investigations, when
discussed by a public |
body with criminal investigatory responsibilities.
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(15) Professional ethics or performance when |
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considered by an advisory
body appointed to advise a |
licensing or regulatory agency on matters
germane to the |
advisory body's field of competence.
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(16) Self evaluation, practices and procedures or |
professional ethics,
when meeting with a representative of |
a statewide association of which the
public body is a |
member.
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(17) The recruitment, credentialing, discipline or |
formal peer review
of physicians or other
health care |
professionals for a hospital, or
other institution |
providing medical care, that is operated by the public |
body.
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(18) Deliberations for decisions of the Prisoner |
Review Board.
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(19) Review or discussion of applications received |
under the
Experimental Organ Transplantation Procedures |
Act.
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(20) The classification and discussion of matters |
classified as
confidential or continued confidential by |
the State Government Suggestion Award
Board.
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(21) Discussion of minutes of meetings lawfully closed |
under this Act,
whether for purposes of approval by the |
body of the minutes or semi-annual
review of the minutes as |
mandated by Section 2.06.
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(22) Deliberations for decisions of the State
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Emergency Medical Services Disciplinary
Review Board.
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(23) The operation by a municipality of a municipal |
utility or the
operation of a
municipal power agency or |
municipal natural gas agency when the
discussion involves |
(i) contracts relating to the
purchase, sale, or delivery |
of electricity or natural gas or (ii) the results
or |
conclusions of load forecast studies.
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(24) Meetings of a residential health care facility |
resident sexual
assault and death review
team or
the |
Executive
Council under the Abuse Prevention Review
Team |
Act.
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(25) Meetings of an independent team of experts under |
Brian's Law. |
(26) Meetings of a mortality review team appointed |
under the Department of Juvenile Justice Mortality Review |
Team Act. |
(27) (Blank). |
(28) 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. |
(29) Meetings between internal or external auditors |
and governmental audit committees, finance committees, and |
their equivalents, when the discussion involves internal |
control weaknesses, identification of potential fraud risk |
areas, known or suspected frauds, and fraud interviews |
conducted in accordance with generally accepted auditing |
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standards of the United States of America. |
(30) Those meetings or portions of meetings of a |
fatality review team or the Illinois Fatality Review Team |
Advisory Council during which a review of the death of an |
eligible adult in which abuse or neglect is suspected, |
alleged, or substantiated is conducted pursuant to Section |
15 of the Adult Protective Services Act. |
(31) Meetings and deliberations for decisions of the |
Concealed Carry Licensing Review Board under the Firearm |
Concealed Carry Act. |
(32) Meetings between the Regional Transportation |
Authority Board and its Service Boards when the discussion |
involves review by the Regional Transportation Authority |
Board of employment contracts under Section 28d of the |
Metropolitan Transit Authority Act and Sections 3A.18 and |
3B.26 of the Regional Transportation Authority Act. |
(33) Those meeting or portions of meetings of the |
advisory committee and peer review subcommittee created |
under Section 320 of the Illinois Controlled Substances Act |
during which specific controlled substance prescriber, |
dispenser, or patient information is discussed. |
(d) Definitions. For purposes of this Section:
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"Employee" means a person employed by a public body whose |
relationship
with the public body constitutes an |
employer-employee relationship under
the usual common law |
rules, and who is not an independent contractor.
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"Public office" means a position created by or under the
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Constitution or laws of this State, the occupant of which is |
charged with
the exercise of some portion of the sovereign |
power of this State. The term
"public office" shall include |
members of the public body, but it shall not
include |
organizational positions filled by members thereof, whether
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established by law or by a public body itself, that exist to |
assist the
body in the conduct of its business.
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"Quasi-adjudicative body" means an administrative body |
charged by law or
ordinance with the responsibility to conduct |
hearings, receive evidence or
testimony and make |
determinations based
thereon, but does not include
local |
electoral boards when such bodies are considering petition |
challenges.
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(e) Final action. No final action may be taken at a closed |
meeting.
Final action shall be preceded by a public recital of |
the nature of the
matter being considered and other information |
that will inform the
public of the business being conducted.
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(Source: P.A. 97-318, eff. 1-1-12; 97-333, eff. 8-12-11; |
97-452, eff. 8-19-11; 97-813, eff. 7-13-12; 97-876, eff. |
8-1-12; 98-49, eff. 7-1-13; 98-63, eff. 7-9-13; 98-756, eff. |
7-16-14; 98-1027, eff. 1-1-15; 98-1039, eff. 8-25-14; revised |
10-1-14.)
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Section 5-10. The State Employees Group Insurance Act of |
1971 is amended by changing Section 6.11 as follows:
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(5 ILCS 375/6.11)
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Sec. 6.11. Required health benefits; Illinois Insurance |
Code
requirements. The program of health
benefits shall provide |
the post-mastectomy care benefits required to be covered
by a |
policy of accident and health insurance under Section 356t of |
the Illinois
Insurance Code. The program of health benefits |
shall provide the coverage
required under Sections 356g, |
356g.5, 356g.5-1, 356m,
356u, 356w, 356x, 356z.2, 356z.4, |
356z.6, 356z.8, 356z.9, 356z.10, 356z.11, 356z.12, 356z.13, |
356z.14, 356z.15, 356z.17, and 356z.22 of the
Illinois |
Insurance Code.
The program of health benefits must comply with |
Sections 155.22a, 155.37, 355b, and 356z.19 , 370c, and 370c.1 |
of the
Illinois Insurance Code.
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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. |
(Source: P.A. 97-282, eff. 8-9-11; 97-343, eff. 1-1-12; 97-813, |
eff. 7-13-12; 98-189, eff. 1-1-14; 98-1091, eff. 1-1-15 .) |
Section 5-15. The Alcoholism and Other Drug Abuse and |
Dependency Act is amended by changing Section 5-23 and adding |
Sections 5-24 and 20-20 as follows: |
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(20 ILCS 301/5-23) |
Sec. 5-23. Drug Overdose Prevention Program. |
(a) Reports of drug overdose. |
(1) The Director of the Division of Alcoholism and |
Substance Abuse shall may publish annually a report on drug |
overdose trends statewide that reviews State death rates |
from available data to ascertain changes in the causes or |
rates of fatal and nonfatal drug overdose for the preceding |
period of not less than 5 years . The report shall also |
provide information on interventions that would be |
effective in reducing the rate of fatal or nonfatal drug |
overdose and shall include an analysis of drug overdose |
information reported to the Department of Public Health |
pursuant to subsection (e) of Section 3-3013 of the |
Counties Code, Section 6.14g of the Hospital Licensing Act, |
and subsection (j) of Section 22-30 of the School Code . |
(2) The report may include: |
(A) Trends in drug overdose death rates. |
(B) Trends in emergency room utilization related |
to drug overdose and the cost impact of emergency room |
utilization. |
(C) Trends in utilization of pre-hospital and |
emergency services and the cost impact of emergency |
services utilization. |
(D) Suggested improvements in data collection. |
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(E) A description of other interventions effective |
in reducing the rate of fatal or nonfatal drug |
overdose. |
(F) A description of efforts undertaken to educate |
the public about unused medication and about how to |
properly dispose of unused medication, including the |
number of registered collection receptacles in this |
State, mail-back programs, and drug take-back events. |
(b) Programs; drug overdose prevention. |
(1) The Director may establish a program to provide for |
the production and publication, in electronic and other |
formats, of drug overdose prevention, recognition, and |
response literature. The Director may develop and |
disseminate curricula for use by professionals, |
organizations, individuals, or committees interested in |
the prevention of fatal and nonfatal drug overdose, |
including, but not limited to, drug users, jail and prison |
personnel, jail and prison inmates, drug treatment |
professionals, emergency medical personnel, hospital |
staff, families and associates of drug users, peace |
officers, firefighters, public safety officers, needle |
exchange program staff, and other persons. In addition to |
information regarding drug overdose prevention, |
recognition, and response, literature produced by the |
Department shall stress that drug use remains illegal and |
highly dangerous and that complete abstinence from illegal |
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drug use is the healthiest choice. The literature shall |
provide information and resources for substance abuse |
treatment. |
The Director may establish or authorize programs for |
prescribing, dispensing, or distributing opioid |
antagonists naloxone hydrochloride or any other similarly |
acting and equally safe drug approved by the U.S. Food and |
Drug Administration for the treatment of drug overdose. |
Such programs may include the prescribing of opioid |
antagonists naloxone hydrochloride or any other similarly |
acting and equally safe drug approved by the U.S. Food and |
Drug Administration for the treatment of drug overdose to a |
person who is not at risk of opioid overdose but who, in |
the judgment of the health care professional, may be in a |
position to assist another individual during an |
opioid-related drug overdose and who has received basic |
instruction on how to administer an opioid antagonist and |
education about administration by individuals who are not |
personally at risk of opioid overdose . |
(2) The Director may provide advice to State and local |
officials on the growing drug overdose crisis, including |
the prevalence of drug overdose incidents, programs |
promoting the disposal of unused prescription drugs, |
trends in drug overdose incidents, and solutions to the |
drug overdose crisis. |
(c) Grants. |
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(1) The Director may award grants, in accordance with |
this subsection, to create or support local drug overdose |
prevention, recognition, and response projects. Local |
health departments, correctional institutions, hospitals, |
universities, community-based organizations, and |
faith-based organizations may apply to the Department for a |
grant under this subsection at the time and in the manner |
the Director prescribes. |
(2) In awarding grants, the Director shall consider the |
necessity for overdose prevention projects in various |
settings and shall encourage all grant applicants to |
develop interventions that will be effective and viable in |
their local areas. |
(3) The Director shall give preference for grants to |
proposals that, in addition to providing life-saving |
interventions and responses, provide information to drug |
users on how to access drug treatment or other strategies |
for abstaining from illegal drugs. The Director shall give |
preference to proposals that include one or more of the |
following elements: |
(A) Policies and projects to encourage persons, |
including drug users, to call 911 when they witness a |
potentially fatal drug overdose. |
(B) Drug overdose prevention, recognition, and |
response education projects in drug treatment centers, |
outreach programs, and other organizations that work |
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with, or have access to, drug users and their families |
and communities. |
(C) Drug overdose recognition and response |
training, including rescue breathing, in drug |
treatment centers and for other organizations that |
work with, or have access to, drug users and their |
families and communities. |
(D) The production and distribution of targeted or |
mass media materials on drug overdose prevention and |
response , the potential dangers of keeping unused |
prescription drugs in the home, and methods to properly |
dispose of unused prescription drugs . |
(E) Prescription and distribution of opioid |
antagonists naloxone hydrochloride or any other |
similarly acting and equally safe drug approved by the |
U.S. Food and Drug Administration for the treatment of |
drug overdose . |
(F) The institution of education and training |
projects on drug overdose response and treatment for |
emergency services and law enforcement personnel. |
(G) A system of parent, family, and survivor |
education and mutual support groups. |
(4) In addition to moneys appropriated by the General |
Assembly, the Director may seek grants from private |
foundations, the federal government, and other sources to |
fund the grants under this Section and to fund an |
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evaluation of the programs supported by the grants. |
(d) Health care professional prescription of opioid |
antagonists drug overdose treatment medication . |
(1) A health care professional who, acting in good |
faith, directly or by standing order, prescribes or |
dispenses an opioid antagonist antidote to : (a) a patient |
who, in the judgment of the health care professional, is |
capable of administering the drug in an emergency, or (b) a |
person who is not at risk of opioid overdose but who, in |
the judgment of the health care professional, may be in a |
position to assist another individual during an |
opioid-related drug overdose and who has received basic |
instruction on how to administer an opioid antagonist shall |
not, as a result of his or her acts or omissions, be |
subject to : (i) any disciplinary or other adverse action |
under the Medical Practice Act of 1987, the Physician |
Assistant Practice Act of 1987, the Nurse Practice Act, the |
Pharmacy Practice Act, or any other professional licensing |
statute or (ii) any criminal liability, except for willful |
and wanton misconduct . |
(2) A person who is not otherwise licensed to |
administer an opioid antagonist antidote may in an |
emergency administer without fee an opioid antagonist |
antidote if the person has received the patient information |
specified in paragraph (4) of this subsection and believes |
in good faith that another person is experiencing a drug |
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overdose. The person shall not, as a result of his or her |
acts or omissions, be (i) liable for any violation of the |
Medical Practice Act of 1987, the Physician Assistant |
Practice Act of 1987, the Nurse Practice Act, the Pharmacy |
Practice Act, or any other professional licensing statute, |
or (ii) subject to any criminal prosecution or civil |
liability, except for willful and wanton misconduct |
arising from or related to the unauthorized practice of |
medicine or the possession of an opioid antidote . |
(3) A health care professional prescribing an opioid |
antagonist antidote to a patient shall ensure that the |
patient receives the patient information specified in |
paragraph (4) of this subsection. Patient information may |
be provided by the health care professional or a |
community-based organization, substance abuse program, or |
other organization with which the health care professional |
establishes a written agreement that includes a |
description of how the organization will provide patient |
information, how employees or volunteers providing |
information will be trained, and standards for documenting |
the provision of patient information to patients. |
Provision of patient information shall be documented in the |
patient's medical record or through similar means as |
determined by agreement between the health care |
professional and the organization. The Director of the |
Division of Alcoholism and Substance Abuse, in |
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consultation with statewide organizations representing |
physicians, pharmacists, advanced practice nurses, |
physician assistants, substance abuse programs, and other |
interested groups, shall develop and disseminate to health |
care professionals, community-based organizations, |
substance abuse programs, and other organizations training |
materials in video, electronic, or other formats to |
facilitate the provision of such patient information. |
(4) For the purposes of this subsection: |
"Opioid antagonist antidote " means a drug that binds to |
opioid receptors and blocks or inhibits the effect of |
opioids acting on those receptors, including, but not |
limited to naloxone hydrochloride or any other similarly |
acting and equally safe drug approved by the U.S. Food and |
Drug Administration for the treatment of drug overdose . |
"Health care professional" means a physician licensed |
to practice medicine in all its branches, a physician |
assistant who has been delegated prescriptive authority |
the prescription or dispensation of an opioid antidote by |
his or her supervising physician, an advanced practice |
registered nurse who has a written collaborative agreement |
with a collaborating physician that authorizes |
prescriptive authority the prescription or dispensation of |
an opioid antidote , or an advanced practice nurse or |
physician assistant who practices in a hospital , hospital |
affiliate, or ambulatory surgical treatment center and |
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possesses appropriate clinical privileges in accordance |
with the Nurse Practice Act or a pharmacist licensed to |
practice pharmacy under the Pharmacy Practice Act . |
"Patient" includes a person who is not at risk of |
opioid overdose but who, in the judgment of the physician, |
may be in a position to assist another individual during an |
overdose and who has received patient information as |
required in paragraph (2) of this subsection on the |
indications for and administration of an opioid antagonist |
antidote . |
"Patient information" includes information provided to |
the patient on drug overdose prevention and recognition; |
how to perform rescue breathing and resuscitation; opioid |
antagonist antidote dosage and administration; the |
importance of calling 911; care for the overdose victim |
after administration of the overdose antagonist antidote ; |
and other issues as necessary.
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(e) Drug overdose response policy. |
(1) Every State and local government agency that |
employs a law enforcement officer or fireman as those terms |
are defined in the Line of Duty Compensation Act must |
possess opioid antagonists and must establish a policy to |
control the acquisition, storage, transportation, and |
administration of such opioid antagonists and to provide |
training in the administration of opioid antagonists. A |
State or local government agency that employs a fireman as |
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defined in the Line of Duty Compensation Act but does not |
respond to emergency medical calls or provide medical |
services shall be exempt from this subsection. |
(2) Every publicly or privately owned ambulance, |
special emergency medical services vehicle, non-transport |
vehicle, or ambulance assist vehicle, as described in the |
Emergency Medical Services (EMS) Systems Act, which |
responds to requests for emergency services or transports |
patients between hospitals in emergency situations must |
possess opioid antagonists. |
(3) Entities that are required under paragraphs (1) and |
(2) to possess opioid antagonists may also apply to the |
Department for a grant to fund the acquisition of opioid |
antagonists and training programs on the administration of |
opioid antagonists. |
(Source: P.A. 96-361, eff. 1-1-10.) |
(20 ILCS 301/5-24 new) |
Sec. 5-24. Opiate prescriptions; educational materials. |
The Department shall develop educational materials to educate |
holders of opiate prescriptions about the dangers of children |
and teens gaining access to these medications. The materials |
shall include information regarding the means by which the |
abuse of opiate prescriptions can lead to the illegal use of |
heroin. The Department shall also develop a method of |
distribution for such educational materials. |
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(20 ILCS 301/20-20 new) |
Sec. 20-20. Immunity from prosecution; drugs; public |
education program. The Department shall develop and implement a |
public education program to educate the public about the |
provisions set forth in Section 414 of the Illinois Controlled |
Substances Act granting immunity from prosecution for drug |
overdose victims or persons seeking help for drug overdose |
victims if the only evidence for the possession charge was |
obtained as a result of the person seeking or obtaining |
emergency medical assistance. |
Section 5-25. The Department of State Police Law is amended |
by adding Section 2605-97 as follows: |
(20 ILCS 2605/2605-97 new) |
Sec. 2605-97. Training; opioid antagonists. The Department |
shall conduct or approve a training program for State police |
officers in the administration of opioid antagonists as defined |
in paragraph (1) of subsection (e) of Section 5-23 of the |
Alcoholism and Other Drug Abuse and Dependency Act that is in |
accordance with that Section. As used in this Section 2605-97, |
the term "State police officers" includes full-time or |
part-time State troopers, police officers, investigators, or |
any other employee of the Department exercising the powers of a |
peace officer. |
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Section 5-30. The Illinois Criminal Justice Information |
Act is amended by changing Section 9.3 as follows: |
(20 ILCS 3930/9.3) |
Sec. 9.3. The Prescription Pill and Drug Disposal Fund. The |
Prescription Pill and Drug Disposal Fund is created as a |
special fund in the State treasury. Moneys in the Fund shall be |
used for grants by the Illinois Criminal Justice Information |
Authority to local law enforcement agencies for the purpose of |
facilitating the collection, transportation, and incineration |
of pharmaceuticals from residential sources that are collected |
and transported by law enforcement agencies under Section 17.9A |
of the Environmental Protection Act ; to municipalities or |
organizations that establish containers designated for the |
collection and disposal of unused controlled substances and |
conduct collection of unused controlled substances through |
mail-back programs; and for the publication or advertising of |
collection events or mail-back programs conducted by |
municipalities or organizations . Before awarding a grant from |
this Fund but no later than July 1, 2016 2012 , the Authority |
shall adopt rules that (i) specify the conditions under which |
grants will be awarded from this Fund and (ii) otherwise |
provide for the implementation and administration of the grant |
program created by this Section. Interest attributable to |
moneys in the Fund shall be paid into the Fund.
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(Source: P.A. 97-545, eff. 1-1-12.) |
Section 5-35. The State Finance Act is amended by adding |
Section 5.866 as follows: |
(30 ILCS 105/5.866 new) |
Sec. 5.866. The Parity Education Fund. |
Section 5-40. The Illinois Police Training Act is amended |
by changing Section 7 and by adding Section 10.17 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:
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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,
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traffic control and accident investigation, techniques of |
obtaining
physical evidence, court testimonies, statements, |
reports, firearms
training, training in the use of electronic |
control devices, including the psychological and physiological |
|
effects of the use of those devices on humans, first-aid |
(including cardiopulmonary resuscitation), training in the |
administration of opioid antagonists as defined in paragraph |
(1) of subsection (e) of Section 5-23 of the Alcoholism and |
Other Drug Abuse and Dependency Act, 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 abuse, neglect, financial exploitation, and self-neglect of |
adults with disabilities and older adults, as defined in |
Section 2 of the Adult Protective Services 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. The training |
in the use of electronic control devices shall be conducted for |
probationary police officers, including University police |
officers.
|
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; 98-49, |
eff. 7-1-13; 98-358, eff. 1-1-14; 98-463, eff. 8-16-13; 98-756, |
eff. 7-16-14.)
|
(50 ILCS 705/10.17 new) |
Sec. 10.17. Training; administration of opioid |
antagonists. The Board shall conduct or approve an in-service |
training program for police officers in the administration of |
opioid antagonists as defined in paragraph (1) of subsection |
(e) of Section 5-23 of the Alcoholism and Other Drug Abuse and |
Dependency Act that is in accordance with that Section. As used |
in this Section 10.17, the term "police officers" includes |
full-time or part-time probationary police officers, permanent |
or part-time police officers, law enforcement officers, |
recruits, permanent or probationary county corrections |
officers, permanent or probationary county security officers, |
and court security officers. The term does not include |
|
auxiliary police officers as defined in Section 3.1-30-20 of |
the Illinois Municipal Code. |
Section 5-45. The Illinois Fire Protection Training Act is |
amended by changing Section 8 and by adding Section 12.5 as |
follows:
|
(50 ILCS 740/8) (from Ch. 85, par. 538)
|
Sec. 8. Rules and minimum standards for schools. The Office
|
shall adopt rules and minimum standards for such
schools which |
shall include but not be limited to the following:
|
a. Minimum courses of study, resources, facilities, |
apparatus,
equipment, reference material, established records |
and procedures as
determined by the Office.
|
b. Minimum requirements for instructors.
|
c. Minimum basic training requirements, which a trainee |
must
satisfactorily complete before being eligible for |
permanent employment
as a fire fighter in the fire department |
of a participating local
governmental agency.
Those |
requirements shall include training in first aid (including
|
cardiopulmonary resuscitation) and training in the |
administration of opioid antagonists as defined in paragraph |
(1) of subsection (e) of Section 5-23 of the Alcoholism and |
Other Drug Abuse and Dependency Act .
|
(Source: P.A. 88-661, eff. 1-1-95.)
|
|
(50 ILCS 740/12.5 new) |
Sec. 12.5. In-service training; opioid antagonists. The |
Office shall distribute an in-service training program for fire |
fighters in the administration of opioid antagonists as defined |
in paragraph (1) of subsection (e) of Section 5-23 of the |
Alcoholism and Other Drug Abuse and Dependency Act that is |
developed by the Department of Human Services in accordance |
with that Section. As used in this Section 12.5, the term "fire |
fighters" includes full-time or part-time fire fighters, but |
does not include auxiliary, reserve, or volunteer |
firefighters. |
Section 5-50. The Counties Code is amended by changing |
Sections 3-3013 and 5-1069.3 as follows:
|
(55 ILCS 5/3-3013) (from Ch. 34, par. 3-3013)
|
Sec. 3-3013. Preliminary investigations; blood and urine |
analysis;
summoning jury; reports. Every coroner, whenever, as |
soon as he knows or is
informed that the dead body of any |
person is found, or lying within his
county, whose death is |
suspected of being:
|
(a) A sudden or violent death, whether apparently |
suicidal,
homicidal or accidental, including but not |
limited to deaths apparently
caused or contributed to by |
thermal, traumatic, chemical, electrical or
radiational |
injury, or a complication of any of them, or by drowning or
|
|
suffocation, or as a result of domestic violence as defined |
in the Illinois
Domestic
Violence Act of 1986;
|
(b) A maternal or fetal death due to abortion, or any |
death due to a
sex crime or a crime against nature;
|
(c) A death where the circumstances are suspicious, |
obscure,
mysterious or otherwise unexplained or where, in |
the written opinion of
the attending physician, the cause |
of death is not determined;
|
(d) A death where addiction to alcohol or to any drug |
may have been
a contributory cause; or
|
(e) A death where the decedent was not attended by a |
licensed
physician;
|
shall go to the place where the dead body is, and take charge |
of the
same and shall make a preliminary investigation into the |
circumstances
of the death. In the case of death without |
attendance by a licensed
physician the body may be moved with |
the coroner's consent from the
place of death to a mortuary in |
the same county. Coroners in their
discretion shall notify such |
physician as is designated in accordance
with Section 3-3014 to |
attempt to ascertain the cause of death, either by
autopsy or |
otherwise.
|
In cases of accidental death involving a motor vehicle in |
which the
decedent was (1) the operator or a suspected operator |
of a motor
vehicle, or (2) a pedestrian 16 years of age or |
older, the coroner shall
require that a blood specimen of at |
least 30 cc., and if medically
possible a urine specimen of at |
|
least 30 cc. or as much as possible up
to 30 cc., be withdrawn |
from the body of the decedent in a timely fashion after
the |
accident causing his death, by such physician as has been |
designated
in accordance with Section 3-3014, or by the coroner |
or deputy coroner or
a qualified person designated by such |
physician, coroner, or deputy coroner. If the county
does not |
maintain laboratory facilities for making such analysis, the
|
blood and urine so drawn shall be sent to the Department of |
State Police or any other accredited or State-certified |
laboratory
for analysis of the alcohol, carbon monoxide, and |
dangerous or
narcotic drug content of such blood and urine |
specimens. Each specimen
submitted shall be accompanied by |
pertinent information concerning the
decedent upon a form |
prescribed by such laboratory. Any
person drawing blood and |
urine and any person making any examination of
the blood and |
urine under the terms of this Division shall be immune from all
|
liability, civil or criminal, that might otherwise be incurred |
or
imposed.
|
In all other cases coming within the jurisdiction of the |
coroner and
referred to in subparagraphs (a) through (e) above, |
blood, and whenever
possible, urine samples shall be analyzed |
for the presence of alcohol
and other drugs. When the coroner |
suspects that drugs may have been
involved in the death, either |
directly or indirectly, a toxicological
examination shall be |
performed which may include analyses of blood, urine,
bile, |
gastric contents and other tissues. When the coroner suspects
a |
|
death is due to toxic substances, other than drugs, the coroner |
shall
consult with the toxicologist prior to collection of |
samples. Information
submitted to the toxicologist shall |
include information as to height,
weight, age, sex and race of |
the decedent as well as medical history,
medications used by |
and the manner of death of decedent.
|
When the coroner or medical examiner finds that the cause |
of death is due to homicidal means, the coroner or medical |
examiner shall cause blood and buccal specimens (tissue may be |
submitted if no uncontaminated blood or buccal specimen can be |
obtained), whenever possible, to be withdrawn from the body of |
the decedent in a timely fashion. Within 45 days after the |
collection of the specimens, the coroner or medical examiner |
shall deliver those specimens, dried, to the Illinois |
Department of State Police, Division of Forensic Services, for |
analysis and categorizing into genetic marker groupings to be |
maintained by the Illinois Department of State Police in the |
State central repository in the same manner, and subject to the |
same conditions, as provided in Section 5-4-3 of the Unified |
Code of Corrections. The requirements of this paragraph are in |
addition to any other findings, specimens, or information that |
the coroner or medical examiner is required to provide during |
the conduct of a criminal investigation.
|
In all counties, in cases of apparent
suicide, homicide, or |
accidental death or in other cases, within the
discretion of |
the coroner, the coroner may summon 8 persons of lawful age
|
|
from those persons drawn for petit jurors in the county. The |
summons shall
command these persons to present themselves |
personally at such a place and
time as the coroner shall |
determine, and may be in any form which the
coroner shall |
determine and may incorporate any reasonable form of request
|
for acknowledgement which the coroner deems practical and |
provides a
reliable proof of service. The summons may be served |
by first class mail.
From the 8 persons so summoned, the |
coroner shall select 6 to serve as the
jury for the inquest. |
Inquests may be continued from time
to time, as the coroner may |
deem necessary. The 6 jurors selected in
a given case may view |
the body of the deceased.
If at any continuation of an inquest |
one or more of the original jurors
shall be unable to continue |
to serve, the coroner shall fill the vacancy or
vacancies. A |
juror serving pursuant to this paragraph shall receive
|
compensation from the county at the same rate as the rate of |
compensation
that is paid to petit or grand jurors in the |
county. The coroner shall
furnish to each juror without fee at |
the time of his discharge a
certificate of the number of days |
in attendance at an inquest, and, upon
being presented with |
such certificate, the county treasurer shall pay to
the juror |
the sum provided for his services.
|
In counties which have a jury commission, in cases of |
apparent suicide or
homicide or of accidental death, the |
coroner may conduct an inquest. The jury commission shall |
provide
at least 8 jurors to the coroner, from whom the coroner |
|
shall select any 6
to serve as the jury for the inquest. |
Inquests may be continued from time
to time as the coroner may |
deem necessary. The 6 jurors originally chosen
in a given case |
may view the body of the deceased. If at any continuation
of an |
inquest one or more of the 6 jurors originally chosen shall be |
unable
to continue to serve, the coroner shall fill the vacancy |
or vacancies. At
the coroner's discretion, additional jurors to |
fill such vacancies shall be
supplied by the jury commission. A |
juror serving pursuant to this
paragraph in such county shall |
receive compensation from the county at the
same rate as the |
rate of compensation that is paid to petit or grand jurors
in |
the county.
|
In every case in which a fire is determined to be
a
|
contributing factor in a death, the coroner shall report the |
death to the
Office of the State Fire Marshal. The coroner |
shall provide a copy of the death certificate (i) within 30 |
days after filing the permanent death certificate and (ii) in a |
manner that is agreed upon by the coroner and the State Fire |
Marshal. |
In every case in which a drug overdose is determined to be |
the cause or a contributing factor in the death, the coroner or |
medical examiner shall report the death to the Department of |
Public Health. The Department of Public Health shall adopt |
rules regarding specific information that must be reported in |
the event of such a death. If possible, the coroner shall |
report the cause of the overdose. As used in this Section, |
|
"overdose" has the same meaning as it does in Section 414 of |
the Illinois Controlled Substances Act. The Department of |
Public Health shall issue a semiannual report to the General |
Assembly summarizing the reports received. The Department |
shall also provide on its website a monthly report of overdose |
death figures organized by location, age, and any other |
factors, the Department deems appropriate. |
In addition, in every case in which domestic violence is |
determined to be
a
contributing factor in a death, the coroner |
shall report the death to the
Department of State Police.
|
All deaths in State institutions and all deaths of wards of |
the State in
private care facilities or in programs funded by |
the Department of Human
Services under its powers relating to |
mental health and developmental
disabilities or alcoholism and |
substance
abuse or funded by the Department of Children and |
Family Services shall
be reported to the coroner of the county |
in which the facility is
located. If the coroner has reason to |
believe that an investigation is
needed to determine whether |
the death was caused by maltreatment or
negligent care of the |
ward of the State, the coroner may conduct a
preliminary |
investigation of the circumstances of such death as in cases of
|
death under circumstances set forth in paragraphs (a) through |
(e) of this
Section.
|
(Source: P.A. 95-484, eff. 6-1-08; 96-1059, eff. 7-14-10.)
|
(55 ILCS 5/5-1069.3)
|
|
Sec. 5-1069.3. Required health benefits. If a county, |
including a home
rule
county, is a self-insurer for purposes of |
providing health insurance coverage
for its employees, the |
coverage shall include coverage for the post-mastectomy
care |
benefits required to be covered by a policy of accident and |
health
insurance under Section 356t and the coverage required |
under Sections 356g, 356g.5, 356g.5-1, 356u,
356w, 356x, |
356z.6, 356z.8, 356z.9, 356z.10, 356z.11, 356z.12, 356z.13, |
356z.14, 356z.15, and 356z.22 of
the Illinois Insurance Code. |
The coverage shall comply with Sections 155.22a, 355b, and |
356z.19 , and 370c of
the Illinois Insurance Code. The |
requirement that health benefits be covered
as provided in this |
Section is an
exclusive power and function of the State and is |
a denial and limitation under
Article VII, Section 6, |
subsection (h) of the Illinois Constitution. A home
rule county |
to which this Section applies must comply with every provision |
of
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. |
(Source: P.A. 97-282, eff. 8-9-11; 97-343, eff. 1-1-12; 97-813, |
eff. 7-13-12; 98-189, eff. 1-1-14; 98-1091, eff. 1-1-15 .) |
|
Section 5-55. The Illinois Municipal Code is amended by |
changing Section 10-4-2.3 as follows: |
(65 ILCS 5/10-4-2.3)
|
Sec. 10-4-2.3. Required health benefits. If a |
municipality, including a
home rule municipality, is a |
self-insurer for purposes of providing health
insurance |
coverage for its employees, the coverage shall include coverage |
for
the post-mastectomy care benefits required to be covered by |
a policy of
accident and health insurance under Section 356t |
and the coverage required
under Sections 356g, 356g.5, |
356g.5-1, 356u, 356w, 356x, 356z.6, 356z.8, 356z.9, 356z.10, |
356z.11, 356z.12, 356z.13, 356z.14, 356z.15, and 356z.22 of the |
Illinois
Insurance
Code. The coverage shall comply with |
Sections 155.22a, 355b, and 356z.19 , and 370c of
the Illinois |
Insurance Code. The requirement that health
benefits be covered |
as provided in this is an exclusive power and function of
the |
State and is a denial and limitation under Article VII, Section |
6,
subsection (h) of the Illinois Constitution. A home rule |
municipality to which
this Section applies must comply with |
every provision of 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. |
(Source: P.A. 97-282, eff. 8-9-11; 97-343, eff. 1-1-12; 97-813, |
eff. 7-13-12; 98-189, eff. 1-1-14; 98-1091, eff. 1-1-15 .) |
Section 5-60. The School Code is amended by changing |
Section 22-30 and adding Section 22-80 as follows:
|
(105 ILCS 5/22-30)
|
Sec. 22-30. Self-administration and self-carry of asthma |
medication and epinephrine auto-injectors; administration of |
undesignated epinephrine auto-injectors ; administration of an |
opioid antagonist .
|
(a) For the purpose of this Section only, the following |
terms shall have the meanings set forth below:
|
"Asthma inhaler" means a quick reliever asthma inhaler. |
"Epinephrine auto-injector" means a single-use device used |
for the automatic injection of a pre-measured dose of |
epinephrine into the human body.
|
"Asthma medication" means a medicine, prescribed by (i) a |
physician
licensed to practice medicine in all its branches,
|
(ii) a physician assistant who has been delegated prescriptive |
authority the authority to prescribe
asthma
medications by his |
or her supervising physician, or (iii) an advanced practice
|
nurse who has a written
collaborative agreement with a |
collaborating physician that delegates prescriptive authority |
the
authority
to prescribe asthma medications ,
for a pupil that |
|
pertains to the pupil's
asthma and that has an individual |
prescription label.
|
"Opioid antagonist" means a drug that binds to opioid |
receptors and blocks or inhibits the effect of opioids acting |
on those receptors, including, but not limited to, naloxone |
hydrochloride or any other similarly acting drug approved by |
the U.S. Food and Drug Administration. |
"School nurse" means a registered nurse working in a school |
with or without licensure endorsed in school nursing. |
"Self-administration" means a pupil's discretionary use of |
his or
her prescribed asthma medication or epinephrine |
auto-injector.
|
"Self-carry" means a pupil's ability to carry his or her |
prescribed asthma medication or epinephrine auto-injector. |
"Standing protocol" may be issued by (i) a physician |
licensed to practice medicine in all its branches, (ii) a |
physician assistant who has been delegated prescriptive |
authority the authority to prescribe asthma medications or |
epinephrine auto-injectors by his or her supervising |
physician, or (iii) an advanced practice nurse who has a |
collaborative agreement with a collaborating physician that |
delegates prescriptive authority to issue a standing protocol |
for asthma medications or epinephrine auto-injectors . |
"Trained personnel" means any school employee or volunteer |
personnel authorized in Sections 10-22.34, 10-22.34a, and |
10-22.34b of this Code who has completed training under |
|
subsection (g) of this Section to recognize and respond to |
anaphylaxis. |
"Undesignated epinephrine auto-injector" means an |
epinephrine auto-injector prescribed in the name of a school |
district, public school, or nonpublic school. |
(b) A school, whether public or nonpublic, must permit the
|
self-administration and self-carry of asthma
medication by a |
pupil with asthma or the self-administration and self-carry of |
an epinephrine auto-injector by a pupil, provided that:
|
(1) the parents or
guardians of the pupil provide to |
the school (i) written
authorization from the parents or |
guardians for (A) the self-administration and self-carry |
of asthma medication or (B) the self-carry of asthma |
medication or (ii) for (A) the self-administration and |
self-carry of an epinephrine auto-injector or (B) the |
self-carry of an epinephrine auto-injector, written |
authorization from the pupil's physician, physician |
assistant, or advanced practice nurse; and
|
(2) the
parents or guardians of the pupil provide to |
the school (i) the prescription label, which must contain |
the name of the asthma medication, the prescribed dosage, |
and the time at which or circumstances under which the |
asthma medication is to be administered, or (ii) for the |
self-administration or self-carry of an epinephrine |
auto-injector, a
written
statement from the pupil's |
physician, physician assistant, or advanced practice
nurse |
|
containing
the following information:
|
(A) the name and purpose of the epinephrine |
auto-injector;
|
(B) the prescribed dosage; and
|
(C) the time or times at which or the special |
circumstances
under which the epinephrine |
auto-injector is to be administered.
|
The information provided shall be kept on file in the office of |
the school
nurse or,
in the absence of a school nurse, the |
school's administrator.
|
(b-5) A school district, public school, or nonpublic school |
may authorize the provision of a student-specific or |
undesignated epinephrine auto-injector to a student or any |
personnel authorized under a student's Individual Health Care |
Action Plan, Illinois Food Allergy Emergency Action Plan and |
Treatment Authorization Form, or plan pursuant to Section 504 |
of the federal Rehabilitation Act of 1973 to administer an |
epinephrine auto-injector to the student, that meets the |
student's prescription on file. |
(b-10) The school district, public school, or nonpublic |
school may authorize a school nurse or trained personnel to do |
the following: (i) provide an undesignated epinephrine |
auto-injector to a student for self-administration only or any |
personnel authorized under a student's Individual Health Care |
Action Plan, Illinois Food Allergy Emergency Action Plan and |
Treatment Authorization Form, or plan pursuant to Section 504 |
|
of the federal Rehabilitation Act of 1973 to administer to the |
student, that meets the student's prescription on file; (ii) |
administer an undesignated epinephrine auto-injector that |
meets the prescription on file to any student who has an |
Individual Health Care Action Plan, Illinois Food Allergy |
Emergency Action Plan and Treatment Authorization Form, or plan |
pursuant to Section 504 of the federal Rehabilitation Act of |
1973 that authorizes the use of an epinephrine auto-injector; |
and (iii) administer an undesignated epinephrine auto-injector |
to any person that the school nurse or trained personnel in |
good faith believes is having an anaphylactic reaction ; and |
(iv) administer an opioid antagonist to any person that the |
school nurse or trained personnel in good faith believes is |
having an opioid overdose . |
(c) The school district, public school, or nonpublic school |
must inform the parents or
guardians of the
pupil, in writing, |
that the school district, public school, or nonpublic school |
and its
employees and
agents, including a physician, physician |
assistant, or advanced practice nurse providing standing |
protocol or prescription for school epinephrine |
auto-injectors,
are to incur no liability or professional |
discipline, except for willful and wanton conduct, as a result
|
of any injury arising from the
administration of asthma |
medication , or of an epinephrine auto-injector , or an opioid |
antagonist regardless of whether authorization was given by the |
pupil's parents or guardians or by the pupil's physician, |
|
physician assistant, or advanced practice nurse. The parents or |
guardians
of the pupil must sign a statement acknowledging that |
the school district, public school,
or nonpublic school and its |
employees and agents are to incur no liability, except for |
willful and wanton
conduct, as a result of any injury arising
|
from the
administration of asthma medication , or of an |
epinephrine auto-injector , or an opioid antagonist regardless |
of whether authorization was given by the pupil's parents or |
guardians or by the pupil's physician, physician assistant, or |
advanced practice nurse and that the parents or
guardians must |
indemnify and hold harmless the school district, public school, |
or nonpublic
school and
its
employees and agents against any |
claims, except a claim based on willful and
wanton conduct, |
arising out of the
administration of asthma medication , or of |
an epinephrine auto-injector , or an opioid antagonist |
regardless of whether authorization was given by the pupil's |
parents or guardians or by the pupil's physician, physician |
assistant, or advanced practice nurse. |
(c-5) When Upon the effective date of this amendatory Act |
of the 98th General Assembly, when a school nurse or trained |
personnel administers an undesignated epinephrine |
auto-injector to a person whom the school nurse or trained |
personnel in good faith believes is having an anaphylactic |
reaction , or administers an opioid antagonist to a person whom |
the school nurse or trained personnel in good faith believes is |
having an opioid overdose , notwithstanding the lack of notice |
|
to the parents or guardians of the pupil or the absence of the |
parents or guardians signed statement acknowledging no |
liability, except for willful and wanton conduct, the school |
district, public school, or nonpublic school and its employees |
and agents, and a physician, a physician assistant, or an |
advanced practice nurse providing standing protocol or |
prescription for undesignated epinephrine auto-injectors, are |
to incur no liability or professional discipline, except for |
willful and wanton conduct, as a result of any injury arising |
from the use of an undesignated epinephrine auto-injector or |
the use of an opioid antagonist regardless of whether |
authorization was given by the pupil's parents or guardians or |
by the pupil's physician, physician assistant, or advanced |
practice nurse.
|
(d) The permission for self-administration and self-carry |
of asthma medication or the self-administration and self-carry |
of an epinephrine auto-injector is effective
for the school |
year for which it is granted and shall be renewed each
|
subsequent school year upon fulfillment of the requirements of |
this
Section.
|
(e) Provided that the requirements of this Section are |
fulfilled, a
pupil with asthma may self-administer and |
self-carry his or her asthma medication or a pupil may |
self-administer and self-carry an epinephrine auto-injector |
(i) while in
school, (ii) while at a school-sponsored activity, |
(iii) while under the
supervision of
school personnel, or (iv) |
|
before or after normal school activities, such
as while in |
before-school or after-school care on school-operated
|
property.
|
(e-5) Provided that the requirements of this Section are |
fulfilled, a school nurse or trained personnel may administer |
an undesignated epinephrine auto-injector to any person whom |
the school nurse or trained personnel in good faith believes to |
be having an anaphylactic reaction (i) while in school, (ii) |
while at a school-sponsored activity, (iii) while under the |
supervision of school personnel, or (iv) before or after normal |
school activities, such
as while in before-school or |
after-school care on school-operated property. A school nurse |
or trained personnel may carry undesignated epinephrine |
auto-injectors on his or her person while in school or at a |
school-sponsored activity. |
(e-10) Provided that the requirements of this Section are |
fulfilled, a school nurse or trained personnel may administer |
an opioid antagonist to any person whom the school nurse or |
trained personnel in good faith believes to be having an opioid |
overdose (i) while in school, (ii) while at a school-sponsored |
activity, (iii) while under the supervision of school |
personnel, or (iv) before or after normal school activities, |
such as while in before-school or after-school care on |
school-operated property. A school nurse or trained personnel |
may carry an opioid antagonist on their person while in school |
or at a school-sponsored activity. |
|
(f) The school district, public school, or nonpublic school |
may maintain a supply of undesignated epinephrine |
auto-injectors in any secure location where an allergic person |
is most at risk, including, but not limited to, classrooms and |
lunchrooms. A physician, a physician assistant who has been |
delegated prescriptive authority for asthma medication or |
epinephrine auto-injectors in accordance with Section 7.5 of |
the Physician Assistant Practice Act of 1987, or an advanced |
practice nurse who has been delegated prescriptive authority |
for asthma medication or epinephrine auto-injectors in |
accordance with Section 65-40 of the Nurse Practice Act may |
prescribe undesignated epinephrine auto-injectors in the name |
of the school district, public school, or nonpublic school to |
be maintained for use when necessary. Any supply of epinephrine |
auto-injectors shall be maintained in accordance with the |
manufacturer's instructions. |
The school district, public school, or nonpublic school may |
maintain a supply of an opioid antagonist in any secure |
location where an individual may have an opioid overdose. A |
health care professional who has been delegated prescriptive |
authority for opioid antagonists in accordance with Section |
5-23 of the Alcoholism and Other Drug Abuse and Dependency Act |
may prescribe opioid antagonists in the name of the school |
district, public school, or nonpublic school, to be maintained |
for use when necessary. Any supply of opioid antagonists shall |
be maintained in accordance with the manufacturer's |
|
instructions. |
(f-5) Upon any administration of an epinephrine |
auto-injector, a school district, public school, or nonpublic |
school must immediately activate the EMS system and notify the |
student's parent, guardian, or emergency contact, if known. |
Upon any administration of an opioid antagonist, a school |
district, public school, or nonpublic school must immediately |
activate the EMS system and notify the student's parent, |
guardian, or emergency contact, if known. |
(f-10) Within 24 hours of the administration of an |
undesignated epinephrine auto-injector, a school district, |
public school, or nonpublic school must notify the physician, |
physician assistant, or advance practice nurse who provided the |
standing protocol or prescription for the undesignated |
epinephrine auto-injector of its use. |
Within 24 hours after the administration of an opioid |
antagonist, a school district, public school, or nonpublic |
school must notify the health care professional who provided |
the prescription for the opioid antagonist of its use. |
(g) Prior to the administration of an undesignated |
epinephrine auto-injector, trained personnel must submit to |
his or her school's administration proof of completion of a |
training curriculum to recognize and respond to anaphylaxis |
that meets the requirements of subsection (h) of this Section. |
Training must be completed annually. Trained personnel must |
also submit to his or her school's administration proof of |
|
cardiopulmonary resuscitation and automated external |
defibrillator certification. The school district, public |
school, or nonpublic school must maintain records related to |
the training curriculum and trained personnel. |
Prior to the administration of an opioid antagonist, |
trained personnel must submit to their school's administration |
proof of completion of a training curriculum to recognize and |
respond to an opioid overdose, which curriculum must meet the |
requirements of subsection (h-5) of this Section. Training must |
be completed annually. Trained personnel must also submit to |
the school's administration proof of cardiopulmonary |
resuscitation and automated external defibrillator |
certification. The school district, public school, or |
nonpublic school must maintain records relating to the training |
curriculum and the trained personnel. |
(h) A training curriculum to recognize and respond to |
anaphylaxis, including the administration of an undesignated |
epinephrine auto-injector, may be conducted online or in |
person. It must include, but is not limited to: |
(1) how to recognize symptoms of an allergic reaction; |
(2) a review of high-risk areas within the school and |
its related facilities; |
(3) steps to take to prevent exposure to allergens; |
(4) how to respond to an emergency involving an |
allergic reaction; |
(5) how to administer an epinephrine auto-injector; |
|
(6) how to respond to a student with a known allergy as |
well as a student with a previously unknown allergy; |
(7) a test demonstrating competency of the knowledge |
required to recognize anaphylaxis and administer an |
epinephrine auto-injector; and |
(8) other criteria as determined in rules adopted |
pursuant to this Section. |
In consultation with statewide professional organizations |
representing physicians licensed to practice medicine in all of |
its branches, registered nurses, and school nurses, the State |
Board of Education shall make available resource materials |
consistent with criteria in this subsection (h) for educating |
trained personnel to recognize and respond to anaphylaxis. The |
State Board may take into consideration the curriculum on this |
subject developed by other states, as well as any other |
curricular materials suggested by medical experts and other |
groups that work on life-threatening allergy issues. The State |
Board is not required to create new resource materials. The |
State Board shall make these resource materials available on |
its Internet website. |
(h-5) A training curriculum to recognize and respond to an |
opioid overdose, including the administration of an opioid |
antagonist, may be conducted online or in person. The training |
must comply with any training requirements under Section 5-23 |
of the Alcoholism and Other Drug Abuse and Dependency Act and |
the corresponding rules. It must include, but is not limited |
|
to: |
(1) how to recognize symptoms of an opioid overdose; |
(2) information on drug overdose prevention and |
recognition; |
(3) how to perform rescue breathing and resuscitation; |
(4) how to respond to an emergency involving an opioid |
overdose; |
(5) opioid antagonist dosage and administration; |
(6) the importance of calling 911; |
(7) care for the overdose victim after administration |
of the overdose antagonist; |
(8) a test demonstrating competency of the knowledge |
required to recognize an opioid overdose and administer a |
dose of an opioid antagonist; and |
(9) other criteria as determined in rules adopted |
pursuant to this Section. |
(i) Within 3 days after the administration of an |
undesignated epinephrine auto-injector by a school nurse, |
trained personnel, or a student at a school or school-sponsored |
activity, the school must report to the Board in a form and |
manner prescribed by the Board the following information: |
(1) age and type of person receiving epinephrine |
(student, staff, visitor); |
(2) any previously known diagnosis of a severe allergy; |
(3) trigger that precipitated allergic episode; |
(4) location where symptoms developed; |
|
(5) number of doses administered; |
(6) type of person administering epinephrine (school |
nurse, trained personnel, student); and |
(7) any other information required by the Board. |
(i-5) Within 3 days after the administration of an opioid |
antagonist by a school nurse or trained personnel, the school |
must report to the Board, in a form and manner prescribed by |
the Board, the following information: |
(1) the age and type of person receiving the opioid |
antagonist (student, staff, or visitor); |
(2) the location where symptoms developed; |
(3) the type of person administering the opioid |
antagonist (school nurse or trained personnel); and |
(4) any other information required by the Board. |
(j) By October 1, 2015 and every year thereafter, the Board |
shall submit a report to the General Assembly identifying the |
frequency and circumstances of epinephrine administration |
during the preceding academic year. This report shall be |
published on the Board's Internet website on the date the |
report is delivered to the General Assembly. |
On or before October 1, 2016 and every year thereafter, the |
Board shall submit a report to the General Assembly and the |
Department of Public Health identifying the frequency and |
circumstances of opioid antagonist administration during the |
preceding academic year. This report shall be published on the |
State Board's Internet website on the date the report is |
|
delivered to the General Assembly. |
(k) The Board may adopt rules necessary to implement this |
Section. |
(Source: P.A. 97-361, eff. 8-15-11; 98-795, eff. 8-1-14.)
|
(105 ILCS 5/22-80 new) |
Sec. 22-80. Heroin and opioid prevention pilot program. By |
January 1, 2017, the State Board of Education and the |
Department of Human Services shall develop and establish a |
3-year heroin and opioid drug prevention pilot program that |
offers educational materials and instruction on heroin and |
opioid abuse to all school districts in the State for use at |
their respective public elementary and secondary schools. A |
school district's participation in the pilot program shall be |
voluntary. Subject to appropriation, the Department of Human |
Services shall reimburse a school district that decides to |
participate in the pilot program for any costs it incurs in |
connection with its participation in the pilot program. Each |
school district that participates in the pilot program shall |
have the discretion to determine which grade levels the school |
district will instruct under the program. |
The pilot program must use effective, research-proven, |
interactive teaching methods and technologies, and must |
provide students, parents, and school staff with scientific, |
social, and emotional learning content to help them understand |
the risk of drug use. Such learning content must specifically |
|
target the dangers of prescription pain medication and heroin |
abuse. The Department may contract with a health education |
organization to fulfill the requirements of the pilot program. |
The State Board of Education, the Department of Human |
Services, and any contracted organization shall submit an |
annual report to the General Assembly that includes: (i) a list |
of school districts participating in the pilot program; (ii) |
the grade levels each school district instructs under the pilot |
program; and (iii) any findings regarding the effectiveness of |
the pilot program. |
Section 5-65. The Emergency Medical Services (EMS) Systems |
Act is amended by changing Sections 3.30 and 3.50 as follows:
|
(210 ILCS 50/3.30)
|
Sec. 3.30. EMS Region Plan; Content.
|
(a) The EMS Medical Directors Committee shall address
at |
least the following:
|
(1) Protocols for inter-System/inter-Region
patient |
transports, including identifying the conditions of
|
emergency patients which may not be transported to the
|
different levels of emergency department, based on their
|
Department classifications and relevant Regional
|
considerations (e.g. transport times and distances);
|
(2) Regional standing medical orders;
|
(3) Patient transfer patterns, including criteria
for |
|
determining whether a patient needs the specialized
|
services of a trauma center, along with protocols for the
|
bypassing of or diversion to any hospital, trauma center or
|
regional trauma center which are consistent with |
individual
System bypass or diversion protocols and |
protocols for
patient choice or refusal;
|
(4) Protocols for resolving Regional or
Inter-System |
conflict;
|
(5) An EMS disaster preparedness plan which
includes |
the actions and responsibilities of all EMS
participants |
within the Region. Within 90 days of the effective date of |
this
amendatory Act of 1996, an EMS System shall submit to |
the Department for review
an internal disaster plan. At a |
minimum, the plan shall include contingency
plans for the |
transfer of patients to other facilities if an evacuation |
of the
hospital becomes necessary due to a catastrophe, |
including but not limited to, a
power failure;
|
(6) Regional standardization of continuing
education |
requirements;
|
(7) Regional standardization of Do Not
Resuscitate |
(DNR) policies, and protocols for power of
attorney for |
health care;
|
(8) Protocols for disbursement of Department
grants; |
and
|
(9) Protocols for the triage, treatment, and transport |
of possible acute stroke patients ; and . |
|
(10) Regional standing medical orders for the |
administration of opioid antagonists. |
(b) The Trauma Center Medical Directors or Trauma
Center |
Medical Directors Committee shall address at least
the |
following:
|
(1) The identification of Regional Trauma
Centers;
|
(2) Protocols for inter-System and inter-Region
trauma |
patient transports, including identifying the
conditions |
of emergency patients which may not be
transported to the |
different levels of emergency department,
based on their |
Department classifications and relevant
Regional |
considerations (e.g. transport times and
distances);
|
(3) Regional trauma standing medical orders;
|
(4) Trauma patient transfer patterns, including
|
criteria for determining whether a patient needs the
|
specialized services of a trauma center, along with
|
protocols for the bypassing of or diversion to any |
hospital,
trauma center or regional trauma center which are |
consistent
with individual System bypass or diversion |
protocols and
protocols for patient choice or refusal;
|
(5) The identification of which types of patients
can |
be cared for by Level I and Level II Trauma Centers;
|
(6) Criteria for inter-hospital transfer of
trauma |
patients;
|
(7) The treatment of trauma patients in each
trauma |
center within the Region;
|
|
(8) A program for conducting a quarterly
conference |
which shall include at a minimum a discussion of
morbidity |
and mortality between all professional staff
involved in |
the care of trauma patients;
|
(9) The establishment of a Regional trauma
quality |
assurance and improvement subcommittee, consisting of
|
trauma surgeons, which shall perform periodic medical |
audits
of each trauma center's trauma services, and forward
|
tabulated data from such reviews to the Department; and
|
(10) The establishment, within 90 days of the effective |
date of this
amendatory Act of 1996, of an internal |
disaster plan, which shall include, at a
minimum, |
contingency plans for the transfer of patients to other |
facilities if
an evacuation of the hospital becomes |
necessary due to a catastrophe, including
but not limited |
to, a power failure.
|
(c) The Region's EMS Medical Directors and Trauma
Center |
Medical Directors Committees shall appoint any
subcommittees |
which they deem necessary to address specific
issues concerning |
Region activities.
|
(Source: P.A. 96-514, eff. 1-1-10.)
|
(210 ILCS 50/3.50)
|
Sec. 3.50. Emergency Medical Services personnel licensure |
levels.
|
(a) "Emergency Medical Technician" or
"EMT" means a person |
|
who has successfully completed a course in basic life support
|
as approved 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. A valid Emergency Medical |
Technician-Basic (EMT-B) license issued under this Act shall |
continue to be valid and shall be recognized as an Emergency |
Medical Technician (EMT) license until the Emergency Medical |
Technician-Basic (EMT-B) license expires.
|
(b) "Emergency Medical Technician-Intermediate"
or "EMT-I" |
means a person who has successfully completed a
course in |
intermediate life support
as approved
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.
|
(b-5) "Advanced Emergency Medical Technician" or "A-EMT" |
means a person who has successfully completed a course in basic |
and limited advanced emergency medical care as approved 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) "Paramedic (EMT-P)" means a person who
has successfully |
completed a
course in advanced life support care
as approved
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. A valid Emergency Medical |
Technician-Paramedic (EMT-P) license issued under this Act |
shall continue to be valid and shall be recognized as a |
Paramedic license until the Emergency Medical |
Technician-Paramedic (EMT-P) license expires.
|
(c-5) "Emergency Medical Responder" or "EMR (First |
Responder)" means a person who has successfully completed a |
course in emergency medical response as approved by the |
Department and provides emergency medical response services |
prior to the arrival of an ambulance or specialized emergency |
medical services vehicle, in accordance with the level of care |
established by the National EMS Educational Standards |
Emergency Medical Responder course as modified by the |
Department. An Emergency Medical Responder who provides |
services as part of an EMS System response plan shall comply |
with the applicable sections of the Program Plan, as approved |
by the Department, of that EMS System. The Department shall |
have the authority to adopt rules governing the curriculum, |
practice, and necessary equipment applicable to Emergency |
Medical Responders. |
On the effective date of this amendatory Act of the 98th |
General Assembly, a person who is licensed by the Department as |
a First Responder and has completed a Department-approved |
course in first responder defibrillator training based on, or |
|
equivalent to, the National EMS Educational Standards or other |
standards previously recognized by the Department shall be |
eligible for licensure as an Emergency Medical Responder upon |
meeting the licensure requirements and submitting an |
application to the Department. A valid First Responder license |
issued under this Act shall continue to be valid and shall be |
recognized as an Emergency Medical Responder license until the |
First Responder license expires. |
(c-10) All EMS Systems and licensees shall be fully |
compliant with the National EMS Education Standards, as |
modified by the Department in administrative rules, within 24 |
months after the adoption of the administrative rules. |
(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 EMS personnel except for EMRs, based on the |
National EMS Educational Standards
and any modifications |
to those curricula specified by the
Department through |
rules adopted pursuant to this Act.
|
(2) Prescribe licensure testing requirements
for all |
levels of EMS personnel, which shall include a requirement |
that
all phases of instruction, training, and field |
experience be
completed before taking the appropriate |
licensure examination.
Candidates may elect to take the |
appropriate National Registry examination in lieu of the
|
|
Department's examination, but are responsible for making
|
their own arrangements for taking the National Registry
|
examination. In prescribing licensure testing requirements |
for honorably discharged members of the armed forces of the |
United States under this paragraph (2), the Department |
shall ensure that a candidate's military emergency medical |
training, emergency medical curriculum completed, and |
clinical experience, as described in paragraph (2.5), are |
recognized.
|
(2.5) Review applications for EMS personnel 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 EMS personnel examination |
for the level of license 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 |
level of EMS personnel
license issued. |
(3) License individuals as an EMR, EMT, EMT-I, A-EMT,
|
or Paramedic who have met the Department's education, |
training and
examination requirements.
|
(4) Prescribe annual continuing education and
|
relicensure requirements for all EMS personnel licensure
|
levels.
|
(5) Relicense individuals as an EMD, EMR, EMT, EMT-I, |
A-EMT,
or Paramedic every 4 years, based on their |
compliance with
continuing education and relicensure |
requirements as required by the Department pursuant to this |
Act. Every 4 years, a Paramedic shall have 100 hours of |
approved continuing education, an EMT-I and an advanced EMT |
shall have 80 hours of approved continuing education, and |
an EMT shall have 60 hours of approved continuing |
education. An Illinois licensed EMR, EMD, EMT, EMT-I, |
A-EMT, Paramedic, ECRN, or PHRN 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 EMS personnel license sought |
to be reinstated.
|
(6) Grant inactive status to any EMR, EMD, EMT, EMT-I, |
A-EMT, Paramedic, ECRN, or PHRN who
qualifies, based on |
standards and procedures established by
the Department in |
rules adopted pursuant to this Act.
|
(7) Charge a fee for EMS personnel 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) Prescribe education and training requirements in |
the administration and use of opioid antagonists for all |
levels of EMS personnel based on the National EMS |
|
Educational Standards and any modifications to those |
curricula specified by the Department through rules |
adopted pursuant to this Act. |
(d-5) An EMR, EMD, EMT, EMT-I, A-EMT, Paramedic, ECRN, or |
PHRN 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 fees described under paragraph (7) of subsection (d) of |
this Section on a form prescribed by the Department. |
The education requirements prescribed by the Department |
under this Section 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 of the applicable EMS personnel license 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. 97-333, eff. 8-12-11; 97-509, eff. 8-23-11; |
97-813, eff. 7-13-12; 97-1014, eff. 1-1-13; 98-53, eff. 1-1-14; |
98-463, eff. 8-16-13; 98-973, eff. 8-15-14.)
|
Section 5-70. The Hospital Licensing Act is amended by |
adding Section 6.14g as follows: |
(210 ILCS 85/6.14g new) |
Sec. 6.14g. Reports to the Department; opioid overdoses. |
(a) As used in this Section: |
"Overdose" has the same meaning as provided in Section 414 |
of the Illinois Controlled Substances Act. |
"Health care professional" includes a physician licensed |
to practice medicine in all its branches, a physician |
assistant, or an advanced practice nurse licensed in the State. |
(b) When treatment is provided in a hospital's emergency |
department, a health care professional who treats a drug |
overdose or hospital administrator or designee shall report the |
case to the Department of Public Health within 48 hours of |
providing treatment for the drug overdose or at such time the |
drug overdose is confirmed. The Department shall by rule create |
a form for this purpose which requires the following |
|
information, if known: (1) whether an opioid antagonist was |
administered; (2) the cause of the overdose; and (3) the |
demographic information of the person treated. The Department |
shall create the form with input from the statewide association |
representing a majority of hospitals in Illinois. The person |
completing the form may not disclose the name, address, or any |
other personal information of the individual experiencing the |
overdose. |
(c) The identity of the person and entity reporting under |
this subsection shall not be disclosed to the subject of the |
report. For the purposes of this subsection, the health care |
professional, hospital administrator, or designee making the |
report and his or her employer shall not be held criminally, |
civilly, or professionally liable for reporting under this |
subsection, except for willful or wanton misconduct. |
(d) The Department shall provide a semiannual report to the |
General Assembly summarizing the reports received. The |
Department shall also provide on its website a monthly report |
of drug overdose figures. The figures shall be organized by the |
overdose location, the age of the victim, the cause of the |
overdose, and any other factors the Department deems |
appropriate. |
Section 5-72. The Safe Pharmaceutical Disposal Act is |
amended by changing Section 17 as follows: |
|
(210 ILCS 150/17) |
Sec. 17. Pharmaceutical disposal. Notwithstanding any
|
provision of law, any city, village, or municipality may
|
authorize the use of its city hall or police department to
|
display a container suitable for use as a receptacle for used,
|
expired, or unwanted pharmaceuticals. These used, expired, or
|
unwanted pharmaceuticals may include unused medication and |
prescription drugs , as well as controlled substances if |
collected in accordance with federal law . This
receptacle shall |
only permit the deposit of items, and the
contents shall be |
locked and secured. The container shall be
accessible to the |
public and shall have posted clearly legible
signage indicating |
that expired or unwanted prescription drugs
may be disposed of |
in the receptacle.
|
(Source: P.A. 97-546, eff. 1-1-12.) |
Section 5-75. The Illinois Insurance Code is amended by |
changing Sections 352, 370c, and 370c.1 and by adding Section |
356z.23 as follows:
|
(215 ILCS 5/352) (from Ch. 73, par. 964)
|
Sec. 352. Scope of Article.
|
(a) Except as provided in subsections (b), (c), (d), and |
(e),
this Article shall
apply to all companies transacting in |
this State the kinds of business
enumerated in clause (b) of |
Class 1 and clause (a) of Class 2 of section 4.
Nothing in this |
|
Article shall apply to, or in any way affect policies or
|
contracts described in clause (a) of Class 1 of Section 4; |
however, this
Article shall apply to policies and contracts |
which contain benefits
providing reimbursement for the |
expenses of long term health care which are
certified or |
ordered by a physician including but not limited to
|
professional nursing care, custodial nursing care, and |
non-nursing
custodial care provided in a nursing home or at a |
residence of the insured.
|
(b) (Blank). This Article does not apply to policies of |
accident and health
insurance issued in compliance with Article |
XIXB of this Code.
|
(c) A policy issued and delivered in this State
that |
provides coverage under that policy for
certificate holders who |
are neither residents of nor employed in this State
does not |
need to provide to those nonresident
certificate holders who |
are not employed in this State the coverages or
services |
mandated by this Article.
|
(d) Stop-loss insurance is exempt from all Sections
of this |
Article, except this Section and Sections 353a, 354, 357.30, |
and
370. For purposes of this exemption, stop-loss insurance is |
further defined as
follows:
|
(1) The policy must be issued to and insure an |
employer, trustee, or other
sponsor of the plan, or the |
plan itself, but not employees, members, or
participants.
|
(2) Payments by the insurer must be made to the |
|
employer, trustee, or
other sponsors of the plan, or the |
plan itself, but not to the employees,
members, |
participants, or health care providers.
|
(e) A policy issued or delivered in this State to the |
Department of Healthcare and Family Services (formerly
|
Illinois Department
of Public Aid) and providing coverage, |
under clause (b) of Class 1 or clause (a)
of Class 2 as |
described in Section 4, to persons who are enrolled under |
Article V of the Illinois
Public Aid Code or under the |
Children's Health Insurance Program Act is
exempt from all |
restrictions, limitations,
standards, rules, or regulations |
respecting benefits imposed by or under
authority of this Code, |
except those specified by subsection (1) of Section
143 , |
Section 370c, and Section 370c.1 . Nothing in this subsection, |
however, affects the total medical services
available to |
persons eligible for medical assistance under the Illinois |
Public
Aid Code.
|
(Source: P.A. 95-331, eff. 8-21-07.)
|
(215 ILCS 5/356z.23 new) |
Sec. 356z.23. Coverage for opioid antagonists. |
(a) An individual or group policy of accident and health |
insurance amended, delivered, issued, or renewed in this State |
after the effective date of this amendatory Act of the 99th |
General Assembly that provides coverage for prescription drugs |
must provide coverage for at least one opioid antagonist, |
|
including the medication product, administration devices, and |
any pharmacy administration fees related to the dispensing of |
the opioid antagonist. This coverage must include refills for |
expired or utilized opioid antagonists. |
(b) As used in this Section, "opioid antagonist" means a |
drug that binds to opioid receptors and blocks or inhibits the |
effect of opioids acting on those receptors, including, but not |
limited to, naloxone hydrochloride or any other similarly |
acting drug approved by the U.S. Food and Drug Administration.
|
(215 ILCS 5/370c) (from Ch. 73, par. 982c)
|
Sec. 370c. Mental and emotional disorders.
|
(a) (1) On and after the effective date of this amendatory |
Act of the 97th General Assembly,
every insurer which amends, |
delivers, issues, or renews
group accident and health policies |
providing coverage for hospital or medical treatment or
|
services for illness on an expense-incurred basis shall offer |
to the
applicant or group policyholder subject to the insurer's |
standards of
insurability, coverage for reasonable and |
necessary treatment and services
for mental, emotional or |
nervous disorders or conditions, other than serious
mental |
illnesses as defined in item (2) of subsection (b), consistent |
with the parity requirements of Section 370c.1 of this Code.
|
(2) Each insured that is covered for mental, emotional, |
nervous, or substance use
disorders or conditions shall be free |
to select the physician licensed to
practice medicine in all |
|
its branches, licensed clinical psychologist,
licensed |
clinical social worker, licensed clinical professional |
counselor, licensed marriage and family therapist, licensed |
speech-language pathologist, or other licensed or certified |
professional at a program licensed pursuant to the Illinois |
Alcoholism and Other Drug Abuse and Dependency Act of
his |
choice to treat such disorders, and
the insurer shall pay the |
covered charges of such physician licensed to
practice medicine |
in all its branches, licensed clinical psychologist,
licensed |
clinical social worker, licensed clinical professional |
counselor, licensed marriage and family therapist, licensed |
speech-language pathologist, or other licensed or certified |
professional at a program licensed pursuant to the Illinois |
Alcoholism and Other Drug Abuse and Dependency Act up
to the |
limits of coverage, provided (i)
the disorder or condition |
treated is covered by the policy, and (ii) the
physician, |
licensed psychologist, licensed clinical social worker, |
licensed
clinical professional counselor, licensed marriage |
and family therapist, licensed speech-language pathologist, or |
other licensed or certified professional at a program licensed |
pursuant to the Illinois Alcoholism and Other Drug Abuse and |
Dependency Act is
authorized to provide said services under the |
statutes of this State and in
accordance with accepted |
principles of his profession.
|
(3) Insofar as this Section applies solely to licensed |
clinical social
workers, licensed clinical professional |
|
counselors, licensed marriage and family therapists, licensed |
speech-language pathologists, and other licensed or certified |
professionals at programs licensed pursuant to the Illinois |
Alcoholism and Other Drug Abuse and Dependency Act, those |
persons who may
provide services to individuals shall do so
|
after the licensed clinical social worker, licensed clinical |
professional
counselor, licensed marriage and family |
therapist, licensed speech-language pathologist, or other |
licensed or certified professional at a program licensed |
pursuant to the Illinois Alcoholism and Other Drug Abuse and |
Dependency Act has informed the patient of the
desirability of |
the patient conferring with the patient's primary care
|
physician and the licensed clinical social worker, licensed |
clinical
professional counselor, licensed marriage and family |
therapist, licensed speech-language pathologist, or other |
licensed or certified professional at a program licensed |
pursuant to the Illinois Alcoholism and Other Drug Abuse and |
Dependency Act has
provided written
notification to the |
patient's primary care physician, if any, that services
are |
being provided to the patient. That notification may, however, |
be
waived by the patient on a written form. Those forms shall |
be retained by
the licensed clinical social worker, licensed |
clinical professional counselor, licensed marriage and family |
therapist, licensed speech-language pathologist, or other |
licensed or certified professional at a program licensed |
pursuant to the Illinois Alcoholism and Other Drug Abuse and |
|
Dependency Act
for a period of not less than 5 years.
|
(b) (1) An insurer that provides coverage for hospital or |
medical
expenses under a group policy of accident and health |
insurance or
health care plan amended, delivered, issued, or |
renewed on or after the effective
date of this amendatory Act |
of the 97th General Assembly shall provide coverage
under the |
policy for treatment of serious mental illness and substance |
use disorders consistent with the parity requirements of |
Section 370c.1 of this Code. This subsection does not apply to |
any group policy of accident and health insurance or health |
care plan for any plan year of a small employer as defined in |
Section 5 of the Illinois Health Insurance Portability and |
Accountability Act.
|
(2) "Serious mental illness" means the following |
psychiatric illnesses as
defined in the most current edition of |
the Diagnostic and Statistical Manual
(DSM) published by the |
American Psychiatric Association:
|
(A) schizophrenia;
|
(B) paranoid and other psychotic disorders;
|
(C) bipolar disorders (hypomanic, manic, depressive, |
and mixed);
|
(D) major depressive disorders (single episode or |
recurrent);
|
(E) schizoaffective disorders (bipolar or depressive);
|
(F) pervasive developmental disorders;
|
(G) obsessive-compulsive disorders;
|
|
(H) depression in childhood and adolescence;
|
(I) panic disorder; |
(J) post-traumatic stress disorders (acute, chronic, |
or with delayed onset); and
|
(K) anorexia nervosa and bulimia nervosa. |
(2.5) "Substance use disorder" means the following mental |
disorders as defined in the most current edition of the |
Diagnostic and Statistical Manual (DSM) published by the |
American Psychiatric Association: |
(A) substance abuse disorders; |
(B) substance dependence disorders; and |
(C) substance induced disorders. |
(3) Unless otherwise prohibited by federal law and |
consistent with the parity requirements of Section 370c.1 of |
this Code, the reimbursing insurer, a provider of treatment of
|
serious mental illness or substance use disorder shall furnish |
medical records or other necessary data
that substantiate that |
initial or continued treatment is at all times medically
|
necessary. An insurer shall provide a mechanism for the timely |
review by a
provider holding the same license and practicing in |
the same specialty as the
patient's provider, who is |
unaffiliated with the insurer, jointly selected by
the patient |
(or the patient's next of kin or legal representative if the
|
patient is unable to act for himself or herself), the patient's |
provider, and
the insurer in the event of a dispute between the |
insurer and patient's
provider regarding the medical necessity |
|
of a treatment proposed by a patient's
provider. If the |
reviewing provider determines the treatment to be medically
|
necessary, the insurer shall provide reimbursement for the |
treatment. Future
contractual or employment actions by the |
insurer regarding the patient's
provider may not be based on |
the provider's participation in this procedure.
Nothing |
prevents
the insured from agreeing in writing to continue |
treatment at his or her
expense. When making a determination of |
the medical necessity for a treatment
modality for serious |
mental illness or substance use disorder, an insurer must make |
the determination in a
manner that is consistent with the |
manner used to make that determination with
respect to other |
diseases or illnesses covered under the policy, including an
|
appeals process. Medical necessity determinations for |
substance use disorders shall be made in accordance with |
appropriate patient placement criteria established by the |
American Society of Addiction Medicine. No additional criteria |
may be used to make medical necessity determinations for |
substance use disorders.
|
(4) A group health benefit plan amended, delivered, issued, |
or renewed on or after the effective date of this amendatory |
Act of the 97th General Assembly:
|
(A) shall provide coverage based upon medical |
necessity for the
treatment of mental illness and substance |
use disorders consistent with the parity requirements of |
Section 370c.1 of this Code; provided, however, that in |
|
each calendar year coverage shall not be less than the |
following:
|
(i) 45 days of inpatient treatment; and
|
(ii) beginning on June 26, 2006 (the effective date |
of Public Act 94-921), 60 visits for outpatient |
treatment including group and individual
outpatient |
treatment; and |
(iii) for plans or policies delivered, issued for |
delivery, renewed, or modified after January 1, 2007 |
(the effective date of Public Act 94-906),
20 |
additional outpatient visits for speech therapy for |
treatment of pervasive developmental disorders that |
will be in addition to speech therapy provided pursuant |
to item (ii) of this subparagraph (A); and
|
(B) may not include a lifetime limit on the number of |
days of inpatient
treatment or the number of outpatient |
visits covered under the plan.
|
(C) (Blank).
|
(5) An issuer of a group health benefit plan may not count |
toward the number
of outpatient visits required to be covered |
under this Section an outpatient
visit for the purpose of |
medication management and shall cover the outpatient
visits |
under the same terms and conditions as it covers outpatient |
visits for
the treatment of physical illness.
|
(5.5) An individual or group health benefit plan amended, |
delivered, issued, or renewed on or after the effective date of |
|
this amendatory Act of the 99th General Assembly shall offer |
coverage for medically necessary acute treatment services and |
medically necessary clinical stabilization services. The |
treating provider shall base all treatment recommendations and |
the health benefit plan shall base all medical necessity |
determinations for substance use disorders in accordance with |
the most current edition of the American Society of Addiction |
Medicine Patient Placement Criteria. |
As used in this subsection: |
"Acute treatment services" means 24-hour medically |
supervised addiction treatment that provides evaluation and |
withdrawal management and may include biopsychosocial |
assessment, individual and group counseling, psychoeducational |
groups, and discharge planning. |
"Clinical stabilization services" means 24-hour treatment, |
usually following acute treatment services for substance |
abuse, which may include intensive education and counseling |
regarding the nature of addiction and its consequences, relapse |
prevention, outreach to families and significant others, and |
aftercare planning for individuals beginning to engage in |
recovery from addiction. |
(6) An issuer of a group health benefit
plan may provide or |
offer coverage required under this Section through a
managed |
care plan.
|
(7) (Blank).
|
(8)
(Blank).
|
|
(9) With respect to substance use disorders, coverage for |
inpatient treatment shall include coverage for treatment in a |
residential treatment center licensed by the Department of |
Public Health or the Department of Human Services , Division of |
Alcoholism and Substance Abuse . |
(c) This Section shall not be interpreted to require |
coverage for speech therapy or other habilitative services for |
those individuals covered under Section 356z.15
of this Code. |
(d) The Department shall enforce the requirements of State |
and federal parity law, which includes ensuring compliance by |
individual and group policies; detecting violations of the law |
by individual and group policies proactively monitoring |
discriminatory practices; accepting, evaluating, and |
responding to complaints regarding such violations; and |
ensuring violations are appropriately remedied and deterred. |
(e) Availability of plan information. |
(1) The criteria for medical necessity determinations |
made under a group health plan with respect to mental |
health or substance use disorder benefits (or health |
insurance coverage offered in connection with the plan with |
respect to such benefits) must be made available by the |
plan administrator (or the health insurance issuer |
offering such coverage) to any current or potential |
participant, beneficiary, or contracting provider upon |
request. |
(2) The reason for any denial under a group health plan |
|
(or health insurance coverage offered in connection with |
such plan) of reimbursement or payment for services with |
respect to mental health or substance use disorder benefits |
in the case of any participant or beneficiary must be made |
available within a reasonable time and in a reasonable |
manner by the plan administrator (or the health insurance |
issuer offering such coverage) to the participant or |
beneficiary upon request. |
(f) As used in this Section, "group policy of accident and |
health insurance" and "group health benefit plan" includes (1) |
State-regulated employer-sponsored group health insurance |
plans written in Illinois and (2) State employee health plans. |
(Source: P.A. 96-328, eff. 8-11-09; 96-1000, eff. 7-2-10; |
97-437, eff. 8-18-11.) |
(215 ILCS 5/370c.1) |
Sec. 370c.1. Mental health and addiction parity. |
(a) On and after the effective date of this amendatory Act |
of the 99th General Assembly this amendatory Act of the 97th |
General Assembly , every insurer that amends, delivers, issues, |
or renews a group or individual policy of accident and health |
insurance or a qualified health plan offered through the Health |
Insurance Marketplace policy of accident and health insurance |
in this State providing coverage for hospital or medical |
treatment and for the treatment of mental, emotional, nervous, |
or substance use disorders or conditions shall ensure that: |
|
(1) the financial requirements applicable to such |
mental, emotional, nervous, or substance use disorder or |
condition benefits are no more restrictive than the |
predominant financial requirements applied to |
substantially all hospital and medical benefits covered by |
the policy and that there are no separate cost-sharing |
requirements that are applicable only with respect to |
mental, emotional, nervous, or substance use disorder or |
condition benefits; and |
(2) the treatment limitations applicable to such |
mental, emotional, nervous, or substance use disorder or |
condition benefits are no more restrictive than the |
predominant treatment limitations applied to substantially |
all hospital and medical benefits covered by the policy and |
that there are no separate treatment limitations that are |
applicable only with respect to mental, emotional, |
nervous, or substance use disorder or condition benefits. |
(b) The following provisions shall apply concerning |
aggregate lifetime limits: |
(1) In the case of a group or individual policy of |
accident and health insurance or a qualified health plan |
offered through the Health Insurance Marketplace policy of |
accident and health insurance amended, delivered, issued, |
or renewed in this State on or after the effective date of |
this amendatory Act of the 99th General Assembly this |
amendatory Act of the 97th General Assembly that provides |
|
coverage for hospital or medical treatment and for the |
treatment of mental, emotional, nervous, or substance use |
disorders or conditions the following provisions shall |
apply: |
(A) if the policy does not include an aggregate |
lifetime limit on substantially all hospital and |
medical benefits, then the policy may not impose any |
aggregate lifetime limit on mental, emotional, |
nervous, or substance use disorder or condition |
benefits; or |
(B) if the policy includes an aggregate lifetime |
limit on substantially all hospital and medical |
benefits (in this subsection referred to as the |
"applicable lifetime limit"), then the policy shall |
either: |
(i) apply the applicable lifetime limit both |
to the hospital and medical benefits to which it |
otherwise would apply and to mental, emotional, |
nervous, or substance use disorder or condition |
benefits and not distinguish in the application of |
the limit between the hospital and medical |
benefits and mental, emotional, nervous, or |
substance use disorder or condition benefits; or |
(ii) not include any aggregate lifetime limit |
on mental, emotional, nervous, or substance use |
disorder or condition benefits that is less than |
|
the applicable lifetime limit. |
(2) In the case of a policy that is not described in |
paragraph (1) of subsection (b) of this Section and that |
includes no or different aggregate lifetime limits on |
different categories of hospital and medical benefits, the |
Director shall establish rules under which subparagraph |
(B) of paragraph (1) of subsection (b) of this Section is |
applied to such policy with respect to mental, emotional, |
nervous, or substance use disorder or condition benefits by |
substituting for the applicable lifetime limit an average |
aggregate lifetime limit that is computed taking into |
account the weighted average of the aggregate lifetime |
limits applicable to such categories. |
(c) The following provisions shall apply concerning annual |
limits: |
(1) In the case of a group or individual policy of |
accident and health insurance or a qualified health plan |
offered through the Health Insurance Marketplace policy of |
accident and health insurance amended, delivered, issued, |
or renewed in this State on or after the effective date of |
this amendatory Act of the 99th General Assembly this |
amendatory Act of the 97th General Assembly that provides |
coverage for hospital or medical treatment and for the |
treatment of mental, emotional, nervous, or substance use |
disorders or conditions the following provisions shall |
apply: |
|
(A) if the policy does not include an annual limit |
on substantially all hospital and medical benefits, |
then the policy may not impose any annual limits on |
mental, emotional, nervous, or substance use disorder |
or condition benefits; or |
(B) if the policy includes an annual limit on |
substantially all hospital and medical benefits (in |
this subsection referred to as the "applicable annual |
limit"), then the policy shall either: |
(i) apply the applicable annual limit both to |
the hospital and medical benefits to which it |
otherwise would apply and to mental, emotional, |
nervous, or substance use disorder or condition |
benefits and not distinguish in the application of |
the limit between the hospital and medical |
benefits and mental, emotional, nervous, or |
substance use disorder or condition benefits; or |
(ii) not include any annual limit on mental, |
emotional, nervous, or substance use disorder or |
condition benefits that is less than the |
applicable annual limit. |
(2) In the case of a policy that is not described in |
paragraph (1) of subsection (c) of this Section and that |
includes no or different annual limits on different |
categories of hospital and medical benefits, the Director |
shall establish rules under which subparagraph (B) of |
|
paragraph (1) of subsection (c) of this Section is applied |
to such policy with respect to mental, emotional, nervous, |
or substance use disorder or condition benefits by |
substituting for the applicable annual limit an average |
annual limit that is computed taking into account the |
weighted average of the annual limits applicable to such |
categories. |
(d) With respect to substance use disorders, an insurer |
shall use policies and procedures for the election and |
placement of substance abuse treatment drugs on their formulary |
that are no less favorable to the insured as those policies and |
procedures the insurer uses for the selection and placement of |
other drugs and shall follow the expedited coverage |
determination requirements for substance abuse treatment drugs |
set forth in Section 45.2 of the Managed Care Reform and |
Patient Rights Act. |
(e) (d) This Section shall be interpreted in a manner |
consistent with all applicable federal parity regulations |
including, but not limited to, the Mental Health Parity and |
Addiction Equity Act of 2008 at 78 FR 68240. the interim final |
regulations promulgated by the U.S. Department of Health and |
Human Services at 75 FR 5410, including the prohibition against |
applying a cumulative financial requirement or cumulative |
quantitative treatment limitation for mental, emotional, |
nervous, or substance use disorder benefits that accumulates |
separately from any cumulative financial requirement or |
|
cumulative quantitative treatment limitation established for |
hospital and medical benefits in the same classification. |
(f) (e) The provisions of subsections (b) and (c) of this |
Section shall not be interpreted to allow the use of lifetime |
or annual limits otherwise prohibited by State or federal law. |
(f) This Section shall not apply to individual health |
insurance coverage as defined in Section 5 of the Illinois |
Health Insurance Portability and Accountability Act. |
(g) As used in this Section: |
"Financial requirement" includes deductibles, copayments, |
coinsurance, and out-of-pocket maximums, but does not include |
an aggregate lifetime limit or an annual limit subject to |
subsections (b) and (c). |
"Treatment limitation" includes limits on benefits based |
on the frequency of treatment, number of visits, days of |
coverage, days in a waiting period, or other similar limits on |
the scope or duration of treatment. "Treatment limitation" |
includes both quantitative treatment limitations, which are |
expressed numerically (such as 50 outpatient visits per year), |
and nonquantitative treatment limitations, which otherwise |
limit the scope or duration of treatment. A permanent exclusion |
of all benefits for a particular condition or disorder shall |
not be considered a treatment limitation. "Nonquantitative |
treatment" means those limitations as described under federal |
regulations (26 CFR 54.9812-1).
|
(h) The Department of Insurance shall implement the |
|
following education initiatives: |
(1) By January 1, 2016, the Department shall develop a |
plan for a Consumer Education Campaign on parity. The |
Consumer Education Campaign shall focus its efforts |
throughout the State and include trainings in the northern, |
southern, and central regions of the State, as defined by |
the Department, as well as each of the 5 managed care |
regions of the State as identified by the Department of |
Healthcare and Family Services. Under this Consumer |
Education Campaign, the Department shall: (1) by January 1, |
2017, provide at least one live training in each region on |
parity for consumers and providers and one webinar training |
to be posted on the Department website and (2) establish a |
consumer hotline to assist consumers in navigating the |
parity process by March 1, 2016. By January 1, 2018 the |
Department shall issue a report to the General Assembly on |
the success of the Consumer Education Campaign, which shall |
indicate whether additional training is necessary or would |
be recommended. |
(2) The Department, in coordination with the |
Department of Human Services and the Department of |
Healthcare and Family Services, shall convene a working |
group of health care insurance carriers, mental health |
advocacy groups, substance abuse patient advocacy groups, |
and mental health physician groups for the purpose of |
discussing issues related to the treatment and coverage of |
|
substance abuse disorders and mental illness. The working |
group shall meet once before January 1, 2016 and shall meet |
semiannually thereafter. The Department shall issue an |
annual report to the General Assembly that includes a list |
of the health care insurance carriers, mental health |
advocacy groups, substance abuse patient advocacy groups, |
and mental health physician groups that participated in the |
working group meetings, details on the issues and topics |
covered, and any legislative recommendations. |
(i) The Parity Education Fund is created as a special fund |
in the State treasury. Moneys deposited into the Fund for |
appropriation by the General Assembly to the Department of |
Insurance shall be used for the purpose of providing financial |
support of the Consumer Education Campaign. |
(Source: P.A. 97-437, eff. 8-18-11.) |
Section 5-80. The Health Carrier External Review Act is |
amended by changing Sections 20 and 35 as follows: |
(215 ILCS 180/20)
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Sec. 20. Notice of right to external review. |
(a) At the same time the health carrier sends written |
notice of a covered person's right to appeal a coverage |
decision upon an adverse determination or a final adverse |
determination, a health carrier shall notify a covered person, |
the covered person's authorized representative, if any, and a |
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covered person's health care provider in writing of the covered |
person's right to request an external review as provided by |
this Act. The written notice required shall include the |
following, or substantially equivalent, language: "We have |
denied your request for the provision of or payment for a |
health care service or course of treatment. You have the right |
to have our decision reviewed by an independent review |
organization not associated with us by submitting a written |
request for an external review to the Department of Insurance, |
Office of Consumer Health Information, 320 West Washington |
Street, 4th Floor, Springfield, Illinois, 62767.". The written |
notice shall include a copy of the Department's Request for |
External Review form. |
(a-5) The Department may prescribe the form and content of |
the notice required under this Section. |
(b) In addition to the notice required in subsection (a), |
for a notice related to an adverse determination, the health |
carrier shall include a statement informing the covered person |
of all of the following: |
(1) If the covered person has a medical condition where |
the timeframe for completion of (A) an expedited internal |
review of an appeal involving an adverse determination, (B) |
a final adverse determination, or (C) a standard external |
review as established in this Act, would seriously |
jeopardize the life or health of the covered person or |
would jeopardize the covered person's ability to regain |
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maximum function, then the covered person or the covered |
person's authorized representative may file a request for |
an expedited external review. |
(2) The covered person or the covered person's |
authorized representative may file an appeal under the |
health carrier's internal appeal process, but if the health |
carrier has not issued a written decision to the covered |
person or the covered person's authorized representative |
30 days following the date the covered person or the |
covered person's authorized representative files an appeal |
of an adverse determination that involves a concurrent or |
prospective review request or 60 days following the date |
the covered person or the covered person's authorized |
representative files an appeal of an adverse determination |
that involves a retrospective review request with the |
health carrier and the covered person or the covered |
person's authorized representative has not requested or |
agreed to a delay, then the covered person or the covered |
person's authorized representative may file a request for |
external review and shall be considered to have exhausted |
the health carrier's internal appeal process for purposes |
of this Act. |
(3) If the covered person or the covered person's |
authorized representative filed a request for an expedited |
internal review of an adverse determination and has not |
received a decision on such request from the health carrier |
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within 48 hours, except to the extent the covered person or |
the covered person's authorized representative requested |
or agreed to a delay, then the covered person or the |
covered person's authorized representative may file a |
request for external review and shall be considered to have |
exhausted the health carrier's internal appeal process for |
the purposes of this Act. |
(4) If an adverse determination concerns a denial of |
coverage based on a determination that the recommended or |
requested health care service or treatment is experimental |
or investigational and the covered person's health care |
provider certifies in writing that the recommended or |
requested health care service or treatment that is the |
subject of the request would be significantly less |
effective if not promptly initiated, then the covered |
person or the covered person's authorized representative |
may request an expedited external review at the same time |
the covered person or the covered person's authorized |
representative files a request for an expedited internal |
appeal involving an adverse determination. The independent |
review organization assigned to conduct the expedited |
external review shall determine whether the covered person |
is required to complete the expedited review of the appeal |
prior to conducting the expedited external review. |
(c) In addition to the notice required in subsection (a), |
for a notice related to a final adverse determination, the |
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health carrier shall include a statement informing the covered |
person of all of the following: |
(1) if the covered person has a medical condition where |
the timeframe for completion of a standard external review |
would seriously jeopardize the life or health of the |
covered person or would jeopardize the covered person's |
ability to regain maximum function, then the covered person |
or the covered person's authorized representative may file |
a request for an expedited external review; or |
(2) if a final adverse determination concerns an |
admission, availability of care, continued stay, or health |
care service for which the covered person received |
emergency services, but has not been discharged from a |
facility, then the covered person, or the covered person's |
authorized representative, may request an expedited |
external review; or |
(3) if a final adverse determination concerns a denial |
of coverage based on a determination that the recommended |
or requested health care service or treatment is |
experimental or investigational, and the covered person's |
health care provider certifies in writing that the |
recommended or requested health care service or treatment |
that is the subject of the request would be significantly |
less effective if not promptly initiated, then the covered |
person or the covered person's authorized representative |
may request an expedited external review. |
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(d) In addition to the information to be provided pursuant |
to subsections (a), (b), and (c) of this Section, the health |
carrier shall include a copy of the description of both the |
required standard and expedited external review procedures. |
The description shall highlight the external review procedures |
that give the covered person or the covered person's authorized |
representative the opportunity to submit additional |
information, including any forms used to process an external |
review.
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(e) As part of any forms provided under subsection (d) of |
this Section, the health carrier shall include an authorization |
form, or other document approved by the Director, by which the |
covered person, for purposes of conducting an external review |
under this Act, authorizes the health carrier and the covered |
person's treating health care provider to disclose protected |
health information, including medical records, concerning the |
covered person that is pertinent to the external review, as |
provided in the Illinois Insurance Code. |
(Source: P.A. 96-857, eff. 7-1-10; 97-574, eff. 8-26-11.) |
(215 ILCS 180/35)
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Sec. 35. Standard external review. |
(a) Within 4 months after the date of receipt of a notice |
of an adverse determination or final adverse determination, a |
covered person or the covered person's authorized |
representative may file a request for an external review with |
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the Director. Within one business day after the date of receipt |
of a request for external review, the Director shall send a |
copy of the request to the health carrier. |
(b) Within 5 business days following the date of receipt of |
the external review request, the health carrier shall complete |
a preliminary review of the request to determine whether:
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(1) the individual is or was a covered person in the |
health benefit plan at the time the health care service was |
requested or at the time the health care service was |
provided; |
(2) the health care service that is the subject of the |
adverse determination or the final adverse determination |
is a covered service under the covered person's health |
benefit plan, but the health carrier has determined that |
the health care service is not covered; |
(3) the covered person has exhausted the health |
carrier's internal appeal process unless the covered |
person is not required to exhaust the health carrier's |
internal appeal process pursuant to this Act; |
(4) (blank); and |
(5) the covered person has provided all the information |
and forms required to process an external review, as |
specified in this Act. |
(c) Within one business day after completion of the |
preliminary review, the health carrier shall notify the |
Director and covered person and, if applicable, the covered |
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person's authorized representative in writing whether the |
request is complete and eligible for external review. If the |
request: |
(1) is not complete, the health carrier shall inform |
the Director and covered person and, if applicable, the |
covered person's authorized representative in writing and |
include in the notice what information or materials are |
required by this Act to make the request complete; or |
(2) is not eligible for external review, the health |
carrier shall inform the Director and covered person and, |
if applicable, the covered person's authorized |
representative in writing and include in the notice the |
reasons for its ineligibility.
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The Department may specify the form for the health |
carrier's notice of initial determination under this |
subsection (c) and any supporting information to be included in |
the notice. |
The notice of initial determination of ineligibility shall |
include a statement informing the covered person and, if |
applicable, the covered person's authorized representative |
that a health carrier's initial determination that the external |
review request is ineligible for review may be appealed to the |
Director by filing a complaint with the Director. |
Notwithstanding a health carrier's initial determination |
that the request is ineligible for external review, the |
Director may determine that a request is eligible for external |
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review and require that it be referred for external review. In |
making such determination, the Director's decision shall be in |
accordance with the terms of the covered person's health |
benefit plan, unless such terms are inconsistent with |
applicable law, and shall be subject to all applicable |
provisions of this Act. |
(d) Whenever the Director receives notice that a request is |
eligible for external review following the preliminary review |
conducted pursuant to this Section, within one business day |
after the date of receipt of the notice, the Director shall: |
(1) assign an independent review organization from the |
list of approved independent review organizations compiled |
and maintained by the Director pursuant to this Act and |
notify the health carrier of the name of the assigned |
independent review organization; and |
(2) notify in writing the covered person and, if |
applicable, the covered person's authorized representative |
of the request's eligibility and acceptance for external |
review and the name of the independent review organization. |
The Director shall include in the notice provided to the |
covered person and, if applicable, the covered person's |
authorized representative a statement that the covered person |
or the covered person's authorized representative may, within 5 |
business days following the date of receipt of the notice |
provided pursuant to item (2) of this subsection (d), submit in |
writing to the assigned independent review organization |
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additional information that the independent review |
organization shall consider when conducting the external |
review. The independent review organization is not required to, |
but may, accept and consider additional information submitted |
after 5 business days. |
(e) The assignment by the Director of an approved |
independent review organization to conduct an external review |
in accordance with this Section shall be done on a random basis |
among those independent review organizations approved by the |
Director pursuant to this Act. |
(f) Within 5 business days after the date of receipt of the |
notice provided pursuant to item (1) of subsection (d) of this |
Section, the health carrier or its designee utilization review |
organization shall provide to the assigned independent review |
organization the documents and any information considered in |
making the adverse determination or final adverse |
determination; in such cases, the following provisions shall |
apply: |
(1) Except as provided in item (2) of this subsection |
(f), failure by the health carrier or its utilization |
review organization to provide the documents and |
information within the specified time frame shall not delay |
the conduct of the external review. |
(2) If the health carrier or its utilization review |
organization fails to provide the documents and |
information within the specified time frame, the assigned |
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independent review organization may terminate the external |
review and make a decision to reverse the adverse |
determination or final adverse determination. |
(3) Within one business day after making the decision |
to terminate the external review and make a decision to |
reverse the adverse determination or final adverse |
determination under item (2) of this subsection (f), the |
independent review organization shall notify the Director, |
the health carrier, the covered person and, if applicable, |
the covered person's authorized representative, of its |
decision to reverse the adverse determination. |
(g) Upon receipt of the information from the health carrier |
or its utilization review organization, the assigned |
independent review organization shall review all of the |
information and documents and any other information submitted |
in writing to the independent review organization by the |
covered person and the covered person's authorized |
representative. |
(h) Upon receipt of any information submitted by the |
covered person or the covered person's authorized |
representative, the independent review organization shall |
forward the information to the health carrier within 1 business |
day. |
(1) Upon receipt of the information, if any, the health |
carrier may reconsider its adverse determination or final |
adverse determination that is the subject of the external |
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review.
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(2) Reconsideration by the health carrier of its |
adverse determination or final adverse determination shall |
not delay or terminate the external review.
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(3) The external review may only be terminated if the |
health carrier decides, upon completion of its |
reconsideration, to reverse its adverse determination or |
final adverse determination and provide coverage or |
payment for the health care service that is the subject of |
the adverse determination or final adverse determination. |
In such cases, the following provisions shall apply: |
(A) Within one business day after making the |
decision to reverse its adverse determination or final |
adverse determination, the health carrier shall notify |
the Director, the covered person and, if applicable, |
the covered person's authorized representative, and |
the assigned independent review organization in |
writing of its decision. |
(B) Upon notice from the health carrier that the |
health carrier has made a decision to reverse its |
adverse determination or final adverse determination, |
the assigned independent review organization shall |
terminate the external review. |
(i) In addition to the documents and information provided |
by the health carrier or its utilization review organization |
and the covered person and the covered person's authorized |
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representative, if any, the independent review organization, |
to the extent the information or documents are available and |
the independent review organization considers them |
appropriate, shall consider the following in reaching a |
decision: |
(1) the covered person's pertinent medical records; |
(2) the covered person's health care provider's |
recommendation; |
(3) consulting reports from appropriate health care |
providers and other documents submitted by the health |
carrier or its designee utilization review organization, |
the covered person, the covered person's authorized |
representative, or the covered person's treating provider; |
(4) the terms of coverage under the covered person's |
health benefit plan with the health carrier to ensure that |
the independent review organization's decision is not |
contrary to the terms of coverage under the covered |
person's health benefit plan with the health carrier, |
unless the terms are inconsistent with applicable law; |
(5) the most appropriate practice guidelines, which |
shall include applicable evidence-based standards and may |
include any other practice guidelines developed by the |
federal government, national or professional medical |
societies, boards, and associations; |
(6) any applicable clinical review criteria developed |
and used by the health carrier or its designee utilization |
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review organization; |
(7) the opinion of the independent review |
organization's clinical reviewer or reviewers after |
considering items (1) through (6) of this subsection (i) to |
the extent the information or documents are available and |
the clinical reviewer or reviewers considers the |
information or documents appropriate; and |
(8) (blank) ; and . |
(9) in the case of medically necessary determinations |
for substance use disorders, the patient placement |
criteria established by the American Society of Addiction |
Medicine. |
(j) Within 5 days after the date of receipt of all |
necessary information, but in no event more than 45 days after |
the date of receipt of the request for an external review, the |
assigned independent review organization shall provide written |
notice of its decision to uphold or reverse the adverse |
determination or the final adverse determination to the |
Director, the health carrier, the covered person, and, if |
applicable, the covered person's authorized representative. In |
reaching a decision, the assigned independent review |
organization is not bound by any claim determinations reached |
prior to the submission of information to the independent |
review organization. In such cases, the following provisions |
shall apply: |
(1) The independent review organization shall include |
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in the notice: |
(A) a general description of the reason for the |
request for external review; |
(B) the date the independent review organization |
received the assignment from the Director to conduct |
the external review; |
(C) the time period during which the external |
review was conducted; |
(D) references to the evidence or documentation, |
including the evidence-based standards, considered in |
reaching its decision; |
(E) the date of its decision; |
(F) the principal reason or reasons for its |
decision, including what applicable, if any, |
evidence-based standards that were a basis for its |
decision; and
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(G) the rationale for its decision. |
(2) (Blank). |
(3) (Blank). |
(4) Upon receipt of a notice of a decision reversing |
the adverse determination or final adverse determination, |
the health carrier immediately shall approve the coverage |
that was the subject of the adverse determination or final |
adverse determination.
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(Source: P.A. 96-857, eff. 7-1-10; 96-967, eff. 1-1-11; 97-574, |
eff. 8-26-11.) |
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Section 5-85. The Illinois Public Aid Code is amended by |
changing Sections 5-5 and 5-16.8 as follows:
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(305 ILCS 5/5-5) (from Ch. 23, par. 5-5)
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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
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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 |
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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)
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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
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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 |
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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.
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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.
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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.
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Upon receipt of federal approval of an amendment to the |
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Illinois Title XIX State Plan for this purpose, the Department |
shall authorize the Chicago Public Schools (CPS) to procure a |
vendor or vendors to manufacture eyeglasses for individuals |
enrolled in a school within the CPS system. CPS shall ensure |
that its vendor or vendors are enrolled as providers in the |
medical assistance program and in any capitated Medicaid |
managed care entity (MCE) serving individuals enrolled in a |
school within the CPS system. Under any contract procured under |
this provision, the vendor or vendors must serve only |
individuals enrolled in a school within the CPS system. Claims |
for services provided by CPS's vendor or vendors to recipients |
of benefits in the medical assistance program under this Code, |
the Children's Health Insurance Program, or the Covering ALL |
KIDS Health Insurance Program shall be submitted to the |
Department or the MCE in which the individual is enrolled for |
payment and shall be reimbursed at the Department's or the |
MCE's established rates or rate methodologies for eyeglasses. |
On and after July 1, 2012, the Department of Healthcare and |
Family Services may provide the following services to
persons
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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
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(2) eyeglasses prescribed by a physician skilled in the |
|
diseases of the
eye, or by an optometrist, whichever the |
person may select.
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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.
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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. |
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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.
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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.
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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.
|
Notwithstanding any other law to the contrary, the Illinois |
Department shall, within 365 days after July 22, 2013 , (the |
effective date of Public Act 98-104), establish procedures to |
permit skilled care facilities licensed under the Nursing Home |
Care Act to submit monthly billing claims for reimbursement |
purposes. Following development of these procedures, the |
Department shall have an additional 365 days to test the |
viability of the new system and to ensure that any necessary |
|
operational or structural changes to its information |
technology platforms are implemented. |
Notwithstanding any other law to the contrary, the Illinois |
Department shall, within 365 days after August 15, 2014 ( the |
effective date of Public Act 98-963) this amendatory Act of the |
98th General Assembly , establish procedures to permit ID/DD |
facilities licensed under the ID/DD Community Care Act to |
submit monthly billing claims for reimbursement purposes. |
Following development of these procedures, the Department |
shall have an additional 365 days to test the viability of the |
new system and to ensure that any necessary operational or |
structural changes to its information technology platforms are |
implemented. |
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. |
(4) In the case of a provider operated by a unit of |
local government with a population exceeding 3,000,000 |
when local government funds finance federal participation |
for claims payments. |
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, within 5 days of |
receipt by the facility of required prescreening information, |
data for new admissions shall be entered into the Medical |
Electronic Data Interchange (MEDI) or the Recipient |
Eligibility Verification (REV) System or successor system, and |
within 15 days of receipt by the facility of required |
prescreening information, admission documents shall be |
submitted through MEDI or REV or shall be submitted directly to |
the Department of Human Services using required admission |
forms. Effective September
1, 2014, admission documents, |
|
including all prescreening
information, must be submitted |
through MEDI or REV. 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; and (v) no later than October |
1, 2013, establish procedures to permit long term care |
providers access to eligibility scores for individuals with an |
admission date who are seeking or receiving services from the |
long term care provider. 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. |
Because kidney transplantation can be an appropriate, cost |
effective
alternative to renal dialysis when medically |
necessary and notwithstanding the provisions of Section 1-11 of |
this Code, beginning October 1, 2014, the Department shall |
cover kidney transplantation for noncitizens with end-stage |
renal disease who are not eligible for comprehensive medical |
benefits, who meet the residency requirements of Section 5-3 of |
this Code, and who would otherwise meet the financial |
requirements of the appropriate class of eligible persons under |
Section 5-2 of this Code. To qualify for coverage of kidney |
transplantation, such person must be receiving emergency renal |
dialysis services covered by the Department. Providers under |
this Section shall be prior approved and certified by the |
Department to perform kidney transplantation and the services |
|
under this Section shall be limited to services associated with |
kidney transplantation. |
Notwithstanding any other provision of this Code to the |
contrary, on or after July 1, 2015, all FDA approved forms of |
medication assisted treatment prescribed for the treatment of |
alcohol dependence or treatment of opioid dependence shall be |
covered under both fee for service and managed care medical |
assistance programs for persons who are otherwise eligible for |
medical assistance under this Article and shall not be subject |
to any (1) utilization control, other than those established |
under the American Society of Addiction Medicine patient |
placement criteria,
(2) prior authorization mandate, or (3) |
lifetime restriction limit
mandate. |
On or after July 1, 2015, opioid antagonists prescribed for |
the treatment of an opioid overdose, including the medication |
product, administration devices, and any pharmacy fees related |
to the dispensing and administration of the opioid antagonist, |
shall be covered under the medical assistance program for |
persons who are otherwise eligible for medical assistance under |
this Article. As used in this Section, "opioid antagonist" |
means a drug that binds to opioid receptors and blocks or |
inhibits the effect of opioids acting on those receptors, |
including, but not limited to, naloxone hydrochloride or any |
other similarly acting drug approved by the U.S. Food and Drug |
Administration. |
(Source: P.A. 97-48, eff. 6-28-11; 97-638, eff. 1-1-12; 97-689, |
|
eff. 6-14-12; 97-1061, eff. 8-24-12; 98-104, Article 9, Section |
9-5, eff. 7-22-13; 98-104, Article 12, Section 12-20, eff. |
7-22-13; 98-303, eff. 8-9-13; 98-463, eff. 8-16-13; 98-651, |
eff. 6-16-14; 98-756, eff. 7-16-14; 98-963, eff. 8-15-14; |
revised 10-2-14.)
|
(305 ILCS 5/5-16.8)
|
Sec. 5-16.8. Required health benefits. The medical |
assistance program
shall
(i) provide the post-mastectomy care |
benefits required to be covered by a policy of
accident and |
health insurance under Section 356t and the coverage required
|
under Sections 356g.5, 356u, 356w, 356x, and 356z.6 of the |
Illinois
Insurance Code and (ii) be subject to the provisions |
of Sections 356z.19 , and 364.01 , 370c, and 370c.1 of the |
Illinois
Insurance Code.
|
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. 97-282, eff. 8-9-11; 97-689, eff. 6-14-12.)
|
Section 5-88. The Environmental Protection Act is amended |
by changing Section 22.55 as follows: |
(415 ILCS 5/22.55) |
|
Sec. 22.55. Household Waste Drop-off Points. |
(a) Findings; Purpose and Intent. |
(1) The General Assembly finds that protection of human |
health and the environment can be enhanced if certain |
commonly generated household wastes are managed separately |
from the general household waste stream. |
(2) The purpose of this Section is to provide, to the |
extent allowed under federal law, a method for managing |
certain types of household waste separately from the |
general household waste stream. |
(b) Definitions. For the purposes of this Section: |
"Controlled substance" means a controlled substance as |
defined in the Illinois Controlled Substances Act. |
"Household waste" means waste generated from a single |
residence or multiple residences. |
"Household waste drop-off point" means the portion of a |
site or facility used solely for the receipt and temporary |
storage of household waste. |
"One-day household waste collection event" means a |
household waste drop-off point approved by the Agency under |
subsection (d) of this Section. |
"Personal care product" means an item other than a |
pharmaceutical product that is consumed or applied by an |
individual for personal health, hygiene, or cosmetic |
reasons. Personal care products include, but are not |
limited to, items used in bathing, dressing, or grooming. |
|
"Pharmaceutical product" means medicine or a product |
containing medicine. A pharmaceutical product may be sold |
by prescription or over the counter. "Pharmaceutical |
product" does not include (i) medicine that contains a |
radioactive component or a product that contains a |
radioactive component or (ii) a controlled substance . |
(c) Except as otherwise provided in Agency rules, the |
following requirements apply to each household waste drop-off |
point other than a one-day household waste collection event: |
(1) A household waste drop-off point must not accept |
waste other than the following types of household waste: |
pharmaceutical products, personal care products, batteries |
other than lead-acid batteries, paints, automotive fluids, |
compact fluorescent lightbulbs, mercury thermometers, and |
mercury thermostats. A household waste drop-off point may |
accept controlled substances in accordance with federal |
law. |
(2) Except as provided in subdivision (c)(2) of this |
Section, household waste drop-off points must be located at |
a site or facility where the types of products accepted at |
the household waste drop-off point are lawfully sold, |
distributed, or dispensed. For example, household waste |
drop-off points that accept prescription pharmaceutical |
products must be located at a site or facility where |
prescription pharmaceutical products are sold, |
distributed, or dispensed. |
|
(A) Subdivision (c)(2) of this Section does not |
apply to household waste drop-off points operated by a |
government or school entity, or by an association or |
other organization of government or school entities. |
(B) Household waste drop-off points that accept |
mercury thermometers can be located at any site or |
facility where non-mercury thermometers are sold, |
distributed, or dispensed. |
(C) Household waste drop-off points that accept |
mercury thermostats can be located at any site or |
facility where non-mercury thermostats are sold, |
distributed, or dispensed. |
(3) The location of acceptance for each type of waste |
accepted at the household waste drop-off point must be |
clearly identified. Locations where pharmaceutical |
products are accepted must also include a copy of the sign |
required under subsection (j) of this Section. |
(4) Household waste must be accepted only from private |
individuals. Waste must not be accepted from other persons, |
including, but not limited to, owners and operators of |
rented or leased residences where the household waste was |
generated, commercial haulers, and other commercial, |
industrial, agricultural, and government operations or |
entities. |
(5) If more than one type of household waste is |
accepted, each type of household waste must be managed |
|
separately prior to its packaging for off-site transfer. |
(6) Household waste must not be stored for longer than |
90 days after its receipt, except as otherwise approved by |
the Agency in writing. |
(7) Household waste must be managed in a manner that |
protects against releases of the waste, prevents |
nuisances, and otherwise protects human health and the |
environment. Household waste must also be properly secured |
to prevent unauthorized public access to the waste, |
including, but not limited to, preventing access to the |
waste during the non-business hours of the site or facility |
on which the household waste drop-off point is located. |
Containers in which pharmaceutical products are collected |
must be clearly marked "No Controlled Substances" , unless |
the household waste drop-off point accepts controlled |
substances in accordance with federal law . |
(8) Management of the household waste must be limited |
to the following: (i) acceptance of the waste, (ii) |
temporary storage of the waste prior to transfer, and (iii) |
off-site transfer of the waste and packaging for off-site |
transfer. |
(9) Off-site transfer of the household waste must |
comply with federal and State laws and regulations. |
(d) One-day household waste collection events. To further |
aid in the collection of certain household wastes, the Agency |
may approve the operation of one-day household waste collection |
|
events. The Agency shall not approve a one-day household waste |
collection event at the same site or facility for more than one |
day each calendar quarter. Requests for approval must be |
submitted on forms prescribed by the Agency. The Agency must |
issue its approval in writing, and it may impose conditions as |
necessary to protect human health and the environment and to |
otherwise accomplish the purposes of this Act. One-day |
household waste collection events must be operated in |
accordance with the Agency's approval, including all |
conditions contained in the approval. The following |
requirements apply to all one-day household waste collection |
events, in addition to the conditions contained in the Agency's |
approval: |
(1) Waste accepted at the event must be limited to |
household waste and must not include garbage, landscape |
waste, controlled substances, or other waste excluded by |
the Agency in the Agency's approval or any conditions |
contained in the approval. A one-day household waste |
collection event may accept controlled substances in |
accordance with federal law. |
(2) Household waste must be accepted only from private |
individuals. Waste must not be accepted from other persons, |
including, but not limited to, owners and operators of |
rented or leased residences where the household waste was |
generated, commercial haulers, and other commercial, |
industrial, agricultural, and government operations or |
|
entities. |
(3) Household waste must be managed in a manner that |
protects against releases of the waste, prevents |
nuisances, and otherwise protects human health and the |
environment. Household waste must also be properly secured |
to prevent public access to the waste, including, but not |
limited to, preventing access to the waste during the |
event's non-business hours. |
(4) Management of the household waste must be limited |
to the following: (i) acceptance of the waste, (ii) |
temporary storage of the waste before transfer, and (iii) |
off-site transfer of the waste or packaging for off-site |
transfer. |
(5) Except as otherwise approved by the Agency, all |
household waste received at the collection event must be |
transferred off-site by the end of the day following the |
collection event. |
(6) The transfer and ultimate disposition of household |
waste received at the collection event must comply with the |
Agency's approval, including all conditions contained in |
the approval. |
(e) The Agency may adopt rules governing the operation of |
household waste drop-off points other than one-day household |
waste collection events. Those rules must be designed to |
protect against releases of waste to the environment, prevent |
nuisances, and otherwise protect human health and the |
|
environment. As necessary to address different circumstances, |
the regulations may contain different requirements for |
different types of household waste and different types of |
household waste drop-off points, and the regulations may modify |
the requirements set forth in subsection (c) of this Section. |
The regulations may include, but are not limited to, the |
following: (i) identification of additional types of household |
waste that can be collected at household waste drop-off points, |
(ii) identification of the different types of household wastes |
that can be received at different household waste drop-off |
points, (iii) the maximum amounts of each type of household |
waste that can be stored at household waste drop-off points at |
any one time, and (iv) the maximum time periods each type of |
household waste can be stored at household waste drop-off |
points. |
(f) Prohibitions. |
(1) Except as authorized in a permit issued by the |
Agency, no person shall cause or allow the operation of a |
household waste drop-off point other than a one-day |
household waste collection event in violation of this |
Section or any regulations adopted under this Section. |
(2) No person shall cause or allow the operation of a |
one-day household waste collection event in violation of |
this Section or the Agency's approval issued under |
subsection (d) of this Section, including all conditions |
contained in the approval. |
|
(g) Permit exemptions. |
(1) No permit is required under subdivision (d)(1) of |
Section 21 of this Act for the operation of a household |
waste drop-off point other than a one-day household waste |
collection event if the household waste drop-off point is |
operated in accordance with this Section and all |
regulations adopted under this Section. |
(2) No permit is required under subdivision (d)(1) of |
Section 21 of this Act for the operation of a one-day |
household waste collection event if the event is operated |
in accordance with this Section and the Agency's approval |
issued under subsection (d) of this Section, including all |
conditions contained in the approval, or for the operation |
of a household waste collection event by the Agency. |
(h) This Section does not apply to the following: |
(1) Persons accepting household waste that they are |
authorized to accept under a permit issued by the Agency. |
(2) Sites or facilities operated pursuant to an |
intergovernmental agreement entered into with the Agency |
under Section 22.16b(d) of this Act. |
(i) The Agency, in consultation with the Department of |
Public Health, must develop and implement a public information |
program regarding household waste drop-off points that accept |
pharmaceutical products , as well as mail-back programs |
authorized under federal law . |
(j) The Agency must develop a sign that provides |
|
information on the proper disposal of unused pharmaceutical |
products. The sign shall include information on approved |
drop-off sites or list a website where updated information on |
drop-off sites can be accessed. The sign shall also include |
information on mail-back programs and self-disposal. The |
Agency shall make a copy of the sign available for downloading |
from its website. Every pharmacy shall display the sign in the |
area where medications are dispensed and shall also display any |
signs the Agency develops regarding local take-back programs or |
household waste collection events. These signs shall be no |
larger than 8.5 inches by 11 inches. |
(k) If an entity chooses to participate as a household |
waste drop-off point, then it must follow the provisions of |
this Section and any rules the Agency may adopt governing |
household waste drop-off points.
|
(l) The Agency shall establish, by rule, a statewide |
medication take-back program by June 1, 2016 to ensure that |
there are pharmaceutical product disposal options regularly |
available for residents across the State. No private entity may |
be compelled to serve as or fund a take-back location or |
program. Medications collected and disposed of under the |
program shall include controlled substances approved for |
collection by federal law. All medications collected and |
disposed of under the program must be managed in accordance |
with all applicable federal and State laws and regulations. The |
Agency shall issue a report to the General Assembly by June 1, |
|
2019 detailing the amount of pharmaceutical products annually |
collected under the program, as well as any legislative |
recommendations. |
(Source: P.A. 96-121, eff. 8-4-09.) |
Section 5-90. The Criminal Code of 2012 is amended by |
changing Section 29B-1 as follows:
|
(720 ILCS 5/29B-1) (from Ch. 38, par. 29B-1)
|
Sec. 29B-1. (a) A person commits the offense of money |
laundering:
|
(1) when, knowing that the property involved in a |
financial transaction represents the proceeds of some form |
of unlawful activity, he or she conducts or attempts to |
conduct such a financial transaction which in fact involves |
criminally derived property: |
(A) with the intent to promote the carrying on of |
the unlawful activity from which the criminally |
derived property was obtained; or |
(B) where he or she knows or reasonably should know |
that the financial transaction is designed in whole or |
in part: |
(i) to conceal or disguise the nature, the |
location, the source, the ownership or the control |
of the criminally derived property; or |
(ii) to avoid a transaction reporting |
|
requirement under State law; or |
(1.5) when he or she transports, transmits, or |
transfers, or attempts to transport, transmit, or transfer |
a monetary instrument: |
(A) with the intent to promote the carrying on of |
the unlawful activity from which the criminally |
derived property was obtained; or |
(B) knowing, or having reason to know, that the |
financial transaction is designed in whole or in part: |
(i) to conceal or disguise the nature, the |
location, the source, the ownership or the control |
of the criminally derived property; or |
(ii) to avoid a transaction reporting |
requirement under State law;
or
|
(2) when, with the intent to:
|
(A) promote the carrying on of a specified criminal |
activity as defined
in this Article; or
|
(B) conceal or disguise the nature, location, |
source, ownership, or
control of property believed to |
be the proceeds of a specified criminal
activity as |
defined by subdivision (b)(6); or |
(C) avoid a transaction reporting requirement |
under State law,
|
he or she conducts or attempts to conduct a financial |
transaction
involving property he or she believes to be the |
proceeds of specified criminal
activity as defined by |
|
subdivision (b)(6) or property used to conduct or
|
facilitate specified criminal activity as defined by |
subdivision (b)(6).
|
(b) As used in this Section:
|
(0.5) "Knowing that the property involved in a |
financial transaction represents the proceeds of some form |
of unlawful activity" means that the person knew the |
property involved in the transaction represented proceeds |
from some form, though not necessarily which form, of |
activity that constitutes a felony under State, federal, or |
foreign law.
|
(1) "Financial transaction" means a purchase, sale, |
loan, pledge, gift,
transfer, delivery or other |
disposition utilizing criminally derived property,
and |
with respect to financial institutions, includes a |
deposit, withdrawal,
transfer between accounts, exchange |
of currency, loan, extension of credit,
purchase or sale of |
any stock, bond, certificate of deposit or other monetary
|
instrument, use of safe deposit box, or any other payment, |
transfer or delivery by, through, or to a
financial |
institution.
For purposes of clause (a)(2) of this Section, |
the term "financial
transaction" also
means a transaction |
which without regard to whether the funds, monetary
|
instruments, or real or personal property involved in the |
transaction are
criminally derived, any transaction which |
in any way or degree: (1) involves
the movement of funds by |
|
wire or any other means; (2) involves one or more
monetary |
instruments; or (3) the transfer of title to any real or |
personal
property.
The receipt by an attorney of bona fide |
fees for the purpose
of legal representation is not a |
financial transaction for purposes of this
Section.
|
(2) "Financial institution" means any bank; saving and |
loan
association; trust company; agency or branch of a |
foreign bank in the
United States; currency exchange; |
credit union, mortgage banking
institution; pawnbroker; |
loan or finance company; operator of a credit card
system; |
issuer, redeemer or cashier of travelers checks, checks or |
money
orders; dealer in precious metals, stones or jewels; |
broker or dealer in
securities or commodities; investment |
banker; or investment company.
|
(3) "Monetary instrument" means United States coins |
and currency;
coins and currency of a foreign country; |
travelers checks; personal checks,
bank checks, and money |
orders; investment securities; bearer
negotiable |
instruments; bearer investment securities; or bearer |
securities
and certificates of stock in such form that |
title thereto passes upon
delivery.
|
(4) "Criminally derived property" means: (A) any |
property, real or personal, constituting
or
derived from |
proceeds obtained, directly or indirectly, from activity |
that constitutes a felony under State, federal, or foreign |
law; or (B) any property
represented to be property |
|
constituting or derived from proceeds obtained,
directly |
or indirectly, from activity that constitutes a felony |
under State, federal, or foreign law.
|
(5) "Conduct" or "conducts" includes, in addition to |
its ordinary
meaning, initiating, concluding, or |
participating in initiating or concluding
a transaction.
|
(6) "Specified criminal activity" means any violation |
of Section 29D-15.1
(720 ILCS 5/29D-15.1) and any violation |
of Article 29D of this Code.
|
(7) "Director" means the Director of State Police or |
his or her designated agents. |
(8) "Department" means the Department of State Police |
of the State of Illinois or its successor agency.
|
(9) "Transaction reporting requirement under State |
law" means any violation as defined under the Currency |
Reporting Act.
|
(c) Sentence.
|
(1) Laundering of criminally derived property of a |
value not exceeding
$10,000 is a Class 3 felony;
|
(2) Laundering of criminally derived property of a |
value exceeding
$10,000 but not exceeding $100,000 is a |
Class 2 felony;
|
(3) Laundering of criminally derived property of a |
value exceeding
$100,000 but not exceeding $500,000 is a |
Class 1 felony;
|
(4) Money laundering in violation of subsection (a)(2) |
|
of this Section
is a Class X felony;
|
(5) Laundering of criminally derived property of a |
value exceeding
$500,000 is a
Class 1 non-probationable |
felony;
|
(6) In a prosecution under clause (a)(1.5)(B)(ii) of |
this Section, the sentences are as follows: |
(A) Laundering of property of a value not exceeding |
$10,000 is a Class 3 felony; |
(B) Laundering of property of a value exceeding |
$10,000 but not exceeding $100,000 is a Class 2 felony; |
(C) Laundering of property of a value exceeding |
$100,000 but not exceeding $500,000 is a Class 1 |
felony; |
(D) Laundering of property of a value exceeding |
$500,000 is a Class 1 non-probationable felony. |
(d) Evidence. In a prosecution under this Article, either |
party may introduce the following evidence pertaining to the |
issue of whether the property or proceeds were known to be some |
form of criminally derived property or from some form of |
unlawful activity: |
(1) A financial transaction was conducted or |
structured or attempted in violation of the reporting |
requirements of any State or federal law; or |
(2) A financial transaction was conducted or attempted |
with the use of a false or fictitious name or a forged |
instrument; or |
|
(3) A falsely altered or completed written instrument |
or a written instrument that contains any materially false |
personal identifying information was made, used, offered |
or presented, whether accepted or not, in connection with a |
financial transaction; or |
(4) A financial transaction was structured or |
attempted to be structured so as to falsely report the |
actual consideration or value of the transaction; or |
(5) A money transmitter, a person engaged in a trade or |
business or any employee of a money transmitter or a person |
engaged in a trade or business, knows or reasonably should |
know that false personal identifying information has been |
presented and incorporates the false personal identifying |
information into any report or record; or |
(6) The criminally derived property is transported or |
possessed in a fashion inconsistent with the ordinary or |
usual means of transportation or possession of such |
property and where the property is discovered in the |
absence of any documentation or other indicia of legitimate |
origin or right to such property; or |
(7) A person pays or receives substantially less than |
face value for one or more monetary instruments; or |
(8) A person engages in a transaction involving one or |
more monetary instruments, where the physical condition or |
form of the monetary instrument or instruments makes it |
apparent that they are not the product of bona fide |
|
business or financial transactions. |
(e) Duty to enforce this Article. |
(1) It is the duty of the Department of State Police, |
and its agents, officers, and investigators, to enforce all |
provisions of this Article, except those specifically |
delegated, and to cooperate with all agencies charged with |
the enforcement of the laws of the United States, or of any |
state, relating to money laundering. Only an agent, |
officer, or investigator designated by the Director may be |
authorized in accordance with this Section to serve seizure |
notices, warrants, subpoenas, and summonses under the |
authority of this State. |
(2) Any agent, officer, investigator, or peace officer |
designated by the Director may: (A) make seizure of |
property pursuant to the provisions of this Article; and |
(B) perform such other law enforcement duties as the |
Director designates. It is the duty of all State's |
Attorneys to prosecute violations of this Article and |
institute legal proceedings as authorized under this |
Article. |
(f) Protective orders. |
(1) Upon application of the State, the court may enter |
a restraining order or injunction, require the execution of |
a satisfactory performance bond, or take any other action |
to preserve the availability of property described in |
subsection (h) for forfeiture under this Article: |
|
(A) upon the filing of an indictment, information, |
or complaint charging a violation of this Article for |
which forfeiture may be ordered under this Article and |
alleging that the property with respect to which the |
order is sought would be subject to forfeiture under |
this Article; or
|
(B) prior to the filing of such an indictment, |
information, or complaint, if, after notice to persons |
appearing to have an interest in the property and |
opportunity for a hearing, the court determines that: |
(i) there is probable cause to believe that the |
State will prevail on the issue of forfeiture and |
that failure to enter the order will result in the |
property being destroyed, removed from the |
jurisdiction of the court, or otherwise made |
unavailable for forfeiture; and |
(ii) the need to preserve the availability of |
the property through the entry of the requested |
order outweighs the hardship on any party against |
whom the order is to be entered. |
Provided, however, that an order entered pursuant |
to subparagraph (B) shall be effective for not more |
than 90 days, unless extended by the court for good |
cause shown or unless an indictment, information, |
complaint, or administrative notice has been filed. |
(2) A temporary restraining order under this |
|
subsection may be entered upon application of the State |
without notice or opportunity for a hearing when an |
indictment, information, complaint, or administrative |
notice has not yet been filed with respect to the property, |
if the State demonstrates that there is probable cause to |
believe that the property with respect to which the order |
is sought would be subject to forfeiture under this Section |
and that provision of notice will jeopardize the |
availability of the property for forfeiture. Such a |
temporary order shall expire not more than 30 days after |
the date on which it is entered, unless extended for good |
cause shown or unless the party against whom it is entered |
consents to an extension for a longer period. A hearing |
requested concerning an order entered under this paragraph |
shall be held at the earliest possible time and prior to |
the expiration of the temporary order. |
(3) The court may receive and consider, at a hearing |
held pursuant to this subsection (f), evidence and |
information that would be inadmissible under the Illinois |
rules of evidence.
|
(4) Order to repatriate and deposit. |
(A) In general. Pursuant to its authority to enter |
a pretrial restraining order under this Section, the |
court may order a defendant to repatriate any property |
that may be seized and forfeited and to deposit that |
property pending trial with the Illinois State Police |
|
or another law enforcement agency designated by the |
Illinois State Police. |
(B) Failure to comply. Failure to comply with an |
order under this subsection (f) is punishable as a |
civil or criminal contempt of court.
|
(g) Warrant of seizure. The State may request the issuance |
of a warrant authorizing the seizure of property described in |
subsection (h) in the same manner as provided for a search |
warrant. If the court determines that there is probable cause |
to believe that the property to be seized would be subject to |
forfeiture, the court shall issue a warrant authorizing the |
seizure of such property. |
(h) Forfeiture. |
(1) The following are subject to forfeiture: |
(A) any property, real or personal, constituting, |
derived from, or traceable to any proceeds the person |
obtained directly or indirectly, as a result of a |
violation of this Article; |
(B) any of the person's property used, or intended |
to be used, in any manner or part, to commit, or to |
facilitate the commission of, a violation of this |
Article; |
(C) all conveyances, including aircraft, vehicles |
or vessels, which are used, or intended for use, to |
transport, or in any manner to facilitate the |
transportation, sale, receipt, possession, or |
|
concealment of property described in subparagraphs (A) |
and (B), but: |
(i) no conveyance used by any person as a |
common carrier in the transaction of business as a |
common carrier is subject to forfeiture under this |
Section unless it appears that the owner or other |
person in charge of the conveyance is a consenting |
party or privy to a violation of this Article; |
(ii) no conveyance is subject to forfeiture |
under this Section by reason of any act or omission |
which the owner proves to have been committed or |
omitted without his or her knowledge or consent; |
(iii) a forfeiture of a conveyance encumbered |
by a bona fide security interest is subject to the |
interest of the secured party if he or she neither |
had knowledge of nor consented to the act or |
omission; |
(D) all real property, including any right, title, |
and interest (including, but not limited to, any |
leasehold interest or the beneficial interest in a land |
trust) in the whole of any lot or tract of land and any |
appurtenances or improvements, which is used or |
intended to be used, in any manner or part, to commit, |
or in any manner to facilitate the commission of, any |
violation of this Article or that is the proceeds of |
any violation or act that constitutes a violation of |
|
this Article.
|
(2) Property subject to forfeiture under this Article |
may be seized by the Director or any peace officer upon |
process or seizure warrant issued by any court having |
jurisdiction over the property. Seizure by the Director or |
any peace officer without process may be made: |
(A) if the seizure is incident to a seizure |
warrant; |
(B) if the property subject to seizure has been the |
subject of a prior judgment in favor of the State in a |
criminal proceeding, or in an injunction or forfeiture |
proceeding based upon this Article; |
(C) if there is probable cause to believe that the |
property is directly or indirectly dangerous to health |
or safety; |
(D) if there is probable cause to believe that the |
property is subject to forfeiture under this Article |
and the property is seized under circumstances in which |
a warrantless seizure or arrest would be reasonable; or |
(E) in accordance with the Code of Criminal |
Procedure of 1963. |
(3) In the event of seizure pursuant to paragraph (2), |
forfeiture proceedings shall be instituted in accordance |
with subsections (i) through (r). |
(4) Property taken or detained under this Section shall |
not be subject to replevin, but is deemed to be in the |
|
custody of the Director subject only to the order and |
judgments of the circuit court having jurisdiction over the |
forfeiture proceedings and the decisions of the State's |
Attorney under this Article. When property is seized under |
this Article, the seizing agency shall promptly conduct an |
inventory of the seized property and estimate the |
property's value and shall forward a copy of the inventory |
of seized property and the estimate of the property's value |
to the Director. Upon receiving notice of seizure, the |
Director may: |
(A) place the property under seal; |
(B) remove the property to a place designated by |
the Director; |
(C) keep the property in the possession of the |
seizing agency; |
(D) remove the property to a storage area for |
safekeeping or, if the property is a negotiable |
instrument or money and is not needed for evidentiary |
purposes, deposit it in an interest bearing account; |
(E) place the property under constructive seizure |
by posting notice of pending forfeiture on it, by |
giving notice of pending forfeiture to its owners and |
interest holders, or by filing notice of pending |
forfeiture in any appropriate public record relating |
to the property; or |
(F) provide for another agency or custodian, |
|
including an owner, secured party, or lienholder, to |
take custody of the property upon the terms and |
conditions set by the Director. |
(5) When property is forfeited under this Article, the |
Director shall sell all such property unless such property |
is required by law to be destroyed or is harmful to the |
public, and shall distribute the proceeds of the sale, |
together with any moneys forfeited or seized, in accordance |
with paragraph (6). However, upon the application of the |
seizing agency or prosecutor who was responsible for the |
investigation, arrest or arrests and prosecution which |
lead to the forfeiture, the Director may return any item of |
forfeited property to the seizing agency or prosecutor for |
official use in the enforcement of laws, if the agency or |
prosecutor can demonstrate that the item requested would be |
useful to the agency or prosecutor in its enforcement |
efforts. When any real property returned to the seizing |
agency is sold by the agency or its unit of government, the |
proceeds of the sale shall be delivered to the Director and |
distributed in accordance with paragraph (6). |
(6) All monies and the sale proceeds of all other |
property forfeited and seized under this Article shall be |
distributed as follows: |
(A) 65% shall be distributed to the metropolitan |
enforcement group, local, municipal, county, or State |
law enforcement agency or agencies which conducted or |
|
participated in the investigation resulting in the |
forfeiture. The distribution shall bear a reasonable |
relationship to the degree of direct participation of |
the law enforcement agency in the effort resulting in |
the forfeiture, taking into account the total value of |
the property forfeited and the total law enforcement |
effort with respect to the violation of the law upon |
which the forfeiture is based. Amounts distributed to |
the agency or agencies shall be used for the |
enforcement of laws. |
(B)(i) 12.5% shall be distributed to the Office of |
the State's Attorney of the county in which the |
prosecution resulting in the forfeiture was |
instituted, deposited in a special fund in the county |
treasury and appropriated to the State's Attorney for |
use in the enforcement of laws. In counties over |
3,000,000 population, 25% shall be distributed to the |
Office of the State's Attorney for use in the |
enforcement of laws. If the prosecution is undertaken |
solely by the Attorney General, the portion provided |
hereunder shall be distributed to the Attorney General |
for use in the enforcement of laws. |
(ii) 12.5% shall be distributed to the Office |
of the State's Attorneys Appellate Prosecutor and |
deposited in the Narcotics Profit Forfeiture Fund |
of that office to be used for additional expenses |
|
incurred in the investigation, prosecution and |
appeal of cases arising under laws. The Office of |
the State's Attorneys Appellate Prosecutor shall |
not receive distribution from cases brought in |
counties with over 3,000,000 population. |
(C) 10% shall be retained by the Department of |
State Police for expenses related to the |
administration and sale of seized and forfeited |
property. |
Moneys and the sale proceeds distributed to the |
Department of State Police under this Article shall be |
deposited in the Money Laundering Asset Recovery Fund |
created in the State treasury and shall be used by the |
Department of State Police for State law enforcement |
purposes. |
(7) All moneys and sale proceeds of property forfeited |
and seized under this Article and distributed according to |
paragraph (6) may also be used to purchase opioid |
antagonists as defined in Section 5-23 of the Alcoholism |
and Other Drug Abuse and Dependency Act. |
(i) Notice to owner or interest holder. |
(1) Whenever notice of pending forfeiture or service of |
an in rem complaint is required under the provisions of |
this Article, such notice or service shall be given as |
follows: |
(A) If the owner's or interest holder's name and |
|
current address are known, then by either personal |
service or mailing a copy of the notice by certified |
mail, return receipt requested, to that address. For |
purposes of notice under this Section, if a person has |
been arrested for the conduct giving rise to the |
forfeiture, then the address provided to the arresting |
agency at the time of arrest shall be deemed to be that |
person's known address. Provided, however, if an owner |
or interest holder's address changes prior to the |
effective date of the notice of pending forfeiture, the |
owner or interest holder shall promptly notify the |
seizing agency of the change in address or, if the |
owner or interest holder's address changes subsequent |
to the effective date of the notice of pending |
forfeiture, the owner or interest holder shall |
promptly notify the State's Attorney of the change in |
address; or |
(B) If the property seized is a conveyance, to the |
address reflected in the office of the agency or |
official in which title or interest to the conveyance |
is required by law to be recorded, then by mailing a |
copy of the notice by certified mail, return receipt |
requested, to that address; or |
(C) If the owner's or interest holder's address is |
not known, and is not on record as provided in |
paragraph (B), then by publication for 3 successive |
|
weeks in a newspaper of general circulation in the |
county in which the seizure occurred. |
(2) Notice served under this Article is effective upon |
personal service, the last date of publication, or the |
mailing of written notice, whichever is earlier. |
(j) Notice to State's Attorney. The law enforcement agency |
seizing property for forfeiture under this Article shall, |
within 90 days after seizure, notify the State's Attorney for |
the county, either where an act or omission giving rise to the |
forfeiture occurred or where the property was seized, of the |
seizure of the property and the facts and circumstances giving |
rise to the seizure and shall provide the State's Attorney with |
the inventory of the property and its estimated value. When the |
property seized for forfeiture is a vehicle, the law |
enforcement agency seizing the property shall immediately |
notify the Secretary of State that forfeiture proceedings are |
pending regarding such vehicle. |
(k) Non-judicial forfeiture. If non-real property that |
exceeds $20,000 in value excluding the value of any conveyance, |
or if real property is seized under the provisions of this |
Article, the State's Attorney shall institute judicial in rem |
forfeiture proceedings as described in subsection (l) of this |
Section within 45 days from receipt of notice of seizure from |
the seizing agency under subsection (j) of this Section. |
However, if non-real property that does not exceed $20,000 in |
value excluding the value of any conveyance is seized, the |
|
following procedure shall be used: |
(1) If, after review of the facts surrounding the |
seizure, the State's Attorney is of the opinion that the |
seized property is subject to forfeiture, then within 45 |
days after the receipt of notice of seizure from the |
seizing agency, the State's Attorney shall cause notice of |
pending forfeiture to be given to the owner of the property |
and all known interest holders of the property in |
accordance with subsection (i) of this Section. |
(2) The notice of pending forfeiture must include a |
description of the property, the estimated value of the |
property, the date and place of seizure, the conduct giving |
rise to forfeiture or the violation of law alleged, and a |
summary of procedures and procedural rights applicable to |
the forfeiture action. |
(3)(A) Any person claiming an interest in property |
which is the subject of notice under paragraph (1) of this |
subsection (k), must, in order to preserve any rights or |
claims to the property, within 45 days after the effective |
date of notice as described in subsection (i) of this |
Section, file a verified claim with the State's Attorney |
expressing his or her interest in the property. The claim |
must set forth: |
(i) the caption of the proceedings as set forth on |
the notice of pending forfeiture and the name of the |
claimant; |
|
(ii) the address at which the claimant will accept |
mail; |
(iii) the nature and extent of the claimant's |
interest in the property; |
(iv) the date, identity of the transferor, and |
circumstances of the claimant's acquisition of the |
interest in the property;
|
(v) the name and address of all other persons known |
to have an interest in the property; |
(vi) the specific provision of law relied on in |
asserting the property is not subject to forfeiture; |
(vii) all essential facts supporting each |
assertion; and |
(viii) the relief sought. |
(B) If a claimant files the claim and deposits with the |
State's Attorney a cost bond, in the form of a cashier's |
check payable to the clerk of the court, in the sum of 10% |
of the reasonable value of the property as alleged by the |
State's Attorney or the sum of $100, whichever is greater, |
upon condition that, in the case of forfeiture, the |
claimant must pay all costs and expenses of forfeiture |
proceedings, then the State's Attorney shall institute |
judicial in rem forfeiture proceedings and deposit the cost |
bond with the clerk of the court as described in subsection |
(l) of this Section within 45 days after receipt of the |
claim and cost bond. In lieu of a cost bond, a person |
|
claiming interest in the seized property may file, under |
penalty of perjury, an indigency affidavit which has been |
approved by a circuit court judge. |
(C) If none of the seized property is forfeited in the |
judicial in rem proceeding, the clerk of the court shall |
return to the claimant, unless the court orders otherwise, |
90% of the sum which has been deposited and shall retain as |
costs 10% of the money deposited. If any of the seized |
property is forfeited under the judicial forfeiture |
proceeding, the clerk of the court shall transfer 90% of |
the sum which has been deposited to the State's Attorney |
prosecuting the civil forfeiture to be applied to the costs |
of prosecution and the clerk shall retain as costs 10% of |
the sum deposited. |
(4) If no claim is filed or bond given within the 45 |
day period as described in paragraph (3) of this subsection |
(k), the State's Attorney shall declare the property |
forfeited and shall promptly notify the owner and all known |
interest holders of the property and the Director of State |
Police of the declaration of forfeiture and the Director |
shall dispose of the property in accordance with law. |
(l) Judicial in rem procedures. If property seized under |
the provisions of this Article is non-real property that |
exceeds $20,000 in value excluding the value of any conveyance, |
or is real property, or a claimant has filed a claim and a cost |
bond under paragraph (3) of subsection (k) of this Section, the |
|
following judicial in rem procedures shall apply: |
(1) If, after a review of the facts surrounding the |
seizure, the State's Attorney is of the opinion that the |
seized property is subject to forfeiture, then within 45 |
days of the receipt of notice of seizure by the seizing |
agency or the filing of the claim and cost bond, whichever |
is later, the State's Attorney shall institute judicial |
forfeiture proceedings by filing a verified complaint for |
forfeiture and, if the claimant has filed a claim and cost |
bond, by depositing the cost bond with the clerk of the |
court. When authorized by law, a forfeiture must be ordered |
by a court on an action in rem brought by a State's |
Attorney under a verified complaint for forfeiture. |
(2) During the probable cause portion of the judicial |
in rem proceeding wherein the State presents its |
case-in-chief, the court must receive and consider, among |
other things, all relevant hearsay evidence and |
information. The laws of evidence relating to civil actions |
apply to all other portions of the judicial in rem |
proceeding. |
(3) Only an owner of or interest holder in the property |
may file an answer asserting a claim against the property |
in the action in rem. For purposes of this Section, the |
owner or interest holder shall be referred to as claimant. |
Upon motion of the State, the court shall first hold a |
hearing, wherein any claimant must establish by a |
|
preponderance of the evidence, that he or she has a lawful, |
legitimate ownership interest in the property and that it |
was obtained through a lawful source. |
(4) The answer must be signed by the owner or interest |
holder under penalty of perjury and must set forth: |
(A) the caption of the proceedings as set forth on |
the notice of pending forfeiture and the name of the |
claimant; |
(B) the address at which the claimant will accept |
mail; |
(C) the nature and extent of the claimant's |
interest in the property; |
(D) the date, identity of transferor, and |
circumstances of the claimant's acquisition of the |
interest in the property; |
(E) the name and address of all other persons known |
to have an interest in the property; |
(F) all essential facts supporting each assertion; |
and |
(G) the precise relief sought.
|
(5) The answer must be filed with the court within 45 |
days after service of the civil in rem complaint. |
(6) The hearing must be held within 60 days after |
filing of the answer unless continued for good cause.
|
(7) The State shall show the existence of probable |
cause for forfeiture of the property. If the State shows |
|
probable cause, the claimant has the burden of showing by a |
preponderance of the evidence that the claimant's interest |
in the property is not subject to forfeiture.
|
(8) If the State does not show existence of probable |
cause, the court shall order the interest in the property |
returned or conveyed to the claimant and shall order all |
other property forfeited to the State. If the State does |
show existence of probable cause, the court shall order all |
property forfeited to the State. |
(9) A defendant convicted in any criminal proceeding is |
precluded from later denying the essential allegations of |
the criminal offense of which the defendant was convicted |
in any proceeding under this Article regardless of the |
pendency of an appeal from that conviction. However, |
evidence of the pendency of an appeal is admissible. |
(10) An acquittal or dismissal in a criminal proceeding |
does not preclude civil proceedings under this Article; |
however, for good cause shown, on a motion by the State's |
Attorney, the court may stay civil forfeiture proceedings |
during the criminal trial for a related criminal indictment |
or information alleging a money laundering violation. Such |
a stay shall not be available pending an appeal. Property |
subject to forfeiture under this Article shall not be |
subject to return or release by a court exercising |
jurisdiction over a criminal case involving the seizure of |
such property unless such return or release is consented to |
|
by the State's Attorney. |
(11) All property declared forfeited under this |
Article vests in this State on the commission of the |
conduct giving rise to forfeiture together with the |
proceeds of the property after that time. Any such property |
or proceeds subsequently transferred to any person remain |
subject to forfeiture and thereafter shall be ordered |
forfeited. |
(12) A civil action under this Article must be |
commenced within 5 years after the last conduct giving rise |
to forfeiture became known or should have become known or 5 |
years after the forfeitable property is discovered, |
whichever is later, excluding any time during which either |
the property or claimant is out of the State or in |
confinement or during which criminal proceedings relating |
to the same conduct are in progress. |
(m) Stay of time periods. If property is seized for |
evidence and for forfeiture, the time periods for instituting |
judicial and non-judicial forfeiture proceedings shall not |
begin until the property is no longer necessary for evidence. |
(n) Settlement of claims. Notwithstanding other provisions |
of this Article, the State's Attorney and a claimant of seized |
property may enter into an agreed-upon settlement concerning |
the seized property in such an amount and upon such terms as |
are set out in writing in a settlement agreement. |
(o) Property constituting attorney fees. Nothing in this |
|
Article applies to property which constitutes reasonable bona |
fide attorney's fees paid to an attorney for services rendered |
or to be rendered in the forfeiture proceeding or criminal |
proceeding relating directly thereto where such property was |
paid before its seizure, before the issuance of any seizure |
warrant or court order prohibiting transfer of the property and |
where the attorney, at the time he or she received the property |
did not know that it was property subject to forfeiture under |
this Article. |
(p) Construction. It is the intent of the General Assembly |
that the forfeiture provisions of this Article be liberally |
construed so as to effect their remedial purpose. The |
forfeiture of property and other remedies hereunder shall be |
considered to be in addition to, and not exclusive of, any |
sentence or other remedy provided by law. |
(q) Judicial review. If property has been declared |
forfeited under subsection (k) of this Section, any person who |
has an interest in the property declared forfeited may, within |
30 days after the effective date of the notice of the |
declaration of forfeiture, file a claim and cost bond as |
described in paragraph (3) of subsection (k) of this Section. |
If a claim and cost bond is filed under this Section, then the |
procedures described in subsection (l) of this Section apply. |
(r) Burden of proof of exemption or exception. It is not |
necessary for the State to negate any exemption or exception in |
this Article in any complaint, information, indictment or other |
|
pleading or in any trial, hearing, or other proceeding under |
this Article. The burden of proof of any exemption or exception |
is upon the person claiming it. |
(s) Review of administrative decisions.
All administrative |
findings, rulings, final determinations, findings, and |
conclusions of the State's Attorney's Office under this Article |
are final and conclusive decisions of the matters involved. Any |
person aggrieved by the decision may obtain review of the |
decision pursuant to the provisions of the Administrative |
Review Law and the rules adopted pursuant to that Law. Pending |
final decision on such review, the administrative acts, orders, |
and rulings of the State's Attorney's Office remain in full |
force and effect unless modified or suspended by order of court |
pending final judicial decision. Pending final decision on such |
review, the acts, orders, and rulings of the State's Attorney's |
Office remain in full force and effect, unless stayed by order |
of court. However, no stay of any decision of the |
administrative agency shall issue unless the person aggrieved |
by the decision establishes by a preponderance of the evidence |
that good cause exists for the stay. In determining good cause, |
the court shall find that the aggrieved party has established a |
substantial likelihood of prevailing on the merits and that |
granting the stay will not have an injurious effect on the |
general public.
|
(Source: P.A. 96-275, eff. 8-11-09; 96-710, eff. 1-1-10; |
96-1000, eff. 7-2-10; 96-1234, eff. 7-23-10.)
|
|
Section 5-95. The Cannabis Control Act is amended by |
changing Section 10 as follows:
|
(720 ILCS 550/10) (from Ch. 56 1/2, par. 710)
|
Sec. 10. (a)
Whenever any person who has not previously |
been convicted of, or placed
on probation or court supervision |
for, any offense under this Act or any
law of the United States |
or of any State relating to cannabis, or controlled
substances |
as defined in the Illinois Controlled Substances Act, pleads
|
guilty to or is found guilty of violating Sections 4(a), 4(b), |
4(c),
5(a), 5(b), 5(c) or 8 of this Act, the court may, without |
entering a
judgment and with the consent of such person, |
sentence him to probation.
|
(b) When a person is placed on probation, the court shall |
enter an order
specifying a period of probation of 24 months, |
and shall defer further
proceedings in
the case until the |
conclusion of the period or until the filing of a petition
|
alleging violation of a term or condition of probation.
|
(c) The conditions of probation shall be that the person: |
(1) not violate
any criminal statute of any jurisdiction; (2) |
refrain from possession of a
firearm
or other dangerous weapon; |
(3) submit to periodic drug testing at a time and in
a manner |
as ordered by the court, but no less than 3 times during the |
period of
the probation, with the cost of the testing to be |
paid by the probationer; and
(4) perform no less than 30 hours |
|
of community service, provided community
service is available |
in the jurisdiction and is funded and approved by the
county |
board.
|
(d) The court may, in addition to other conditions, require
|
that the person:
|
(1) make a report to and appear in person before or |
participate with the
court or such courts, person, or |
social service agency as directed by the
court in the order |
of probation;
|
(2) pay a fine and costs;
|
(3) work or pursue a course of study or vocational |
training;
|
(4) undergo medical or psychiatric treatment; or |
treatment for drug
addiction or alcoholism;
|
(5) attend or reside in a facility established for the |
instruction or
residence of defendants on probation;
|
(6) support his dependents;
|
(7) refrain from possessing a firearm or other |
dangerous weapon;
|
(7-5) refrain from having in his or her body the |
presence of any illicit
drug prohibited by the Cannabis |
Control Act, the Illinois Controlled
Substances Act, or the |
Methamphetamine Control and Community Protection Act, |
unless prescribed by a physician, and submit samples of
his |
or her blood or urine or both for tests to determine the |
presence of any
illicit drug;
|
|
(8) and in addition, if a minor:
|
(i) reside with his parents or in a foster home;
|
(ii) attend school;
|
(iii) attend a non-residential program for youth;
|
(iv) contribute to his own support at home or in a |
foster home.
|
(e) Upon violation of a term or condition of probation, the
|
court
may enter a judgment on its original finding of guilt and |
proceed as otherwise
provided.
|
(f) Upon fulfillment of the terms and
conditions of |
probation, the court shall discharge such person and dismiss
|
the proceedings against him.
|
(g) A disposition of probation is considered to be a |
conviction
for the purposes of imposing the conditions of |
probation and for appeal,
however, discharge and dismissal |
under this Section is not a conviction for
purposes of |
disqualification or disabilities imposed by law upon |
conviction of
a crime (including the additional penalty imposed |
for subsequent offenses under
Section 4(c), 4(d), 5(c) or 5(d) |
of this Act).
|
(h) Discharge and dismissal under this Section,
Section 410 |
of the Illinois Controlled Substances Act, Section 70 of the |
Methamphetamine Control and Community Protection Act, Section |
5-6-3.3 or 5-6-3.4 of the Unified Code of Corrections, or |
subsection (c) of Section 11-14 of the Criminal Code of 1961 or |
the Criminal Code of 2012 may occur only once
with respect to |
|
any person.
|
(i) If a person is convicted of an offense under this Act, |
the Illinois
Controlled Substances Act, or the Methamphetamine |
Control and Community Protection Act within 5 years
subsequent |
to a discharge and dismissal under this Section, the discharge |
and
dismissal under this Section shall be admissible in the |
sentencing proceeding
for that conviction
as a factor in |
aggravation.
|
(j) Notwithstanding subsection (a), before a person is |
sentenced to probation under this Section, the court may refer |
the person to the drug court established in that judicial |
circuit pursuant to Section 15 of the Drug Court Treatment Act. |
The drug court team shall evaluate the person's likelihood of |
successfully completing a sentence of probation under this |
Section and shall report the results of its evaluation to the |
court. If the drug court team finds that the person suffers |
from a substance abuse problem that makes him or her |
substantially unlikely to successfully complete a sentence of |
probation under this Section, then the drug court shall set |
forth its findings in the form of a written order, and the |
person shall not be sentenced to probation under this Section, |
but may be considered for the drug court program. |
(Source: P.A. 97-1118, eff. 1-1-13; 97-1150, eff. 1-25-13; |
98-164, eff. 1-1-14.)
|
Section 5-100. The Illinois Controlled Substances Act is |
|
amended by changing Sections 102, 301, 312, 314.5, 316, 317, |
318, 319, 320, 406, and 410 as follows: |
(720 ILCS 570/102) (from Ch. 56 1/2, par. 1102) |
Sec. 102. Definitions. As used in this Act, unless the |
context
otherwise requires:
|
(a) "Addict" means any person who habitually uses any drug, |
chemical,
substance or dangerous drug other than alcohol so as |
to endanger the public
morals, health, safety or welfare or who |
is so far addicted to the use of a
dangerous drug or controlled |
substance other than alcohol as to have lost
the power of self |
control with reference to his or her addiction.
|
(b) "Administer" means the direct application of a |
controlled
substance, whether by injection, inhalation, |
ingestion, or any other
means, to the body of a patient, |
research subject, or animal (as
defined by the Humane |
Euthanasia in Animal Shelters Act) by:
|
(1) a practitioner (or, in his or her presence, by his |
or her authorized agent),
|
(2) the patient or research subject pursuant to an |
order, or
|
(3) a euthanasia technician as defined by the Humane |
Euthanasia in
Animal Shelters Act.
|
(c) "Agent" means an authorized person who acts on behalf |
of or at
the direction of a manufacturer, distributor, |
dispenser, prescriber, or practitioner. It does not
include a |
|
common or contract carrier, public warehouseman or employee of
|
the carrier or warehouseman.
|
(c-1) "Anabolic Steroids" means any drug or hormonal |
substance,
chemically and pharmacologically related to |
testosterone (other than
estrogens, progestins, |
corticosteroids, and dehydroepiandrosterone),
and includes:
|
(i) 3[beta],17-dihydroxy-5a-androstane, |
(ii) 3[alpha],17[beta]-dihydroxy-5a-androstane, |
(iii) 5[alpha]-androstan-3,17-dione, |
(iv) 1-androstenediol (3[beta], |
17[beta]-dihydroxy-5[alpha]-androst-1-ene), |
(v) 1-androstenediol (3[alpha], |
17[beta]-dihydroxy-5[alpha]-androst-1-ene), |
(vi) 4-androstenediol |
(3[beta],17[beta]-dihydroxy-androst-4-ene), |
(vii) 5-androstenediol |
(3[beta],17[beta]-dihydroxy-androst-5-ene), |
(viii) 1-androstenedione |
([5alpha]-androst-1-en-3,17-dione), |
(ix) 4-androstenedione |
(androst-4-en-3,17-dione), |
(x) 5-androstenedione |
(androst-5-en-3,17-dione), |
(xi) bolasterone (7[alpha],17a-dimethyl-17[beta]- |
hydroxyandrost-4-en-3-one), |
(xii) boldenone (17[beta]-hydroxyandrost- |
|
1,4,-diene-3-one), |
(xiii) boldione (androsta-1,4- |
diene-3,17-dione), |
(xiv) calusterone (7[beta],17[alpha]-dimethyl-17 |
[beta]-hydroxyandrost-4-en-3-one), |
(xv) clostebol (4-chloro-17[beta]- |
hydroxyandrost-4-en-3-one), |
(xvi) dehydrochloromethyltestosterone (4-chloro- |
17[beta]-hydroxy-17[alpha]-methyl- |
androst-1,4-dien-3-one), |
(xvii) desoxymethyltestosterone |
(17[alpha]-methyl-5[alpha] |
-androst-2-en-17[beta]-ol)(a.k.a., madol), |
(xviii) [delta]1-dihydrotestosterone (a.k.a. |
'1-testosterone') (17[beta]-hydroxy- |
5[alpha]-androst-1-en-3-one), |
(xix) 4-dihydrotestosterone (17[beta]-hydroxy- |
androstan-3-one), |
(xx) drostanolone (17[beta]-hydroxy-2[alpha]-methyl- |
5[alpha]-androstan-3-one), |
(xxi) ethylestrenol (17[alpha]-ethyl-17[beta]- |
hydroxyestr-4-ene), |
(xxii) fluoxymesterone (9-fluoro-17[alpha]-methyl- |
1[beta],17[beta]-dihydroxyandrost-4-en-3-one), |
(xxiii) formebolone (2-formyl-17[alpha]-methyl-11[alpha], |
17[beta]-dihydroxyandrost-1,4-dien-3-one), |
|
(xxiv) furazabol (17[alpha]-methyl-17[beta]- |
hydroxyandrostano[2,3-c]-furazan), |
(xxv) 13[beta]-ethyl-17[beta]-hydroxygon-4-en-3-one) |
(xxvi) 4-hydroxytestosterone (4,17[beta]-dihydroxy- |
androst-4-en-3-one), |
(xxvii) 4-hydroxy-19-nortestosterone (4,17[beta]- |
dihydroxy-estr-4-en-3-one), |
(xxviii) mestanolone (17[alpha]-methyl-17[beta]- |
hydroxy-5-androstan-3-one), |
(xxix) mesterolone (1amethyl-17[beta]-hydroxy- |
[5a]-androstan-3-one), |
(xxx) methandienone (17[alpha]-methyl-17[beta]- |
hydroxyandrost-1,4-dien-3-one), |
(xxxi) methandriol (17[alpha]-methyl-3[beta],17[beta]- |
dihydroxyandrost-5-ene), |
(xxxii) methenolone (1-methyl-17[beta]-hydroxy- |
5[alpha]-androst-1-en-3-one), |
(xxxiii) 17[alpha]-methyl-3[beta], 17[beta]- |
dihydroxy-5a-androstane), |
(xxxiv) 17[alpha]-methyl-3[alpha],17[beta]-dihydroxy |
-5a-androstane), |
(xxxv) 17[alpha]-methyl-3[beta],17[beta]- |
dihydroxyandrost-4-ene), |
(xxxvi) 17[alpha]-methyl-4-hydroxynandrolone (17[alpha]- |
methyl-4-hydroxy-17[beta]-hydroxyestr-4-en-3-one), |
(xxxvii) methyldienolone (17[alpha]-methyl-17[beta]- |
|
hydroxyestra-4,9(10)-dien-3-one), |
(xxxviii) methyltrienolone (17[alpha]-methyl-17[beta]- |
hydroxyestra-4,9-11-trien-3-one), |
(xxxix) methyltestosterone (17[alpha]-methyl-17[beta]- |
hydroxyandrost-4-en-3-one), |
(xl) mibolerone (7[alpha],17a-dimethyl-17[beta]- |
hydroxyestr-4-en-3-one), |
(xli) 17[alpha]-methyl-[delta]1-dihydrotestosterone |
(17b[beta]-hydroxy-17[alpha]-methyl-5[alpha]- |
androst-1-en-3-one)(a.k.a. '17-[alpha]-methyl- |
1-testosterone'), |
(xlii) nandrolone (17[beta]-hydroxyestr-4-en-3-one), |
(xliii) 19-nor-4-androstenediol (3[beta], 17[beta]- |
dihydroxyestr-4-ene), |
(xliv) 19-nor-4-androstenediol (3[alpha], 17[beta]- |
dihydroxyestr-4-ene), |
(xlv) 19-nor-5-androstenediol (3[beta], 17[beta]- |
dihydroxyestr-5-ene), |
(xlvi) 19-nor-5-androstenediol (3[alpha], 17[beta]- |
dihydroxyestr-5-ene), |
(xlvii) 19-nor-4,9(10)-androstadienedione |
(estra-4,9(10)-diene-3,17-dione), |
(xlviii) 19-nor-4-androstenedione (estr-4- |
en-3,17-dione), |
(xlix) 19-nor-5-androstenedione (estr-5- |
en-3,17-dione), |
|
(l) norbolethone (13[beta], 17a-diethyl-17[beta]- |
hydroxygon-4-en-3-one), |
(li) norclostebol (4-chloro-17[beta]- |
hydroxyestr-4-en-3-one), |
(lii) norethandrolone (17[alpha]-ethyl-17[beta]- |
hydroxyestr-4-en-3-one), |
(liii) normethandrolone (17[alpha]-methyl-17[beta]- |
hydroxyestr-4-en-3-one), |
(liv) oxandrolone (17[alpha]-methyl-17[beta]-hydroxy- |
2-oxa-5[alpha]-androstan-3-one), |
(lv) oxymesterone (17[alpha]-methyl-4,17[beta]- |
dihydroxyandrost-4-en-3-one), |
(lvi) oxymetholone (17[alpha]-methyl-2-hydroxymethylene- |
17[beta]-hydroxy-(5[alpha]-androstan-3-one), |
(lvii) stanozolol (17[alpha]-methyl-17[beta]-hydroxy- |
(5[alpha]-androst-2-eno[3,2-c]-pyrazole), |
(lviii) stenbolone (17[beta]-hydroxy-2-methyl- |
(5[alpha]-androst-1-en-3-one), |
(lix) testolactone (13-hydroxy-3-oxo-13,17- |
secoandrosta-1,4-dien-17-oic |
acid lactone), |
(lx) testosterone (17[beta]-hydroxyandrost- |
4-en-3-one), |
(lxi) tetrahydrogestrinone (13[beta], 17[alpha]- |
diethyl-17[beta]-hydroxygon- |
4,9,11-trien-3-one), |
|
(lxii) trenbolone (17[beta]-hydroxyestr-4,9, |
11-trien-3-one).
|
Any person who is otherwise lawfully in possession of an |
anabolic
steroid, or who otherwise lawfully manufactures, |
distributes, dispenses,
delivers, or possesses with intent to |
deliver an anabolic steroid, which
anabolic steroid is |
expressly intended for and lawfully allowed to be
administered |
through implants to livestock or other nonhuman species, and
|
which is approved by the Secretary of Health and Human Services |
for such
administration, and which the person intends to |
administer or have
administered through such implants, shall |
not be considered to be in
unauthorized possession or to |
unlawfully manufacture, distribute, dispense,
deliver, or |
possess with intent to deliver such anabolic steroid for
|
purposes of this Act.
|
(d) "Administration" means the Drug Enforcement |
Administration,
United States Department of Justice, or its |
successor agency.
|
(d-5) "Clinical Director, Prescription Monitoring Program" |
means a Department of Human Services administrative employee |
licensed to either prescribe or dispense controlled substances |
who shall run the clinical aspects of the Department of Human |
Services Prescription Monitoring Program and its Prescription |
Information Library. |
(d-10) "Compounding" means the preparation and mixing of |
components, excluding flavorings, (1) as the result of a |
|
prescriber's prescription drug order or initiative based on the |
prescriber-patient-pharmacist relationship in the course of |
professional practice or (2) for the purpose of, or incident |
to, research, teaching, or chemical analysis and not for sale |
or dispensing. "Compounding" includes the preparation of drugs |
or devices in anticipation of receiving prescription drug |
orders based on routine, regularly observed dispensing |
patterns. Commercially available products may be compounded |
for dispensing to individual patients only if both of the |
following conditions are met: (i) the commercial product is not |
reasonably available from normal distribution channels in a |
timely manner to meet the patient's needs and (ii) the |
prescribing practitioner has requested that the drug be |
compounded. |
(e) "Control" means to add a drug or other substance, or |
immediate
precursor, to a Schedule whether by
transfer from |
another Schedule or otherwise.
|
(f) "Controlled Substance" means (i) a drug, substance, or |
immediate
precursor in the Schedules of Article II of this Act |
or (ii) a drug or other substance, or immediate precursor, |
designated as a controlled substance by the Department through |
administrative rule. The term does not include distilled |
spirits, wine, malt beverages, or tobacco, as those terms are
|
defined or used in the Liquor Control Act of 1934 and the |
Tobacco Products Tax
Act of 1995.
|
(f-5) "Controlled substance analog" means a substance: |
|
(1) the chemical structure of which is substantially |
similar to the chemical structure of a controlled substance |
in Schedule I or II; |
(2) which has a stimulant, depressant, or |
hallucinogenic effect on the central nervous system that is |
substantially similar to or greater than the stimulant, |
depressant, or hallucinogenic effect on the central |
nervous system of a controlled substance in Schedule I or |
II; or |
(3) with respect to a particular person, which such |
person represents or intends to have a stimulant, |
depressant, or hallucinogenic effect on the central |
nervous system that is substantially similar to or greater |
than the stimulant, depressant, or hallucinogenic effect |
on the central nervous system of a controlled substance in |
Schedule I or II. |
(g) "Counterfeit substance" means a controlled substance, |
which, or
the container or labeling of which, without |
authorization bears the
trademark, trade name, or other |
identifying mark, imprint, number or
device, or any likeness |
thereof, of a manufacturer, distributor, or
dispenser other |
than the person who in fact manufactured, distributed,
or |
dispensed the substance.
|
(h) "Deliver" or "delivery" means the actual, constructive |
or
attempted transfer of possession of a controlled substance, |
with or
without consideration, whether or not there is an |
|
agency relationship.
|
(i) "Department" means the Illinois Department of Human |
Services (as
successor to the Department of Alcoholism and |
Substance Abuse) or its successor agency.
|
(j) (Blank).
|
(k) "Department of Corrections" means the Department of |
Corrections
of the State of Illinois or its successor agency.
|
(l) "Department of Financial and Professional Regulation" |
means the Department
of Financial and Professional Regulation |
of the State of Illinois or its successor agency.
|
(m) "Depressant" means any drug that (i) causes an overall |
depression of central nervous system functions, (ii) causes |
impaired consciousness and awareness, and (iii) can be |
habit-forming or lead to a substance abuse problem, including |
but not limited to alcohol, cannabis and its active principles |
and their analogs, benzodiazepines and their analogs, |
barbiturates and their analogs, opioids (natural and |
synthetic) and their analogs, and chloral hydrate and similar |
sedative hypnotics.
|
(n) (Blank).
|
(o) "Director" means the Director of the Illinois State |
Police or his or her designated agents.
|
(p) "Dispense" means to deliver a controlled substance to |
an
ultimate user or research subject by or pursuant to the |
lawful order of
a prescriber, including the prescribing, |
administering, packaging,
labeling, or compounding necessary |
|
to prepare the substance for that
delivery.
|
(q) "Dispenser" means a practitioner who dispenses.
|
(r) "Distribute" means to deliver, other than by |
administering or
dispensing, a controlled substance.
|
(s) "Distributor" means a person who distributes.
|
(t) "Drug" means (1) substances recognized as drugs in the |
official
United States Pharmacopoeia, Official Homeopathic |
Pharmacopoeia of the
United States, or official National |
Formulary, or any supplement to any
of them; (2) substances |
intended for use in diagnosis, cure, mitigation,
treatment, or |
prevention of disease in man or animals; (3) substances
(other |
than food) intended to affect the structure of any function of
|
the body of man or animals and (4) substances intended for use |
as a
component of any article specified in clause (1), (2), or |
(3) of this
subsection. It does not include devices or their |
components, parts, or
accessories.
|
(t-3) "Electronic health record" or "EHR" means an |
electronic record of health-related information on an |
individual that is created, gathered, managed, and consulted by |
authorized health care clinicians and staff. |
(t-5) "Euthanasia agency" means
an entity certified by the |
Department of Financial and Professional Regulation for the
|
purpose of animal euthanasia that holds an animal control |
facility license or
animal
shelter license under the Animal |
Welfare Act. A euthanasia agency is
authorized to purchase, |
store, possess, and utilize Schedule II nonnarcotic and
|
|
Schedule III nonnarcotic drugs for the sole purpose of animal |
euthanasia.
|
(t-10) "Euthanasia drugs" means Schedule II or Schedule III |
substances
(nonnarcotic controlled substances) that are used |
by a euthanasia agency for
the purpose of animal euthanasia.
|
(u) "Good faith" means the prescribing or dispensing of a |
controlled
substance by a practitioner in the regular course of |
professional
treatment to or for any person who is under his or |
her treatment for a
pathology or condition other than that |
individual's physical or
psychological dependence upon or |
addiction to a controlled substance,
except as provided herein: |
and application of the term to a pharmacist
shall mean the |
dispensing of a controlled substance pursuant to the
|
prescriber's order which in the professional judgment of the |
pharmacist
is lawful. The pharmacist shall be guided by |
accepted professional
standards including, but not limited to |
the following, in making the
judgment:
|
(1) lack of consistency of prescriber-patient |
relationship,
|
(2) frequency of prescriptions for same drug by one |
prescriber for
large numbers of patients,
|
(3) quantities beyond those normally prescribed,
|
(4) unusual dosages (recognizing that there may be |
clinical circumstances where more or less than the usual |
dose may be used legitimately),
|
(5) unusual geographic distances between patient, |
|
pharmacist and
prescriber,
|
(6) consistent prescribing of habit-forming drugs.
|
(u-0.5) "Hallucinogen" means a drug that causes markedly |
altered sensory perception leading to hallucinations of any |
type. |
(u-1) "Home infusion services" means services provided by a |
pharmacy in
compounding solutions for direct administration to |
a patient in a private
residence, long-term care facility, or |
hospice setting by means of parenteral,
intravenous, |
intramuscular, subcutaneous, or intraspinal infusion.
|
(u-5) "Illinois State Police" means the State
Police of the |
State of Illinois, or its successor agency. |
(v) "Immediate precursor" means a substance:
|
(1) which the Department has found to be and by rule |
designated as
being a principal compound used, or produced |
primarily for use, in the
manufacture of a controlled |
substance;
|
(2) which is an immediate chemical intermediary used or |
likely to
be used in the manufacture of such controlled |
substance; and
|
(3) the control of which is necessary to prevent, |
curtail or limit
the manufacture of such controlled |
substance.
|
(w) "Instructional activities" means the acts of teaching, |
educating
or instructing by practitioners using controlled |
substances within
educational facilities approved by the State |
|
Board of Education or
its successor agency.
|
(x) "Local authorities" means a duly organized State, |
County or
Municipal peace unit or police force.
|
(y) "Look-alike substance" means a substance, other than a |
controlled
substance which (1) by overall dosage unit |
appearance, including shape,
color, size, markings or lack |
thereof, taste, consistency, or any other
identifying physical |
characteristic of the substance, would lead a reasonable
person |
to believe that the substance is a controlled substance, or (2) |
is
expressly or impliedly represented to be a controlled |
substance or is
distributed under circumstances which would |
lead a reasonable person to
believe that the substance is a |
controlled substance. For the purpose of
determining whether |
the representations made or the circumstances of the
|
distribution would lead a reasonable person to believe the |
substance to be
a controlled substance under this clause (2) of |
subsection (y), the court or
other authority may consider the |
following factors in addition to any other
factor that may be |
relevant:
|
(a) statements made by the owner or person in control |
of the substance
concerning its nature, use or effect;
|
(b) statements made to the buyer or recipient that the |
substance may
be resold for profit;
|
(c) whether the substance is packaged in a manner |
normally used for the
illegal distribution of controlled |
substances;
|
|
(d) whether the distribution or attempted distribution |
included an
exchange of or demand for money or other |
property as consideration, and
whether the amount of the |
consideration was substantially greater than the
|
reasonable retail market value of the substance.
|
Clause (1) of this subsection (y) shall not apply to a |
noncontrolled
substance in its finished dosage form that was |
initially introduced into
commerce prior to the initial |
introduction into commerce of a controlled
substance in its |
finished dosage form which it may substantially resemble.
|
Nothing in this subsection (y) prohibits the dispensing or |
distributing
of noncontrolled substances by persons authorized |
to dispense and
distribute controlled substances under this |
Act, provided that such action
would be deemed to be carried |
out in good faith under subsection (u) if the
substances |
involved were controlled substances.
|
Nothing in this subsection (y) or in this Act prohibits the |
manufacture,
preparation, propagation, compounding, |
processing, packaging, advertising
or distribution of a drug or |
drugs by any person registered pursuant to
Section 510 of the |
Federal Food, Drug, and Cosmetic Act (21 U.S.C. 360).
|
(y-1) "Mail-order pharmacy" means a pharmacy that is |
located in a state
of the United States that delivers, |
dispenses or
distributes, through the United States Postal |
Service or other common
carrier, to Illinois residents, any |
substance which requires a prescription.
|
|
(z) "Manufacture" means the production, preparation, |
propagation,
compounding, conversion or processing of a |
controlled substance other than methamphetamine, either
|
directly or indirectly, by extraction from substances of |
natural origin,
or independently by means of chemical |
synthesis, or by a combination of
extraction and chemical |
synthesis, and includes any packaging or
repackaging of the |
substance or labeling of its container, except that
this term |
does not include:
|
(1) by an ultimate user, the preparation or compounding |
of a
controlled substance for his or her own use; or
|
(2) by a practitioner, or his or her authorized agent |
under his or her
supervision, the preparation, |
compounding, packaging, or labeling of a
controlled |
substance:
|
(a) as an incident to his or her administering or |
dispensing of a
controlled substance in the course of |
his or her professional practice; or
|
(b) as an incident to lawful research, teaching or |
chemical
analysis and not for sale.
|
(z-1) (Blank).
|
(z-5) "Medication shopping" means the conduct prohibited |
under subsection (a) of Section 314.5 of this Act. |
(z-10) "Mid-level practitioner" means (i) a physician |
assistant who has been delegated authority to prescribe through |
a written delegation of authority by a physician licensed to |
|
practice medicine in all of its branches, in accordance with |
Section 7.5 of the Physician Assistant Practice Act of 1987, |
(ii) an advanced practice nurse who has been delegated |
authority to prescribe through a written delegation of |
authority by a physician licensed to practice medicine in all |
of its branches or by a podiatric physician, in accordance with |
Section 65-40 of the Nurse Practice Act, (iii) an animal |
euthanasia agency, or (iv) a prescribing psychologist. |
(aa) "Narcotic drug" means any of the following, whether |
produced
directly or indirectly by extraction from substances |
of vegetable origin,
or independently by means of chemical |
synthesis, or by a combination of
extraction and chemical |
synthesis:
|
(1) opium, opiates, derivatives of opium and opiates, |
including their isomers, esters, ethers, salts, and salts |
of isomers, esters, and ethers, whenever the existence of |
such isomers, esters, ethers, and salts is possible within |
the specific chemical designation; however the term |
"narcotic drug" does not include the isoquinoline |
alkaloids of opium;
|
(2) (blank);
|
(3) opium poppy and poppy straw;
|
(4) coca leaves, except coca leaves and extracts of |
coca leaves from which substantially all of the cocaine and |
ecgonine, and their isomers, derivatives and salts, have |
been removed;
|
|
(5) cocaine, its salts, optical and geometric isomers, |
and salts of isomers; |
(6) ecgonine, its derivatives, their salts, isomers, |
and salts of isomers; |
(7) any compound, mixture, or preparation which |
contains any quantity of any of the substances referred to |
in subparagraphs (1) through (6). |
(bb) "Nurse" means a registered nurse licensed under the
|
Nurse Practice Act.
|
(cc) (Blank).
|
(dd) "Opiate" means any substance having an addiction |
forming or
addiction sustaining liability similar to morphine |
or being capable of
conversion into a drug having addiction |
forming or addiction sustaining
liability.
|
(ee) "Opium poppy" means the plant of the species Papaver
|
somniferum L., except its seeds.
|
(ee-5) "Oral dosage" means a tablet, capsule, elixir, or |
solution or other liquid form of medication intended for |
administration by mouth, but the term does not include a form |
of medication intended for buccal, sublingual, or transmucosal |
administration. |
(ff) "Parole and Pardon Board" means the Parole and Pardon |
Board of
the State of Illinois or its successor agency.
|
(gg) "Person" means any individual, corporation, |
mail-order pharmacy,
government or governmental subdivision or |
agency, business trust, estate,
trust, partnership or |
|
association, or any other entity.
|
(hh) "Pharmacist" means any person who holds a license or |
certificate of
registration as a registered pharmacist, a local |
registered pharmacist
or a registered assistant pharmacist |
under the Pharmacy Practice Act.
|
(ii) "Pharmacy" means any store, ship or other place in |
which
pharmacy is authorized to be practiced under the Pharmacy |
Practice Act.
|
(ii-5) "Pharmacy shopping" means the conduct prohibited |
under subsection (b) of Section 314.5 of this Act. |
(ii-10) "Physician" (except when the context otherwise |
requires) means a person licensed to practice medicine in all |
of its branches. |
(jj) "Poppy straw" means all parts, except the seeds, of |
the opium
poppy, after mowing.
|
(kk) "Practitioner" means a physician licensed to practice |
medicine in all
its branches, dentist, optometrist, podiatric |
physician,
veterinarian, scientific investigator, pharmacist, |
physician assistant,
advanced practice nurse,
licensed |
practical
nurse, registered nurse, hospital, laboratory, or |
pharmacy, or other
person licensed, registered, or otherwise |
lawfully permitted by the
United States or this State to |
distribute, dispense, conduct research
with respect to, |
administer or use in teaching or chemical analysis, a
|
controlled substance in the course of professional practice or |
research.
|
|
(ll) "Pre-printed prescription" means a written |
prescription upon which
the designated drug has been indicated |
prior to the time of issuance; the term does not mean a written |
prescription that is individually generated by machine or |
computer in the prescriber's office.
|
(mm) "Prescriber" means a physician licensed to practice |
medicine in all
its branches, dentist, optometrist, |
prescribing psychologist licensed under Section 4.2 of the |
Clinical Psychologist Licensing Act with prescriptive |
authority delegated under Section 4.3 of the Clinical |
Psychologist Licensing Act, podiatric physician, or
|
veterinarian who issues a prescription, a physician assistant |
who
issues a
prescription for a controlled substance
in |
accordance
with Section 303.05, a written delegation, and a |
written supervision agreement required under Section 7.5
of the
|
Physician Assistant Practice Act of 1987, or an advanced |
practice
nurse with prescriptive authority delegated under |
Section 65-40 of the Nurse Practice Act and in accordance with |
Section 303.05, a written delegation,
and a written
|
collaborative agreement under Section 65-35 of the Nurse |
Practice Act.
|
(nn) "Prescription" means a written, facsimile, or oral |
order, or an electronic order that complies with applicable |
federal requirements,
of
a physician licensed to practice |
medicine in all its branches,
dentist, podiatric physician or |
veterinarian for any controlled
substance, of an optometrist |
|
for a Schedule II, III, IV, or V controlled substance in |
accordance with Section 15.1 of the Illinois Optometric |
Practice Act of 1987, of a prescribing psychologist licensed |
under Section 4.2 of the Clinical Psychologist Licensing Act |
with prescriptive authority delegated under Section 4.3 of the |
Clinical Psychologist Licensing Act, of a physician assistant |
for a
controlled substance
in accordance with Section 303.05, a |
written delegation, and a written supervision agreement |
required under
Section 7.5 of the
Physician Assistant Practice |
Act of 1987, or of an advanced practice
nurse with prescriptive |
authority delegated under Section 65-40 of the Nurse Practice |
Act who issues a prescription for a
controlled substance in |
accordance
with
Section 303.05, a written delegation, and a |
written collaborative agreement under Section 65-35 of the |
Nurse Practice Act when required by law.
|
(nn-5) "Prescription Information Library" (PIL) means an |
electronic library that contains reported controlled substance |
data. |
(nn-10) "Prescription Monitoring Program" (PMP) means the |
entity that collects, tracks, and stores reported data on |
controlled substances and select drugs pursuant to Section 316. |
(oo) "Production" or "produce" means manufacture, |
planting,
cultivating, growing, or harvesting of a controlled |
substance other than methamphetamine.
|
(pp) "Registrant" means every person who is required to |
register
under Section 302 of this Act.
|
|
(qq) "Registry number" means the number assigned to each |
person
authorized to handle controlled substances under the |
laws of the United
States and of this State.
|
(qq-5) "Secretary" means, as the context requires, either |
the Secretary of the Department or the Secretary of the |
Department of Financial and Professional Regulation, and the |
Secretary's designated agents. |
(rr) "State" includes the State of Illinois and any state, |
district,
commonwealth, territory, insular possession thereof, |
and any area
subject to the legal authority of the United |
States of America.
|
(rr-5) "Stimulant" means any drug that (i) causes an |
overall excitation of central nervous system functions, (ii) |
causes impaired consciousness and awareness, and (iii) can be |
habit-forming or lead to a substance abuse problem, including |
but not limited to amphetamines and their analogs, |
methylphenidate and its analogs, cocaine, and phencyclidine |
and its analogs. |
(ss) "Ultimate user" means a person who lawfully possesses |
a
controlled substance for his or her own use or for the use of |
a member of his or her
household or for administering to an |
animal owned by him or her or by a member
of his or her |
household.
|
(Source: P.A. 97-334, eff. 1-1-12; 98-214, eff. 8-9-13; 98-668, |
eff. 6-25-14; 98-756, eff. 7-16-14; 98-1111, eff. 8-26-14; |
revised 10-1-14.)
|
|
(720 ILCS 570/301) (from Ch. 56 1/2, par. 1301)
|
Sec. 301. The Department of Financial and Professional |
Regulation shall promulgate
rules and charge reasonable fees |
and fines relating to the registration and
control of the |
manufacture, distribution, and dispensing of controlled
|
substances within this State. The Department shall request a |
contact email address in its application for a new or renewed |
license to dispense controlled substances. All moneys received |
by the Department of Financial and
Professional Regulation |
under this Act shall be deposited into the respective
|
professional dedicated funds in like manner as the primary |
professional
licenses. |
A pharmacy, manufacturer of controlled substances, or |
wholesale distributor of controlled substances that is |
regulated under this Act and owned and operated by the State is |
exempt from fees required under this Act. Pharmacists and |
pharmacy technicians working in facilities owned and operated |
by the State are not exempt from the payment of fees required |
by this Act and any rules adopted under this Act. Nothing in |
this Section shall be construed to prohibit the Department of |
Financial and Professional Regulation from imposing any fine or |
other penalty allowed under this Act.
|
(Source: P.A. 97-334, eff. 1-1-12.)
|
(720 ILCS 570/312) (from Ch. 56 1/2, par. 1312)
|
|
Sec. 312. Requirements for dispensing controlled |
substances.
|
(a) A practitioner, in good faith, may dispense a Schedule
|
II controlled substance, which is a narcotic drug listed in |
Section 206
of this Act; or which contains any quantity of |
amphetamine or
methamphetamine, their salts, optical isomers |
or salts of optical
isomers; phenmetrazine and its salts; or |
pentazocine; and Schedule III, IV, or V controlled substances
|
to any person upon
a written or electronic prescription of any |
prescriber, dated and signed
by the
person prescribing (or |
electronically validated in compliance with Section 311.5) on |
the day when issued and bearing the name and
address of the |
patient for whom, or the owner of the animal for which
the |
controlled substance is dispensed, and the full name, address |
and
registry number under the laws of the United States |
relating to
controlled substances of the prescriber, if he or |
she is
required by
those laws to be registered. If the |
prescription is for an animal it
shall state the species of |
animal for which it is ordered. The
practitioner filling the |
prescription shall, unless otherwise permitted, write the date |
of filling
and his or her own signature on the face of the |
written prescription or, alternatively, shall indicate such |
filling using a unique identifier as defined in paragraph (v) |
of Section 3 of the Pharmacy Practice Act.
The written |
prescription shall be
retained on file by the practitioner who |
filled it or pharmacy in which
the prescription was filled for |
|
a period of 2 years, so as to be readily
accessible for |
inspection or removal by any officer or employee engaged
in the |
enforcement of this Act. Whenever the practitioner's or
|
pharmacy's copy of any prescription is removed by an officer or
|
employee engaged in the enforcement of this Act, for the |
purpose of
investigation or as evidence, such officer or |
employee shall give to the
practitioner or pharmacy a receipt |
in lieu thereof. If the specific prescription is machine or |
computer generated and printed at the prescriber's office, the |
date does not need to be handwritten. A prescription
for a |
Schedule II controlled substance shall not be issued for more |
than a 30 day supply, except as provided in subsection (a-5), |
and shall be valid for up to 90 days
after the date of |
issuance. A written prescription for Schedule III, IV or
V |
controlled substances shall not be filled or refilled more than |
6 months
after the date thereof or refilled more than 5 times |
unless renewed, in
writing, by the prescriber. A pharmacy shall |
maintain a policy regarding the type of identification |
necessary, if any, to receive a prescription in accordance with |
State and federal law. The pharmacy must post such information |
where prescriptions are filled.
|
(a-5) Physicians may issue multiple prescriptions (3 |
sequential 30-day supplies) for the same Schedule II controlled |
substance, authorizing up to a 90-day supply. Before |
authorizing a 90-day supply of a Schedule II controlled |
substance, the physician must meet both of the following |
|
conditions: |
(1) Each separate prescription must be issued for a |
legitimate medical purpose by an individual physician |
acting in the usual course of professional practice. |
(2) The individual physician must provide written |
instructions on each prescription (other than the first |
prescription, if the prescribing physician intends for the |
prescription to be filled immediately) indicating the |
earliest date on which a pharmacy may fill that |
prescription. |
(3) The physician shall document in the medical record |
of a patient the medical necessity for the amount and |
duration of the 3 sequential 30-day prescriptions for |
Schedule II narcotics. |
(b) In lieu of a written prescription required by this |
Section, a
pharmacist, in good faith, may dispense Schedule |
III, IV, or V
substances to any person either upon receiving a |
facsimile of a written,
signed prescription transmitted by the |
prescriber or the prescriber's agent
or upon a lawful oral |
prescription of a
prescriber which oral prescription shall be |
reduced
promptly to
writing by the pharmacist and such written |
memorandum thereof shall be
dated on the day when such oral |
prescription is received by the
pharmacist and shall bear the |
full name and address of the ultimate user
for whom, or of the |
owner of the animal for which the controlled
substance is |
dispensed, and the full name, address, and registry number
|
|
under the law of the United States relating to controlled |
substances of
the prescriber prescribing if he or she is |
required by those laws
to be so
registered, and the pharmacist |
filling such oral prescription shall
write the date of filling |
and his or her own signature on the face of such
written |
memorandum thereof. The facsimile copy of the prescription or
|
written memorandum of the oral
prescription shall be retained |
on file by the proprietor of the pharmacy
in which it is filled |
for a period of not less than two years, so as to
be readily |
accessible for inspection by any officer or employee engaged
in |
the enforcement of this Act in the same manner as a written
|
prescription. The facsimile copy of the prescription or oral |
prescription
and the written memorandum thereof
shall not be |
filled or refilled more than 6 months after the date
thereof or |
be refilled more than 5 times, unless renewed, in writing, by
|
the prescriber.
|
(c) Except for any non-prescription targeted |
methamphetamine precursor regulated by the Methamphetamine |
Precursor Control Act, a
controlled substance included in |
Schedule V shall not be
distributed or dispensed other than for |
a medical purpose and not for
the purpose of evading this Act, |
and then:
|
(1) only personally by a person registered to dispense |
a Schedule V
controlled substance and then only to his or |
her patients, or
|
(2) only personally by a pharmacist, and then only to a |
|
person over
21 years of age who has identified himself or |
herself to the pharmacist by means of
2 positive documents |
of identification.
|
(3) the dispenser shall record the name and address of |
the
purchaser, the name and quantity of the product, the |
date and time of
the sale, and the dispenser's signature.
|
(4) no person shall purchase or be dispensed more than |
120
milliliters or more than 120 grams of any Schedule V |
substance which
contains codeine, dihydrocodeine, or any |
salts thereof, or
ethylmorphine, or any salts thereof, in |
any 96 hour period. The
purchaser shall sign a form, |
approved by the Department of Financial and Professional
|
Regulation, attesting that he or she has not purchased any |
Schedule V
controlled substances within the immediately |
preceding 96 hours.
|
(5) (Blank).
|
(6) all records of purchases and sales shall be |
maintained for not
less than 2 years.
|
(7) no person shall obtain or attempt to obtain within |
any
consecutive 96 hour period any Schedule V substances of |
more than 120
milliliters or more than 120 grams containing |
codeine, dihydrocodeine or
any of its salts, or |
ethylmorphine or any of its salts. Any person
obtaining any |
such preparations or combination of preparations in excess
|
of this limitation shall be in unlawful possession of such |
controlled
substance.
|
|
(8) a person qualified to dispense controlled |
substances under this
Act and registered thereunder shall |
at no time maintain or keep in stock
a quantity of Schedule |
V controlled substances in excess of 4.5 liters for each
|
substance; a pharmacy shall at no time maintain or keep in |
stock a
quantity of Schedule V controlled substances as |
defined in excess of 4.5
liters for each substance, plus |
the additional quantity of controlled
substances necessary |
to fill the largest number of prescription orders
filled by |
that pharmacy for such controlled substances in any one |
week
in the previous year. These limitations shall not |
apply to Schedule V
controlled substances which Federal law |
prohibits from being dispensed
without a prescription.
|
(9) no person shall distribute or dispense butyl |
nitrite for
inhalation or other introduction into the human |
body for euphoric or
physical effect.
|
(d) Every practitioner shall keep a record or log of |
controlled substances
received by him or her and a record of |
all such controlled substances
administered, dispensed or |
professionally used by him or her otherwise than by
|
prescription. It shall, however, be sufficient compliance with |
this
paragraph if any practitioner utilizing controlled |
substances listed in
Schedules III, IV and V shall keep a |
record of all those substances
dispensed and distributed by him |
or her other than those controlled substances
which are |
administered by the direct application of a controlled
|
|
substance, whether by injection, inhalation, ingestion, or any |
other
means to the body of a patient or research subject. A |
practitioner who
dispenses, other than by administering, a |
controlled substance in
Schedule II, which is a narcotic drug |
listed in Section 206 of this Act,
or which contains any |
quantity of amphetamine or methamphetamine, their
salts, |
optical isomers or salts of optical isomers, pentazocine, or
|
methaqualone shall do so only upon
the issuance of a written |
prescription blank or electronic prescription issued by a
|
prescriber.
|
(e) Whenever a manufacturer distributes a controlled |
substance in a
package prepared by him or her, and whenever a |
wholesale distributor
distributes a controlled substance in a |
package prepared by him or her or the
manufacturer, he or she |
shall securely affix to each package in which that
substance is |
contained a label showing in legible English the name and
|
address of the manufacturer, the distributor and the quantity, |
kind and
form of controlled substance contained therein. No |
person except a
pharmacist and only for the purposes of filling |
a prescription under
this Act, shall alter, deface or remove |
any label so affixed.
|
(f) Whenever a practitioner dispenses any controlled |
substance except a non-prescription Schedule V product or a |
non-prescription targeted methamphetamine precursor regulated |
by the Methamphetamine Precursor Control Act, he or she
shall |
affix to the container in which such substance is sold or
|
|
dispensed, a label indicating the date of initial filling, the |
practitioner's
name and address, the name
of the patient, the |
name of the prescriber,
the directions
for use and cautionary |
statements, if any, contained in any prescription
or required |
by law, the proprietary name or names or the established name
|
of the controlled substance, and the dosage and quantity, |
except as otherwise
authorized by regulation by the Department |
of Financial and Professional Regulation. No
person shall |
alter, deface or remove any label so affixed as long as the |
specific medication remains in the container.
|
(g) A person to whom or for whose use any controlled |
substance has
been prescribed or dispensed by a practitioner, |
or other persons
authorized under this Act, and the owner of |
any animal for which such
substance has been prescribed or |
dispensed by a veterinarian, may
lawfully possess such |
substance only in the container in which it was
delivered to |
him or her by the person dispensing such substance.
|
(h) The responsibility for the proper prescribing or |
dispensing of
controlled substances that are under the |
prescriber's direct control is upon the prescriber. The |
responsibility for
the proper filling of a prescription for |
controlled substance drugs
rests with the pharmacist. An order |
purporting to be a prescription
issued to any individual, which |
is not in the regular course of
professional treatment nor part |
of an authorized methadone maintenance
program, nor in |
legitimate and authorized research instituted by any
|
|
accredited hospital, educational institution, charitable |
foundation, or
federal, state or local governmental agency, and |
which is intended to
provide that individual with controlled |
substances sufficient to
maintain that individual's or any |
other individual's physical or
psychological addiction, |
habitual or customary use, dependence, or
diversion of that |
controlled substance is not a prescription within the
meaning |
and intent of this Act; and the person issuing it, shall be
|
subject to the penalties provided for violations of the law |
relating to
controlled substances.
|
(i) A prescriber shall not pre-print preprint or cause to |
be
pre-printed preprinted a
prescription for any controlled |
substance; nor shall any practitioner
issue, fill or cause to |
be issued or filled, a pre-printed preprinted prescription
for |
any controlled substance.
|
(i-5) A prescriber may use a machine or electronic device |
to individually generate a printed prescription, but the |
prescriber is still required to affix his or her manual |
signature. |
(j) No person shall manufacture, dispense, deliver, |
possess with
intent to deliver, prescribe, or administer or |
cause to be administered
under his or her direction any |
anabolic steroid, for any use in humans other than
the |
treatment of disease in accordance with the order of a |
physician licensed
to practice medicine in all its branches for |
a
valid medical purpose in the course of professional practice. |
|
The use of
anabolic steroids for the purpose of hormonal |
manipulation that is intended
to increase muscle mass, strength |
or weight without a medical necessity to
do so, or for the |
intended purpose of improving physical appearance or
|
performance in any form of exercise, sport, or game, is not a |
valid medical
purpose or in the course of professional |
practice.
|
(k) Controlled substances may be mailed if all of the |
following conditions are met: |
(1) The controlled substances are not outwardly |
dangerous and are not likely, of their own force, to cause |
injury to a person's life or health. |
(2) The inner container of a parcel containing |
controlled substances must be marked and sealed as required |
under this Act and its rules, and be placed in a plain |
outer container or securely wrapped in plain paper. |
(3) If the controlled substances consist of |
prescription medicines, the inner container must be |
labeled to show the name and address of the pharmacy or |
practitioner dispensing the prescription. |
(4) The outside wrapper or container must be free of |
markings that would indicate the nature of the contents. |
(Source: P.A. 96-166, eff. 1-1-10; 97-334, eff. 1-1-12; revised |
12-10-14.)
|
(720 ILCS 570/314.5) |
|
Sec. 314.5. Medication shopping; pharmacy shopping. |
(a) It shall be unlawful for any person knowingly or |
intentionally to fraudulently obtain or fraudulently seek to |
obtain any controlled substance or prescription for a |
controlled substance from a prescriber or dispenser while being |
supplied with any controlled substance or prescription for a |
controlled substance by another prescriber or dispenser, |
without disclosing the fact of the existing controlled |
substance or prescription for a controlled substance to the |
prescriber or dispenser from whom the subsequent controlled |
substance or prescription for a controlled substance is sought. |
(b) It shall be unlawful for a person knowingly or |
intentionally to fraudulently obtain or fraudulently seek to |
obtain any controlled substance from a pharmacy while being |
supplied with any controlled substance by another pharmacy, |
without disclosing the fact of the existing controlled |
substance to the pharmacy from which the subsequent controlled |
substance is sought. |
(c) A person may be in violation of Section 3.23 of the |
Illinois Food, Drug and Cosmetic Act or Section 406 of this Act |
when medication shopping or pharmacy shopping, or both. |
(d) When a person has been identified as having 3 6 or more |
prescribers or 3 6 or more pharmacies, or both, that do not |
utilize a common electronic file as specified in Section 20 of |
the Pharmacy Practice Act for controlled substances within the |
course of a continuous 30-day period, the Prescription |
|
Monitoring Program may issue an unsolicited report to the |
prescribers , dispensers, and their designees informing them of |
the potential medication shopping. |
(e) Nothing in this Section shall be construed to create a |
requirement that any prescriber, dispenser, or pharmacist |
request any patient medication disclosure, report any patient |
activity, or prescribe or refuse to prescribe or dispense any |
medications. |
(f) This Section shall not be construed to apply to |
inpatients or residents at hospitals or other institutions or |
to institutional pharmacies.
|
(g) Any patient feedback, including grades, ratings, or |
written or verbal statements, in opposition to a clinical |
decision that the prescription of a controlled substance is not |
medically necessary shall not be the basis of any adverse |
action, evaluation, or any other type of negative |
credentialing, contracting, licensure, or employment action |
taken against a prescriber or dispenser. |
(Source: P.A. 97-334, eff. 1-1-12.)
|
(720 ILCS 570/316)
|
Sec. 316. Prescription monitoring program. |
(a) The Department must provide for a
prescription |
monitoring program for Schedule II, III, IV, and V controlled |
substances that includes the following components and |
requirements:
|
|
(1) The
dispenser must transmit to the
central |
repository, in a form and manner specified by the |
Department, the following information:
|
(A) The recipient's name and address .
|
(B) The recipient's date of birth and gender |
address .
|
(C) The national drug code number of the controlled
|
substance
dispensed.
|
(D) The date the controlled substance is |
dispensed.
|
(E) The quantity of the controlled substance |
dispensed and days supply .
|
(F) The dispenser's United States Drug Enforcement |
Administration
registration number.
|
(G) The prescriber's United States Drug |
Enforcement Administration
registration number.
|
(H) The dates the controlled substance |
prescription is filled. |
(I) The payment type used to purchase the |
controlled substance (i.e. Medicaid, cash, third party |
insurance). |
(J) The patient location code (i.e. home, nursing |
home, outpatient, etc.) for the controlled substances |
other than those filled at a retail pharmacy. |
(K) Any additional information that may be |
required by the department by administrative rule, |
|
including but not limited to information required for |
compliance with the criteria for electronic reporting |
of the American Society for Automation and Pharmacy or |
its successor.
|
(2) The information required to be transmitted under |
this Section must be
transmitted not later more than the |
end of the next business day 7 days after the date on which |
a
controlled substance is dispensed, or at such other time |
as may be required by the Department by administrative |
rule.
|
(3) A dispenser must transmit the information required |
under this Section
by:
|
(A) an electronic device compatible with the |
receiving device of the
central repository;
|
(B) a computer diskette;
|
(C) a magnetic tape; or
|
(D) a pharmacy universal claim form or Pharmacy |
Inventory Control form;
|
(4) The Department may impose a civil fine of up to |
$100 per day for willful failure to report controlled |
substance dispensing to the Prescription Monitoring |
Program. The fine shall be calculated on no more than the |
number of days from the time the report was required to be |
made until the time the problem was resolved, and shall be |
payable to the Prescription Monitoring Program.
|
(b) The Department, by rule, may include in the monitoring |
|
program certain other select drugs that are not included in |
Schedule II, III, IV, or V. The prescription monitoring program |
does not apply to
controlled substance prescriptions as |
exempted under Section
313.
|
(c) The collection of data on select drugs and scheduled |
substances by the Prescription Monitoring Program may be used |
as a tool for addressing oversight requirements of long-term |
care institutions as set forth by Public Act 96-1372. Long-term |
care pharmacies shall transmit patient medication profiles to |
the Prescription Monitoring Program monthly or more frequently |
as established by administrative rule. |
(d) The Department of Human Services shall appoint a |
full-time Clinical Director of the Prescription Monitoring |
Program. |
(e) Within one year of the effective date of this |
amendatory Act of the 99th General Assembly, the Department |
shall adopt rules establishing pilot initiatives involving a |
cross-section of hospitals in this State to increase electronic |
integration of a hospital's electronic health record with the |
Prescription Monitoring Program on or before January 1, 2019 to |
ensure all providers have timely access to relevant |
prescription information during the treatment of their |
patients. These rules shall also establish pilots that enhance |
the electronic integration of outpatient pharmacy records with |
the Prescription Monitoring Program to allow for faster |
transmission of the information required under this Section. In |
|
collaboration with the Department of Human Services, the |
Prescription Monitoring Program Advisory Committee shall |
identify funding sources to support the pilot projects in this |
Section and distribution of funds shall be based on voluntary |
and incentive-based models. The rules adopted by the Department |
shall also ensure that the Department continues to monitor |
updates in Electronic Health Record Technology and how other |
states have integrated their prescription monitoring databases |
with Electronic Health Records. |
(Source: P.A. 97-334, eff. 1-1-12.)
|
(720 ILCS 570/317)
|
Sec. 317. Central repository for collection of |
information.
|
(a) The Department must designate a central repository for
|
the collection of information transmitted under Section 316 and |
former Section 321.
|
(b) The central repository must do the following:
|
(1) Create a database for information required to be |
transmitted under
Section 316 in the form required under |
rules adopted by the
Department, including search |
capability for the following:
|
(A) A recipient's name and address .
|
(B) A recipient's date of birth and gender address .
|
(C) The national drug code number of a controlled |
substance
dispensed.
|
|
(D) The dates a controlled substance is dispensed.
|
(E) The quantities and days supply of a controlled |
substance dispensed.
|
(F) A dispenser's Administration
registration |
number.
|
(G) A prescriber's Administration
registration |
number.
|
(H) The dates the controlled substance |
prescription is filled. |
(I) The payment type used to purchase the |
controlled substance (i.e. Medicaid, cash, third party |
insurance). |
(J) The patient location code (i.e. home, nursing |
home, outpatient, etc.) for controlled substance |
prescriptions other than those filled at a retail |
pharmacy.
|
(2) Provide the Department with a database maintained |
by the central
repository. The Department of Financial and
|
Professional
Regulation must provide the
Department with |
electronic access to the license information of a |
prescriber or
dispenser.
|
(3) Secure the information collected by the central |
repository and the
database maintained by the central |
repository against access by unauthorized
persons. |
All prescribers shall designate one or more medical |
specialties or fields of medical care and treatment for which |
|
the prescriber prescribes controlled substances when |
registering with the Prescription Monitoring Program. |
No fee shall be charged for access by a prescriber or |
dispenser.
|
(Source: P.A. 97-334, eff. 1-1-12.)
|
(720 ILCS 570/318)
|
Sec. 318. Confidentiality of information.
|
(a) Information received by the central repository under |
Section 316 and former Section 321
is confidential.
|
(b) The Department must carry out a program to protect the
|
confidentiality of the information described in subsection |
(a). The Department
may
disclose the information to another |
person only under
subsection (c), (d), or (f) and may charge a |
fee not to exceed the actual cost
of
furnishing the
|
information.
|
(c) The Department may disclose confidential information |
described
in subsection (a) to any person who is engaged in |
receiving, processing, or
storing the information.
|
(d) The Department may release confidential information |
described
in subsection (a) to the following persons:
|
(1) A governing body
that licenses practitioners and is |
engaged in an investigation, an
adjudication,
or a |
prosecution of a violation under any State or federal law |
that involves a
controlled substance.
|
(2) An investigator for the Consumer Protection |
|
Division of the office of
the Attorney General, a |
prosecuting attorney, the Attorney General, a deputy
|
Attorney General, or an investigator from the office of the |
Attorney General,
who is engaged in any of the following |
activities involving controlled
substances:
|
(A) an investigation;
|
(B) an adjudication; or
|
(C) a prosecution
of a violation under any State or |
federal law that involves a controlled
substance.
|
(3) A law enforcement officer who is:
|
(A) authorized by the Illinois State Police or the |
office of a county sheriff or State's Attorney or
|
municipal police department of Illinois to receive
|
information
of the type requested for the purpose of |
investigations involving controlled
substances; or
|
(B) approved by the Department to receive |
information of the
type requested for the purpose of |
investigations involving controlled
substances; and
|
(C) engaged in the investigation or prosecution of |
a violation
under
any State or federal law that |
involves a controlled substance.
|
(e) Before the Department releases confidential |
information under
subsection (d), the applicant must |
demonstrate in writing to the Department that:
|
(1) the applicant has reason to believe that a |
violation under any
State or
federal law that involves a |
|
controlled substance has occurred; and
|
(2) the requested information is reasonably related to |
the investigation,
adjudication, or prosecution of the |
violation described in subdivision (1).
|
(f) The Department may receive and release prescription |
record information under Section 316 and former Section 321 to:
|
(1) a governing
body that licenses practitioners;
|
(2) an investigator for the Consumer Protection |
Division of the office of
the Attorney General, a |
prosecuting attorney, the Attorney General, a deputy
|
Attorney General, or an investigator from the office of the |
Attorney General;
|
(3) any Illinois law enforcement officer who is:
|
(A) authorized to receive the type of
information |
released; and
|
(B) approved by the Department to receive the type |
of
information released; or
|
(4) prescription monitoring entities in other states |
per the provisions outlined in subsection (g) and (h) |
below;
|
confidential prescription record information collected under |
Sections 316 and 321 (now repealed) that identifies vendors or
|
practitioners, or both, who are prescribing or dispensing large |
quantities of
Schedule II, III, IV, or V controlled
substances |
outside the scope of their practice, pharmacy, or business, as |
determined by the Advisory Committee created by Section 320.
|
|
(g) The information described in subsection (f) may not be |
released until it
has been reviewed by an employee of the |
Department who is licensed as a
prescriber or a dispenser
and |
until that employee has certified
that further investigation is |
warranted. However, failure to comply with this
subsection (g) |
does not invalidate the use of any evidence that is otherwise
|
admissible in a proceeding described in subsection (h).
|
(h) An investigator or a law enforcement officer receiving |
confidential
information under subsection (c), (d), or (f) may |
disclose the information to a
law enforcement officer or an |
attorney for the office of the Attorney General
for use as |
evidence in the following:
|
(1) A proceeding under any State or federal law that |
involves a
controlled substance.
|
(2) A criminal proceeding or a proceeding in juvenile |
court that involves
a controlled substance.
|
(i) The Department may compile statistical reports from the
|
information described in subsection (a). The reports must not |
include
information that identifies, by name, license or |
address, any practitioner, dispenser, ultimate user, or other |
person
administering a controlled substance.
|
(j) Based upon federal, initial and maintenance funding, a |
prescriber and dispenser inquiry system shall be developed to |
assist the health care community in its goal of effective |
clinical practice and to prevent patients from diverting or |
abusing medications.
|
|
(1) An inquirer shall have read-only access to a |
stand-alone database which shall contain records for the |
previous 12 months. |
(2) Dispensers may, upon positive and secure |
identification, make an inquiry on a patient or customer |
solely for a medical purpose as delineated within the |
federal HIPAA law. |
(3) The Department shall provide a one-to-one secure |
link and encrypted software necessary to establish the link |
between an inquirer and the Department. Technical |
assistance shall also be provided. |
(4) Written inquiries are acceptable but must include |
the fee and the requestor's Drug Enforcement |
Administration license number and submitted upon the |
requestor's business stationery. |
(5) As directed by the Prescription Monitoring Program |
Advisory Committee and the Clinical Director for the |
Prescription Monitoring Program, aggregate data that does |
not indicate any prescriber, practitioner, dispenser, or |
patient may be used for clinical studies. |
(6) Tracking analysis shall be established and used per |
administrative rule. |
(7) Nothing in this Act or Illinois law shall be |
construed to require a prescriber or dispenser to make use |
of this inquiry system.
|
(8) If there is an adverse outcome because of a |
|
prescriber or dispenser making an inquiry, which is |
initiated in good faith, the prescriber or dispenser shall |
be held harmless from any civil liability.
|
(k) The Department shall establish, by rule, the process by |
which to evaluate possible erroneous association of |
prescriptions to any licensed prescriber or end user of the |
Illinois Prescription Information Library (PIL). |
(l) The Prescription Monitoring Program Advisory Committee |
is authorized to evaluate the need for and method of |
establishing a patient specific identifier. |
(m) Patients who identify prescriptions attributed to them |
that were not obtained by them shall be given access to their |
personal prescription history pursuant to the validation |
process as set forth by administrative rule. |
(n) The Prescription Monitoring Program is authorized to |
develop operational push reports to entities with compatible |
electronic medical records. The process shall be covered within |
administrative rule established by the Department. |
(o) Hospital emergency departments and freestanding |
healthcare facilities providing healthcare to walk-in patients |
may obtain, for the purpose of improving patient care, a unique |
identifier for each shift to utilize the PIL system. |
(p) The Prescription Monitoring Program shall |
automatically create a log-in to the inquiry system when a |
prescriber or dispenser obtains or renews his or her controlled |
substance license. The Department of Financial and |
|
Professional Regulation must provide the Prescription |
Monitoring Program with electronic access to the license |
information of a prescriber or dispenser to facilitate the |
creation of this profile. The Prescription Monitoring Program |
shall send the prescriber or dispenser information regarding |
the inquiry system, including instructions on how to log into |
the system, instructions on how to use the system to promote |
effective clinical practice, and opportunities for continuing |
education for the prescribing of controlled substances. The |
Prescription Monitoring Program shall also send to all enrolled |
prescribers, dispensers, and designees information regarding |
the unsolicited reports produced pursuant to Section 314.5 of |
this Act. |
(q) A prescriber or dispenser may authorize a designee to |
consult the inquiry system established by the Department under |
this subsection on his or her behalf, provided that all the |
following conditions are met: |
(1) the designee so authorized is employed by the same |
hospital or health care system; is employed by the same |
professional practice; or is under contract with such |
practice, hospital, or health care system; |
(2) the prescriber or dispenser takes reasonable steps |
to ensure that such designee is sufficiently competent in |
the use of the inquiry system; |
(3) the prescriber or dispenser remains responsible |
for ensuring that access to the inquiry system by the |
|
designee is limited to authorized purposes and occurs in a |
manner that protects the confidentiality of the |
information obtained from the inquiry system, and remains |
responsible for any breach of confidentiality; and |
(4) the ultimate decision as to whether or not to |
prescribe or dispense a controlled substance remains with |
the prescriber or dispenser. |
The Prescription Monitoring Program shall send to |
registered designees information regarding the inquiry system, |
including instructions on how to log onto the system. |
(r) The Prescription Monitoring Program shall maintain an |
Internet website in conjunction with its prescriber and |
dispenser inquiry system. This website shall include, at a |
minimum, the following information: |
(1) current clinical guidelines developed by health |
care professional organizations on the prescribing of |
opioids or other controlled substances as determined by the |
Advisory Committee; |
(2) accredited continuing education programs related |
to prescribing of controlled substances; |
(3) programs or information developed by health care |
professionals that may be used to assess patients or help |
ensure compliance with prescriptions; |
(4) updates from the Food and Drug Administration, the |
Centers for Disease Control and Prevention, and other |
public and private organizations which are relevant to |
|
prescribing; |
(5) relevant medical studies related to prescribing; |
(6) other information regarding the prescription of |
controlled substances; and |
(7) information regarding prescription drug disposal |
events, including take-back programs or other disposal |
options or events. |
The content of the Internet website shall be periodically |
reviewed by the Prescription Monitoring Program Advisory |
Committee as set forth in Section 320 and updated in accordance |
with the recommendation of the advisory committee. |
(s) The Prescription Monitoring Program shall regularly |
send electronic updates to the registered users of the Program. |
The Prescription Monitoring Program Advisory Committee shall |
review any communications sent to registered users and also |
make recommendations for communications as set forth in Section |
320. These updates shall include the following information: |
(1) opportunities for accredited continuing education |
programs related to prescribing of controlled substances; |
(2) current clinical guidelines developed by health |
care professional organizations on the prescribing of |
opioids or other drugs as determined by the Advisory |
Committee; |
(3) programs or information developed by health care |
professionals that may be used to assess patients or help |
ensure compliance with prescriptions; |
|
(4) updates from the Food and Drug Administration, the |
Centers for Disease Control and Prevention, and other |
public and private organizations which are relevant to |
prescribing; |
(5) relevant medical studies related to prescribing; |
(6) other information regarding prescribing of |
controlled substances; |
(7) information regarding prescription drug disposal |
events, including take-back programs or other disposal |
options or events; and |
(8) reminders that the Prescription Monitoring Program |
is a useful clinical tool. |
(Source: P.A. 97-334, eff. 1-1-12; 97-813, eff. 7-13-12.)
|
(720 ILCS 570/319)
|
Sec. 319. Rules. The Department shall must adopt rules |
under the Illinois
Administrative
Procedure Act to
implement |
Sections 316 through 321, including the following:
|
(1) Information collection and retrieval procedures |
for the central
repository, including the
controlled |
substances to be included in
the program
required under |
Section 316 and Section 321 (now repealed).
|
(2) Design for the creation of the database required |
under Section
317.
|
(3) Requirements for the development and installation |
of on-line
electronic access by the Department to |
|
information collected by the
central repository.
|
(Source: P.A. 97-334, eff. 1-1-12.)
|
(720 ILCS 570/320)
|
Sec. 320. Advisory committee.
|
(a) There is created a Prescription Monitoring Program |
Advisory Committee The Secretary of the Department of Human |
Services must appoint an advisory committee to
assist the |
Department of Human Services in implementing the Prescription |
Monitoring Program controlled substance
prescription
|
monitoring program created by this Article and to advise the |
Department on the professional performance of prescribers and |
dispensers and other matters germane to the advisory |
committee's field of competence Section 316 and former Section |
321 of this Act.
The Advisory Committee consists of prescribers |
and dispensers .
|
(b) The Clinical Director of the Prescription Monitoring |
Program shall appoint Secretary of the Department of Human |
Services or his or her designee must determine the number of |
members to
serve on the advisory committee. The advisory |
committee shall be composed of prescribers and dispensers as |
follows: 4 physicians licensed to practice medicine in all its |
branches; one advanced practice nurse; one physician |
assistant; one optometrist; one dentist; one podiatric |
physician; and 3 pharmacists. The Clinical Director of the |
Prescription Monitoring Program may appoint a representative |
|
of an organization representing a profession required to be |
appointed. The Clinical Director of the Prescription |
Monitoring Program shall serve as the chair of the committee. |
The Secretary must choose one of the members
of the advisory |
committee to serve as chair of the committee.
|
(c) The advisory committee may appoint its other officers |
as it deems
appropriate.
|
(d) The members of the advisory committee shall receive no |
compensation for
their services as members of the advisory |
committee but may be reimbursed for
their actual expenses |
incurred in serving on the advisory committee.
|
(e) The advisory committee shall: |
(1) provide a uniform approach to reviewing this Act in |
order to determine whether changes should be recommended to |
the General Assembly ; . |
(2) review current drug schedules in order to manage |
changes to the administrative rules pertaining to the |
utilization of this Act ; . |
(3) review the following: current clinical guidelines |
developed by health care professional organizations on the |
prescribing of opioids or other controlled substances; |
accredited continuing education programs related to |
prescribing and dispensing; programs or information |
developed by health care professional organizations that |
may be used to assess patients or help ensure compliance |
with prescriptions; updates from the Food and Drug |
|
Administration, the Centers for Disease Control and |
Prevention, and other public and private organizations |
which are relevant to prescribing and dispensing; relevant |
medical studies; and other publications which involve the |
prescription of controlled substances; |
(4) make recommendations for inclusion of these |
materials or other studies which may be effective resources |
for prescribers and dispensers on the Internet website of |
the inquiry system established under Section 318; |
(5) on at least a quarterly basis, review the content |
of the Internet website of the inquiry system established |
pursuant to Section 318 to ensure this Internet website has |
the most current available information; |
(6) on at least a quarterly basis, review opportunities |
for federal grants and other forms of funding to support |
projects which will increase the number of pilot programs |
which integrate the inquiry system with electronic health |
records; and |
(7) on at least a quarterly basis, review communication |
to be sent to all registered users of the inquiry system |
established pursuant to Section 318, including |
recommendations for relevant accredited continuing |
education and information regarding prescribing and |
dispensing. |
(f) The Clinical Director of the Prescription Monitoring |
Program shall select 5 members, 3 physicians and 2 pharmacists, |
|
of the Prescription Monitoring Program Advisory Committee to |
serve as members of the peer review subcommittee. The purpose |
of the peer review subcommittee is to advise the Program on |
matters germane to the advisory committee's field of |
competence, establish a formal peer review of professional |
performance of prescribers and dispensers, and develop |
communications to transmit to prescribers and dispensers. The |
deliberations, information, and communications of the peer |
review subcommittee are privileged and confidential and shall |
not be disclosed in any manner except in accordance with |
current law. |
(1) The peer review subcommittee shall periodically |
review the data contained within the prescription |
monitoring program to identify those prescribers or |
dispensers who may be prescribing or dispensing outside the |
currently accepted standards in the course of their |
professional practice. |
(2) The peer review subcommittee may identify |
prescribers or dispensers who may be prescribing outside |
the currently accepted medical standards in the course of |
their professional practice and send the identified |
prescriber or dispenser a request for information |
regarding their prescribing or dispensing practices. This |
request for information shall be sent via certified mail, |
return receipt requested. A prescriber or dispenser shall |
have 30 days to respond to the request for information. |
|
(3) The peer review subcommittee shall refer a |
prescriber or a dispenser to the Department of Financial |
and Professional Regulation in the following situations: |
(i) if a prescriber or dispenser does not respond |
to three successive requests for information; |
(ii) in the opinion of a majority of members of the |
peer review subcommittee, the prescriber or dispenser |
does not have a satisfactory explanation for the |
practices identified by the peer review subcommittee |
in its request for information; or |
(iii) following communications with the peer |
review subcommittee, the prescriber or dispenser does |
not sufficiently rectify the practices identified in |
the request for information in the opinion of a |
majority of the members of the peer review |
subcommittee. |
(4) The Department of Financial and Professional |
Regulation may initiate an investigation and discipline in |
accordance with current laws and rules for any prescriber |
or dispenser referred by the peer review subcommittee. |
(5) The peer review subcommittee shall prepare an |
annual report starting on July 1, 2017. This report shall |
contain the following information: the number of times the |
peer review subcommittee was convened; the number of |
prescribers or dispensers who were reviewed by the peer |
review committee; the number of requests for information |
|
sent out by the peer review subcommittee; and the number of |
prescribers or dispensers referred to the Department of |
Financial and Professional Regulation. The annual report |
shall be delivered electronically to the Department and to |
the General Assembly. The report prepared by the peer |
review subcommittee shall not identify any prescriber, |
dispenser, or patient. |
(Source: P.A. 97-334, eff. 1-1-12.)
|
(720 ILCS 570/406) (from Ch. 56 1/2, par. 1406)
|
Sec. 406. (a) It is unlawful for any person:
|
(1) who is subject to Article III knowingly to |
distribute or dispense
a controlled substance in violation |
of Sections 308 through 314.5 of this Act; or
|
(2) who is a registrant, to manufacture a controlled |
substance not
authorized by his or her registration, or to |
distribute or dispense a controlled
substance not |
authorized by his or her registration to another registrant |
or other
authorized person; or
|
(3) to refuse or fail to make, keep or furnish any |
record, notification,
order form, statement, invoice or |
information required under this Act; or
|
(4) to refuse an entry into any premises for any |
inspection authorized by
this Act; or
|
(5) knowingly to keep or maintain any store, shop, |
warehouse, dwelling,
building, vehicle, boat, aircraft, or |
|
other structure or place, which is
resorted to by a person |
unlawfully possessing controlled substances, or
which is |
used for possessing, manufacturing, dispensing or |
distributing
controlled substances in violation of this |
Act.
|
Any person who violates this subsection (a) is guilty of a |
Class A
misdemeanor for the first offense and a Class 4 felony |
for each subsequent
offense. The fine for each subsequent |
offense shall not be more than
$100,000. In addition, any |
practitioner who is found guilty of violating
this subsection |
(a) is subject to suspension and revocation of his or her
|
professional license, in accordance with such procedures as are |
provided by
law for the taking of disciplinary action with |
regard to the license of
said practitioner's profession.
|
(b) It is unlawful for any person knowingly:
|
(1) to distribute, as a registrant, a controlled |
substance classified
in Schedule I or II, except pursuant |
to an order form as required by Section
307 of this Act; or
|
(2) to use, in the course of the manufacture or |
distribution of a
controlled
substance, a registration |
number which is fictitious, revoked, suspended,
or issued |
to another person; or
|
(3) to acquire or obtain , or attempt to acquire or |
obtain, possession of a controlled substance by
|
misrepresentation, fraud, forgery, deception or |
subterfuge; or
|
|
(3.1) to withhold information requested from a |
practitioner, with the intent to obtain a controlled |
substance that has not been prescribed, by |
misrepresentation, fraud, forgery, deception, subterfuge, |
or concealment of a material fact; or
|
(4) to furnish false or fraudulent material |
information in, or omit any
material information from, any |
application, report or other document required
to be kept |
or filed under this Act, or any record required to be kept |
by
this Act; or
|
(5) to make, distribute or possess any punch, die, |
plate, stone or other
thing designed to print, imprint or |
reproduce the trademark, trade name
or other identifying |
mark, imprint or device of another, or any likeness
of any |
of the foregoing, upon any controlled substance or |
container or labeling
thereof so as to render the drug a |
counterfeit substance; or
|
(6) (blank); or
|
(7) (blank).
|
Any person who violates this subsection (b) is guilty of a |
Class 4 felony
for the first offense and a Class 3 felony for |
each subsequent offense.
The fine for the first offense shall |
be not more than $100,000. The fine
for each subsequent offense |
shall not be more than $200,000.
|
(c) A person who knowingly or intentionally violates |
Section 316, 317, 318,
or 319 is guilty of a Class A |
|
misdemeanor.
|
(Source: P.A. 97-334, eff. 1-1-12.)
|
(720 ILCS 570/410) (from Ch. 56 1/2, par. 1410)
|
Sec. 410. (a) Whenever any person who has not previously |
been convicted
of, or placed on probation or court supervision |
for any offense under this
Act or any law of the United States |
or of any State relating to cannabis
or controlled substances, |
pleads guilty to or is found guilty of possession
of a |
controlled or counterfeit substance under subsection (c) of |
Section
402 or of unauthorized possession of prescription form |
under Section 406.2, the court, without entering a judgment and |
with the consent of such
person, may sentence him or her to |
probation.
|
(b) When a person is placed on probation, the court shall |
enter an order
specifying a period of probation of 24 months |
and shall defer further
proceedings in the case until the |
conclusion of the period or until the
filing of a petition |
alleging violation of a term or condition of probation.
|
(c) The conditions of probation shall be that the person: |
(1) not
violate any criminal statute of any jurisdiction; (2) |
refrain from
possessing a firearm or other dangerous weapon; |
(3) submit to periodic drug
testing at a time and in a manner |
as ordered by the court, but no less than 3
times during the |
period of the probation, with the cost of the testing to be
|
paid by the probationer; and (4) perform no less than 30 hours |
|
of community
service, provided community service is available |
in the jurisdiction and is
funded
and approved by the county |
board.
|
(d) The court may, in addition to other conditions, require |
that the person:
|
(1) make a report to and appear in person before or |
participate with the
court or such courts, person, or |
social service agency as directed by the
court in the order |
of probation;
|
(2) pay a fine and costs;
|
(3) work or pursue a course of study or vocational
|
training;
|
(4) undergo medical or psychiatric treatment; or |
treatment or
rehabilitation approved by the Illinois |
Department of Human Services;
|
(5) attend or reside in a facility established for the |
instruction or
residence of defendants on probation;
|
(6) support his or her dependents;
|
(6-5) refrain from having in his or her body the |
presence of any illicit
drug prohibited by the Cannabis |
Control Act, the Illinois Controlled
Substances Act, or the |
Methamphetamine Control and Community Protection Act, |
unless prescribed by a physician, and submit samples of
his |
or her blood or urine or both for tests to determine the |
presence of any
illicit drug;
|
(7) and in addition, if a minor:
|
|
(i) reside with his or her parents or in a foster |
home;
|
(ii) attend school;
|
(iii) attend a non-residential program for youth;
|
(iv) contribute to his or her own support at home |
or in a foster home.
|
(e) Upon violation of a term or condition of probation, the |
court
may enter a judgment on its original finding of guilt and |
proceed as
otherwise provided.
|
(f) Upon fulfillment of the terms and conditions of |
probation, the court
shall discharge the person and dismiss the |
proceedings against him or her.
|
(g) A disposition of probation is considered to be a |
conviction
for the purposes of imposing the conditions of |
probation and for appeal,
however, discharge and dismissal |
under this Section is not a conviction for
purposes of this Act |
or for purposes of disqualifications or disabilities
imposed by |
law upon conviction of a crime.
|
(h) There may be only one discharge and dismissal under |
this Section,
Section 10 of the Cannabis Control Act, Section |
70 of the Methamphetamine Control and Community Protection Act, |
Section 5-6-3.3 or 5-6-3.4 of the Unified Code of Corrections, |
or subsection (c) of Section 11-14 of the Criminal Code of 1961 |
or the Criminal Code of 2012 with respect to any person.
|
(i) If a person is convicted of an offense under this Act, |
the Cannabis
Control Act, or the Methamphetamine Control and |
|
Community Protection Act within 5 years
subsequent to a |
discharge and dismissal under this Section, the discharge and
|
dismissal under this Section shall be admissible in the |
sentencing proceeding
for that conviction
as evidence in |
aggravation.
|
(j) Notwithstanding subsection (a), before a person is |
sentenced to probation under this Section, the court may refer |
the person to the drug court established in that judicial |
circuit pursuant to Section 15 of the Drug Court Treatment Act. |
The drug court team shall evaluate the person's likelihood of |
successfully completing a sentence of probation under this |
Section and shall report the results of its evaluation to the |
court. If the drug court team finds that the person suffers |
from a substance abuse problem that makes him or her |
substantially unlikely to successfully complete a sentence of |
probation under this Section, then the drug court shall set |
forth its findings in the form of a written order, and the |
person shall not be sentenced to probation under this Section, |
but may be considered for the drug court program. |
(Source: P.A. 97-334, eff. 1-1-12; 97-1118, eff. 1-1-13; |
97-1150, eff. 1-25-13; 98-164, eff. 1-1-14.)
|
Section 5-105. The Methamphetamine Control and Community |
Protection Act is amended by changing Section 70 as follows: |
(720 ILCS 646/70)
|
|
Sec. 70. Probation. |
(a) Whenever any person who has not previously been |
convicted of, or placed on probation or court supervision for |
any offense under this Act, the Illinois Controlled Substances |
Act, the Cannabis Control Act, or any law of the United States |
or of any state relating to cannabis or controlled substances, |
pleads guilty to or is found guilty of possession of less than |
15 grams of methamphetamine under paragraph (1) or (2) of |
subsection (b) of Section 60 of this Act, the court, without |
entering a judgment and with the consent of the person, may |
sentence him or her to probation.
|
(b) When a person is placed on probation, the court shall |
enter an order specifying a period of probation of 24 months |
and shall defer further proceedings in the case until the |
conclusion of the period or until the filing of a petition |
alleging violation of a term or condition of probation.
|
(c) The conditions of probation shall be that the person: |
(1) not violate any criminal statute of any |
jurisdiction; |
(2) refrain from possessing a firearm or other |
dangerous weapon; |
(3) submit to periodic drug testing at a time and in a |
manner as ordered by the court, but no less than 3 times |
during the period of the probation, with the cost of the |
testing to be paid by the probationer; and |
(4) perform no less than 30 hours of community service, |
|
if community service is available in the jurisdiction and |
is funded and approved by the county board.
|
(d) The court may, in addition to other conditions, require |
that the person take one or more of the following actions:
|
(1) make a report to and appear in person before or |
participate with the court or such courts, person, or |
social service agency as directed by the court in the order |
of probation;
|
(2) pay a fine and costs;
|
(3) work or pursue a course of study or vocational |
training;
|
(4) undergo medical or psychiatric treatment; or |
treatment or rehabilitation approved by the Illinois |
Department of Human Services;
|
(5) attend or reside in a facility established for the |
instruction or residence of defendants on probation;
|
(6) support his or her dependents;
|
(7) refrain from having in his or her body the presence |
of any illicit drug prohibited by this Act, the Cannabis |
Control Act, or the Illinois Controlled Substances Act, |
unless prescribed by a physician, and submit samples of his |
or her blood or urine or both for tests to determine the |
presence of any illicit drug; or
|
(8) if a minor:
|
(i) reside with his or her parents or in a foster |
home;
|
|
(ii) attend school;
|
(iii) attend a non-residential program for youth; |
or
|
(iv) contribute to his or her own support at home |
or in a foster home.
|
(e) Upon violation of a term or condition of probation, the |
court may enter a judgment on its original finding of guilt and |
proceed as otherwise provided.
|
(f) Upon fulfillment of the terms and conditions of |
probation, the court shall discharge the person and dismiss the |
proceedings against the person.
|
(g) A disposition of probation is considered to be a |
conviction for the purposes of imposing the conditions of |
probation and for appeal, however, discharge and dismissal |
under this Section is not a conviction for purposes of this Act |
or for purposes of disqualifications or disabilities imposed by |
law upon conviction of a crime.
|
(h) There may be only one discharge and dismissal under |
this Section, Section 410 of the Illinois Controlled Substances |
Act, Section 10 of the Cannabis Control Act, Section 5-6-3.3 or |
5-6-3.4 of the Unified Code of Corrections, or subsection (c) |
of Section 11-14 of the Criminal Code of 1961 or the Criminal |
Code of 2012 with respect to any person.
|
(i) If a person is convicted of an offense under this Act, |
the Cannabis Control Act, or the Illinois Controlled Substances |
Act within 5 years subsequent to a discharge and dismissal |
|
under this Section, the discharge and dismissal under this |
Section are admissible in the sentencing proceeding for that |
conviction as evidence in aggravation.
|
(j) Notwithstanding subsection (a), before a person is |
sentenced to probation under this Section, the court may refer |
the person to the drug court established in that judicial |
circuit pursuant to Section 15 of the Drug Court Treatment Act. |
The drug court team shall evaluate the person's likelihood of |
successfully completing a sentence of probation under this |
Section and shall report the results of its evaluation to the |
court. If the drug court team finds that the person suffers |
from a substance abuse problem that makes him or her |
substantially unlikely to successfully complete a sentence of |
probation under this Section, then the drug court shall set |
forth its findings in the form of a written order, and the |
person shall not be sentenced to probation under this Section, |
but may be considered for the drug court program. |
(Source: P.A. 97-1118, eff. 1-1-13; 97-1150, eff. 1-25-13; |
98-164, eff. 1-1-14.) |
Section 5-110. The Unified Code of Corrections is amended |
by changing Sections 5-6-3.3, 5-6-3.4, 5-9-1.1, and 5-9-1.1-5 |
as follows: |
(730 ILCS 5/5-6-3.3) |
Sec. 5-6-3.3. Offender Initiative Program. |
|
(a) Statement of purpose. The General Assembly seeks to
|
continue other successful programs that promote public safety,
|
conserve valuable resources, and reduce recidivism by
|
defendants who can lead productive lives by creating the
|
Offender Initiative Program. |
(a-1) Whenever any person who has not previously been
|
convicted of, or placed on probation or conditional discharge
|
for, any felony offense under the laws of this State, the laws
|
of any other state, or the laws of the United States, is
|
arrested for and charged with a probationable felony offense of |
theft, retail theft, forgery, possession of a stolen motor
|
vehicle, burglary, possession of burglary tools, possession of
|
cannabis, possession of a controlled substance, or possession
|
of methamphetamine, the court, with the consent of the
|
defendant and the State's Attorney, may continue this matter to
|
allow a defendant to participate and complete the Offender
|
Initiative Program. |
(a-2) Exemptions. A defendant shall not be eligible for |
this Program if the offense he or she has been arrested for and |
charged with is a violent offense. For purposes of this
|
Program, a "violent offense" is any offense where bodily harm
|
was inflicted or where force was used against any person or
|
threatened against any person, any offense involving sexual
|
conduct, sexual penetration, or sexual exploitation, any
|
offense of domestic violence, domestic battery, violation of an
|
order of protection, stalking, hate crime, driving under the
|
|
influence of drugs or alcohol, and any offense involving the
|
possession of a firearm or dangerous weapon. A defendant shall
|
not be eligible for this Program if he or she has previously
|
been adjudicated a delinquent minor for the commission of a
|
violent offense as defined in this subsection. |
(b) When a defendant is placed in the Program, after both |
the defendant and State's Attorney waive preliminary hearing |
pursuant to Section 109-3 of the Code of Criminal Procedure of |
1963, the court
shall enter an order specifying that
the |
proceedings shall be suspended while the defendant is |
participating in a Program of not less 12 months. |
(c) The conditions of the Program shall be that the
|
defendant: |
(1) not violate any criminal statute of this State or
|
any other jurisdiction; |
(2) refrain from possessing a firearm or other
|
dangerous weapon; |
(3) make full restitution to the victim or property
|
owner pursuant to Section 5-5-6 of this Code; |
(4) obtain employment or perform not less than 30 hours
|
of community service, provided community service is
|
available in the county and is funded and approved by the
|
county board; and |
(5) attend educational courses designed to prepare the
|
defendant for obtaining a high school diploma or to work
|
toward passing high school equivalency testing or to work |
|
toward
completing a vocational training program. |
(d) The court may, in addition to other conditions, require
|
that the defendant: |
(1) undergo medical or psychiatric treatment, or
|
treatment or rehabilitation approved by the Illinois
|
Department of Human Services; |
(2) refrain from having in his or her body the presence
|
of any illicit drug prohibited by the Methamphetamine
|
Control and Community Protection Act, the Cannabis Control
|
Act or the Illinois Controlled Substances Act, unless
|
prescribed by a physician, and submit samples of his or her
|
blood or urine or both for tests to determine the presence
|
of any illicit drug; |
(3) submit to periodic drug testing at a time, manner, |
and frequency as ordered by the court; |
(4) pay fines, fees and costs; and |
(5) in addition, if a minor: |
(i) reside with his or her parents or in a foster
|
home; |
(ii) attend school; |
(iii) attend a non-residential program for youth;
|
or |
(iv) contribute to his or her own support at home
|
or in a foster home. |
(e) When the State's Attorney makes a factually specific |
offer of proof that the defendant has failed to successfully |
|
complete the Program or has violated any of the conditions of |
the Program, the court shall enter an order that the defendant |
has not successfully completed the Program and continue the |
case for arraignment pursuant to Section 113-1 of the Code of |
Criminal Procedure of 1963 for further proceedings as if the |
defendant had not participated in the Program. |
(f) Upon fulfillment of the terms and conditions of the
|
Program, the State's Attorney shall dismiss the case or the |
court shall discharge the person and dismiss the
proceedings |
against the person. |
(g) There may be only one discharge and dismissal under
|
this Section with respect to any person.
|
(h) Notwithstanding subsection (a-1), if the court finds |
that the defendant suffers from a substance abuse problem, then |
before the person participates in the Program under this |
Section, the court may refer the person to the drug court |
established in that judicial circuit pursuant to Section 15 of |
the Drug Court Treatment Act. The drug court team shall |
evaluate the person's likelihood of successfully fulfilling |
the terms and conditions of the Program under this Section and |
shall report the results of its evaluation to the court. If the |
drug court team finds that the person suffers from a substance |
abuse problem that makes him or her substantially unlikely to |
successfully fulfill the terms and conditions of the Program, |
then the drug court shall set forth its findings in the form of |
a written order, and the person shall be ineligible to |
|
participate in the Program under this Section, but may be |
considered for the drug court program. |
(Source: P.A. 97-1118, eff. 1-1-13; 98-718, eff. 1-1-15 .) |
(730 ILCS 5/5-6-3.4) |
Sec. 5-6-3.4. Second Chance Probation. |
(a) Whenever any person who has not previously been |
convicted of, or placed on probation or conditional discharge |
for, any felony offense under the laws of this State, the laws |
of any other state, or the laws of the United States, including |
probation under Section 410 of the Illinois Controlled |
Substances Act, Section 70 of the Methamphetamine Control and |
Community Protection Act, Section 10 of the Cannabis Control |
Act, subsection (c) of Section 11-14 of the Criminal Code of |
2012, Treatment Alternatives for Criminal Justice Clients |
(TASC) under Article 40 of the Alcoholism and Other Drug Abuse |
and Dependency Act, or prior successful completion of the |
Offender Initiative Program under Section 5-6-3.3 of this Code, |
and pleads guilty to, or is found guilty of, a probationable |
felony offense of possession of a controlled substance that is |
punishable as a Class 4 felony; possession of
methamphetamine |
that is punishable as a Class 4 felony; theft that is |
punishable as a Class 3 felony based on the value of the |
property or punishable as a Class 4 felony if the theft was |
committed in a school or place of worship or if the theft was |
of governmental property; retail
theft that is punishable as a |
|
Class 3 felony based on the value of the property; criminal |
damage to property that is punishable as a Class 4 felony; |
criminal damage to
government supported property that is |
punishable as a Class 4 felony; or possession of cannabis which |
is punishable as a Class 4 felony, the court, with the consent |
of the defendant and the State's Attorney, may, without |
entering a judgment, sentence the defendant to probation under |
this Section. |
(a-1) Exemptions. A defendant is not eligible for this |
probation if the offense he or she pleads guilty to, or is |
found guilty of, is a violent offense, or he or she has |
previously been convicted of a violent offense. For purposes of |
this probation, a "violent offense" is any offense where bodily |
harm was inflicted or where force was used against any person |
or threatened against any person, any offense involving sexual |
conduct, sexual penetration, or sexual exploitation, any |
offense of domestic violence, domestic battery, violation of an |
order of protection, stalking, hate crime, driving under the |
influence of drugs or alcohol, and any offense involving the |
possession of a firearm or dangerous weapon. A defendant shall |
not be eligible for this probation if he or she has previously |
been adjudicated a delinquent minor for the commission of a |
violent offense as defined in this subsection. |
(b) When a defendant is placed on probation, the court |
shall enter an order specifying a period of probation of not |
less than 24 months and shall defer further proceedings in the |
|
case until the conclusion of the period or until the filing of |
a petition alleging violation of a term or condition of |
probation. |
(c) The conditions of probation shall be that the |
defendant: |
(1) not violate any criminal statute of this State or |
any other jurisdiction; |
(2) refrain from possessing a firearm or other |
dangerous weapon; |
(3) make full restitution to the victim or property |
owner under Section 5-5-6 of this Code; |
(4) obtain or attempt to obtain employment; |
(5) pay fines and costs; |
(6) attend educational courses designed to prepare the |
defendant for obtaining a high school diploma or to work |
toward passing high school equivalency testing or to work |
toward completing a vocational training program; |
(7) submit to periodic drug testing at a time and in a |
manner as ordered by the court, but no less than 3 times |
during the period of probation, with the cost of the |
testing to be paid by the defendant; and |
(8) perform a minimum of 30 hours of community service. |
(d) The court may, in addition to other conditions, require |
that the defendant: |
(1) make a report to and appear in person before or |
participate with the court or such courts, person, or |
|
social service agency as directed by the court in the order |
of probation; |
(2) undergo medical or psychiatric treatment, or |
treatment or rehabilitation approved by the Illinois |
Department of Human Services; |
(3) attend or reside in a facility established for the |
instruction or residence of defendants on probation; |
(4) support his or her dependents; or |
(5) refrain from having in his or her body the presence |
of any illicit drug prohibited by the Methamphetamine |
Control and Community Protection Act, the Cannabis Control |
Act, or the Illinois Controlled Substances Act, unless |
prescribed by a physician, and submit samples of his or her |
blood or urine or both for tests to determine the presence |
of any illicit drug. |
(e) Upon violation of a term or condition of probation, the |
court may enter a judgment on its original finding of guilt and |
proceed as otherwise provided by law. |
(f) Upon fulfillment of the terms and conditions of |
probation, the court shall discharge the person and dismiss the |
proceedings against the person. |
(g) A disposition of probation is considered to be a |
conviction for the purposes of imposing the conditions of |
probation and for appeal; however, a discharge and dismissal |
under this Section is not a conviction for purposes of this |
Code or for purposes of disqualifications or disabilities |
|
imposed by law upon conviction of a crime. |
(h) There may be only one discharge and dismissal under |
this Section, Section 410 of the Illinois Controlled Substances |
Act, Section 70 of the Methamphetamine Control and Community |
Protection Act, Section 10 of the Cannabis Control Act, |
Treatment Alternatives for Criminal Justice Clients (TASC) |
under Article 40 of the Alcoholism and Other Drug Abuse and |
Dependency Act, the Offender Initiative Program under Section |
5-6-3.3 of this Code, and subsection (c) of Section 11-14 of |
the Criminal Code of 2012 with respect to any person. |
(i) If a person is convicted of any offense which occurred |
within 5 years subsequent to a discharge and dismissal under |
this Section, the discharge and dismissal under this Section |
shall be admissible in the sentencing proceeding for that |
conviction as evidence in aggravation.
|
(j) Notwithstanding subsection (a), if the court finds that |
the defendant suffers from a substance abuse problem, then |
before the person is placed on probation under this Section, |
the court may refer the person to the drug court established in |
that judicial circuit pursuant to Section 15 of the Drug Court |
Treatment Act. The drug court team shall evaluate the person's |
likelihood of successfully fulfilling the terms and conditions |
of probation under this Section and shall report the results of |
its evaluation to the court. If the drug court team finds that |
the person suffers from a substance abuse problem that makes |
him or her substantially unlikely to successfully fulfill the |
|
terms and conditions of probation under this Section, then the |
drug court shall set forth its findings in the form of a |
written order, and the person shall be ineligible to be placed |
on probation under this Section, but may be considered for the |
drug court program. |
(Source: P.A. 98-164, eff. 1-1-14; 98-718, eff. 1-1-15 .) |
(730 ILCS 5/5-9-1.1) (from Ch. 38, par. 1005-9-1.1) |
(Text of Section from P.A. 94-550, 96-132, 96-402, 96-1234, |
97-545, and 98-537) |
Sec. 5-9-1.1. Drug related offenses. |
(a) When a person has been adjudged guilty of a drug |
related
offense involving possession or delivery of cannabis or |
possession or delivery
of a controlled substance, other than |
methamphetamine, as defined in the Cannabis Control Act, as |
amended,
or the Illinois Controlled Substances Act, as amended, |
in addition to any
other penalty imposed, a fine shall be |
levied by the court at not less than
the full street value of |
the cannabis or controlled substances seized. |
"Street value" shall be determined by the court on the |
basis of testimony
of law enforcement personnel and the |
defendant as to the amount seized and
such testimony as may be |
required by the court as to the current street
value of the |
cannabis or controlled substance seized. |
(b) In addition to any penalty imposed under subsection (a) |
of this
Section, a fine of
$100 shall be levied by the court, |
|
the proceeds of which
shall be collected by the Circuit Clerk |
and remitted to the State Treasurer
under Section 27.6 of the |
Clerks of Courts Act
for deposit into the Trauma
Center Fund |
for distribution as provided under Section 3.225 of the |
Emergency
Medical Services (EMS) Systems Act. |
(c) In addition to any penalty imposed under subsection (a) |
of this
Section, a fee of $5 shall be assessed by the court, |
the proceeds of which
shall be collected by the Circuit Clerk |
and remitted to the State Treasurer
under Section 27.6 of the |
Clerks of Courts Act for deposit into the Spinal Cord
Injury |
Paralysis Cure Research Trust Fund.
This additional fee of $5 |
shall not be considered a part of the fine for
purposes of any |
reduction in the fine for time served either before or after
|
sentencing. |
(d) In addition to any penalty imposed under subsection (a) |
of this
Section for a drug related
offense involving possession |
or delivery
of cannabis or possession or delivery of a |
controlled substance as defined in the Cannabis Control Act, |
the Illinois Controlled Substances Act, or the Methamphetamine |
Control and Community Protection Act, a fee of $50 shall be |
assessed by the court, the proceeds of which
shall be collected |
by the Circuit Clerk and remitted to the State Treasurer
under |
Section 27.6 of the Clerks of Courts Act for deposit into the |
Performance-enhancing Substance Testing Fund.
This additional |
fee of $50 shall not be considered a part of the fine for
|
purposes of any reduction in the fine for time served either |
|
before or after
sentencing. The provisions of this subsection |
(d), other than this sentence, are inoperative after June 30, |
2011. |
(e) In addition to any penalty imposed under subsection (a) |
of this
Section, a $25 assessment shall be assessed by the |
court, the proceeds of which
shall be collected by the Circuit |
Clerk and remitted to the State Treasurer for deposit into the |
Criminal Justice Information Projects Fund. The moneys |
deposited into the Criminal Justice Information Projects Fund |
under this Section shall be appropriated to and administered by |
the Illinois Criminal Justice Information Authority for |
funding of drug task forces and Metropolitan Enforcement |
Groups. |
(f) In addition to any penalty imposed under subsection (a) |
of this
Section, a $40 $20 assessment shall be assessed by the |
court, the proceeds of which
shall be collected by the Circuit |
Clerk. Of the collected proceeds, (i) 90% shall be remitted to |
the State Treasurer for deposit into the Prescription Pill and |
Drug Disposal Fund; (ii) 5% shall be remitted for deposit into |
the Criminal Justice Information Projects Fund, for use by the |
Illinois Criminal Justice Information Authority for the costs |
associated with making grants from the Prescription Pill and |
Drug Disposal Fund; and (iii) the Circuit Clerk shall retain 5% |
for deposit into the Circuit Court Clerk Operation and |
Administrative Fund for the costs associated with |
administering this subsection. |
|
(Source: P.A. 97-545, eff. 1-1-12; 98-537, eff. 8-23-13.) |
(Text of Section from P.A. 94-556, 96-132, 96-402, 96-1234, |
97-545, and 98-537) |
Sec. 5-9-1.1. Drug related offenses. |
(a) When a person has been adjudged guilty of a drug |
related
offense involving possession or delivery of cannabis or |
possession or delivery
of a controlled substance as defined in |
the Cannabis Control Act, the Illinois Controlled Substances |
Act, or the Methamphetamine Control and Community Protection |
Act, in addition to any
other penalty imposed, a fine shall be |
levied by the court at not less than
the full street value of |
the cannabis or controlled substances seized. |
"Street value" shall be determined by the court on the |
basis of testimony
of law enforcement personnel and the |
defendant as to the amount seized and
such testimony as may be |
required by the court as to the current street
value of the |
cannabis or controlled substance seized. |
(b) In addition to any penalty imposed under subsection (a) |
of this
Section, a fine of $100 shall be levied by the court, |
the proceeds of which
shall be collected by the Circuit Clerk |
and remitted to the State Treasurer
under Section 27.6 of the |
Clerks of Courts Act for deposit into the Trauma
Center Fund |
for distribution as provided under Section 3.225 of the |
Emergency
Medical Services (EMS) Systems Act. |
(c) In addition to any penalty imposed under subsection (a) |
|
of this
Section, a fee of $5 shall be assessed by the court, |
the proceeds of which
shall be collected by the Circuit Clerk |
and remitted to the State Treasurer
under Section 27.6 of the |
Clerks of Courts Act for deposit into the Spinal Cord
Injury |
Paralysis Cure Research Trust Fund.
This additional fee of $5 |
shall not be considered a part of the fine for
purposes of any |
reduction in the fine for time served either before or after
|
sentencing. |
(d) In addition to any penalty imposed under subsection (a) |
of this
Section for a drug related
offense involving possession |
or delivery
of cannabis or possession or delivery of a |
controlled substance as defined in the Cannabis Control Act, |
the Illinois Controlled Substances Act, or the Methamphetamine |
Control and Community Protection Act, a fee of $50 shall be |
assessed by the court, the proceeds of which
shall be collected |
by the Circuit Clerk and remitted to the State Treasurer
under |
Section 27.6 of the Clerks of Courts Act for deposit into the |
Performance-enhancing Substance Testing Fund.
This additional |
fee of $50 shall not be considered a part of the fine for
|
purposes of any reduction in the fine for time served either |
before or after
sentencing. The provisions of this subsection |
(d), other than this sentence, are inoperative after June 30, |
2011. |
(e) In addition to any penalty imposed under subsection (a) |
of this
Section, a $25 assessment shall be assessed by the |
court, the proceeds of which
shall be collected by the Circuit |
|
Clerk and remitted to the State Treasurer for deposit into the |
Criminal Justice Information Projects Fund. The moneys |
deposited into the Criminal Justice Information Projects Fund |
under this Section shall be appropriated to and administered by |
the Illinois Criminal Justice Information Authority for |
funding of drug task forces and Metropolitan Enforcement |
Groups. |
(f) In addition to any penalty imposed under subsection (a) |
of this
Section, a $40 $20 assessment shall be assessed by the |
court, the proceeds of which
shall be collected by the Circuit |
Clerk. Of the collected proceeds, (i) 90% shall be remitted to |
the State Treasurer for deposit into the Prescription Pill and |
Drug Disposal Fund; (ii) 5% shall be remitted for deposit into |
the Criminal Justice Information Projects Fund, for use by the |
Illinois Criminal Justice Information Authority for the costs |
associated with making grants from the Prescription Pill and |
Drug Disposal Fund; and (iii) the Circuit Clerk shall retain 5% |
for deposit into the Circuit Court Clerk Operation and |
Administrative Fund for the costs associated with |
administering this subsection. |
(Source: P.A. 97-545, eff. 1-1-12; 98-537, eff. 8-23-13 .) |
(730 ILCS 5/5-9-1.1-5) |
Sec. 5-9-1.1-5. Methamphetamine related offenses. |
(a) When a person has been adjudged guilty of a |
methamphetamine related
offense involving possession or |
|
delivery of methamphetamine or any salt of an optical isomer of |
methamphetamine or possession of a methamphetamine |
manufacturing material as set forth in Section 10 of the |
Methamphetamine Control and Community Protection Act with the |
intent to manufacture a substance containing methamphetamine |
or salt of an optical isomer of methamphetamine, in addition to |
any
other penalty imposed, a fine shall be levied by the court |
at not less than
the full street value of the methamphetamine |
or salt of an optical isomer of methamphetamine or |
methamphetamine manufacturing materials seized. |
"Street value" shall be determined by the court on the |
basis of testimony
of law enforcement personnel and the |
defendant as to the amount seized and
such testimony as may be |
required by the court as to the current street
value of the |
methamphetamine or salt of an optical isomer of methamphetamine |
or methamphetamine manufacturing materials seized. |
(b) In addition to any penalty imposed under subsection (a) |
of this
Section, a fine of
$100 shall be levied by the court, |
the proceeds of which
shall be collected by the Circuit Clerk |
and remitted to the State Treasurer
under Section 27.6 of the |
Clerks of Courts Act
for deposit into the Methamphetamine Law |
Enforcement Fund and allocated as provided in subsection (d) of |
Section 5-9-1.2.
|
(c) In addition to any penalty imposed under subsection (a) |
of this
Section, a $25 assessment shall be assessed by the |
court, the proceeds of which
shall be collected by the Circuit |
|
Clerk and remitted to the State Treasurer for deposit into the |
Criminal Justice Information Projects Fund. The moneys |
deposited into the Criminal Justice Information Projects Fund |
under this Section shall be appropriated to and administered by |
the Illinois Criminal Justice Information Authority for |
funding of drug task forces and Metropolitan Enforcement |
Groups. |
(d) In addition to any penalty imposed under subsection (a) |
of this
Section, a $40 $20 assessment shall be assessed by the |
court, the proceeds of which
shall be collected by the Circuit |
Clerk. Of the collected proceeds, (i) 90% shall be remitted to |
the State Treasurer for deposit into the Prescription Pill and |
Drug Disposal Fund; (ii) 5% shall be remitted for deposit into |
the Criminal Justice Information Projects Fund, for use by the |
Illinois Criminal Justice Information Authority for the costs |
associated with making grants from the Prescription Pill and |
Drug Disposal Fund; and (iii) the Circuit Clerk shall retain 5% |
for deposit into the Circuit Court Clerk Operation and |
Administrative Fund for the costs associated with |
administering this subsection. |
(Source: P.A. 97-545, eff. 1-1-12; 98-537, eff. 8-23-13.) |
Section 5-115. The Drug Court Treatment Act is amended by |
changing Section 20 and by adding Sections 45 and 50 as |
follows:
|
|
(730 ILCS 166/20)
|
Sec. 20. Eligibility.
|
(a) A defendant may be admitted into a drug court program |
only upon the
agreement of the prosecutor and the defendant and |
with the approval of the
court.
|
(b) A defendant shall be excluded from a drug court program |
if any of one of
the following apply:
|
(1) The crime is a crime of violence as set forth in |
clause (4) of this
subsection (b).
|
(2) The defendant denies his or her use of or addiction |
to drugs.
|
(3) The defendant does not demonstrate a willingness to |
participate in
a treatment program.
|
(4) The defendant has been convicted of a crime of |
violence within the
past
10 years excluding incarceration |
time . As used in this Section, "crime of violence" means , |
including but not limited to : first
degree murder, second |
degree murder, predatory criminal sexual assault of a
|
child, aggravated criminal sexual assault, criminal sexual |
assault, armed
robbery, aggravated arson, arson, |
aggravated kidnaping, kidnaping, aggravated
battery |
resulting in great bodily harm or permanent disability, |
stalking,
aggravated stalking, or any offense
involving |
the discharge of a firearm.
|
(c) Notwithstanding subsection (a), the defendant may be |
admitted into a drug court program only upon the agreement of |
|
the prosecutor if: |
(1) the defendant is charged with a Class 2 or greater |
felony violation of: |
(A) Section 401, 401.1, 405, or 405.2 of the |
Illinois Controlled Substances Act; |
(B) Section 5, 5.1, or 5.2 of the Cannabis Control |
Act; |
(C) Section 15, 20, 25, 30, 35, 40, 45, 50, 55, 56, |
or 65 of the Methamphetamine Control and Community |
Protection Act; or |
(2) the defendant has previously, on 3 or more |
occasions, either completed a drug court program, been |
discharged from a drug court program, or been terminated |
from a drug court program.
|
(5) The defendant has previously completed or has been |
discharged from a
drug court program.
|
(Source: P.A. 92-58, eff. 1-1-02.)
|
(730 ILCS 166/45 new) |
Sec. 45. Education seminars for drug court prosecutors. |
Subject to appropriation, the Office of the State's Attorneys |
Appellate Prosecutor shall conduct mandatory education |
seminars on the subjects of substance abuse and addiction for |
all drug court prosecutors throughout the State. |
(730 ILCS 166/50 new) |
|
Sec. 50. Education seminars for public defenders. Subject |
to appropriation, the Office of the State Appellate Defender |
shall conduct mandatory education seminars on the subjects of |
substance abuse and addiction for all public defenders and |
assistant public defenders practicing in drug courts |
throughout the State. |
Section 5-120. The Veterans and Servicemembers Court
|
Treatment Act is amended by changing Section 20 as follows: |
(730 ILCS 167/20)
|
Sec. 20. Eligibility. Veterans and Servicemembers are |
eligible for Veterans and
Servicemembers Courts, provided the |
following:
|
(a) A defendant, who is eligible for probation based on the |
nature of the crime convicted of and in consideration of his or |
her criminal background, if any, may be admitted into a |
Veterans and Servicemembers Court program
only upon the |
agreement of the prosecutor and the defendant and with the |
approval of the Court.
|
(b) A defendant shall be excluded from Veterans and |
Servicemembers Court program if
any of one of the following |
applies:
|
(1) The crime is a crime of violence as set forth in |
clause (3) of this subsection (b). |
(2) The defendant does not demonstrate a willingness to |
|
participate in a treatment
program.
|
(3) The defendant has been convicted of a crime of |
violence within the past 10
years excluding incarceration |
time . As used in this Section, "crime of violence" means , |
including but not limited to : first degree murder,
second |
degree murder, predatory criminal sexual assault of a |
child, aggravated criminal
sexual assault, criminal sexual |
assault, armed robbery, aggravated arson, arson,
|
aggravated kidnapping and kidnapping, aggravated battery |
resulting in great bodily harm
or permanent disability, |
stalking, aggravated stalking, or any offense involving |
the
discharge of a firearm or where occurred serious bodily |
injury or death to any person. |
(4) (Blank).
|
(5) The crime for which the defendant has been |
convicted is non-probationable. |
(6) The sentence imposed on the defendant, whether the |
result of a plea or a finding of guilt, renders the |
defendant ineligible for probation.
|
(Source: P.A. 97-946, eff. 8-13-12; 98-152, eff. 1-1-14.) |
Section 5-125. The Good Samaritan Act is amended by adding |
Section 36 and by changing Section 70 as follows: |
(745 ILCS 49/36 new) |
Sec. 36. Pharmacists; exemptions from civil liability for |
|
the dispensing of an opioid antagonist to individuals who may |
or may not be at risk for an opioid overdose. Any person |
licensed as a pharmacist in Illinois or any other state or |
territory of the United States who in good faith dispenses or |
administers an opioid antagonist as defined in Section 5-23 of |
the Alcoholism and Other Drug Abuse and Dependency Act in |
compliance with the procedures or protocols developed under |
Section 19.1 of the Pharmacy Practice Act, or the standing |
order of any person licensed under the Medical Practice Act of |
1987, without fee or compensation in any way, shall not, as a |
result of her or his acts or omissions, except for willful or |
wanton misconduct on the part of the person, in dispensing the |
drug or administering the drug, be liable for civil damages.
|
(745 ILCS 49/70)
|
Sec. 70. Law enforcement officers, firemen, Emergency |
Medical Technicians (EMTs) and First Responders; exemption |
from
civil liability for emergency care.
Any law enforcement |
officer or fireman as defined in Section 2 of the
Line of Duty |
Compensation Act, any "emergency medical technician (EMT)" as |
defined in Section 3.50 of the Emergency Medical Services (EMS) |
Systems Act, and any "first responder" as defined in Section |
3.60 of the Emergency Medical Services (EMS) Systems Act,
who |
in good faith
provides emergency care , including the |
administration of an opioid antagonist as defined in Section |
5-23 of the Alcoholism and Other Drug Abuse and Dependency Act, |
|
without fee or compensation to any person shall not, as a |
result of
his or her acts or omissions, except willful and |
wanton misconduct on the
part of
the person, in providing the |
care, be liable to a person to whom such
care is provided for |
civil damages.
|
(Source: P.A. 93-1047, eff. 10-18-04; 94-826, eff. 1-1-07.)
|
Section 999. Effective date. This Act takes effect upon |
becoming law. |