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1 | | (1) an extensive analysis of long-term care trends in |
2 | | Illinois, including the number of Illinoisans needing |
3 | | long-term care, the number of paid and unpaid caregivers, |
4 | | the existing long-term care programs' utilization and |
5 | | impact on the State budget; out-of-pocket spending and |
6 | | spend-down to qualify for medical assistance coverage, the |
7 | | financial and health impacts of caregiving on the family, |
8 | | wages of paid caregivers and the effects of compensation on |
9 | | the availability of this workforce, the current market for |
10 | | private long-term care insurance, and a brief assessment of |
11 | | the existing system of long-term services and supports in |
12 | | terms of health, well-being, and the ability of |
13 | | participants to continue living in their communities; |
14 | | (2) an analysis of long-term care costs and utilization |
15 | | projections through at least 2050 and the estimated impact |
16 | | of such costs and utilization projections on the State |
17 | | budget, increases in the senior population; projections of |
18 | | the number of paid and unpaid caregivers in relation to |
19 | | demand for services, and projections of the impact of |
20 | | housing cost burdens and a lack of affordable housing on |
21 | | seniors and people with disabilities; |
22 | | (3) an actuarial analysis of options for a new |
23 | | long-term services and supports benefit program, including |
24 | | an analysis of potential tax sources and necessary levels, |
25 | | a vesting period, the maximum daily benefit dollar amount, |
26 | | the total maximum dollar amount of the benefit, and the |
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1 | | duration of the benefit; and |
2 | | (4) a qualitative analysis of a new benefit's impact on |
3 | | seniors and people with disabilities, including their |
4 | | families and caregivers, public and private long-term care |
5 | | services, and the State budget. |
6 | | The report must project under multiple possible |
7 | | configurations the numbers of persons covered year over year, |
8 | | utilization rates, total spending, and the benefit fund's ratio |
9 | | balance and solvency. The benefit fund must initially be |
10 | | structured to be solvent for 75 years. The report must detail |
11 | | the sensitivity of these projections to the level of care |
12 | | criteria that define long-term care need and examine the |
13 | | feasibility of setting a lower threshold, based on a lower need |
14 | | for ongoing assistance in routine life activities. |
15 | | The report must also detail the amount of out-of-pocket |
16 | | costs avoided, the number of persons who delayed or avoided |
17 | | utilization of medical assistance benefits, an analysis on the |
18 | | projected increased utilization of home-based and |
19 | | community-based services over skilled nursing facilities and |
20 | | savings therewith, and savings to the State's existing |
21 | | long-term care programs due to the new long-term services and |
22 | | supports benefit. |
23 | | (b) The entity chosen to conduct the actuarial analysis |
24 | | shall be a nationally-recognized organization with experience |
25 | | modeling public and private long-term care financing programs. |
26 | | (c) The study shall begin after January 1, 2019, and be |
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1 | | completed before December 1, 2020 2019 . Upon completion, the |
2 | | report on the study shall be filed with the Clerk of the House |
3 | | of Representatives and the Secretary of the Senate in |
4 | | electronic form only, in the manner that the Clerk and the |
5 | | Secretary shall direct. |
6 | | (d) This Section is repealed December 1, 2020.
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7 | | (Source: P.A. 100-587, eff. 6-4-18.) |
8 | | Section 10. The Illinois Procurement Code is amended by |
9 | | adding Section 20-25.1 as follows: |
10 | | (30 ILCS 500/20-25.1 new) |
11 | | Sec. 20-25.1. Special expedited procurement. |
12 | | (a) The Chief Procurement Officer shall work with the |
13 | | Department of Healthcare and Family Services to identify an |
14 | | appropriate method of source selection that will result in an |
15 | | executed contract for the technology required by Section |
16 | | 5-30.12 of the Illinois Public Aid Code no later than August 1, |
17 | | 2019 in order to target implementation of the technology to be |
18 | | procured by January 1, 2020. The method of source selection may |
19 | | be sole source, emergency, or other expedited process. |
20 | | (b) Due to the negative impact on access to critical State |
21 | | health care services and the ability to draw federal match for |
22 | | services being reimbursed caused by issues with implementation |
23 | | of the Integrated Eligibility System by the Department of Human |
24 | | Services, the Department of Healthcare and Family Services, and |
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1 | | the Department of Innovation and Technology, the General |
2 | | Assembly finds that a threat to public health exists and to |
3 | | prevent or minimize serious disruption in critical State |
4 | | services that affect health, an emergency purchase of a vendor |
5 | | shall be made by the Department of Healthcare and Family |
6 | | Services to assess the Integrated Eligibility System for |
7 | | critical gaps and processing errors and to monitor the |
8 | | performance of the Integrated Eligibility System vendor under |
9 | | the terms of its contract. The emergency purchase shall not |
10 | | exceed 2 years. Notwithstanding any other provision of this |
11 | | Code, such emergency purchase shall extend without a hearing |
12 | | required by Section 20-30 until the integrated eligibility |
13 | | system is stabilized and performing according to the needs of |
14 | | the State to ensure continued access to health care for |
15 | | eligible individuals. |
16 | | Section 15. The Illinois Banking Act is amended by changing |
17 | | Section 48.1 as follows:
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18 | | (205 ILCS 5/48.1) (from Ch. 17, par. 360)
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19 | | Sec. 48.1. Customer financial records; confidentiality.
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20 | | (a) For the purpose of this Section, the term "financial |
21 | | records" means any
original, any copy, or any summary of:
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22 | | (1) a document granting signature
authority over a |
23 | | deposit or account;
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24 | | (2) a statement, ledger card or other
record on any |
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1 | | deposit or account, which shows each transaction in or with
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2 | | respect to that account;
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3 | | (3) a check, draft or money order drawn on a bank
or |
4 | | issued and payable by a bank; or
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5 | | (4) any other item containing
information pertaining |
6 | | to any relationship established in the ordinary
course of a |
7 | | bank's business between a bank and its customer, including
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8 | | financial statements or other financial information |
9 | | provided by the customer.
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10 | | (b) This Section does not prohibit:
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11 | | (1) The preparation, examination, handling or |
12 | | maintenance of any
financial records by any officer, |
13 | | employee or agent of a bank
having custody of the records, |
14 | | or the examination of the records by a
certified public |
15 | | accountant engaged by the bank to perform an independent
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16 | | audit.
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17 | | (2) The examination of any financial records by, or the |
18 | | furnishing of
financial records by a bank to, any officer, |
19 | | employee or agent of (i) the
Commissioner of Banks and Real |
20 | | Estate, (ii) after May
31, 1997, a state regulatory |
21 | | authority authorized to examine a branch of a
State bank |
22 | | located in another state, (iii) the Comptroller of the |
23 | | Currency,
(iv) the Federal Reserve Board, or (v) the |
24 | | Federal Deposit Insurance
Corporation for use solely in the |
25 | | exercise of his duties as an officer,
employee, or agent.
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26 | | (3) The publication of data furnished from financial |
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1 | | records
relating to customers where the data cannot be |
2 | | identified to any
particular customer or account.
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3 | | (4) The making of reports or returns required under |
4 | | Chapter 61 of
the Internal Revenue Code of 1986.
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5 | | (5) Furnishing information concerning the dishonor of |
6 | | any negotiable
instrument permitted to be disclosed under |
7 | | the Uniform Commercial Code.
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8 | | (6) The exchange in the regular course of business of |
9 | | (i) credit
information
between a bank and other banks or |
10 | | financial institutions or commercial
enterprises, directly |
11 | | or through a consumer reporting agency or (ii)
financial |
12 | | records or information derived from financial records |
13 | | between a bank
and other banks or financial institutions or |
14 | | commercial enterprises for the
purpose of conducting due |
15 | | diligence pursuant to a purchase or sale involving
the bank |
16 | | or assets or liabilities of the bank.
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17 | | (7) The furnishing of information to the appropriate |
18 | | law enforcement
authorities where the bank reasonably |
19 | | believes it has been the victim of a
crime.
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20 | | (8) The furnishing of information under the Revised |
21 | | Uniform
Unclaimed Property Act.
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22 | | (9) The furnishing of information under the Illinois |
23 | | Income Tax Act and
the Illinois Estate and |
24 | | Generation-Skipping Transfer Tax Act.
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25 | | (10) The furnishing of information under the federal |
26 | | Currency
and Foreign Transactions Reporting Act Title 31, |
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1 | | United States
Code, Section 1051 et seq.
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2 | | (11) The furnishing of information under any other |
3 | | statute that
by its terms or by regulations promulgated |
4 | | thereunder requires the disclosure
of financial records |
5 | | other than by subpoena, summons, warrant, or court order.
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6 | | (12) The furnishing of information about the existence |
7 | | of an account
of a person to a judgment creditor of that |
8 | | person who has made a written
request for that information.
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9 | | (13) The exchange in the regular course of business of |
10 | | information
between commonly owned banks in connection |
11 | | with a transaction authorized
under paragraph (23) of
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12 | | Section 5 and conducted at an affiliate facility.
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13 | | (14) The furnishing of information in accordance with |
14 | | the federal
Personal Responsibility and Work Opportunity |
15 | | Reconciliation Act of 1996.
Any bank governed by this Act |
16 | | shall enter into an agreement for data
exchanges with a |
17 | | State agency provided the State agency
pays to the bank a |
18 | | reasonable fee not to exceed its
actual cost incurred. A |
19 | | bank providing
information in accordance with this item |
20 | | shall not be liable to any account
holder or other person |
21 | | for any disclosure of information to a State agency, for
|
22 | | encumbering or surrendering any assets held by the bank in |
23 | | response to a lien
or order to withhold and deliver issued |
24 | | by a State agency, or for any other
action taken pursuant |
25 | | to this item, including individual or mechanical errors,
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26 | | provided the action does not constitute gross negligence or |
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1 | | willful misconduct.
A bank shall have no obligation to |
2 | | hold, encumber, or surrender assets until
it has been |
3 | | served with a subpoena, summons, warrant, court or |
4 | | administrative
order,
lien, or levy.
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5 | | (15) The exchange in the regular course of business of |
6 | | information
between
a bank and any commonly owned affiliate |
7 | | of the bank, subject to the provisions
of the Financial |
8 | | Institutions Insurance Sales Law.
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9 | | (16) The furnishing of information to law enforcement |
10 | | authorities, the
Illinois Department on
Aging and its |
11 | | regional administrative and provider agencies, the |
12 | | Department of
Human Services Office
of Inspector General, |
13 | | or public guardians: (i) upon subpoena by the investigatory |
14 | | entity or the guardian, or (ii) if there is suspicion by |
15 | | the bank that a customer
who is an elderly person or person |
16 | | with a disability has been or may become the victim of |
17 | | financial exploitation.
For the purposes of this
item (16), |
18 | | the term: (i) "elderly person" means a person who is 60 or |
19 | | more
years of age, (ii) "disabled
person" means a person |
20 | | who has or reasonably appears to the bank to have a
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21 | | physical or mental
disability that impairs his or her |
22 | | ability to seek or obtain protection from or
prevent |
23 | | financial
exploitation, and (iii) "financial exploitation" |
24 | | means tortious or illegal use
of the assets or resources of
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25 | | an elderly or disabled person, and includes, without |
26 | | limitation,
misappropriation of the elderly or
disabled |
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1 | | person's assets or resources by undue influence, breach of |
2 | | fiduciary
relationship, intimidation,
fraud, deception, |
3 | | extortion, or the use of assets or resources in any manner
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4 | | contrary to law. A bank or
person furnishing information |
5 | | pursuant to this item (16) shall be entitled to
the same |
6 | | rights and
protections as a person furnishing information |
7 | | under the Adult Protective Services Act and the Illinois
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8 | | Domestic Violence Act of 1986.
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9 | | (17) The disclosure of financial records or |
10 | | information as necessary to
effect, administer, or enforce |
11 | | a transaction requested or authorized by the
customer, or |
12 | | in connection with:
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13 | | (A) servicing or processing a financial product or |
14 | | service requested or
authorized by the customer;
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15 | | (B) maintaining or servicing a customer's account |
16 | | with the bank; or
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17 | | (C) a proposed or actual securitization or |
18 | | secondary market sale
(including sales of servicing |
19 | | rights) related to a
transaction of a customer.
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20 | | Nothing in this item (17), however, authorizes the sale |
21 | | of the financial
records or information of a customer |
22 | | without the consent of the customer.
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23 | | (18) The disclosure of financial records or |
24 | | information as necessary to
protect against actual or |
25 | | potential fraud, unauthorized transactions, claims,
or |
26 | | other liability.
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1 | | (19) (A) (a) The disclosure of financial records or |
2 | | information
related to a private label credit program |
3 | | between a financial
institution and a private label party |
4 | | in connection with that
private label credit program. Such |
5 | | information is limited to
outstanding balance, available |
6 | | credit, payment and performance
and account history, |
7 | | product references, purchase information,
and information
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8 | | related to the identity of the customer.
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9 | | (B)(1) For purposes of this paragraph (19) of |
10 | | subsection
(b) of Section 48.1, a "private label credit |
11 | | program" means a
credit program involving a financial |
12 | | institution and a private label
party that is used by a |
13 | | customer of the financial institution and the
private label |
14 | | party primarily for payment for goods or services
sold, |
15 | | manufactured, or distributed by a private label party. |
16 | | (2) For purposes of this paragraph (19) of subsection |
17 | | (b)
of Section 48.1, a "private label party" means, with |
18 | | respect to a
private label credit program, any of the |
19 | | following: a
retailer, a merchant, a manufacturer, a trade |
20 | | group,
or any such person's affiliate, subsidiary, member,
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21 | | agent, or service provider. |
22 | | (20) (A) (a) The furnishing of financial records of a |
23 | | customer to the Department to aid the Department's initial |
24 | | determination or subsequent re-determination of the |
25 | | customer's eligibility for Medicaid and Medicaid long-term |
26 | | care benefits for long-term care when requested by the |
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1 | | Department, provided that the Department receives an |
2 | | authorization of the customer and maintains the |
3 | | authorization in accordance with the requirements of 42 |
4 | | U.S.C. 1396w. |
5 | | (B) The furnishing of financial records of a customer |
6 | | to the Department to aid the Department's initial |
7 | | determination or subsequent re-determination of the |
8 | | customer's eligibility for Medicaid and Medicaid long-term |
9 | | care benefits for long-term care services when requested by |
10 | | someone other than the customer or the Department services , |
11 | | provided that the bank receives the written consent and |
12 | | authorization of the customer, which shall: |
13 | | (1) have the customer's signature notarized; |
14 | | (2) be signed by at least one witness who certifies |
15 | | that he or she believes the customer to be of sound |
16 | | mind and memory; |
17 | | (1) (3) be tendered to the bank at the earliest |
18 | | practicable time following its execution , |
19 | | certification, and notarization ; |
20 | | (2) (4) specifically limit the disclosure of the |
21 | | customer's financial records to the Department; and |
22 | | (3) (5) be in substantially the following form: |
23 | | CUSTOMER CONSENT AND AUTHORIZATION |
24 | | FOR RELEASE OF FINANCIAL RECORDS |
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1 | | I, ......................................., hereby authorize |
2 | | (Name of Customer) |
3 | | ............................................................. |
4 | | (Name of Financial Institution) |
5 | | ............................................................. |
6 | | (Address of Financial Institution) |
7 | | to disclose the following financial records: |
8 | | any and all information concerning my deposit, savings, money |
9 | | market, certificate of deposit, individual retirement, |
10 | | retirement plan, 401(k) plan, incentive plan, employee benefit |
11 | | plan, mutual fund and loan accounts (including, but not limited |
12 | | to, any indebtedness or obligation for which I am a |
13 | | co-borrower, co-obligor, guarantor, or surety), and any and all |
14 | | other accounts in which I have an interest and any other |
15 | | information regarding me in the possession of the Financial |
16 | | Institution, |
17 | | to the Illinois Department of Human Services or the Illinois |
18 | | Department of Healthcare and Family Services, or both ("the |
19 | | Department"), for the following purpose(s): |
20 | | to aid in the initial determination or re-determination by the |
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1 | | State of Illinois of my eligibility for Medicaid long-term care |
2 | | benefits, pursuant to applicable law. |
3 | | I understand that this Consent and Authorization may be revoked |
4 | | by me in writing at any time before my financial records, as |
5 | | described above, are disclosed, and that this Consent and |
6 | | Authorization is valid until the Financial Institution |
7 | | receives my written revocation. This Consent and Authorization |
8 | | shall constitute valid authorization for the Department |
9 | | identified above to inspect all such financial records set |
10 | | forth above, and to request and receive copies of such |
11 | | financial records from the Financial Institution (subject to |
12 | | such records search and reproduction reimbursement policies as |
13 | | the Financial Institution may have in place) . An executed copy |
14 | | of this Consent and Authorization shall be sufficient and as |
15 | | good as the original and permission is hereby granted to honor |
16 | | a photostatic or electronic copy of this Consent and |
17 | | Authorization. Disclosure is strictly limited to the |
18 | | Department identified above and no other person or entity shall |
19 | | receive my financial records pursuant to this Consent and |
20 | | Authorization. By signing this form, I agree to indemnify and |
21 | | hold the Financial Institution harmless from any and all |
22 | | claims, demands, and losses, including reasonable attorneys |
23 | | fees and expenses, arising from or incurred in its reliance on |
24 | | this Consent and Authorization. As used herein, "Customer" |
25 | | shall mean "Member" if the Financial Institution is a credit |
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1 | | union. |
2 | | ....................... ...................... |
3 | | (Date) (Signature of Customer) |
4 | | ...................... |
5 | | ...................... |
6 | | (Address of Customer) |
7 | | ...................... |
8 | | (Customer's birth date) |
9 | | (month/day/year) |
10 | | The undersigned witness certifies that ................., |
11 | | known to me to be the same person whose name is subscribed as |
12 | | the customer to the foregoing Consent and Authorization, |
13 | | appeared before me and the notary public and acknowledged |
14 | | signing and delivering the instrument as his or her free and |
15 | | voluntary act for the uses and purposes therein set forth. I |
16 | | believe him or her to be of sound mind and memory. The |
17 | | undersigned witness also certifies that the witness is not an |
18 | | owner, operator, or relative of an owner or operator of a |
19 | | long-term care facility in which the customer is a patient or |
20 | | resident. |
21 | | Dated: ................. ...................... |
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1 | | (Signature of Witness) |
2 | | ...................... |
3 | | (Print Name of Witness) |
4 | | ...................... |
5 | | ...................... |
6 | | (Address of Witness) |
7 | | State of Illinois) |
8 | | ) ss. |
9 | | County of .......) |
10 | | The undersigned, a notary public in and for the above county |
11 | | and state, certifies that .........., known to me to be the |
12 | | same person whose name is subscribed as the customer to the |
13 | | foregoing Consent and Authorization, appeared before me |
14 | | together with the witness, .........., in person and |
15 | | acknowledged signing and delivering the instrument as the free |
16 | | and voluntary act of the customer for the uses and purposes |
17 | | therein set forth. |
18 | | Dated: ....................................................... |
19 | | Notary Public: ............................................... |
20 | | My commission expires: ....................................... |
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1 | | (C) (b) In no event shall the bank distribute the |
2 | | customer's financial records to the long-term care |
3 | | facility from which the customer seeks initial or |
4 | | continuing residency or long-term care services. |
5 | | (D) (c) A bank providing financial records of a |
6 | | customer in good faith relying on a consent and |
7 | | authorization executed and tendered in accordance with |
8 | | this paragraph (20) shall not be liable to the customer or |
9 | | any other person in relation to the bank's disclosure of |
10 | | the customer's financial records to the Department. The |
11 | | customer signing the consent and authorization shall |
12 | | indemnify and hold the bank harmless that relies in good |
13 | | faith upon the consent and authorization and incurs a loss |
14 | | because of such reliance. The bank recovering under this |
15 | | indemnification provision shall also be entitled to |
16 | | reasonable attorney's fees and the expenses of recovery. |
17 | | (E) (d) A bank shall be reimbursed by the customer for |
18 | | all costs reasonably necessary and directly incurred in |
19 | | searching for, reproducing, and disclosing a customer's |
20 | | financial records required or requested to be produced |
21 | | pursuant to any consent and authorization executed under |
22 | | this paragraph (20). The requested financial records shall |
23 | | be delivered to the Department within 10 days after |
24 | | receiving a properly executed consent and authorization or |
25 | | at the earliest practicable time thereafter if the |
26 | | requested records cannot be delivered within 10 days . , but |
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1 | | delivery may be delayed until the final reimbursement of |
2 | | all costs is received by the bank. The bank may honor a |
3 | | photostatic or electronic copy of a properly executed |
4 | | consent and authorization. Notwithstanding any other |
5 | | provision of law, the delays of a customer, bank, or |
6 | | long-term care facility in providing required information |
7 | | or supporting documentation for the long-term care service |
8 | | authorization process shall not be attributable to the |
9 | | Department when evaluating the Department's compliance |
10 | | with Medicaid timeliness standards. |
11 | | (F) (e) Nothing in this paragraph (20) shall impair, |
12 | | abridge, or abrogate the right of a customer to: |
13 | | (1) directly disclose his or her financial records |
14 | | to the Department or any other person; or |
15 | | (2) authorize his or her attorney or duly appointed |
16 | | agent to request and obtain the customer's financial |
17 | | records and disclose those financial records to the |
18 | | Department. |
19 | | (G) (f) For purposes of this paragraph (20), |
20 | | "Department" means the Department of Human Services and the |
21 | | Department of Healthcare and Family Services or any |
22 | | successor administrative agency of either agency. Nothing |
23 | | in this paragraph (20) is intended to impair the |
24 | | Department's ability to operate an asset verification |
25 | | system in accordance with 42 U.S.C. 1396w, provided the |
26 | | customer's authorization is obtained by the Department. |
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1 | | (b)(1) For purposes of this paragraph (19) of |
2 | | subsection
(b) of Section 48.1, a "private label credit |
3 | | program" means a
credit program involving a financial |
4 | | institution and a private label
party that is used by a |
5 | | customer of the financial institution and the
private label |
6 | | party primarily for payment for goods or services
sold, |
7 | | manufactured, or distributed by a private label party.
|
8 | | (2) For purposes of this paragraph (19) of subsection |
9 | | (b)
of Section 48.1, a "private label party" means, with |
10 | | respect to a
private label credit program, any of the |
11 | | following: a
retailer, a merchant, a manufacturer, a trade |
12 | | group,
or any such person's affiliate, subsidiary, member,
|
13 | | agent, or service provider.
|
14 | | (c) Except as otherwise provided by this Act, a bank may |
15 | | not disclose to
any person, except to the customer or his
duly |
16 | | authorized agent, any financial records or financial |
17 | | information
obtained from financial records relating to that |
18 | | customer of
that bank unless:
|
19 | | (1) the customer has authorized disclosure to the |
20 | | person;
|
21 | | (2) the financial records are disclosed in response to |
22 | | a lawful
subpoena, summons, warrant, citation to discover |
23 | | assets, or court order which meets the requirements
of |
24 | | subsection (d) of this Section; or
|
25 | | (3) the bank is attempting to collect an obligation |
26 | | owed to the bank
and the bank complies with the provisions |
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1 | | of Section 2I of the Consumer
Fraud and Deceptive Business |
2 | | Practices Act.
|
3 | | (d) A bank shall disclose financial records under paragraph |
4 | | (2) of
subsection (c) of this Section under a lawful subpoena, |
5 | | summons, warrant, citation to discover assets, or
court order |
6 | | only after the bank mails a copy of the subpoena, summons, |
7 | | warrant, citation to discover assets,
or court order to the |
8 | | person establishing the relationship with the bank, if
living, |
9 | | and, otherwise his personal representative, if known, at his |
10 | | last known
address by first class mail, postage prepaid, unless |
11 | | the bank is specifically
prohibited from notifying the person |
12 | | by order of court or by applicable State
or federal law. A bank |
13 | | shall not mail a copy of a subpoena to any person
pursuant to |
14 | | this subsection if the subpoena was issued by a grand jury |
15 | | under
the Statewide Grand Jury Act.
|
16 | | (e) Any officer or employee of a bank who knowingly and
|
17 | | willfully furnishes financial records in violation of this |
18 | | Section is
guilty of a business offense and, upon conviction, |
19 | | shall be fined not
more than $1,000.
|
20 | | (f) Any person who knowingly and willfully induces or |
21 | | attempts to
induce any officer or employee of a bank to |
22 | | disclose financial
records in violation of this Section is |
23 | | guilty of a business offense
and, upon conviction, shall be |
24 | | fined not more than $1,000.
|
25 | | (g) A bank shall be reimbursed for costs that are |
26 | | reasonably necessary
and that have been directly incurred in |
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1 | | searching for, reproducing, or
transporting books, papers, |
2 | | records, or other data required or
requested to be produced |
3 | | pursuant to a lawful subpoena, summons, warrant, citation to |
4 | | discover assets, or
court order. The Commissioner shall |
5 | | determine the rates and conditions
under which payment may be |
6 | | made.
|
7 | | (Source: P.A. 99-143, eff. 7-27-15; 100-22, eff. 1-1-18; |
8 | | 100-664, eff. 1-1-19; 100-888, eff. 8-14-18; revised |
9 | | 10-22-18.)
|
10 | | Section 20. The Savings Bank Act is amended by changing |
11 | | Section 4013 as follows:
|
12 | | (205 ILCS 205/4013) (from Ch. 17, par. 7304-13)
|
13 | | Sec. 4013. Access to books and records; communication with |
14 | | members
and shareholders. |
15 | | (a) Every member or shareholder shall have the right to |
16 | | inspect books
and records of the savings bank that pertain to |
17 | | his accounts. Otherwise,
the right of inspection and |
18 | | examination of the books and records shall be
limited as |
19 | | provided in this Act, and no other person shall have access to
|
20 | | the books and records nor shall be entitled to a list of the |
21 | | members or
shareholders.
|
22 | | (b) For the purpose of this Section, the term "financial |
23 | | records" means
any original, any copy, or any summary of (1) a |
24 | | document granting signature
authority over a deposit or |
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1 | | account; (2) a statement, ledger card, or other
record on any |
2 | | deposit or account that shows each transaction in or with
|
3 | | respect to that account; (3) a check, draft, or money order |
4 | | drawn on a
savings bank or issued and payable by a savings |
5 | | bank; or (4) any other item
containing information pertaining |
6 | | to any relationship established in the
ordinary course of a |
7 | | savings bank's business between a savings bank and
its |
8 | | customer, including financial statements or other financial |
9 | | information
provided by the member or shareholder.
|
10 | | (c) This Section does not prohibit:
|
11 | | (1) The preparation, examination, handling, or |
12 | | maintenance of any
financial records by any officer, |
13 | | employee, or agent of a savings bank
having custody of |
14 | | records or examination of records by a certified public
|
15 | | accountant engaged by the savings bank to perform an |
16 | | independent audit.
|
17 | | (2) The examination of any financial records by, or the |
18 | | furnishing of
financial records by a savings bank to, any |
19 | | officer, employee, or agent of
the Commissioner of Banks |
20 | | and Real Estate or the federal depository
institution |
21 | | regulator for use
solely in
the exercise of his duties as |
22 | | an officer, employee, or agent.
|
23 | | (3) The publication of data furnished from financial |
24 | | records relating
to members or holders of capital where the |
25 | | data cannot be identified to any
particular member, |
26 | | shareholder, or account.
|
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1 | | (4) The making of reports or returns required under |
2 | | Chapter 61 of the
Internal Revenue Code of 1986.
|
3 | | (5) Furnishing information concerning the dishonor of |
4 | | any negotiable
instrument permitted to be disclosed under |
5 | | the Uniform Commercial Code.
|
6 | | (6) The exchange in the regular course of business of |
7 | | (i) credit
information between a savings bank and other |
8 | | savings banks or financial
institutions or commercial |
9 | | enterprises, directly or through a consumer
reporting |
10 | | agency
or (ii) financial records or information derived |
11 | | from financial records
between a savings bank and other |
12 | | savings banks or financial institutions or
commercial |
13 | | enterprises for the purpose of conducting due diligence |
14 | | pursuant to
a purchase or sale involving the savings bank |
15 | | or assets or liabilities of the
savings bank.
|
16 | | (7) The furnishing of information to the appropriate |
17 | | law enforcement
authorities where the savings bank |
18 | | reasonably believes it has been the
victim of a crime.
|
19 | | (8) The furnishing of information pursuant to the |
20 | | Revised Uniform Unclaimed Property Act.
|
21 | | (9) The furnishing of information pursuant to the |
22 | | Illinois Income Tax
Act
and the Illinois Estate and |
23 | | Generation-Skipping Transfer Tax Act.
|
24 | | (10) The furnishing of information pursuant to the |
25 | | federal Currency
and Foreign Transactions Reporting Act, |
26 | | (Title 31, United States Code,
Section 1051 et seq.).
|
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1 | | (11) The furnishing of information pursuant to any |
2 | | other statute which
by its terms or by regulations |
3 | | promulgated thereunder requires the
disclosure of |
4 | | financial records other than by subpoena, summons, |
5 | | warrant, or
court order.
|
6 | | (12) The furnishing of information in accordance with |
7 | | the federal
Personal Responsibility and Work Opportunity |
8 | | Reconciliation Act of 1996.
Any savings bank governed by |
9 | | this Act shall enter into an agreement for data
exchanges |
10 | | with a State agency provided the State agency
pays to the |
11 | | savings bank a reasonable fee not to exceed its
actual cost |
12 | | incurred. A savings bank
providing
information in |
13 | | accordance with this item shall not be liable to any |
14 | | account
holder or other person for any disclosure of |
15 | | information to a State agency, for
encumbering or |
16 | | surrendering any assets held by the savings bank in |
17 | | response to
a lien
or order to withhold and deliver issued |
18 | | by a State agency, or for any other
action taken pursuant |
19 | | to this item, including individual or mechanical errors,
|
20 | | provided the action does not constitute gross negligence or |
21 | | willful misconduct.
A savings bank shall have no obligation |
22 | | to hold, encumber, or surrender
assets until
it has been |
23 | | served with a subpoena, summons, warrant, court or |
24 | | administrative
order,
lien, or levy.
|
25 | | (13) The furnishing of information to law enforcement |
26 | | authorities, the
Illinois Department on
Aging and its |
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1 | | regional administrative and provider agencies, the |
2 | | Department of
Human Services Office
of Inspector General, |
3 | | or public guardians: (i) upon subpoena by the investigatory |
4 | | entity or the guardian, or (ii) if there is suspicion by |
5 | | the savings bank that a
customer who is an elderly
person |
6 | | or person with a disability has been or may become the |
7 | | victim of financial exploitation.
For the purposes of this
|
8 | | item (13), the term: (i) "elderly person" means a person |
9 | | who is 60 or more
years of age, (ii) "person with a |
10 | | disability" means a person who has or reasonably appears to |
11 | | the savings bank to
have a physical or mental
disability |
12 | | that impairs his or her ability to seek or obtain |
13 | | protection from or
prevent financial
exploitation, and |
14 | | (iii) "financial exploitation" means tortious or illegal |
15 | | use
of the assets or resources of
an elderly person or |
16 | | person with a disability, and includes, without |
17 | | limitation,
misappropriation of the assets or resources of |
18 | | the elderly person or person with a disability by undue |
19 | | influence, breach of fiduciary
relationship, intimidation,
|
20 | | fraud, deception, extortion, or the use of assets or |
21 | | resources in any manner
contrary to law. A savings
bank or |
22 | | person furnishing information pursuant to this item (13) |
23 | | shall be
entitled to the same rights and
protections as a |
24 | | person furnishing information under the Adult Protective |
25 | | Services Act and the Illinois
Domestic Violence Act of |
26 | | 1986.
|
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1 | | (14) The disclosure of financial records or |
2 | | information as necessary to
effect, administer, or enforce |
3 | | a transaction requested or authorized by the
member or |
4 | | holder of capital, or in connection with:
|
5 | | (A) servicing or processing a financial product or |
6 | | service requested or
authorized by the member or holder |
7 | | of capital;
|
8 | | (B) maintaining or servicing an account of a member |
9 | | or holder of capital
with the savings bank; or
|
10 | | (C) a proposed or actual securitization or |
11 | | secondary market sale
(including sales of servicing |
12 | | rights) related to a
transaction of a member or holder |
13 | | of capital.
|
14 | | Nothing in this item (14), however, authorizes the sale |
15 | | of the financial
records or information of a member or |
16 | | holder of capital without the consent of
the member or |
17 | | holder of capital.
|
18 | | (15) The exchange in the regular course of business of |
19 | | information between
a
savings bank and any commonly owned |
20 | | affiliate of the savings bank, subject to
the provisions of |
21 | | the Financial Institutions Insurance Sales Law.
|
22 | | (16) The disclosure of financial records or |
23 | | information as necessary to
protect against or prevent |
24 | | actual or potential fraud, unauthorized
transactions, |
25 | | claims, or other liability.
|
26 | | (17)(a) The disclosure of financial records or |
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1 | | information
related to a private label credit program |
2 | | between a financial
institution and a private label party |
3 | | in connection
with that private label credit program. Such |
4 | | information
is limited to outstanding balance, available |
5 | | credit, payment and
performance and account history, |
6 | | product references, purchase
information,
and information |
7 | | related to the identity of the
customer.
|
8 | | (b)(1) For purposes of this paragraph (17) of |
9 | | subsection
(c) of Section 4013, a "private label credit |
10 | | program" means a
credit program involving a financial |
11 | | institution and a private label
party that is used by a |
12 | | customer of the financial institution and the
private label |
13 | | party primarily for payment for goods or services
sold, |
14 | | manufactured, or distributed by a private label party.
|
15 | | (2) For purposes of this paragraph (17) of subsection |
16 | | (c)
of Section 4013, a "private label party" means, with |
17 | | respect to a
private label credit program, any of the |
18 | | following: a
retailer, a merchant, a manufacturer, a trade |
19 | | group,
or any such person's affiliate, subsidiary, member,
|
20 | | agent, or service provider.
|
21 | | (18)(a) The furnishing of financial records of a |
22 | | customer to the Department to aid the Department's initial |
23 | | determination or subsequent re-determination of the |
24 | | customer's eligibility for Medicaid and Medicaid long-term |
25 | | care benefits for long-term care services when requested by |
26 | | the Department, provided that the Department receives an |
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1 | | authorization of the customer and maintains the |
2 | | authorization in accordance with the requirements of 42 |
3 | | U.S.C. 1396w. |
4 | | (b) The furnishing of financial records of a customer |
5 | | to the Department to aid the Department's initial |
6 | | determination or subsequent re-determination of the |
7 | | customer's eligibility for Medicaid and Medicaid long-term |
8 | | care benefits for long-term care services when requested by |
9 | | someone other than the customer or the Department , provided |
10 | | that the savings bank receives the written consent and |
11 | | authorization of the customer, which shall: |
12 | | (1) have the customer's signature notarized; |
13 | | (2) be signed by at least one witness who certifies |
14 | | that he or she believes the customer to be of sound |
15 | | mind and memory; |
16 | | (1) (3) be tendered to the savings bank at the |
17 | | earliest practicable time following its execution , |
18 | | certification, and notarization ; |
19 | | (2) (4) specifically limit the disclosure of the |
20 | | customer's financial records to the Department; and |
21 | | (3) (5) be in substantially the following form: |
22 | | CUSTOMER CONSENT AND AUTHORIZATION |
23 | | FOR RELEASE OF FINANCIAL RECORDS |
24 | | I, ......................................., hereby authorize |
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1 | | (Name of Customer) |
2 | | ............................................................. |
3 | | (Name of Financial Institution) |
4 | | ............................................................. |
5 | | (Address of Financial Institution) |
6 | | to disclose the following financial records: |
7 | | any and all information concerning my deposit, savings, money |
8 | | market, certificate of deposit, individual retirement, |
9 | | retirement plan, 401(k) plan, incentive plan, employee benefit |
10 | | plan, mutual fund and loan accounts (including, but not limited |
11 | | to, any indebtedness or obligation for which I am a |
12 | | co-borrower, co-obligor, guarantor, or surety), and any and all |
13 | | other accounts in which I have an interest and any other |
14 | | information regarding me in the possession of the Financial |
15 | | Institution, |
16 | | to the Illinois Department of Human Services or the Illinois |
17 | | Department of Healthcare and Family Services, or both ("the |
18 | | Department"), for the following purpose(s): |
19 | | to aid in the initial determination or re-determination by the |
20 | | State of Illinois of my eligibility for Medicaid long-term care |
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1 | | benefits, pursuant to applicable law. |
2 | | I understand that this Consent and Authorization may be revoked |
3 | | by me in writing at any time before my financial records, as |
4 | | described above, are disclosed, and that this Consent and |
5 | | Authorization is valid until the Financial Institution |
6 | | receives my written revocation. This Consent and Authorization |
7 | | shall constitute valid authorization for the Department |
8 | | identified above to inspect all such financial records set |
9 | | forth above, and to request and receive copies of such |
10 | | financial records from the Financial Institution (subject to |
11 | | such records search and reproduction reimbursement policies as |
12 | | the Financial Institution may have in place) . An executed copy |
13 | | of this Consent and Authorization shall be sufficient and as |
14 | | good as the original and permission is hereby granted to honor |
15 | | a photostatic or electronic copy of this Consent and |
16 | | Authorization. Disclosure is strictly limited to the |
17 | | Department identified above and no other person or entity shall |
18 | | receive my financial records pursuant to this Consent and |
19 | | Authorization. By signing this form, I agree to indemnify and |
20 | | hold the Financial Institution harmless from any and all |
21 | | claims, demands, and losses, including reasonable attorneys |
22 | | fees and expenses, arising from or incurred in its reliance on |
23 | | this Consent and Authorization. As used herein, "Customer" |
24 | | shall mean "Member" if the Financial Institution is a credit |
25 | | union. |
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1 | | ....................... ...................... |
2 | | (Date) (Signature of Customer) |
3 | | ...................... |
4 | | ...................... |
5 | | (Address of Customer) |
6 | | ...................... |
7 | | (Customer's birth date) |
8 | | (month/day/year) |
9 | | The undersigned witness certifies that ................., |
10 | | known to me to be the same person whose name is subscribed as |
11 | | the customer to the foregoing Consent and Authorization, |
12 | | appeared before me and the notary public and acknowledged |
13 | | signing and delivering the instrument as his or her free and |
14 | | voluntary act for the uses and purposes therein set forth. I |
15 | | believe him or her to be of sound mind and memory. The |
16 | | undersigned witness also certifies that the witness is not an |
17 | | owner, operator, or relative of an owner or operator of a |
18 | | long-term care facility in which the customer is a patient or |
19 | | resident. |
20 | | Dated: ................. ...................... |
21 | | (Signature of Witness) |
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1 | | ...................... |
2 | | (Print Name of Witness) |
3 | | ...................... |
4 | | ...................... |
5 | | (Address of Witness) |
6 | | State of Illinois) |
7 | | ) ss. |
8 | | County of .......) |
9 | | The undersigned, a notary public in and for the above county |
10 | | and state, certifies that .........., known to me to be the |
11 | | same person whose name is subscribed as the customer to the |
12 | | foregoing Consent and Authorization, appeared before me |
13 | | together with the witness, .........., in person and |
14 | | acknowledged signing and delivering the instrument as the free |
15 | | and voluntary act of the customer for the uses and purposes |
16 | | therein set forth. |
17 | | Dated: ....................................................... |
18 | | Notary Public: ............................................... |
19 | | My commission expires: ....................................... |
20 | | (c) (b) In no event shall the savings bank distribute |
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1 | | the customer's financial records to the long-term care |
2 | | facility from which the customer seeks initial or |
3 | | continuing residency or long-term care services. |
4 | | (d) (c) A savings bank providing financial records of a |
5 | | customer in good faith relying on a consent and |
6 | | authorization executed and tendered in accordance with |
7 | | this paragraph (18) shall not be liable to the customer or |
8 | | any other person in relation to the savings bank's |
9 | | disclosure of the customer's financial records to the |
10 | | Department. The customer signing the consent and |
11 | | authorization shall indemnify and hold the savings bank |
12 | | harmless that relies in good faith upon the consent and |
13 | | authorization and incurs a loss because of such reliance. |
14 | | The savings bank recovering under this indemnification |
15 | | provision shall also be entitled to reasonable attorney's |
16 | | fees and the expenses of recovery. |
17 | | (e) (d) A savings bank shall be reimbursed by the |
18 | | customer for all costs reasonably necessary and directly |
19 | | incurred in searching for, reproducing, and disclosing a |
20 | | customer's financial records required or requested to be |
21 | | produced pursuant to any consent and authorization |
22 | | executed under this paragraph (18). The requested |
23 | | financial records shall be delivered to the Department |
24 | | within 10 days after receiving a properly executed consent |
25 | | and authorization or at the earliest practicable time |
26 | | thereafter if the requested records cannot be delivered |
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1 | | within 10 days . , but delivery may be delayed until the |
2 | | final reimbursement of all costs is received by the savings |
3 | | bank. The savings bank may honor a photostatic or |
4 | | electronic copy of a properly executed consent and |
5 | | authorization. Notwithstanding any other provision of law, |
6 | | the delays of a customer, bank, or long-term care facility |
7 | | in providing required information or supporting |
8 | | documentation for the long-term care service authorization |
9 | | process shall not be attributable to the Department when |
10 | | evaluating the Department's compliance with Medicaid |
11 | | timeliness standards. |
12 | | (f) (e) Nothing in this paragraph (18) shall impair, |
13 | | abridge, or abrogate the right of a customer to: |
14 | | (1) directly disclose his or her financial records |
15 | | to the Department or any other person; or |
16 | | (2) authorize his or her attorney or duly appointed |
17 | | agent to request and obtain the customer's financial |
18 | | records and disclose those financial records to the |
19 | | Department. |
20 | | (g) (f) For purposes of this paragraph (18), |
21 | | "Department" means the Department of Human Services and the |
22 | | Department of Healthcare and Family Services or any |
23 | | successor administrative agency of either agency. Nothing |
24 | | in this paragraph (18) is intended to impair the |
25 | | Department's ability to operate an asset verification |
26 | | system in accordance with 42 U.S.C. 1396w, provided the |
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1 | | customer's authorization is obtained by the Department. |
2 | | (d) A savings bank may not disclose to any person, except |
3 | | to the member
or holder of capital or his duly authorized |
4 | | agent, any financial records
relating to that member or |
5 | | shareholder of the savings bank unless:
|
6 | | (1) the member or shareholder has authorized |
7 | | disclosure to the person; or
|
8 | | (2) the financial records are disclosed in response to |
9 | | a lawful
subpoena, summons, warrant, citation to discover |
10 | | assets, or court order that meets the requirements of
|
11 | | subsection (e) of this Section.
|
12 | | (e) A savings bank shall disclose financial records under |
13 | | subsection (d)
of this Section pursuant to a lawful subpoena, |
14 | | summons, warrant, citation to discover assets, or court
order |
15 | | only after the savings bank mails a copy of the subpoena, |
16 | | summons,
warrant, citation to discover assets, or court order |
17 | | to the person establishing the relationship with
the savings |
18 | | bank, if living, and otherwise, his personal representative, if
|
19 | | known, at his last known address by first class mail, postage |
20 | | prepaid,
unless the savings bank is specifically prohibited |
21 | | from notifying the
person by order of court.
|
22 | | (f) Any officer or employee of a savings bank who knowingly |
23 | | and
willfully furnishes financial records in violation of this |
24 | | Section is
guilty of a business offense and, upon conviction, |
25 | | shall be fined not
more than $1,000.
|
26 | | (g) Any person who knowingly and willfully induces or |
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1 | | attempts to
induce any officer or employee of a savings bank to |
2 | | disclose financial
records in violation of this Section is |
3 | | guilty of a business offense and,
upon conviction, shall be |
4 | | fined not more than $1,000.
|
5 | | (h) If any member or shareholder desires to communicate |
6 | | with the other
members or shareholders of the savings bank with |
7 | | reference to any question
pending or to be presented at an |
8 | | annual or special meeting, the savings
bank shall give that |
9 | | person, upon request, a statement of the approximate
number of |
10 | | members or shareholders entitled to vote at the meeting and an
|
11 | | estimate of the cost of preparing and mailing the |
12 | | communication. The
requesting member shall submit the |
13 | | communication to the Commissioner
who, upon finding it to be |
14 | | appropriate and truthful, shall direct that it
be prepared and |
15 | | mailed to the members upon the requesting member's or
|
16 | | shareholder's payment or adequate provision for payment of the |
17 | | expenses of
preparation and mailing.
|
18 | | (i) A savings bank shall be reimbursed for costs that are |
19 | | necessary and
that have been directly incurred in searching |
20 | | for, reproducing, or
transporting books, papers, records, or |
21 | | other data of a customer required
to be reproduced pursuant to |
22 | | a lawful subpoena, warrant, citation to discover assets, or |
23 | | court order.
|
24 | | (j) Notwithstanding the provisions of this Section, a |
25 | | savings bank may
sell or otherwise make use of lists of |
26 | | customers' names and addresses. All
other information |
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1 | | regarding a customer's account is subject to the
disclosure |
2 | | provisions of this Section. At the request of any customer,
|
3 | | that customer's name and address shall be deleted from any list |
4 | | that is to
be sold or used in any other manner beyond |
5 | | identification of the customer's
accounts.
|
6 | | (Source: P.A. 99-143, eff. 7-27-15; 100-22, eff. 1-1-18; |
7 | | 100-201, eff. 8-18-17; 100-664, eff. 1-1-19 .)
|
8 | | Section 25. The Illinois Credit Union Act is amended by |
9 | | changing Section 10 as follows:
|
10 | | (205 ILCS 305/10) (from Ch. 17, par. 4411)
|
11 | | Sec. 10. Credit union records; member financial records.
|
12 | | (1) A credit union shall establish and maintain books, |
13 | | records, accounting
systems and procedures which accurately |
14 | | reflect its operations and which
enable the Department to |
15 | | readily ascertain the true financial condition
of the credit |
16 | | union and whether it is complying with this Act.
|
17 | | (2) A photostatic or photographic reproduction of any |
18 | | credit union records
shall be admissible as evidence of |
19 | | transactions with the credit union.
|
20 | | (3)(a) For the purpose of this Section, the term "financial |
21 | | records"
means any original, any copy, or any summary of (1) a |
22 | | document granting
signature authority over an account, (2) a |
23 | | statement, ledger card or other
record on any account which |
24 | | shows each transaction in or with respect to
that account, (3) |
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1 | | a check, draft or money order drawn on a financial
institution |
2 | | or other entity or issued and payable by or through a financial
|
3 | | institution or other entity, or (4) any other item containing |
4 | | information
pertaining to any relationship established in the |
5 | | ordinary course of
business between a credit union and its |
6 | | member, including financial
statements or other financial |
7 | | information provided by the member.
|
8 | | (b) This Section does not prohibit:
|
9 | | (1) The preparation, examination, handling or |
10 | | maintenance of any
financial records by any officer, |
11 | | employee or agent of a credit union
having custody of such |
12 | | records, or the examination of such records by a
certified |
13 | | public accountant engaged by the credit union to perform an
|
14 | | independent audit.
|
15 | | (2) The examination of any financial records by or the |
16 | | furnishing of
financial records by a credit union to any |
17 | | officer, employee or agent of
the Department, the National |
18 | | Credit Union Administration, Federal Reserve
board or any |
19 | | insurer of share accounts for use solely in the exercise of
|
20 | | his duties as an officer, employee or agent.
|
21 | | (3) The publication of data furnished from financial |
22 | | records relating
to members where the data cannot be |
23 | | identified to any particular customer
of account.
|
24 | | (4) The making of reports or returns required under |
25 | | Chapter 61 of the
Internal Revenue Code of 1954.
|
26 | | (5) Furnishing information concerning the dishonor of |
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1 | | any negotiable
instrument permitted to be disclosed under |
2 | | the Uniform Commercial
Code.
|
3 | | (6) The exchange in the regular course of business
of |
4 | | (i) credit information
between a credit union and other |
5 | | credit unions or financial institutions
or commercial |
6 | | enterprises, directly or through a consumer reporting |
7 | | agency
or (ii) financial records or information derived |
8 | | from financial records
between a credit union and other |
9 | | credit unions or financial institutions or
commercial |
10 | | enterprises for
the purpose of conducting due diligence |
11 | | pursuant to a merger or a purchase or
sale of assets or |
12 | | liabilities of the credit union.
|
13 | | (7) The furnishing of information to the appropriate |
14 | | law enforcement
authorities where the credit union |
15 | | reasonably believes it has been the victim
of a crime.
|
16 | | (8) The furnishing of information pursuant to the |
17 | | Revised Uniform Unclaimed Property Act.
|
18 | | (9) The furnishing of information pursuant to the |
19 | | Illinois Income Tax
Act and the Illinois Estate and |
20 | | Generation-Skipping Transfer Tax Act.
|
21 | | (10) The furnishing of information pursuant to the |
22 | | federal " Currency
and Foreign Transactions Reporting Act " , |
23 | | Title 31, United States Code,
Section 1051 et sequentia.
|
24 | | (11) The furnishing of information pursuant to any |
25 | | other statute which
by its terms or by regulations |
26 | | promulgated thereunder requires the disclosure
of |
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1 | | financial records other than by subpoena, summons, warrant |
2 | | or court order.
|
3 | | (12) The furnishing of information in accordance with |
4 | | the federal
Personal Responsibility and Work Opportunity |
5 | | Reconciliation Act of 1996.
Any credit union governed by |
6 | | this Act shall enter into an agreement for data
exchanges |
7 | | with a State agency provided the State agency
pays to the |
8 | | credit union a reasonable fee not to exceed its
actual cost |
9 | | incurred. A credit union
providing
information in |
10 | | accordance with this item shall not be liable to any |
11 | | account
holder or other person for any disclosure of |
12 | | information to a State agency, for
encumbering or |
13 | | surrendering any assets held by the credit union in |
14 | | response to
a lien
or order to withhold and deliver issued |
15 | | by a State agency, or for any other
action taken pursuant |
16 | | to this item, including individual or mechanical errors,
|
17 | | provided the action does not constitute gross negligence or |
18 | | willful misconduct.
A credit union shall have no obligation |
19 | | to hold, encumber, or surrender
assets until
it has been |
20 | | served with a subpoena, summons, warrant, court or |
21 | | administrative
order, lien, or levy.
|
22 | | (13) The furnishing of information to law enforcement |
23 | | authorities, the
Illinois Department on
Aging and its |
24 | | regional administrative and provider agencies, the |
25 | | Department of
Human Services Office
of Inspector General, |
26 | | or public guardians: (i) upon subpoena by the investigatory |
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1 | | entity or the guardian, or (ii) if there is suspicion by |
2 | | the credit union that a
member who is an elderly person or |
3 | | person with a disability has been or may become the victim |
4 | | of financial exploitation.
For the purposes of this
item |
5 | | (13), the term: (i) "elderly person" means a person who is |
6 | | 60 or more
years of age, (ii) "person with a disability" |
7 | | means a person who has or reasonably appears to the credit |
8 | | union to
have a physical or mental
disability that impairs |
9 | | his or her ability to seek or obtain protection from or
|
10 | | prevent financial
exploitation, and (iii) "financial |
11 | | exploitation" means tortious or illegal use
of the assets |
12 | | or resources of
an elderly person or person with a |
13 | | disability, and includes, without limitation,
|
14 | | misappropriation of the elderly or
disabled person's |
15 | | assets or resources by undue influence, breach of fiduciary
|
16 | | relationship, intimidation,
fraud, deception, extortion, |
17 | | or the use of assets or resources in any manner
contrary to |
18 | | law. A credit
union or person furnishing information |
19 | | pursuant to this item (13) shall be
entitled to the same |
20 | | rights and
protections as a person furnishing information |
21 | | under the Adult Protective Services Act and the Illinois
|
22 | | Domestic Violence Act of 1986.
|
23 | | (14) The disclosure of financial records or |
24 | | information as necessary
to
effect, administer, or enforce |
25 | | a transaction requested or authorized by the
member, or in |
26 | | connection with:
|
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1 | | (A) servicing or processing a financial product or |
2 | | service requested
or
authorized by the member;
|
3 | | (B) maintaining or servicing a member's account |
4 | | with the credit union;
or
|
5 | | (C) a proposed or actual securitization or |
6 | | secondary market sale
(including sales of servicing |
7 | | rights) related to a
transaction of a member.
|
8 | | Nothing in this item (14), however, authorizes the sale |
9 | | of the financial
records or information of a member without |
10 | | the consent of the member.
|
11 | | (15) The disclosure of financial records or |
12 | | information as necessary to
protect against or prevent |
13 | | actual or potential fraud, unauthorized
transactions, |
14 | | claims, or other liability.
|
15 | | (16)(a) The disclosure of financial records or |
16 | | information
related to a private label credit program |
17 | | between a financial
institution and a private label party |
18 | | in connection
with that private label credit program. Such |
19 | | information
is limited to outstanding balance, available |
20 | | credit, payment and
performance and account history, |
21 | | product references, purchase
information,
and information |
22 | | related to the identity of the
customer.
|
23 | | (b)(1) For purposes of this item paragraph (16) of |
24 | | subsection
(b) of Section 10 , a "private label credit |
25 | | program" means a credit
program involving a financial |
26 | | institution and a private label party
that is used by a |
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1 | | customer of the financial institution and the
private label |
2 | | party primarily for payment for goods or services
sold, |
3 | | manufactured, or distributed by a private label party.
|
4 | | (2) For purposes of this item paragraph (16) of |
5 | | subsection (b)
of Section 10 , a "private label party" |
6 | | means, with respect to a
private label credit program, any |
7 | | of the following: a
retailer, a merchant, a manufacturer, a |
8 | | trade group,
or any such person's affiliate, subsidiary, |
9 | | member,
agent, or service provider.
|
10 | | (17)(a) The furnishing of financial records of a member |
11 | | to the Department to aid the Department's initial |
12 | | determination or subsequent re-determination of the |
13 | | member's eligibility for Medicaid and Medicaid long-term |
14 | | care benefits for long-term care services when requested by |
15 | | the Department, provided that the Department receives an |
16 | | authorization of the customer and maintains the |
17 | | authorization in accordance with the requirements of 42 |
18 | | U.S.C. 1396w. |
19 | | (b) The furnishing of financial records of a customer |
20 | | to the Department to aid the Department's initial |
21 | | determination or subsequent re-determination of the |
22 | | customer's eligibility for Medicaid and Medicaid long-term |
23 | | care benefits for long-term care services when requested by |
24 | | someone other than the customer or the Department , provided |
25 | | that the credit union receives the written consent and |
26 | | authorization of the member, which shall: |
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1 | | (1) have the member's signature notarized; |
2 | | (2) be signed by at least one witness who certifies |
3 | | that he or she believes the member to be of sound mind |
4 | | and memory; |
5 | | (1) (3) be tendered to the credit union at the |
6 | | earliest practicable time following its execution , |
7 | | certification, and notarization ; |
8 | | (2) (4) specifically limit the disclosure of the |
9 | | member's financial records to the Department; and |
10 | | (3) (5) be in substantially the following form: |
11 | | CUSTOMER CONSENT AND AUTHORIZATION |
12 | | FOR RELEASE OF FINANCIAL RECORDS |
13 | | I, ......................................., hereby authorize |
14 | | (Name of Customer) |
15 | | ............................................................. |
16 | | (Name of Financial Institution) |
17 | | ............................................................. |
18 | | (Address of Financial Institution) |
19 | | to disclose the following financial records: |
20 | | any and all information concerning my deposit, savings, money |
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1 | | market, certificate of deposit, individual retirement, |
2 | | retirement plan, 401(k) plan, incentive plan, employee benefit |
3 | | plan, mutual fund and loan accounts (including, but not limited |
4 | | to, any indebtedness or obligation for which I am a |
5 | | co-borrower, co-obligor, guarantor, or surety), and any and all |
6 | | other accounts in which I have an interest and any other |
7 | | information regarding me in the possession of the Financial |
8 | | Institution, |
9 | | to the Illinois Department of Human Services or the Illinois |
10 | | Department of Healthcare and Family Services, or both ("the |
11 | | Department"), for the following purpose(s): |
12 | | to aid in the initial determination or re-determination by the |
13 | | State of Illinois of my eligibility for Medicaid long-term care |
14 | | benefits, pursuant to applicable law. |
15 | | I understand that this Consent and Authorization may be revoked |
16 | | by me in writing at any time before my financial records, as |
17 | | described above, are disclosed, and that this Consent and |
18 | | Authorization is valid until the Financial Institution |
19 | | receives my written revocation. This Consent and Authorization |
20 | | shall constitute valid authorization for the Department |
21 | | identified above to inspect all such financial records set |
22 | | forth above, and to request and receive copies of such |
23 | | financial records from the Financial Institution (subject to |
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1 | | such records search and reproduction reimbursement policies as |
2 | | the Financial Institution may have in place) . An executed copy |
3 | | of this Consent and Authorization shall be sufficient and as |
4 | | good as the original and permission is hereby granted to honor |
5 | | a photostatic or electronic copy of this Consent and |
6 | | Authorization. Disclosure is strictly limited to the |
7 | | Department identified above and no other person or entity shall |
8 | | receive my financial records pursuant to this Consent and |
9 | | Authorization. By signing this form, I agree to indemnify and |
10 | | hold the Financial Institution harmless from any and all |
11 | | claims, demands, and losses, including reasonable attorneys |
12 | | fees and expenses, arising from or incurred in its reliance on |
13 | | this Consent and Authorization. As used herein, "Customer" |
14 | | shall mean "Member" if the Financial Institution is a credit |
15 | | union. |
16 | | ....................... ...................... |
17 | | (Date) (Signature of Customer) |
18 | | ...................... |
19 | | ...................... |
20 | | (Address of Customer) |
21 | | ...................... |
22 | | (Customer's birth date) |
23 | | (month/day/year) |
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1 | | The undersigned witness certifies that ................., |
2 | | known to me to be the same person whose name is subscribed as |
3 | | the customer to the foregoing Consent and Authorization, |
4 | | appeared before me and the notary public and acknowledged |
5 | | signing and delivering the instrument as his or her free and |
6 | | voluntary act for the uses and purposes therein set forth. I |
7 | | believe him or her to be of sound mind and memory. The |
8 | | undersigned witness also certifies that the witness is not an |
9 | | owner, operator, or relative of an owner or operator of a |
10 | | long-term care facility in which the customer is a patient or |
11 | | resident. |
12 | | Dated: ................. ...................... |
13 | | (Signature of Witness) |
14 | | ...................... |
15 | | (Print Name of Witness) |
16 | | ...................... |
17 | | ...................... |
18 | | (Address of Witness) |
19 | | State of Illinois) |
20 | | ) ss. |
21 | | County of .......) |
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1 | | The undersigned, a notary public in and for the above county |
2 | | and state, certifies that .........., known to me to be the |
3 | | same person whose name is subscribed as the customer to the |
4 | | foregoing Consent and Authorization, appeared before me |
5 | | together with the witness, .........., in person and |
6 | | acknowledged signing and delivering the instrument as the free |
7 | | and voluntary act of the customer for the uses and purposes |
8 | | therein set forth. |
9 | | Dated: ....................................................... |
10 | | Notary Public: ............................................... |
11 | | My commission expires: ....................................... |
12 | | (c) (b) In no event shall the credit union distribute |
13 | | the member's financial records to the long-term care |
14 | | facility from which the member seeks initial or continuing |
15 | | residency or long-term care services. |
16 | | (d) (c) A credit union providing financial records of a |
17 | | member in good faith relying on a consent and authorization |
18 | | executed and tendered in accordance with this item |
19 | | subparagraph (17) shall not be liable to the member or any |
20 | | other person in relation to the credit union's disclosure |
21 | | of the member's financial records to the Department. The |
22 | | member signing the consent and authorization shall |
23 | | indemnify and hold the credit union harmless that relies in |
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1 | | good faith upon the consent and authorization and incurs a |
2 | | loss because of such reliance. The credit union recovering |
3 | | under this indemnification provision shall also be |
4 | | entitled to reasonable attorney's fees and the expenses of |
5 | | recovery. |
6 | | (e) (d) A credit union shall be reimbursed by the |
7 | | member for all costs reasonably necessary and directly |
8 | | incurred in searching for, reproducing, and disclosing a |
9 | | member's financial records required or requested to be |
10 | | produced pursuant to any consent and authorization |
11 | | executed under this subparagraph (17). The requested |
12 | | financial records shall be delivered to the Department |
13 | | within 10 days after receiving a properly executed consent |
14 | | and authorization or at the earliest practicable time |
15 | | thereafter if the requested records cannot be delivered |
16 | | within 10 days . , but delivery may be delayed until the |
17 | | final reimbursement of all costs is received by the credit |
18 | | union. The credit union may honor a photostatic or |
19 | | electronic copy of a properly executed consent and |
20 | | authorization. Notwithstanding any other provision of law, |
21 | | the delays of a customer, bank or long-term care facility |
22 | | in providing required information or supporting |
23 | | documentation for the long-term care service authorization |
24 | | process shall not be attributable to the Department when |
25 | | evaluating the Department's compliance with Medicaid |
26 | | timeliness standards. |
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1 | | (f) (e) Nothing in this item subparagraph (17) shall |
2 | | impair, abridge, or abrogate the right of a member to: |
3 | | (1) directly disclose his or her financial records |
4 | | to the Department or any other person; or |
5 | | (2) authorize his or her attorney or duly appointed |
6 | | agent to request and obtain the member's financial |
7 | | records and disclose those financial records to the |
8 | | Department. |
9 | | (g) (f) For purposes of this item subparagraph (17), |
10 | | "Department" means the Department of Human Services and the |
11 | | Department of Healthcare and Family Services or any |
12 | | successor administrative agency of either agency. Nothing |
13 | | in this item (17) is intended to impair the Department's |
14 | | ability to operate an asset verification system in |
15 | | accordance with 42 U.S.C. 1396w, provided the customer's |
16 | | authorization is obtained by the Department. |
17 | | (18) (17) The furnishing of the financial records of a |
18 | | member to an appropriate law enforcement authority, |
19 | | without prior notice to or consent of the member, upon |
20 | | written request of the law enforcement authority, when |
21 | | reasonable suspicion of an imminent threat to the personal |
22 | | security and safety of the member exists that necessitates |
23 | | an expedited release of the member's financial records, as |
24 | | determined by the law enforcement authority. The law |
25 | | enforcement authority shall include a brief explanation of |
26 | | the imminent threat to the member in its written request to |
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1 | | the credit union. The written request shall reflect that it |
2 | | has been authorized by a supervisory or managerial official |
3 | | of the law enforcement authority. The decision to furnish |
4 | | the financial records of a member to a law enforcement |
5 | | authority shall be made by a supervisory or managerial |
6 | | official of the credit union. A credit union providing |
7 | | information in accordance with this item (18) (17) shall |
8 | | not be liable to the member or any other person for the |
9 | | disclosure of the information to the law enforcement |
10 | | authority.
|
11 | | (c) Except as otherwise provided by this Act, a credit |
12 | | union may not
disclose to any person, except to the member
or |
13 | | his duly authorized agent, any financial records relating to |
14 | | that member
of the credit union unless:
|
15 | | (1) the member has authorized disclosure to the person;
|
16 | | (2) the financial records are disclosed in response to |
17 | | a lawful
subpoena,
summons, warrant, citation to discover |
18 | | assets, or court order that meets the requirements of |
19 | | subparagraph (3)(d)
(d) of this Section; or
|
20 | | (3) the credit union is attempting to collect an |
21 | | obligation owed to
the credit union and the credit union |
22 | | complies with the provisions of
Section 2I of the Consumer |
23 | | Fraud and Deceptive Business Practices Act.
|
24 | | (d) A credit union shall disclose financial records under |
25 | | item (3)(c)(2) subparagraph
(c)(2) of this Section pursuant to |
26 | | a lawful subpoena, summons, warrant, citation to discover |
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1 | | assets, or
court order only after the credit union mails a copy |
2 | | of the subpoena, summons,
warrant, citation to discover assets, |
3 | | or court order to the person establishing the relationship with
|
4 | | the credit union, if living, and otherwise his personal |
5 | | representative,
if known, at his last known address by first |
6 | | class mail, postage prepaid
unless the credit union is |
7 | | specifically prohibited from notifying the person
by order of |
8 | | court or by applicable State or federal law. In the case
of a |
9 | | grand jury subpoena, a credit union shall not mail a copy of a |
10 | | subpoena
to any person pursuant to this subsection if the |
11 | | subpoena was issued by a grand
jury under the Statewide Grand |
12 | | Jury Act or notifying the
person would constitute a violation |
13 | | of the federal Right to Financial
Privacy Act of 1978.
|
14 | | (e)(1) Any officer or employee of a credit union who |
15 | | knowingly and willfully
wilfully furnishes financial records |
16 | | in violation of this Section is guilty of
a business offense |
17 | | and upon conviction thereof shall be fined not more than
|
18 | | $1,000.
|
19 | | (2) Any person who knowingly and willfully wilfully induces |
20 | | or attempts to induce
any officer or employee of a credit union |
21 | | to disclose financial records
in violation of this Section is |
22 | | guilty of a business offense and upon
conviction thereof shall |
23 | | be fined not more than $1,000.
|
24 | | (f) A credit union shall be reimbursed for costs which are |
25 | | reasonably
necessary and which have been directly incurred in |
26 | | searching for,
reproducing or transporting books, papers, |
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1 | | records or other data of a
member required or requested to be |
2 | | produced pursuant to a lawful subpoena,
summons, warrant, |
3 | | citation to discover assets, or court order. The Secretary and |
4 | | the Director may determine, by rule, the
rates and
conditions |
5 | | under which payment shall be made. Delivery of requested |
6 | | documents
may be delayed until final reimbursement of all costs |
7 | | is received.
|
8 | | (Source: P.A. 99-143, eff. 7-27-15; 100-22, eff. 1-1-18; |
9 | | 100-664, eff. 1-1-19; 100-778, eff. 8-10-18; revised |
10 | | 10-18-18.)
|
11 | | Section 30. The Children's Health Insurance Program Act is |
12 | | amended by changing Section 7 as follows: |
13 | | (215 ILCS 106/7) |
14 | | Sec. 7. Eligibility verification. Notwithstanding any |
15 | | other provision of this Act, with respect to applications for |
16 | | benefits provided under the Program, eligibility shall be |
17 | | determined in a manner that ensures program integrity and that |
18 | | complies with federal law and regulations while minimizing |
19 | | unnecessary barriers to enrollment. To this end, as soon as |
20 | | practicable, and unless the Department receives written denial |
21 | | from the federal government, this Section shall be implemented: |
22 | | (a) The Department of Healthcare and Family Services or its |
23 | | designees shall: |
24 | | (1) By no later than July 1, 2011, require verification |
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1 | | of, at a minimum, one month's income from all sources |
2 | | required for determining the eligibility of applicants to |
3 | | the Program. Such verification shall take the form of pay |
4 | | stubs, business or income and expense records for |
5 | | self-employed persons, letters from employers, and any |
6 | | other valid documentation of income including data |
7 | | obtained electronically by the Department or its designees |
8 | | from other sources as described in subsection (b) of this |
9 | | Section. |
10 | | (2) By no later than October 1, 2011, require |
11 | | verification of, at a minimum, one month's income from all |
12 | | sources required for determining the continued eligibility |
13 | | of recipients at their annual review of eligibility under |
14 | | the Program. Such verification shall take the form of pay |
15 | | stubs, business or income and expense records for |
16 | | self-employed persons, letters from employers, and any |
17 | | other valid documentation of income including data |
18 | | obtained electronically by the Department or its designees |
19 | | from other sources as described in subsection (b) of this |
20 | | Section. A month's income may be verified by a single pay |
21 | | stub with the monthly income extrapolated from the time |
22 | | period covered by the pay stub. The Department shall send a |
23 | | notice to the recipient at least 60 days prior to the end |
24 | | of the period of eligibility that informs them of the |
25 | | requirements for continued eligibility. Information the |
26 | | Department receives prior to the annual review, including |
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1 | | information available to the Department as a result of the |
2 | | recipient's application for other non-health care |
3 | | benefits, that is sufficient to make a determination of |
4 | | continued eligibility for medical assistance or for |
5 | | benefits provided under the Program may be reviewed and |
6 | | verified, and subsequent action taken including client |
7 | | notification of continued eligibility for medical |
8 | | assistance or for benefits provided under the Program. The |
9 | | date of client notification establishes the date for |
10 | | subsequent annual eligibility reviews. If a recipient does |
11 | | not fulfill the requirements for continued eligibility by |
12 | | the deadline established in the notice, a notice of |
13 | | cancellation shall be issued to the recipient and coverage |
14 | | shall end no later than the last day of the month following |
15 | | on the last day of the eligibility period. A recipient's |
16 | | eligibility may be reinstated without requiring a new |
17 | | application if the recipient fulfills the requirements for |
18 | | continued eligibility prior to the end of the third month |
19 | | following the last date of coverage (or longer period if |
20 | | required by federal regulations). Nothing in this Section |
21 | | shall prevent an individual whose coverage has been |
22 | | cancelled from reapplying for health benefits at any time. |
23 | | (3) By no later than July 1, 2011, require verification |
24 | | of Illinois residency. |
25 | | (b) The Department shall establish or continue cooperative
|
26 | | arrangements with the Social Security Administration, the
|
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1 | | Illinois Secretary of State, the Department of Human Services,
|
2 | | the Department of Revenue, the Department of Employment |
3 | | Security, and any other appropriate entity to gain electronic
|
4 | | access, to the extent allowed by law, to information available |
5 | | to those entities that may be appropriate for electronically
|
6 | | verifying any factor of eligibility for benefits under the
|
7 | | Program. Data relevant to eligibility shall be provided for no
|
8 | | other purpose than to verify the eligibility of new applicants |
9 | | or current recipients of health benefits under the Program. |
10 | | Data will be requested or provided for any new applicant or |
11 | | current recipient only insofar as that individual's |
12 | | circumstances are relevant to that individual's or another |
13 | | individual's eligibility. |
14 | | (c) Within 90 days of the effective date of this amendatory |
15 | | Act of the 96th General Assembly, the Department of Healthcare |
16 | | and Family Services shall send notice to current recipients |
17 | | informing them of the changes regarding their eligibility |
18 | | verification.
|
19 | | (Source: P.A. 98-651, eff. 6-16-14.) |
20 | | Section 35. The Covering ALL KIDS Health Insurance Act is |
21 | | amended by changing Section 7 as follows: |
22 | | (215 ILCS 170/7) |
23 | | (Section scheduled to be repealed on October 1, 2019) |
24 | | Sec. 7. Eligibility verification. Notwithstanding any |
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1 | | other provision of this Act, with respect to applications for |
2 | | benefits provided under the Program, eligibility shall be |
3 | | determined in a manner that ensures program integrity and that |
4 | | complies with federal law and regulations while minimizing |
5 | | unnecessary barriers to enrollment. To this end, as soon as |
6 | | practicable, and unless the Department receives written denial |
7 | | from the federal government, this Section shall be implemented: |
8 | | (a) The Department of Healthcare and Family Services or its |
9 | | designees shall: |
10 | | (1) By July 1, 2011, require verification of, at a |
11 | | minimum, one month's income from all sources required for |
12 | | determining the eligibility of applicants to the Program.
|
13 | | Such verification shall take the form of pay stubs, |
14 | | business or income and expense records for self-employed |
15 | | persons, letters from employers, and any other valid |
16 | | documentation of income including data obtained |
17 | | electronically by the Department or its designees from |
18 | | other sources as described in subsection (b) of this |
19 | | Section. |
20 | | (2) By October 1, 2011, require verification of, at a |
21 | | minimum, one month's income from all sources required for |
22 | | determining the continued eligibility of recipients at |
23 | | their annual review of eligibility under the Program. Such |
24 | | verification shall take the form of pay stubs, business or |
25 | | income and expense records for self-employed persons, |
26 | | letters from employers, and any other valid documentation |
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1 | | of income including data obtained electronically by the |
2 | | Department or its designees from other sources as described |
3 | | in subsection (b) of this Section. A month's income may be |
4 | | verified by a single pay stub with the monthly income |
5 | | extrapolated from the time period covered by the pay stub. |
6 | | The Department shall send a notice to
recipients at least |
7 | | 60 days prior to the end of their period
of eligibility |
8 | | that informs them of the
requirements for continued |
9 | | eligibility. Information the Department receives prior to |
10 | | the annual review, including information available to the |
11 | | Department as a result of the recipient's application for |
12 | | other non-health care benefits, that is sufficient to make |
13 | | a determination of continued eligibility for benefits |
14 | | provided under this Act, the Children's Health Insurance |
15 | | Program Act, or Article V of the Illinois Public Aid Code |
16 | | may be reviewed and verified, and subsequent action taken |
17 | | including client notification of continued eligibility for |
18 | | benefits provided under this Act, the Children's Health |
19 | | Insurance Program Act, or Article V of the Illinois Public |
20 | | Aid Code. The date of client notification establishes the |
21 | | date for subsequent annual eligibility reviews. If a |
22 | | recipient
does not fulfill the requirements for continued |
23 | | eligibility by the
deadline established in the notice, a |
24 | | notice of cancellation shall be issued to the recipient and |
25 | | coverage shall end no later than the last day of the month |
26 | | following on the last day of the eligibility period. A |
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1 | | recipient's eligibility may be reinstated without |
2 | | requiring a new application if the recipient fulfills the |
3 | | requirements for continued eligibility prior to the end of |
4 | | the third month following the last date of coverage (or |
5 | | longer period if required by federal regulations). Nothing |
6 | | in this Section shall prevent an individual whose coverage |
7 | | has been cancelled from reapplying for health benefits at |
8 | | any time. |
9 | | (3) By July 1, 2011, require verification of Illinois |
10 | | residency. |
11 | | (b) The Department shall establish or continue cooperative
|
12 | | arrangements with the Social Security Administration, the
|
13 | | Illinois Secretary of State, the Department of Human Services,
|
14 | | the Department of Revenue, the Department of Employment
|
15 | | Security, and any other appropriate entity to gain electronic
|
16 | | access, to the extent allowed by law, to information available
|
17 | | to those entities that may be appropriate for electronically
|
18 | | verifying any factor of eligibility for benefits under the
|
19 | | Program. Data relevant to eligibility shall be provided for no
|
20 | | other purpose than to verify the eligibility of new applicants |
21 | | or current recipients of health benefits under the Program. |
22 | | Data will be requested or provided for any new applicant or |
23 | | current recipient only insofar as that individual's |
24 | | circumstances are relevant to that individual's or another |
25 | | individual's eligibility. |
26 | | (c) Within 90 days of the effective date of this amendatory |
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1 | | Act of the 96th General Assembly, the Department of Healthcare |
2 | | and Family Services shall send notice to current recipients |
3 | | informing them of the changes regarding their eligibility |
4 | | verification.
|
5 | | (Source: P.A. 98-651, eff. 6-16-14 .)
|
6 | | Section 40. The Illinois Public Aid Code is amended by |
7 | | changing Sections 5-4.1, 5-5, 5-5f, 5-30.1, 5A-4, 11-5.1, |
8 | | 11-5.3, 11-5.4, and 12-4.42 and by adding Sections 5-5.10, |
9 | | 5-30.12, and 14-13 as follows:
|
10 | | (305 ILCS 5/5-4.1) (from Ch. 23, par. 5-4.1)
|
11 | | Sec. 5-4.1. Co-payments. The Department may by rule provide |
12 | | that recipients under any Article of this Code shall pay a |
13 | | federally approved fee as a co-payment for services. No provide |
14 | | that recipients
under any Article of this Code shall pay a fee |
15 | | as a co-payment for services.
Co-payments shall be maximized to |
16 | | the extent permitted by federal law, except that the Department |
17 | | shall impose a co-pay of $2 on generic drugs. Provided, |
18 | | however, that any such rule must provide that no
co-payment |
19 | | requirement can exist
for renal dialysis, radiation therapy, |
20 | | cancer chemotherapy, or insulin, and
other products necessary |
21 | | on a recurring basis, the absence of which would
be life |
22 | | threatening, or where co-payment expenditures for required |
23 | | services
and/or medications for chronic diseases that the |
24 | | Illinois Department shall
by rule designate shall cause an |
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1 | | extensive financial burden on the
recipient, and provided no |
2 | | co-payment shall exist for emergency room
encounters which are |
3 | | for medical emergencies. The Department shall seek approval of |
4 | | a State plan amendment that allows pharmacies to refuse to |
5 | | dispense drugs in circumstances where the recipient does not |
6 | | pay the required co-payment. Co-payments may not exceed $10 for |
7 | | emergency room use for a non-emergency situation as defined by |
8 | | the Department by rule and subject to federal approval.
|
9 | | (Source: P.A. 96-1501, eff. 1-25-11; 97-74, eff. 6-30-11; |
10 | | 97-689, eff. 6-14-12.)
|
11 | | (305 ILCS 5/5-5) (from Ch. 23, par. 5-5)
|
12 | | Sec. 5-5. Medical services. The Illinois Department, by |
13 | | rule, shall
determine the quantity and quality of and the rate |
14 | | of reimbursement for the
medical assistance for which
payment |
15 | | will be authorized, and the medical services to be provided,
|
16 | | which may include all or part of the following: (1) inpatient |
17 | | hospital
services; (2) outpatient hospital services; (3) other |
18 | | laboratory and
X-ray services; (4) skilled nursing home |
19 | | services; (5) physicians'
services whether furnished in the |
20 | | office, the patient's home, a
hospital, a skilled nursing home, |
21 | | or elsewhere; (6) medical care, or any
other type of remedial |
22 | | care furnished by licensed practitioners; (7)
home health care |
23 | | services; (8) private duty nursing service; (9) clinic
|
24 | | services; (10) dental services, including prevention and |
25 | | treatment of periodontal disease and dental caries disease for |
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1 | | pregnant women, provided by an individual licensed to practice |
2 | | dentistry or dental surgery; for purposes of this item (10), |
3 | | "dental services" means diagnostic, preventive, or corrective |
4 | | procedures provided by or under the supervision of a dentist in |
5 | | the practice of his or her profession; (11) physical therapy |
6 | | and related
services; (12) prescribed drugs, dentures, and |
7 | | prosthetic devices; and
eyeglasses prescribed by a physician |
8 | | skilled in the diseases of the eye,
or by an optometrist, |
9 | | whichever the person may select; (13) other
diagnostic, |
10 | | screening, preventive, and rehabilitative services, including |
11 | | to ensure that the individual's need for intervention or |
12 | | treatment of mental disorders or substance use disorders or |
13 | | co-occurring mental health and substance use disorders is |
14 | | determined using a uniform screening, assessment, and |
15 | | evaluation process inclusive of criteria, for children and |
16 | | adults; for purposes of this item (13), a uniform screening, |
17 | | assessment, and evaluation process refers to a process that |
18 | | includes an appropriate evaluation and, as warranted, a |
19 | | referral; "uniform" does not mean the use of a singular |
20 | | instrument, tool, or process that all must utilize; (14)
|
21 | | transportation and such other expenses as may be necessary; |
22 | | (15) medical
treatment of sexual assault survivors, as defined |
23 | | in
Section 1a of the Sexual Assault Survivors Emergency |
24 | | Treatment Act, for
injuries sustained as a result of the sexual |
25 | | assault, including
examinations and laboratory tests to |
26 | | discover evidence which may be used in
criminal proceedings |
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1 | | arising from the sexual assault; (16) the
diagnosis and |
2 | | treatment of sickle cell anemia; and (17)
any other medical |
3 | | care, and any other type of remedial care recognized
under the |
4 | | laws of this State. The term "any other type of remedial care" |
5 | | shall
include nursing care and nursing home service for persons |
6 | | who rely on
treatment by spiritual means alone through prayer |
7 | | for healing.
|
8 | | Notwithstanding any other provision of this Section, a |
9 | | comprehensive
tobacco use cessation program that includes |
10 | | purchasing prescription drugs or
prescription medical devices |
11 | | approved by the Food and Drug Administration shall
be covered |
12 | | under the medical assistance
program under this Article for |
13 | | persons who are otherwise eligible for
assistance under this |
14 | | Article.
|
15 | | Notwithstanding any other provision of this Code, |
16 | | reproductive health care that is otherwise legal in Illinois |
17 | | shall be covered under the medical assistance program for |
18 | | persons who are otherwise eligible for medical assistance under |
19 | | this Article. |
20 | | Notwithstanding any other provision of this Code, the |
21 | | Illinois
Department may not require, as a condition of payment |
22 | | for any laboratory
test authorized under this Article, that a |
23 | | physician's handwritten signature
appear on the laboratory |
24 | | test order form. The Illinois Department may,
however, impose |
25 | | other appropriate requirements regarding laboratory test
order |
26 | | documentation.
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1 | | Upon receipt of federal approval of an amendment to the |
2 | | Illinois Title XIX State Plan for this purpose, the Department |
3 | | shall authorize the Chicago Public Schools (CPS) to procure a |
4 | | vendor or vendors to manufacture eyeglasses for individuals |
5 | | enrolled in a school within the CPS system. CPS shall ensure |
6 | | that its vendor or vendors are enrolled as providers in the |
7 | | medical assistance program and in any capitated Medicaid |
8 | | managed care entity (MCE) serving individuals enrolled in a |
9 | | school within the CPS system. Under any contract procured under |
10 | | this provision, the vendor or vendors must serve only |
11 | | individuals enrolled in a school within the CPS system. Claims |
12 | | for services provided by CPS's vendor or vendors to recipients |
13 | | of benefits in the medical assistance program under this Code, |
14 | | the Children's Health Insurance Program, or the Covering ALL |
15 | | KIDS Health Insurance Program shall be submitted to the |
16 | | Department or the MCE in which the individual is enrolled for |
17 | | payment and shall be reimbursed at the Department's or the |
18 | | MCE's established rates or rate methodologies for eyeglasses. |
19 | | On and after July 1, 2012, the Department of Healthcare and |
20 | | Family Services may provide the following services to
persons
|
21 | | eligible for assistance under this Article who are |
22 | | participating in
education, training or employment programs |
23 | | operated by the Department of Human
Services as successor to |
24 | | the Department of Public Aid:
|
25 | | (1) dental services provided by or under the |
26 | | supervision of a dentist; and
|
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1 | | (2) eyeglasses prescribed by a physician skilled in the |
2 | | diseases of the
eye, or by an optometrist, whichever the |
3 | | person may select.
|
4 | | On and after July 1, 2018, the Department of Healthcare and |
5 | | Family Services shall provide dental services to any adult who |
6 | | is otherwise eligible for assistance under the medical |
7 | | assistance program. As used in this paragraph, "dental |
8 | | services" means diagnostic, preventative, restorative, or |
9 | | corrective procedures, including procedures and services for |
10 | | the prevention and treatment of periodontal disease and dental |
11 | | caries disease, provided by an individual who is licensed to |
12 | | practice dentistry or dental surgery or who is under the |
13 | | supervision of a dentist in the practice of his or her |
14 | | profession. |
15 | | On and after July 1, 2018, targeted dental services, as set |
16 | | forth in Exhibit D of the Consent Decree entered by the United |
17 | | States District Court for the Northern District of Illinois, |
18 | | Eastern Division, in the matter of Memisovski v. Maram, Case |
19 | | No. 92 C 1982, that are provided to adults under the medical |
20 | | assistance program shall be established at no less than the |
21 | | rates set forth in the "New Rate" column in Exhibit D of the |
22 | | Consent Decree for targeted dental services that are provided |
23 | | to persons under the age of 18 under the medical assistance |
24 | | program. |
25 | | Notwithstanding any other provision of this Code and |
26 | | subject to federal approval, the Department may adopt rules to |
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1 | | allow a dentist who is volunteering his or her service at no |
2 | | cost to render dental services through an enrolled |
3 | | not-for-profit health clinic without the dentist personally |
4 | | enrolling as a participating provider in the medical assistance |
5 | | program. A not-for-profit health clinic shall include a public |
6 | | health clinic or Federally Qualified Health Center or other |
7 | | enrolled provider, as determined by the Department, through |
8 | | which dental services covered under this Section are performed. |
9 | | The Department shall establish a process for payment of claims |
10 | | for reimbursement for covered dental services rendered under |
11 | | this provision. |
12 | | The Illinois Department, by rule, may distinguish and |
13 | | classify the
medical services to be provided only in accordance |
14 | | with the classes of
persons designated in Section 5-2.
|
15 | | The Department of Healthcare and Family Services must |
16 | | provide coverage and reimbursement for amino acid-based |
17 | | elemental formulas, regardless of delivery method, for the |
18 | | diagnosis and treatment of (i) eosinophilic disorders and (ii) |
19 | | short bowel syndrome when the prescribing physician has issued |
20 | | a written order stating that the amino acid-based elemental |
21 | | formula is medically necessary.
|
22 | | The Illinois Department shall authorize the provision of, |
23 | | and shall
authorize payment for, screening by low-dose |
24 | | mammography for the presence of
occult breast cancer for women |
25 | | 35 years of age or older who are eligible
for medical |
26 | | assistance under this Article, as follows: |
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1 | | (A) A baseline
mammogram for women 35 to 39 years of |
2 | | age.
|
3 | | (B) An annual mammogram for women 40 years of age or |
4 | | older. |
5 | | (C) A mammogram at the age and intervals considered |
6 | | medically necessary by the woman's health care provider for |
7 | | women under 40 years of age and having a family history of |
8 | | breast cancer, prior personal history of breast cancer, |
9 | | positive genetic testing, or other risk factors. |
10 | | (D) A comprehensive ultrasound screening and MRI of an |
11 | | entire breast or breasts if a mammogram demonstrates |
12 | | heterogeneous or dense breast tissue, when medically |
13 | | necessary as determined by a physician licensed to practice |
14 | | medicine in all of its branches. |
15 | | (E) A screening MRI when medically necessary, as |
16 | | determined by a physician licensed to practice medicine in |
17 | | all of its branches. |
18 | | All screenings
shall
include a physical breast exam, |
19 | | instruction on self-examination and
information regarding the |
20 | | frequency of self-examination and its value as a
preventative |
21 | | tool. For purposes of this Section, "low-dose mammography" |
22 | | means
the x-ray examination of the breast using equipment |
23 | | dedicated specifically
for mammography, including the x-ray |
24 | | tube, filter, compression device,
and image receptor, with an |
25 | | average radiation exposure delivery
of less than one rad per |
26 | | breast for 2 views of an average size breast.
The term also |
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1 | | includes digital mammography and includes breast |
2 | | tomosynthesis. As used in this Section, the term "breast |
3 | | tomosynthesis" means a radiologic procedure that involves the |
4 | | acquisition of projection images over the stationary breast to |
5 | | produce cross-sectional digital three-dimensional images of |
6 | | the breast. If, at any time, the Secretary of the United States |
7 | | Department of Health and Human Services, or its successor |
8 | | agency, promulgates rules or regulations to be published in the |
9 | | Federal Register or publishes a comment in the Federal Register |
10 | | or issues an opinion, guidance, or other action that would |
11 | | require the State, pursuant to any provision of the Patient |
12 | | Protection and Affordable Care Act (Public Law 111-148), |
13 | | including, but not limited to, 42 U.S.C. 18031(d)(3)(B) or any |
14 | | successor provision, to defray the cost of any coverage for |
15 | | breast tomosynthesis outlined in this paragraph, then the |
16 | | requirement that an insurer cover breast tomosynthesis is |
17 | | inoperative other than any such coverage authorized under |
18 | | Section 1902 of the Social Security Act, 42 U.S.C. 1396a, and |
19 | | the State shall not assume any obligation for the cost of |
20 | | coverage for breast tomosynthesis set forth in this paragraph.
|
21 | | On and after January 1, 2016, the Department shall ensure |
22 | | that all networks of care for adult clients of the Department |
23 | | include access to at least one breast imaging Center of Imaging |
24 | | Excellence as certified by the American College of Radiology. |
25 | | On and after January 1, 2012, providers participating in a |
26 | | quality improvement program approved by the Department shall be |
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1 | | reimbursed for screening and diagnostic mammography at the same |
2 | | rate as the Medicare program's rates, including the increased |
3 | | reimbursement for digital mammography. |
4 | | The Department shall convene an expert panel including |
5 | | representatives of hospitals, free-standing mammography |
6 | | facilities, and doctors, including radiologists, to establish |
7 | | quality standards for mammography. |
8 | | On and after January 1, 2017, providers participating in a |
9 | | breast cancer treatment quality improvement program approved |
10 | | by the Department shall be reimbursed for breast cancer |
11 | | treatment at a rate that is no lower than 95% of the Medicare |
12 | | program's rates for the data elements included in the breast |
13 | | cancer treatment quality program. |
14 | | The Department shall convene an expert panel, including |
15 | | representatives of hospitals, free-standing breast cancer |
16 | | treatment centers, breast cancer quality organizations, and |
17 | | doctors, including breast surgeons, reconstructive breast |
18 | | surgeons, oncologists, and primary care providers to establish |
19 | | quality standards for breast cancer treatment. |
20 | | Subject to federal approval, the Department shall |
21 | | establish a rate methodology for mammography at federally |
22 | | qualified health centers and other encounter-rate clinics. |
23 | | These clinics or centers may also collaborate with other |
24 | | hospital-based mammography facilities. By January 1, 2016, the |
25 | | Department shall report to the General Assembly on the status |
26 | | of the provision set forth in this paragraph. |
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1 | | The Department shall establish a methodology to remind |
2 | | women who are age-appropriate for screening mammography, but |
3 | | who have not received a mammogram within the previous 18 |
4 | | months, of the importance and benefit of screening mammography. |
5 | | The Department shall work with experts in breast cancer |
6 | | outreach and patient navigation to optimize these reminders and |
7 | | shall establish a methodology for evaluating their |
8 | | effectiveness and modifying the methodology based on the |
9 | | evaluation. |
10 | | The Department shall establish a performance goal for |
11 | | primary care providers with respect to their female patients |
12 | | over age 40 receiving an annual mammogram. This performance |
13 | | goal shall be used to provide additional reimbursement in the |
14 | | form of a quality performance bonus to primary care providers |
15 | | who meet that goal. |
16 | | The Department shall devise a means of case-managing or |
17 | | patient navigation for beneficiaries diagnosed with breast |
18 | | cancer. This program shall initially operate as a pilot program |
19 | | in areas of the State with the highest incidence of mortality |
20 | | related to breast cancer. At least one pilot program site shall |
21 | | be in the metropolitan Chicago area and at least one site shall |
22 | | be outside the metropolitan Chicago area. On or after July 1, |
23 | | 2016, the pilot program shall be expanded to include one site |
24 | | in western Illinois, one site in southern Illinois, one site in |
25 | | central Illinois, and 4 sites within metropolitan Chicago. An |
26 | | evaluation of the pilot program shall be carried out measuring |
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1 | | health outcomes and cost of care for those served by the pilot |
2 | | program compared to similarly situated patients who are not |
3 | | served by the pilot program. |
4 | | The Department shall require all networks of care to |
5 | | develop a means either internally or by contract with experts |
6 | | in navigation and community outreach to navigate cancer |
7 | | patients to comprehensive care in a timely fashion. The |
8 | | Department shall require all networks of care to include access |
9 | | for patients diagnosed with cancer to at least one academic |
10 | | commission on cancer-accredited cancer program as an |
11 | | in-network covered benefit. |
12 | | Any medical or health care provider shall immediately |
13 | | recommend, to
any pregnant woman who is being provided prenatal |
14 | | services and is suspected
of having a substance use disorder as |
15 | | defined in the Substance Use Disorder Act, referral to a local |
16 | | substance use disorder treatment program licensed by the |
17 | | Department of Human Services or to a licensed
hospital which |
18 | | provides substance abuse treatment services. The Department of |
19 | | Healthcare and Family Services
shall assure coverage for the |
20 | | cost of treatment of the drug abuse or
addiction for pregnant |
21 | | recipients in accordance with the Illinois Medicaid
Program in |
22 | | conjunction with the Department of Human Services.
|
23 | | All medical providers providing medical assistance to |
24 | | pregnant women
under this Code shall receive information from |
25 | | the Department on the
availability of services under any
|
26 | | program providing case management services for addicted women,
|
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1 | | including information on appropriate referrals for other |
2 | | social services
that may be needed by addicted women in |
3 | | addition to treatment for addiction.
|
4 | | The Illinois Department, in cooperation with the |
5 | | Departments of Human
Services (as successor to the Department |
6 | | of Alcoholism and Substance
Abuse) and Public Health, through a |
7 | | public awareness campaign, may
provide information concerning |
8 | | treatment for alcoholism and drug abuse and
addiction, prenatal |
9 | | health care, and other pertinent programs directed at
reducing |
10 | | the number of drug-affected infants born to recipients of |
11 | | medical
assistance.
|
12 | | Neither the Department of Healthcare and Family Services |
13 | | nor the Department of Human
Services shall sanction the |
14 | | recipient solely on the basis of
her substance abuse.
|
15 | | The Illinois Department shall establish such regulations |
16 | | governing
the dispensing of health services under this Article |
17 | | as it shall deem
appropriate. The Department
should
seek the |
18 | | advice of formal professional advisory committees appointed by
|
19 | | the Director of the Illinois Department for the purpose of |
20 | | providing regular
advice on policy and administrative matters, |
21 | | information dissemination and
educational activities for |
22 | | medical and health care providers, and
consistency in |
23 | | procedures to the Illinois Department.
|
24 | | The Illinois Department may develop and contract with |
25 | | Partnerships of
medical providers to arrange medical services |
26 | | for persons eligible under
Section 5-2 of this Code. |
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1 | | Implementation of this Section may be by
demonstration projects |
2 | | in certain geographic areas. The Partnership shall
be |
3 | | represented by a sponsor organization. The Department, by rule, |
4 | | shall
develop qualifications for sponsors of Partnerships. |
5 | | Nothing in this
Section shall be construed to require that the |
6 | | sponsor organization be a
medical organization.
|
7 | | The sponsor must negotiate formal written contracts with |
8 | | medical
providers for physician services, inpatient and |
9 | | outpatient hospital care,
home health services, treatment for |
10 | | alcoholism and substance abuse, and
other services determined |
11 | | necessary by the Illinois Department by rule for
delivery by |
12 | | Partnerships. Physician services must include prenatal and
|
13 | | obstetrical care. The Illinois Department shall reimburse |
14 | | medical services
delivered by Partnership providers to clients |
15 | | in target areas according to
provisions of this Article and the |
16 | | Illinois Health Finance Reform Act,
except that:
|
17 | | (1) Physicians participating in a Partnership and |
18 | | providing certain
services, which shall be determined by |
19 | | the Illinois Department, to persons
in areas covered by the |
20 | | Partnership may receive an additional surcharge
for such |
21 | | services.
|
22 | | (2) The Department may elect to consider and negotiate |
23 | | financial
incentives to encourage the development of |
24 | | Partnerships and the efficient
delivery of medical care.
|
25 | | (3) Persons receiving medical services through |
26 | | Partnerships may receive
medical and case management |
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1 | | services above the level usually offered
through the |
2 | | medical assistance program.
|
3 | | Medical providers shall be required to meet certain |
4 | | qualifications to
participate in Partnerships to ensure the |
5 | | delivery of high quality medical
services. These |
6 | | qualifications shall be determined by rule of the Illinois
|
7 | | Department and may be higher than qualifications for |
8 | | participation in the
medical assistance program. Partnership |
9 | | sponsors may prescribe reasonable
additional qualifications |
10 | | for participation by medical providers, only with
the prior |
11 | | written approval of the Illinois Department.
|
12 | | Nothing in this Section shall limit the free choice of |
13 | | practitioners,
hospitals, and other providers of medical |
14 | | services by clients.
In order to ensure patient freedom of |
15 | | choice, the Illinois Department shall
immediately promulgate |
16 | | all rules and take all other necessary actions so that
provided |
17 | | services may be accessed from therapeutically certified |
18 | | optometrists
to the full extent of the Illinois Optometric |
19 | | Practice Act of 1987 without
discriminating between service |
20 | | providers.
|
21 | | The Department shall apply for a waiver from the United |
22 | | States Health
Care Financing Administration to allow for the |
23 | | implementation of
Partnerships under this Section.
|
24 | | The Illinois Department shall require health care |
25 | | providers to maintain
records that document the medical care |
26 | | and services provided to recipients
of Medical Assistance under |
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1 | | this Article. Such records must be retained for a period of not |
2 | | less than 6 years from the date of service or as provided by |
3 | | applicable State law, whichever period is longer, except that |
4 | | if an audit is initiated within the required retention period |
5 | | then the records must be retained until the audit is completed |
6 | | and every exception is resolved. The Illinois Department shall
|
7 | | require health care providers to make available, when |
8 | | authorized by the
patient, in writing, the medical records in a |
9 | | timely fashion to other
health care providers who are treating |
10 | | or serving persons eligible for
Medical Assistance under this |
11 | | Article. All dispensers of medical services
shall be required |
12 | | to maintain and retain business and professional records
|
13 | | sufficient to fully and accurately document the nature, scope, |
14 | | details and
receipt of the health care provided to persons |
15 | | eligible for medical
assistance under this Code, in accordance |
16 | | with regulations promulgated by
the Illinois Department. The |
17 | | rules and regulations shall require that proof
of the receipt |
18 | | of prescription drugs, dentures, prosthetic devices and
|
19 | | eyeglasses by eligible persons under this Section accompany |
20 | | each claim
for reimbursement submitted by the dispenser of such |
21 | | medical services.
No such claims for reimbursement shall be |
22 | | approved for payment by the Illinois
Department without such |
23 | | proof of receipt, unless the Illinois Department
shall have put |
24 | | into effect and shall be operating a system of post-payment
|
25 | | audit and review which shall, on a sampling basis, be deemed |
26 | | adequate by
the Illinois Department to assure that such drugs, |
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1 | | dentures, prosthetic
devices and eyeglasses for which payment |
2 | | is being made are actually being
received by eligible |
3 | | recipients. Within 90 days after September 16, 1984 (the |
4 | | effective date of Public Act 83-1439), the Illinois Department |
5 | | shall establish a
current list of acquisition costs for all |
6 | | prosthetic devices and any
other items recognized as medical |
7 | | equipment and supplies reimbursable under
this Article and |
8 | | shall update such list on a quarterly basis, except that
the |
9 | | acquisition costs of all prescription drugs shall be updated no
|
10 | | less frequently than every 30 days as required by Section |
11 | | 5-5.12.
|
12 | | Notwithstanding any other law to the contrary, the Illinois |
13 | | Department shall, within 365 days after July 22, 2013 (the |
14 | | effective date of Public Act 98-104), establish procedures to |
15 | | permit skilled care facilities licensed under the Nursing Home |
16 | | Care Act to submit monthly billing claims for reimbursement |
17 | | purposes. Following development of these procedures, the |
18 | | Department shall, by July 1, 2016, test the viability of the |
19 | | new system and implement any necessary operational or |
20 | | structural changes to its information technology platforms in |
21 | | order to allow for the direct acceptance and payment of nursing |
22 | | home claims. |
23 | | Notwithstanding any other law to the contrary, the Illinois |
24 | | Department shall, within 365 days after August 15, 2014 (the |
25 | | effective date of Public Act 98-963), establish procedures to |
26 | | permit ID/DD facilities licensed under the ID/DD Community Care |
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1 | | Act and MC/DD facilities licensed under the MC/DD Act to submit |
2 | | monthly billing claims for reimbursement purposes. Following |
3 | | development of these procedures, the Department shall have an |
4 | | additional 365 days to test the viability of the new system and |
5 | | to ensure that any necessary operational or structural changes |
6 | | to its information technology platforms are implemented. |
7 | | The Illinois Department shall require all dispensers of |
8 | | medical
services, other than an individual practitioner or |
9 | | group of practitioners,
desiring to participate in the Medical |
10 | | Assistance program
established under this Article to disclose |
11 | | all financial, beneficial,
ownership, equity, surety or other |
12 | | interests in any and all firms,
corporations, partnerships, |
13 | | associations, business enterprises, joint
ventures, agencies, |
14 | | institutions or other legal entities providing any
form of |
15 | | health care services in this State under this Article.
|
16 | | The Illinois Department may require that all dispensers of |
17 | | medical
services desiring to participate in the medical |
18 | | assistance program
established under this Article disclose, |
19 | | under such terms and conditions as
the Illinois Department may |
20 | | by rule establish, all inquiries from clients
and attorneys |
21 | | regarding medical bills paid by the Illinois Department, which
|
22 | | inquiries could indicate potential existence of claims or liens |
23 | | for the
Illinois Department.
|
24 | | Enrollment of a vendor
shall be
subject to a provisional |
25 | | period and shall be conditional for one year. During the period |
26 | | of conditional enrollment, the Department may
terminate the |
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1 | | vendor's eligibility to participate in, or may disenroll the |
2 | | vendor from, the medical assistance
program without cause. |
3 | | Unless otherwise specified, such termination of eligibility or |
4 | | disenrollment is not subject to the
Department's hearing |
5 | | process.
However, a disenrolled vendor may reapply without |
6 | | penalty.
|
7 | | The Department has the discretion to limit the conditional |
8 | | enrollment period for vendors based upon category of risk of |
9 | | the vendor. |
10 | | Prior to enrollment and during the conditional enrollment |
11 | | period in the medical assistance program, all vendors shall be |
12 | | subject to enhanced oversight, screening, and review based on |
13 | | the risk of fraud, waste, and abuse that is posed by the |
14 | | category of risk of the vendor. The Illinois Department shall |
15 | | establish the procedures for oversight, screening, and review, |
16 | | which may include, but need not be limited to: criminal and |
17 | | financial background checks; fingerprinting; license, |
18 | | certification, and authorization verifications; unscheduled or |
19 | | unannounced site visits; database checks; prepayment audit |
20 | | reviews; audits; payment caps; payment suspensions; and other |
21 | | screening as required by federal or State law. |
22 | | The Department shall define or specify the following: (i) |
23 | | by provider notice, the "category of risk of the vendor" for |
24 | | each type of vendor, which shall take into account the level of |
25 | | screening applicable to a particular category of vendor under |
26 | | federal law and regulations; (ii) by rule or provider notice, |
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1 | | the maximum length of the conditional enrollment period for |
2 | | each category of risk of the vendor; and (iii) by rule, the |
3 | | hearing rights, if any, afforded to a vendor in each category |
4 | | of risk of the vendor that is terminated or disenrolled during |
5 | | the conditional enrollment period. |
6 | | To be eligible for payment consideration, a vendor's |
7 | | payment claim or bill, either as an initial claim or as a |
8 | | resubmitted claim following prior rejection, must be received |
9 | | by the Illinois Department, or its fiscal intermediary, no |
10 | | later than 180 days after the latest date on the claim on which |
11 | | medical goods or services were provided, with the following |
12 | | exceptions: |
13 | | (1) In the case of a provider whose enrollment is in |
14 | | process by the Illinois Department, the 180-day period |
15 | | shall not begin until the date on the written notice from |
16 | | the Illinois Department that the provider enrollment is |
17 | | complete. |
18 | | (2) In the case of errors attributable to the Illinois |
19 | | Department or any of its claims processing intermediaries |
20 | | which result in an inability to receive, process, or |
21 | | adjudicate a claim, the 180-day period shall not begin |
22 | | until the provider has been notified of the error. |
23 | | (3) In the case of a provider for whom the Illinois |
24 | | Department initiates the monthly billing process. |
25 | | (4) In the case of a provider operated by a unit of |
26 | | local government with a population exceeding 3,000,000 |
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1 | | when local government funds finance federal participation |
2 | | for claims payments. |
3 | | For claims for services rendered during a period for which |
4 | | a recipient received retroactive eligibility, claims must be |
5 | | filed within 180 days after the Department determines the |
6 | | applicant is eligible. For claims for which the Illinois |
7 | | Department is not the primary payer, claims must be submitted |
8 | | to the Illinois Department within 180 days after the final |
9 | | adjudication by the primary payer. |
10 | | In the case of long term care facilities, within 45 |
11 | | calendar days of receipt by the facility of required |
12 | | prescreening information, new admissions with associated |
13 | | admission documents shall be submitted through the Medical |
14 | | Electronic Data Interchange (MEDI) or the Recipient |
15 | | Eligibility Verification (REV) System or shall be submitted |
16 | | directly to the Department of Human Services using required |
17 | | admission forms. Effective September
1, 2014, admission |
18 | | documents, including all prescreening
information, must be |
19 | | submitted through MEDI or REV. Confirmation numbers assigned to |
20 | | an accepted transaction shall be retained by a facility to |
21 | | verify timely submittal. Once an admission transaction has been |
22 | | completed, all resubmitted claims following prior rejection |
23 | | are subject to receipt no later than 180 days after the |
24 | | admission transaction has been completed. |
25 | | Claims that are not submitted and received in compliance |
26 | | with the foregoing requirements shall not be eligible for |
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1 | | payment under the medical assistance program, and the State |
2 | | shall have no liability for payment of those claims. |
3 | | To the extent consistent with applicable information and |
4 | | privacy, security, and disclosure laws, State and federal |
5 | | agencies and departments shall provide the Illinois Department |
6 | | access to confidential and other information and data necessary |
7 | | to perform eligibility and payment verifications and other |
8 | | Illinois Department functions. This includes, but is not |
9 | | limited to: information pertaining to licensure; |
10 | | certification; earnings; immigration status; citizenship; wage |
11 | | reporting; unearned and earned income; pension income; |
12 | | employment; supplemental security income; social security |
13 | | numbers; National Provider Identifier (NPI) numbers; the |
14 | | National Practitioner Data Bank (NPDB); program and agency |
15 | | exclusions; taxpayer identification numbers; tax delinquency; |
16 | | corporate information; and death records. |
17 | | The Illinois Department shall enter into agreements with |
18 | | State agencies and departments, and is authorized to enter into |
19 | | agreements with federal agencies and departments, under which |
20 | | such agencies and departments shall share data necessary for |
21 | | medical assistance program integrity functions and oversight. |
22 | | The Illinois Department shall develop, in cooperation with |
23 | | other State departments and agencies, and in compliance with |
24 | | applicable federal laws and regulations, appropriate and |
25 | | effective methods to share such data. At a minimum, and to the |
26 | | extent necessary to provide data sharing, the Illinois |
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1 | | Department shall enter into agreements with State agencies and |
2 | | departments, and is authorized to enter into agreements with |
3 | | federal agencies and departments, including but not limited to: |
4 | | the Secretary of State; the Department of Revenue; the |
5 | | Department of Public Health; the Department of Human Services; |
6 | | and the Department of Financial and Professional Regulation. |
7 | | Beginning in fiscal year 2013, the Illinois Department |
8 | | shall set forth a request for information to identify the |
9 | | benefits of a pre-payment, post-adjudication, and post-edit |
10 | | claims system with the goals of streamlining claims processing |
11 | | and provider reimbursement, reducing the number of pending or |
12 | | rejected claims, and helping to ensure a more transparent |
13 | | adjudication process through the utilization of: (i) provider |
14 | | data verification and provider screening technology; and (ii) |
15 | | clinical code editing; and (iii) pre-pay, pre- or |
16 | | post-adjudicated predictive modeling with an integrated case |
17 | | management system with link analysis. Such a request for |
18 | | information shall not be considered as a request for proposal |
19 | | or as an obligation on the part of the Illinois Department to |
20 | | take any action or acquire any products or services. |
21 | | The Illinois Department shall establish policies, |
22 | | procedures,
standards and criteria by rule for the acquisition, |
23 | | repair and replacement
of orthotic and prosthetic devices and |
24 | | durable medical equipment. Such
rules shall provide, but not be |
25 | | limited to, the following services: (1)
immediate repair or |
26 | | replacement of such devices by recipients; and (2) rental, |
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1 | | lease, purchase or lease-purchase of
durable medical equipment |
2 | | in a cost-effective manner, taking into
consideration the |
3 | | recipient's medical prognosis, the extent of the
recipient's |
4 | | needs, and the requirements and costs for maintaining such
|
5 | | equipment. Subject to prior approval, such rules shall enable a |
6 | | recipient to temporarily acquire and
use alternative or |
7 | | substitute devices or equipment pending repairs or
|
8 | | replacements of any device or equipment previously authorized |
9 | | for such
recipient by the Department. Notwithstanding any |
10 | | provision of Section 5-5f to the contrary, the Department may, |
11 | | by rule, exempt certain replacement wheelchair parts from prior |
12 | | approval and, for wheelchairs, wheelchair parts, wheelchair |
13 | | accessories, and related seating and positioning items, |
14 | | determine the wholesale price by methods other than actual |
15 | | acquisition costs. |
16 | | The Department shall require, by rule, all providers of |
17 | | durable medical equipment to be accredited by an accreditation |
18 | | organization approved by the federal Centers for Medicare and |
19 | | Medicaid Services and recognized by the Department in order to |
20 | | bill the Department for providing durable medical equipment to |
21 | | recipients. No later than 15 months after the effective date of |
22 | | the rule adopted pursuant to this paragraph, all providers must |
23 | | meet the accreditation requirement.
|
24 | | In order to promote environmental responsibility, meet the |
25 | | needs of recipients and enrollees, and achieve significant cost |
26 | | savings, the Department, or a managed care organization under |
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1 | | contract with the Department, may provide recipients or managed |
2 | | care enrollees who have a prescription or Certificate of |
3 | | Medical Necessity access to refurbished durable medical |
4 | | equipment under this Section (excluding prosthetic and |
5 | | orthotic devices as defined in the Orthotics, Prosthetics, and |
6 | | Pedorthics Practice Act and complex rehabilitation technology |
7 | | products and associated services) through the State's |
8 | | assistive technology program's reutilization program, using |
9 | | staff with the Assistive Technology Professional (ATP) |
10 | | Certification if the refurbished durable medical equipment: |
11 | | (i) is available; (ii) is less expensive, including shipping |
12 | | costs, than new durable medical equipment of the same type; |
13 | | (iii) is able to withstand at least 3 years of use; (iv) is |
14 | | cleaned, disinfected, sterilized, and safe in accordance with |
15 | | federal Food and Drug Administration regulations and guidance |
16 | | governing the reprocessing of medical devices in health care |
17 | | settings; and (v) equally meets the needs of the recipient or |
18 | | enrollee. The reutilization program shall confirm that the |
19 | | recipient or enrollee is not already in receipt of same or |
20 | | similar equipment from another service provider, and that the |
21 | | refurbished durable medical equipment equally meets the needs |
22 | | of the recipient or enrollee. Nothing in this paragraph shall |
23 | | be construed to limit recipient or enrollee choice to obtain |
24 | | new durable medical equipment or place any additional prior |
25 | | authorization conditions on enrollees of managed care |
26 | | organizations. |
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1 | | The Department shall execute, relative to the nursing home |
2 | | prescreening
project, written inter-agency agreements with the |
3 | | Department of Human
Services and the Department on Aging, to |
4 | | effect the following: (i) intake
procedures and common |
5 | | eligibility criteria for those persons who are receiving
|
6 | | non-institutional services; and (ii) the establishment and |
7 | | development of
non-institutional services in areas of the State |
8 | | where they are not currently
available or are undeveloped; and |
9 | | (iii) notwithstanding any other provision of law, subject to |
10 | | federal approval, on and after July 1, 2012, an increase in the |
11 | | determination of need (DON) scores from 29 to 37 for applicants |
12 | | for institutional and home and community-based long term care; |
13 | | if and only if federal approval is not granted, the Department |
14 | | may, in conjunction with other affected agencies, implement |
15 | | utilization controls or changes in benefit packages to |
16 | | effectuate a similar savings amount for this population; and |
17 | | (iv) no later than July 1, 2013, minimum level of care |
18 | | eligibility criteria for institutional and home and |
19 | | community-based long term care; and (v) no later than October |
20 | | 1, 2013, establish procedures to permit long term care |
21 | | providers access to eligibility scores for individuals with an |
22 | | admission date who are seeking or receiving services from the |
23 | | long term care provider. In order to select the minimum level |
24 | | of care eligibility criteria, the Governor shall establish a |
25 | | workgroup that includes affected agency representatives and |
26 | | stakeholders representing the institutional and home and |
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1 | | community-based long term care interests. This Section shall |
2 | | not restrict the Department from implementing lower level of |
3 | | care eligibility criteria for community-based services in |
4 | | circumstances where federal approval has been granted.
|
5 | | The Illinois Department shall develop and operate, in |
6 | | cooperation
with other State Departments and agencies and in |
7 | | compliance with
applicable federal laws and regulations, |
8 | | appropriate and effective
systems of health care evaluation and |
9 | | programs for monitoring of
utilization of health care services |
10 | | and facilities, as it affects
persons eligible for medical |
11 | | assistance under this Code.
|
12 | | The Illinois Department shall report annually to the |
13 | | General Assembly,
no later than the second Friday in April of |
14 | | 1979 and each year
thereafter, in regard to:
|
15 | | (a) actual statistics and trends in utilization of |
16 | | medical services by
public aid recipients;
|
17 | | (b) actual statistics and trends in the provision of |
18 | | the various medical
services by medical vendors;
|
19 | | (c) current rate structures and proposed changes in |
20 | | those rate structures
for the various medical vendors; and
|
21 | | (d) efforts at utilization review and control by the |
22 | | Illinois Department.
|
23 | | The period covered by each report shall be the 3 years |
24 | | ending on the June
30 prior to the report. The report shall |
25 | | include suggested legislation
for consideration by the General |
26 | | Assembly. The requirement for reporting to the General Assembly |
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1 | | shall be satisfied
by filing copies of the report as required |
2 | | by Section 3.1 of the General Assembly Organization Act, and |
3 | | filing such additional
copies
with the State Government Report |
4 | | Distribution Center for the General
Assembly as is required |
5 | | under paragraph (t) of Section 7 of the State
Library Act.
|
6 | | Rulemaking authority to implement Public Act 95-1045, if |
7 | | any, is conditioned on the rules being adopted in accordance |
8 | | with all provisions of the Illinois Administrative Procedure |
9 | | Act and all rules and procedures of the Joint Committee on |
10 | | Administrative Rules; any purported rule not so adopted, for |
11 | | whatever reason, is unauthorized. |
12 | | On and after July 1, 2012, the Department shall reduce any |
13 | | rate of reimbursement for services or other payments or alter |
14 | | any methodologies authorized by this Code to reduce any rate of |
15 | | reimbursement for services or other payments in accordance with |
16 | | Section 5-5e. |
17 | | Because kidney transplantation can be an appropriate, |
18 | | cost-effective
alternative to renal dialysis when medically |
19 | | necessary and notwithstanding the provisions of Section 1-11 of |
20 | | this Code, beginning October 1, 2014, the Department shall |
21 | | cover kidney transplantation for noncitizens with end-stage |
22 | | renal disease who are not eligible for comprehensive medical |
23 | | benefits, who meet the residency requirements of Section 5-3 of |
24 | | this Code, and who would otherwise meet the financial |
25 | | requirements of the appropriate class of eligible persons under |
26 | | Section 5-2 of this Code. To qualify for coverage of kidney |
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1 | | transplantation, such person must be receiving emergency renal |
2 | | dialysis services covered by the Department. Providers under |
3 | | this Section shall be prior approved and certified by the |
4 | | Department to perform kidney transplantation and the services |
5 | | under this Section shall be limited to services associated with |
6 | | kidney transplantation. |
7 | | Notwithstanding any other provision of this Code to the |
8 | | contrary, on or after July 1, 2015, all FDA approved forms of |
9 | | medication assisted treatment prescribed for the treatment of |
10 | | alcohol dependence or treatment of opioid dependence shall be |
11 | | covered under both fee for service and managed care medical |
12 | | assistance programs for persons who are otherwise eligible for |
13 | | medical assistance under this Article and shall not be subject |
14 | | to any (1) utilization control, other than those established |
15 | | under the American Society of Addiction Medicine patient |
16 | | placement criteria,
(2) prior authorization mandate, or (3) |
17 | | lifetime restriction limit
mandate. |
18 | | On or after July 1, 2015, opioid antagonists prescribed for |
19 | | the treatment of an opioid overdose, including the medication |
20 | | product, administration devices, and any pharmacy fees related |
21 | | to the dispensing and administration of the opioid antagonist, |
22 | | shall be covered under the medical assistance program for |
23 | | persons who are otherwise eligible for medical assistance under |
24 | | this Article. As used in this Section, "opioid antagonist" |
25 | | means a drug that binds to opioid receptors and blocks or |
26 | | inhibits the effect of opioids acting on those receptors, |
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1 | | including, but not limited to, naloxone hydrochloride or any |
2 | | other similarly acting drug approved by the U.S. Food and Drug |
3 | | Administration. |
4 | | Upon federal approval, the Department shall provide |
5 | | coverage and reimbursement for all drugs that are approved for |
6 | | marketing by the federal Food and Drug Administration and that |
7 | | are recommended by the federal Public Health Service or the |
8 | | United States Centers for Disease Control and Prevention for |
9 | | pre-exposure prophylaxis and related pre-exposure prophylaxis |
10 | | services, including, but not limited to, HIV and sexually |
11 | | transmitted infection screening, treatment for sexually |
12 | | transmitted infections, medical monitoring, assorted labs, and |
13 | | counseling to reduce the likelihood of HIV infection among |
14 | | individuals who are not infected with HIV but who are at high |
15 | | risk of HIV infection. |
16 | | A federally qualified health center, as defined in Section |
17 | | 1905(l)(2)(B) of the federal
Social Security Act, shall be |
18 | | reimbursed by the Department in accordance with the federally |
19 | | qualified health center's encounter rate for services provided |
20 | | to medical assistance recipients that are performed by a dental |
21 | | hygienist, as defined under the Illinois Dental Practice Act, |
22 | | working under the general supervision of a dentist and employed |
23 | | by a federally qualified health center. |
24 | | Notwithstanding any other provision of this Code, the |
25 | | Illinois Department shall authorize licensed dietitian |
26 | | nutritionists and certified diabetes educators to counsel |
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1 | | senior diabetes patients in the senior diabetes patients' homes |
2 | | to remove the hurdle of transportation for senior diabetes |
3 | | patients to receive treatment. |
4 | | (Source: P.A. 99-78, eff. 7-20-15; 99-180, eff. 7-29-15; |
5 | | 99-236, eff. 8-3-15; 99-407 (see Section 20 of P.A. 99-588 for |
6 | | the effective date of P.A. 99-407); 99-433, eff. 8-21-15; |
7 | | 99-480, eff. 9-9-15; 99-588, eff. 7-20-16; 99-642, eff. |
8 | | 7-28-16; 99-772, eff. 1-1-17; 99-895, eff. 1-1-17; 100-201, |
9 | | eff. 8-18-17; 100-395, eff. 1-1-18; 100-449, eff. 1-1-18; |
10 | | 100-538, eff. 1-1-18; 100-587, eff. 6-4-18; 100-759, eff. |
11 | | 1-1-19; 100-863, eff. 8-14-18; 100-974, eff. 8-19-18; |
12 | | 100-1009, eff. 1-1-19; 100-1018, eff. 1-1-19; 100-1148, eff. |
13 | | 12-10-18.) |
14 | | (305 ILCS 5/5-5.10 new) |
15 | | Sec. 5-5.10. Value-based purchasing. |
16 | | (a) The Department of Healthcare and Family Services, and, |
17 | | as appropriate, divisions within the Department of Human |
18 | | Services, shall confer with stakeholders to discuss |
19 | | development of alternative value-based payment models that |
20 | | move away from fee-for-service and reward health outcomes and |
21 | | improved quality and provide flexibility in how providers meet |
22 | | the needs of the individuals they serve. Stakeholders include |
23 | | providers, managed care organizations, and community-based and |
24 | | advocacy organizations. The approaches explored may be |
25 | | different for different types of services. |
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1 | | (b) The Department of Healthcare and Family Services and |
2 | | the Department of Human Services shall initiate discussions |
3 | | with mental health providers, substance abuse providers, |
4 | | managed care organizations, advocacy groups for individuals |
5 | | with behavioral health issues, and others, as appropriate, no |
6 | | later than July 1, 2019. A model for value-based purchasing for |
7 | | behavioral health providers shall be presented to the General |
8 | | Assembly by January 31, 2020. In developing this model, the |
9 | | Department of Healthcare and Family Services shall develop |
10 | | projections of the funding necessary for the model.
|
11 | | (305 ILCS 5/5-5f)
|
12 | | Sec. 5-5f. Elimination and limitations of medical |
13 | | assistance services. Notwithstanding any other provision of |
14 | | this Code to the contrary, on and after July 1, 2012: |
15 | | (a) The following services shall no longer be a covered |
16 | | service available under this Code: group psychotherapy for |
17 | | residents of any facility licensed under the Nursing Home |
18 | | Care Act or the Specialized Mental Health Rehabilitation |
19 | | Act of 2013; and adult chiropractic services. |
20 | | (b) The Department shall place the following |
21 | | limitations on services: (i) the Department shall limit |
22 | | adult eyeglasses to one pair every 2 years; however, the |
23 | | limitation does not apply to an individual who needs |
24 | | different eyeglasses following a surgical procedure such |
25 | | as cataract surgery; (ii) the Department shall set an |
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1 | | annual limit of a maximum of 20 visits for each of the |
2 | | following services: adult speech, hearing, and language |
3 | | therapy services, adult occupational therapy services, and |
4 | | physical therapy services; on or after October 1, 2014, the |
5 | | annual maximum limit of 20 visits shall expire but the |
6 | | Department may shall require prior approval for all |
7 | | individuals for speech, hearing, and language therapy |
8 | | services, occupational therapy services, and physical |
9 | | therapy services; (iii) the Department shall limit adult |
10 | | podiatry services to individuals with diabetes; on or after |
11 | | October 1, 2014, podiatry services shall not be limited to |
12 | | individuals with diabetes; (iv) the Department shall pay |
13 | | for caesarean sections at the normal vaginal delivery rate |
14 | | unless a caesarean section was medically necessary; (v) the |
15 | | Department shall limit adult dental services to |
16 | | emergencies; beginning July 1, 2013, the Department shall |
17 | | ensure that the following conditions are recognized as |
18 | | emergencies: (A) dental services necessary for an |
19 | | individual in order for the individual to be cleared for a |
20 | | medical procedure, such as a transplant;
(B) extractions |
21 | | and dentures necessary for a diabetic to receive proper |
22 | | nutrition;
(C) extractions and dentures necessary as a |
23 | | result of cancer treatment; and (D) dental services |
24 | | necessary for the health of a pregnant woman prior to |
25 | | delivery of her baby; on or after July 1, 2014, adult |
26 | | dental services shall no longer be limited to emergencies, |
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1 | | and dental services necessary for the health of a pregnant |
2 | | woman prior to delivery of her baby shall continue to be |
3 | | covered; and (vi) effective July 1, 2012, the Department |
4 | | shall place limitations and require concurrent review on |
5 | | every inpatient detoxification stay to prevent repeat |
6 | | admissions to any hospital for detoxification within 60 |
7 | | days of a previous inpatient detoxification stay. The |
8 | | Department shall convene a workgroup of hospitals, |
9 | | substance abuse providers, care coordination entities, |
10 | | managed care plans, and other stakeholders to develop |
11 | | recommendations for quality standards, diversion to other |
12 | | settings, and admission criteria for patients who need |
13 | | inpatient detoxification, which shall be published on the |
14 | | Department's website no later than September 1, 2013. |
15 | | (c) The Department shall require prior approval of the |
16 | | following services: wheelchair repairs costing more than |
17 | | $400, coronary artery bypass graft, and bariatric surgery |
18 | | consistent with Medicare standards concerning patient |
19 | | responsibility. Wheelchair repair prior approval requests |
20 | | shall be adjudicated within one business day of receipt of |
21 | | complete supporting documentation. Providers may not break |
22 | | wheelchair repairs into separate claims for purposes of |
23 | | staying under the $400 threshold for requiring prior |
24 | | approval. The wholesale price of manual and power |
25 | | wheelchairs, durable medical equipment and supplies, and |
26 | | complex rehabilitation technology products and services |
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1 | | shall be defined as actual acquisition cost including all |
2 | | discounts. |
3 | | (d) The Department shall establish benchmarks for |
4 | | hospitals to measure and align payments to reduce |
5 | | potentially preventable hospital readmissions, inpatient |
6 | | complications, and unnecessary emergency room visits. In |
7 | | doing so, the Department shall consider items, including, |
8 | | but not limited to, historic and current acuity of care and |
9 | | historic and current trends in readmission. The Department |
10 | | shall publish provider-specific historical readmission |
11 | | data and anticipated potentially preventable targets 60 |
12 | | days prior to the start of the program. In the instance of |
13 | | readmissions, the Department shall adopt policies and |
14 | | rates of reimbursement for services and other payments |
15 | | provided under this Code to ensure that, by June 30, 2013, |
16 | | expenditures to hospitals are reduced by, at a minimum, |
17 | | $40,000,000. |
18 | | (e) The Department shall establish utilization |
19 | | controls for the hospice program such that it shall not pay |
20 | | for other care services when an individual is in hospice. |
21 | | (f) For home health services, the Department shall |
22 | | require Medicare certification of providers participating |
23 | | in the program and implement the Medicare face-to-face |
24 | | encounter rule. The Department shall require providers to |
25 | | implement auditable electronic service verification based |
26 | | on global positioning systems or other cost-effective |
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1 | | technology. |
2 | | (g) For the Home Services Program operated by the |
3 | | Department of Human Services and the Community Care Program |
4 | | operated by the Department on Aging, the Department of |
5 | | Human Services, in cooperation with the Department on |
6 | | Aging, shall implement an electronic service verification |
7 | | based on global positioning systems or other |
8 | | cost-effective technology. |
9 | | (h) Effective with inpatient hospital admissions on or |
10 | | after July 1, 2012, the Department shall reduce the payment |
11 | | for a claim that indicates the occurrence of a |
12 | | provider-preventable condition during the admission as |
13 | | specified by the Department in rules. The Department shall |
14 | | not pay for services related to an other |
15 | | provider-preventable condition. |
16 | | As used in this subsection (h): |
17 | | "Provider-preventable condition" means a health care |
18 | | acquired condition as defined under the federal Medicaid |
19 | | regulation found at 42 CFR 447.26 or an other |
20 | | provider-preventable condition. |
21 | | "Other provider-preventable condition" means a wrong |
22 | | surgical or other invasive procedure performed on a |
23 | | patient, a surgical or other invasive procedure performed |
24 | | on the wrong body part, or a surgical procedure or other |
25 | | invasive procedure performed on the wrong patient. |
26 | | (i) The Department shall implement cost savings |
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1 | | initiatives for advanced imaging services, cardiac imaging |
2 | | services, pain management services, and back surgery. Such |
3 | | initiatives shall be designed to achieve annual costs |
4 | | savings.
|
5 | | (j) The Department shall ensure that beneficiaries |
6 | | with a diagnosis of epilepsy or seizure disorder in |
7 | | Department records will not require prior approval for |
8 | | anticonvulsants. |
9 | | (Source: P.A. 100-135, eff. 8-18-17.) |
10 | | (305 ILCS 5/5-30.1) |
11 | | Sec. 5-30.1. Managed care protections. |
12 | | (a) As used in this Section: |
13 | | "Managed care organization" or "MCO" means any entity which |
14 | | contracts with the Department to provide services where payment |
15 | | for medical services is made on a capitated basis. |
16 | | "Emergency services" include: |
17 | | (1) emergency services, as defined by Section 10 of the |
18 | | Managed Care Reform and Patient Rights Act; |
19 | | (2) emergency medical screening examinations, as |
20 | | defined by Section 10 of the Managed Care Reform and |
21 | | Patient Rights Act; |
22 | | (3) post-stabilization medical services, as defined by |
23 | | Section 10 of the Managed Care Reform and Patient Rights |
24 | | Act; and |
25 | | (4) emergency medical conditions, as defined by
|
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1 | | Section 10 of the Managed Care Reform and Patient Rights
|
2 | | Act. |
3 | | (b) As provided by Section 5-16.12, managed care |
4 | | organizations are subject to the provisions of the Managed Care |
5 | | Reform and Patient Rights Act. |
6 | | (c) An MCO shall pay any provider of emergency services |
7 | | that does not have in effect a contract with the contracted |
8 | | Medicaid MCO. The default rate of reimbursement shall be the |
9 | | rate paid under Illinois Medicaid fee-for-service program |
10 | | methodology, including all policy adjusters, including but not |
11 | | limited to Medicaid High Volume Adjustments, Medicaid |
12 | | Percentage Adjustments, Outpatient High Volume Adjustments, |
13 | | and all outlier add-on adjustments to the extent such |
14 | | adjustments are incorporated in the development of the |
15 | | applicable MCO capitated rates. |
16 | | (d) An MCO shall pay for all post-stabilization services as |
17 | | a covered service in any of the following situations: |
18 | | (1) the MCO authorized such services; |
19 | | (2) such services were administered to maintain the |
20 | | enrollee's stabilized condition within one hour after a |
21 | | request to the MCO for authorization of further |
22 | | post-stabilization services; |
23 | | (3) the MCO did not respond to a request to authorize |
24 | | such services within one hour; |
25 | | (4) the MCO could not be contacted; or |
26 | | (5) the MCO and the treating provider, if the treating |
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1 | | provider is a non-affiliated provider, could not reach an |
2 | | agreement concerning the enrollee's care and an affiliated |
3 | | provider was unavailable for a consultation, in which case |
4 | | the MCO
must pay for such services rendered by the treating |
5 | | non-affiliated provider until an affiliated provider was |
6 | | reached and either concurred with the treating |
7 | | non-affiliated provider's plan of care or assumed |
8 | | responsibility for the enrollee's care. Such payment shall |
9 | | be made at the default rate of reimbursement paid under |
10 | | Illinois Medicaid fee-for-service program methodology, |
11 | | including all policy adjusters, including but not limited |
12 | | to Medicaid High Volume Adjustments, Medicaid Percentage |
13 | | Adjustments, Outpatient High Volume Adjustments and all |
14 | | outlier add-on adjustments to the extent that such |
15 | | adjustments are incorporated in the development of the |
16 | | applicable MCO capitated rates. |
17 | | (e) The following requirements apply to MCOs in determining |
18 | | payment for all emergency services: |
19 | | (1) MCOs shall not impose any requirements for prior |
20 | | approval of emergency services. |
21 | | (2) The MCO shall cover emergency services provided to |
22 | | enrollees who are temporarily away from their residence and |
23 | | outside the contracting area to the extent that the |
24 | | enrollees would be entitled to the emergency services if |
25 | | they still were within the contracting area. |
26 | | (3) The MCO shall have no obligation to cover medical |
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1 | | services provided on an emergency basis that are not |
2 | | covered services under the contract. |
3 | | (4) The MCO shall not condition coverage for emergency |
4 | | services on the treating provider notifying the MCO of the |
5 | | enrollee's screening and treatment within 10 days after |
6 | | presentation for emergency services. |
7 | | (5) The determination of the attending emergency |
8 | | physician, or the provider actually treating the enrollee, |
9 | | of whether an enrollee is sufficiently stabilized for |
10 | | discharge or transfer to another facility, shall be binding |
11 | | on the MCO. The MCO shall cover emergency services for all |
12 | | enrollees whether the emergency services are provided by an |
13 | | affiliated or non-affiliated provider. |
14 | | (6) The MCO's financial responsibility for |
15 | | post-stabilization care services it has not pre-approved |
16 | | ends when: |
17 | | (A) a plan physician with privileges at the |
18 | | treating hospital assumes responsibility for the |
19 | | enrollee's care; |
20 | | (B) a plan physician assumes responsibility for |
21 | | the enrollee's care through transfer; |
22 | | (C) a contracting entity representative and the |
23 | | treating physician reach an agreement concerning the |
24 | | enrollee's care; or |
25 | | (D) the enrollee is discharged. |
26 | | (f) Network adequacy and transparency. |
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1 | | (1) The Department shall: |
2 | | (A) ensure that an adequate provider network is in |
3 | | place, taking into consideration health professional |
4 | | shortage areas and medically underserved areas; |
5 | | (B) publicly release an explanation of its process |
6 | | for analyzing network adequacy; |
7 | | (C) periodically ensure that an MCO continues to |
8 | | have an adequate network in place; and |
9 | | (D) require MCOs, including Medicaid Managed Care |
10 | | Entities as defined in Section 5-30.2, to meet provider |
11 | | directory requirements under Section 5-30.3. |
12 | | (2) Each MCO shall confirm its receipt of information |
13 | | submitted specific to physician or dentist additions or |
14 | | physician or dentist deletions from the MCO's provider |
15 | | network within 3 days after receiving all required |
16 | | information from contracted physicians or dentists, and |
17 | | electronic physician and dental directories must be |
18 | | updated consistent with current rules as published by the |
19 | | Centers for Medicare and Medicaid Services or its successor |
20 | | agency. |
21 | | (g) Timely payment of claims. |
22 | | (1) The MCO shall pay a claim within 30 days of |
23 | | receiving a claim that contains all the essential |
24 | | information needed to adjudicate the claim. |
25 | | (2) The MCO shall notify the billing party of its |
26 | | inability to adjudicate a claim within 30 days of receiving |
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1 | | that claim. |
2 | | (3) The MCO shall pay a penalty that is at least equal |
3 | | to the timely payment interest penalty imposed under |
4 | | Section 368a of the Illinois Insurance Code for any claims |
5 | | not timely paid. |
6 | | (A) When an MCO is required to pay a timely payment |
7 | | interest penalty to a provider, the MCO must calculate |
8 | | and pay the timely payment interest penalty that is due |
9 | | to the provider within 30 days after the payment of the |
10 | | claim. In no event shall a provider be required to |
11 | | request or apply for payment of any owed timely payment |
12 | | interest penalties. |
13 | | (B) Such payments shall be reported separately |
14 | | from the claim payment for services rendered to the |
15 | | MCO's enrollee and clearly identified as interest |
16 | | payments. |
17 | | (4) (A) The Department shall require MCOs to expedite |
18 | | payments to providers identified on the Department's |
19 | | expedited provider list, determined in accordance with 89 |
20 | | Ill. Adm. Code 140.71(b), on a schedule at least as |
21 | | frequently as the providers are paid under the Department's |
22 | | fee-for-service expedited provider schedule. |
23 | | (B) Compliance with the expedited provider requirement |
24 | | may be satisfied by an MCO through the use of a Periodic |
25 | | Interim Payment (PIP) program that has been mutually agreed |
26 | | to and documented between the MCO and the provider, and the |
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1 | | PIP program ensures that any expedited provider receives |
2 | | regular and periodic payments based on prior period payment |
3 | | experience from that MCO. Total payments under the PIP |
4 | | program may be reconciled against future PIP payments on a |
5 | | schedule mutually agreed to between the MCO and the |
6 | | provider. |
7 | | (C) The Department shall share at least monthly its |
8 | | expedited provider list and the frequency with which it |
9 | | pays providers on the expedited list. The Department may |
10 | | establish a process for MCOs to expedite payments to |
11 | | providers based on criteria established by the Department. |
12 | | (g-5) Recognizing that the rapid transformation of the |
13 | | Illinois Medicaid program may have unintended operational |
14 | | challenges for both payers and providers: |
15 | | (1) in no instance shall a medically necessary covered |
16 | | service rendered in good faith, based upon eligibility |
17 | | information documented by the provider, be denied coverage |
18 | | or diminished in payment amount if the eligibility or |
19 | | coverage information available at the time the service was |
20 | | rendered is later found to be inaccurate in the assignment |
21 | | of coverage responsibility between MCOs or the |
22 | | fee-for-service system, except for instances when an |
23 | | individual is deemed to have not been eligible for coverage |
24 | | under the Illinois Medicaid program ; and |
25 | | (2) the Department shall, by December 31, 2016, adopt |
26 | | rules establishing policies that shall be included in the |
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1 | | Medicaid managed care policy and procedures manual |
2 | | addressing payment resolutions in situations in which a |
3 | | provider renders services based upon information obtained |
4 | | after verifying a patient's eligibility and coverage plan |
5 | | through either the Department's current enrollment system |
6 | | or a system operated by the coverage plan identified by the |
7 | | patient presenting for services: |
8 | | (A) such medically necessary covered services |
9 | | shall be considered rendered in good faith; |
10 | | (B) such policies and procedures shall be |
11 | | developed in consultation with industry |
12 | | representatives of the Medicaid managed care health |
13 | | plans and representatives of provider associations |
14 | | representing the majority of providers within the |
15 | | identified provider industry; and |
16 | | (C) such rules shall be published for a review and |
17 | | comment period of no less than 30 days on the |
18 | | Department's website with final rules remaining |
19 | | available on the Department's website. |
20 | | (3) The rules on payment resolutions shall include, but not |
21 | | be limited to: |
22 | | (A) the extension of the timely filing period; |
23 | | (B) retroactive prior authorizations; and |
24 | | (C) guaranteed minimum payment rate of no less than the |
25 | | current, as of the date of service, fee-for-service rate, |
26 | | plus all applicable add-ons, when the resulting service |
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1 | | relationship is out of network. |
2 | | (4) The rules shall be applicable for both MCO coverage and |
3 | | fee-for-service coverage. |
4 | | If the fee-for-service system is ultimately determined to |
5 | | have been responsible for coverage on the date of service, the |
6 | | Department shall provide for an extended period for claims |
7 | | submission outside the standard timely filing requirements. |
8 | | (g-6) MCO Performance Metrics Report. |
9 | | (1) The Department shall publish, on at least a |
10 | | quarterly basis, each MCO's operational performance, |
11 | | including, but not limited to, the following categories of |
12 | | metrics: |
13 | | (A) claims payment, including timeliness and |
14 | | accuracy; |
15 | | (B) prior authorizations; |
16 | | (C) grievance and appeals; |
17 | | (D) utilization statistics; |
18 | | (E) provider disputes; |
19 | | (F) provider credentialing; and |
20 | | (G) member and provider customer service. |
21 | | (2) The Department shall ensure that the metrics report |
22 | | is accessible to providers online by January 1, 2017. |
23 | | (3) The metrics shall be developed in consultation with |
24 | | industry representatives of the Medicaid managed care |
25 | | health plans and representatives of associations |
26 | | representing the majority of providers within the |
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1 | | identified industry. |
2 | | (4) Metrics shall be defined and incorporated into the |
3 | | applicable Managed Care Policy Manual issued by the |
4 | | Department. |
5 | | (g-7) MCO claims processing and performance analysis. In |
6 | | order to monitor MCO payments to hospital providers, pursuant |
7 | | to this amendatory Act of the 100th General Assembly, the |
8 | | Department shall post an analysis of MCO claims processing and |
9 | | payment performance on its website every 6 months. Such |
10 | | analysis shall include a review and evaluation of a |
11 | | representative sample of hospital claims that are rejected and |
12 | | denied for clean and unclean claims and the top 5 reasons for |
13 | | such actions and timeliness of claims adjudication, which |
14 | | identifies the percentage of claims adjudicated within 30, 60, |
15 | | 90, and over 90 days, and the dollar amounts associated with |
16 | | those claims. The Department shall post the contracted claims |
17 | | report required by HealthChoice Illinois on its website every 3 |
18 | | months. |
19 | | (g-8) Dispute resolution process. The Department shall |
20 | | maintain a provider complaint portal through which a provider |
21 | | can submit to the Department unresolved disputes with an MCO. |
22 | | An unresolved dispute means an MCO's decision that denies in |
23 | | whole or in part a claim for reimbursement to a provider for |
24 | | health care services rendered by the provider to an enrollee of |
25 | | the MCO with which the provider disagrees. Disputes shall not |
26 | | be submitted to the portal until the provider has availed |
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1 | | itself of the MCO's internal dispute resolution process. |
2 | | Disputes that are submitted to the MCO internal dispute |
3 | | resolution process may be submitted to the Department of |
4 | | Healthcare and Family Services' complaint portal no sooner than |
5 | | 30 days after submitting to the MCO's internal process and not |
6 | | later than 30 days after the unsatisfactory resolution of the |
7 | | internal MCO process or 60 days after submitting the dispute to |
8 | | the MCO internal process. Multiple claim disputes involving the |
9 | | same MCO may be submitted in one complaint, regardless of |
10 | | whether the claims are for different enrollees, when the |
11 | | specific reason for non-payment of the claims involves a common |
12 | | question of fact or policy. Within 10 business days of receipt |
13 | | of a complaint, the Department shall present such disputes to |
14 | | the appropriate MCO, which shall then have 30 days to issue its |
15 | | written proposal to resolve the dispute. The Department may |
16 | | grant one 30-day extension of this time frame to one of the |
17 | | parties to resolve the dispute. If the dispute remains |
18 | | unresolved at the end of this time frame or the provider is not |
19 | | satisfied with the MCO's written proposal to resolve the |
20 | | dispute, the provider may, within 30 days, request the |
21 | | Department to review the dispute and make a final |
22 | | determination. Within 30 days of the request for Department |
23 | | review of the dispute, both the provider and the MCO shall |
24 | | present all relevant information to the Department for |
25 | | resolution and make individuals with knowledge of the issues |
26 | | available to the Department for further inquiry if needed. |
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1 | | Within 30 days of receiving the relevant information on the |
2 | | dispute, or the lapse of the period for submitting such |
3 | | information, the Department shall issue a written decision on |
4 | | the dispute based on contractual terms between the provider and |
5 | | the MCO, contractual terms between the MCO and the Department |
6 | | of Healthcare and Family Services and applicable Medicaid |
7 | | policy. The decision of the Department shall be final. By |
8 | | January 1, 2020, the Department shall establish by rule further |
9 | | details of this dispute resolution process. Disputes between |
10 | | MCOs and providers presented to the Department for resolution |
11 | | are not contested cases, as defined in Section 1-30 of the |
12 | | Illinois Administrative Procedure Act, conferring any right to |
13 | | an administrative hearing. |
14 | | (g-9)(1) The Department shall publish annually on its |
15 | | website a report on the calculation of each managed care |
16 | | organization's medical loss ratio showing the following: |
17 | | (A) Premium revenue, with appropriate adjustments. |
18 | | (B) Benefit expense, setting forth the aggregate |
19 | | amount spent for the following: |
20 | | (i) Direct paid claims. |
21 | | (ii) Subcapitation payments. |
22 | | (iii)
Other claim payments. |
23 | | (iv)
Direct reserves. |
24 | | (v)
Gross recoveries. |
25 | | (vi)
Expenses for activities that improve health |
26 | | care quality as allowed by the Department. |
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1 | | (2) The medical loss ratio shall be calculated consistent |
2 | | with federal law and regulation following a claims runout |
3 | | period determined by the Department. |
4 | | (g-10)(1) "Liability effective date" means the date on |
5 | | which an MCO becomes responsible for payment for medically |
6 | | necessary and covered services rendered by a provider to one of |
7 | | its enrollees in accordance with the contract terms between the |
8 | | MCO and the provider. The liability effective date shall be the |
9 | | later of: |
10 | | (A) The execution date of a network participation |
11 | | contract agreement. |
12 | | (B) The date the provider or its representative submits |
13 | | to the MCO the complete and accurate standardized roster |
14 | | form for the provider in the format approved by the |
15 | | Department. |
16 | | (C) The provider effective date contained within the |
17 | | Department's provider enrollment subsystem within the |
18 | | Illinois Medicaid Program Advanced Cloud Technology |
19 | | (IMPACT) System. |
20 | | (2) The standardized roster form may be submitted to the |
21 | | MCO at the same time that the provider submits an enrollment |
22 | | application to the Department through IMPACT. |
23 | | (3) By October 1, 2019, the Department shall require all |
24 | | MCOs to update their provider directory with information for |
25 | | new practitioners of existing contracted providers within 30 |
26 | | days of receipt of a complete and accurate standardized roster |
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1 | | template in the format approved by the Department provided that |
2 | | the provider is effective in the Department's provider |
3 | | enrollment subsystem within the IMPACT system. Such provider |
4 | | directory shall be readily accessible for purposes of selecting |
5 | | an approved health care provider and comply with all other |
6 | | federal and State requirements. |
7 | | (g-11) The Department shall work with relevant |
8 | | stakeholders on the development of operational guidelines to |
9 | | enhance and improve operational performance of Illinois' |
10 | | Medicaid managed care program, including, but not limited to, |
11 | | improving provider billing practices, reducing claim |
12 | | rejections and inappropriate payment denials, and |
13 | | standardizing processes, procedures, definitions, and response |
14 | | timelines, with the goal of reducing provider and MCO |
15 | | administrative burdens and conflict. The Department shall |
16 | | include a report on the progress of these program improvements |
17 | | and other topics in its Fiscal Year 2020 annual report to the |
18 | | General Assembly. |
19 | | (h) The Department shall not expand mandatory MCO |
20 | | enrollment into new counties beyond those counties already |
21 | | designated by the Department as of June 1, 2014 for the |
22 | | individuals whose eligibility for medical assistance is not the |
23 | | seniors or people with disabilities population until the |
24 | | Department provides an opportunity for accountable care |
25 | | entities and MCOs to participate in such newly designated |
26 | | counties. |
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1 | | (i) The requirements of this Section apply to contracts |
2 | | with accountable care entities and MCOs entered into, amended, |
3 | | or renewed after June 16, 2014 (the effective date of Public |
4 | | Act 98-651).
|
5 | | (j) Health care information released to managed care |
6 | | organizations. A health care provider shall release to a |
7 | | Medicaid managed care organization, upon request, and subject |
8 | | to the Health Insurance Portability and Accountability Act of |
9 | | 1996 and any other law applicable to the release of health |
10 | | information, the health care information of the MCO's enrollee, |
11 | | if the enrollee has completed and signed a general release form |
12 | | that grants to the health care provider permission to release |
13 | | the recipient's health care information to the recipient's |
14 | | insurance carrier. |
15 | | (Source: P.A. 99-725, eff. 8-5-16; 99-751, eff. 8-5-16; |
16 | | 100-201, eff. 8-18-17; 100-580, eff. 3-12-18; 100-587, eff. |
17 | | 6-4-18.) |
18 | | (305 ILCS 5/5-30.12 new) |
19 | | Sec. 5-30.12. Managed care claim rejection and denial |
20 | | management. |
21 | | (a) In order to provide greater transparency to managed |
22 | | care organizations (MCOs) and providers, the Department shall |
23 | | explore the availability of and, if reasonably available, |
24 | | procure technology that, for all electronic claims, with the |
25 | | exception of direct data entry claims, meets the following |
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1 | | needs: |
2 | | (1) The technology shall allow the Department to fully |
3 | | analyze the root cause of claims denials in the Medicaid |
4 | | managed care programs operated by the Department and |
5 | | expedite solutions that reduce the number of denials to the |
6 | | extent possible. |
7 | | (2)
The technology shall create a single electronic |
8 | | pipeline through which all claims from all providers |
9 | | submitted for adjudication by the Department or a managed |
10 | | care organization under contract with the Department shall |
11 | | be directed by clearing houses and providers or other |
12 | | claims submitting entities not using clearing houses prior |
13 | | to forwarding to the Department or the appropriate managed |
14 | | care organization. |
15 | | (3) The technology shall cause all HIPAA-compliant |
16 | | responses to submitted claims, including rejections, |
17 | | denials, and payments, returned to the submitting provider |
18 | | to pass through the established single pipeline. |
19 | | (4) The technology shall give the Department the |
20 | | ability to create edits to be placed at the front end of |
21 | | the pipeline that will reject claims back to the submitting |
22 | | provider with an explanation of why the claim cannot be |
23 | | properly adjudicated by the payer. |
24 | | (5) The technology shall allow the Department to |
25 | | customize the language used to explain why a claim is being |
26 | | rejected and how the claim can be corrected for |
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1 | | adjudication. |
2 | | (6) The technology shall send copies of all claims and |
3 | | claim responses that pass through the pipeline, regardless |
4 | | of the payer to whom they are directed, to the Department's |
5 | | Enterprise Data Warehouse. |
6 | | (b) If the Department chooses to implement front end edits |
7 | | or customized responses to claims submissions, the MCOs and |
8 | | other stakeholders shall be consulted prior to implementation |
9 | | and providers shall be notified of edits at least 30 days prior |
10 | | to their effective date. |
11 | | (c) Neither the technology nor MCO policy shall require |
12 | | providers to submit claims through a process other than the |
13 | | pipeline. MCOs may request supplemental information needed for |
14 | | adjudication which cannot be contained in the claim file to be |
15 | | submitted separately to the MCOs. |
16 | | (d) The technology shall allow the Department to fully |
17 | | analyze and report on MCO claims processing and payment |
18 | | performance by provider type. |
19 | | (305 ILCS 5/5A-4) (from Ch. 23, par. 5A-4) |
20 | | Sec. 5A-4. Payment of assessment; penalty.
|
21 | | (a) The assessment imposed by Section 5A-2 for State fiscal |
22 | | year 2009 through State fiscal year 2018 or as provided in |
23 | | Section 5A-16, shall be due and payable in monthly |
24 | | installments, each equaling one-twelfth of the assessment for |
25 | | the year, on the fourteenth State business day of each month.
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1 | | No installment payment of an assessment imposed by Section 5A-2 |
2 | | shall be due
and
payable, however, until after the Comptroller |
3 | | has issued the payments required under this Article.
|
4 | | Except as provided in subsection (a-5) of this Section, the |
5 | | assessment imposed by subsection (b-5) of Section 5A-2 for the |
6 | | portion of State fiscal year 2012 beginning June 10, 2012 |
7 | | through June 30, 2012, and for State fiscal year 2013 through |
8 | | State fiscal year 2018 or as provided in Section 5A-16, shall |
9 | | be due and payable in monthly installments, each equaling |
10 | | one-twelfth of the assessment for the year, on the 17th State |
11 | | business day of each month. No installment payment of an |
12 | | assessment imposed by subsection (b-5) of Section 5A-2 shall be |
13 | | due and payable, however, until after: (i) the Department |
14 | | notifies the hospital provider, in writing, that the payment |
15 | | methodologies to hospitals required under Section 5A-12.4, |
16 | | have been approved by the Centers for Medicare and Medicaid |
17 | | Services of the U.S. Department of Health and Human Services, |
18 | | and the waiver under 42 CFR 433.68 for the assessment imposed |
19 | | by subsection (b-5) of Section 5A-2, if necessary, has been |
20 | | granted by the Centers for Medicare and Medicaid Services of |
21 | | the U.S. Department of Health and Human Services; and (ii) the |
22 | | Comptroller has issued the payments required under Section |
23 | | 5A-12.4. Upon notification to the Department of approval of the |
24 | | payment methodologies required under Section 5A-12.4 and the |
25 | | waiver granted under 42 CFR 433.68, if necessary, all |
26 | | installments otherwise due under subsection (b-5) of Section |
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1 | | 5A-2 prior to the date of notification shall be due and payable |
2 | | to the Department upon written direction from the Department |
3 | | and issuance by the Comptroller of the payments required under |
4 | | Section 5A-12.4. |
5 | | Except as provided in subsection (a-5) of this Section, the |
6 | | assessment imposed under Section 5A-2 for State fiscal year |
7 | | 2019 and each subsequent State fiscal year shall be due and |
8 | | payable in monthly installments, each equaling one-twelfth of |
9 | | the assessment for the year, on the 17th 14th State business |
10 | | day of each month. No installment payment of an assessment |
11 | | imposed by Section 5A-2 shall be due and payable, however, |
12 | | until after: (i) the Department notifies the hospital provider, |
13 | | in writing, that the payment methodologies to hospitals |
14 | | required under Section 5A-12.6 have been approved by the |
15 | | Centers for Medicare and Medicaid Services of the U.S. |
16 | | Department of Health and Human Services, and the waiver under |
17 | | 42 CFR 433.68 for the assessment imposed by Section 5A-2, if |
18 | | necessary, has been granted by the Centers for Medicare and |
19 | | Medicaid Services of the U.S. Department of Health and Human |
20 | | Services; and (ii) the Comptroller has issued the payments |
21 | | required under Section 5A-12.6. Upon notification to the |
22 | | Department of approval of the payment methodologies required |
23 | | under Section 5A-12.6 and the waiver granted under 42 CFR |
24 | | 433.68, if necessary, all installments otherwise due under |
25 | | Section 5A-2 prior to the date of notification shall be due and |
26 | | payable to the Department upon written direction from the |
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1 | | Department and issuance by the Comptroller of the payments |
2 | | required under Section 5A-12.6. |
3 | | (a-5) The Illinois Department may accelerate the schedule |
4 | | upon which assessment installments are due and payable by |
5 | | hospitals with a payment ratio greater than or equal to one. |
6 | | Such acceleration of due dates for payment of the assessment |
7 | | may be made only in conjunction with a corresponding |
8 | | acceleration in access payments identified in Section 5A-12.2, |
9 | | Section 5A-12.4, or Section 5A-12.6 to the same hospitals. For |
10 | | the purposes of this subsection (a-5), a hospital's payment |
11 | | ratio is defined as the quotient obtained by dividing the total |
12 | | payments for the State fiscal year, as authorized under Section |
13 | | 5A-12.2, Section 5A-12.4, or Section 5A-12.6, by the total |
14 | | assessment for the State fiscal year imposed under Section 5A-2 |
15 | | or subsection (b-5) of Section 5A-2. |
16 | | (b) The Illinois Department is authorized to establish
|
17 | | delayed payment schedules for hospital providers that are |
18 | | unable
to make installment payments when due under this Section |
19 | | due to
financial difficulties, as determined by the Illinois |
20 | | Department.
|
21 | | (c) If a hospital provider fails to pay the full amount of
|
22 | | an installment when due (including any extensions granted under
|
23 | | subsection (b)), there shall, unless waived by the Illinois
|
24 | | Department for reasonable cause, be added to the assessment
|
25 | | imposed by Section 5A-2 a penalty
assessment equal to the |
26 | | lesser of (i) 5% of the amount of the
installment not paid on |
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1 | | or before the due date plus 5% of the
portion thereof remaining |
2 | | unpaid on the last day of each 30-day period
thereafter or (ii) |
3 | | 100% of the installment amount not paid on or
before the due |
4 | | date. For purposes of this subsection, payments
will be |
5 | | credited first to unpaid installment amounts (rather than
to |
6 | | penalty or interest), beginning with the most delinquent
|
7 | | installments.
|
8 | | (d) Any assessment amount that is due and payable to the |
9 | | Illinois Department more frequently than once per calendar |
10 | | quarter shall be remitted to the Illinois Department by the |
11 | | hospital provider by means of electronic funds transfer. The |
12 | | Illinois Department may provide for remittance by other means |
13 | | if (i) the amount due is less than $10,000 or (ii) electronic |
14 | | funds transfer is unavailable for this purpose. |
15 | | (Source: P.A. 100-581, eff. 3-12-18; 100-1181, eff. 3-8-19.) |
16 | | (305 ILCS 5/11-5.1) |
17 | | Sec. 11-5.1. Eligibility verification. Notwithstanding any |
18 | | other provision of this Code, with respect to applications for |
19 | | medical assistance provided under Article V of this Code, |
20 | | eligibility shall be determined in a manner that ensures |
21 | | program integrity and complies with federal laws and |
22 | | regulations while minimizing unnecessary barriers to |
23 | | enrollment. To this end, as soon as practicable, and unless the |
24 | | Department receives written denial from the federal |
25 | | government, this Section shall be implemented: |
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1 | | (a) The Department of Healthcare and Family Services or its |
2 | | designees shall: |
3 | | (1) By no later than July 1, 2011, require verification |
4 | | of, at a minimum, one month's income from all sources |
5 | | required for determining the eligibility of applicants for |
6 | | medical assistance under this Code. Such verification |
7 | | shall take the form of pay stubs, business or income and |
8 | | expense records for self-employed persons, letters from |
9 | | employers, and any other valid documentation of income |
10 | | including data obtained electronically by the Department |
11 | | or its designees from other sources as described in |
12 | | subsection (b) of this Section. |
13 | | (2) By no later than October 1, 2011, require |
14 | | verification of, at a minimum, one month's income from all |
15 | | sources required for determining the continued eligibility |
16 | | of recipients at their annual review of eligibility for |
17 | | medical assistance under this Code. Information the |
18 | | Department receives prior to the annual review, including |
19 | | information available to the Department as a result of the |
20 | | recipient's application for other non-Medicaid benefits, |
21 | | that is sufficient to make a determination of continued |
22 | | Medicaid eligibility may be reviewed and verified, and |
23 | | subsequent action taken including client notification of |
24 | | continued Medicaid eligibility. The date of client |
25 | | notification establishes the date for subsequent annual |
26 | | Medicaid eligibility reviews. Such verification shall take |
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1 | | the form of pay stubs, business or income and expense |
2 | | records for self-employed persons, letters from employers, |
3 | | and any other valid documentation of income including data |
4 | | obtained electronically by the Department or its designees |
5 | | from other sources as described in subsection (b) of this |
6 | | Section. A month's income may be verified by a single pay |
7 | | stub with the monthly income extrapolated from the time |
8 | | period covered by the pay stub. The
Department shall send a |
9 | | notice to
recipients at least 60 days prior to the end of |
10 | | their period
of eligibility that informs them of the
|
11 | | requirements for continued eligibility. If a recipient
|
12 | | does not fulfill the requirements for continued |
13 | | eligibility by the
deadline established in the notice a |
14 | | notice of cancellation shall be issued to the recipient and |
15 | | coverage shall end no later than the last day of the month |
16 | | following on the last day of the eligibility period. A |
17 | | recipient's eligibility may be reinstated without |
18 | | requiring a new application if the recipient fulfills the |
19 | | requirements for continued eligibility prior to the end of |
20 | | the third month following the last date of coverage (or |
21 | | longer period if required by federal regulations). Nothing |
22 | | in this Section shall prevent an individual whose coverage |
23 | | has been cancelled from reapplying for health benefits at |
24 | | any time. |
25 | | (3) By no later than July 1, 2011, require verification |
26 | | of Illinois residency. |
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1 | | The Department, with federal approval, may choose to adopt |
2 | | continuous financial eligibility for a full 12 months for |
3 | | adults on Medicaid. |
4 | | (b) The Department shall establish or continue cooperative
|
5 | | arrangements with the Social Security Administration, the
|
6 | | Illinois Secretary of State, the Department of Human Services,
|
7 | | the Department of Revenue, the Department of Employment
|
8 | | Security, and any other appropriate entity to gain electronic
|
9 | | access, to the extent allowed by law, to information available
|
10 | | to those entities that may be appropriate for electronically
|
11 | | verifying any factor of eligibility for benefits under the
|
12 | | Program. Data relevant to eligibility shall be provided for no
|
13 | | other purpose than to verify the eligibility of new applicants |
14 | | or current recipients of health benefits under the Program. |
15 | | Data shall be requested or provided for any new applicant or |
16 | | current recipient only insofar as that individual's |
17 | | circumstances are relevant to that individual's or another |
18 | | individual's eligibility. |
19 | | (c) Within 90 days of the effective date of this amendatory |
20 | | Act of the 96th General Assembly, the Department of Healthcare |
21 | | and Family Services shall send notice to current recipients |
22 | | informing them of the changes regarding their eligibility |
23 | | verification.
|
24 | | (d) As soon as practical if the data is reasonably |
25 | | available, but no later than January 1, 2017, the Department |
26 | | shall compile on a monthly basis data on eligibility |
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1 | | redeterminations of beneficiaries of medical assistance |
2 | | provided under Article V of this Code. This data shall be |
3 | | posted on the Department's website, and data from prior months |
4 | | shall be retained and available on the Department's website. |
5 | | The data compiled and reported shall include the following: |
6 | | (1) The total number of redetermination decisions made |
7 | | in a month and, of that total number, the number of |
8 | | decisions to continue or change benefits and the number of |
9 | | decisions to cancel benefits. |
10 | | (2) A breakdown of enrollee language preference for the |
11 | | total number of redetermination decisions made in a month |
12 | | and, of that total number, a breakdown of enrollee language |
13 | | preference for the number of decisions to continue or |
14 | | change benefits, and a breakdown of enrollee language |
15 | | preference for the number of decisions to cancel benefits. |
16 | | The language breakdown shall include, at a minimum, |
17 | | English, Spanish, and the next 4 most commonly used |
18 | | languages. |
19 | | (3) The percentage of cancellation decisions made in a |
20 | | month due to each of the following: |
21 | | (A) The beneficiary's ineligibility due to excess |
22 | | income. |
23 | | (B) The beneficiary's ineligibility due to not |
24 | | being an Illinois resident. |
25 | | (C) The beneficiary's ineligibility due to being |
26 | | deceased. |
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1 | | (D) The beneficiary's request to cancel benefits. |
2 | | (E) The beneficiary's lack of response after |
3 | | notices mailed to the beneficiary are returned to the |
4 | | Department as undeliverable by the United States |
5 | | Postal Service. |
6 | | (F) The beneficiary's lack of response to a request |
7 | | for additional information when reliable information |
8 | | in the beneficiary's account, or other more current |
9 | | information, is unavailable to the Department to make a |
10 | | decision on whether to continue benefits. |
11 | | (G) Other reasons tracked by the Department for the |
12 | | purpose of ensuring program integrity. |
13 | | (4) If a vendor is utilized to provide services in |
14 | | support of the Department's redetermination decision |
15 | | process, the total number of redetermination decisions |
16 | | made in a month and, of that total number, the number of |
17 | | decisions to continue or change benefits, and the number of |
18 | | decisions to cancel benefits (i) with the involvement of |
19 | | the vendor and (ii) without the involvement of the vendor. |
20 | | (5) Of the total number of benefit cancellations in a |
21 | | month, the number of beneficiaries who return from |
22 | | cancellation within one month, the number of beneficiaries |
23 | | who return from cancellation within 2 months, and the |
24 | | number of beneficiaries who return from cancellation |
25 | | within 3 months. Of the number of beneficiaries who return |
26 | | from cancellation within 3 months, the percentage of those |
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1 | | cancellations due to each of the reasons listed under |
2 | | paragraph (3) of this subsection. |
3 | | (e) The Department shall conduct a complete review of the |
4 | | Medicaid redetermination process in order to identify changes |
5 | | that can increase the use of ex parte redetermination |
6 | | processing. This review shall be completed within 90 days after |
7 | | the effective date of this amendatory Act of the 101st General |
8 | | Assembly. Within 90 days of completion of the review, the |
9 | | Department shall seek written federal approval of policy |
10 | | changes the review recommended and implement once approved. The |
11 | | review shall specifically include, but not be limited to, use |
12 | | of ex parte redeterminations of the following populations: |
13 | | (1) Recipients of developmental disabilities services. |
14 | | (2) Recipients of benefits under the State's Aid to the |
15 | | Aged, Blind, or Disabled program. |
16 | | (3) Recipients of Medicaid long-term care services and |
17 | | supports, including waiver services. |
18 | | (4) All Modified Adjusted Gross Income (MAGI) |
19 | | populations. |
20 | | (5) Populations with no verifiable income. |
21 | | (6) Self-employed people. |
22 | | The report shall also outline populations and |
23 | | circumstances in which an ex parte redetermination is not a |
24 | | recommended option. |
25 | | (f) The Department shall explore and implement, as |
26 | | practical and technologically possible, roles that |
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1 | | stakeholders outside State agencies can play to assist in |
2 | | expediting eligibility determinations and redeterminations |
3 | | within 24 months after the effective date of this amendatory |
4 | | Act of the 101st General Assembly. Such practical roles to be |
5 | | explored to expedite the eligibility determination processes |
6 | | shall include the implementation of hospital presumptive |
7 | | eligibility, as authorized by the Patient Protection and |
8 | | Affordable Care Act. |
9 | | (g) The Department or its designee shall seek federal |
10 | | approval to enhance the reasonable compatibility standard from |
11 | | 5% to 10%. |
12 | | (h) Reporting. The Department of Healthcare and Family |
13 | | Services and the Department of Human Services shall publish |
14 | | quarterly reports on their progress in implementing policies |
15 | | and practices pursuant to this Section as modified by this |
16 | | amendatory Act of the 101st General Assembly. |
17 | | (1) The reports shall include, but not be limited to, |
18 | | the following: |
19 | | (A) Medical application processing, including a |
20 | | breakdown of the number of MAGI, non-MAGI, long-term |
21 | | care, and other medical cases pending for various |
22 | | incremental time frames between 0 to 181 or more days. |
23 | | (B) Medical redeterminations completed, including: |
24 | | (i) a breakdown of the number of households that were |
25 | | redetermined ex parte and those that were not; (ii) the |
26 | | reasons households were not redetermined ex parte; and |
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1 | | (iii) the relative percentages of these reasons. |
2 | | (C) A narrative discussion on issues identified in |
3 | | the functioning of the State's Integrated Eligibility |
4 | | System and progress on addressing those issues, as well |
5 | | as progress on implementing strategies to address |
6 | | eligibility backlogs, including expanding ex parte |
7 | | determinations to ensure timely eligibility |
8 | | determinations and renewals. |
9 | | (2) Initial reports shall be issued within 90 days |
10 | | after the effective date of this amendatory Act of the |
11 | | 101st General Assembly. |
12 | | (3) All reports shall be published on the Department's |
13 | | website. |
14 | | (Source: P.A. 98-651, eff. 6-16-14; 99-86, eff. 7-21-15.) |
15 | | (305 ILCS 5/11-5.3) |
16 | | Sec. 11-5.3. Procurement of vendor to verify eligibility |
17 | | for assistance under Article V. |
18 | | (a) No later than 60 days after the effective date of this |
19 | | amendatory Act of the 97th General Assembly, the Chief |
20 | | Procurement Officer for General Services, in consultation with |
21 | | the Department of Healthcare and Family Services, shall conduct |
22 | | and complete any procurement necessary to procure a vendor to |
23 | | verify eligibility for assistance under Article V of this Code. |
24 | | Such authority shall include procuring a vendor to assist the |
25 | | Chief Procurement Officer in conducting the procurement. The |
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1 | | Chief Procurement Officer and the Department shall jointly |
2 | | negotiate final contract terms with a vendor selected by the |
3 | | Chief Procurement Officer. Within 30 days of selection of an |
4 | | eligibility verification vendor, the Department of Healthcare |
5 | | and Family Services shall enter into a contract with the |
6 | | selected vendor. The Department of Healthcare and Family |
7 | | Services and the Department of Human Services shall cooperate |
8 | | with and provide any information requested by the Chief |
9 | | Procurement Officer to conduct the procurement. |
10 | | (b) Notwithstanding any other provision of law, any |
11 | | procurement or contract necessary to comply with this Section |
12 | | shall be exempt from: (i) the Illinois Procurement Code |
13 | | pursuant to Section 1-10(h) of the Illinois Procurement Code, |
14 | | except that bidders shall comply with the disclosure |
15 | | requirement in Sections 50-10.5(a) through (d), 50-13, 50-35, |
16 | | and 50-37 of the Illinois Procurement Code and a vendor awarded |
17 | | a contract under this Section shall comply with Section 50-37 |
18 | | of the Illinois Procurement Code; (ii) any administrative rules |
19 | | of this State pertaining to procurement or contract formation; |
20 | | and (iii) any State or Department policies or procedures |
21 | | pertaining to procurement, contract formation, contract award, |
22 | | and Business Enterprise Program approval. |
23 | | (c) Upon becoming operational, the contractor shall |
24 | | conduct data matches using the name, date of birth, address, |
25 | | and Social Security Number of each applicant and recipient |
26 | | against public records to verify eligibility. The contractor, |
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1 | | upon preliminary determination that an enrollee is eligible or |
2 | | ineligible, shall notify the Department, except that the |
3 | | contractor shall not make preliminary determinations regarding |
4 | | the eligibility of persons residing in long term care |
5 | | facilities whose income and resources were at or below the |
6 | | applicable financial eligibility standards at the time of their |
7 | | last review. Within 20 business days of such notification, the |
8 | | Department shall accept the recommendation or reject it with a |
9 | | stated reason. The Department shall retain final authority over |
10 | | eligibility determinations. The contractor shall keep a record |
11 | | of all preliminary determinations of ineligibility |
12 | | communicated to the Department. Within 30 days of the end of |
13 | | each calendar quarter, the Department and contractor shall file |
14 | | a joint report on a quarterly basis to the Governor, the |
15 | | Speaker of the House of Representatives, the Minority Leader of |
16 | | the House of Representatives, the Senate President, and the |
17 | | Senate Minority Leader. The report shall include, but shall not |
18 | | be limited to, monthly recommendations of preliminary |
19 | | determinations of eligibility or ineligibility communicated by |
20 | | the contractor, the actions taken on those preliminary |
21 | | determinations by the Department, and the stated reasons for |
22 | | those recommendations that the Department rejected. |
23 | | (d) An eligibility verification vendor contract shall be |
24 | | awarded for an initial 2-year period with up to a maximum of 2 |
25 | | one-year renewal options. Nothing in this Section shall compel |
26 | | the award of a contract to a vendor that fails to meet the |
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1 | | needs of the Department. A contract with a vendor to assist in |
2 | | the procurement shall be awarded for a period of time not to |
3 | | exceed 6 months.
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4 | | (e) The provisions of this Section shall be administered in |
5 | | compliance with federal law. |
6 | | (f) The State's Integrated Eligibility System shall be on a |
7 | | 3-year audit cycle by the Office of the Auditor General. |
8 | | (Source: P.A. 97-689, eff. 6-14-12; 98-104, eff. 7-22-13.) |
9 | | (305 ILCS 5/11-5.4) |
10 | | (Text of Section from P.A. 100-665) |
11 | | Sec. 11-5.4. Expedited long-term care eligibility |
12 | | determination and enrollment. |
13 | | (a) Establishment of the expedited long-term care |
14 | | eligibility determination and enrollment system shall be a |
15 | | joint venture of the Departments of Human Services and |
16 | | Healthcare and Family Services and the Department on Aging. |
17 | | (b) Streamlined application enrollment process; expedited |
18 | | eligibility process. The streamlined application and |
19 | | enrollment process must include, but need not be limited to, |
20 | | the following: |
21 | | (1) On or before July 1, 2019, a streamlined |
22 | | application and enrollment process shall be put in place |
23 | | which must include, but need not be limited to, the |
24 | | following: |
25 | | (A) Minimize the burden on applicants by |
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1 | | collecting only the data necessary to determine |
2 | | eligibility for medical services, long-term care |
3 | | services, and spousal impoverishment offset. |
4 | | (B) Integrate online data sources to simplify the |
5 | | application process by reducing the amount of |
6 | | information needed to be entered and to expedite |
7 | | eligibility verification. |
8 | | (C) Provide online prompts to alert the applicant |
9 | | that information is missing or not complete. |
10 | | (D) Provide training and step-by-step written |
11 | | instructions for caseworkers, applicants, and |
12 | | providers. |
13 | | (2) The State must expedite the eligibility process for |
14 | | applicants meeting specified guidelines, regardless of the |
15 | | age of the application. The guidelines, subject to federal |
16 | | approval, must include, but need not be limited to, the |
17 | | following individually or collectively: |
18 | | (A) Full Medicaid benefits in the community for a |
19 | | specified period of time. |
20 | | (B) No transfer of assets or resources during the |
21 | | federally prescribed look-back period, as specified in |
22 | | federal law. |
23 | | (C) Receives
Supplemental Security Income payments |
24 | | or was receiving such payments at the time of admission |
25 | | to a nursing facility. |
26 | | (D) For applicants or recipients with verified |
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1 | | income at or below 100% of the federal poverty level |
2 | | when the declared value of their countable resources is |
3 | | no greater than the allowable amounts pursuant to |
4 | | Section 5-2 of this Code for classes of eligible |
5 | | persons for whom a resource limit applies. Such |
6 | | simplified verification policies shall apply to |
7 | | community cases as well as long-term care cases. |
8 | | (3) Subject to federal approval, the Department of |
9 | | Healthcare and Family Services must implement an ex parte |
10 | | renewal process for Medicaid-eligible individuals residing |
11 | | in long-term care facilities. "Renewal" has the same |
12 | | meaning as "redetermination" in State policies, |
13 | | administrative rule, and federal Medicaid law. The ex parte |
14 | | renewal process must be fully operational on or before |
15 | | January 1, 2019. |
16 | | (4) The Department of Human Services must use the |
17 | | standards and distribution requirements described in this |
18 | | subsection and in Section 11-6 for notification of missing |
19 | | supporting documents and information during all phases of |
20 | | the application process: initial, renewal, and appeal. |
21 | | (c) The Department of Human Services must adopt policies |
22 | | and procedures to improve communication between long-term care |
23 | | benefits central office personnel, applicants and their |
24 | | representatives, and facilities in which the applicants |
25 | | reside. Such policies and procedures must at a minimum permit |
26 | | applicants and their representatives and the facility in which |
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1 | | the applicants reside to speak directly to an individual |
2 | | trained to take telephone inquiries and provide appropriate |
3 | | responses.
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4 | | (d) Effective 30 days after the completion of 3 regionally |
5 | | based trainings, nursing facilities shall submit all |
6 | | applications for medical assistance online via the Application |
7 | | for Benefits Eligibility (ABE) website. This requirement shall |
8 | | extend to scanning and uploading with the online application |
9 | | any required additional forms such as the Long Term Care |
10 | | Facility Notification and the Additional Financial Information |
11 | | for Long Term Care Applicants as well as scanned copies of any |
12 | | supporting documentation. Long-term care facility admission |
13 | | documents must be submitted as required in Section 5-5 of this |
14 | | Code. No local Department of Human Services office shall refuse |
15 | | to accept an electronically filed application. No Department of |
16 | | Human Services office shall request submission of any document |
17 | | in hard copy. |
18 | | (e) Notwithstanding any other provision of this Code, the |
19 | | Department of Human Services and the Department of Healthcare |
20 | | and Family Services' Office of the Inspector General shall, |
21 | | upon request, allow an applicant additional time to submit |
22 | | information and documents needed as part of a review of |
23 | | available resources or resources transferred during the |
24 | | look-back period. The initial extension shall not exceed 30 |
25 | | days. A second extension of 30 days may be granted upon |
26 | | request. Any request for information issued by the State to an |
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1 | | applicant shall include the following: an explanation of the |
2 | | information required and the date by which the information must |
3 | | be submitted; a statement that failure to respond in a timely |
4 | | manner can result in denial of the application; a statement |
5 | | that the applicant or the facility in the name of the applicant |
6 | | may seek an extension; and the name and contact information of |
7 | | a caseworker in case of questions. Any such request for |
8 | | information shall also be sent to the facility. In deciding |
9 | | whether to grant an extension, the Department of Human Services |
10 | | or the Department of Healthcare and Family Services' Office of |
11 | | the Inspector General shall take into account what is in the |
12 | | best interest of the applicant. The time limits for processing |
13 | | an application shall be tolled during the period of any |
14 | | extension granted under this subsection. |
15 | | (f) The Department of Human Services and the Department of |
16 | | Healthcare and Family Services must jointly compile data on |
17 | | pending applications, denials, appeals, and redeterminations |
18 | | into a monthly report, which shall be posted on each |
19 | | Department's website for the purposes of monitoring long-term |
20 | | care eligibility processing. The report must specify the number |
21 | | of applications and redeterminations pending long-term care |
22 | | eligibility determination and admission and the number of |
23 | | appeals of denials in the following categories: |
24 | | (A) Length of time applications, redeterminations, and |
25 | | appeals are pending - 0 to 45 days, 46 days to 90 days, 91 |
26 | | days to 180 days, 181 days to 12 months, over 12 months to |
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1 | | 18 months, over 18 months to 24 months, and over 24 months. |
2 | | (B) Percentage of applications and redeterminations |
3 | | pending in the Department of Human Services' Family |
4 | | Community Resource Centers, in the Department of Human |
5 | | Services' long-term care hubs, with the Department of |
6 | | Healthcare and Family Services' Office of Inspector |
7 | | General, and those applications which are being tolled due |
8 | | to requests for extension of time for additional |
9 | | information. |
10 | | (C) Status of pending applications, denials, appeals, |
11 | | and redeterminations. |
12 | | (g) Beginning on July 1, 2017, the Auditor General shall |
13 | | report every 3 years to the General Assembly on the performance |
14 | | and compliance of the Department of Healthcare and Family |
15 | | Services, the Department of Human Services, and the Department |
16 | | on Aging in meeting the requirements of this Section and the |
17 | | federal requirements concerning eligibility determinations for |
18 | | Medicaid long-term care services and supports, and shall report |
19 | | any issues or deficiencies and make recommendations. The |
20 | | Auditor General shall, at a minimum, review, consider, and |
21 | | evaluate the following: |
22 | | (1) compliance with federal regulations on furnishing |
23 | | services as related to Medicaid long-term care services and |
24 | | supports as provided under 42 CFR 435.930; |
25 | | (2) compliance with federal regulations on the timely |
26 | | determination of eligibility as provided under 42 CFR |
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1 | | 435.912; |
2 | | (3) the accuracy and completeness of the report |
3 | | required under paragraph (9) of subsection (e); |
4 | | (4) the efficacy and efficiency of the task-based |
5 | | process used for making eligibility determinations in the |
6 | | centralized offices of the Department of Human Services for |
7 | | long-term care services, including the role of the State's |
8 | | integrated eligibility system, as opposed to the |
9 | | traditional caseworker-specific process from which these |
10 | | central offices have converted; and |
11 | | (5) any issues affecting eligibility determinations |
12 | | related to the Department of Human Services' staff |
13 | | completing Medicaid eligibility determinations instead of |
14 | | the designated single-state Medicaid agency in Illinois, |
15 | | the Department of Healthcare and Family Services. |
16 | | The Auditor General's report shall include any and all |
17 | | other areas or issues which are identified through an annual |
18 | | review. Paragraphs (1) through (5) of this subsection shall not |
19 | | be construed to limit the scope of the annual review and the |
20 | | Auditor General's authority to thoroughly and completely |
21 | | evaluate any and all processes, policies, and procedures |
22 | | concerning compliance with federal and State law requirements |
23 | | on eligibility determinations for Medicaid long-term care |
24 | | services and supports. |
25 | | (h) The Department of Healthcare and Family Services shall |
26 | | adopt any rules necessary to administer and enforce any |
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1 | | provision of this Section. Rulemaking shall not delay the full |
2 | | implementation of this Section. |
3 | | (Source: P.A. 99-153, eff. 7-28-15; 100-380, eff. 8-25-17; |
4 | | 100-665, eff. 8-2-18.) |
5 | | (Text of Section from P.A. 100-1141) |
6 | | Sec. 11-5.4. Expedited long-term care eligibility |
7 | | determination and enrollment. |
8 | | (a) An expedited long-term care eligibility determination |
9 | | and enrollment system shall be established to reduce long-term |
10 | | care determinations to 90 days or fewer by July 1, 2014 and |
11 | | streamline the long-term care enrollment process. |
12 | | Establishment of the system shall be a joint venture of the |
13 | | Department of Human Services and Healthcare and Family Services |
14 | | and the Department on Aging. The Governor shall name a lead |
15 | | agency no later than 30 days after the effective date of this |
16 | | amendatory Act of the 98th General Assembly to assume |
17 | | responsibility for the full implementation of the |
18 | | establishment and maintenance of the system. Project outcomes |
19 | | shall include an enhanced eligibility determination tracking |
20 | | system accessible to providers and a centralized application |
21 | | review and eligibility determination with all applicants |
22 | | reviewed within 90 days of receipt by the State of a complete |
23 | | application. If the Department of Healthcare and Family |
24 | | Services' Office of the Inspector General determines that there |
25 | | is a likelihood that a non-allowable transfer of assets has |
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1 | | occurred, and the facility in which the applicant resides is |
2 | | notified, an extension of up to 90 days shall be permissible. |
3 | | On or before December 31, 2015, a streamlined application and |
4 | | enrollment process shall be put in place based on the following |
5 | | principles: |
6 | | (1) Minimize the burden on applicants by collecting |
7 | | only the data necessary to determine eligibility for |
8 | | medical services, long-term care services, and spousal |
9 | | impoverishment offset. |
10 | | (2) Integrate online data sources to simplify the |
11 | | application process by reducing the amount of information |
12 | | needed to be entered and to expedite eligibility |
13 | | verification. |
14 | | (3) Provide online prompts to alert the applicant that |
15 | | information is missing or not complete. |
16 | | (b) The Department shall, on or before July 1, 2014, assess |
17 | | the feasibility of incorporating all information needed to |
18 | | determine eligibility for long-term care services, including |
19 | | asset transfer and spousal impoverishment financials, into the |
20 | | State's integrated eligibility system identifying all |
21 | | resources needed and reasonable timeframes for achieving the |
22 | | specified integration. |
23 | | (c) The lead agency shall file interim reports with the |
24 | | Chairs and Minority Spokespersons of the House and Senate Human |
25 | | Services Committees no later than September 1, 2013 and on |
26 | | February 1, 2014. The Department of Healthcare and Family |
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1 | | Services shall include in the annual Medicaid report for State |
2 | | Fiscal Year 2014 and every fiscal year thereafter information |
3 | | concerning implementation of the provisions of this Section. |
4 | | (d) No later than August 1, 2014, the Auditor General shall |
5 | | report to the General Assembly concerning the extent to which |
6 | | the timeframes specified in this Section have been met and the |
7 | | extent to which State staffing levels are adequate to meet the |
8 | | requirements of this Section.
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9 | | (e) The Department of Healthcare and Family Services, the |
10 | | Department of Human Services, and the Department on Aging shall |
11 | | take the following steps to achieve federally established |
12 | | timeframes for eligibility determinations for Medicaid and |
13 | | long-term care benefits and shall work toward the federal goal |
14 | | of real time determinations: |
15 | | (1) The Departments shall review, in collaboration |
16 | | with representatives of affected providers, all forms and |
17 | | procedures currently in use, federal guidelines either |
18 | | suggested or mandated, and staff deployment by September |
19 | | 30, 2014 to identify additional measures that can improve |
20 | | long-term care eligibility processing and make adjustments |
21 | | where possible. |
22 | | (2) No later than June 30, 2014, the Department of |
23 | | Healthcare and Family Services shall issue vouchers for |
24 | | advance payments not to exceed $50,000,000 to nursing |
25 | | facilities with significant outstanding Medicaid liability |
26 | | associated with services provided to residents with |
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1 | | Medicaid applications pending and residents facing the |
2 | | greatest delays. Each facility with an advance payment |
3 | | shall state in writing whether its own recoupment schedule |
4 | | will be in 3 or 6 equal monthly installments, as long as |
5 | | all advances are recouped by June 30, 2015. |
6 | | (3) The Department of Healthcare and Family Services' |
7 | | Office of Inspector General and the Department of Human |
8 | | Services shall immediately forgo resource review and |
9 | | review of transfers during the relevant look-back period |
10 | | for applications that were submitted prior to September 1, |
11 | | 2013. An applicant who applied prior to September 1, 2013, |
12 | | who was denied for failure to cooperate in providing |
13 | | required information, and whose application was |
14 | | incorrectly reviewed under the wrong look-back period |
15 | | rules may request review and correction of the denial based |
16 | | on this subsection. If found eligible upon review, such |
17 | | applicants shall be retroactively enrolled. |
18 | | (4) As soon as practicable, the Department of |
19 | | Healthcare and Family Services shall implement policies |
20 | | and promulgate rules to simplify financial eligibility |
21 | | verification in the following instances: (A) for |
22 | | applicants or recipients who are receiving Supplemental |
23 | | Security Income payments or who had been receiving such |
24 | | payments at the time they were admitted to a nursing |
25 | | facility and (B) for applicants or recipients with verified |
26 | | income at or below 100% of the federal poverty level when |
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1 | | the declared value of their countable resources is no |
2 | | greater than the allowable amounts pursuant to Section 5-2 |
3 | | of this Code for classes of eligible persons for whom a |
4 | | resource limit applies. Such simplified verification |
5 | | policies shall apply to community cases as well as |
6 | | long-term care cases. |
7 | | (5) As soon as practicable, but not later than July 1, |
8 | | 2014, the Department of Healthcare and Family Services and |
9 | | the Department of Human Services shall jointly begin a |
10 | | special enrollment project by using simplified eligibility |
11 | | verification policies and by redeploying caseworkers |
12 | | trained to handle long-term care cases to prioritize those |
13 | | cases, until the backlog is eliminated and processing time |
14 | | is within 90 days. This project shall apply to applications |
15 | | for long-term care received by the State on or before May |
16 | | 15, 2014. |
17 | | (6) As soon as practicable, but not later than |
18 | | September 1, 2014, the Department on Aging shall make |
19 | | available to long-term care facilities and community |
20 | | providers upon request, through an electronic method, the |
21 | | information contained within the Interagency Certification |
22 | | of Screening Results completed by the pre-screener, in a |
23 | | form and manner acceptable to the Department of Human |
24 | | Services. |
25 | | (7) Effective 30 days after the completion of 3 |
26 | | regionally based trainings, nursing facilities shall |
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1 | | submit all applications for medical assistance online via |
2 | | the Application for Benefits Eligibility (ABE) website. |
3 | | This requirement shall extend to scanning and uploading |
4 | | with the online application any required additional forms |
5 | | such as the Long Term Care Facility Notification and the |
6 | | Additional Financial Information for Long Term Care |
7 | | Applicants as well as scanned copies of any supporting |
8 | | documentation. Long-term care facility admission documents |
9 | | must be submitted as required in Section 5-5 of this Code. |
10 | | No local Department of Human Services office shall refuse |
11 | | to accept an electronically filed application. |
12 | | (8) Notwithstanding any other provision of this Code, |
13 | | the Department of Human Services and the Department of |
14 | | Healthcare and Family Services' Office of the Inspector |
15 | | General shall, upon request, allow an applicant additional |
16 | | time to submit information and documents needed as part of |
17 | | a review of available resources or resources transferred |
18 | | during the look-back period. The initial extension shall |
19 | | not exceed 30 days. A second extension of 30 days may be |
20 | | granted upon request. Any request for information issued by |
21 | | the State to an applicant shall include the following: an |
22 | | explanation of the information required and the date by |
23 | | which the information must be submitted; a statement that |
24 | | failure to respond in a timely manner can result in denial |
25 | | of the application; a statement that the applicant or the |
26 | | facility in the name of the applicant may seek an |
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1 | | extension; and the name and contact information of a |
2 | | caseworker in case of questions. Any such request for |
3 | | information shall also be sent to the facility. In deciding |
4 | | whether to grant an extension, the Department of Human |
5 | | Services or the Department of Healthcare and Family |
6 | | Services' Office of the Inspector General shall take into |
7 | | account what is in the best interest of the applicant. The |
8 | | time limits for processing an application shall be tolled |
9 | | during the period of any extension granted under this |
10 | | subsection. |
11 | | (9) The Department of Human Services and the Department |
12 | | of Healthcare and Family Services must jointly compile data |
13 | | on pending applications, denials, appeals, and |
14 | | redeterminations into a monthly report, which shall be |
15 | | posted on each Department's website for the purposes of |
16 | | monitoring long-term care eligibility processing. The |
17 | | report must specify the number of applications and |
18 | | redeterminations pending long-term care eligibility |
19 | | determination and admission and the number of appeals of |
20 | | denials in the following categories: |
21 | | (A) Length of time applications, redeterminations, |
22 | | and appeals are pending - 0 to 45 days, 46 days to 90 |
23 | | days, 91 days to 180 days, 181 days to 12 months, over |
24 | | 12 months to 18 months, over 18 months to 24 months, |
25 | | and over 24 months. |
26 | | (B) Percentage of applications and |
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1 | | redeterminations pending in the Department of Human |
2 | | Services' Family Community Resource Centers, in the |
3 | | Department of Human Services' long-term care hubs, |
4 | | with the Department of Healthcare and Family Services' |
5 | | Office of Inspector General, and those applications |
6 | | which are being tolled due to requests for extension of |
7 | | time for additional information. |
8 | | (C) Status of pending applications, denials, |
9 | | appeals, and redeterminations. |
10 | | (f) Beginning on July 1, 2017, the Auditor General shall |
11 | | report every 3 years to the General Assembly on the performance |
12 | | and compliance of the Department of Healthcare and Family |
13 | | Services, the Department of Human Services, and the Department |
14 | | on Aging in meeting the requirements of this Section and the |
15 | | federal requirements concerning eligibility determinations for |
16 | | Medicaid long-term care services and supports, and shall report |
17 | | any issues or deficiencies and make recommendations. The |
18 | | Auditor General shall, at a minimum, review, consider, and |
19 | | evaluate the following: |
20 | | (1) compliance with federal regulations on furnishing |
21 | | services as related to Medicaid long-term care services and |
22 | | supports as provided under 42 CFR 435.930; |
23 | | (2) compliance with federal regulations on the timely |
24 | | determination of eligibility as provided under 42 CFR |
25 | | 435.912; |
26 | | (3) the accuracy and completeness of the report |
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1 | | required under paragraph (9) of subsection (e); |
2 | | (4) the efficacy and efficiency of the task-based |
3 | | process used for making eligibility determinations in the |
4 | | centralized offices of the Department of Human Services for |
5 | | long-term care services, including the role of the State's |
6 | | integrated eligibility system, as opposed to the |
7 | | traditional caseworker-specific process from which these |
8 | | central offices have converted; and |
9 | | (5) any issues affecting eligibility determinations |
10 | | related to the Department of Human Services' staff |
11 | | completing Medicaid eligibility determinations instead of |
12 | | the designated single-state Medicaid agency in Illinois, |
13 | | the Department of Healthcare and Family Services. |
14 | | The Auditor General's report shall include any and all |
15 | | other areas or issues which are identified through an annual |
16 | | review. Paragraphs (1) through (5) of this subsection shall not |
17 | | be construed to limit the scope of the annual review and the |
18 | | Auditor General's authority to thoroughly and completely |
19 | | evaluate any and all processes, policies, and procedures |
20 | | concerning compliance with federal and State law requirements |
21 | | on eligibility determinations for Medicaid long-term care |
22 | | services and supports. |
23 | | (g) The Department shall adopt rules necessary to |
24 | | administer and enforce any provision of this Section. |
25 | | Rulemaking shall not delay the full implementation of this |
26 | | Section. |
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1 | | (h) Beginning on June 29, 2018, provisional eligibility for |
2 | | medical assistance under Article V of this Code , in
the form of |
3 | | a recipient identification number and any other necessary |
4 | | credentials to permit an applicant to receive covered services |
5 | | under Article V benefits , must be issued to any applicant who |
6 | | has not received a final eligibility determination on his or |
7 | | her application for Medicaid and Medicaid long-term care |
8 | | services filed simultaneously or, if already Medicaid |
9 | | enrolled, application for or Medicaid long-term care services |
10 | | under Article V of this Code benefits or a notice of an |
11 | | opportunity for a hearing within the federally prescribed |
12 | | timeliness requirements for determinations on deadlines for |
13 | | the processing of such applications. The Department must |
14 | | maintain the applicant's provisional eligibility Medicaid |
15 | | enrollment status until a final eligibility determination is |
16 | | made on the individual's application for long-term care |
17 | | services approved or the applicant's appeal has been |
18 | | adjudicated and eligibility is denied . The Department or the |
19 | | managed care organization, if applicable, must reimburse |
20 | | providers for services rendered during an applicant's |
21 | | provisional eligibility period. |
22 | | (1) Claims for services rendered to an applicant with |
23 | | provisional eligibility status must be submitted and |
24 | | processed in the same manner as those submitted on behalf |
25 | | of beneficiaries determined to qualify for benefits. |
26 | | (2) An applicant with provisional eligibility |
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1 | | enrollment status must have his or her long-term care |
2 | | benefits paid for under the State's fee-for-service system |
3 | | during the period of provisional eligibility until the |
4 | | State makes a final determination on the applicant's |
5 | | Medicaid or Medicaid long-term care application . If an |
6 | | individual otherwise eligible for medical assistance under |
7 | | Article V of this Code is enrolled with a managed care |
8 | | organization for community benefits at the time the |
9 | | individual's provisional eligibility for long-term care |
10 | | services status is issued, the managed care organization is |
11 | | only responsible for paying benefits covered under the |
12 | | capitation payment received by the managed care |
13 | | organization for the individual. |
14 | | (3) The Department, within 10 business days of issuing |
15 | | provisional eligibility to an applicant, must submit to the |
16 | | Office of the Comptroller for payment a voucher for all |
17 | | retroactive reimbursement due. The Department must clearly |
18 | | identify such vouchers as provisional eligibility |
19 | | vouchers. |
20 | | (Source: P.A. 99-153, eff. 7-28-15; 100-380, eff. 8-25-17; |
21 | | 100-1141, eff. 11-28-18 .)
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22 | | (305 ILCS 5/12-4.42)
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23 | | Sec. 12-4.42. Medicaid Revenue Maximization. |
24 | | (a) Purpose. The General Assembly finds that there is a |
25 | | need to make changes to the administration of services provided |
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1 | | by State and local governments in order to maximize federal |
2 | | financial participation. |
3 | | (b) Definitions. As used in this Section: |
4 | | "Community Medicaid mental health services" means all |
5 | | mental health services outlined in Part 132 of Title 59 of the |
6 | | Illinois Administrative Code that are funded through DHS, |
7 | | eligible for federal financial participation, and provided by a |
8 | | community-based provider. |
9 | | "Community-based provider" means an entity enrolled as a |
10 | | provider pursuant to Sections 140.11 and 140.12 of Title 89 of |
11 | | the Illinois Administrative Code and certified to provide |
12 | | community Medicaid mental health services in accordance with |
13 | | Part 132 of Title 59 of the Illinois Administrative Code. |
14 | | "DCFS" means the Department of Children and Family |
15 | | Services. |
16 | | "Department" means the Illinois Department of Healthcare |
17 | | and Family Services. |
18 | | "Care facility for persons with a developmental |
19 | | disability" means an intermediate care facility for persons |
20 | | with an intellectual disability within the meaning of Title XIX |
21 | | of the Social Security Act, whether public or private and |
22 | | whether organized for profit or not-for-profit, but shall not |
23 | | include any facility operated by the State. |
24 | | "Care provider for persons with a developmental |
25 | | disability" means a person conducting, operating, or |
26 | | maintaining a care facility for persons with a developmental |
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1 | | disability. For purposes of this definition, "person" means any |
2 | | political subdivision of the State, municipal corporation, |
3 | | individual, firm, partnership, corporation, company, limited |
4 | | liability company, association, joint stock association, or |
5 | | trust, or a receiver, executor, trustee, guardian, or other |
6 | | representative appointed by order of any court. |
7 | | "DHS" means the Illinois Department of Human Services. |
8 | | "Hospital" means an institution, place, building, or |
9 | | agency located in this State that is licensed as a general |
10 | | acute hospital by the Illinois Department of Public Health |
11 | | under the Hospital Licensing Act, whether public or private and |
12 | | whether organized for profit or not-for-profit. |
13 | | "Long term care facility" means (i) a skilled nursing or |
14 | | intermediate long term care facility, whether public or private |
15 | | and whether organized for profit or not-for-profit, that is |
16 | | subject to licensure by the Illinois Department of Public |
17 | | Health under the Nursing Home Care Act, including a county |
18 | | nursing home directed and maintained under Section 5-1005 of |
19 | | the Counties Code, and (ii) a part of a hospital in which |
20 | | skilled or intermediate long term care services within the |
21 | | meaning of Title XVIII or XIX of the Social Security Act are |
22 | | provided; except that the term "long term care facility" does |
23 | | not include a facility operated solely as an intermediate care |
24 | | facility for the intellectually disabled within the meaning of |
25 | | Title XIX of the Social Security Act. |
26 | | "Long term care provider" means (i) a person licensed by |
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1 | | the Department of Public Health to operate and maintain a |
2 | | skilled nursing or intermediate long term care facility or (ii) |
3 | | a hospital provider that provides skilled or intermediate long |
4 | | term care services within the meaning of Title XVIII or XIX of |
5 | | the Social Security Act. For purposes of this definition, |
6 | | "person" means any political subdivision of the State, |
7 | | municipal corporation, individual, firm, partnership, |
8 | | corporation, company, limited liability company, association, |
9 | | joint stock association, or trust, or a receiver, executor, |
10 | | trustee, guardian, or other representative appointed by order |
11 | | of any court. |
12 | | "State-operated facility for persons with a developmental |
13 | | disability" means an intermediate care facility for persons |
14 | | with an intellectual disability within the meaning of Title XIX |
15 | | of the Social Security Act operated by the State. |
16 | | (c) Administration and deposit of Revenues. The Department |
17 | | shall coordinate the implementation of changes required by |
18 | | Public Act 96-1405 amongst the various State and local |
19 | | government bodies that administer programs referred to in this |
20 | | Section. |
21 | | Revenues generated by program changes mandated by any |
22 | | provision in this Section, less reasonable administrative |
23 | | costs associated with the implementation of these program |
24 | | changes, which would otherwise be deposited into the General |
25 | | Revenue Fund shall be deposited into the Healthcare Provider |
26 | | Relief Fund. |
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1 | | The Department shall issue a report to the General Assembly |
2 | | detailing the implementation progress of Public Act 96-1405 as |
3 | | a part of the Department's Medical Programs annual report for |
4 | | fiscal years 2010 and 2011. |
5 | | (d) Acceleration of payment vouchers. To the extent |
6 | | practicable and permissible under federal law, the Department |
7 | | shall create all vouchers for long term care facilities and |
8 | | facilities for persons with a developmental disability for |
9 | | dates of service in the month in which the enhanced federal |
10 | | medical assistance percentage (FMAP) originally set forth in |
11 | | the American Recovery and Reinvestment Act (ARRA) expires and |
12 | | for dates of service in the month prior to that month and |
13 | | shall, no later than the 15th of the month in which the |
14 | | enhanced FMAP expires, submit these vouchers to the Comptroller |
15 | | for payment. |
16 | | The Department of Human Services shall create the necessary |
17 | | documentation for State-operated facilities for persons with a |
18 | | developmental disability so that the necessary data for all |
19 | | dates of service before the expiration of the enhanced FMAP |
20 | | originally set forth in the ARRA can be adjudicated by the |
21 | | Department no later than the 15th of the month in which the |
22 | | enhanced FMAP expires. |
23 | | (e) Billing of DHS community Medicaid mental health |
24 | | services. No later than July 1, 2011, community Medicaid mental |
25 | | health services provided by a community-based provider must be |
26 | | billed directly to the Department. |
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1 | | (f) DCFS Medicaid services. The Department shall work with |
2 | | DCFS to identify existing programs, pending qualifying |
3 | | services, that can be converted in an economically feasible |
4 | | manner to Medicaid in order to secure federal financial |
5 | | revenue. |
6 | | (g) (Blank). Third Party Liability recoveries. The |
7 | | Department shall contract with a vendor to support the |
8 | | Department in coordinating benefits for Medicaid enrollees. |
9 | | The scope of work shall include, at a minimum, the |
10 | | identification of other insurance for Medicaid enrollees and |
11 | | the recovery of funds paid by the Department when another payer |
12 | | was liable. The vendor may be paid a percentage of actual cash |
13 | | recovered when practical and subject to federal law. |
14 | | (h) Public health departments.
The Department shall |
15 | | identify unreimbursed costs for persons covered by Medicaid who |
16 | | are served by the Chicago Department of Public Health. |
17 | | The Department shall assist the Chicago Department of |
18 | | Public Health in determining total unreimbursed costs |
19 | | associated with the provision of healthcare services to |
20 | | Medicaid enrollees. |
21 | | The Department shall determine and draw the maximum |
22 | | allowable federal matching dollars associated with the cost of |
23 | | Chicago Department of Public Health services provided to |
24 | | Medicaid enrollees. |
25 | | (i) Acceleration of hospital-based payments.
The |
26 | | Department shall, by the 10th day of the month in which the |
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1 | | enhanced FMAP originally set forth in the ARRA expires, create |
2 | | vouchers for all State fiscal year 2011 hospital payments |
3 | | exempt from the prompt payment requirements of the ARRA. The |
4 | | Department shall submit these vouchers to the Comptroller for |
5 | | payment.
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6 | | (Source: P.A. 99-143, eff. 7-27-15; 100-201, eff. 8-18-17.)
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7 | | (305 ILCS 5/14-13 new) |
8 | | Sec. 14-13. Reimbursement for inpatient stays extended |
9 | | beyond medical necessity. |
10 | | (a) By October 1, 2019, the Department shall by rule |
11 | | implement a methodology effective for dates of service July 1, |
12 | | 2019 and later to reimburse hospitals for inpatient stays |
13 | | extended beyond medical necessity due to the inability of the |
14 | | Department or the managed care organization in which a |
15 | | recipient is enrolled or the hospital discharge planner to find |
16 | | an appropriate placement after discharge from the hospital. |
17 | | (b) The methodology shall provide reasonable compensation |
18 | | for the services provided attributable to the days of the |
19 | | extended stay for which the prevailing rate methodology |
20 | | provides no reimbursement. The Department may use a day outlier |
21 | | program to satisfy this requirement. The reimbursement rate |
22 | | shall be set at a level so as not to act as an incentive to |
23 | | avoid transfer to the appropriate level of care needed or |
24 | | placement, after discharge. |
25 | | (c) The Department shall require managed care |
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1 | | organizations to adopt this methodology or an alternative |
2 | | methodology that pays at least as much as the Department's |
3 | | adopted methodology unless otherwise mutually agreed upon |
4 | | contractual language is developed by the provider and the |
5 | | managed care organization for a risk-based or innovative |
6 | | payment methodology. |
7 | | (d) Days beyond medical necessity shall not be eligible for |
8 | | per diem add-on payments under the Medicaid High Volume |
9 | | Adjustment (MHVA) or the Medicaid Percentage Adjustment (MPA) |
10 | | programs. |
11 | | (e) For services covered by the fee-for-service program, |
12 | | reimbursement under this Section shall only be made for days |
13 | | beyond medical necessity that occur after the hospital has |
14 | | notified the Department of the need for post-discharge |
15 | | placement. For services covered by a managed care organization, |
16 | | hospitals shall notify the appropriate managed care |
17 | | organization of an admission within 24 hours of admission. For |
18 | | every 24-hour period beyond the initial 24 hours after |
19 | | admission that the hospital fails to notify the managed care |
20 | | organization of the admission, reimbursement under this |
21 | | subsection shall be reduced by one day.
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22 | | Section 45. The Illinois Public Aid Code is amended by |
23 | | reenacting and changing Section 5-5.07 as follows: |
24 | | (305 ILCS 5/5-5.07) |
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1 | | Sec. 5-5.07. Inpatient psychiatric stay; DCFS per diem |
2 | | rate. The Department of Children and Family Services shall pay |
3 | | the DCFS per diem rate for inpatient psychiatric stay at a |
4 | | free-standing psychiatric hospital effective the 11th day when |
5 | | a child is in the hospital beyond medical necessity, and the |
6 | | parent or caregiver has denied the child access to the home and |
7 | | has refused or failed to make provisions for another living |
8 | | arrangement for the child or the child's discharge is being |
9 | | delayed due to a pending inquiry or investigation by the |
10 | | Department of Children and Family Services. If any portion of a |
11 | | hospital stay is reimbursed under this Section, the hospital |
12 | | stay shall not be eligible for payment under the provisions of |
13 | | Section 14-13 of this Code. This Section is inoperative on and |
14 | | after July 1, 2020. This Section is repealed 6 months after the |
15 | | effective date of this amendatory Act of the 100th General |
16 | | Assembly.
|
17 | | (Source: P.A. 100-646, eff. 7-27-18.) |
18 | | Section 99. Effective date. This Act takes effect upon |
19 | | becoming law.".
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