102ND GENERAL ASSEMBLY
State of Illinois
2021 and 2022
SB2435

 

Introduced 2/26/2021, by Sen. Bill Cunningham

 

SYNOPSIS AS INTRODUCED:
 
See Index

    Creates the First 2021 General Revisory Act. Combines multiple versions of Sections amended by more than one Public Act. Renumbers Sections of various Acts to eliminate duplication. Corrects obsolete cross-references and technical errors. Makes stylistic changes. Effective immediately.


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FISCAL NOTE ACT MAY APPLY
PENSION IMPACT NOTE ACT MAY APPLY

 

 

A BILL FOR

 

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1    AN ACT to revise the law by combining multiple enactments
2and making technical corrections.
 
3    Be it enacted by the People of the State of Illinois,
4represented in the General Assembly:
 
5    Section 1. Nature of this Act.
6    (a) This Act may be cited as the First 2021 General
7Revisory Act.
8    (b) This Act is not intended to make any substantive
9change in the law. It reconciles conflicts that have arisen
10from multiple amendments and enactments and makes technical
11corrections and revisions in the law.
12    This Act revises and, where appropriate, renumbers certain
13Sections that have been added or amended by more than one
14Public Act. In certain cases in which a repealed Act or Section
15has been replaced with a successor law, this Act may
16incorporate amendments to the repealed Act or Section into the
17successor law. This Act also corrects errors, revises
18cross-references, and deletes obsolete text.
19    (c) In this Act, the reference at the end of each amended
20Section indicates the sources in the Session Laws of Illinois
21that were used in the preparation of the text of that Section.
22The text of the Section included in this Act is intended to
23include the different versions of the Section found in the
24Public Acts included in the list of sources, but may not

 

 

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1include other versions of the Section to be found in Public
2Acts not included in the list of sources. The list of sources
3is not a part of the text of the Section.
4    (d) Public Acts 100-1178 through 101-651 were considered
5in the preparation of the combining revisories included in
6this Act. Many of those combining revisories contain no
7striking or underscoring because no additional changes are
8being made in the material that is being combined.
 
9    Section 5. The Regulatory Sunset Act is amended by
10changing Sections 4.30 and 4.40 as follows:
 
11    (5 ILCS 80/4.30)
12    Sec. 4.30. Act Acts repealed on January 1, 2020. The
13following Act is Acts are repealed on January 1, 2020:
14    The Illinois Landscape Architecture Act of 1989.
15(Source: P.A. 100-497, eff. 9-8-17; 100-534, eff. 9-22-17;
16100-863, eff. 8-14-18; 101-269, eff. 8-9-19; 101-310, eff.
178-9-19; 101-311, eff. 8-9-19; 101-312, eff. 8-9-19; 101-313,
18eff. 8-9-19; 101-345, eff. 8-9-19; 101-346, eff. 8-9-19;
19101-357, eff. 8-9-19; 101-614, eff. 12-20-19; 101-621, eff.
2012-20-19; revised 1-6-20.)
 
21    (5 ILCS 80/4.40)
22    Sec. 4.40. Acts Act repealed on January 1, 2030. The
23following Acts are Act is repealed on January 1, 2030:

 

 

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1    The Auction License Act.
2    The Illinois Architecture Practice Act of 1989.
3    The Illinois Professional Land Surveyor Act of 1989.
4    The Orthotics, Prosthetics, and Pedorthics Practice Act.
5    The Perfusionist Practice Act.
6    The Professional Engineering Practice Act of 1989.
7    The Real Estate License Act of 2000.
8    The Structural Engineering Practice Act of 1989.
9(Source: P.A. 101-269, eff. 8-9-19; 101-310, eff. 8-9-19;
10101-311, eff. 8-9-19; 101-312, eff. 8-9-19; 101-313, eff.
118-9-19; 101-345, eff. 8-9-19; 101-346, eff. 8-9-19; 101-357,
12eff. 8-9-19; revised 9-27-19.)
 
13    Section 10. The Illinois Administrative Procedure Act is
14amended by setting forth, renumbering, and changing multiple
15versions of Sections 5-45.1 and 5-45.2 as follows:
 
16    (5 ILCS 100/5-45.1)
17    (Section scheduled to be repealed on January 1, 2026)
18    Sec. 5-45.1. Emergency rulemaking. To provide for the
19expeditious and timely implementation of changes made to
20Articles 5, 5A, 12, and 14 of the Illinois Public Aid Code by
21Public Act 101-650 this amendatory Act of the 101st General
22Assembly, emergency rules may be adopted in accordance with
23Section 5-45 by the respective Department. The 24-month
24limitation on the adoption of emergency rules does not apply

 

 

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1to rules adopted under this Section. The adoption of emergency
2rules authorized by Section 5-45 and this Section is deemed to
3be necessary for the public interest, safety, and welfare.
4    This Section is repealed on January 1, 2026.
5(Source: P.A. 101-650, eff. 7-7-20; revised 8-3-20.)
 
6    (5 ILCS 100/5-45.2)
7    (Section scheduled to be repealed on January 1, 2026)
8    Sec. 5-45.2. Emergency rulemaking; Grants to local tourism
9and convention bureaus. To provide for the expeditious and
10timely implementation of the changes made to Section 605-705
11of the Department of Commerce and Economic Opportunity Law of
12the Civil Administrative Code of Illinois by Public Act
13101-636 this amendatory Act of the 101st General Assembly,
14emergency rules implementing the changes made to Section
15605-705 of the Department of Commerce and Economic Opportunity
16Law of the Civil Administrative Code of Illinois by Public Act
17101-636 this amendatory Act of the 101st General Assembly may
18be adopted in accordance with Section 5-45 by the Department
19of Commerce and Economic Opportunity. The adoption of
20emergency rules authorized by Section 5-45 and this Section is
21deemed to be necessary for the public interest, safety, and
22welfare.
23    This Section is repealed on January 1, 2026.
24(Source: P.A. 101-636, eff. 6-10-20; revised 8-3-20.)
 

 

 

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1    (5 ILCS 100/5-45.4)
2    (Section scheduled to be repealed on January 1, 2026)
3    Sec. 5-45.4 5-45.1. Emergency rulemaking; Local
4Coronavirus Urgent Remediation Emergency (or Local CURE)
5Support Program. To provide for the expeditious and timely
6implementation of the Local Coronavirus Urgent Remediation
7Emergency (or Local CURE) Support Program, emergency rules
8implementing the Local Coronavirus Urgent Remediation
9Emergency (or Local CURE) Support Program may be adopted in
10accordance with Section 5-45 by the Department of Commerce and
11Economic Opportunity. The adoption of emergency rules
12authorized by Section 5-45 and this Section is deemed to be
13necessary for the public interest, safety, and welfare.
14    This Section is repealed on January 1, 2026.
15(Source: P.A. 101-636, eff. 6-10-20; revised 8-3-20.)
 
16    (5 ILCS 100/5-45.5)
17    Sec. 5-45.5 5-45.1. (Repealed).
18(Source: P.A. 101-640, eff. 6-12-20; revised 8-3-20. Repealed
19internally, eff. 1-1-21.)
 
20    (5 ILCS 100/5-45.6)
21    Sec. 5-45.6 5-45.1. (Repealed).
22(Source: P.A. 101-642, eff. 6-16-20; revised 8-3-20. Repealed
23internally, eff. 1-1-21.)
 

 

 

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1    (5 ILCS 100/5-45.7)
2    Sec. 5-45.7 5-45.2. (Repealed).
3(Source: P.A. 101-640, eff. 6-12-20; revised 8-3-20. Repealed
4internally, eff. 1-1-21.)
 
5    Section 15. The Open Meetings Act is amended by changing
6Sections 1.05 and 2 as follows:
 
7    (5 ILCS 120/1.05)
8    Sec. 1.05. Training.
9    (a) Every public body shall designate employees, officers,
10or members to receive training on compliance with this Act.
11Each public body shall submit a list of designated employees,
12officers, or members to the Public Access Counselor. Within 6
13months after January 1, 2010 (the effective date of Public Act
1496-542) this amendatory Act of the 96th General Assembly, the
15designated employees, officers, and members must successfully
16complete an electronic training curriculum, developed and
17administered by the Public Access Counselor, and thereafter
18must successfully complete an annual training program.
19Thereafter, whenever a public body designates an additional
20employee, officer, or member to receive this training, that
21person must successfully complete the electronic training
22curriculum within 30 days after that designation.
23    (b) Except as otherwise provided in this Section, each
24elected or appointed member of a public body subject to this

 

 

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1Act who is such a member on January 1, 2012 (the effective date
2of Public Act 97-504) this amendatory Act of the 97th General
3Assembly must successfully complete the electronic training
4curriculum developed and administered by the Public Access
5Counselor. For these members, the training must be completed
6within one year after January 1, 2012 (the effective date of
7Public Act 97-504) this amendatory Act.
8    Except as otherwise provided in this Section, each elected
9or appointed member of a public body subject to this Act who
10becomes such a member after January 1, 2012 (the effective
11date of Public Act 97-504) this amendatory Act of the 97th
12General Assembly shall successfully complete the electronic
13training curriculum developed and administered by the Public
14Access Counselor. For these members, the training must be
15completed not later than the 90th day after the date the
16member:
17        (1) takes the oath of office, if the member is
18    required to take an oath of office to assume the person's
19    duties as a member of the public body; or
20        (2) otherwise assumes responsibilities as a member of
21    the public body, if the member is not required to take an
22    oath of office to assume the person's duties as a member of
23    the governmental body.
24    Each member successfully completing the electronic
25training curriculum shall file a copy of the certificate of
26completion with the public body.

 

 

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1    Completing the required training as a member of the public
2body satisfies the requirements of this Section with regard to
3the member's service on a committee or subcommittee of the
4public body and the member's ex officio service on any other
5public body.
6    The failure of one or more members of a public body to
7complete the training required by this Section does not affect
8the validity of an action taken by the public body.
9    An elected or appointed member of a public body subject to
10this Act who has successfully completed the training required
11under this subsection (b) and filed a copy of the certificate
12of completion with the public body is not required to
13subsequently complete the training required under this
14subsection (b).
15    (c) An elected school board member may satisfy the
16training requirements of this Section by participating in a
17course of training sponsored or conducted by an organization
18created under Article 23 of the School Code. The course of
19training shall include, but not be limited to, instruction in:
20        (1) the general background of the legal requirements
21    for open meetings;
22        (2) the applicability of this Act to public bodies;
23        (3) procedures and requirements regarding quorums,
24    notice, and record-keeping under this Act;
25        (4) procedures and requirements for holding an open
26    meeting and for holding a closed meeting under this Act;

 

 

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1    and
2        (5) penalties and other consequences for failing to
3    comply with this Act.
4    If an organization created under Article 23 of the School
5Code provides a course of training under this subsection (c),
6it must provide a certificate of course completion to each
7school board member who successfully completes that course of
8training.
9    (d) A commissioner of a drainage district may satisfy the
10training requirements of this Section by participating in a
11course of training sponsored or conducted by an organization
12that represents the drainage districts created under the
13Illinois Drainage Code. The course of training shall include,
14but not be limited to, instruction in:
15        (1) the general background of the legal requirements
16    for open meetings;
17        (2) the applicability of this Act to public bodies;
18        (3) procedures and requirements regarding quorums,
19    notice, and record-keeping under this Act;
20        (4) procedures and requirements for holding an open
21    meeting and for holding a closed meeting under this Act;
22    and
23        (5) penalties and other consequences for failing to
24    comply with this Act.
25    If an organization that represents the drainage districts
26created under the Illinois Drainage Code provides a course of

 

 

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1training under this subsection (d), it must provide a
2certificate of course completion to each commissioner who
3successfully completes that course of training.
4    (e) A director of a soil and water conservation district
5may satisfy the training requirements of this Section by
6participating in a course of training sponsored or conducted
7by an organization that represents soil and water conservation
8districts created under the Soil and Water Conservation
9Districts Act. The course of training shall include, but not
10be limited to, instruction in:
11        (1) the general background of the legal requirements
12    for open meetings;
13        (2) the applicability of this Act to public bodies;
14        (3) procedures and requirements regarding quorums,
15    notice, and record-keeping under this Act;
16        (4) procedures and requirements for holding an open
17    meeting and for holding a closed meeting under this Act;
18    and
19        (5) penalties and other consequences for failing to
20    comply with this Act.
21    If an organization that represents the soil and water
22conservation districts created under the Soil and Water
23Conservation Districts Act provides a course of training under
24this subsection (e), it must provide a certificate of course
25completion to each director who successfully completes that
26course of training.

 

 

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1    (f) An elected or appointed member of a public body of a
2park district, forest preserve district, or conservation
3district may satisfy the training requirements of this Section
4by participating in a course of training sponsored or
5conducted by an organization that represents the park
6districts created in the Park District Code. The course of
7training shall include, but not be limited to, instruction in:
8        (1) the general background of the legal requirements
9    for open meetings;
10        (2) the applicability of this Act to public bodies;
11        (3) procedures and requirements regarding quorums,
12    notice, and record-keeping under this Act;
13        (4) procedures and requirements for holding an open
14    meeting and for holding a closed meeting under this Act;
15    and
16        (5) penalties and other consequences for failing to
17    comply with this Act.
18    If an organization that represents the park districts
19created in the Park District Code provides a course of
20training under this subsection (f), it must provide a
21certificate of course completion to each elected or appointed
22member of a public body who successfully completes that course
23of training.
24    (g) An elected or appointed member of the board of
25trustees of a fire protection district may satisfy the
26training requirements of this Section by participating in a

 

 

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1course of training sponsored or conducted by an organization
2that represents fire protection districts created under the
3Fire Protection District Act. The course of training shall
4include, but not be limited to, instruction in:
5        (1) the general background of the legal requirements
6    for open meetings;
7        (2) the applicability of this Act to public bodies;
8        (3) procedures and requirements regarding quorums,
9    notice, and record-keeping under this Act;
10        (4) procedures and requirements for holding an open
11    meeting and for holding a closed meeting under this Act;
12    and
13        (5) penalties and other consequences for failing to
14    comply with this Act.
15    If an organization that represents fire protection
16districts organized under the Fire Protection District Act
17provides a course of training under this subsection (g), it
18must provide a certificate of course completion to each
19elected or appointed member of a board of trustees who
20successfully completes that course of training.
21    (h) (g) An elected or appointed member of a public body of
22a municipality may satisfy the training requirements of this
23Section by participating in a course of training sponsored or
24conducted by an organization that represents municipalities as
25designated in Section 1-8-1 of the Illinois Municipal Code.
26The course of training shall include, but not be limited to,

 

 

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1instruction in:
2        (1) the general background of the legal requirements
3    for open meetings;
4        (2) the applicability of this Act to public bodies;
5        (3) procedures and requirements regarding quorums,
6    notice, and record-keeping under this Act;
7        (4) procedures and requirements for holding an open
8    meeting and for holding a closed meeting under this Act;
9    and
10        (5) penalties and other consequences for failing to
11    comply with this Act.
12    If an organization that represents municipalities as
13designated in Section 1-8-1 of the Illinois Municipal Code
14provides a course of training under this subsection (h) (g),
15it must provide a certificate of course completion to each
16elected or appointed member of a public body who successfully
17completes that course of training.
18(Source: P.A. 100-1127, eff. 11-27-18; 101-233, eff. 1-1-20;
19revised 9-27-19.)
 
20    (5 ILCS 120/2)  (from Ch. 102, par. 42)
21    Sec. 2. Open meetings.
22    (a) Openness required. All meetings of public bodies shall
23be open to the public unless excepted in subsection (c) and
24closed in accordance with Section 2a.
25    (b) Construction of exceptions. The exceptions contained

 

 

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1in subsection (c) are in derogation of the requirement that
2public bodies meet in the open, and therefore, the exceptions
3are to be strictly construed, extending only to subjects
4clearly within their scope. The exceptions authorize but do
5not require the holding of a closed meeting to discuss a
6subject included within an enumerated exception.
7    (c) Exceptions. A public body may hold closed meetings to
8consider the following subjects:
9        (1) The appointment, employment, compensation,
10    discipline, performance, or dismissal of specific
11    employees, specific individuals who serve as independent
12    contractors in a park, recreational, or educational
13    setting, or specific volunteers of the public body or
14    legal counsel for the public body, including hearing
15    testimony on a complaint lodged against an employee, a
16    specific individual who serves as an independent
17    contractor in a park, recreational, or educational
18    setting, or a volunteer of the public body or against
19    legal counsel for the public body to determine its
20    validity. However, a meeting to consider an increase in
21    compensation to a specific employee of a public body that
22    is subject to the Local Government Wage Increase
23    Transparency Act may not be closed and shall be open to the
24    public and posted and held in accordance with this Act.
25        (2) Collective negotiating matters between the public
26    body and its employees or their representatives, or

 

 

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1    deliberations concerning salary schedules for one or more
2    classes of employees.
3        (3) The selection of a person to fill a public office,
4    as defined in this Act, including a vacancy in a public
5    office, when the public body is given power to appoint
6    under law or ordinance, or the discipline, performance or
7    removal of the occupant of a public office, when the
8    public body is given power to remove the occupant under
9    law or ordinance.
10        (4) Evidence or testimony presented in open hearing,
11    or in closed hearing where specifically authorized by law,
12    to a quasi-adjudicative body, as defined in this Act,
13    provided that the body prepares and makes available for
14    public inspection a written decision setting forth its
15    determinative reasoning.
16        (5) The purchase or lease of real property for the use
17    of the public body, including meetings held for the
18    purpose of discussing whether a particular parcel should
19    be acquired.
20        (6) The setting of a price for sale or lease of
21    property owned by the public body.
22        (7) The sale or purchase of securities, investments,
23    or investment contracts. This exception shall not apply to
24    the investment of assets or income of funds deposited into
25    the Illinois Prepaid Tuition Trust Fund.
26        (8) Security procedures, school building safety and

 

 

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1    security, and the use of personnel and equipment to
2    respond to an actual, a threatened, or a reasonably
3    potential danger to the safety of employees, students,
4    staff, the public, or public property.
5        (9) Student disciplinary cases.
6        (10) The placement of individual students in special
7    education programs and other matters relating to
8    individual students.
9        (11) Litigation, when an action against, affecting or
10    on behalf of the particular public body has been filed and
11    is pending before a court or administrative tribunal, or
12    when the public body finds that an action is probable or
13    imminent, in which case the basis for the finding shall be
14    recorded and entered into the minutes of the closed
15    meeting.
16        (12) The establishment of reserves or settlement of
17    claims as provided in the Local Governmental and
18    Governmental Employees Tort Immunity Act, if otherwise the
19    disposition of a claim or potential claim might be
20    prejudiced, or the review or discussion of claims, loss or
21    risk management information, records, data, advice or
22    communications from or with respect to any insurer of the
23    public body or any intergovernmental risk management
24    association or self insurance pool of which the public
25    body is a member.
26        (13) Conciliation of complaints of discrimination in

 

 

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1    the sale or rental of housing, when closed meetings are
2    authorized by the law or ordinance prescribing fair
3    housing practices and creating a commission or
4    administrative agency for their enforcement.
5        (14) Informant sources, the hiring or assignment of
6    undercover personnel or equipment, or ongoing, prior or
7    future criminal investigations, when discussed by a public
8    body with criminal investigatory responsibilities.
9        (15) Professional ethics or performance when
10    considered by an advisory body appointed to advise a
11    licensing or regulatory agency on matters germane to the
12    advisory body's field of competence.
13        (16) Self evaluation, practices and procedures or
14    professional ethics, when meeting with a representative of
15    a statewide association of which the public body is a
16    member.
17        (17) The recruitment, credentialing, discipline or
18    formal peer review of physicians or other health care
19    professionals, or for the discussion of matters protected
20    under the federal Patient Safety and Quality Improvement
21    Act of 2005, and the regulations promulgated thereunder,
22    including 42 C.F.R. Part 3 (73 FR 70732), or the federal
23    Health Insurance Portability and Accountability Act of
24    1996, and the regulations promulgated thereunder,
25    including 45 C.F.R. Parts 160, 162, and 164, by a
26    hospital, or other institution providing medical care,

 

 

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1    that is operated by the public body.
2        (18) Deliberations for decisions of the Prisoner
3    Review Board.
4        (19) Review or discussion of applications received
5    under the Experimental Organ Transplantation Procedures
6    Act.
7        (20) The classification and discussion of matters
8    classified as confidential or continued confidential by
9    the State Government Suggestion Award Board.
10        (21) Discussion of minutes of meetings lawfully closed
11    under this Act, whether for purposes of approval by the
12    body of the minutes or semi-annual review of the minutes
13    as mandated by Section 2.06.
14        (22) Deliberations for decisions of the State
15    Emergency Medical Services Disciplinary Review Board.
16        (23) The operation by a municipality of a municipal
17    utility or the operation of a municipal power agency or
18    municipal natural gas agency when the discussion involves
19    (i) contracts relating to the purchase, sale, or delivery
20    of electricity or natural gas or (ii) the results or
21    conclusions of load forecast studies.
22        (24) Meetings of a residential health care facility
23    resident sexual assault and death review team or the
24    Executive Council under the Abuse Prevention Review Team
25    Act.
26        (25) Meetings of an independent team of experts under

 

 

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1    Brian's Law.
2        (26) Meetings of a mortality review team appointed
3    under the Department of Juvenile Justice Mortality Review
4    Team Act.
5        (27) (Blank).
6        (28) Correspondence and records (i) that may not be
7    disclosed under Section 11-9 of the Illinois Public Aid
8    Code or (ii) that pertain to appeals under Section 11-8 of
9    the Illinois Public Aid Code.
10        (29) Meetings between internal or external auditors
11    and governmental audit committees, finance committees, and
12    their equivalents, when the discussion involves internal
13    control weaknesses, identification of potential fraud risk
14    areas, known or suspected frauds, and fraud interviews
15    conducted in accordance with generally accepted auditing
16    standards of the United States of America.
17        (30) Those meetings or portions of meetings of a
18    fatality review team or the Illinois Fatality Review Team
19    Advisory Council during which a review of the death of an
20    eligible adult in which abuse or neglect is suspected,
21    alleged, or substantiated is conducted pursuant to Section
22    15 of the Adult Protective Services Act.
23        (31) Meetings and deliberations for decisions of the
24    Concealed Carry Licensing Review Board under the Firearm
25    Concealed Carry Act.
26        (32) Meetings between the Regional Transportation

 

 

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1    Authority Board and its Service Boards when the discussion
2    involves review by the Regional Transportation Authority
3    Board of employment contracts under Section 28d of the
4    Metropolitan Transit Authority Act and Sections 3A.18 and
5    3B.26 of the Regional Transportation Authority Act.
6        (33) Those meetings or portions of meetings of the
7    advisory committee and peer review subcommittee created
8    under Section 320 of the Illinois Controlled Substances
9    Act during which specific controlled substance prescriber,
10    dispenser, or patient information is discussed.
11        (34) Meetings of the Tax Increment Financing Reform
12    Task Force under Section 2505-800 of the Department of
13    Revenue Law of the Civil Administrative Code of Illinois.
14        (35) Meetings of the group established to discuss
15    Medicaid capitation rates under Section 5-30.8 of the
16    Illinois Public Aid Code.
17        (36) Those deliberations or portions of deliberations
18    for decisions of the Illinois Gaming Board in which there
19    is discussed any of the following: (i) personal,
20    commercial, financial, or other information obtained from
21    any source that is privileged, proprietary, confidential,
22    or a trade secret; or (ii) information specifically
23    exempted from the disclosure by federal or State law.
24    (d) Definitions. For purposes of this Section:
25    "Employee" means a person employed by a public body whose
26relationship with the public body constitutes an

 

 

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1employer-employee relationship under the usual common law
2rules, and who is not an independent contractor.
3    "Public office" means a position created by or under the
4Constitution or laws of this State, the occupant of which is
5charged with the exercise of some portion of the sovereign
6power of this State. The term "public office" shall include
7members of the public body, but it shall not include
8organizational positions filled by members thereof, whether
9established by law or by a public body itself, that exist to
10assist the body in the conduct of its business.
11    "Quasi-adjudicative body" means an administrative body
12charged by law or ordinance with the responsibility to conduct
13hearings, receive evidence or testimony and make
14determinations based thereon, but does not include local
15electoral boards when such bodies are considering petition
16challenges.
17    (e) Final action. No final action may be taken at a closed
18meeting. Final action shall be preceded by a public recital of
19the nature of the matter being considered and other
20information that will inform the public of the business being
21conducted.
22(Source: P.A. 100-201, eff. 8-18-17; 100-465, eff. 8-31-17;
23100-646, eff. 7-27-18; 101-31, eff. 6-28-19; 101-459, eff.
248-23-19; revised 9-27-19.)
 
25    Section 20. The Freedom of Information Act is amended by

 

 

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1changing Section 7 as follows:
 
2    (5 ILCS 140/7)  (from Ch. 116, par. 207)
3    Sec. 7. Exemptions.
4    (1) When a request is made to inspect or copy a public
5record that contains information that is exempt from
6disclosure under this Section, but also contains information
7that is not exempt from disclosure, the public body may elect
8to redact the information that is exempt. The public body
9shall make the remaining information available for inspection
10and copying. Subject to this requirement, the following shall
11be exempt from inspection and copying:
12        (a) Information specifically prohibited from
13    disclosure by federal or State law or rules and
14    regulations implementing federal or State law.
15        (b) Private information, unless disclosure is required
16    by another provision of this Act, a State or federal law or
17    a court order.
18        (b-5) Files, documents, and other data or databases
19    maintained by one or more law enforcement agencies and
20    specifically designed to provide information to one or
21    more law enforcement agencies regarding the physical or
22    mental status of one or more individual subjects.
23        (c) Personal information contained within public
24    records, the disclosure of which would constitute a
25    clearly unwarranted invasion of personal privacy, unless

 

 

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1    the disclosure is consented to in writing by the
2    individual subjects of the information. "Unwarranted
3    invasion of personal privacy" means the disclosure of
4    information that is highly personal or objectionable to a
5    reasonable person and in which the subject's right to
6    privacy outweighs any legitimate public interest in
7    obtaining the information. The disclosure of information
8    that bears on the public duties of public employees and
9    officials shall not be considered an invasion of personal
10    privacy.
11        (d) Records in the possession of any public body
12    created in the course of administrative enforcement
13    proceedings, and any law enforcement or correctional
14    agency for law enforcement purposes, but only to the
15    extent that disclosure would:
16            (i) interfere with pending or actually and
17        reasonably contemplated law enforcement proceedings
18        conducted by any law enforcement or correctional
19        agency that is the recipient of the request;
20            (ii) interfere with active administrative
21        enforcement proceedings conducted by the public body
22        that is the recipient of the request;
23            (iii) create a substantial likelihood that a
24        person will be deprived of a fair trial or an impartial
25        hearing;
26            (iv) unavoidably disclose the identity of a

 

 

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1        confidential source, confidential information
2        furnished only by the confidential source, or persons
3        who file complaints with or provide information to
4        administrative, investigative, law enforcement, or
5        penal agencies; except that the identities of
6        witnesses to traffic accidents, traffic accident
7        reports, and rescue reports shall be provided by
8        agencies of local government, except when disclosure
9        would interfere with an active criminal investigation
10        conducted by the agency that is the recipient of the
11        request;
12            (v) disclose unique or specialized investigative
13        techniques other than those generally used and known
14        or disclose internal documents of correctional
15        agencies related to detection, observation or
16        investigation of incidents of crime or misconduct, and
17        disclosure would result in demonstrable harm to the
18        agency or public body that is the recipient of the
19        request;
20            (vi) endanger the life or physical safety of law
21        enforcement personnel or any other person; or
22            (vii) obstruct an ongoing criminal investigation
23        by the agency that is the recipient of the request.
24        (d-5) A law enforcement record created for law
25    enforcement purposes and contained in a shared electronic
26    record management system if the law enforcement agency

 

 

SB2435- 25 -LRB102 04062 AMC 14078 b

1    that is the recipient of the request did not create the
2    record, did not participate in or have a role in any of the
3    events which are the subject of the record, and only has
4    access to the record through the shared electronic record
5    management system.
6        (e) Records that relate to or affect the security of
7    correctional institutions and detention facilities.
8        (e-5) Records requested by persons committed to the
9    Department of Corrections, Department of Human Services
10    Division of Mental Health, or a county jail if those
11    materials are available in the library of the correctional
12    institution or facility or jail where the inmate is
13    confined.
14        (e-6) Records requested by persons committed to the
15    Department of Corrections, Department of Human Services
16    Division of Mental Health, or a county jail if those
17    materials include records from staff members' personnel
18    files, staff rosters, or other staffing assignment
19    information.
20        (e-7) Records requested by persons committed to the
21    Department of Corrections or Department of Human Services
22    Division of Mental Health if those materials are available
23    through an administrative request to the Department of
24    Corrections or Department of Human Services Division of
25    Mental Health.
26        (e-8) Records requested by a person committed to the

 

 

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1    Department of Corrections, Department of Human Services
2    Division of Mental Health, or a county jail, the
3    disclosure of which would result in the risk of harm to any
4    person or the risk of an escape from a jail or correctional
5    institution or facility.
6        (e-9) Records requested by a person in a county jail
7    or committed to the Department of Corrections or
8    Department of Human Services Division of Mental Health,
9    containing personal information pertaining to the person's
10    victim or the victim's family, including, but not limited
11    to, a victim's home address, home telephone number, work
12    or school address, work telephone number, social security
13    number, or any other identifying information, except as
14    may be relevant to a requester's current or potential case
15    or claim.
16        (e-10) Law enforcement records of other persons
17    requested by a person committed to the Department of
18    Corrections, Department of Human Services Division of
19    Mental Health, or a county jail, including, but not
20    limited to, arrest and booking records, mug shots, and
21    crime scene photographs, except as these records may be
22    relevant to the requester's current or potential case or
23    claim.
24        (f) Preliminary drafts, notes, recommendations,
25    memoranda and other records in which opinions are
26    expressed, or policies or actions are formulated, except

 

 

SB2435- 27 -LRB102 04062 AMC 14078 b

1    that a specific record or relevant portion of a record
2    shall not be exempt when the record is publicly cited and
3    identified by the head of the public body. The exemption
4    provided in this paragraph (f) extends to all those
5    records of officers and agencies of the General Assembly
6    that pertain to the preparation of legislative documents.
7        (g) Trade secrets and commercial or financial
8    information obtained from a person or business where the
9    trade secrets or commercial or financial information are
10    furnished under a claim that they are proprietary,
11    privileged, or confidential, and that disclosure of the
12    trade secrets or commercial or financial information would
13    cause competitive harm to the person or business, and only
14    insofar as the claim directly applies to the records
15    requested.
16        The information included under this exemption includes
17    all trade secrets and commercial or financial information
18    obtained by a public body, including a public pension
19    fund, from a private equity fund or a privately held
20    company within the investment portfolio of a private
21    equity fund as a result of either investing or evaluating
22    a potential investment of public funds in a private equity
23    fund. The exemption contained in this item does not apply
24    to the aggregate financial performance information of a
25    private equity fund, nor to the identity of the fund's
26    managers or general partners. The exemption contained in

 

 

SB2435- 28 -LRB102 04062 AMC 14078 b

1    this item does not apply to the identity of a privately
2    held company within the investment portfolio of a private
3    equity fund, unless the disclosure of the identity of a
4    privately held company may cause competitive harm.
5        Nothing contained in this paragraph (g) shall be
6    construed to prevent a person or business from consenting
7    to disclosure.
8        (h) Proposals and bids for any contract, grant, or
9    agreement, including information which if it were
10    disclosed would frustrate procurement or give an advantage
11    to any person proposing to enter into a contractor
12    agreement with the body, until an award or final selection
13    is made. Information prepared by or for the body in
14    preparation of a bid solicitation shall be exempt until an
15    award or final selection is made.
16        (i) Valuable formulae, computer geographic systems,
17    designs, drawings and research data obtained or produced
18    by any public body when disclosure could reasonably be
19    expected to produce private gain or public loss. The
20    exemption for "computer geographic systems" provided in
21    this paragraph (i) does not extend to requests made by
22    news media as defined in Section 2 of this Act when the
23    requested information is not otherwise exempt and the only
24    purpose of the request is to access and disseminate
25    information regarding the health, safety, welfare, or
26    legal rights of the general public.

 

 

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1        (j) The following information pertaining to
2    educational matters:
3            (i) test questions, scoring keys and other
4        examination data used to administer an academic
5        examination;
6            (ii) information received by a primary or
7        secondary school, college, or university under its
8        procedures for the evaluation of faculty members by
9        their academic peers;
10            (iii) information concerning a school or
11        university's adjudication of student disciplinary
12        cases, but only to the extent that disclosure would
13        unavoidably reveal the identity of the student; and
14            (iv) course materials or research materials used
15        by faculty members.
16        (k) Architects' plans, engineers' technical
17    submissions, and other construction related technical
18    documents for projects not constructed or developed in
19    whole or in part with public funds and the same for
20    projects constructed or developed with public funds,
21    including, but not limited to, power generating and
22    distribution stations and other transmission and
23    distribution facilities, water treatment facilities,
24    airport facilities, sport stadiums, convention centers,
25    and all government owned, operated, or occupied buildings,
26    but only to the extent that disclosure would compromise

 

 

SB2435- 30 -LRB102 04062 AMC 14078 b

1    security.
2        (l) Minutes of meetings of public bodies closed to the
3    public as provided in the Open Meetings Act until the
4    public body makes the minutes available to the public
5    under Section 2.06 of the Open Meetings Act.
6        (m) Communications between a public body and an
7    attorney or auditor representing the public body that
8    would not be subject to discovery in litigation, and
9    materials prepared or compiled by or for a public body in
10    anticipation of a criminal, civil, or administrative
11    proceeding upon the request of an attorney advising the
12    public body, and materials prepared or compiled with
13    respect to internal audits of public bodies.
14        (n) Records relating to a public body's adjudication
15    of employee grievances or disciplinary cases; however,
16    this exemption shall not extend to the final outcome of
17    cases in which discipline is imposed.
18        (o) Administrative or technical information associated
19    with automated data processing operations, including, but
20    not limited to, software, operating protocols, computer
21    program abstracts, file layouts, source listings, object
22    modules, load modules, user guides, documentation
23    pertaining to all logical and physical design of
24    computerized systems, employee manuals, and any other
25    information that, if disclosed, would jeopardize the
26    security of the system or its data or the security of

 

 

SB2435- 31 -LRB102 04062 AMC 14078 b

1    materials exempt under this Section.
2        (p) Records relating to collective negotiating matters
3    between public bodies and their employees or
4    representatives, except that any final contract or
5    agreement shall be subject to inspection and copying.
6        (q) Test questions, scoring keys, and other
7    examination data used to determine the qualifications of
8    an applicant for a license or employment.
9        (r) The records, documents, and information relating
10    to real estate purchase negotiations until those
11    negotiations have been completed or otherwise terminated.
12    With regard to a parcel involved in a pending or actually
13    and reasonably contemplated eminent domain proceeding
14    under the Eminent Domain Act, records, documents, and
15    information relating to that parcel shall be exempt except
16    as may be allowed under discovery rules adopted by the
17    Illinois Supreme Court. The records, documents, and
18    information relating to a real estate sale shall be exempt
19    until a sale is consummated.
20        (s) Any and all proprietary information and records
21    related to the operation of an intergovernmental risk
22    management association or self-insurance pool or jointly
23    self-administered health and accident cooperative or pool.
24    Insurance or self insurance (including any
25    intergovernmental risk management association or self
26    insurance pool) claims, loss or risk management

 

 

SB2435- 32 -LRB102 04062 AMC 14078 b

1    information, records, data, advice or communications.
2        (t) Information contained in or related to
3    examination, operating, or condition reports prepared by,
4    on behalf of, or for the use of a public body responsible
5    for the regulation or supervision of financial
6    institutions, insurance companies, or pharmacy benefit
7    managers, unless disclosure is otherwise required by State
8    law.
9        (u) Information that would disclose or might lead to
10    the disclosure of secret or confidential information,
11    codes, algorithms, programs, or private keys intended to
12    be used to create electronic or digital signatures under
13    the Electronic Commerce Security Act.
14        (v) Vulnerability assessments, security measures, and
15    response policies or plans that are designed to identify,
16    prevent, or respond to potential attacks upon a
17    community's population or systems, facilities, or
18    installations, the destruction or contamination of which
19    would constitute a clear and present danger to the health
20    or safety of the community, but only to the extent that
21    disclosure could reasonably be expected to jeopardize the
22    effectiveness of the measures or the safety of the
23    personnel who implement them or the public. Information
24    exempt under this item may include such things as details
25    pertaining to the mobilization or deployment of personnel
26    or equipment, to the operation of communication systems or

 

 

SB2435- 33 -LRB102 04062 AMC 14078 b

1    protocols, or to tactical operations.
2        (w) (Blank).
3        (x) Maps and other records regarding the location or
4    security of generation, transmission, distribution,
5    storage, gathering, treatment, or switching facilities
6    owned by a utility, by a power generator, or by the
7    Illinois Power Agency.
8        (y) Information contained in or related to proposals,
9    bids, or negotiations related to electric power
10    procurement under Section 1-75 of the Illinois Power
11    Agency Act and Section 16-111.5 of the Public Utilities
12    Act that is determined to be confidential and proprietary
13    by the Illinois Power Agency or by the Illinois Commerce
14    Commission.
15        (z) Information about students exempted from
16    disclosure under Sections 10-20.38 or 34-18.29 of the
17    School Code, and information about undergraduate students
18    enrolled at an institution of higher education exempted
19    from disclosure under Section 25 of the Illinois Credit
20    Card Marketing Act of 2009.
21        (aa) Information the disclosure of which is exempted
22    under the Viatical Settlements Act of 2009.
23        (bb) Records and information provided to a mortality
24    review team and records maintained by a mortality review
25    team appointed under the Department of Juvenile Justice
26    Mortality Review Team Act.

 

 

SB2435- 34 -LRB102 04062 AMC 14078 b

1        (cc) Information regarding interments, entombments, or
2    inurnments of human remains that are submitted to the
3    Cemetery Oversight Database under the Cemetery Care Act or
4    the Cemetery Oversight Act, whichever is applicable.
5        (dd) Correspondence and records (i) that may not be
6    disclosed under Section 11-9 of the Illinois Public Aid
7    Code or (ii) that pertain to appeals under Section 11-8 of
8    the Illinois Public Aid Code.
9        (ee) The names, addresses, or other personal
10    information of persons who are minors and are also
11    participants and registrants in programs of park
12    districts, forest preserve districts, conservation
13    districts, recreation agencies, and special recreation
14    associations.
15        (ff) The names, addresses, or other personal
16    information of participants and registrants in programs of
17    park districts, forest preserve districts, conservation
18    districts, recreation agencies, and special recreation
19    associations where such programs are targeted primarily to
20    minors.
21        (gg) Confidential information described in Section
22    1-100 of the Illinois Independent Tax Tribunal Act of
23    2012.
24        (hh) The report submitted to the State Board of
25    Education by the School Security and Standards Task Force
26    under item (8) of subsection (d) of Section 2-3.160 of the

 

 

SB2435- 35 -LRB102 04062 AMC 14078 b

1    School Code and any information contained in that report.
2        (ii) Records requested by persons committed to or
3    detained by the Department of Human Services under the
4    Sexually Violent Persons Commitment Act or committed to
5    the Department of Corrections under the Sexually Dangerous
6    Persons Act if those materials: (i) are available in the
7    library of the facility where the individual is confined;
8    (ii) include records from staff members' personnel files,
9    staff rosters, or other staffing assignment information;
10    or (iii) are available through an administrative request
11    to the Department of Human Services or the Department of
12    Corrections.
13        (jj) Confidential information described in Section
14    5-535 of the Civil Administrative Code of Illinois.
15        (kk) The public body's credit card numbers, debit card
16    numbers, bank account numbers, Federal Employer
17    Identification Number, security code numbers, passwords,
18    and similar account information, the disclosure of which
19    could result in identity theft or impression or defrauding
20    of a governmental entity or a person.
21        (ll) (kk) Records concerning the work of the threat
22    assessment team of a school district.
23    (1.5) Any information exempt from disclosure under the
24Judicial Privacy Act shall be redacted from public records
25prior to disclosure under this Act.
26    (2) A public record that is not in the possession of a

 

 

SB2435- 36 -LRB102 04062 AMC 14078 b

1public body but is in the possession of a party with whom the
2agency has contracted to perform a governmental function on
3behalf of the public body, and that directly relates to the
4governmental function and is not otherwise exempt under this
5Act, shall be considered a public record of the public body,
6for purposes of this Act.
7    (3) This Section does not authorize withholding of
8information or limit the availability of records to the
9public, except as stated in this Section or otherwise provided
10in this Act.
11(Source: P.A. 100-26, eff. 8-4-17; 100-201, eff. 8-18-17;
12100-732, eff. 8-3-18; 101-434, eff. 1-1-20; 101-452, eff.
131-1-20; 101-455, eff. 8-23-19; revised 9-27-19.)
 
14    Section 25. The State Records Act is amended by changing
15Section 3 as follows:
 
16    (5 ILCS 160/3)  (from Ch. 116, par. 43.6)
17    Sec. 3. Records as property of State.
18    (a) All records created or received by or under the
19authority of or coming into the custody, control, or
20possession of public officials of this State in the course of
21their public duties are the property of the State. These
22records may not be mutilated, destroyed, transferred, removed,
23or otherwise damaged or disposed of, in whole or in part,
24except as provided by law. Any person shall have the right of

 

 

SB2435- 37 -LRB102 04062 AMC 14078 b

1access to any public records, unless access to the records is
2otherwise limited or prohibited by law. This subsection (a)
3does not apply to records that are subject to expungement
4under subsection subsections (1.5) and (1.6) of Section 5-915
5of the Juvenile Court Act of 1987.
6    (b) Reports and records of the obligation, receipt and use
7of public funds of the State are public records available for
8inspection by the public, except as access to such records is
9otherwise limited or prohibited by law or pursuant to law.
10These records shall be kept at the official place of business
11of the State or at a designated place of business of the State.
12These records shall be available for public inspection during
13regular office hours except when in immediate use by persons
14exercising official duties which require the use of those
15records. Nothing in this section shall require the State to
16invade or assist in the invasion of any person's right to
17privacy. Nothing in this Section shall be construed to limit
18any right given by statute or rule of law with respect to the
19inspection of other types of records.
20    Warrants and vouchers in the keeping of the State
21Comptroller may be destroyed by him as authorized in the
22Comptroller's Records Act "An Act in relation to the
23reproduction and destruction of records kept by the
24Comptroller", approved August 1, 1949, as now or hereafter
25amended after obtaining the approval of the State Records
26Commission.

 

 

SB2435- 38 -LRB102 04062 AMC 14078 b

1(Source: P.A. 98-637, eff. 1-1-15; revised 7-17-19.)
 
2    Section 30. The State Employees Group Insurance Act of
31971 is amended by changing Section 3 as follows:
 
4    (5 ILCS 375/3)  (from Ch. 127, par. 523)
5    Sec. 3. Definitions. Unless the context otherwise
6requires, the following words and phrases as used in this Act
7shall have the following meanings. The Department may define
8these and other words and phrases separately for the purpose
9of implementing specific programs providing benefits under
10this Act.
11    (a) "Administrative service organization" means any
12person, firm or corporation experienced in the handling of
13claims which is fully qualified, financially sound and capable
14of meeting the service requirements of a contract of
15administration executed with the Department.
16    (b) "Annuitant" means (1) an employee who retires, or has
17retired, on or after January 1, 1966 on an immediate annuity
18under the provisions of Articles 2, 14 (including an employee
19who has elected to receive an alternative retirement
20cancellation payment under Section 14-108.5 of the Illinois
21Pension Code in lieu of an annuity or who meets the criteria
22for retirement, but in lieu of receiving an annuity under that
23Article has elected to receive an accelerated pension benefit
24payment under Section 14-147.5 of that Article), 15 (including

 

 

SB2435- 39 -LRB102 04062 AMC 14078 b

1an employee who has retired under the optional retirement
2program established under Section 15-158.2 or who meets the
3criteria for retirement but in lieu of receiving an annuity
4under that Article has elected to receive an accelerated
5pension benefit payment under Section 15-185.5 of the
6Article), paragraphs (2), (3), or (5) of Section 16-106
7(including an employee who meets the criteria for retirement,
8but in lieu of receiving an annuity under that Article has
9elected to receive an accelerated pension benefit payment
10under Section 16-190.5 of the Illinois Pension Code), or
11Article 18 of the Illinois Pension Code; (2) any person who was
12receiving group insurance coverage under this Act as of March
1331, 1978 by reason of his status as an annuitant, even though
14the annuity in relation to which such coverage was provided is
15a proportional annuity based on less than the minimum period
16of service required for a retirement annuity in the system
17involved; (3) any person not otherwise covered by this Act who
18has retired as a participating member under Article 2 of the
19Illinois Pension Code but is ineligible for the retirement
20annuity under Section 2-119 of the Illinois Pension Code; (4)
21the spouse of any person who is receiving a retirement annuity
22under Article 18 of the Illinois Pension Code and who is
23covered under a group health insurance program sponsored by a
24governmental employer other than the State of Illinois and who
25has irrevocably elected to waive his or her coverage under
26this Act and to have his or her spouse considered as the

 

 

SB2435- 40 -LRB102 04062 AMC 14078 b

1"annuitant" under this Act and not as a "dependent"; or (5) an
2employee who retires, or has retired, from a qualified
3position, as determined according to rules promulgated by the
4Director, under a qualified local government, a qualified
5rehabilitation facility, a qualified domestic violence shelter
6or service, or a qualified child advocacy center. (For
7definition of "retired employee", see (p) post).
8    (b-5) (Blank).
9    (b-6) (Blank).
10    (b-7) (Blank).
11    (c) "Carrier" means (1) an insurance company, a
12corporation organized under the Limited Health Service
13Organization Act or the Voluntary Health Services Plans Plan
14Act, a partnership, or other nongovernmental organization,
15which is authorized to do group life or group health insurance
16business in Illinois, or (2) the State of Illinois as a
17self-insurer.
18    (d) "Compensation" means salary or wages payable on a
19regular payroll by the State Treasurer on a warrant of the
20State Comptroller out of any State, trust or federal fund, or
21by the Governor of the State through a disbursing officer of
22the State out of a trust or out of federal funds, or by any
23Department out of State, trust, federal or other funds held by
24the State Treasurer or the Department, to any person for
25personal services currently performed, and ordinary or
26accidental disability benefits under Articles 2, 14, 15

 

 

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1(including ordinary or accidental disability benefits under
2the optional retirement program established under Section
315-158.2), paragraphs (2), (3), or (5) of Section 16-106, or
4Article 18 of the Illinois Pension Code, for disability
5incurred after January 1, 1966, or benefits payable under the
6Workers' Compensation or Occupational Diseases Act or benefits
7payable under a sick pay plan established in accordance with
8Section 36 of the State Finance Act. "Compensation" also means
9salary or wages paid to an employee of any qualified local
10government, qualified rehabilitation facility, qualified
11domestic violence shelter or service, or qualified child
12advocacy center.
13    (e) "Commission" means the State Employees Group Insurance
14Advisory Commission authorized by this Act. Commencing July 1,
151984, "Commission" as used in this Act means the Commission on
16Government Forecasting and Accountability as established by
17the Legislative Commission Reorganization Act of 1984.
18    (f) "Contributory", when referred to as contributory
19coverage, shall mean optional coverages or benefits elected by
20the member toward the cost of which such member makes
21contribution, or which are funded in whole or in part through
22the acceptance of a reduction in earnings or the foregoing of
23an increase in earnings by an employee, as distinguished from
24noncontributory coverage or benefits which are paid entirely
25by the State of Illinois without reduction of the member's
26salary.

 

 

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1    (g) "Department" means any department, institution, board,
2commission, officer, court or any agency of the State
3government receiving appropriations and having power to
4certify payrolls to the Comptroller authorizing payments of
5salary and wages against such appropriations as are made by
6the General Assembly from any State fund, or against trust
7funds held by the State Treasurer and includes boards of
8trustees of the retirement systems created by Articles 2, 14,
915, 16, and 18 of the Illinois Pension Code. "Department" also
10includes the Illinois Comprehensive Health Insurance Board,
11the Board of Examiners established under the Illinois Public
12Accounting Act, and the Illinois Finance Authority.
13    (h) "Dependent", when the term is used in the context of
14the health and life plan, means a member's spouse and any child
15(1) from birth to age 26 including an adopted child, a child
16who lives with the member from the time of the placement for
17adoption until entry of an order of adoption, a stepchild or
18adjudicated child, or a child who lives with the member if such
19member is a court appointed guardian of the child or (2) age 19
20or over who has a mental or physical disability from a cause
21originating prior to the age of 19 (age 26 if enrolled as an
22adult child dependent). For the health plan only, the term
23"dependent" also includes (1) any person enrolled prior to the
24effective date of this Section who is dependent upon the
25member to the extent that the member may claim such person as a
26dependent for income tax deduction purposes and (2) any person

 

 

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1who has received after June 30, 2000 an organ transplant and
2who is financially dependent upon the member and eligible to
3be claimed as a dependent for income tax purposes. A member
4requesting to cover any dependent must provide documentation
5as requested by the Department of Central Management Services
6and file with the Department any and all forms required by the
7Department.
8    (i) "Director" means the Director of the Illinois
9Department of Central Management Services.
10    (j) "Eligibility period" means the period of time a member
11has to elect enrollment in programs or to select benefits
12without regard to age, sex or health.
13    (k) "Employee" means and includes each officer or employee
14in the service of a department who (1) receives his
15compensation for service rendered to the department on a
16warrant issued pursuant to a payroll certified by a department
17or on a warrant or check issued and drawn by a department upon
18a trust, federal or other fund or on a warrant issued pursuant
19to a payroll certified by an elected or duly appointed officer
20of the State or who receives payment of the performance of
21personal services on a warrant issued pursuant to a payroll
22certified by a Department and drawn by the Comptroller upon
23the State Treasurer against appropriations made by the General
24Assembly from any fund or against trust funds held by the State
25Treasurer, and (2) is employed full-time or part-time in a
26position normally requiring actual performance of duty during

 

 

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1not less than 1/2 of a normal work period, as established by
2the Director in cooperation with each department, except that
3persons elected by popular vote will be considered employees
4during the entire term for which they are elected regardless
5of hours devoted to the service of the State, and (3) except
6that "employee" does not include any person who is not
7eligible by reason of such person's employment to participate
8in one of the State retirement systems under Articles 2, 14, 15
9(either the regular Article 15 system or the optional
10retirement program established under Section 15-158.2), or 18,
11or under paragraph (2), (3), or (5) of Section 16-106, of the
12Illinois Pension Code, but such term does include persons who
13are employed during the 6 month qualifying period under
14Article 14 of the Illinois Pension Code. Such term also
15includes any person who (1) after January 1, 1966, is
16receiving ordinary or accidental disability benefits under
17Articles 2, 14, 15 (including ordinary or accidental
18disability benefits under the optional retirement program
19established under Section 15-158.2), paragraphs (2), (3), or
20(5) of Section 16-106, or Article 18 of the Illinois Pension
21Code, for disability incurred after January 1, 1966, (2)
22receives total permanent or total temporary disability under
23the Workers' Compensation Act or Occupational Disease Act as a
24result of injuries sustained or illness contracted in the
25course of employment with the State of Illinois, or (3) is not
26otherwise covered under this Act and has retired as a

 

 

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1participating member under Article 2 of the Illinois Pension
2Code but is ineligible for the retirement annuity under
3Section 2-119 of the Illinois Pension Code. However, a person
4who satisfies the criteria of the foregoing definition of
5"employee" except that such person is made ineligible to
6participate in the State Universities Retirement System by
7clause (4) of subsection (a) of Section 15-107 of the Illinois
8Pension Code is also an "employee" for the purposes of this
9Act. "Employee" also includes any person receiving or eligible
10for benefits under a sick pay plan established in accordance
11with Section 36 of the State Finance Act. "Employee" also
12includes (i) each officer or employee in the service of a
13qualified local government, including persons appointed as
14trustees of sanitary districts regardless of hours devoted to
15the service of the sanitary district, (ii) each employee in
16the service of a qualified rehabilitation facility, (iii) each
17full-time employee in the service of a qualified domestic
18violence shelter or service, and (iv) each full-time employee
19in the service of a qualified child advocacy center, as
20determined according to rules promulgated by the Director.
21    (l) "Member" means an employee, annuitant, retired
22employee or survivor. In the case of an annuitant or retired
23employee who first becomes an annuitant or retired employee on
24or after January 13, 2012 (the effective date of Public Act
2597-668) this amendatory Act of the 97th General Assembly, the
26individual must meet the minimum vesting requirements of the

 

 

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1applicable retirement system in order to be eligible for group
2insurance benefits under that system. In the case of a
3survivor who first becomes a survivor on or after January 13,
42012 (the effective date of Public Act 97-668) this amendatory
5Act of the 97th General Assembly, the deceased employee,
6annuitant, or retired employee upon whom the annuity is based
7must have been eligible to participate in the group insurance
8system under the applicable retirement system in order for the
9survivor to be eligible for group insurance benefits under
10that system.
11    (m) "Optional coverages or benefits" means those coverages
12or benefits available to the member on his or her voluntary
13election, and at his or her own expense.
14    (n) "Program" means the group life insurance, health
15benefits and other employee benefits designed and contracted
16for by the Director under this Act.
17    (o) "Health plan" means a health benefits program offered
18by the State of Illinois for persons eligible for the plan.
19    (p) "Retired employee" means any person who would be an
20annuitant as that term is defined herein but for the fact that
21such person retired prior to January 1, 1966. Such term also
22includes any person formerly employed by the University of
23Illinois in the Cooperative Extension Service who would be an
24annuitant but for the fact that such person was made
25ineligible to participate in the State Universities Retirement
26System by clause (4) of subsection (a) of Section 15-107 of the

 

 

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1Illinois Pension Code.
2    (q) "Survivor" means a person receiving an annuity as a
3survivor of an employee or of an annuitant. "Survivor" also
4includes: (1) the surviving dependent of a person who
5satisfies the definition of "employee" except that such person
6is made ineligible to participate in the State Universities
7Retirement System by clause (4) of subsection (a) of Section
815-107 of the Illinois Pension Code; (2) the surviving
9dependent of any person formerly employed by the University of
10Illinois in the Cooperative Extension Service who would be an
11annuitant except for the fact that such person was made
12ineligible to participate in the State Universities Retirement
13System by clause (4) of subsection (a) of Section 15-107 of the
14Illinois Pension Code; (3) the surviving dependent of a person
15who was an annuitant under this Act by virtue of receiving an
16alternative retirement cancellation payment under Section
1714-108.5 of the Illinois Pension Code; and (4) a person who
18would be receiving an annuity as a survivor of an annuitant
19except that the annuitant elected on or after June 4, 2018 to
20receive an accelerated pension benefit payment under Section
2114-147.5, 15-185.5, or 16-190.5 of the Illinois Pension Code
22in lieu of receiving an annuity.
23    (q-2) "SERS" means the State Employees' Retirement System
24of Illinois, created under Article 14 of the Illinois Pension
25Code.
26    (q-3) "SURS" means the State Universities Retirement

 

 

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1System, created under Article 15 of the Illinois Pension Code.
2    (q-4) "TRS" means the Teachers' Retirement System of the
3State of Illinois, created under Article 16 of the Illinois
4Pension Code.
5    (q-5) (Blank).
6    (q-6) (Blank).
7    (q-7) (Blank).
8    (r) "Medical services" means the services provided within
9the scope of their licenses by practitioners in all categories
10licensed under the Medical Practice Act of 1987.
11    (s) "Unit of local government" means any county,
12municipality, township, school district (including a
13combination of school districts under the Intergovernmental
14Cooperation Act), special district or other unit, designated
15as a unit of local government by law, which exercises limited
16governmental powers or powers in respect to limited
17governmental subjects, any not-for-profit association with a
18membership that primarily includes townships and township
19officials, that has duties that include provision of research
20service, dissemination of information, and other acts for the
21purpose of improving township government, and that is funded
22wholly or partly in accordance with Section 85-15 of the
23Township Code; any not-for-profit corporation or association,
24with a membership consisting primarily of municipalities, that
25operates its own utility system, and provides research,
26training, dissemination of information, or other acts to

 

 

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1promote cooperation between and among municipalities that
2provide utility services and for the advancement of the goals
3and purposes of its membership; the Southern Illinois
4Collegiate Common Market, which is a consortium of higher
5education institutions in Southern Illinois; the Illinois
6Association of Park Districts; and any hospital provider that
7is owned by a county that has 100 or fewer hospital beds and
8has not already joined the program. "Qualified local
9government" means a unit of local government approved by the
10Director and participating in a program created under
11subsection (i) of Section 10 of this Act.
12    (t) "Qualified rehabilitation facility" means any
13not-for-profit organization that is accredited by the
14Commission on Accreditation of Rehabilitation Facilities or
15certified by the Department of Human Services (as successor to
16the Department of Mental Health and Developmental
17Disabilities) to provide services to persons with disabilities
18and which receives funds from the State of Illinois for
19providing those services, approved by the Director and
20participating in a program created under subsection (j) of
21Section 10 of this Act.
22    (u) "Qualified domestic violence shelter or service" means
23any Illinois domestic violence shelter or service and its
24administrative offices funded by the Department of Human
25Services (as successor to the Illinois Department of Public
26Aid), approved by the Director and participating in a program

 

 

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1created under subsection (k) of Section 10.
2    (v) "TRS benefit recipient" means a person who:
3        (1) is not a "member" as defined in this Section; and
4        (2) is receiving a monthly benefit or retirement
5    annuity under Article 16 of the Illinois Pension Code or
6    would be receiving such monthly benefit or retirement
7    annuity except that the benefit recipient elected on or
8    after June 4, 2018 to receive an accelerated pension
9    benefit payment under Section 16-190.5 of the Illinois
10    Pension Code in lieu of receiving an annuity; and
11        (3) either (i) has at least 8 years of creditable
12    service under Article 16 of the Illinois Pension Code, or
13    (ii) was enrolled in the health insurance program offered
14    under that Article on January 1, 1996, or (iii) is the
15    survivor of a benefit recipient who had at least 8 years of
16    creditable service under Article 16 of the Illinois
17    Pension Code or was enrolled in the health insurance
18    program offered under that Article on June 21, 1995 (the
19    effective date of Public Act 89-25) this amendatory Act of
20    1995, or (iv) is a recipient or survivor of a recipient of
21    a disability benefit under Article 16 of the Illinois
22    Pension Code.
23    (w) "TRS dependent beneficiary" means a person who:
24        (1) is not a "member" or "dependent" as defined in
25    this Section; and
26        (2) is a TRS benefit recipient's: (A) spouse, (B)

 

 

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1    dependent parent who is receiving at least half of his or
2    her support from the TRS benefit recipient, or (C)
3    natural, step, adjudicated, or adopted child who is (i)
4    under age 26, (ii) was, on January 1, 1996, participating
5    as a dependent beneficiary in the health insurance program
6    offered under Article 16 of the Illinois Pension Code, or
7    (iii) age 19 or over who has a mental or physical
8    disability from a cause originating prior to the age of 19
9    (age 26 if enrolled as an adult child).
10    "TRS dependent beneficiary" does not include, as indicated
11under paragraph (2) of this subsection (w), a dependent of the
12survivor of a TRS benefit recipient who first becomes a
13dependent of a survivor of a TRS benefit recipient on or after
14January 13, 2012 (the effective date of Public Act 97-668)
15this amendatory Act of the 97th General Assembly unless that
16dependent would have been eligible for coverage as a dependent
17of the deceased TRS benefit recipient upon whom the survivor
18benefit is based.
19    (x) "Military leave" refers to individuals in basic
20training for reserves, special/advanced training, annual
21training, emergency call up, activation by the President of
22the United States, or any other training or duty in service to
23the United States Armed Forces.
24    (y) (Blank).
25    (z) "Community college benefit recipient" means a person
26who:

 

 

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1        (1) is not a "member" as defined in this Section; and
2        (2) is receiving a monthly survivor's annuity or
3    retirement annuity under Article 15 of the Illinois
4    Pension Code or would be receiving such monthly survivor's
5    annuity or retirement annuity except that the benefit
6    recipient elected on or after June 4, 2018 to receive an
7    accelerated pension benefit payment under Section 15-185.5
8    of the Illinois Pension Code in lieu of receiving an
9    annuity; and
10        (3) either (i) was a full-time employee of a community
11    college district or an association of community college
12    boards created under the Public Community College Act
13    (other than an employee whose last employer under Article
14    15 of the Illinois Pension Code was a community college
15    district subject to Article VII of the Public Community
16    College Act) and was eligible to participate in a group
17    health benefit plan as an employee during the time of
18    employment with a community college district (other than a
19    community college district subject to Article VII of the
20    Public Community College Act) or an association of
21    community college boards, or (ii) is the survivor of a
22    person described in item (i).
23    (aa) "Community college dependent beneficiary" means a
24person who:
25        (1) is not a "member" or "dependent" as defined in
26    this Section; and

 

 

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1        (2) is a community college benefit recipient's: (A)
2    spouse, (B) dependent parent who is receiving at least
3    half of his or her support from the community college
4    benefit recipient, or (C) natural, step, adjudicated, or
5    adopted child who is (i) under age 26, or (ii) age 19 or
6    over and has a mental or physical disability from a cause
7    originating prior to the age of 19 (age 26 if enrolled as
8    an adult child).
9    "Community college dependent beneficiary" does not
10include, as indicated under paragraph (2) of this subsection
11(aa), a dependent of the survivor of a community college
12benefit recipient who first becomes a dependent of a survivor
13of a community college benefit recipient on or after January
1413, 2012 (the effective date of Public Act 97-668) this
15amendatory Act of the 97th General Assembly unless that
16dependent would have been eligible for coverage as a dependent
17of the deceased community college benefit recipient upon whom
18the survivor annuity is based.
19    (bb) "Qualified child advocacy center" means any Illinois
20child advocacy center and its administrative offices funded by
21the Department of Children and Family Services, as defined by
22the Children's Advocacy Center Act (55 ILCS 80/), approved by
23the Director and participating in a program created under
24subsection (n) of Section 10.
25    (cc) "Placement for adoption" means the assumption and
26retention by a member of a legal obligation for total or

 

 

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1partial support of a child in anticipation of adoption of the
2child. The child's placement with the member terminates upon
3the termination of such legal obligation.
4(Source: P.A. 100-355, eff. 1-1-18; 100-587, eff. 6-4-18;
5101-242, eff. 8-9-19; revised 9-19-19.)
 
6    Section 40. The Illinois Governmental Ethics Act is
7amended by changing Section 4A-108 as follows:
 
8    (5 ILCS 420/4A-108)
9    Sec. 4A-108. Internet-based systems of filing.
10    (a) Notwithstanding any other provision of this Act or any
11other law, the Secretary of State and county clerks are
12authorized to institute an Internet-based system for the
13filing of statements of economic interests in their offices.
14With respect to county clerk systems, the determination to
15institute such a system shall be in the sole discretion of the
16county clerk and shall meet the requirements set out in this
17Section. With respect to a Secretary of State system, the
18determination to institute such a system shall be in the sole
19discretion of the Secretary of State and shall meet the
20requirements set out in this Section and those Sections of the
21State Officials and Employees Ethics Act requiring ethics
22officer review prior to filing. The system shall be capable of
23allowing an ethics officer to approve a statement of economic
24interests and shall include a means to amend a statement of

 

 

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1economic interests. When this Section does not modify or
2remove the requirements set forth elsewhere in this Article,
3those requirements shall apply to any system of Internet-based
4filing authorized by this Section. When this Section does
5modify or remove the requirements set forth elsewhere in this
6Article, the provisions of this Section shall apply to any
7system of Internet-based filing authorized by this Section.
8    (b) In any system of Internet-based filing of statements
9of economic interests instituted by the Secretary of State or
10a county clerk:
11        (1) Any filing of an Internet-based statement of
12    economic interests shall be the equivalent of the filing
13    of a verified, written statement of economic interests as
14    required by Section 4A-101 or 4A-101.5 and the equivalent
15    of the filing of a verified, dated, and signed statement
16    of economic interests as required by Section 4A-104.
17        (2) The Secretary of State and county clerks who
18    institute a system of Internet-based filing of statements
19    of economic interests shall establish a password-protected
20    website to receive the filings of such statements. A
21    website established under this Section shall set forth and
22    provide a means of responding to the items set forth in
23    Section 4A-102 that are required of a person who files a
24    statement of economic interests with that officer. A
25    website established under this Section shall set forth and
26    provide a means of generating a printable receipt page

 

 

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1    acknowledging filing.
2        (3) The times for the filing of statements of economic
3    interests set forth in Section 4A-105 shall be followed in
4    any system of Internet-based filing of statements of
5    economic interests; provided that a candidate for elective
6    office who is required to file a statement of economic
7    interests in relation to his or her candidacy pursuant to
8    Section 4A-105(a) shall receive a written or printed
9    receipt for his or her filing.
10        A candidate filing for Governor, Lieutenant Governor,
11    Attorney General, Secretary of State, Treasurer,
12    Comptroller, State Senate, or State House of
13    Representatives shall not use the Internet to file his or
14    her statement of economic interests, but shall file his or
15    her statement of economic interests in a written or
16    printed form and shall receive a written or printed
17    receipt for his or her filing. Annually, the duly
18    appointed ethics officer for each legislative caucus shall
19    certify to the Secretary of State whether his or her
20    caucus members will file their statements of economic
21    interests electronically or in a written or printed format
22    for that year. If the ethics officer for a caucus
23    certifies that the statements of economic interests shall
24    be written or printed, then members of the General
25    Assembly of that caucus shall not use the Internet to file
26    his or her statement of economic interests, but shall file

 

 

SB2435- 57 -LRB102 04062 AMC 14078 b

1    his or her statement of economic interests in a written or
2    printed form and shall receive a written or printed
3    receipt for his or her filing. If no certification is made
4    by an ethics officer for a legislative caucus, or if a
5    member of the General Assembly is not affiliated with a
6    legislative caucus, then the affected member or members of
7    the General Assembly may file their statements of economic
8    interests using the Internet.
9        (4) In the first year of the implementation of a
10    system of Internet-based filing of statements of economic
11    interests, each person required to file such a statement
12    is to be notified in writing of his or her obligation to
13    file his or her statement of economic interests by way of
14    the Internet-based system. If access to the website web
15    site requires a code or password, this information shall
16    be included in the notice prescribed by this paragraph.
17        (5) When a person required to file a statement of
18    economic interests has supplied the Secretary of State or
19    a county clerk, as applicable, with an email address for
20    the purpose of receiving notices under this Article by
21    email, a notice sent by email to the supplied email
22    address shall be the equivalent of a notice sent by first
23    class mail, as set forth in Section 4A-106 or 4A-106.5. A
24    person who has supplied such an email address shall notify
25    the Secretary of State or county clerk, as applicable,
26    when his or her email address changes or if he or she no

 

 

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1    longer wishes to receive notices by email.
2        (6) If any person who is required to file a statement
3    of economic interests and who has chosen to receive
4    notices by email fails to file his or her statement by May
5    10, then the Secretary of State or county clerk, as
6    applicable, shall send an additional email notice on that
7    date, informing the person that he or she has not filed and
8    describing the penalties for late filing and failing to
9    file. This notice shall be in addition to other notices
10    provided for in this Article.
11        (7) The Secretary of State and each county clerk who
12    institutes a system of Internet-based filing of statements
13    of economic interests may also institute an Internet-based
14    process for the filing of the list of names and addresses
15    of persons required to file statements of economic
16    interests by the chief administrative officers that must
17    file such information with the Secretary of State or
18    county clerk, as applicable, pursuant to Section 4A-106 or
19    4A-106.5. Whenever the Secretary of State or a county
20    clerk institutes such a system under this paragraph, every
21    chief administrative officer must use the system to file
22    this information.
23        (8) The Secretary of State and any county clerk who
24    institutes a system of Internet-based filing of statements
25    of economic interests shall post the contents of such
26    statements filed with him or her available for inspection

 

 

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1    and copying on a publicly accessible website. Such
2    postings shall not include the addresses or signatures of
3    the filers.
4(Source: P.A. 100-1041, eff. 1-1-19; 101-221, eff. 8-9-19;
5revised 9-12-19.)
 
6    Section 45. The State Officials and Employees Ethics Act
7is amended by changing Sections 20-10 and 25-10 as follows:
 
8    (5 ILCS 430/20-10)
9    Sec. 20-10. Offices of Executive Inspectors General.
10    (a) Five independent Offices of the Executive Inspector
11General are created, one each for the Governor, the Attorney
12General, the Secretary of State, the Comptroller, and the
13Treasurer. Each Office shall be under the direction and
14supervision of an Executive Inspector General and shall be a
15fully independent office with separate appropriations.
16    (b) The Governor, Attorney General, Secretary of State,
17Comptroller, and Treasurer shall each appoint an Executive
18Inspector General, without regard to political affiliation and
19solely on the basis of integrity and demonstrated ability.
20Appointments shall be made by and with the advice and consent
21of the Senate by three-fifths of the elected members
22concurring by record vote. Any nomination not acted upon by
23the Senate within 60 session days of the receipt thereof shall
24be deemed to have received the advice and consent of the

 

 

SB2435- 60 -LRB102 04062 AMC 14078 b

1Senate. If, during a recess of the Senate, there is a vacancy
2in an office of Executive Inspector General, the appointing
3authority shall make a temporary appointment until the next
4meeting of the Senate when the appointing authority shall make
5a nomination to fill that office. No person rejected for an
6office of Executive Inspector General shall, except by the
7Senate's request, be nominated again for that office at the
8same session of the Senate or be appointed to that office
9during a recess of that Senate.
10    Nothing in this Article precludes the appointment by the
11Governor, Attorney General, Secretary of State, Comptroller,
12or Treasurer of any other inspector general required or
13permitted by law. The Governor, Attorney General, Secretary of
14State, Comptroller, and Treasurer each may appoint an existing
15inspector general as the Executive Inspector General required
16by this Article, provided that such an inspector general is
17not prohibited by law, rule, jurisdiction, qualification, or
18interest from serving as the Executive Inspector General
19required by this Article. An appointing authority may not
20appoint a relative as an Executive Inspector General.
21    Each Executive Inspector General shall have the following
22qualifications:
23        (1) has not been convicted of any felony under the
24    laws of this State, another State, or the United States;
25        (2) has earned a baccalaureate degree from an
26    institution of higher education; and

 

 

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1        (3) has 5 or more years of cumulative service (A) with
2    a federal, State, or local law enforcement agency, at
3    least 2 years of which have been in a progressive
4    investigatory capacity; (B) as a federal, State, or local
5    prosecutor; (C) as a senior manager or executive of a
6    federal, State, or local agency; (D) as a member, an
7    officer, or a State or federal judge; or (E) representing
8    any combination of items (A) through (D).
9    The term of each initial Executive Inspector General shall
10commence upon qualification and shall run through June 30,
112008. The initial appointments shall be made within 60 days
12after the effective date of this Act.
13    After the initial term, each Executive Inspector General
14shall serve for 5-year terms commencing on July 1 of the year
15of appointment and running through June 30 of the fifth
16following year. An Executive Inspector General may be
17reappointed to one or more subsequent terms.
18    A vacancy occurring other than at the end of a term shall
19be filled by the appointing authority only for the balance of
20the term of the Executive Inspector General whose office is
21vacant.
22    Terms shall run regardless of whether the position is
23filled.
24    (c) The Executive Inspector General appointed by the
25Attorney General shall have jurisdiction over the Attorney
26General and all officers and employees of, and vendors and

 

 

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1others doing business with, State agencies within the
2jurisdiction of the Attorney General. The Executive Inspector
3General appointed by the Secretary of State shall have
4jurisdiction over the Secretary of State and all officers and
5employees of, and vendors and others doing business with,
6State agencies within the jurisdiction of the Secretary of
7State. The Executive Inspector General appointed by the
8Comptroller shall have jurisdiction over the Comptroller and
9all officers and employees of, and vendors and others doing
10business with, State agencies within the jurisdiction of the
11Comptroller. The Executive Inspector General appointed by the
12Treasurer shall have jurisdiction over the Treasurer and all
13officers and employees of, and vendors and others doing
14business with, State agencies within the jurisdiction of the
15Treasurer. The Executive Inspector General appointed by the
16Governor shall have jurisdiction over (i) the Governor, (ii)
17the Lieutenant Governor, (iii) all officers and employees of,
18and vendors and others doing business with, executive branch
19State agencies under the jurisdiction of the Executive Ethics
20Commission and not within the jurisdiction of the Attorney
21General, the Secretary of State, the Comptroller, or the
22Treasurer, and (iv) all board members and employees of the
23Regional Transit Boards and all vendors and others doing
24business with the Regional Transit Boards.
25    The jurisdiction of each Executive Inspector General is to
26investigate allegations of fraud, waste, abuse, mismanagement,

 

 

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1misconduct, nonfeasance, misfeasance, malfeasance, or
2violations of this Act or violations of other related laws and
3rules.
4    Each Executive Inspector General shall have jurisdiction
5over complainants in violation of subsection (e) of Section
620-63 for disclosing a summary report prepared by the
7respective Executive Inspector General.
8    (d) The compensation for each Executive Inspector General
9shall be determined by the Executive Ethics Commission and
10shall be made from appropriations made to the Comptroller for
11this purpose. Subject to Section 20-45 of this Act, each
12Executive Inspector General has full authority to organize his
13or her Office of the Executive Inspector General, including
14the employment and determination of the compensation of staff,
15such as deputies, assistants, and other employees, as
16appropriations permit. A separate appropriation shall be made
17for each Office of Executive Inspector General.
18    (e) No Executive Inspector General or employee of the
19Office of the Executive Inspector General may, during his or
20her term of appointment or employment:
21        (1) become a candidate for any elective office;
22        (2) hold any other elected or appointed public office
23    except for appointments on governmental advisory boards or
24    study commissions or as otherwise expressly authorized by
25    law;
26        (3) be actively involved in the affairs of any

 

 

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1    political party or political organization; or
2        (4) advocate for the appointment of another person to
3    an appointed or elected office or position or actively
4    participate in any campaign for any elective office.
5    In this subsection an appointed public office means a
6position authorized by law that is filled by an appointing
7authority as provided by law and does not include employment
8by hiring in the ordinary course of business.
9    (e-1) No Executive Inspector General or employee of the
10Office of the Executive Inspector General may, for one year
11after the termination of his or her appointment or employment:
12        (1) become a candidate for any elective office;
13        (2) hold any elected public office; or
14        (3) hold any appointed State, county, or local
15    judicial office.
16    (e-2) The requirements of item (3) of subsection (e-1) may
17be waived by the Executive Ethics Commission.
18    (f) An Executive Inspector General may be removed only for
19cause and may be removed only by the appointing constitutional
20officer. At the time of the removal, the appointing
21constitutional officer must report to the Executive Ethics
22Commission the justification for the removal.
23(Source: P.A. 101-221, eff. 8-9-19; revised 9-13-19.)
 
24    (5 ILCS 430/25-10)
25    Sec. 25-10. Office of Legislative Inspector General.

 

 

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1    (a) The independent Office of the Legislative Inspector
2General is created. The Office shall be under the direction
3and supervision of the Legislative Inspector General and shall
4be a fully independent office with its own appropriation.
5    (b) The Legislative Inspector General shall be appointed
6without regard to political affiliation and solely on the
7basis of integrity and demonstrated ability. The Legislative
8Ethics Commission shall diligently search out qualified
9candidates for Legislative Inspector General and shall make
10recommendations to the General Assembly. The Legislative
11Inspector General may serve in a full-time, part-time, or
12contractual capacity.
13    The Legislative Inspector General shall be appointed by a
14joint resolution of the Senate and the House of
15Representatives, which may specify the date on which the
16appointment takes effect. A joint resolution, or other
17document as may be specified by the Joint Rules of the General
18Assembly, appointing the Legislative Inspector General must be
19certified by the Speaker of the House of Representatives and
20the President of the Senate as having been adopted by the
21affirmative vote of three-fifths of the members elected to
22each house, respectively, and be filed with the Secretary of
23State. The appointment of the Legislative Inspector General
24takes effect on the day the appointment is completed by the
25General Assembly, unless the appointment specifies a later
26date on which it is to become effective.

 

 

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1    The Legislative Inspector General shall have the following
2qualifications:
3        (1) has not been convicted of any felony under the
4    laws of this State, another state, or the United States;
5        (2) has earned a baccalaureate degree from an
6    institution of higher education; and
7        (3) has 5 or more years of cumulative service (A) with
8    a federal, State, or local law enforcement agency, at
9    least 2 years of which have been in a progressive
10    investigatory capacity; (B) as a federal, State, or local
11    prosecutor; (C) as a senior manager or executive of a
12    federal, State, or local agency; (D) as a member, an
13    officer, or a State or federal judge; or (E) representing
14    any combination of items (A) through (D).
15    The Legislative Inspector General may not be a relative of
16a commissioner.
17    The term of the initial Legislative Inspector General
18shall commence upon qualification and shall run through June
1930, 2008.
20    After the initial term, the Legislative Inspector General
21shall serve for 5-year terms commencing on July 1 of the year
22of appointment and running through June 30 of the fifth
23following year. The Legislative Inspector General may be
24reappointed to one or more subsequent terms. Terms shall run
25regardless of whether the position is filled.
26    (b-5) A vacancy occurring other than at the end of a term

 

 

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1shall be filled in the same manner as an appointment only for
2the balance of the term of the Legislative Inspector General
3whose office is vacant. Within 7 days of the Office becoming
4vacant or receipt of a Legislative Inspector General's
5prospective resignation, the vacancy shall be publicly posted
6on the Commission's website, along with a description of the
7requirements for the position and where applicants may apply.
8    Within 45 days of the vacancy, the Commission shall
9designate an Acting Legislative Inspector General who shall
10serve until the vacancy is filled. The Commission shall file
11the designation in writing with the Secretary of State.
12    Within 60 days prior to the end of the term of the
13Legislative Inspector General or within 30 days of the
14occurrence of a vacancy in the Office of the Legislative
15Inspector General, the Legislative Ethics Commission shall
16establish a four-member search committee within the Commission
17for the purpose of conducting a search for qualified
18candidates to serve as Legislative Inspector General. The
19Speaker of the House of Representatives, Minority Leader of
20the House, Senate President, and Minority Leader of the Senate
21shall each appoint one member to the search committee. A
22member of the search committee shall be either a retired judge
23or former prosecutor and may not be a member or employee of the
24General Assembly or a registered lobbyist. If the Legislative
25Ethics Commission wishes to recommend that the Legislative
26Inspector General be re-appointed, a search committee does not

 

 

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1need to be appointed.
2    The search committee shall conduct a search for qualified
3candidates, accept applications, and conduct interviews. The
4search committee shall recommend up to 3 candidates for
5Legislative Inspector General to the Legislative Ethics
6Commission. The search committee shall be disbanded upon an
7appointment of the Legislative Inspector General. Members of
8the search committee are not entitled to compensation but
9shall be entitled to reimbursement of reasonable expenses
10incurred in connection with the performance of their duties.
11    Within 30 days after June 8, 2018 (the effective date of
12Public Act 100-588) this amendatory Act of the 100th General
13Assembly, the Legislative Ethics Commission shall create a
14search committee in the manner provided for in this subsection
15to recommend up to 3 candidates for Legislative Inspector
16General to the Legislative Ethics Commission by October 31,
172018.
18    If a vacancy exists and the Commission has not appointed
19an Acting Legislative Inspector General, either the staff of
20the Office of the Legislative Inspector General, or if there
21is no staff, the Executive Director, shall advise the
22Commission of all open investigations and any new allegations
23or complaints received in the Office of the Inspector General.
24These reports shall not include the name of any person
25identified in the allegation or complaint, including, but not
26limited to, the subject of and the person filing the

 

 

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1allegation or complaint. Notification shall be made to the
2Commission on a weekly basis unless the Commission approves of
3a different reporting schedule.
4    If the Office of the Inspector General is vacant for 6
5months or more beginning on or after January 1, 2019, and the
6Legislative Ethics Commission has not appointed an Acting
7Legislative Inspector General, all complaints made to the
8Legislative Inspector General or the Legislative Ethics
9Commission shall be directed to the Inspector General for the
10Auditor General, and he or she shall have the authority to act
11as provided in subsection (c) of this Section and Section
1225-20 of this Act, and shall be subject to all laws and rules
13governing a Legislative Inspector General or Acting
14Legislative Inspector General. The authority for the Inspector
15General of the Auditor General under this paragraph shall
16terminate upon appointment of a Legislative Inspector General
17or an Acting Legislative Inspector General.
18    (c) The Legislative Inspector General shall have
19jurisdiction over the current and former members of the
20General Assembly regarding events occurring during a member's
21term of office and current and former State employees
22regarding events occurring during any period of employment
23where the State employee's ultimate jurisdictional authority
24is (i) a legislative leader, (ii) the Senate Operations
25Commission, or (iii) the Joint Committee on Legislative
26Support Services.

 

 

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1    The jurisdiction of each Legislative Inspector General is
2to investigate allegations of fraud, waste, abuse,
3mismanagement, misconduct, nonfeasance, misfeasance,
4malfeasance, or violations of this Act or violations of other
5related laws and rules.
6    The Legislative Inspector General shall have jurisdiction
7over complainants in violation of subsection (e) of Section
825-63 of this Act.
9    (d) The compensation of the Legislative Inspector General
10shall be the greater of an amount (i) determined (i) by the
11Commission or (ii) by joint resolution of the General Assembly
12passed by a majority of members elected in each chamber.
13Subject to Section 25-45 of this Act, the Legislative
14Inspector General has full authority to organize the Office of
15the Legislative Inspector General, including the employment
16and determination of the compensation of staff, such as
17deputies, assistants, and other employees, as appropriations
18permit. Employment of staff is subject to the approval of at
19least 3 of the 4 legislative leaders.
20    (e) No Legislative Inspector General or employee of the
21Office of the Legislative Inspector General may, during his or
22her term of appointment or employment:
23        (1) become a candidate for any elective office;
24        (2) hold any other elected or appointed public office
25    except for appointments on governmental advisory boards or
26    study commissions or as otherwise expressly authorized by

 

 

SB2435- 71 -LRB102 04062 AMC 14078 b

1    law;
2        (3) be actively involved in the affairs of any
3    political party or political organization; or
4        (4) actively participate in any campaign for any
5    elective office.
6    A full-time Legislative Inspector General shall not engage
7in the practice of law or any other business, employment, or
8vocation.
9    In this subsection an appointed public office means a
10position authorized by law that is filled by an appointing
11authority as provided by law and does not include employment
12by hiring in the ordinary course of business.
13    (e-1) No Legislative Inspector General or employee of the
14Office of the Legislative Inspector General may, for one year
15after the termination of his or her appointment or employment:
16        (1) become a candidate for any elective office;
17        (2) hold any elected public office; or
18        (3) hold any appointed State, county, or local
19    judicial office.
20    (e-2) The requirements of item (3) of subsection (e-1) may
21be waived by the Legislative Ethics Commission.
22    (f) The Commission may remove the Legislative Inspector
23General only for cause. At the time of the removal, the
24Commission must report to the General Assembly the
25justification for the removal.
26(Source: P.A. 100-588, eff. 6-8-18; 101-221, eff. 8-9-19;

 

 

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1revised 9-12-19.)
 
2    Section 50. The Seizure and Forfeiture Reporting Act is
3amended by changing Section 5 as follows:
 
4    (5 ILCS 810/5)
5    Sec. 5. Applicability. This Act is applicable to property
6seized or forfeited under the following provisions of law:
7        (1) Section 3.23 of the Illinois Food, Drug and
8    Cosmetic Act;
9        (2) Section 44.1 of the Environmental Protection Act;
10        (3) Section 105-55 of the Herptiles-Herps Act;
11        (4) Section 1-215 of the Fish and Aquatic Life Code;
12        (5) Section 1.25 of the Wildlife Code;
13        (6) Section 17-10.6 of the Criminal Code of 2012
14    (financial institution fraud);
15        (7) Section 28-5 of the Criminal Code of 2012
16    (gambling);
17        (8) Article 29B of the Criminal Code of 2012 (money
18    laundering);
19        (9) Article 33G of the Criminal Code of 2012 (Illinois
20    Street Gang and Racketeer Influenced And Corrupt
21    Organizations Law);
22        (10) Article 36 of the Criminal Code of 2012 (seizure
23    and forfeiture of vessels, vehicles, and aircraft);
24        (11) Section 47-15 of the Criminal Code of 2012

 

 

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1    (dumping garbage upon real property);
2        (12) Article 124B of the Code of Criminal Procedure of
3    1963 procedure (forfeiture);
4        (13) the Drug Asset Forfeiture Procedure Act;
5        (14) the Narcotics Profit Forfeiture Act;
6        (15) the Illinois Streetgang Terrorism Omnibus
7    Prevention Act; and
8        (16) the Illinois Securities Law of 1953.
9(Source: P.A. 100-512, eff. 7-1-18; revised 9-9-19.)
 
10    Section 55. The Gun Trafficking Information Act is amended
11by changing Section 10-1 as follows:
 
12    (5 ILCS 830/10-1)
13    Sec. 10-1. Short title. This Article 10 5 may be cited as
14the Gun Trafficking Information Act. References in this
15Article to "this Act" mean this Article.
16(Source: P.A. 100-1178, eff. 1-18-19; revised 7-17-19.)
 
17    Section 60. The Election Code is amended by changing
18Sections 1A-3, 1A-45, 2A-1.2, 6-50.2, 6A-3, and 9-15 as
19follows:
 
20    (10 ILCS 5/1A-3)  (from Ch. 46, par. 1A-3)
21    Sec. 1A-3. Subject to the confirmation requirements of
22Section 1A-4, 4 members of the State Board of Elections shall

 

 

SB2435- 74 -LRB102 04062 AMC 14078 b

1be appointed in each odd-numbered year as follows:
2        (1) The Governor shall appoint 2 members of the same
3    political party with which he is affiliated, one from each
4    area of required residence.
5        (2) The Governor shall appoint 2 members of the
6    political party whose candidate for Governor in the most
7    recent general election received the second highest number
8    of votes, one from each area of required residence, from a
9    list of nominees submitted by the first state executive
10    officer in the order indicated herein affiliated with such
11    political party: Attorney General, Secretary of State,
12    Comptroller, and Treasurer. If none of the State executive
13    officers listed herein is affiliated with such political
14    party, the nominating State officer shall be the first
15    State executive officer in the order indicated herein
16    affiliated with an established political party other than
17    that of the Governor.
18        (3) The nominating state officer shall submit in
19    writing to the Governor 3 names of qualified persons for
20    each membership on the State Board of Elections Election
21    to be appointed from the political party of that officer.
22    The Governor may reject any or all of the nominees on any
23    such list and may request an additional list. The second
24    list shall be submitted by the nominating officer and
25    shall contain 3 new names of qualified persons for each
26    remaining appointment, except that if the Governor

 

 

SB2435- 75 -LRB102 04062 AMC 14078 b

1    expressly reserves any nominee's name from the first list,
2    that nominee shall not be replaced on the second list. The
3    second list shall be final.
4        (4) Whenever all the state executive officers
5    designated in paragraph (2) are affiliated with the same
6    political party as that of the Governor, all 4 members of
7    the Board to be appointed that year, from both designated
8    political parties, shall be appointed by the Governor
9    without nominations.
10        (5) The Governor shall submit in writing to the
11    President of the Senate the name of each person appointed
12    to the State Board of Elections, and shall designate the
13    term for which the appointment is made and the name of the
14    member whom the appointee is to succeed.
15        (6) The appointments shall be made and submitted by
16    the Governor no later than April 1 and a nominating state
17    officer required to submit a list of nominees to the
18    Governor pursuant to paragraph (3) shall submit a list no
19    later than March 1. For appointments occurring in 2019,
20    the appointments shall be made and submitted by the
21    Governor no later than May 15.
22        (7) In the appointment of the initial members of the
23    Board pursuant to this amendatory Act of 1978, the
24    provisions of paragraphs (1), (2), (3), (5), and (6) of
25    this Section shall apply except that the Governor shall
26    appoint all 8 members, 2 from each of the designated

 

 

SB2435- 76 -LRB102 04062 AMC 14078 b

1    political parties from each area of required residence.
2(Source: P.A. 101-5, eff. 5-15-19; revised 9-9-19.)
 
3    (10 ILCS 5/1A-45)
4    Sec. 1A-45. Electronic Registration Information Center.
5    (a) The State Board of Elections shall enter into an
6agreement with the Electronic Registration Information Center
7effective no later than January 1, 2016, for the purpose of
8maintaining a statewide voter registration database. The State
9Board of Elections shall comply with the requirements of the
10Electronic Registration Information Center Membership
11Agreement. The State Board of Elections shall require a term
12in the Electronic Registration Information Center Membership
13Agreement that requires the State to share identification
14records contained in the Secretary of State's Driver Services
15Department and Vehicle Services Department, the Department of
16Human Services, the Department of Healthcare and Family
17Services, the Department on of Aging, and the Department of
18Employment Security databases (excluding those fields
19unrelated to voter eligibility, such as income or health
20information).
21    (b) The Secretary of State and the State Board of
22Elections shall enter into an agreement to permit the
23Secretary of State to provide the State Board of Elections
24with any information required for compliance with the
25Electronic Registration Information Center Membership

 

 

SB2435- 77 -LRB102 04062 AMC 14078 b

1Agreement. The Secretary of State shall deliver this
2information as frequently as necessary for the State Board of
3Elections to comply with the Electronic Registration
4Information Center Membership Agreement.
5    (b-5) The State Board of Elections and the Department of
6Human Services, the Department of Healthcare and Family
7Services, the Department on Aging, and the Department of
8Employment Security shall enter into an agreement to require
9each department to provide the State Board of Elections with
10any information necessary to transmit member data under the
11Electronic Registration Information Center Membership
12Agreement. The director or secretary, as applicable, of each
13agency shall deliver this information on an annual basis to
14the State Board of Elections pursuant to the agreement between
15the entities.
16    (c) Any communication required to be delivered to a
17registrant or potential registrant pursuant to the Electronic
18Registration Information Center Membership Agreement shall
19include at least the following message:
20        "Our records show people at this address may not be
21    registered to vote at this address, but you may be
22    eligible to register to vote or re-register to vote at
23    this address. If you are a U.S. Citizen, a resident of
24    Illinois, and will be 18 years old or older before the next
25    general election in November, you are qualified to vote.
26        We invite you to check your registration online at

 

 

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1    (enter URL) or register to vote online at (enter URL), by
2    requesting a mail-in voter registration form by (enter
3    instructions for requesting a mail-in voter registration
4    form), or visiting the (name of election authority) office
5    at (address of election authority)."
6    The words "register to vote online at (enter URL)" shall
7be bolded and of a distinct nature from the other words in the
8message required by this subsection (c).
9    (d) Any communication required to be delivered to a
10potential registrant that has been identified by the
11Electronic Registration Information Center as eligible to vote
12but who is not registered to vote in Illinois shall be prepared
13and disseminated at the direction of the State Board of
14Elections. All other communications with potential registrants
15or re-registrants pursuant to the Electronic Registration
16Information Center Membership Agreement shall be prepared and
17disseminated at the direction of the appropriate election
18authority.
19    (e) The Executive Director of the State Board of Elections
20or his or her designee shall serve as the Member
21Representative to the Electronic Registration Information
22Center.
23    (f) The State Board of Elections may adopt any rules
24necessary to enforce this Section or comply with the
25Electronic Registration Information Center Membership
26Agreement.

 

 

SB2435- 79 -LRB102 04062 AMC 14078 b

1(Source: P.A. 98-1171, eff. 6-1-15; revised 7-17-19.)
 
2    (10 ILCS 5/2A-1.2)  (from Ch. 46, par. 2A-1.2)
3    Sec. 2A-1.2. Consolidated schedule of elections; offices
4elections - offices designated.
5    (a) At the general election in the appropriate
6even-numbered years, the following offices shall be filled or
7shall be on the ballot as otherwise required by this Code:
8        (1) Elector of President and Vice President of the
9    United States;
10        (2) United States Senator and United States
11    Representative;
12        (3) State Executive Branch elected officers;
13        (4) State Senator and State Representative;
14        (5) County elected officers, including State's
15    Attorney, County Board member, County Commissioners, and
16    elected President of the County Board or County Chief
17    Executive;
18        (6) Circuit Court Clerk;
19        (7) Regional Superintendent of Schools, except in
20    counties or educational service regions in which that
21    office has been abolished;
22        (8) Judges of the Supreme, Appellate and Circuit
23    Courts, on the question of retention, to fill vacancies
24    and newly created judicial offices;
25        (9) (Blank);

 

 

SB2435- 80 -LRB102 04062 AMC 14078 b

1        (10) Trustee of the Metropolitan Water Reclamation
2    Sanitary District of Greater Chicago, and elected Trustee
3    of other Sanitary Districts;
4        (11) Special District elected officers, not otherwise
5    designated in this Section, where the statute creating or
6    authorizing the creation of the district requires an
7    annual election and permits or requires election of
8    candidates of political parties.
9    (b) At the general primary election:
10        (1) in each even-numbered year candidates of political
11    parties shall be nominated for those offices to be filled
12    at the general election in that year, except where
13    pursuant to law nomination of candidates of political
14    parties is made by caucus.
15        (2) in the appropriate even-numbered years the
16    political party offices of State central committeeperson,
17    township committeeperson, ward committeeperson, and
18    precinct committeeperson shall be filled and delegates and
19    alternate delegates to the National nominating conventions
20    shall be elected as may be required pursuant to this Code.
21    In the even-numbered years in which a Presidential
22    election is to be held, candidates in the Presidential
23    preference primary shall also be on the ballot.
24        (3) in each even-numbered year, where the municipality
25    has provided for annual elections to elect municipal
26    officers pursuant to Section 6(f) or Section 7 of Article

 

 

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1    VII of the Constitution, pursuant to the Illinois
2    Municipal Code or pursuant to the municipal charter, the
3    offices of such municipal officers shall be filled at an
4    election held on the date of the general primary election,
5    provided that the municipal election shall be a
6    nonpartisan election where required by the Illinois
7    Municipal Code. For partisan municipal elections in
8    even-numbered years, a primary to nominate candidates for
9    municipal office to be elected at the general primary
10    election shall be held on the Tuesday 6 weeks preceding
11    that election.
12        (4) in each school district which has adopted the
13    provisions of Article 33 of the School Code, successors to
14    the members of the board of education whose terms expire
15    in the year in which the general primary is held shall be
16    elected.
17    (c) At the consolidated election in the appropriate
18odd-numbered years, the following offices shall be filled:
19        (1) Municipal officers, provided that in
20    municipalities in which candidates for alderman or other
21    municipal office are not permitted by law to be candidates
22    of political parties, the runoff election where required
23    by law, or the nonpartisan election where required by law,
24    shall be held on the date of the consolidated election;
25    and provided further, in the case of municipal officers
26    provided for by an ordinance providing the form of

 

 

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1    government of the municipality pursuant to Section 7 of
2    Article VII of the Constitution, such offices shall be
3    filled by election or by runoff election as may be
4    provided by such ordinance;
5        (2) Village and incorporated town library directors;
6        (3) City boards of stadium commissioners;
7        (4) Commissioners of park districts;
8        (5) Trustees of public library districts;
9        (6) Special District elected officers, not otherwise
10    designated in this Section, where the statute creating or
11    authorizing the creation of the district permits or
12    requires election of candidates of political parties;
13        (7) Township officers, including township park
14    commissioners, township library directors, and boards of
15    managers of community buildings, and Multi-Township
16    Assessors;
17        (8) Highway commissioners and road district clerks;
18        (9) Members of school boards in school districts which
19    adopt Article 33 of the School Code;
20        (10) The directors and chair of the Chain O Lakes - Fox
21    River Waterway Management Agency;
22        (11) Forest preserve district commissioners elected
23    under Section 3.5 of the Downstate Forest Preserve
24    District Act;
25        (12) Elected members of school boards, school
26    trustees, directors of boards of school directors,

 

 

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1    trustees of county boards of school trustees (except in
2    counties or educational service regions having a
3    population of 2,000,000 or more inhabitants) and members
4    of boards of school inspectors, except school boards in
5    school districts that adopt Article 33 of the School Code;
6        (13) Members of Community College district boards;
7        (14) Trustees of Fire Protection Districts;
8        (15) Commissioners of the Springfield Metropolitan
9    Exposition and Auditorium Authority;
10        (16) Elected Trustees of Tuberculosis Sanitarium
11    Districts;
12        (17) Elected Officers of special districts not
13    otherwise designated in this Section for which the law
14    governing those districts does not permit candidates of
15    political parties.
16    (d) At the consolidated primary election in each
17odd-numbered year, candidates of political parties shall be
18nominated for those offices to be filled at the consolidated
19election in that year, except where pursuant to law nomination
20of candidates of political parties is made by caucus, and
21except those offices listed in paragraphs (12) through (17) of
22subsection (c).
23    At the consolidated primary election in the appropriate
24odd-numbered years, the mayor, clerk, treasurer, and aldermen
25shall be elected in municipalities in which candidates for
26mayor, clerk, treasurer, or alderman are not permitted by law

 

 

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1to be candidates of political parties, subject to runoff
2elections to be held at the consolidated election as may be
3required by law, and municipal officers shall be nominated in
4a nonpartisan election in municipalities in which pursuant to
5law candidates for such office are not permitted to be
6candidates of political parties.
7    At the consolidated primary election in the appropriate
8odd-numbered years, municipal officers shall be nominated or
9elected, or elected subject to a runoff, as may be provided by
10an ordinance providing a form of government of the
11municipality pursuant to Section 7 of Article VII of the
12Constitution.
13    (e) (Blank).
14    (f) At any election established in Section 2A-1.1, public
15questions may be submitted to voters pursuant to this Code and
16any special election otherwise required or authorized by law
17or by court order may be conducted pursuant to this Code.
18    Notwithstanding the regular dates for election of officers
19established in this Article, whenever a referendum is held for
20the establishment of a political subdivision whose officers
21are to be elected, the initial officers shall be elected at the
22election at which such referendum is held if otherwise so
23provided by law. In such cases, the election of the initial
24officers shall be subject to the referendum.
25    Notwithstanding the regular dates for election of
26officials established in this Article, any community college

 

 

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1district which becomes effective by operation of law pursuant
2to Section 6-6.1 of the Public Community College Act, as now or
3hereafter amended, shall elect the initial district board
4members at the next regularly scheduled election following the
5effective date of the new district.
6    (g) At any election established in Section 2A-1.1, if in
7any precinct there are no offices or public questions required
8to be on the ballot under this Code then no election shall be
9held in the precinct on that date.
10    (h) There may be conducted a referendum in accordance with
11the provisions of Division 6-4 of the Counties Code.
12(Source: P.A. 100-1027, eff. 1-1-19; revised 12-14-20.)
 
13    (10 ILCS 5/6-50.2)  (from Ch. 46, par. 6-50.2)
14    Sec. 6-50.2. (a) The board of election commissioners shall
15appoint all precinct committeepersons in the election
16jurisdiction as deputy registrars who may accept the
17registration of any qualified resident of the State, except
18during the 27 days preceding an election.
19    The board of election commissioners shall appoint each of
20the following named persons as deputy registrars upon the
21written request of such persons:
22        1. The chief librarian, or a qualified person
23    designated by the chief librarian, of any public library
24    situated within the election jurisdiction, who may accept
25    the registrations of any qualified resident of the State,

 

 

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1    at such library.
2        2. The principal, or a qualified person designated by
3    the principal, of any high school, elementary school, or
4    vocational school situated within the election
5    jurisdiction, who may accept the registrations of any
6    resident of the State, at such school. The board of
7    election commissioners shall notify every principal and
8    vice-principal of each high school, elementary school, and
9    vocational school situated in the election jurisdiction of
10    their eligibility to serve as deputy registrars and offer
11    training courses for service as deputy registrars at
12    conveniently located facilities at least 4 months prior to
13    every election.
14        3. The president, or a qualified person designated by
15    the president, of any university, college, community
16    college, academy, or other institution of learning
17    situated within the State, who may accept the
18    registrations of any resident of the election
19    jurisdiction, at such university, college, community
20    college, academy, or institution.
21        4. A duly elected or appointed official of a bona fide
22    labor organization, or a reasonable number of qualified
23    members designated by such official, who may accept the
24    registrations of any qualified resident of the State.
25        5. A duly elected or appointed official of a bona fide
26    State civic organization, as defined and determined by

 

 

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1    rule of the State Board of Elections, or qualified members
2    designated by such official, who may accept the
3    registration of any qualified resident of the State. In
4    determining the number of deputy registrars that shall be
5    appointed, the board of election commissioners shall
6    consider the population of the jurisdiction, the size of
7    the organization, the geographic size of the jurisdiction,
8    convenience for the public, the existing number of deputy
9    registrars in the jurisdiction and their location, the
10    registration activities of the organization and the need
11    to appoint deputy registrars to assist and facilitate the
12    registration of non-English speaking individuals. In no
13    event shall a board of election commissioners fix an
14    arbitrary number applicable to every civic organization
15    requesting appointment of its members as deputy
16    registrars. The State Board of Elections shall by rule
17    provide for certification of bona fide State civic
18    organizations. Such appointments shall be made for a
19    period not to exceed 2 years, terminating on the first
20    business day of the month following the month of the
21    general election, and shall be valid for all periods of
22    voter registration as provided by this Code during the
23    terms of such appointments.
24        6. The Director of Healthcare and Family Services, or
25    a reasonable number of employees designated by the
26    Director and located at public aid offices, who may accept

 

 

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1    the registration of any qualified resident of the election
2    jurisdiction at any such public aid office.
3        7. The Director of the Illinois Department of
4    Employment Security, or a reasonable number of employees
5    designated by the Director and located at unemployment
6    offices, who may accept the registration of any qualified
7    resident of the election jurisdiction at any such
8    unemployment office. If the request to be appointed as
9    deputy registrar is denied, the board of election
10    commissioners shall, within 10 days after the date the
11    request is submitted, provide the affected individual or
12    organization with written notice setting forth the
13    specific reasons or criteria relied upon to deny the
14    request to be appointed as deputy registrar.
15        8. The president of any corporation, as defined by the
16    Business Corporation Act of 1983, or a reasonable number
17    of employees designated by such president, who may accept
18    the registrations of any qualified resident of the State.
19    The board of election commissioners may appoint as many
20additional deputy registrars as it considers necessary. The
21board of election commissioners shall appoint such additional
22deputy registrars in such manner that the convenience of the
23public is served, giving due consideration to both population
24concentration and area. Some of the additional deputy
25registrars shall be selected so that there are an equal number
26from each of the 2 major political parties in the election

 

 

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1jurisdiction. The board of election commissioners, in
2appointing an additional deputy registrar, shall make the
3appointment from a list of applicants submitted by the Chair
4of the County Central Committee of the applicant's political
5party. A Chair of a County Central Committee shall submit a
6list of applicants to the board by November 30 of each year.
7The board may require a Chair of a County Central Committee to
8furnish a supplemental list of applicants.
9    Deputy registrars may accept registrations at any time
10other than the 27-day 27 day period preceding an election. All
11persons appointed as deputy registrars shall be registered
12voters within the election jurisdiction and shall take and
13subscribe to the following oath or affirmation:
14    "I do solemnly swear (or affirm, as the case may be) that I
15will support the Constitution of the United States, and the
16Constitution of the State of Illinois, and that I will
17faithfully discharge the duties of the office of registration
18officer to the best of my ability and that I will register no
19person nor cause the registration of any person except upon
20his personal application before me.
21
....................................
22
(Signature of Registration Officer)"
23    This oath shall be administered and certified to by one of
24the commissioners or by the executive director or by some
25person designated by the board of election commissioners, and
26shall immediately thereafter be filed with the board of

 

 

SB2435- 90 -LRB102 04062 AMC 14078 b

1election commissioners. The members of the board of election
2commissioners and all persons authorized by them under the
3provisions of this Article to take registrations, after
4themselves taking and subscribing to the above oath, are
5authorized to take or administer such oaths and execute such
6affidavits as are required by this Article.
7    Appointments of deputy registrars under this Section,
8except precinct committeepersons, shall be for 2-year terms,
9commencing on December 1 following the general election of
10each even-numbered year, except that the terms of the initial
11appointments shall be until December 1st following the next
12general election. Appointments of precinct committeepersons
13shall be for 2-year terms commencing on the date of the county
14convention following the general primary at which they were
15elected. The county clerk shall issue a certificate of
16appointment to each deputy registrar, and shall maintain in
17his office for public inspection a list of the names of all
18appointees.
19    (b) The board of election commissioners shall be
20responsible for training all deputy registrars appointed
21pursuant to subsection (a), at times and locations reasonably
22convenient for both the board of election commissioners and
23such appointees. The board of election commissioners shall be
24responsible for certifying and supervising all deputy
25registrars appointed pursuant to subsection (a). Deputy
26registrars appointed under subsection (a) shall be subject to

 

 

SB2435- 91 -LRB102 04062 AMC 14078 b

1removal for cause.
2    (c) Completed registration materials under the control of
3deputy registrars appointed pursuant to subsection (a) shall
4be returned to the appointing election authority by
5first-class mail within 2 business days or personal delivery
6within 7 days, except that completed registration materials
7received by the deputy registrars during the period between
8the 35th and 28th day preceding an election shall be returned
9by the deputy registrars to the appointing election authority
10within 48 hours after receipt thereof. The completed
11registration materials received by the deputy registrars on
12the 28th day preceding an election shall be returned by the
13deputy registrars within 24 hours after receipt thereof.
14Unused materials shall be returned by deputy registrars
15appointed pursuant to paragraph 4 of subsection (a), not later
16than the next working day following the close of registration.
17    (d) The county clerk or board of election commissioners,
18as the case may be, must provide any additional forms
19requested by any deputy registrar regardless of the number of
20unaccounted registration forms the deputy registrar may have
21in his or her possession.
22    (e) No deputy registrar shall engage in any electioneering
23or the promotion of any cause during the performance of his or
24her duties.
25    (f) The board of election commissioners shall not be
26criminally or civilly liable for the acts or omissions of any

 

 

SB2435- 92 -LRB102 04062 AMC 14078 b

1deputy registrar. Such deputy registrars shall not be deemed
2to be employees of the board of election commissioners.
3    (g) Completed registration materials returned by deputy
4registrars for persons residing outside the election
5jurisdiction shall be transmitted by the board of election
6commissioners within 2 days after receipt to the election
7authority of the person's election jurisdiction of residence.
8(Source: P.A. 100-1027, eff. 1-1-19; revised 8-23-19.)
 
9    (10 ILCS 5/6A-3)  (from Ch. 46, par. 6A-3)
10    Sec. 6A-3. Commissioners; filling vacancies.
11    (a) If the county board adopts an ordinance providing for
12the establishment of a county board of election commissioners,
13or if a majority of the votes cast on a proposition submitted
14in accordance with Section 6A-2(a) are in favor of a county
15board of election commissioners, a county board of election
16commissioners shall be appointed in the same manner as is
17provided in Article 6 for boards of election commissioners in
18cities, villages and incorporated towns, except that the
19county board of election commissioners shall be appointed by
20the chair of the county board rather than the circuit court.
21However, before any appointments are made, the appointing
22authority shall ascertain whether the county clerk desires to
23be a member of the county board of election commissioners. If
24the county clerk so desires, he shall be one of the members of
25the county board of election commissioners, and the appointing

 

 

SB2435- 93 -LRB102 04062 AMC 14078 b

1authority shall appoint only 2 other members.
2    (b) For any county board of election commissioners
3established under subsection (b) of Section 6A-1, within 30
4days after July 29, 2013 (the effective date of Public Act
598-115) this amendatory Act of the 98th General Assembly, the
6chief judge of the circuit court of the county shall appoint 5
7commissioners. At least 4 of those commissioners shall be
8selected from the 2 major established political parties of the
9State, with at least 2 from each of those parties. Such
10appointment shall be entered of record in the office of the
11County Clerk and the State Board of Elections. Those first
12appointed shall hold their offices for the period of one, 2,
13and 3 years respectively, and the judge appointing them shall
14designate the term for which each commissioner shall hold his
15or her office, whether for one, 2 or 3 years except that no
16more than one commissioner from each major established
17political party may be designated the same term. After the
18initial term, each commissioner or his or her successor shall
19be appointed to a 3-year 3 year term. No elected official or
20former elected official who has been out of elected office for
21less than 2 years may be appointed to the board. Vacancies
22shall be filled by the chief judge of the circuit court within
2330 days of the vacancy in a manner that maintains the foregoing
24political party representation.
25    (c) For any county board of election commissioners
26established under subsection (c) of Section 6A-1, within 30

 

 

SB2435- 94 -LRB102 04062 AMC 14078 b

1days after the conclusion of the election at which the
2proposition to establish a county board of election
3commissioners is approved by the voters, the municipal board
4shall apply to the circuit court of the county for the chief
5judge of the circuit court to appoint 2 additional
6commissioners, one of whom shall be from each major
7established political party and neither of whom shall reside
8within the limits of the municipal board, so that 3
9commissioners shall reside within the limits of the municipal
10board and 2 shall reside within the county but not within the
11municipality, as it may exist from time to time. Not more than
123 of the commissioners shall be members of the same major
13established political party. Vacancies shall be filled by the
14chief judge of the circuit court upon application of the
15remaining commissioners in a manner that maintains the
16foregoing geographical and political party representation.
17(Source: P.A. 100-1027, eff. 1-1-19; revised 8-23-19.)
 
18    (10 ILCS 5/9-15)  (from Ch. 46, par. 9-15)
19    Sec. 9-15. It shall be the duty of the Board: -
20        (1) to develop prescribed forms for filing statements
21    of organization and required reports;
22        (2) to prepare, publish, and furnish to the
23    appropriate persons a manual of instructions setting forth
24    recommended uniform methods of bookkeeping and reporting
25    under this Article;

 

 

SB2435- 95 -LRB102 04062 AMC 14078 b

1        (3) to prescribe suitable rules and regulations to
2    carry out the provisions of this Article. Such rules and
3    regulations shall be published and made available to the
4    public;
5        (4) to send by first class mail, after the general
6    primary election in even numbered years, to the chair of
7    each regularly constituted State central committee, county
8    central committee and, in counties with a population of
9    more than 3,000,000, to the committeepersons of each
10    township and ward organization of each political party
11    notice of their obligations under this Article, along with
12    a form for filing the statement of organization;
13        (5) to promptly make all reports and statements filed
14    under this Article available for public inspection and
15    copying no later than 2 business days after their receipt
16    and to permit copying of any such report or statement at
17    the expense of the person requesting the copy;
18        (6) to develop a filing, coding, and cross-indexing
19    system consistent with the purposes of this Article;
20        (7) to compile and maintain a list of all statements
21    or parts of statements pertaining to each candidate;
22        (8) to prepare and publish such reports as the Board
23    may deem appropriate;
24        (9) to annually notify each political committee that
25    has filed a statement of organization with the Board of
26    the filing dates for each quarterly report, provided that

 

 

SB2435- 96 -LRB102 04062 AMC 14078 b

1    such notification shall be made by first-class mail unless
2    the political committee opts to receive notification
3    electronically via email; and
4        (10) to promptly send, by first class mail directed
5    only to the officers of a political committee, and by
6    certified mail to the address of the political committee,
7    written notice of any fine or penalty assessed or imposed
8    against the political committee under this Article.
9(Source: P.A. 100-1027, eff. 1-1-19; revised 8-23-19.)
 
10    Section 65. The Illinois Identification Card Act is
11amended by changing Sections 5 and 17 as follows:
 
12    (15 ILCS 335/5)  (from Ch. 124, par. 25)
13    Sec. 5. Applications.
14    (a) Any natural person who is a resident of the State of
15Illinois may file an application for an identification card,
16or for the renewal thereof, in a manner prescribed by the
17Secretary. Each original application shall be completed by the
18applicant in full and shall set forth the legal name,
19residence address and zip code, social security number, birth
20date, sex and a brief description of the applicant. The
21applicant shall be photographed, unless the Secretary of State
22has provided by rule for the issuance of identification cards
23without photographs and the applicant is deemed eligible for
24an identification card without a photograph under the terms

 

 

SB2435- 97 -LRB102 04062 AMC 14078 b

1and conditions imposed by the Secretary of State, and he or she
2shall also submit any other information as the Secretary may
3deem necessary or such documentation as the Secretary may
4require to determine the identity of the applicant. In
5addition to the residence address, the Secretary may allow the
6applicant to provide a mailing address. If the applicant is a
7judicial officer as defined in Section 1-10 of the Judicial
8Privacy Act or a peace officer, the applicant may elect to have
9his or her office or work address in lieu of the applicant's
10residence or mailing address. An applicant for an Illinois
11Person with a Disability Identification Card must also submit
12with each original or renewal application, on forms prescribed
13by the Secretary, such documentation as the Secretary may
14require, establishing that the applicant is a "person with a
15disability" as defined in Section 4A of this Act, and setting
16forth the applicant's type and class of disability as set
17forth in Section 4A of this Act. For the purposes of this
18subsection (a), "peace officer" means any person who by virtue
19of his or her office or public employment is vested by law with
20a duty to maintain public order or to make arrests for a
21violation of any penal statute of this State, whether that
22duty extends to all violations or is limited to specific
23violations.
24    (a-5) Upon the first issuance of a request for proposals
25for a digital driver's license and identification card
26issuance and facial recognition system issued after January 1,

 

 

SB2435- 98 -LRB102 04062 AMC 14078 b

12020 (the effective date of Public Act 101-513) this
2amendatory Act of the 101st General Assembly, and upon
3implementation of a new or revised system procured pursuant to
4that request for proposals, the Secretary shall permit
5applicants to choose between "male", "female", or "non-binary"
6when designating the applicant's sex on the identification
7card application form. The sex designated by the applicant
8shall be displayed on the identification card issued to the
9applicant.
10    (b) Beginning on or before July 1, 2015, for each original
11or renewal identification card application under this Act, the
12Secretary shall inquire as to whether the applicant is a
13veteran for purposes of issuing an identification card with a
14veteran designation under subsection (c-5) of Section 4 of
15this Act. The acceptable forms of proof shall include, but are
16not limited to, Department of Defense form DD-214, Department
17of Defense form DD-256 for applicants who did not receive a
18form DD-214 upon the completion of initial basic training,
19Department of Defense form DD-2 (Retired), an identification
20card issued under the federal Veterans Identification Card Act
21of 2015, or a United States Department of Veterans Affairs
22summary of benefits letter. If the document cannot be stamped,
23the Illinois Department of Veterans' Affairs shall provide a
24certificate to the veteran to provide to the Secretary of
25State. The Illinois Department of Veterans' Affairs shall
26advise the Secretary as to what other forms of proof of a

 

 

SB2435- 99 -LRB102 04062 AMC 14078 b

1person's status as a veteran are acceptable.
2    For each applicant who is issued an identification card
3with a veteran designation, the Secretary shall provide the
4Department of Veterans' Affairs with the applicant's name,
5address, date of birth, gender, and such other demographic
6information as agreed to by the Secretary and the Department.
7The Department may take steps necessary to confirm the
8applicant is a veteran. If after due diligence, including
9writing to the applicant at the address provided by the
10Secretary, the Department is unable to verify the applicant's
11veteran status, the Department shall inform the Secretary, who
12shall notify the applicant that he or she must confirm status
13as a veteran, or the identification card will be cancelled.
14    For purposes of this subsection (b):
15    "Armed forces" means any of the Armed Forces of the United
16States, including a member of any reserve component or
17National Guard unit.
18    "Veteran" means a person who has served in the armed
19forces and was discharged or separated under honorable
20conditions.
21    (c) All applicants for REAL ID compliant standard Illinois
22Identification Cards and Illinois Person with a Disability
23Identification Cards shall provide proof of lawful status in
24the United States as defined in 6 CFR 37.3, as amended.
25Applicants who are unable to provide the Secretary with proof
26of lawful status are ineligible for REAL ID compliant

 

 

SB2435- 100 -LRB102 04062 AMC 14078 b

1identification cards under this Act.
2(Source: P.A. 100-201, eff. 8-18-17; 100-248, eff. 8-22-17;
3100-811, eff. 1-1-19; 101-106, eff. 1-1-20; 101-287, eff.
48-9-19; 101-513, eff. 1-1-20; revised 9-25-19.)
 
5    (15 ILCS 335/17)
6    Sec. 17. Invalidation of a standard Illinois
7Identification Card or an Illinois Person with a Disability
8Identification Card. (a) The Secretary of State may invalidate
9a standard Illinois Identification Card or an Illinois Person
10with a Disability Identification Card:
11        (1) when the holder voluntarily surrenders the
12    standard Illinois Identification Card or Illinois Person
13    with a Disability Identification Card and declares his or
14    her intention to do so in writing;
15        (2) upon the death of the holder;
16        (3) upon the refusal of the holder to correct or
17    update information contained on a standard Illinois
18    Identification Card or an Illinois Person with a
19    Disability Identification Card; and
20        (4) as the Secretary deems appropriate by
21    administrative rule.
22(Source: P.A. 101-185, eff. 1-1-20; revised 9-12-19.)
 
23    Section 70. The State Comptroller Act is amended by
24changing Sections 20 and 23.11 as follows:
 

 

 

SB2435- 101 -LRB102 04062 AMC 14078 b

1    (15 ILCS 405/20)  (from Ch. 15, par. 220)
2    Sec. 20. Annual report. The Comptroller shall annually, as
3soon as possible after the close of the fiscal year but no
4later than December 31, make available on the Comptroller's
5website a report, showing the amount of warrants drawn on the
6treasury, on other funds held by the State Treasurer and on any
7public funds held by State agencies, during the preceding
8fiscal year, and stating, particularly, on what account they
9were drawn, and if drawn on the contingent fund, to whom and
10for what they were issued. He or she shall, also, at the same
11time, report the amount of money received into the treasury,
12into other funds held by the State Treasurer and into any other
13funds held by State agencies during the preceding fiscal year,
14and also a general account of all the business of his office
15during the preceding fiscal year. The report shall also
16summarize for the previous fiscal year the information
17required under Section 19.
18    Within 60 days after the expiration of each calendar year,
19the Comptroller shall compile, from records maintained and
20available in his office, a list of all persons including those
21employed in the Office of the Comptroller, who have been
22employed by the State during the past calendar year and paid
23from funds in the hands of the State Treasurer.
24    The list shall state in alphabetical order the name of
25each employee, the county in which he or she resides, the

 

 

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1position, and the total salary paid to him or her during the
2past calendar year, rounded to the nearest hundred dollars
3dollar. The list so compiled and arranged shall be kept on file
4in the office of the Comptroller and be open to inspection by
5the public at all times.
6    No person who utilizes the names obtained from this list
7for solicitation shall represent that such solicitation is
8authorized by any officer or agency of the State of Illinois.
9Violation of this provision is a business offense punishable
10by a fine not to exceed $3,000.
11(Source: P.A. 100-253, eff. 1-1-18; 101-34, eff. 6-28-19;
12101-620, eff. 12-20-19; revised 1-6-20.)
 
13    (15 ILCS 405/23.11)
14    Sec. 23.11. Illinois Bank On Initiative; Commission.
15    (a) The Illinois Bank On Initiative is created to increase
16the use of Certified Financial Products and reduce reliance on
17alternative financial products.
18    (b) The Illinois Bank On Initiative shall be administered
19by the Comptroller, and he or she shall be responsible for
20ongoing activities of the Initiative, including, but not
21limited to, the following:
22        (1) authorizing financial products as Certified
23    Financial Products;
24        (2) maintaining on the Comptroller's website a list of
25    Certified Financial Products and associated financial

 

 

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1    institutions;
2        (3) maintaining on the Comptroller's website the
3    minimum requirements of Certified Financial Products; and
4        (4) implementing an outreach strategy to facilitate
5    access to Certified Financial Products.
6    (c) The Illinois Bank On Initiative Commission is created,
7and shall be chaired by the Comptroller, or his or her
8designee, and consist of the following members appointed by
9the Comptroller: (1) 4 local elected officials from
10geographically diverse regions in this State, at least 2 of
11whom represent all or part of a census tract with a median
12household income of less than 150% of the federal poverty
13level; (2) 3 members representing financial institutions, one
14of whom represents a statewide banking association exclusively
15representing banks with assets below $20,000,000,000, one of
16whom represents a statewide banking association representing
17banks of all asset sizes, and one of whom represents a
18statewide association representing credit unions; (3) 4
19members representing community and social service groups; and
20(4) 2 federal or State financial regulators.
21    Members of the Commission shall serve 4-year 4 year terms.
22The Commission shall serve the Comptroller in an advisory
23capacity, and shall be responsible for advising the
24Comptroller regarding the implementation and promotion of the
25Illinois Bank On Initiative, but may at any time, by request of
26the Comptroller or on its own initiative, submit to the

 

 

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1Comptroller any recommendations concerning the operation of
2any participating financial institutions, outreach efforts, or
3other business coming before the Commission. Members of the
4Commission shall serve without compensation, but shall be
5reimbursed for reasonable travel and mileage costs.
6    (d) Beginning in October 2020, and for each year
7thereafter, the Comptroller and the Commission shall annually
8prepare and make available on the Comptroller's website a
9report concerning the progress of the Illinois Bank On
10Initiative.
11    (e) The Comptroller may adopt rules necessary to implement
12this Section.
13    (f) For the purposes of this Section:
14    "Certified Financial Product" means a financial product
15offered by a financial institution that meets minimum
16requirements as established by the Comptroller.
17    "Financial institution" means a bank, savings bank, or
18credit union chartered or organized under the laws of the
19State of Illinois, another state, or the United States of
20America that is:
21        (1) adequately capitalized as determined by its
22    prudential regulator; and
23        (2) insured by the Federal Deposit Insurance
24    Corporation, National Credit Union Administration, or
25    other approved insurer.
26(Source: P.A. 101-427, eff. 8-19-19; revised 11-21-19.)
 

 

 

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1    Section 75. The State Treasurer Act is amended by changing
2Sections 16.8 and 35 as follows:
 
3    (15 ILCS 505/16.8)
4    Sec. 16.8. Illinois Higher Education Savings Program.
5    (a) Definitions. As used in this Section:
6    "Beneficiary" means an eligible child named as a recipient
7of seed funds.
8    "College savings account" means a 529 plan account
9established under Section 16.5.
10    "Eligible child" means a child born or adopted after
11December 31, 2020, to a parent who is a resident of Illinois at
12the time of the birth or adoption, as evidenced by
13documentation received by the Treasurer from the Department of
14Revenue, the Department of Public Health, or another State or
15local government agency.
16    "Eligible educational institution" means institutions that
17are described in Section 1001 of the federal Higher Education
18Act of 1965 that are eligible to participate in Department of
19Education student aid programs.
20    "Fund" means the Illinois Higher Education Savings Program
21Fund.
22    "Omnibus account" means the pooled collection of seed
23funds owned and managed by the State Treasurer under this Act.
24    "Program" means the Illinois Higher Education Savings

 

 

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1Program.
2    "Qualified higher education expense" means the following:
3(i) tuition, fees, and the costs of books, supplies, and
4equipment required for enrollment or attendance at an eligible
5educational institution; (ii) expenses for special needs
6services, in the case of a special needs beneficiary, which
7are incurred in connection with such enrollment or attendance;
8(iii) certain expenses for the purchase of computer or
9peripheral equipment, computer software, or Internet access
10and related services as defined under Section 529 of the
11Internal Revenue Code; and (iv) room and board expenses
12incurred while attending an eligible educational institution
13at least half-time.
14    "Seed funds" means the deposit made by the State Treasurer
15into the Omnibus Accounts for Program beneficiaries.
16    (b) Program established. The State Treasurer shall
17establish the Illinois Higher Education Savings Program
18provided that sufficient funds are available. The State
19Treasurer shall administer the Program for the purposes of
20expanding access to higher education through savings.
21    (c) Program enrollment. The State Treasurer shall enroll
22all eligible children in the Program beginning in 2021, after
23receiving records of recent births, adoptions, or dependents
24from the Department of Revenue, the Department of Public
25Health, or another State or local government agency designated
26by the Treasurer. Notwithstanding any court order which would

 

 

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1otherwise prevent the release of information, the Department
2of Public Health is authorized to release the information
3specified under this subsection (c) to the State Treasurer for
4the purposes of the Program established under this Section.
5        (1) On and after the effective date of this amendatory
6    Act of the 101st General Assembly, the Department of
7    Revenue and the Department of Public Health shall provide
8    the State Treasurer with information on recent Illinois
9    births, adoptions and dependents including, but not
10    limited to: the full name, residential address, and birth
11    date of the child and the child's parent or legal guardian
12    for the purpose of enrolling eligible children in the
13    Program. This data shall be provided to the State
14    Treasurer by the Department of Revenue and the Department
15    of Public Health on a quarterly basis, no later than 30
16    days after the end of each quarter.
17        (2) The State Treasurer shall ensure the security and
18    confidentiality of the information provided by the
19    Department of Revenue, the Department of Public Health, or
20    another State or local government agency, and it shall not
21    be subject to release under the Freedom of Information
22    Act.
23        (3) Information provided under this Section shall only
24    be used by the State Treasurer for the Program and shall
25    not be used for any other purpose.
26        (4) The State Treasurer and any vendors working on the

 

 

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1    Program shall maintain strict confidentiality of any
2    information provided under this Section, and shall
3    promptly provide written or electronic notice to the
4    providing agency of any security breach. The providing
5    State or local government agency shall remain the sole and
6    exclusive owner of information provided under this
7    Section.
8    (d) Seed funds. After receiving information on recent
9births, adoptions, or dependents from the Department of
10Revenue, the Department of Public Health, or another State or
11local government agency, the State Treasurer shall make a
12deposit into an omnibus account of the Fund on behalf of each
13eligible child. The State Treasurer shall be the owner of the
14omnibus accounts. The deposit of seed funds shall be subject
15to appropriation by the General Assembly.
16        (1) Deposit amount. The seed fund deposit for each
17    eligible child shall be in the amount of $50. This amount
18    may be increased by the State Treasurer by rule. The State
19    Treasurer may use or deposit funds appropriated by the
20    General Assembly together with moneys received as gifts,
21    grants, or contributions into the Fund. If insufficient
22    funds are available in the Fund, the State Treasurer may
23    reduce the deposit amount or forego deposits.
24        (2) Use of seed funds. Seed funds, including any
25    interest, dividends, and other earnings accrued, will be
26    eligible for use by a beneficiary for qualified higher

 

 

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1    education expenses if:
2            (A) the parent or guardian of the eligible child
3        claimed the seed funds for the beneficiary by the
4        beneficiary's 10th birthday;
5            (B) the beneficiary has completed secondary
6        education or has reached the age of 18; and
7            (C) the beneficiary is currently a resident of the
8        State of Illinois. Non-residents are not eligible to
9        claim or use seed funds.
10        (3) Notice of seed fund availability. The State
11    Treasurer shall make a good faith effort to notify
12    beneficiaries and their parents or legal guardians of the
13    seed funds' availability and the deadline to claim such
14    funds.
15        (4) Unclaimed seed funds. Seed funds that are
16    unclaimed by the beneficiary's 10th birthday or unused by
17    the beneficiary's 26th birthday will be considered
18    forfeited. Unclaimed and unused seed funds will remain in
19    the omnibus account for future beneficiaries.
20    (e) Financial education. The State Treasurer may develop
21educational materials that support the financial literacy of
22beneficiaries and their legal guardians, and may do so in
23collaboration with State and federal agencies, including, but
24not limited to, the Illinois State Board of Education and
25existing nonprofit agencies with expertise in financial
26literacy and education.

 

 

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1    (f) Incentives and partnerships. The State Treasurer may
2develop partnerships with private, nonprofit, or governmental
3organizations to provide additional incentives for eligible
4children, including conditional cash transfers or matching
5contributions that provide a savings incentive based on
6specific actions taken or other criteria.
7    (g) Illinois Higher Education Savings Program Fund. The
8Illinois Higher Education Savings Program Fund is hereby
9established. The Fund shall be the official repository of all
10contributions, appropriations, interest, and dividend
11payments, gifts, or other financial assets received by the
12State Treasurer in connection with the operation of the
13Program or related partnerships. All such moneys shall be
14deposited in the Fund and held by the State Treasurer as
15custodian thereof, outside of the State treasury, separate and
16apart from all public moneys or funds of this State. The State
17Treasurer may accept gifts, grants, awards, matching
18contributions, interest income, and appropriations from
19individuals, businesses, governments, and other third-party
20sources to implement the Program on terms that the Treasurer
21deems advisable. All interest or other earnings accruing or
22received on amounts in the Illinois Higher Education Savings
23Program Fund shall be credited to and retained by the Fund and
24used for the benefit of the Program. Assets of the Fund must at
25all times be preserved, invested, and expended only for the
26purposes of the Program and must be held for the benefit of the

 

 

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1beneficiaries. Assets may not be transferred or used by the
2State or the State Treasurer for any purposes other than the
3purposes of the Program. In addition, no moneys, interest, or
4other earnings paid into the Fund shall be used, temporarily
5or otherwise, for inter-fund borrowing or be otherwise used or
6appropriated except as expressly authorized by this Act.
7Notwithstanding the requirements of this subsection (f),
8amounts in the Fund may be used by the State Treasurer to pay
9the administrative costs of the Program.
10    (h) Audits and reports. The State Treasurer shall include
11the Illinois Higher Education Savings Program as part of the
12audit of the College Savings Pool described in Section 16.5.
13The State Treasurer shall annually prepare a report that
14includes a summary of the Program operations for the preceding
15fiscal year, including the number of children enrolled in the
16Program, the total amount of seed fund deposits, and such
17other information that is relevant to make a full disclosure
18of the operations of the Program and Fund. The report shall be
19made available on the Treasurer's website by January 31 each
20year, starting in January of 2022. The State Treasurer may
21include the Program in other reports as warranted.
22    (i) Rules. The State Treasurer may adopt rules necessary
23to implement this Section.
24(Source: P.A. 101-466, eff. 1-1-20; revised 11-21-19.)
 
25    (15 ILCS 505/35)

 

 

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1    Sec. 35. State Treasurer may purchase real property.
2    (a) Subject to the provisions of the Public Contract Fraud
3Act, the State Treasurer, on behalf of the State of Illinois,
4is authorized during State fiscal years 2019 and 2020 to
5acquire real property located in the City of Springfield,
6Illinois which the State Treasurer deems necessary to properly
7carry out the powers and duties vested in him or her. Real
8property acquired under this Section may be acquired subject
9to any third party interests in the property that do not
10prevent the State Treasurer from exercising the intended
11beneficial use of such property.
12    (b) Subject to the provisions of the Treasurer's
13Procurement Rules, which shall be substantially in accordance
14with the requirements of the Illinois Procurement Code, the
15State Treasurer may:
16        (1) enter into contracts relating to construction,
17    reconstruction or renovation projects for any such
18    buildings or lands acquired pursuant to subsection
19    paragraph (a); and
20        (2) equip, lease, operate and maintain those grounds,
21    buildings and facilities as may be appropriate to carry
22    out his or her statutory purposes and duties.
23    (c) The State Treasurer may enter into agreements with any
24person with respect to the use and occupancy of the grounds,
25buildings, and facilities of the State Treasurer, including
26concession, license, and lease agreements on terms and

 

 

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1conditions as the State Treasurer determines and in accordance
2with the procurement processes for the Office of the State
3Treasurer, which shall be substantially in accordance with the
4requirements of the Illinois Procurement Code.
5    (d) The exercise of the authority vested in the Treasurer
6by this Section is subject to the appropriation of the
7necessary funds.
8(Source: P.A. 101-487, eff. 8-23-19; revised 11-21-19.)
 
9    Section 80. The Deposit of State Moneys Act is amended by
10changing Sections 10, 16, and 22.5 as follows:
 
11    (15 ILCS 520/10)  (from Ch. 130, par. 29)
12    Sec. 10. The State Treasurer may enter into an agreement
13in conformity with this Act with any bank or savings and loan
14association relating to the deposit of securities. Such
15agreement may authorize the holding by such bank or savings
16and loan association of such securities in custody and
17safekeeping solely under the instructions of the State
18Treasurer either (a) in the office of such bank or savings and
19loan association, or under the custody and safekeeping of
20another bank or savings and loan association in this State for
21the depository bank or savings and loan association, or (b) in
22a bank or a depository trust company in the United States if
23the securities to be deposited are held in custody and
24safekeeping for such bank or savings and loan association.

 

 

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1(Source: P.A. 101-206, eff. 8-2-19; revised 9-12-19.)
 
2    (15 ILCS 520/16)  (from Ch. 130, par. 35)
3    Sec. 16. Daily balance statements. Each bank or savings
4and loan association shall on or before the last Monday of each
5month receive from the State Treasurer a statement showing
6separately the daily balances or amounts of moneys held by it
7under the provisions of this Act during the calendar month
8then next preceding; and the amounts of accrued interest
9thereon. One , one copy of the which statement shall be filed in
10the office of the State Treasurer, and the other in the office
11of the receiving bank or savings and loan association,. The
12statement shall contain a certificate that no other fees,
13perquisites or emoluments have been paid to or held for the
14benefit of any public officer or any other person, or on
15account of the deposit of the moneys, and that no contract or
16agreement of any kind whatever has been entered into for the
17payment to any public officer, or any other person, of any fee,
18perquisite, or emolument on account of the deposit of the
19moneys. The statement to be filed in the office of the
20receiving bank or savings and loan association shall be
21verified by the oath of the cashier or of an assistant cashier
22of the bank or savings and loan association.
23(Source: P.A. 87-510; revised 8-18-20.)
 
24    (15 ILCS 520/22.5)  (from Ch. 130, par. 41a)

 

 

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1    (For force and effect of certain provisions, see Section
290 of P.A. 94-79)
3    Sec. 22.5. Permitted investments. The State Treasurer may,
4with the approval of the Governor, invest and reinvest any
5State money in the treasury which is not needed for current
6expenditures due or about to become due, in obligations of the
7United States government or its agencies or of National
8Mortgage Associations established by or under the National
9Housing Act, 12 U.S.C. 1701 et seq., or in mortgage
10participation certificates representing undivided interests in
11specified, first-lien conventional residential Illinois
12mortgages that are underwritten, insured, guaranteed, or
13purchased by the Federal Home Loan Mortgage Corporation or in
14Affordable Housing Program Trust Fund Bonds or Notes as
15defined in and issued pursuant to the Illinois Housing
16Development Act. All such obligations shall be considered as
17cash and may be delivered over as cash by a State Treasurer to
18his successor.
19    The State Treasurer may, with the approval of the
20Governor, purchase any state bonds with any money in the State
21Treasury that has been set aside and held for the payment of
22the principal of and interest on the bonds. The bonds shall be
23considered as cash and may be delivered over as cash by the
24State Treasurer to his successor.
25    The State Treasurer may, with the approval of the
26Governor, invest or reinvest any State money in the treasury

 

 

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1that is not needed for current expenditure due or about to
2become due, or any money in the State Treasury that has been
3set aside and held for the payment of the principal of and the
4interest on any State bonds, in shares, withdrawable accounts,
5and investment certificates of savings and building and loan
6associations, incorporated under the laws of this State or any
7other state or under the laws of the United States; provided,
8however, that investments may be made only in those savings
9and loan or building and loan associations the shares and
10withdrawable accounts or other forms of investment securities
11of which are insured by the Federal Deposit Insurance
12Corporation.
13    The State Treasurer may not invest State money in any
14savings and loan or building and loan association unless a
15commitment by the savings and loan (or building and loan)
16association, executed by the president or chief executive
17officer of that association, is submitted in the following
18form:
19        The .................. Savings and Loan (or Building
20    and Loan) Association pledges not to reject arbitrarily
21    mortgage loans for residential properties within any
22    specific part of the community served by the savings and
23    loan (or building and loan) association because of the
24    location of the property. The savings and loan (or
25    building and loan) association also pledges to make loans
26    available on low and moderate income residential property

 

 

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1    throughout the community within the limits of its legal
2    restrictions and prudent financial practices.
3    The State Treasurer may, with the approval of the
4Governor, invest or reinvest any State money in the treasury
5that is not needed for current expenditures due or about to
6become due, or any money in the State Treasury that has been
7set aside and held for the payment of the principal of and
8interest on any State bonds, in bonds issued by counties or
9municipal corporations of the State of Illinois.
10    The State Treasurer may invest or reinvest up to 5% of the
11College Savings Pool Administrative Trust Fund, the Illinois
12Public Treasurer Investment Pool (IPTIP) Administrative Trust
13Fund, and the State Treasurer's Administrative Fund that is
14not needed for current expenditures due or about to become
15due, in common or preferred stocks of publicly traded
16corporations, partnerships, or limited liability companies,
17organized in the United States, with assets exceeding
18$500,000,000 if: (i) the purchases do not exceed 1% of the
19corporation's or the limited liability company's outstanding
20common and preferred stock; (ii) no more than 10% of the total
21funds are invested in any one publicly traded corporation,
22partnership, or limited liability company; and (iii) the
23corporation or the limited liability company has not been
24placed on the list of restricted companies by the Illinois
25Investment Policy Board under Section 1-110.16 of the Illinois
26Pension Code.

 

 

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1    The State Treasurer may, with the approval of the
2Governor, invest or reinvest any State money in the Treasury
3which is not needed for current expenditure, due or about to
4become due, or any money in the State Treasury which has been
5set aside and held for the payment of the principal of and the
6interest on any State bonds, in participations in loans, the
7principal of which participation is fully guaranteed by an
8agency or instrumentality of the United States government;
9provided, however, that such loan participations are
10represented by certificates issued only by banks which are
11incorporated under the laws of this State or any other state or
12under the laws of the United States, and such banks, but not
13the loan participation certificates, are insured by the
14Federal Deposit Insurance Corporation.
15    Whenever the total amount of vouchers presented to the
16Comptroller under Section 9 of the State Comptroller Act
17exceeds the funds available in the General Revenue Fund by
18$1,000,000,000 or more, then the State Treasurer may invest
19any State money in the Treasury, other than money in the
20General Revenue Fund, Health Insurance Reserve Fund, Attorney
21General Court Ordered and Voluntary Compliance Payment
22Projects Fund, Attorney General Whistleblower Reward and
23Protection Fund, and Attorney General's State Projects and
24Court Ordered Distribution Fund, which is not needed for
25current expenditures, due or about to become due, or any money
26in the State Treasury which has been set aside and held for the

 

 

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1payment of the principal of and the interest on any State bonds
2with the Office of the Comptroller in order to enable the
3Comptroller to pay outstanding vouchers. At any time, and from
4time to time outstanding, such investment shall not be greater
5than $2,000,000,000. Such investment shall be deposited into
6the General Revenue Fund or Health Insurance Reserve Fund as
7determined by the Comptroller. Such investment shall be repaid
8by the Comptroller with an interest rate tied to the London
9Interbank Offered Rate (LIBOR) or the Federal Funds Rate or an
10equivalent market established variable rate, but in no case
11shall such interest rate exceed the lesser of the penalty rate
12established under the State Prompt Payment Act or the timely
13pay interest rate under Section 368a of the Illinois Insurance
14Code. The State Treasurer and the Comptroller shall enter into
15an intergovernmental agreement to establish procedures for
16such investments, which market established variable rate to
17which the interest rate for the investments should be tied,
18and other terms which the State Treasurer and Comptroller
19reasonably believe to be mutually beneficial concerning these
20investments by the State Treasurer. The State Treasurer and
21Comptroller shall also enter into a written agreement for each
22such investment that specifies the period of the investment,
23the payment interval, the interest rate to be paid, the funds
24in the Treasury from which the Treasurer will draw the
25investment, and other terms upon which the State Treasurer and
26Comptroller mutually agree. Such investment agreements shall

 

 

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1be public records and the State Treasurer shall post the terms
2of all such investment agreements on the State Treasurer's
3official website. In compliance with the intergovernmental
4agreement, the Comptroller shall order and the State Treasurer
5shall transfer amounts sufficient for the payment of principal
6and interest invested by the State Treasurer with the Office
7of the Comptroller under this paragraph from the General
8Revenue Fund or the Health Insurance Reserve Fund to the
9respective funds in the Treasury from which the State
10Treasurer drew the investment. Public Act 100-1107 shall
11constitute an irrevocable and continuing authority for all
12amounts necessary for the payment of principal and interest on
13the investments made with the Office of the Comptroller by the
14State Treasurer under this paragraph, and the irrevocable and
15continuing authority for and direction to the Comptroller and
16Treasurer to make the necessary transfers.
17    The State Treasurer may, with the approval of the
18Governor, invest or reinvest any State money in the Treasury
19that is not needed for current expenditure, due or about to
20become due, or any money in the State Treasury that has been
21set aside and held for the payment of the principal of and the
22interest on any State bonds, in any of the following:
23        (1) Bonds, notes, certificates of indebtedness,
24    Treasury bills, or other securities now or hereafter
25    issued that are guaranteed by the full faith and credit of
26    the United States of America as to principal and interest.

 

 

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1        (2) Bonds, notes, debentures, or other similar
2    obligations of the United States of America, its agencies,
3    and instrumentalities.
4        (2.5) Bonds, notes, debentures, or other similar
5    obligations of a foreign government, other than the
6    Republic of the Sudan, that are guaranteed by the full
7    faith and credit of that government as to principal and
8    interest, but only if the foreign government has not
9    defaulted and has met its payment obligations in a timely
10    manner on all similar obligations for a period of at least
11    25 years immediately before the time of acquiring those
12    obligations.
13        (3) Interest-bearing savings accounts,
14    interest-bearing certificates of deposit,
15    interest-bearing time deposits, or any other investments
16    constituting direct obligations of any bank as defined by
17    the Illinois Banking Act.
18        (4) Interest-bearing accounts, certificates of
19    deposit, or any other investments constituting direct
20    obligations of any savings and loan associations
21    incorporated under the laws of this State or any other
22    state or under the laws of the United States.
23        (5) Dividend-bearing share accounts, share certificate
24    accounts, or class of share accounts of a credit union
25    chartered under the laws of this State or the laws of the
26    United States; provided, however, the principal office of

 

 

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1    the credit union must be located within the State of
2    Illinois.
3        (6) Bankers' acceptances of banks whose senior
4    obligations are rated in the top 2 rating categories by 2
5    national rating agencies and maintain that rating during
6    the term of the investment.
7        (7) Short-term obligations of either corporations or
8    limited liability companies organized in the United States
9    with assets exceeding $500,000,000 if (i) the obligations
10    are rated at the time of purchase at one of the 3 highest
11    classifications established by at least 2 standard rating
12    services and mature not later than 270 days from the date
13    of purchase, (ii) the purchases do not exceed 10% of the
14    corporation's or the limited liability company's
15    outstanding obligations, (iii) no more than one-third of
16    the public agency's funds are invested in short-term
17    obligations of either corporations or limited liability
18    companies, and (iv) the corporation or the limited
19    liability company has not been placed on the list of
20    restricted companies by the Illinois Investment Policy
21    Board under Section 1-110.16 of the Illinois Pension Code.
22        (7.5) Obligations of either corporations or limited
23    liability companies organized in the United States, that
24    have a significant presence in this State, with assets
25    exceeding $500,000,000 if: (i) the obligations are rated
26    at the time of purchase at one of the 3 highest

 

 

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1    classifications established by at least 2 standard rating
2    services and mature more than 270 days, but less than 10
3    years, from the date of purchase; (ii) the purchases do
4    not exceed 10% of the corporation's or the limited
5    liability company's outstanding obligations; (iii) no more
6    than one-third of the public agency's funds are invested
7    in such obligations of corporations or limited liability
8    companies; and (iv) the corporation or the limited
9    liability company has not been placed on the list of
10    restricted companies by the Illinois Investment Policy
11    Board under Section 1-110.16 of the Illinois Pension Code.
12        (8) Money market mutual funds registered under the
13    Investment Company Act of 1940.
14        (9) The Public Treasurers' Investment Pool created
15    under Section 17 of the State Treasurer Act or in a fund
16    managed, operated, and administered by a bank.
17        (10) Repurchase agreements of government securities
18    having the meaning set out in the Government Securities
19    Act of 1986, as now or hereafter amended or succeeded,
20    subject to the provisions of that Act and the regulations
21    issued thereunder.
22        (11) Investments made in accordance with the
23    Technology Development Act.
24        (12) Investments made in accordance with the Student
25    Investment Account Act.
26    For purposes of this Section, "agencies" of the United

 

 

SB2435- 124 -LRB102 04062 AMC 14078 b

1States Government includes:
2        (i) the federal land banks, federal intermediate
3    credit banks, banks for cooperatives, federal farm credit
4    banks, or any other entity authorized to issue debt
5    obligations under the Farm Credit Act of 1971 (12 U.S.C.
6    2001 et seq.) and Acts amendatory thereto;
7        (ii) the federal home loan banks and the federal home
8    loan mortgage corporation;
9        (iii) the Commodity Credit Corporation; and
10        (iv) any other agency created by Act of Congress.
11    The Treasurer may, with the approval of the Governor, lend
12any securities acquired under this Act. However, securities
13may be lent under this Section only in accordance with Federal
14Financial Institution Examination Council guidelines and only
15if the securities are collateralized at a level sufficient to
16assure the safety of the securities, taking into account
17market value fluctuation. The securities may be collateralized
18by cash or collateral acceptable under Sections 11 and 11.1.
19(Source: P.A. 100-1107, eff. 8-27-18; 101-81, eff. 7-12-19;
20101-206, eff. 8-2-19; 101-586, eff. 8-26-19; revised 9-25-19.)
 
21    Section 85. The Civil Administrative Code of Illinois is
22amended by changing Section 5-565 as follows:
 
23    (20 ILCS 5/5-565)  (was 20 ILCS 5/6.06)
24    Sec. 5-565. In the Department of Public Health.

 

 

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1    (a) The General Assembly declares it to be the public
2policy of this State that all citizens of Illinois are
3entitled to lead healthy lives. Governmental public health has
4a specific responsibility to ensure that a public health
5system is in place to allow the public health mission to be
6achieved. The public health system is the collection of
7public, private, and voluntary entities as well as individuals
8and informal associations that contribute to the public's
9health within the State. To develop a public health system
10requires certain core functions to be performed by government.
11The State Board of Health is to assume the leadership role in
12advising the Director in meeting the following functions:
13        (1) Needs assessment.
14        (2) Statewide health objectives.
15        (3) Policy development.
16        (4) Assurance of access to necessary services.
17    There shall be a State Board of Health composed of 20
18persons, all of whom shall be appointed by the Governor, with
19the advice and consent of the Senate for those appointed by the
20Governor on and after June 30, 1998, and one of whom shall be a
21senior citizen age 60 or over. Five members shall be
22physicians licensed to practice medicine in all its branches,
23one representing a medical school faculty, one who is board
24certified in preventive medicine, and one who is engaged in
25private practice. One member shall be a chiropractic
26physician. One member shall be a dentist; one an environmental

 

 

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1health practitioner; one a local public health administrator;
2one a local board of health member; one a registered nurse; one
3a physical therapist; one an optometrist; one a veterinarian;
4one a public health academician; one a health care industry
5representative; one a representative of the business
6community; one a representative of the non-profit public
7interest community; and 2 shall be citizens at large.
8    The terms of Board of Health members shall be 3 years,
9except that members shall continue to serve on the Board of
10Health until a replacement is appointed. Upon the effective
11date of Public Act 93-975 (January 1, 2005) this amendatory
12Act of the 93rd General Assembly, in the appointment of the
13Board of Health members appointed to vacancies or positions
14with terms expiring on or before December 31, 2004, the
15Governor shall appoint up to 6 members to serve for terms of 3
16years; up to 6 members to serve for terms of 2 years; and up to
175 members to serve for a term of one year, so that the term of
18no more than 6 members expire in the same year. All members
19shall be legal residents of the State of Illinois. The duties
20of the Board shall include, but not be limited to, the
21following:
22        (1) To advise the Department of ways to encourage
23    public understanding and support of the Department's
24    programs.
25        (2) To evaluate all boards, councils, committees,
26    authorities, and bodies advisory to, or an adjunct of, the

 

 

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1    Department of Public Health or its Director for the
2    purpose of recommending to the Director one or more of the
3    following:
4            (i) The elimination of bodies whose activities are
5        not consistent with goals and objectives of the
6        Department.
7            (ii) The consolidation of bodies whose activities
8        encompass compatible programmatic subjects.
9            (iii) The restructuring of the relationship
10        between the various bodies and their integration
11        within the organizational structure of the Department.
12            (iv) The establishment of new bodies deemed
13        essential to the functioning of the Department.
14        (3) To serve as an advisory group to the Director for
15    public health emergencies and control of health hazards.
16        (4) To advise the Director regarding public health
17    policy, and to make health policy recommendations
18    regarding priorities to the Governor through the Director.
19        (5) To present public health issues to the Director
20    and to make recommendations for the resolution of those
21    issues.
22        (6) To recommend studies to delineate public health
23    problems.
24        (7) To make recommendations to the Governor through
25    the Director regarding the coordination of State public
26    health activities with other State and local public health

 

 

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1    agencies and organizations.
2        (8) To report on or before February 1 of each year on
3    the health of the residents of Illinois to the Governor,
4    the General Assembly, and the public.
5        (9) To review the final draft of all proposed
6    administrative rules, other than emergency or peremptory
7    preemptory rules and those rules that another advisory
8    body must approve or review within a statutorily defined
9    time period, of the Department after September 19, 1991
10    (the effective date of Public Act 87-633). The Board shall
11    review the proposed rules within 90 days of submission by
12    the Department. The Department shall take into
13    consideration any comments and recommendations of the
14    Board regarding the proposed rules prior to submission to
15    the Secretary of State for initial publication. If the
16    Department disagrees with the recommendations of the
17    Board, it shall submit a written response outlining the
18    reasons for not accepting the recommendations.
19        In the case of proposed administrative rules or
20    amendments to administrative rules regarding immunization
21    of children against preventable communicable diseases
22    designated by the Director under the Communicable Disease
23    Prevention Act, after the Immunization Advisory Committee
24    has made its recommendations, the Board shall conduct 3
25    public hearings, geographically distributed throughout the
26    State. At the conclusion of the hearings, the State Board

 

 

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1    of Health shall issue a report, including its
2    recommendations, to the Director. The Director shall take
3    into consideration any comments or recommendations made by
4    the Board based on these hearings.
5        (10) To deliver to the Governor for presentation to
6    the General Assembly a State Health Improvement Plan. The
7    first 3 such plans shall be delivered to the Governor on
8    January 1, 2006, January 1, 2009, and January 1, 2016 and
9    then every 5 years thereafter.
10        The Plan shall recommend priorities and strategies to
11    improve the public health system and the health status of
12    Illinois residents, taking into consideration national
13    health objectives and system standards as frameworks for
14    assessment.
15        The Plan shall also take into consideration priorities
16    and strategies developed at the community level through
17    the Illinois Project for Local Assessment of Needs (IPLAN)
18    and any regional health improvement plans that may be
19    developed. The Plan shall focus on prevention as a key
20    strategy for long-term health improvement in Illinois.
21        The Plan shall examine and make recommendations on the
22    contributions and strategies of the public and private
23    sectors for improving health status and the public health
24    system in the State. In addition to recommendations on
25    health status improvement priorities and strategies for
26    the population of the State as a whole, the Plan shall make

 

 

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1    recommendations regarding priorities and strategies for
2    reducing and eliminating health disparities in Illinois;
3    including racial, ethnic, gender, age, socio-economic, and
4    geographic disparities.
5        The Director of the Illinois Department of Public
6    Health shall appoint a Planning Team that includes a range
7    of public, private, and voluntary sector stakeholders and
8    participants in the public health system. This Team shall
9    include: the directors of State agencies with public
10    health responsibilities (or their designees), including,
11    but not limited to, the Illinois Departments of Public
12    Health and Department of Human Services, representatives
13    of local health departments, representatives of local
14    community health partnerships, and individuals with
15    expertise who represent an array of organizations and
16    constituencies engaged in public health improvement and
17    prevention.
18        The State Board of Health shall hold at least 3 public
19    hearings addressing drafts of the Plan in representative
20    geographic areas of the State. Members of the Planning
21    Team shall receive no compensation for their services, but
22    may be reimbursed for their necessary expenses.
23        Upon the delivery of each State Health Improvement
24    Plan, the Governor shall appoint a SHIP Implementation
25    Coordination Council that includes a range of public,
26    private, and voluntary sector stakeholders and

 

 

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1    participants in the public health system. The Council
2    shall include the directors of State agencies and entities
3    with public health system responsibilities (or their
4    designees), including, but not limited to, the Department
5    of Public Health, Department of Human Services, Department
6    of Healthcare and Family Services, Environmental
7    Protection Agency, Illinois State Board of Education,
8    Department on Aging, Illinois Violence Prevention
9    Authority, Department of Agriculture, Department of
10    Insurance, Department of Financial and Professional
11    Regulation, Department of Transportation, and Department
12    of Commerce and Economic Opportunity and the Chair of the
13    State Board of Health. The Council shall include
14    representatives of local health departments and
15    individuals with expertise who represent an array of
16    organizations and constituencies engaged in public health
17    improvement and prevention, including non-profit public
18    interest groups, health issue groups, faith community
19    groups, health care providers, businesses and employers,
20    academic institutions, and community-based organizations.
21    The Governor shall endeavor to make the membership of the
22    Council representative of the racial, ethnic, gender,
23    socio-economic, and geographic diversity of the State. The
24    Governor shall designate one State agency representative
25    and one other non-governmental member as co-chairs of the
26    Council. The Governor shall designate a member of the

 

 

SB2435- 132 -LRB102 04062 AMC 14078 b

1    Governor's office to serve as liaison to the Council and
2    one or more State agencies to provide or arrange for
3    support to the Council. The members of the SHIP
4    Implementation Coordination Council for each State Health
5    Improvement Plan shall serve until the delivery of the
6    subsequent State Health Improvement Plan, whereupon a new
7    Council shall be appointed. Members of the SHIP Planning
8    Team may serve on the SHIP Implementation Coordination
9    Council if so appointed by the Governor.
10        The SHIP Implementation Coordination Council shall
11    coordinate the efforts and engagement of the public,
12    private, and voluntary sector stakeholders and
13    participants in the public health system to implement each
14    SHIP. The Council shall serve as a forum for collaborative
15    action; coordinate existing and new initiatives; develop
16    detailed implementation steps, with mechanisms for action;
17    implement specific projects; identify public and private
18    funding sources at the local, State and federal level;
19    promote public awareness of the SHIP; advocate for the
20    implementation of the SHIP; and develop an annual report
21    to the Governor, General Assembly, and public regarding
22    the status of implementation of the SHIP. The Council
23    shall not, however, have the authority to direct any
24    public or private entity to take specific action to
25    implement the SHIP.
26        (11) Upon the request of the Governor, to recommend to

 

 

SB2435- 133 -LRB102 04062 AMC 14078 b

1    the Governor candidates for Director of Public Health when
2    vacancies occur in the position.
3        (12) To adopt bylaws for the conduct of its own
4    business, including the authority to establish ad hoc
5    committees to address specific public health programs
6    requiring resolution.
7        (13) (Blank).
8    Upon appointment, the Board shall elect a chairperson from
9among its members.
10    Members of the Board shall receive compensation for their
11services at the rate of $150 per day, not to exceed $10,000 per
12year, as designated by the Director for each day required for
13transacting the business of the Board and shall be reimbursed
14for necessary expenses incurred in the performance of their
15duties. The Board shall meet from time to time at the call of
16the Department, at the call of the chairperson, or upon the
17request of 3 of its members, but shall not meet less than 4
18times per year.
19    (b) (Blank).
20    (c) An Advisory Board on Necropsy Service to Coroners,
21which shall counsel and advise with the Director on the
22administration of the Autopsy Act. The Advisory Board shall
23consist of 11 members, including a senior citizen age 60 or
24over, appointed by the Governor, one of whom shall be
25designated as chairman by a majority of the members of the
26Board. In the appointment of the first Board the Governor

 

 

SB2435- 134 -LRB102 04062 AMC 14078 b

1shall appoint 3 members to serve for terms of 1 year, 3 for
2terms of 2 years, and 3 for terms of 3 years. The members first
3appointed under Public Act 83-1538 shall serve for a term of 3
4years. All members appointed thereafter shall be appointed for
5terms of 3 years, except that when an appointment is made to
6fill a vacancy, the appointment shall be for the remaining
7term of the position vacant. The members of the Board shall be
8citizens of the State of Illinois. In the appointment of
9members of the Advisory Board the Governor shall appoint 3
10members who shall be persons licensed to practice medicine and
11surgery in the State of Illinois, at least 2 of whom shall have
12received post-graduate training in the field of pathology; 3
13members who are duly elected coroners in this State; and 5
14members who shall have interest and abilities in the field of
15forensic medicine but who shall be neither persons licensed to
16practice any branch of medicine in this State nor coroners. In
17the appointment of medical and coroner members of the Board,
18the Governor shall invite nominations from recognized medical
19and coroners organizations in this State respectively. Board
20members, while serving on business of the Board, shall receive
21actual necessary travel and subsistence expenses while so
22serving away from their places of residence.
23(Source: P.A. 98-463, eff. 8-16-13; 99-527, eff. 1-1-17;
24revised 7-17-19.)
 
25    Section 90. The Children and Family Services Act is

 

 

SB2435- 135 -LRB102 04062 AMC 14078 b

1amended by changing Section 5 and by setting forth,
2renumbering, and changing multiple versions of Section 42 as
3follows:
 
4    (20 ILCS 505/5)  (from Ch. 23, par. 5005)
5    Sec. 5. Direct child welfare services; Department of
6Children and Family Services. To provide direct child welfare
7services when not available through other public or private
8child care or program facilities.
9    (a) For purposes of this Section:
10        (1) "Children" means persons found within the State
11    who are under the age of 18 years. The term also includes
12    persons under age 21 who:
13            (A) were committed to the Department pursuant to
14        the Juvenile Court Act or the Juvenile Court Act of
15        1987, as amended, and who continue under the
16        jurisdiction of the court; or
17            (B) were accepted for care, service and training
18        by the Department prior to the age of 18 and whose best
19        interest in the discretion of the Department would be
20        served by continuing that care, service and training
21        because of severe emotional disturbances, physical
22        disability, social adjustment or any combination
23        thereof, or because of the need to complete an
24        educational or vocational training program.
25        (2) "Homeless youth" means persons found within the

 

 

SB2435- 136 -LRB102 04062 AMC 14078 b

1    State who are under the age of 19, are not in a safe and
2    stable living situation and cannot be reunited with their
3    families.
4        (3) "Child welfare services" means public social
5    services which are directed toward the accomplishment of
6    the following purposes:
7            (A) protecting and promoting the health, safety
8        and welfare of children, including homeless,
9        dependent, or neglected children;
10            (B) remedying, or assisting in the solution of
11        problems which may result in, the neglect, abuse,
12        exploitation, or delinquency of children;
13            (C) preventing the unnecessary separation of
14        children from their families by identifying family
15        problems, assisting families in resolving their
16        problems, and preventing the breakup of the family
17        where the prevention of child removal is desirable and
18        possible when the child can be cared for at home
19        without endangering the child's health and safety;
20            (D) restoring to their families children who have
21        been removed, by the provision of services to the
22        child and the families when the child can be cared for
23        at home without endangering the child's health and
24        safety;
25            (E) placing children in suitable adoptive homes,
26        in cases where restoration to the biological family is

 

 

SB2435- 137 -LRB102 04062 AMC 14078 b

1        not safe, possible, or appropriate;
2            (F) assuring safe and adequate care of children
3        away from their homes, in cases where the child cannot
4        be returned home or cannot be placed for adoption. At
5        the time of placement, the Department shall consider
6        concurrent planning, as described in subsection (l-1)
7        of this Section so that permanency may occur at the
8        earliest opportunity. Consideration should be given so
9        that if reunification fails or is delayed, the
10        placement made is the best available placement to
11        provide permanency for the child;
12            (G) (blank);
13            (H) (blank); and
14            (I) placing and maintaining children in facilities
15        that provide separate living quarters for children
16        under the age of 18 and for children 18 years of age
17        and older, unless a child 18 years of age is in the
18        last year of high school education or vocational
19        training, in an approved individual or group treatment
20        program, in a licensed shelter facility, or secure
21        child care facility. The Department is not required to
22        place or maintain children:
23                (i) who are in a foster home, or
24                (ii) who are persons with a developmental
25            disability, as defined in the Mental Health and
26            Developmental Disabilities Code, or

 

 

SB2435- 138 -LRB102 04062 AMC 14078 b

1                (iii) who are female children who are
2            pregnant, pregnant and parenting, or parenting, or
3                (iv) who are siblings, in facilities that
4            provide separate living quarters for children 18
5            years of age and older and for children under 18
6            years of age.
7    (b) (Blank).
8    (c) The Department shall establish and maintain
9tax-supported child welfare services and extend and seek to
10improve voluntary services throughout the State, to the end
11that services and care shall be available on an equal basis
12throughout the State to children requiring such services.
13    (d) The Director may authorize advance disbursements for
14any new program initiative to any agency contracting with the
15Department. As a prerequisite for an advance disbursement, the
16contractor must post a surety bond in the amount of the advance
17disbursement and have a purchase of service contract approved
18by the Department. The Department may pay up to 2 months
19operational expenses in advance. The amount of the advance
20disbursement shall be prorated over the life of the contract
21or the remaining months of the fiscal year, whichever is less,
22and the installment amount shall then be deducted from future
23bills. Advance disbursement authorizations for new initiatives
24shall not be made to any agency after that agency has operated
25during 2 consecutive fiscal years. The requirements of this
26Section concerning advance disbursements shall not apply with

 

 

SB2435- 139 -LRB102 04062 AMC 14078 b

1respect to the following: payments to local public agencies
2for child day care services as authorized by Section 5a of this
3Act; and youth service programs receiving grant funds under
4Section 17a-4.
5    (e) (Blank).
6    (f) (Blank).
7    (g) The Department shall establish rules and regulations
8concerning its operation of programs designed to meet the
9goals of child safety and protection, family preservation,
10family reunification, and adoption, including, but not limited
11to:
12        (1) adoption;
13        (2) foster care;
14        (3) family counseling;
15        (4) protective services;
16        (5) (blank);
17        (6) homemaker service;
18        (7) return of runaway children;
19        (8) (blank);
20        (9) placement under Section 5-7 of the Juvenile Court
21    Act or Section 2-27, 3-28, 4-25, or 5-740 of the Juvenile
22    Court Act of 1987 in accordance with the federal Adoption
23    Assistance and Child Welfare Act of 1980; and
24        (10) interstate services.
25    Rules and regulations established by the Department shall
26include provisions for training Department staff and the staff

 

 

SB2435- 140 -LRB102 04062 AMC 14078 b

1of Department grantees, through contracts with other agencies
2or resources, in screening techniques to identify substance
3use disorders, as defined in the Substance Use Disorder Act,
4approved by the Department of Human Services, as a successor
5to the Department of Alcoholism and Substance Abuse, for the
6purpose of identifying children and adults who should be
7referred for an assessment at an organization appropriately
8licensed by the Department of Human Services for substance use
9disorder treatment.
10    (h) If the Department finds that there is no appropriate
11program or facility within or available to the Department for
12a youth in care and that no licensed private facility has an
13adequate and appropriate program or none agrees to accept the
14youth in care, the Department shall create an appropriate
15individualized, program-oriented plan for such youth in care.
16The plan may be developed within the Department or through
17purchase of services by the Department to the extent that it is
18within its statutory authority to do.
19    (i) Service programs shall be available throughout the
20State and shall include but not be limited to the following
21services:
22        (1) case management;
23        (2) homemakers;
24        (3) counseling;
25        (4) parent education;
26        (5) day care; and

 

 

SB2435- 141 -LRB102 04062 AMC 14078 b

1        (6) emergency assistance and advocacy.
2    In addition, the following services may be made available
3to assess and meet the needs of children and families:
4        (1) comprehensive family-based services;
5        (2) assessments;
6        (3) respite care; and
7        (4) in-home health services.
8    The Department shall provide transportation for any of the
9services it makes available to children or families or for
10which it refers children or families.
11    (j) The Department may provide categories of financial
12assistance and education assistance grants, and shall
13establish rules and regulations concerning the assistance and
14grants, to persons who adopt children with physical or mental
15disabilities, children who are older, or other hard-to-place
16children who (i) immediately prior to their adoption were
17youth in care or (ii) were determined eligible for financial
18assistance with respect to a prior adoption and who become
19available for adoption because the prior adoption has been
20dissolved and the parental rights of the adoptive parents have
21been terminated or because the child's adoptive parents have
22died. The Department may continue to provide financial
23assistance and education assistance grants for a child who was
24determined eligible for financial assistance under this
25subsection (j) in the interim period beginning when the
26child's adoptive parents died and ending with the finalization

 

 

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1of the new adoption of the child by another adoptive parent or
2parents. The Department may also provide categories of
3financial assistance and education assistance grants, and
4shall establish rules and regulations for the assistance and
5grants, to persons appointed guardian of the person under
6Section 5-7 of the Juvenile Court Act or Section 2-27, 3-28,
74-25, or 5-740 of the Juvenile Court Act of 1987 for children
8who were youth in care for 12 months immediately prior to the
9appointment of the guardian.
10    The amount of assistance may vary, depending upon the
11needs of the child and the adoptive parents, as set forth in
12the annual assistance agreement. Special purpose grants are
13allowed where the child requires special service but such
14costs may not exceed the amounts which similar services would
15cost the Department if it were to provide or secure them as
16guardian of the child.
17    Any financial assistance provided under this subsection is
18inalienable by assignment, sale, execution, attachment,
19garnishment, or any other remedy for recovery or collection of
20a judgment or debt.
21    (j-5) The Department shall not deny or delay the placement
22of a child for adoption if an approved family is available
23either outside of the Department region handling the case, or
24outside of the State of Illinois.
25    (k) The Department shall accept for care and training any
26child who has been adjudicated neglected or abused, or

 

 

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1dependent committed to it pursuant to the Juvenile Court Act
2or the Juvenile Court Act of 1987.
3    (l) The Department shall offer family preservation
4services, as defined in Section 8.2 of the Abused and
5Neglected Child Reporting Act, to help families, including
6adoptive and extended families. Family preservation services
7shall be offered (i) to prevent the placement of children in
8substitute care when the children can be cared for at home or
9in the custody of the person responsible for the children's
10welfare, (ii) to reunite children with their families, or
11(iii) to maintain an adoptive placement. Family preservation
12services shall only be offered when doing so will not endanger
13the children's health or safety. With respect to children who
14are in substitute care pursuant to the Juvenile Court Act of
151987, family preservation services shall not be offered if a
16goal other than those of subdivisions (A), (B), or (B-1) of
17subsection (2) of Section 2-28 of that Act has been set, except
18that reunification services may be offered as provided in
19paragraph (F) of subsection (2) of Section 2-28 of that Act.
20Nothing in this paragraph shall be construed to create a
21private right of action or claim on the part of any individual
22or child welfare agency, except that when a child is the
23subject of an action under Article II of the Juvenile Court Act
24of 1987 and the child's service plan calls for services to
25facilitate achievement of the permanency goal, the court
26hearing the action under Article II of the Juvenile Court Act

 

 

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1of 1987 may order the Department to provide the services set
2out in the plan, if those services are not provided with
3reasonable promptness and if those services are available.
4    The Department shall notify the child and his family of
5the Department's responsibility to offer and provide family
6preservation services as identified in the service plan. The
7child and his family shall be eligible for services as soon as
8the report is determined to be "indicated". The Department may
9offer services to any child or family with respect to whom a
10report of suspected child abuse or neglect has been filed,
11prior to concluding its investigation under Section 7.12 of
12the Abused and Neglected Child Reporting Act. However, the
13child's or family's willingness to accept services shall not
14be considered in the investigation. The Department may also
15provide services to any child or family who is the subject of
16any report of suspected child abuse or neglect or may refer
17such child or family to services available from other agencies
18in the community, even if the report is determined to be
19unfounded, if the conditions in the child's or family's home
20are reasonably likely to subject the child or family to future
21reports of suspected child abuse or neglect. Acceptance of
22such services shall be voluntary. The Department may also
23provide services to any child or family after completion of a
24family assessment, as an alternative to an investigation, as
25provided under the "differential response program" provided
26for in subsection (a-5) of Section 7.4 of the Abused and

 

 

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1Neglected Child Reporting Act.
2    The Department may, at its discretion except for those
3children also adjudicated neglected or dependent, accept for
4care and training any child who has been adjudicated addicted,
5as a truant minor in need of supervision or as a minor
6requiring authoritative intervention, under the Juvenile Court
7Act or the Juvenile Court Act of 1987, but no such child shall
8be committed to the Department by any court without the
9approval of the Department. On and after January 1, 2015 (the
10effective date of Public Act 98-803) and before January 1,
112017, a minor charged with a criminal offense under the
12Criminal Code of 1961 or the Criminal Code of 2012 or
13adjudicated delinquent shall not be placed in the custody of
14or committed to the Department by any court, except (i) a minor
15less than 16 years of age committed to the Department under
16Section 5-710 of the Juvenile Court Act of 1987, (ii) a minor
17for whom an independent basis of abuse, neglect, or dependency
18exists, which must be defined by departmental rule, or (iii) a
19minor for whom the court has granted a supplemental petition
20to reinstate wardship pursuant to subsection (2) of Section
212-33 of the Juvenile Court Act of 1987. On and after January 1,
222017, a minor charged with a criminal offense under the
23Criminal Code of 1961 or the Criminal Code of 2012 or
24adjudicated delinquent shall not be placed in the custody of
25or committed to the Department by any court, except (i) a minor
26less than 15 years of age committed to the Department under

 

 

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1Section 5-710 of the Juvenile Court Act of 1987, ii) a minor
2for whom an independent basis of abuse, neglect, or dependency
3exists, which must be defined by departmental rule, or (iii) a
4minor for whom the court has granted a supplemental petition
5to reinstate wardship pursuant to subsection (2) of Section
62-33 of the Juvenile Court Act of 1987. An independent basis
7exists when the allegations or adjudication of abuse, neglect,
8or dependency do not arise from the same facts, incident, or
9circumstances which give rise to a charge or adjudication of
10delinquency. The Department shall assign a caseworker to
11attend any hearing involving a youth in the care and custody of
12the Department who is placed on aftercare release, including
13hearings involving sanctions for violation of aftercare
14release conditions and aftercare release revocation hearings.
15    As soon as is possible after August 7, 2009 (the effective
16date of Public Act 96-134), the Department shall develop and
17implement a special program of family preservation services to
18support intact, foster, and adoptive families who are
19experiencing extreme hardships due to the difficulty and
20stress of caring for a child who has been diagnosed with a
21pervasive developmental disorder if the Department determines
22that those services are necessary to ensure the health and
23safety of the child. The Department may offer services to any
24family whether or not a report has been filed under the Abused
25and Neglected Child Reporting Act. The Department may refer
26the child or family to services available from other agencies

 

 

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1in the community if the conditions in the child's or family's
2home are reasonably likely to subject the child or family to
3future reports of suspected child abuse or neglect. Acceptance
4of these services shall be voluntary. The Department shall
5develop and implement a public information campaign to alert
6health and social service providers and the general public
7about these special family preservation services. The nature
8and scope of the services offered and the number of families
9served under the special program implemented under this
10paragraph shall be determined by the level of funding that the
11Department annually allocates for this purpose. The term
12"pervasive developmental disorder" under this paragraph means
13a neurological condition, including, but not limited to,
14Asperger's Syndrome and autism, as defined in the most recent
15edition of the Diagnostic and Statistical Manual of Mental
16Disorders of the American Psychiatric Association.
17    (l-1) The legislature recognizes that the best interests
18of the child require that the child be placed in the most
19permanent living arrangement as soon as is practically
20possible. To achieve this goal, the legislature directs the
21Department of Children and Family Services to conduct
22concurrent planning so that permanency may occur at the
23earliest opportunity. Permanent living arrangements may
24include prevention of placement of a child outside the home of
25the family when the child can be cared for at home without
26endangering the child's health or safety; reunification with

 

 

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1the family, when safe and appropriate, if temporary placement
2is necessary; or movement of the child toward the most
3permanent living arrangement and permanent legal status.
4    When determining reasonable efforts to be made with
5respect to a child, as described in this subsection, and in
6making such reasonable efforts, the child's health and safety
7shall be the paramount concern.
8    When a child is placed in foster care, the Department
9shall ensure and document that reasonable efforts were made to
10prevent or eliminate the need to remove the child from the
11child's home. The Department must make reasonable efforts to
12reunify the family when temporary placement of the child
13occurs unless otherwise required, pursuant to the Juvenile
14Court Act of 1987. At any time after the dispositional hearing
15where the Department believes that further reunification
16services would be ineffective, it may request a finding from
17the court that reasonable efforts are no longer appropriate.
18The Department is not required to provide further
19reunification services after such a finding.
20    A decision to place a child in substitute care shall be
21made with considerations of the child's health, safety, and
22best interests. At the time of placement, consideration should
23also be given so that if reunification fails or is delayed, the
24placement made is the best available placement to provide
25permanency for the child.
26    The Department shall adopt rules addressing concurrent

 

 

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1planning for reunification and permanency. The Department
2shall consider the following factors when determining
3appropriateness of concurrent planning:
4        (1) the likelihood of prompt reunification;
5        (2) the past history of the family;
6        (3) the barriers to reunification being addressed by
7    the family;
8        (4) the level of cooperation of the family;
9        (5) the foster parents' willingness to work with the
10    family to reunite;
11        (6) the willingness and ability of the foster family
12    to provide an adoptive home or long-term placement;
13        (7) the age of the child;
14        (8) placement of siblings.
15    (m) The Department may assume temporary custody of any
16child if:
17        (1) it has received a written consent to such
18    temporary custody signed by the parents of the child or by
19    the parent having custody of the child if the parents are
20    not living together or by the guardian or custodian of the
21    child if the child is not in the custody of either parent,
22    or
23        (2) the child is found in the State and neither a
24    parent, guardian nor custodian of the child can be
25    located.
26If the child is found in his or her residence without a parent,

 

 

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1guardian, custodian, or responsible caretaker, the Department
2may, instead of removing the child and assuming temporary
3custody, place an authorized representative of the Department
4in that residence until such time as a parent, guardian, or
5custodian enters the home and expresses a willingness and
6apparent ability to ensure the child's health and safety and
7resume permanent charge of the child, or until a relative
8enters the home and is willing and able to ensure the child's
9health and safety and assume charge of the child until a
10parent, guardian, or custodian enters the home and expresses
11such willingness and ability to ensure the child's safety and
12resume permanent charge. After a caretaker has remained in the
13home for a period not to exceed 12 hours, the Department must
14follow those procedures outlined in Section 2-9, 3-11, 4-8, or
155-415 of the Juvenile Court Act of 1987.
16    The Department shall have the authority, responsibilities
17and duties that a legal custodian of the child would have
18pursuant to subsection (9) of Section 1-3 of the Juvenile
19Court Act of 1987. Whenever a child is taken into temporary
20custody pursuant to an investigation under the Abused and
21Neglected Child Reporting Act, or pursuant to a referral and
22acceptance under the Juvenile Court Act of 1987 of a minor in
23limited custody, the Department, during the period of
24temporary custody and before the child is brought before a
25judicial officer as required by Section 2-9, 3-11, 4-8, or
265-415 of the Juvenile Court Act of 1987, shall have the

 

 

SB2435- 151 -LRB102 04062 AMC 14078 b

1authority, responsibilities and duties that a legal custodian
2of the child would have under subsection (9) of Section 1-3 of
3the Juvenile Court Act of 1987.
4    The Department shall ensure that any child taken into
5custody is scheduled for an appointment for a medical
6examination.
7    A parent, guardian, or custodian of a child in the
8temporary custody of the Department who would have custody of
9the child if he were not in the temporary custody of the
10Department may deliver to the Department a signed request that
11the Department surrender the temporary custody of the child.
12The Department may retain temporary custody of the child for
1310 days after the receipt of the request, during which period
14the Department may cause to be filed a petition pursuant to the
15Juvenile Court Act of 1987. If a petition is so filed, the
16Department shall retain temporary custody of the child until
17the court orders otherwise. If a petition is not filed within
18the 10-day period, the child shall be surrendered to the
19custody of the requesting parent, guardian, or custodian not
20later than the expiration of the 10-day period, at which time
21the authority and duties of the Department with respect to the
22temporary custody of the child shall terminate.
23    (m-1) The Department may place children under 18 years of
24age in a secure child care facility licensed by the Department
25that cares for children who are in need of secure living
26arrangements for their health, safety, and well-being after a

 

 

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1determination is made by the facility director and the
2Director or the Director's designate prior to admission to the
3facility subject to Section 2-27.1 of the Juvenile Court Act
4of 1987. This subsection (m-1) does not apply to a child who is
5subject to placement in a correctional facility operated
6pursuant to Section 3-15-2 of the Unified Code of Corrections,
7unless the child is a youth in care who was placed in the care
8of the Department before being subject to placement in a
9correctional facility and a court of competent jurisdiction
10has ordered placement of the child in a secure care facility.
11    (n) The Department may place children under 18 years of
12age in licensed child care facilities when in the opinion of
13the Department, appropriate services aimed at family
14preservation have been unsuccessful and cannot ensure the
15child's health and safety or are unavailable and such
16placement would be for their best interest. Payment for board,
17clothing, care, training and supervision of any child placed
18in a licensed child care facility may be made by the
19Department, by the parents or guardians of the estates of
20those children, or by both the Department and the parents or
21guardians, except that no payments shall be made by the
22Department for any child placed in a licensed child care
23facility for board, clothing, care, training and supervision
24of such a child that exceed the average per capita cost of
25maintaining and of caring for a child in institutions for
26dependent or neglected children operated by the Department.

 

 

SB2435- 153 -LRB102 04062 AMC 14078 b

1However, such restriction on payments does not apply in cases
2where children require specialized care and treatment for
3problems of severe emotional disturbance, physical disability,
4social adjustment, or any combination thereof and suitable
5facilities for the placement of such children are not
6available at payment rates within the limitations set forth in
7this Section. All reimbursements for services delivered shall
8be absolutely inalienable by assignment, sale, attachment, or
9garnishment or otherwise.
10    (n-1) The Department shall provide or authorize child
11welfare services, aimed at assisting minors to achieve
12sustainable self-sufficiency as independent adults, for any
13minor eligible for the reinstatement of wardship pursuant to
14subsection (2) of Section 2-33 of the Juvenile Court Act of
151987, whether or not such reinstatement is sought or allowed,
16provided that the minor consents to such services and has not
17yet attained the age of 21. The Department shall have
18responsibility for the development and delivery of services
19under this Section. An eligible youth may access services
20under this Section through the Department of Children and
21Family Services or by referral from the Department of Human
22Services. Youth participating in services under this Section
23shall cooperate with the assigned case manager in developing
24an agreement identifying the services to be provided and how
25the youth will increase skills to achieve self-sufficiency. A
26homeless shelter is not considered appropriate housing for any

 

 

SB2435- 154 -LRB102 04062 AMC 14078 b

1youth receiving child welfare services under this Section. The
2Department shall continue child welfare services under this
3Section to any eligible minor until the minor becomes 21 years
4of age, no longer consents to participate, or achieves
5self-sufficiency as identified in the minor's service plan.
6The Department of Children and Family Services shall create
7clear, readable notice of the rights of former foster youth to
8child welfare services under this Section and how such
9services may be obtained. The Department of Children and
10Family Services and the Department of Human Services shall
11disseminate this information statewide. The Department shall
12adopt regulations describing services intended to assist
13minors in achieving sustainable self-sufficiency as
14independent adults.
15    (o) The Department shall establish an administrative
16review and appeal process for children and families who
17request or receive child welfare services from the Department.
18Youth in care who are placed by private child welfare
19agencies, and foster families with whom those youth are
20placed, shall be afforded the same procedural and appeal
21rights as children and families in the case of placement by the
22Department, including the right to an initial review of a
23private agency decision by that agency. The Department shall
24ensure that any private child welfare agency, which accepts
25youth in care for placement, affords those rights to children
26and foster families. The Department shall accept for

 

 

SB2435- 155 -LRB102 04062 AMC 14078 b

1administrative review and an appeal hearing a complaint made
2by (i) a child or foster family concerning a decision
3following an initial review by a private child welfare agency
4or (ii) a prospective adoptive parent who alleges a violation
5of subsection (j-5) of this Section. An appeal of a decision
6concerning a change in the placement of a child shall be
7conducted in an expedited manner. A court determination that a
8current foster home placement is necessary and appropriate
9under Section 2-28 of the Juvenile Court Act of 1987 does not
10constitute a judicial determination on the merits of an
11administrative appeal, filed by a former foster parent,
12involving a change of placement decision.
13    (p) (Blank).
14    (q) The Department may receive and use, in their entirety,
15for the benefit of children any gift, donation, or bequest of
16money or other property which is received on behalf of such
17children, or any financial benefits to which such children are
18or may become entitled while under the jurisdiction or care of
19the Department.
20    The Department shall set up and administer no-cost,
21interest-bearing accounts in appropriate financial
22institutions for children for whom the Department is legally
23responsible and who have been determined eligible for
24Veterans' Benefits, Social Security benefits, assistance
25allotments from the armed forces, court ordered payments,
26parental voluntary payments, Supplemental Security Income,

 

 

SB2435- 156 -LRB102 04062 AMC 14078 b

1Railroad Retirement payments, Black Lung benefits, or other
2miscellaneous payments. Interest earned by each account shall
3be credited to the account, unless disbursed in accordance
4with this subsection.
5    In disbursing funds from children's accounts, the
6Department shall:
7        (1) Establish standards in accordance with State and
8    federal laws for disbursing money from children's
9    accounts. In all circumstances, the Department's
10    "Guardianship Administrator" or his or her designee must
11    approve disbursements from children's accounts. The
12    Department shall be responsible for keeping complete
13    records of all disbursements for each account for any
14    purpose.
15        (2) Calculate on a monthly basis the amounts paid from
16    State funds for the child's board and care, medical care
17    not covered under Medicaid, and social services; and
18    utilize funds from the child's account, as covered by
19    regulation, to reimburse those costs. Monthly,
20    disbursements from all children's accounts, up to 1/12 of
21    $13,000,000, shall be deposited by the Department into the
22    General Revenue Fund and the balance over 1/12 of
23    $13,000,000 into the DCFS Children's Services Fund.
24        (3) Maintain any balance remaining after reimbursing
25    for the child's costs of care, as specified in item (2).
26    The balance shall accumulate in accordance with relevant

 

 

SB2435- 157 -LRB102 04062 AMC 14078 b

1    State and federal laws and shall be disbursed to the child
2    or his or her guardian, or to the issuing agency.
3    (r) The Department shall promulgate regulations
4encouraging all adoption agencies to voluntarily forward to
5the Department or its agent names and addresses of all persons
6who have applied for and have been approved for adoption of a
7hard-to-place child or child with a disability and the names
8of such children who have not been placed for adoption. A list
9of such names and addresses shall be maintained by the
10Department or its agent, and coded lists which maintain the
11confidentiality of the person seeking to adopt the child and
12of the child shall be made available, without charge, to every
13adoption agency in the State to assist the agencies in placing
14such children for adoption. The Department may delegate to an
15agent its duty to maintain and make available such lists. The
16Department shall ensure that such agent maintains the
17confidentiality of the person seeking to adopt the child and
18of the child.
19    (s) The Department of Children and Family Services may
20establish and implement a program to reimburse Department and
21private child welfare agency foster parents licensed by the
22Department of Children and Family Services for damages
23sustained by the foster parents as a result of the malicious or
24negligent acts of foster children, as well as providing third
25party coverage for such foster parents with regard to actions
26of foster children to other individuals. Such coverage will be

 

 

SB2435- 158 -LRB102 04062 AMC 14078 b

1secondary to the foster parent liability insurance policy, if
2applicable. The program shall be funded through appropriations
3from the General Revenue Fund, specifically designated for
4such purposes.
5    (t) The Department shall perform home studies and
6investigations and shall exercise supervision over visitation
7as ordered by a court pursuant to the Illinois Marriage and
8Dissolution of Marriage Act or the Adoption Act only if:
9        (1) an order entered by an Illinois court specifically
10    directs the Department to perform such services; and
11        (2) the court has ordered one or both of the parties to
12    the proceeding to reimburse the Department for its
13    reasonable costs for providing such services in accordance
14    with Department rules, or has determined that neither
15    party is financially able to pay.
16    The Department shall provide written notification to the
17court of the specific arrangements for supervised visitation
18and projected monthly costs within 60 days of the court order.
19The Department shall send to the court information related to
20the costs incurred except in cases where the court has
21determined the parties are financially unable to pay. The
22court may order additional periodic reports as appropriate.
23    (u) In addition to other information that must be
24provided, whenever the Department places a child with a
25prospective adoptive parent or parents, or in a licensed
26foster home, group home, or child care institution, or in a

 

 

SB2435- 159 -LRB102 04062 AMC 14078 b

1relative home, the Department shall provide to the prospective
2adoptive parent or parents or other caretaker:
3        (1) available detailed information concerning the
4    child's educational and health history, copies of
5    immunization records (including insurance and medical card
6    information), a history of the child's previous
7    placements, if any, and reasons for placement changes
8    excluding any information that identifies or reveals the
9    location of any previous caretaker;
10        (2) a copy of the child's portion of the client
11    service plan, including any visitation arrangement, and
12    all amendments or revisions to it as related to the child;
13    and
14        (3) information containing details of the child's
15    individualized educational plan when the child is
16    receiving special education services.
17    The caretaker shall be informed of any known social or
18behavioral information (including, but not limited to,
19criminal background, fire setting, perpetuation of sexual
20abuse, destructive behavior, and substance abuse) necessary to
21care for and safeguard the children to be placed or currently
22in the home. The Department may prepare a written summary of
23the information required by this paragraph, which may be
24provided to the foster or prospective adoptive parent in
25advance of a placement. The foster or prospective adoptive
26parent may review the supporting documents in the child's file

 

 

SB2435- 160 -LRB102 04062 AMC 14078 b

1in the presence of casework staff. In the case of an emergency
2placement, casework staff shall at least provide known
3information verbally, if necessary, and must subsequently
4provide the information in writing as required by this
5subsection.
6    The information described in this subsection shall be
7provided in writing. In the case of emergency placements when
8time does not allow prior review, preparation, and collection
9of written information, the Department shall provide such
10information as it becomes available. Within 10 business days
11after placement, the Department shall obtain from the
12prospective adoptive parent or parents or other caretaker a
13signed verification of receipt of the information provided.
14Within 10 business days after placement, the Department shall
15provide to the child's guardian ad litem a copy of the
16information provided to the prospective adoptive parent or
17parents or other caretaker. The information provided to the
18prospective adoptive parent or parents or other caretaker
19shall be reviewed and approved regarding accuracy at the
20supervisory level.
21    (u-5) Effective July 1, 1995, only foster care placements
22licensed as foster family homes pursuant to the Child Care Act
23of 1969 shall be eligible to receive foster care payments from
24the Department. Relative caregivers who, as of July 1, 1995,
25were approved pursuant to approved relative placement rules
26previously promulgated by the Department at 89 Ill. Adm. Code

 

 

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1335 and had submitted an application for licensure as a foster
2family home may continue to receive foster care payments only
3until the Department determines that they may be licensed as a
4foster family home or that their application for licensure is
5denied or until September 30, 1995, whichever occurs first.
6    (v) The Department shall access criminal history record
7information as defined in the Illinois Uniform Conviction
8Information Act and information maintained in the adjudicatory
9and dispositional record system as defined in Section 2605-355
10of the Department of State Police Law (20 ILCS 2605/2605-355)
11if the Department determines the information is necessary to
12perform its duties under the Abused and Neglected Child
13Reporting Act, the Child Care Act of 1969, and the Children and
14Family Services Act. The Department shall provide for
15interactive computerized communication and processing
16equipment that permits direct on-line communication with the
17Department of State Police's central criminal history data
18repository. The Department shall comply with all certification
19requirements and provide certified operators who have been
20trained by personnel from the Department of State Police. In
21addition, one Office of the Inspector General investigator
22shall have training in the use of the criminal history
23information access system and have access to the terminal. The
24Department of Children and Family Services and its employees
25shall abide by rules and regulations established by the
26Department of State Police relating to the access and

 

 

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1dissemination of this information.
2    (v-1) Prior to final approval for placement of a child,
3the Department shall conduct a criminal records background
4check of the prospective foster or adoptive parent, including
5fingerprint-based checks of national crime information
6databases. Final approval for placement shall not be granted
7if the record check reveals a felony conviction for child
8abuse or neglect, for spousal abuse, for a crime against
9children, or for a crime involving violence, including rape,
10sexual assault, or homicide, but not including other physical
11assault or battery, or if there is a felony conviction for
12physical assault, battery, or a drug-related offense committed
13within the past 5 years.
14    (v-2) Prior to final approval for placement of a child,
15the Department shall check its child abuse and neglect
16registry for information concerning prospective foster and
17adoptive parents, and any adult living in the home. If any
18prospective foster or adoptive parent or other adult living in
19the home has resided in another state in the preceding 5 years,
20the Department shall request a check of that other state's
21child abuse and neglect registry.
22    (w) Within 120 days of August 20, 1995 (the effective date
23of Public Act 89-392), the Department shall prepare and submit
24to the Governor and the General Assembly, a written plan for
25the development of in-state licensed secure child care
26facilities that care for children who are in need of secure

 

 

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1living arrangements for their health, safety, and well-being.
2For purposes of this subsection, secure care facility shall
3mean a facility that is designed and operated to ensure that
4all entrances and exits from the facility, a building or a
5distinct part of the building, are under the exclusive control
6of the staff of the facility, whether or not the child has the
7freedom of movement within the perimeter of the facility,
8building, or distinct part of the building. The plan shall
9include descriptions of the types of facilities that are
10needed in Illinois; the cost of developing these secure care
11facilities; the estimated number of placements; the potential
12cost savings resulting from the movement of children currently
13out-of-state who are projected to be returned to Illinois; the
14necessary geographic distribution of these facilities in
15Illinois; and a proposed timetable for development of such
16facilities.
17    (x) The Department shall conduct annual credit history
18checks to determine the financial history of children placed
19under its guardianship pursuant to the Juvenile Court Act of
201987. The Department shall conduct such credit checks starting
21when a youth in care turns 12 years old and each year
22thereafter for the duration of the guardianship as terminated
23pursuant to the Juvenile Court Act of 1987. The Department
24shall determine if financial exploitation of the child's
25personal information has occurred. If financial exploitation
26appears to have taken place or is presently ongoing, the

 

 

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1Department shall notify the proper law enforcement agency, the
2proper State's Attorney, or the Attorney General.
3    (y) Beginning on July 22, 2010 (the effective date of
4Public Act 96-1189), a child with a disability who receives
5residential and educational services from the Department shall
6be eligible to receive transition services in accordance with
7Article 14 of the School Code from the age of 14.5 through age
821, inclusive, notwithstanding the child's residential
9services arrangement. For purposes of this subsection, "child
10with a disability" means a child with a disability as defined
11by the federal Individuals with Disabilities Education
12Improvement Act of 2004.
13    (z) The Department shall access criminal history record
14information as defined as "background information" in this
15subsection and criminal history record information as defined
16in the Illinois Uniform Conviction Information Act for each
17Department employee or Department applicant. Each Department
18employee or Department applicant shall submit his or her
19fingerprints to the Department of State Police in the form and
20manner prescribed by the Department of State Police. These
21fingerprints shall be checked against the fingerprint records
22now and hereafter filed in the Department of State Police and
23the Federal Bureau of Investigation criminal history records
24databases. The Department of State Police shall charge a fee
25for conducting the criminal history record check, which shall
26be deposited into the State Police Services Fund and shall not

 

 

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1exceed the actual cost of the record check. The Department of
2State Police shall furnish, pursuant to positive
3identification, all Illinois conviction information to the
4Department of Children and Family Services.
5    For purposes of this subsection:
6    "Background information" means all of the following:
7        (i) Upon the request of the Department of Children and
8    Family Services, conviction information obtained from the
9    Department of State Police as a result of a
10    fingerprint-based criminal history records check of the
11    Illinois criminal history records database and the Federal
12    Bureau of Investigation criminal history records database
13    concerning a Department employee or Department applicant.
14        (ii) Information obtained by the Department of
15    Children and Family Services after performing a check of
16    the Department of State Police's Sex Offender Database, as
17    authorized by Section 120 of the Sex Offender Community
18    Notification Law, concerning a Department employee or
19    Department applicant.
20        (iii) Information obtained by the Department of
21    Children and Family Services after performing a check of
22    the Child Abuse and Neglect Tracking System (CANTS)
23    operated and maintained by the Department.
24    "Department employee" means a full-time or temporary
25employee coded or certified within the State of Illinois
26Personnel System.

 

 

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1    "Department applicant" means an individual who has
2conditional Department full-time or part-time work, a
3contractor, an individual used to replace or supplement staff,
4an academic intern, a volunteer in Department offices or on
5Department contracts, a work-study student, an individual or
6entity licensed by the Department, or an unlicensed service
7provider who works as a condition of a contract or an agreement
8and whose work may bring the unlicensed service provider into
9contact with Department clients or client records.
10(Source: P.A. 100-159, eff. 8-18-17; 100-522, eff. 9-22-17;
11100-759, eff. 1-1-19; 100-863, eff. 8-14-18; 100-978, eff.
128-19-18; 101-13, eff. 6-12-19; 101-79, eff. 7-12-19; 101-81,
13eff. 7-12-19; revised 8-1-19.)
 
14    (20 ILCS 505/42)
15    Sec. 42. Foster care survey. The Department, in
16coordination with the Foster Care Alumni of America Illinois
17Chapter, the School of Social Work at the University of
18Illinois at Urbana-Champaign, and the Department's Statewide
19Youth Advisory Board, shall develop and process a standardized
20survey to gather feedback from children who are aging out of
21foster care and from children who have transitioned out of the
22foster care system. The survey shall include requests for
23information regarding the children's experience with and
24opinion of State foster care services, the children's
25recommendations for improvement of such services, the amount

 

 

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1of time the children spent in the foster care system, and any
2other information deemed relevant by the Department. After the
3survey is created the Department shall circulate the survey to
4all youth participating in transitional living programs,
5independent living programs, or Youth in College and to all
6youth receiving scholarships or tuition waivers under the DCFS
7Scholarship Program. The Department shall conduct the survey
8every 5 years. At the completion of each survey, the
9Department, in coordination with the Foster Care Alumni of
10America Illinois Chapter, the School of Social Work at the
11University of Illinois at Urbana-Champaign, and the
12Department's Statewide Youth Advisory Board, shall submit a
13report with a detailed review of the survey results to the
14Governor and the General Assembly. The first report shall be
15submitted no later than December 1, 2021 and every 5 years
16thereafter.
17(Source: P.A. 101-166, eff. 1-1-20.)
 
18    (20 ILCS 505/43)
19    Sec. 43 42. Intergovernmental agreement; transitioning
20youth in care.
21    (a) In order to intercept and divert youth in care from
22experiencing homelessness, incarceration, unemployment, and
23other similar outcomes, within 180 days after July 26, 2019
24(the effective date of Public Act 101-167) this amendatory Act
25of the 101st General Assembly, the Department of Children and

 

 

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1Family Services, the Department of Human Services, the
2Department of Healthcare and Family Services, the Illinois
3State Board of Education, the Department of Juvenile Justice,
4the Department of Corrections, the Illinois Urban Development
5Authority, and the Department of Public Health shall enter
6into an interagency agreement for the purpose of providing
7preventive services to youth in care and young adults who are
8aging out of or have recently aged out of the custody or
9guardianship of the Department of Children and Family
10Services.
11    (b) The intergovernmental agreement shall require the
12agencies listed in subsection (a) to: (i) establish an
13interagency liaison to review cases of youth in care and young
14adults who are at risk of homelessness, incarceration, or
15other similar outcomes; and (ii) connect such youth in care
16and young adults to the appropriate supportive services and
17treatment programs to stabilize them during their transition
18out of State care. Under the interagency agreement, the
19agencies listed in subsection (a) shall determine how best to
20provide the following supportive services to youth in care and
21young adults who are at risk of homelessness, incarceration,
22or other similar outcomes:
23        (1) Housing support.
24        (2) Educational support.
25        (3) Employment support.
26    (c) On January 1, 2021, and each January 1 thereafter, the

 

 

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1agencies listed in subsection (a) shall submit a report to the
2General Assembly on the following:
3        (1) The number of youth in care and young adults who
4    were intercepted during the reporting period and the
5    supportive services and treatment programs they were
6    connected with to prevent homelessness, incarnation, or
7    other negative outcomes.
8        (2) The duration of the services the youth in care and
9    young adults received in order to stabilize them during
10    their transition out of State care.
11    (d) Outcomes and data reported annually to the General
12Assembly. On January 1, 2021 and each January 1 thereafter,
13the Department of Children and Family Services shall submit a
14report to the General Assembly on the following:
15        (1) The number of youth in care and young adults who
16    are aging out or have aged out of State care during the
17    reporting period.
18        (2) The length and type of services that were offered
19    to the youth in care and young adults reported under
20    paragraph (1) and the status of those youth in care and
21    young adults.
22(Source: P.A. 101-167, eff. 7-26-19; revised 9-17-19.)
 
23    Section 95. The Statewide Foster Care Advisory Council Law
24is amended by changing Section 5-20 as follows:
 

 

 

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1    (20 ILCS 525/5-20)
2    Sec. 5-20. Meetings.
3    (a) Regular meetings of the Statewide Foster Care Advisory
4Council shall be held at least quarterly. The meetings shall
5take place at locations, dates, and times determined by the
6Chairperson of the Advisory Council after consultation with
7members of the Advisory Council and the Director or the
8designated Department staff member.
9    It shall be the responsibility of the designated
10Department staff member at the direction of the Chairperson to
11give notices of the location, dates, and time of meetings to
12each member of the Advisory Council, to the Director, and to
13staff consultants at least 30 days prior to each meeting.
14    Notice of all scheduled meetings shall be in full
15compliance with the Illinois Open Meetings Act.
16    (b) Special meetings of the Advisory Council may be called
17by the Chairperson after consultation with members of the
18Council and the Director or the designated Department staff
19member, provided that:
20        (1) at least 7 days' notice by mail is given the
21    membership;
22        (2) the notice sets forth the purpose or purposes of
23    the meeting; and
24        (3) no business is transacted other than that
25    specified in the notice.
26    (c) An agenda of scheduled business for deliberation shall

 

 

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1be developed in coordination with the Department and the
2Chairperson and distributed to the members of the Advisory
3Council at least 7 days prior to a scheduled meeting of the
4Council.
5    (d) If a member is absent from 2 consecutive meetings or
6has not continued to make a significant contribution as
7evidenced by involvement in council activities, membership
8termination may be recommended by the Chairperson to the
9Director. The member shall be terminated and notified in
10writing. Members shall submit written confirmation of good
11cause to the Chairperson or designated Department staff member
12when a meeting has been missed.
13(Source: P.A. 89-19, eff. 6-3-95; revised 7-12-19.)
 
14    Section 100. The Department of Commerce and Economic
15Opportunity Law of the Civil Administrative Code of Illinois
16is amended by renumbering and changing Section 913, by setting
17forth and renumbering multiple versions of Sections 605-1025
18and 605-1045, and by changing Section 605-1030 as follows:
 
19    (20 ILCS 605/605-913)
20    Sec. 605-913 913. Clean Water Workforce Pipeline Program.
21    (a) The General Assembly finds the following:
22        (1) The fresh surface water and groundwater supply in
23    Illinois and Lake Michigan constitute vital natural
24    resources that require careful stewardship and protection

 

 

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1    for future generations. Access to safe and clean drinking
2    water is the right of all Illinois residents.
3        (2) To adequately protect these resources and provide
4    safe and clean drinking water, substantial investment is
5    needed to replace lead components in drinking water
6    infrastructure, improve wastewater treatment, flood
7    control, and stormwater management, control aquatic
8    invasive species, implement green infrastructure
9    solutions, and implement other infrastructure solutions to
10    protect water quality.
11        (3) Implementing these clean water solutions will
12    require a skilled and trained workforce, and new
13    investments will demand additional workers with
14    specialized skills.
15        (4) Water infrastructure jobs have been shown to
16    provide living wages and contribute to Illinois' economy.
17        (5) Significant populations of Illinois residents,
18    including, but not limited to, residents of environmental
19    justice communities, economically and socially
20    disadvantaged communities, those returning from the
21    criminal justice system, foster care alumni, and in
22    particular women and transgender persons, are in need of
23    access to skilled living wage jobs like those in the water
24    infrastructure sector.
25        (6) Many of these residents are more likely to live in
26    communities with aging and inadequate clean water

 

 

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1    infrastructure and suffer from threats to surface and
2    drinking water quality.
3        (7) The State can provide significant economic
4    opportunities to these residents and achieve greater
5    environmental and public health by investing in clean
6    water infrastructure.
7        (8) New training, recruitment, support, and placement
8    efforts are needed to connect these residents with career
9    opportunities in water infrastructure.
10        (9) The State must invest in both clean water
11    infrastructure and workforce development efforts in order
12    to achieve these goals.
13    (b) From appropriations made from the Build Illinois Bond
14Fund, Capital Development Fund, or General Revenue Fund or
15other funds as identified by the Department, the Department
16shall create a Clean Water Workforce Pipeline Program to
17provide grants and other financial assistance to prepare and
18support individuals for careers in water infrastructure. All
19funding provided by the Program under this Section shall be
20designed to encourage and facilitate employment in projects
21funded through State capital investment and provide
22participants a skill set to allow them to work professionally
23in fields related to water infrastructure.
24    Grants and other financial assistance may be made
25available on a competitive annual basis to organizations that
26demonstrate a capacity to recruit, support, train, and place

 

 

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1individuals in water infrastructure careers, including, but
2not limited to, community organizations, educational
3institutions, workforce investment boards, community action
4agencies, and multi-craft labor organizations for new efforts
5specifically focused on engaging residents of environmental
6justice communities, economically and socially disadvantaged
7communities, those returning from the criminal justice system,
8foster care alumni, and in particular women and transgender
9persons in these populations.
10    Grants and other financial assistance shall be awarded on
11a competitive and annual basis for the following activities:
12        (1) identification of individuals for job training in
13    the water sector;
14        (2) counseling, preparation, skills training, and
15    other support to increase a candidate's likelihood of
16    success in a job training program and career;
17        (3) financial support for individuals in a water
18    sector job skills training program, support services, and
19    transportation assistance tied to training under this
20    Section;
21        (4) job placement services for individuals during and
22    after completion of water sector job skills training
23    programs; and
24        (5) financial, administrative, and management
25    assistance for organizations engaged in these activities.
26    (c) It shall be an annual goal of the Program to train and

 

 

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1place at least 300, or 25% of the number of annual jobs created
2by State financed water infrastructure projects, whichever is
3greater, of the following persons in water sector-related
4apprenticeships annually: residents of environmental justice
5communities; residents of economically and socially
6disadvantaged communities; those returning from the criminal
7justice system; foster care alumni; and, in particular, women
8and transgender persons. In awarding and administering grants
9under this Program, the Department shall strive to provide
10assistance equitably throughout the State.
11    In order to encourage the employment of individuals
12trained through the Program onto projects receiving State
13financial assistance, the Department shall coordinate with the
14Illinois Environmental Protection Agency, the Illinois Finance
15Authority, and other State agencies that provide financial
16support for water infrastructure projects. These agencies
17shall take steps to support attaining the training and
18placement goals set forth in this subsection, using a list of
19projects that receive State financial support. These agencies
20may propose and adopt rules to facilitate the attainment of
21this goal.
22    Using funds appropriated for the purposes of this Section,
23the Department may select through a competitive bidding
24process a Program Administrator to oversee the allocation of
25funds and select organizations that receive funding.
26    Recipients of grants under the Program shall report

 

 

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1annually to the Department on the success of their efforts and
2their contribution to reaching the goals of the Program
3provided in this subsection. The Department shall compile this
4information and annually report to the General Assembly on the
5Program, including, but not limited to, the following
6information:
7        (1) progress toward the goals stated in this
8    subsection;
9        (2) any increase in the percentage of water industry
10    jobs in targeted populations;
11        (3) any increase in the rate of acceptance,
12    completion, or retention of water training programs among
13    targeted populations;
14        (4) any increase in the rate of employment, including
15    hours and annual income, measured against pre-Program
16    participant income; and
17        (5) any recommendations for future changes to optimize
18    the success of the Program.
19    (d) Within 90 days after January 1, 2020 (the effective
20date of Public Act 101-576) this amendatory Act of the 101st
21General Assembly, the Department shall propose a draft plan to
22implement this Section for public comment. The Department
23shall allow a minimum of 60 days for public comment on the
24plan, including one or more public hearings, if requested. The
25Department shall finalize the plan within 180 days of January
261, 2020 (the effective date of Public Act 101-576) this

 

 

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1amendatory Act of the 101st General Assembly.
2    The Department may propose and adopt any rules necessary
3for the implementation of the Program and to ensure compliance
4with this Section.
5    (e) The Water Workforce Development Fund is created as a
6special fund in the State treasury. The Fund shall receive
7moneys appropriated for the purpose of this Section from the
8Build Illinois Bond Fund, the Capital Development Fund, the
9General Revenue Fund and any other funds. Moneys in the Fund
10shall only be used to fund the Program and to assist and enable
11implementation of clean water infrastructure capital
12investments. Notwithstanding any other law to the contrary,
13the Water Workforce Development Fund is not subject to sweeps,
14administrative charge-backs, or any other fiscal or budgetary
15maneuver that would in any way transfer any amounts from the
16Water Workforce Development Fund into any other fund of the
17State.
18    (f) For purpose of this Section:
19    "Environmental justice community" has the meaning provided
20in subsection (b) of Section 1-50 of the Illinois Power Agency
21Act.
22    "Multi-craft labor organization" means a joint
23labor-management apprenticeship program registered with and
24approved by the United States Department of Labor's Office of
25Apprenticeship or a labor organization that has an accredited
26training program through the Higher Learning Commission or the

 

 

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1Illinois Community College Board.
2    "Organization" means a corporation, company, partnership,
3association, society, order, labor organization, or individual
4or aggregation of individuals.
5(Source: P.A. 101-576, eff. 1-1-20; revised 11-21-19.)
 
6    (20 ILCS 605/605-1025)
7    Sec. 605-1025. Data center investment.
8    (a) The Department shall issue certificates of exemption
9from the Retailers' Occupation Tax Act, the Use Tax Act, the
10Service Use Tax Act, and the Service Occupation Tax Act, all
11locally-imposed retailers' occupation taxes administered and
12collected by the Department, the Chicago non-titled Use Tax,
13and a credit certification against the taxes imposed under
14subsections (a) and (b) of Section 201 of the Illinois Income
15Tax Act to qualifying Illinois data centers.
16    (b) For taxable years beginning on or after January 1,
172019, the Department shall award credits against the taxes
18imposed under subsections (a) and (b) of Section 201 of the
19Illinois Income Tax Act as provided in Section 229 of the
20Illinois Income Tax Act.
21    (c) For purposes of this Section:
22        "Data center" means a facility: (1) whose primary
23    services are the storage, management, and processing of
24    digital data; and (2) that is used to house (i) computer
25    and network systems, including associated components such

 

 

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1    as servers, network equipment and appliances,
2    telecommunications, and data storage systems, (ii) systems
3    for monitoring and managing infrastructure performance,
4    (iii) Internet-related equipment and services, (iv) data
5    communications connections, (v) environmental controls,
6    (vi) fire protection systems, and (vii) security systems
7    and services.
8        "Qualifying Illinois data center" means a new or
9    existing data center that:
10            (1) is located in the State of Illinois;
11            (2) in the case of an existing data center, made a
12        capital investment of at least $250,000,000
13        collectively by the data center operator and the
14        tenants of the data center over the 60-month period
15        immediately prior to January 1, 2020 or committed to
16        make a capital investment of at least $250,000,000
17        over a 60-month period commencing before January 1,
18        2020 and ending after January 1, 2020; or
19            (3) in the case of a new data center, or an
20        existing data center making an upgrade, makes a
21        capital investment of at least $250,000,000 over a
22        60-month period beginning on or after January 1, 2020;
23        and
24            (4) in the case of both existing and new data
25        centers, results in the creation of at least 20
26        full-time or full-time equivalent new jobs over a

 

 

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1        period of 60 months by the data center operator and the
2        tenants of the data center, collectively, associated
3        with the operation or maintenance of the data center;
4        those jobs must have a total compensation equal to or
5        greater than 120% of the average wage paid to
6        full-time employees in the county where the data
7        center is located, as determined by the U.S. Bureau of
8        Labor Statistics; and
9            (5) within 90 days after being placed in service,
10        certifies to the Department that it is carbon neutral
11        or has attained certification under one or more of the
12        following green building standards:
13                (A) BREEAM for New Construction or BREEAM
14            In-Use;
15                (B) ENERGY STAR;
16                (C) Envision;
17                (D) ISO 50001-energy management;
18                (E) LEED for Building Design and Construction
19            or LEED for Operations and Maintenance;
20                (F) Green Globes for New Construction or Green
21            Globes for Existing Buildings;
22                (G) UL 3223; or
23                (H) an equivalent program approved by the
24            Department of Commerce and Economic Opportunity.
25        "Full-time equivalent job" means a job in which the
26    new employee works for the owner, operator, contractor, or

 

 

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1    tenant of a data center or for a corporation under
2    contract with the owner, operator or tenant of a data
3    center at a rate of at least 35 hours per week. An owner,
4    operator or tenant who employs labor or services at a
5    specific site or facility under contract with another may
6    declare one full-time, permanent job for every 1,820 man
7    hours worked per year under that contract. Vacations, paid
8    holidays, and sick time are included in this computation.
9    Overtime is not considered a part of regular hours.
10        "Qualified tangible personal property" means:
11    electrical systems and equipment; climate control and
12    chilling equipment and systems; mechanical systems and
13    equipment; monitoring and secure systems; emergency
14    generators; hardware; computers; servers; data storage
15    devices; network connectivity equipment; racks; cabinets;
16    telecommunications cabling infrastructure; raised floor
17    systems; peripheral components or systems; software;
18    mechanical, electrical, or plumbing systems; battery
19    systems; cooling systems and towers; temperature control
20    systems; other cabling; and other data center
21    infrastructure equipment and systems necessary to operate
22    qualified tangible personal property, including fixtures;
23    and component parts of any of the foregoing, including
24    installation, maintenance, repair, refurbishment, and
25    replacement of qualified tangible personal property to
26    generate, transform, transmit, distribute, or manage

 

 

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1    electricity necessary to operate qualified tangible
2    personal property; and all other tangible personal
3    property that is essential to the operations of a computer
4    data center. "Qualified tangible personal property" also
5    includes building materials physically incorporated in to
6    the qualifying data center.
7    To document the exemption allowed under this Section, the
8retailer must obtain from the purchaser a copy of the
9certificate of eligibility issued by the Department.
10    (d) New and existing data centers seeking a certificate of
11exemption for new or existing facilities shall apply to the
12Department in the manner specified by the Department. The
13Department shall determine the duration of the certificate of
14exemption awarded under this Act. The duration of the
15certificate of exemption may not exceed 20 calendar years. The
16Department and any data center seeking the exemption,
17including a data center operator on behalf of itself and its
18tenants, must enter into a memorandum of understanding that at
19a minimum provides:
20        (1) the details for determining the amount of capital
21    investment to be made;
22        (2) the number of new jobs created;
23        (3) the timeline for achieving the capital investment
24    and new job goals;
25        (4) the repayment obligation should those goals not be
26    achieved and any conditions under which repayment by the

 

 

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1    qualifying data center or data center tenant claiming the
2    exemption will be required;
3        (5) the duration of the exemption; and
4        (6) other provisions as deemed necessary by the
5    Department.
6    (e) Beginning July 1, 2021, and each year thereafter, the
7Department shall annually report to the Governor and the
8General Assembly on the outcomes and effectiveness of Public
9Act 101-31 that shall include the following:
10        (1) the name of each recipient business;
11        (2) the location of the project;
12        (3) the estimated value of the credit;
13        (4) the number of new jobs and, if applicable,
14    retained jobs pledged as a result of the project; and
15        (5) whether or not the project is located in an
16    underserved area.
17    (f) New and existing data centers seeking a certificate of
18exemption related to the rehabilitation or construction of
19data centers in the State shall require the contractor and all
20subcontractors to comply with the requirements of Section
2130-22 of the Illinois Procurement Code as they apply to
22responsible bidders and to present satisfactory evidence of
23that compliance to the Department.
24    (g) New and existing data centers seeking a certificate of
25exemption for the rehabilitation or construction of data
26centers in the State shall require the contractor to enter

 

 

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1into a project labor agreement approved by the Department.
2    (h) Any qualifying data center issued a certificate of
3exemption under this Section must annually report to the
4Department the total data center tax benefits that are
5received by the business. Reports are due no later than May 31
6of each year and shall cover the previous calendar year. The
7first report is for the 2019 calendar year and is due no later
8than May 31, 2020.
9    To the extent that a business issued a certificate of
10exemption under this Section has obtained an Enterprise Zone
11Building Materials Exemption Certificate or a High Impact
12Business Building Materials Exemption Certificate, no
13additional reporting for those building materials exemption
14benefits is required under this Section.
15    Failure to file a report under this subsection (h) may
16result in suspension or revocation of the certificate of
17exemption. Factors to be considered in determining whether a
18data center certificate of exemption shall be suspended or
19revoked include, but are not limited to, prior compliance with
20the reporting requirements, cooperation in discontinuing and
21correcting violations, the extent of the violation, and
22whether the violation was willful or inadvertent.
23    (i) The Department shall not issue any new certificates of
24exemption under the provisions of this Section after July 1,
252029. This sunset shall not affect any existing certificates
26of exemption in effect on July 1, 2029.

 

 

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1    (j) The Department shall adopt rules to implement and
2administer this Section.
3(Source: P.A. 101-31, eff. 6-28-19; 101-604, eff. 12-13-19.)
 
4    (20 ILCS 605/605-1030)
5    Sec. 605-1030. Human Services Capital Investment Grant
6Program.
7    (a) The Department of Commerce and Economic Opportunity,
8in coordination with the Department of Human Services, shall
9establish a Human Services Capital Investment Grant Program.
10The Department shall, subject to appropriation, make capital
11improvement grants to human services providers serving
12low-income or marginalized populations. The Build Illinois
13Bond Fund and the Rebuild Illinois Projects Fund shall be the
14sources of funding for the program. Eligible grant recipients
15shall be human services providers that offer facilities and
16services in a manner that supports and fulfills the mission of
17the Department of Human Services. Eligible grant recipients
18include, but are not limited to, domestic violence shelters,
19rape crisis centers, comprehensive youth services, teen REACH
20providers, supportive housing providers, developmental
21disability community providers, behavioral health providers,
22and other community-based providers. Eligible grant recipients
23have no entitlement to a grant under this Section.
24    (b) The Department, in consultation with the Department of
25Human Services, shall adopt rules to implement this Section

 

 

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1and shall create a competitive application procedure for
2grants to be awarded. The rules shall specify the manner of
3applying for grants; grantee eligibility requirements; project
4eligibility requirements; restrictions on the use of grant
5moneys; the manner in which grantees must account for the use
6of grant moneys; and any other provision that the Department
7of Commerce and Economic Opportunity or Department of Human
8Services determine to be necessary or useful for the
9administration of this Section. Rules may include a
10requirement for grantees to provide local matching funds in an
11amount equal to a specific percentage of the grant.
12    (c) The Department of Human Services shall establish
13standards for determining the priorities concerning the
14necessity for capital facilities for the provision of human
15services based on data available to the Department.
16    (d) No portion of a human services capital investment
17grant awarded under this Section may be used by a grantee to
18pay for any on-going operational costs or outstanding debt.
19(Source: P.A. 101-10, eff. 6-5-19; 101-604, eff. 12-13-19;
20revised 8-18-20.)
 
21    (20 ILCS 605/605-1035)
22    Sec. 605-1035 605-1025. Training in the Building Trades
23Program.
24    (a) Subject to appropriation, the Department of Commerce
25and Economic Opportunity may establish a Training in the

 

 

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1Building Trades Program to award grants to community-based
2organizations for the purpose of establishing training
3programs for persons who are 18 through 35 years of age and
4have an interest in the building trades. Persons eligible to
5participate in the Program shall include youth who have aged
6out of foster care and have an interest in the building trades.
7The Department of Children and Family Services, in
8consultation with the Department of Commerce and Economic
9Opportunity, shall identify and refer eligible youth to those
10community-based organizations that receive grants under this
11Section. Under the training programs, each participating
12person shall receive the following:
13        (1) Formal training and education in the fundamentals
14    and core competencies in the person's chosen trade. Such
15    training and education shall be provided by a trained and
16    skilled tradesman or journeyman who is a member of a trade
17    union and who is paid the general prevailing rate of
18    hourly wages in the locality in which the work is to be
19    performed.
20        (2) Hands-on experience to further develop the
21    person's building trade skills by participating in
22    community improvement projects involving the
23    rehabilitation of vacant and abandoned residential
24    property in economically depressed areas of the State.
25    Selected organizations shall also use the grant money to
26establish an entrepreneurship program to provide eligible

 

 

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1persons with the capital and business management skills
2necessary to successfully launch their own businesses as
3contractors, subcontractors, real estate agents, or property
4managers or as any other entrepreneurs in the building trades.
5Eligibility under the entrepreneurship program shall be
6restricted to persons who reside in one of the economically
7depressed areas selected to receive community improvement
8projects in accordance with this subsection and who have
9obtained the requisite skill set for a particular building
10trade after successfully completing a training program
11established in accordance with this subsection. Grants
12provided under this Section may also be used to purchase the
13equipment and materials needed to rehabilitate any vacant and
14abandoned residential property that is eligible for
15acquisition as described in subsection (b).
16    (b) Property eligible for acquisition and rehabilitation
17under the Training in the Building Trades Program.
18        (1) A community-based organization that is selected to
19    participate in the Training in the Building Trades Program
20    may enter into an agreement with a financial institution
21    to rehabilitate abandoned residential property in
22    foreclosure with the express condition that, after the
23    rehabilitation project is complete, the financial
24    institution shall:
25            (A) sell the residential property for no less than
26        its fair market value; and

 

 

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1            (B) use any proceeds from the sale to (i)
2        reimburse the community-based organization for all
3        costs associated with rehabilitating the property and
4        (ii) make satisfactory payment for any other claims
5        against the property. Any remaining sale proceeds of
6        the residential property shall be retained by the
7        financial institution.
8        (2)(A) A unit of local government may enact an
9    ordinance that permits the acquisition and rehabilitation
10    of abandoned residential property under the Training in
11    the Building Trades Program. Under the ordinance, any
12    owner of residential property that has been abandoned for
13    at least 3 years shall be notified that the abandoned
14    property is subject to acquisition and rehabilitation
15    under the Program and that if the owner does not respond to
16    the notice within the time period prescribed by the unit
17    of local government, the owner shall lose all right,
18    title, and interest in the property. Such notice shall be
19    given as follows:
20            (i) by mailing a copy of the notice by certified
21        mail to the owner's last known mailing address;
22            (ii) by publication in a newspaper published in
23        the municipality or county where the property is
24        located; and
25            (iii) by recording the notice with the office of
26        the recorder of the county in which the property is

 

 

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1        located.
2        (B) If the owner responds to the notice within the
3    time period prescribed by the unit of local government,
4    the owner shall be given the option to either bring the
5    property into compliance with all applicable fire,
6    housing, and building codes within 6 months or enter into
7    an agreement with a community-based organization under the
8    Program to rehabilitate the residential property. If the
9    owner chooses to enter into an agreement with a
10    community-based organization to rehabilitate the
11    residential property, such agreement shall be made with
12    the express condition that, after the rehabilitation
13    project is complete, the owner shall:
14            (i) sell the residential property for no less than
15        its fair market value; and
16            (ii) use any proceeds from the sale to (a)
17        reimburse the community-based organization for all
18        costs associated with rehabilitating the property and
19        (b) make satisfactory payment for any other claims
20        against the property. Any remaining sale proceeds of
21        the residential property shall be distributed as
22        follows:
23                (I) 20% shall be distributed to the owner.
24                (II) 80% shall be deposited into the Training
25            in the Building Trades Fund created under
26            subsection (e).

 

 

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1    (c) The Department of Commerce and Economic Opportunity
2shall select from each of the following geographical regions
3of the State a community-based organization with experience
4working with the building trades:
5        (1) Central Illinois.
6        (2) Northeastern Illinois.
7        (3) Southern (Metro-East) Illinois.
8        (4) Southern Illinois.
9        (5) Western Illinois.
10    (d) Grants awarded under this Section shall be funded
11through appropriations from the Training in the Building
12Trades Fund created under subsection (e). The Department of
13Commerce and Economic Opportunity may adopt any rules
14necessary to implement the provisions of this Section.
15    (e) The Training in the Building Trades Fund is created as
16a special fund in the State treasury. The Fund shall consist of
17any moneys deposited into the Fund as provided in subparagraph
18(B) of paragraph (2) of subsection (b) and any moneys
19appropriated to the Department of Commerce and Economic
20Opportunity for the Training in the Building Trades Program.
21Moneys in the Fund shall be expended for the Training in the
22Building Trades Program under subsection (a) and for no other
23purpose. All interest earned on moneys in the Fund shall be
24deposited into the Fund.
25(Source: P.A. 101-469, eff. 1-1-20; revised 10-18-19.)
 

 

 

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1    (20 ILCS 605/605-1040)
2    Sec. 605-1040 605-1025. Assessment of marketing programs.
3The Department shall, in consultation with the General
4Assembly, complete an assessment of its current practices
5related to marketing programs administered by the Department
6and the extent to which the Department assists Illinois
7residents in the use and coordination of programs offered by
8the Department. That assessment shall be completed by December
931, 2019.
10    Upon review of the assessment, if the Department, in
11consultation with the General Assembly, concludes that a
12Citizens Services Coordinator is needed to assist Illinois
13residents in obtaining services and programs offered by the
14Department, then the Department may, subject to appropriation,
15hire an individual to serve as a Citizens Services
16Coordinator. The Citizens Services Coordinator shall assist
17Illinois residents seeking out and obtaining services and
18programs offered by the Department and shall monitor resident
19inquiries to determine which services are most in demand on a
20regional basis.
21(Source: P.A. 101-497, eff. 1-1-20; revised 10-18-19.)
 
22    (20 ILCS 605/605-1045)
23    Sec. 605-1045. (Repealed).
24(Source: P.A. 101-640, eff. 6-12-20. Repealed internally, eff.
2512-31-20.)
 

 

 

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1    (20 ILCS 605/605-1047)
2    Sec. 605-1047 605-1045. Local Coronavirus Urgent
3Remediation Emergency (or Local CURE) Support Program.
4    (a) Purpose. The Department may receive, directly or
5indirectly, federal funds from the Coronavirus Relief Fund
6provided to the State pursuant to Section 5001 of the federal
7Coronavirus Aid, Relief, and Economic Security (CARES) Act to
8provide financial support to units of local government for
9purposes authorized by Section 5001 of the federal Coronavirus
10Aid, Relief, and Economic Security (CARES) Act and related
11federal guidance. Upon receipt of such funds, and
12appropriations for their use, the Department shall administer
13a Local Coronavirus Urgent Remediation Emergency (or Local
14CURE) Support Program to provide financial support to units of
15local government that have incurred necessary expenditures due
16to the COVID-19 public health emergency. The Department shall
17provide by rule the administrative framework for the Local
18CURE Support Program.
19    (b) Allocations. A portion of the funds appropriated for
20the Local CURE Support Program may be allotted to
21municipalities and counties based on proportionate population.
22Units of local government, or portions thereof, located within
23the five Illinois counties that received direct allotments
24from the federal Coronavirus Relief Fund will not be included
25in the support program allotments. The Department may

 

 

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1establish other administrative procedures for providing
2financial support to units of local government. Appropriated
3funds may be used for administration of the support program,
4including the hiring of a service provider to assist with
5coordination and administration.
6    (c) Administrative Procedures. The Department may
7establish administrative procedures for the support program,
8including any application procedures, grant agreements,
9certifications, payment methodologies, and other
10accountability measures that may be imposed upon recipients of
11funds under the grant program. Financial support may be
12provided in the form of grants or in the form of expense
13reimbursements for disaster-related expenditures. The
14emergency rulemaking process may be used to promulgate the
15initial rules of the grant program.
16    (d) Definitions. As used in this Section:
17        (1) "COVID-19" means the novel coronavirus virus
18    disease deemed COVID-19 by the World Health Organization
19    on February 11, 2020.
20        (2) "Local government" or "unit of local government"
21    means any unit of local government as defined in Article
22    VII, Section 1 of the Illinois Constitution.
23        (3) "Third party administrator" means a service
24    provider selected by the Department to provide operational
25    assistance with the administration of the support program.
26    (e) Powers of the Department. The Department has the power

 

 

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1to:
2        (1) Provide financial support to eligible units of
3    local government with funds appropriated from the Local
4    Coronavirus Urgent Remediation Emergency (Local CURE) Fund
5    to cover necessary costs incurred due to the COVID-19
6    public health emergency that are eligible to be paid using
7    federal funds from the Coronavirus Relief Fund.
8        (2) Enter into agreements, accept funds, issue grants
9    or expense reimbursements, and engage in cooperation with
10    agencies of the federal government and units of local
11    governments to carry out the purposes of this support
12    program, and to use funds appropriated from the Local
13    Coronavirus Urgent Remediation Emergency (Local CURE) Fund
14    fund upon such terms and conditions as may be established
15    by the federal government and the Department.
16        (3) Enter into agreements with third-party
17    administrators to assist the state with operational
18    assistance and administrative functions related to review
19    of documentation and processing of financial support
20    payments to units of local government.
21        (4) Establish applications, notifications, contracts,
22    and procedures and adopt rules deemed necessary and
23    appropriate to carry out the provisions of this Section.
24    To provide for the expeditious and timely implementation
25    of this Act, emergency rules to implement any provision of
26    this Section may be adopted by the Department subject to

 

 

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1    the provisions of Section 5-45 of the Illinois
2    Administrative Procedure Act.
3        (5) Provide staff, administration, and related support
4    required to manage the support program and pay for the
5    staffing, administration, and related support with funds
6    appropriated from the Local Coronavirus Urgent Remediation
7    Emergency (Local CURE) Fund.
8        (6) Exercise such other powers as are necessary or
9    incidental to the foregoing.
10    (f) Local CURE Financial Support to Local Governments. The
11Department is authorized to provide financial support to
12eligible units of local government including, but not limited
13to, certified local health departments for necessary costs
14incurred due to the COVID-19 public health emergency that are
15eligible to be paid using federal funds from the Coronavirus
16Relief Fund.
17        (1) Financial support funds may be used by a unit of
18    local government only for payment of costs that: (i) are
19    necessary expenditures incurred due to the public health
20    emergency of COVID-19; (ii) were not accounted for in the
21    most recent budget approved as of March 27, 2020 for the
22    unit of local government; and (iii) were incurred between
23    March 1, 2020 and December 30, 2020.
24        (2) A unit of local government receiving financial
25    support funds under this program shall certify to the
26    Department that it shall use the funds in accordance with

 

 

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1    the requirements of paragraph (1) and that any funds
2    received but not used for such purposes shall be repaid to
3    the Department.
4        (3) The Department shall make the determination to
5    provide financial support funds to a unit of local
6    government on the basis of criteria established by the
7    Department.
8(Source: P.A. 101-636, eff. 6-10-20; revised 8-3-20.)
 
9    Section 105. The Illinois Enterprise Zone Act is amended
10by changing Sections 5.5 and 13 as follows:
 
11    (20 ILCS 655/5.5)   (from Ch. 67 1/2, par. 609.1)
12    Sec. 5.5. High Impact Business.
13    (a) In order to respond to unique opportunities to assist
14in the encouragement, development, growth, and expansion of
15the private sector through large scale investment and
16development projects, the Department is authorized to receive
17and approve applications for the designation of "High Impact
18Businesses" in Illinois subject to the following conditions:
19        (1) such applications may be submitted at any time
20    during the year;
21        (2) such business is not located, at the time of
22    designation, in an enterprise zone designated pursuant to
23    this Act;
24        (3) the business intends to do one or more of the

 

 

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1    following:
2            (A) the business intends to make a minimum
3        investment of $12,000,000 which will be placed in
4        service in qualified property and intends to create
5        500 full-time equivalent jobs at a designated location
6        in Illinois or intends to make a minimum investment of
7        $30,000,000 which will be placed in service in
8        qualified property and intends to retain 1,500
9        full-time retained jobs at a designated location in
10        Illinois. The business must certify in writing that
11        the investments would not be placed in service in
12        qualified property and the job creation or job
13        retention would not occur without the tax credits and
14        exemptions set forth in subsection (b) of this
15        Section. The terms "placed in service" and "qualified
16        property" have the same meanings as described in
17        subsection (h) of Section 201 of the Illinois Income
18        Tax Act; or
19            (B) the business intends to establish a new
20        electric generating facility at a designated location
21        in Illinois. "New electric generating facility", for
22        purposes of this Section, means a newly-constructed
23        electric generation plant or a newly-constructed
24        generation capacity expansion at an existing electric
25        generation plant, including the transmission lines and
26        associated equipment that transfers electricity from

 

 

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1        points of supply to points of delivery, and for which
2        such new foundation construction commenced not sooner
3        than July 1, 2001. Such facility shall be designed to
4        provide baseload electric generation and shall operate
5        on a continuous basis throughout the year; and (i)
6        shall have an aggregate rated generating capacity of
7        at least 1,000 megawatts for all new units at one site
8        if it uses natural gas as its primary fuel and
9        foundation construction of the facility is commenced
10        on or before December 31, 2004, or shall have an
11        aggregate rated generating capacity of at least 400
12        megawatts for all new units at one site if it uses coal
13        or gases derived from coal as its primary fuel and
14        shall support the creation of at least 150 new
15        Illinois coal mining jobs, or (ii) shall be funded
16        through a federal Department of Energy grant before
17        December 31, 2010 and shall support the creation of
18        Illinois coal-mining jobs, or (iii) shall use coal
19        gasification or integrated gasification-combined cycle
20        units that generate electricity or chemicals, or both,
21        and shall support the creation of Illinois coal-mining
22        jobs. The business must certify in writing that the
23        investments necessary to establish a new electric
24        generating facility would not be placed in service and
25        the job creation in the case of a coal-fueled plant
26        would not occur without the tax credits and exemptions

 

 

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1        set forth in subsection (b-5) of this Section. The
2        term "placed in service" has the same meaning as
3        described in subsection (h) of Section 201 of the
4        Illinois Income Tax Act; or
5            (B-5) the business intends to establish a new
6        gasification facility at a designated location in
7        Illinois. As used in this Section, "new gasification
8        facility" means a newly constructed coal gasification
9        facility that generates chemical feedstocks or
10        transportation fuels derived from coal (which may
11        include, but are not limited to, methane, methanol,
12        and nitrogen fertilizer), that supports the creation
13        or retention of Illinois coal-mining jobs, and that
14        qualifies for financial assistance from the Department
15        before December 31, 2010. A new gasification facility
16        does not include a pilot project located within
17        Jefferson County or within a county adjacent to
18        Jefferson County for synthetic natural gas from coal;
19        or
20            (C) the business intends to establish production
21        operations at a new coal mine, re-establish production
22        operations at a closed coal mine, or expand production
23        at an existing coal mine at a designated location in
24        Illinois not sooner than July 1, 2001; provided that
25        the production operations result in the creation of
26        150 new Illinois coal mining jobs as described in

 

 

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1        subdivision (a)(3)(B) of this Section, and further
2        provided that the coal extracted from such mine is
3        utilized as the predominant source for a new electric
4        generating facility. The business must certify in
5        writing that the investments necessary to establish a
6        new, expanded, or reopened coal mine would not be
7        placed in service and the job creation would not occur
8        without the tax credits and exemptions set forth in
9        subsection (b-5) of this Section. The term "placed in
10        service" has the same meaning as described in
11        subsection (h) of Section 201 of the Illinois Income
12        Tax Act; or
13            (D) the business intends to construct new
14        transmission facilities or upgrade existing
15        transmission facilities at designated locations in
16        Illinois, for which construction commenced not sooner
17        than July 1, 2001. For the purposes of this Section,
18        "transmission facilities" means transmission lines
19        with a voltage rating of 115 kilovolts or above,
20        including associated equipment, that transfer
21        electricity from points of supply to points of
22        delivery and that transmit a majority of the
23        electricity generated by a new electric generating
24        facility designated as a High Impact Business in
25        accordance with this Section. The business must
26        certify in writing that the investments necessary to

 

 

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1        construct new transmission facilities or upgrade
2        existing transmission facilities would not be placed
3        in service without the tax credits and exemptions set
4        forth in subsection (b-5) of this Section. The term
5        "placed in service" has the same meaning as described
6        in subsection (h) of Section 201 of the Illinois
7        Income Tax Act; or
8            (E) the business intends to establish a new wind
9        power facility at a designated location in Illinois.
10        For purposes of this Section, "new wind power
11        facility" means a newly constructed electric
12        generation facility, or a newly constructed expansion
13        of an existing electric generation facility, placed in
14        service on or after July 1, 2009, that generates
15        electricity using wind energy devices, and such
16        facility shall be deemed to include all associated
17        transmission lines, substations, and other equipment
18        related to the generation of electricity from wind
19        energy devices. For purposes of this Section, "wind
20        energy device" means any device, with a nameplate
21        capacity of at least 0.5 megawatts, that is used in the
22        process of converting kinetic energy from the wind to
23        generate electricity; or
24            (F) the business commits to (i) make a minimum
25        investment of $500,000,000, which will be placed in
26        service in a qualified property, (ii) create 125

 

 

SB2435- 203 -LRB102 04062 AMC 14078 b

1        full-time equivalent jobs at a designated location in
2        Illinois, (iii) establish a fertilizer plant at a
3        designated location in Illinois that complies with the
4        set-back standards as described in Table 1: Initial
5        Isolation and Protective Action Distances in the 2012
6        Emergency Response Guidebook published by the United
7        States Department of Transportation, (iv) pay a
8        prevailing wage for employees at that location who are
9        engaged in construction activities, and (v) secure an
10        appropriate level of general liability insurance to
11        protect against catastrophic failure of the fertilizer
12        plant or any of its constituent systems; in addition,
13        the business must agree to enter into a construction
14        project labor agreement including provisions
15        establishing wages, benefits, and other compensation
16        for employees performing work under the project labor
17        agreement at that location; for the purposes of this
18        Section, "fertilizer plant" means a newly constructed
19        or upgraded plant utilizing gas used in the production
20        of anhydrous ammonia and downstream nitrogen
21        fertilizer products for resale; for the purposes of
22        this Section, "prevailing wage" means the hourly cash
23        wages plus fringe benefits for training and
24        apprenticeship programs approved by the U.S.
25        Department of Labor, Bureau of Apprenticeship and
26        Training, health and welfare, insurance, vacations and

 

 

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1        pensions paid generally, in the locality in which the
2        work is being performed, to employees engaged in work
3        of a similar character on public works; this paragraph
4        (F) applies only to businesses that submit an
5        application to the Department within 60 days after
6        July 25, 2013 (the effective date of Public Act
7        98-109) this amendatory Act of the 98th General
8        Assembly; and
9        (4) no later than 90 days after an application is
10    submitted, the Department shall notify the applicant of
11    the Department's determination of the qualification of the
12    proposed High Impact Business under this Section.
13    (b) Businesses designated as High Impact Businesses
14pursuant to subdivision (a)(3)(A) of this Section shall
15qualify for the credits and exemptions described in the
16following Acts: Section 9-222 and Section 9-222.1A of the
17Public Utilities Act, subsection (h) of Section 201 of the
18Illinois Income Tax Act, and Section 1d of the Retailers'
19Occupation Tax Act; provided that these credits and exemptions
20described in these Acts shall not be authorized until the
21minimum investments set forth in subdivision (a)(3)(A) of this
22Section have been placed in service in qualified properties
23and, in the case of the exemptions described in the Public
24Utilities Act and Section 1d of the Retailers' Occupation Tax
25Act, the minimum full-time equivalent jobs or full-time
26retained jobs set forth in subdivision (a)(3)(A) of this

 

 

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1Section have been created or retained. Businesses designated
2as High Impact Businesses under this Section shall also
3qualify for the exemption described in Section 5l of the
4Retailers' Occupation Tax Act. The credit provided in
5subsection (h) of Section 201 of the Illinois Income Tax Act
6shall be applicable to investments in qualified property as
7set forth in subdivision (a)(3)(A) of this Section.
8    (b-5) Businesses designated as High Impact Businesses
9pursuant to subdivisions (a)(3)(B), (a)(3)(B-5), (a)(3)(C),
10and (a)(3)(D) of this Section shall qualify for the credits
11and exemptions described in the following Acts: Section 51 of
12the Retailers' Occupation Tax Act, Section 9-222 and Section
139-222.1A of the Public Utilities Act, and subsection (h) of
14Section 201 of the Illinois Income Tax Act; however, the
15credits and exemptions authorized under Section 9-222 and
16Section 9-222.1A of the Public Utilities Act, and subsection
17(h) of Section 201 of the Illinois Income Tax Act shall not be
18authorized until the new electric generating facility, the new
19gasification facility, the new transmission facility, or the
20new, expanded, or reopened coal mine is operational, except
21that a new electric generating facility whose primary fuel
22source is natural gas is eligible only for the exemption under
23Section 5l of the Retailers' Occupation Tax Act.
24    (b-6) Businesses designated as High Impact Businesses
25pursuant to subdivision (a)(3)(E) of this Section shall
26qualify for the exemptions described in Section 5l of the

 

 

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1Retailers' Occupation Tax Act; any business so designated as a
2High Impact Business being, for purposes of this Section, a
3"Wind Energy Business".
4    (b-7) Beginning on January 1, 2021, businesses designated
5as High Impact Businesses by the Department shall qualify for
6the High Impact Business construction jobs credit under
7subsection (h-5) of Section 201 of the Illinois Income Tax Act
8if the business meets the criteria set forth in subsection (i)
9of this Section. The total aggregate amount of credits awarded
10under the Blue Collar Jobs Act (Article 20 of Public Act 101-9
11this amendatory Act of the 101st General Assembly) shall not
12exceed $20,000,000 in any State fiscal year.
13    (c) High Impact Businesses located in federally designated
14foreign trade zones or sub-zones are also eligible for
15additional credits, exemptions and deductions as described in
16the following Acts: Section 9-221 and Section 9-222.1 of the
17Public Utilities Act; and subsection (g) of Section 201, and
18Section 203 of the Illinois Income Tax Act.
19    (d) Except for businesses contemplated under subdivision
20(a)(3)(E) of this Section, existing Illinois businesses which
21apply for designation as a High Impact Business must provide
22the Department with the prospective plan for which 1,500
23full-time retained jobs would be eliminated in the event that
24the business is not designated.
25    (e) Except for new wind power facilities contemplated
26under subdivision (a)(3)(E) of this Section, new proposed

 

 

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1facilities which apply for designation as High Impact Business
2must provide the Department with proof of alternative
3non-Illinois sites which would receive the proposed investment
4and job creation in the event that the business is not
5designated as a High Impact Business.
6    (f) Except for businesses contemplated under subdivision
7(a)(3)(E) of this Section, in the event that a business is
8designated a High Impact Business and it is later determined
9after reasonable notice and an opportunity for a hearing as
10provided under the Illinois Administrative Procedure Act, that
11the business would have placed in service in qualified
12property the investments and created or retained the requisite
13number of jobs without the benefits of the High Impact
14Business designation, the Department shall be required to
15immediately revoke the designation and notify the Director of
16the Department of Revenue who shall begin proceedings to
17recover all wrongfully exempted State taxes with interest. The
18business shall also be ineligible for all State funded
19Department programs for a period of 10 years.
20    (g) The Department shall revoke a High Impact Business
21designation if the participating business fails to comply with
22the terms and conditions of the designation. However, the
23penalties for new wind power facilities or Wind Energy
24Businesses for failure to comply with any of the terms or
25conditions of the Illinois Prevailing Wage Act shall be only
26those penalties identified in the Illinois Prevailing Wage

 

 

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1Act, and the Department shall not revoke a High Impact
2Business designation as a result of the failure to comply with
3any of the terms or conditions of the Illinois Prevailing Wage
4Act in relation to a new wind power facility or a Wind Energy
5Business.
6    (h) Prior to designating a business, the Department shall
7provide the members of the General Assembly and Commission on
8Government Forecasting and Accountability with a report
9setting forth the terms and conditions of the designation and
10guarantees that have been received by the Department in
11relation to the proposed business being designated.
12    (i) High Impact Business construction jobs credit.
13Beginning on January 1, 2021, a High Impact Business may
14receive a tax credit against the tax imposed under subsections
15(a) and (b) of Section 201 of the Illinois Income Tax Act in an
16amount equal to 50% of the amount of the incremental income tax
17attributable to High Impact Business construction jobs credit
18employees employed in the course of completing a High Impact
19Business construction jobs project. However, the High Impact
20Business construction jobs credit may equal 75% of the amount
21of the incremental income tax attributable to High Impact
22Business construction jobs credit employees if the High Impact
23Business construction jobs credit project is located in an
24underserved area.
25    The Department shall certify to the Department of Revenue:
26(1) the identity of taxpayers that are eligible for the High

 

 

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1Impact Business construction jobs credit; and (2) the amount
2of High Impact Business construction jobs credits that are
3claimed pursuant to subsection (h-5) of Section 201 of the
4Illinois Income Tax Act in each taxable year. Any business
5entity that receives a High Impact Business construction jobs
6credit shall maintain a certified payroll pursuant to
7subsection (j) of this Section.
8    As used in this subsection (i):
9    "High Impact Business construction jobs credit" means an
10amount equal to 50% (or 75% if the High Impact Business
11construction project is located in an underserved area) of the
12incremental income tax attributable to High Impact Business
13construction job employees. The total aggregate amount of
14credits awarded under the Blue Collar Jobs Act (Article 20 of
15Public Act 101-9 this amendatory Act of the 101st General
16Assembly) shall not exceed $20,000,000 in any State fiscal
17year
18    "High Impact Business construction job employee" means a
19laborer or worker who is employed by an Illinois contractor or
20subcontractor in the actual construction work on the site of a
21High Impact Business construction job project.
22    "High Impact Business construction jobs project" means
23building a structure or building or making improvements of any
24kind to real property, undertaken and commissioned by a
25business that was designated as a High Impact Business by the
26Department. The term "High Impact Business construction jobs

 

 

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1project" does not include the routine operation, routine
2repair, or routine maintenance of existing structures,
3buildings, or real property.
4    "Incremental income tax" means the total amount withheld
5during the taxable year from the compensation of High Impact
6Business construction job employees.
7    "Underserved area" means a geographic area that meets one
8or more of the following conditions:
9        (1) the area has a poverty rate of at least 20%
10    according to the latest federal decennial census;
11        (2) 75% or more of the children in the area
12    participate in the federal free lunch program according to
13    reported statistics from the State Board of Education;
14        (3) at least 20% of the households in the area receive
15    assistance under the Supplemental Nutrition Assistance
16    Program (SNAP); or
17        (4) the area has an average unemployment rate, as
18    determined by the Illinois Department of Employment
19    Security, that is more than 120% of the national
20    unemployment average, as determined by the U.S. Department
21    of Labor, for a period of at least 2 consecutive calendar
22    years preceding the date of the application.
23    (j) Each contractor and subcontractor who is engaged in
24and executing a High Impact Business Construction jobs
25project, as defined under subsection (i) of this Section, for
26a business that is entitled to a credit pursuant to subsection

 

 

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1(i) of this Section shall:
2        (1) make and keep, for a period of 5 years from the
3    date of the last payment made on or after June 5, 2019 (the
4    effective date of Public Act 101-9) this amendatory Act of
5    the 101st General Assembly on a contract or subcontract
6    for a High Impact Business Construction Jobs Project,
7    records for all laborers and other workers employed by the
8    contractor or subcontractor on the project; the records
9    shall include:
10            (A) the worker's name;
11            (B) the worker's address;
12            (C) the worker's telephone number, if available;
13            (D) the worker's social security number;
14            (E) the worker's classification or
15        classifications;
16            (F) the worker's gross and net wages paid in each
17        pay period;
18            (G) the worker's number of hours worked each day;
19            (H) the worker's starting and ending times of work
20        each day;
21            (I) the worker's hourly wage rate; and
22            (J) the worker's hourly overtime wage rate;
23        (2) no later than the 15th day of each calendar month,
24    provide a certified payroll for the immediately preceding
25    month to the taxpayer in charge of the High Impact
26    Business construction jobs project; within 5 business days

 

 

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1    after receiving the certified payroll, the taxpayer shall
2    file the certified payroll with the Department of Labor
3    and the Department of Commerce and Economic Opportunity; a
4    certified payroll must be filed for only those calendar
5    months during which construction on a High Impact Business
6    construction jobs project has occurred; the certified
7    payroll shall consist of a complete copy of the records
8    identified in paragraph (1) of this subsection (j), but
9    may exclude the starting and ending times of work each
10    day; the certified payroll shall be accompanied by a
11    statement signed by the contractor or subcontractor or an
12    officer, employee, or agent of the contractor or
13    subcontractor which avers that:
14            (A) he or she has examined the certified payroll
15        records required to be submitted by the Act and such
16        records are true and accurate; and
17            (B) the contractor or subcontractor is aware that
18        filing a certified payroll that he or she knows to be
19        false is a Class A misdemeanor.
20    A general contractor is not prohibited from relying on a
21certified payroll of a lower-tier subcontractor, provided the
22general contractor does not knowingly rely upon a
23subcontractor's false certification.
24    Any contractor or subcontractor subject to this
25subsection, and any officer, employee, or agent of such
26contractor or subcontractor whose duty as an officer,

 

 

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1employee, or agent it is to file a certified payroll under this
2subsection, who willfully fails to file such a certified
3payroll on or before the date such certified payroll is
4required by this paragraph to be filed and any person who
5willfully files a false certified payroll that is false as to
6any material fact is in violation of this Act and guilty of a
7Class A misdemeanor.
8    The taxpayer in charge of the project shall keep the
9records submitted in accordance with this subsection on or
10after June 5, 2019 (the effective date of Public Act 101-9)
11this amendatory Act of the 101st General Assembly for a period
12of 5 years from the date of the last payment for work on a
13contract or subcontract for the High Impact Business
14construction jobs project.
15    The records submitted in accordance with this subsection
16shall be considered public records, except an employee's
17address, telephone number, and social security number, and
18made available in accordance with the Freedom of Information
19Act. The Department of Labor shall accept any reasonable
20submissions by the contractor that meet the requirements of
21this subsection (j) and shall share the information with the
22Department in order to comply with the awarding of a High
23Impact Business construction jobs credit. A contractor,
24subcontractor, or public body may retain records required
25under this Section in paper or electronic format.
26    (k) Upon 7 business days' notice, each contractor and

 

 

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1subcontractor shall make available for inspection and copying
2at a location within this State during reasonable hours, the
3records identified in this subsection (j) to the taxpayer in
4charge of the High Impact Business construction jobs project,
5its officers and agents, the Director of the Department of
6Labor and his or her deputies and agents, and to federal,
7State, or local law enforcement agencies and prosecutors.
8(Source: P.A. 101-9, eff. 6-5-19; revised 7-12-19.)
 
9    (20 ILCS 655/13)
10    Sec. 13. Enterprise Zone construction jobs credit.
11    (a) Beginning on January 1, 2021, a business entity in a
12certified Enterprise Zone that makes a capital investment of
13at least $10,000,000 in an Enterprise Zone construction jobs
14project may receive an Enterprise Zone construction jobs
15credit against the tax imposed under subsections (a) and (b)
16of Section 201 of the Illinois Income Tax Act in an amount
17equal to 50% of the amount of the incremental income tax
18attributable to Enterprise Zone construction jobs credit
19employees employed in the course of completing an Enterprise
20Zone construction jobs project. However, the Enterprise Zone
21construction jobs credit may equal 75% of the amount of the
22incremental income tax attributable to Enterprise Zone
23construction jobs credit employees if the project is located
24in an underserved area.
25    (b) A business entity seeking a credit under this Section

 

 

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1must submit an application to the Department and must receive
2approval from the designating municipality or county and the
3Department for the Enterprise Zone construction jobs credit
4project. The application must describe the nature and benefit
5of the project to the certified Enterprise Zone and its
6potential contributors. The total aggregate amount of credits
7awarded under the Blue Collar Jobs Act (Article 20 of Public
8Act 101-9 this amendatory Act of the 101st General Assembly)
9shall not exceed $20,000,000 in any State fiscal year.
10    Within 45 days after receipt of an application, the
11Department shall give notice to the applicant as to whether
12the application has been approved or disapproved. If the
13Department disapproves the application, it shall specify the
14reasons for this decision and allow 60 days for the applicant
15to amend and resubmit its application. The Department shall
16provide assistance upon request to applicants. Resubmitted
17applications shall receive the Department's approval or
18disapproval within 30 days after the application is
19resubmitted. Those resubmitted applications satisfying initial
20Department objectives shall be approved unless reasonable
21circumstances warrant disapproval.
22    On an annual basis, the designated zone organization shall
23furnish a statement to the Department on the programmatic and
24financial status of any approved project and an audited
25financial statement of the project.
26    The Department shall certify to the Department of Revenue

 

 

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1the identity of taxpayers who are eligible for the credits and
2the amount of credits that are claimed pursuant to
3subparagraph (8) of subsection (f) of Section 201 the Illinois
4Income Tax Act.
5    The Enterprise Zone construction jobs credit project must
6be undertaken by the business entity in the course of
7completing a project that complies with the criteria contained
8in Section 4 of this Act and is undertaken in a certified
9Enterprise Zone. The Department shall adopt any necessary
10rules for the implementation of this subsection (b).
11    (c) Any business entity that receives an Enterprise Zone
12construction jobs credit shall maintain a certified payroll
13pursuant to subsection (d) of this Section.
14    (d) Each contractor and subcontractor who is engaged in
15and is executing an Enterprise Zone construction jobs credit
16project for a business that is entitled to a credit pursuant to
17this Section shall:
18        (1) make and keep, for a period of 5 years from the
19    date of the last payment made on or after June 5, 2019 (the
20    effective date of Public Act 101-9) this amendatory Act of
21    the 101st General Assembly on a contract or subcontract
22    for an Enterprise Zone construction jobs credit project,
23    records for all laborers and other workers employed by
24    them on the project; the records shall include:
25            (A) the worker's name;
26            (B) the worker's address;

 

 

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1            (C) the worker's telephone number, if available;
2            (D) the worker's social security number;
3            (E) the worker's classification or
4        classifications;
5            (F) the worker's gross and net wages paid in each
6        pay period;
7            (G) the worker's number of hours worked each day;
8            (H) the worker's starting and ending times of work
9        each day;
10            (I) the worker's hourly wage rate; and
11            (J) the worker's hourly overtime wage rate;
12        (2) no later than the 15th day of each calendar month,
13    provide a certified payroll for the immediately preceding
14    month to the taxpayer in charge of the project; within 5
15    business days after receiving the certified payroll, the
16    taxpayer shall file the certified payroll with the
17    Department of Labor and the Department of Commerce and
18    Economic Opportunity; a certified payroll must be filed
19    for only those calendar months during which construction
20    on an Enterprise Zone construction jobs project has
21    occurred; the certified payroll shall consist of a
22    complete copy of the records identified in paragraph (1)
23    of this subsection (d), but may exclude the starting and
24    ending times of work each day; the certified payroll shall
25    be accompanied by a statement signed by the contractor or
26    subcontractor or an officer, employee, or agent of the

 

 

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1    contractor or subcontractor which avers that:
2            (A) he or she has examined the certified payroll
3        records required to be submitted by the Act and such
4        records are true and accurate; and
5            (B) the contractor or subcontractor is aware that
6        filing a certified payroll that he or she knows to be
7        false is a Class A misdemeanor.
8    A general contractor is not prohibited from relying on a
9certified payroll of a lower-tier subcontractor, provided the
10general contractor does not knowingly rely upon a
11subcontractor's false certification.
12    Any contractor or subcontractor subject to this
13subsection, and any officer, employee, or agent of such
14contractor or subcontractor whose duty as an officer,
15employee, or agent it is to file a certified payroll under this
16subsection, who willfully fails to file such a certified
17payroll on or before the date such certified payroll is
18required by this paragraph to be filed and any person who
19willfully files a false certified payroll that is false as to
20any material fact is in violation of this Act and guilty of a
21Class A misdemeanor.
22    The taxpayer in charge of the project shall keep the
23records submitted in accordance with this subsection on or
24after June 5, 2019 (the effective date of Public Act 101-9)
25this amendatory Act of the 101st General Assembly for a period
26of 5 years from the date of the last payment for work on a

 

 

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1contract or subcontract for the project.
2    The records submitted in accordance with this subsection
3shall be considered public records, except an employee's
4address, telephone number, and social security number, and
5made available in accordance with the Freedom of Information
6Act. The Department of Labor shall accept any reasonable
7submissions by the contractor that meet the requirements of
8this subsection and shall share the information with the
9Department in order to comply with the awarding of Enterprise
10Zone construction jobs credits. A contractor, subcontractor,
11or public body may retain records required under this Section
12in paper or electronic format.
13    Upon 7 business days' notice, the contractor and each
14subcontractor shall make available for inspection and copying
15at a location within this State during reasonable hours, the
16records identified in paragraph (1) of this subsection to the
17taxpayer in charge of the project, its officers and agents,
18the Director of Labor and his or her deputies and agents, and
19to federal, State, or local law enforcement agencies and
20prosecutors.
21    (e) As used in this Section:
22    "Enterprise Zone construction jobs credit" means an amount
23equal to 50% (or 75% if the project is located in an
24underserved area) of the incremental income tax attributable
25to Enterprise Zone construction jobs credit employees.
26    "Enterprise Zone construction jobs credit employee" means

 

 

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1a laborer or worker who is employed by an Illinois contractor
2or subcontractor in the actual construction work on the site
3of an Enterprise Zone construction jobs credit project.
4    "Enterprise Zone construction jobs credit project" means
5building a structure or building or making improvements of any
6kind to real property commissioned and paid for by a business
7that has applied and been approved for an Enterprise Zone
8construction jobs credit pursuant to this Section. "Enterprise
9Zone construction jobs credit project" does not include the
10routine operation, routine repair, or routine maintenance of
11existing structures, buildings, or real property.
12    "Incremental income tax" means the total amount withheld
13during the taxable year from the compensation of Enterprise
14Zone construction jobs credit employees.
15    "Underserved area" means a geographic area that meets one
16or more of the following conditions:
17        (1) the area has a poverty rate of at least 20%
18    according to the latest federal decennial census;
19        (2) 75% or more of the children in the area
20    participate in the federal free lunch program according to
21    reported statistics from the State Board of Education;
22        (3) at least 20% of the households in the area receive
23    assistance under the Supplemental Nutrition Assistance
24    Program (SNAP); or
25        (4) the area has an average unemployment rate, as
26    determined by the Illinois Department of Employment

 

 

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1    Security, that is more than 120% of the national
2    unemployment average, as determined by the U.S. Department
3    of Labor, for a period of at least 2 consecutive calendar
4    years preceding the date of the application.
5(Source: P.A. 101-9, eff. 6-5-19; revised 7-12-19.)
 
6    Section 110. The Lake Michigan Wind Energy Act is amended
7by changing Section 20 as follows:
 
8    (20 ILCS 896/20)
9    Sec. 20. Offshore Wind Energy Economic Development Policy
10Task Force.
11    (a) The Governor shall convene an Offshore Wind Energy
12Economic Development Policy Task Force, to be chaired by the
13Director of Commerce and Economic Opportunity, or his or her
14designee, to analyze and evaluate policy and economic options
15to facilitate the development of offshore wind energy, and to
16propose an appropriate Illinois mechanism for purchasing and
17selling power from possible offshore wind energy projects. The
18Task Force shall examine mechanisms used in other states and
19jurisdictions, including, without limitation, feed-in tariffs,
20renewable energy certificates, renewable energy certificate
21carve-outs, power purchase agreements, and pilot projects. The
22Task Force shall report its findings and recommendations to
23the Governor and General Assembly within 12 months of
24convening.

 

 

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1    (b) The Director of the Illinois Power Agency (or his or
2her designee), the Executive Director of the Illinois Commerce
3Commission (or his or her designee), the Director of Natural
4Resources (or his or her designee), and the Attorney General
5(or his or her designee) shall serve as ex officio members of
6the Task Force.
7    (c) The Governor shall appoint, within 90 days of August
89, 2019 (the effective date of Public Act 101-283) this
9amendatory Act of the 101st General Assembly, the following
10public members to serve on the Task Force:
11        (1) one individual from an institution of higher
12    education in Illinois representing the discipline of
13    economics with experience in the study of renewable
14    energy;
15        (2) one individual representing an energy industry
16    with experience in renewable energy markets;
17        (3) one individual representing a Statewide consumer
18    or electric ratepayer organization;
19        (4) one individual representing the offshore wind
20    energy industry;
21        (5) one individual representing the wind energy supply
22    chain industry;
23        (6) one individual representing an Illinois electrical
24    cooperative, municipal electrical utility, or association
25    of such cooperatives or utilities;
26        (7) one individual representing an Illinois industrial

 

 

SB2435- 223 -LRB102 04062 AMC 14078 b

1    union involved in the construction, maintenance, or
2    transportation of electrical generation, distribution, or
3    transmission equipment or components;
4        (8) one individual representing an Illinois commercial
5    or industrial electrical consumer;
6        (9) one individual representing an Illinois public
7    education electrical consumer;
8        (10) one individual representing an independent
9    transmission company;
10        (11) one individual from the Illinois legal community
11    with experience in contracts, utility law, municipal law,
12    and constitutional law;
13        (12) one individual representing a Great Lakes
14    regional organization with experience assessing or
15    studying wind energy;
16        (13) one individual representing a Statewide
17    environmental organization;
18        (14) one resident of the State representing an
19    organization advocating for persons of low or limited
20    incomes;
21        (15) one individual representing Argonne National
22    Laboratory; and
23        (16) one individual representing a local community
24    that has aggregated the purchase of electricity.
25    (d) The Governor may appoint additional public members to
26the Task Force.

 

 

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1    (e) The Speaker of the House of Representatives, Minority
2Leader of the House of Representatives, Senate President, and
3Minority Leader of the Senate shall each appoint one member of
4the General Assembly to serve on the Task Force.
5    (f) Members of the Task Force shall serve without
6compensation.
7(Source: P.A. 101-283, eff. 8-9-19; revised 11-21-19.)
 
8    Section 115. The Energy Policy and Planning Act is amended
9by changing Section 4 as follows:
 
10    (20 ILCS 1120/4)  (from Ch. 96 1/2, par. 7804)
11    Sec. 4. Authority. (1) The Department in addition to its
12preparation of energy contingency plans, shall also analyze,
13prepare, and recommend a comprehensive energy plan for the
14State of Illinois.
15    The plan shall identify emerging trends related to energy
16supply, demand, conservation, public health and safety
17factors, and should specify the levels of statewide and
18service area energy needs, past, present, and estimated future
19demand, as well as the potential social, economic, or
20environmental effects caused by the continuation of existing
21trends and by the various alternatives available to the State.
22The plan shall also conform to the requirements of Section
238-402 of the Public Utilities Act. The Department shall design
24programs as necessary to achieve the purposes of this Act and

 

 

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1the planning objectives of the The Public Utilities Act. The
2Department's energy plan, and any programs designed pursuant
3to this Section shall be filed with the Commission in
4accordance with the Commission's planning responsibilities and
5hearing requirements related thereto. The Department shall
6periodically review the plan, objectives and programs at least
7every 2 years, and the results of such review and any resulting
8changes in the Department's plan or programs shall be filed
9with the Commission.
10    The Department's plan and programs and any review thereof,
11shall also be filed with the Governor, the General Assembly,
12and the Public Counsel, and shall be available to the public
13upon request.
14    The requirement for reporting to the General Assembly
15shall be satisfied by filing copies of the report as required
16by Section 3.1 of the General Assembly Organization Act, and
17filing such additional copies with the State Government Report
18Distribution Center for the General Assembly as is required
19under paragraph (t) of Section 7 of the State Library Act.
20(Source: P.A. 100-1148, eff. 12-10-18; revised 7-17-19.)
 
21    Section 120. The Department of Labor Law of the Civil
22Administrative Code of Illinois is amended by changing Section
231505-215 as follows:
 
24    (20 ILCS 1505/1505-215)

 

 

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1    Sec. 1505-215. Bureau on Apprenticeship Programs; Advisory
2Board. (a) There is created within the Department of Labor a
3Bureau on Apprenticeship Programs. This Bureau shall work to
4increase minority participation in active apprentice programs
5in Illinois that are approved by the United States Department
6of Labor. The Bureau shall identify barriers to minorities
7gaining access to construction careers and make
8recommendations to the Governor and the General Assembly for
9policies to remove those barriers. The Department may hire
10staff to perform outreach in promoting diversity in active
11apprenticeship programs approved by the United States
12Department of Labor. The Bureau shall annually compile racial
13and gender workforce diversity information from contractors
14receiving State or other public funds and by labor unions with
15members working on projects receiving State or other public
16funds.
17(Source: P.A. 101-170, eff. 1-1-20; 101-601, eff. 1-1-20;
18revised 10-22-20.)
 
19    Section 125. The Illinois Lottery Law is amended by
20changing Sections 2 and 9.1 as follows:
 
21    (20 ILCS 1605/2)  (from Ch. 120, par. 1152)
22    Sec. 2. This Act is enacted to implement and establish
23within the State a lottery to be conducted by the State through
24the Department. The entire net proceeds of the Lottery are to

 

 

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1be used for the support of the State's Common School Fund,
2except as provided in subsection (o) of Section 9.1 and
3Sections 21.5, 21.6, 21.7, 21.8, 21.9, 21.10, and 21.11,
421.12, and 21.13. The General Assembly finds that it is in the
5public interest for the Department to conduct the functions of
6the Lottery with the assistance of a private manager under a
7management agreement overseen by the Department. The
8Department shall be accountable to the General Assembly and
9the people of the State through a comprehensive system of
10regulation, audits, reports, and enduring operational
11oversight. The Department's ongoing conduct of the Lottery
12through a management agreement with a private manager shall
13act to promote and ensure the integrity, security, honesty,
14and fairness of the Lottery's operation and administration. It
15is the intent of the General Assembly that the Department
16shall conduct the Lottery with the assistance of a private
17manager under a management agreement at all times in a manner
18consistent with 18 U.S.C. 1307(a)(1), 1307(b)(1), 1953(b)(4).
19    Beginning with Fiscal Year 2018 and every year thereafter,
20any moneys transferred from the State Lottery Fund to the
21Common School Fund shall be supplemental to, and not in lieu
22of, any other money due to be transferred to the Common School
23Fund by law or appropriation.
24(Source: P.A. 100-466, eff. 6-1-18; 100-647, eff. 7-30-18;
25100-1068, eff. 8-24-18; 101-81, eff. 7-12-19; 101-561, eff.
268-23-19; revised 10-21-19.)
 

 

 

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1    (20 ILCS 1605/9.1)
2    Sec. 9.1. Private manager and management agreement.
3    (a) As used in this Section:
4    "Offeror" means a person or group of persons that responds
5to a request for qualifications under this Section.
6    "Request for qualifications" means all materials and
7documents prepared by the Department to solicit the following
8from offerors:
9        (1) Statements of qualifications.
10        (2) Proposals to enter into a management agreement,
11    including the identity of any prospective vendor or
12    vendors that the offeror intends to initially engage to
13    assist the offeror in performing its obligations under the
14    management agreement.
15    "Final offer" means the last proposal submitted by an
16offeror in response to the request for qualifications,
17including the identity of any prospective vendor or vendors
18that the offeror intends to initially engage to assist the
19offeror in performing its obligations under the management
20agreement.
21    "Final offeror" means the offeror ultimately selected by
22the Governor to be the private manager for the Lottery under
23subsection (h) of this Section.
24    (b) By September 15, 2010, the Governor shall select a
25private manager for the total management of the Lottery with

 

 

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1integrated functions, such as lottery game design, supply of
2goods and services, and advertising and as specified in this
3Section.
4    (c) Pursuant to the terms of this subsection, the
5Department shall endeavor to expeditiously terminate the
6existing contracts in support of the Lottery in effect on July
713, 2009 (the effective date of Public Act 96-37) this
8amendatory Act of the 96th General Assembly in connection with
9the selection of the private manager. As part of its
10obligation to terminate these contracts and select the private
11manager, the Department shall establish a mutually agreeable
12timetable to transfer the functions of existing contractors to
13the private manager so that existing Lottery operations are
14not materially diminished or impaired during the transition.
15To that end, the Department shall do the following:
16        (1) where such contracts contain a provision
17    authorizing termination upon notice, the Department shall
18    provide notice of termination to occur upon the mutually
19    agreed timetable for transfer of functions;
20        (2) upon the expiration of any initial term or renewal
21    term of the current Lottery contracts, the Department
22    shall not renew such contract for a term extending beyond
23    the mutually agreed timetable for transfer of functions;
24    or
25        (3) in the event any current contract provides for
26    termination of that contract upon the implementation of a

 

 

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1    contract with the private manager, the Department shall
2    perform all necessary actions to terminate the contract on
3    the date that coincides with the mutually agreed timetable
4    for transfer of functions.
5    If the contracts to support the current operation of the
6Lottery in effect on July 13, 2009 (the effective date of
7Public Act 96-34) this amendatory Act of the 96th General
8Assembly are not subject to termination as provided for in
9this subsection (c), then the Department may include a
10provision in the contract with the private manager specifying
11a mutually agreeable methodology for incorporation.
12    (c-5) The Department shall include provisions in the
13management agreement whereby the private manager shall, for a
14fee, and pursuant to a contract negotiated with the Department
15(the "Employee Use Contract"), utilize the services of current
16Department employees to assist in the administration and
17operation of the Lottery. The Department shall be the employer
18of all such bargaining unit employees assigned to perform such
19work for the private manager, and such employees shall be
20State employees, as defined by the Personnel Code. Department
21employees shall operate under the same employment policies,
22rules, regulations, and procedures, as other employees of the
23Department. In addition, neither historical representation
24rights under the Illinois Public Labor Relations Act, nor
25existing collective bargaining agreements, shall be disturbed
26by the management agreement with the private manager for the

 

 

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1management of the Lottery.
2    (d) The management agreement with the private manager
3shall include all of the following:
4        (1) A term not to exceed 10 years, including any
5    renewals.
6        (2) A provision specifying that the Department:
7            (A) shall exercise actual control over all
8        significant business decisions;
9            (A-5) has the authority to direct or countermand
10        operating decisions by the private manager at any
11        time;
12            (B) has ready access at any time to information
13        regarding Lottery operations;
14            (C) has the right to demand and receive
15        information from the private manager concerning any
16        aspect of the Lottery operations at any time; and
17            (D) retains ownership of all trade names,
18        trademarks, and intellectual property associated with
19        the Lottery.
20        (3) A provision imposing an affirmative duty on the
21    private manager to provide the Department with material
22    information and with any information the private manager
23    reasonably believes the Department would want to know to
24    enable the Department to conduct the Lottery.
25        (4) A provision requiring the private manager to
26    provide the Department with advance notice of any

 

 

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1    operating decision that bears significantly on the public
2    interest, including, but not limited to, decisions on the
3    kinds of games to be offered to the public and decisions
4    affecting the relative risk and reward of the games being
5    offered, so the Department has a reasonable opportunity to
6    evaluate and countermand that decision.
7        (5) A provision providing for compensation of the
8    private manager that may consist of, among other things, a
9    fee for services and a performance based bonus as
10    consideration for managing the Lottery, including terms
11    that may provide the private manager with an increase in
12    compensation if Lottery revenues grow by a specified
13    percentage in a given year.
14        (6) (Blank).
15        (7) A provision requiring the deposit of all Lottery
16    proceeds to be deposited into the State Lottery Fund
17    except as otherwise provided in Section 20 of this Act.
18        (8) A provision requiring the private manager to
19    locate its principal office within the State.
20        (8-5) A provision encouraging that at least 20% of the
21    cost of contracts entered into for goods and services by
22    the private manager in connection with its management of
23    the Lottery, other than contracts with sales agents or
24    technical advisors, be awarded to businesses that are a
25    minority-owned business, a women-owned business, or a
26    business owned by a person with disability, as those terms

 

 

SB2435- 233 -LRB102 04062 AMC 14078 b

1    are defined in the Business Enterprise for Minorities,
2    Women, and Persons with Disabilities Act.
3        (9) A requirement that so long as the private manager
4    complies with all the conditions of the agreement under
5    the oversight of the Department, the private manager shall
6    have the following duties and obligations with respect to
7    the management of the Lottery:
8            (A) The right to use equipment and other assets
9        used in the operation of the Lottery.
10            (B) The rights and obligations under contracts
11        with retailers and vendors.
12            (C) The implementation of a comprehensive security
13        program by the private manager.
14            (D) The implementation of a comprehensive system
15        of internal audits.
16            (E) The implementation of a program by the private
17        manager to curb compulsive gambling by persons playing
18        the Lottery.
19            (F) A system for determining (i) the type of
20        Lottery games, (ii) the method of selecting winning
21        tickets, (iii) the manner of payment of prizes to
22        holders of winning tickets, (iv) the frequency of
23        drawings of winning tickets, (v) the method to be used
24        in selling tickets, (vi) a system for verifying the
25        validity of tickets claimed to be winning tickets,
26        (vii) the basis upon which retailer commissions are

 

 

SB2435- 234 -LRB102 04062 AMC 14078 b

1        established by the manager, and (viii) minimum
2        payouts.
3        (10) A requirement that advertising and promotion must
4    be consistent with Section 7.8a of this Act.
5        (11) A requirement that the private manager market the
6    Lottery to those residents who are new, infrequent, or
7    lapsed players of the Lottery, especially those who are
8    most likely to make regular purchases on the Internet as
9    permitted by law.
10        (12) A code of ethics for the private manager's
11    officers and employees.
12        (13) A requirement that the Department monitor and
13    oversee the private manager's practices and take action
14    that the Department considers appropriate to ensure that
15    the private manager is in compliance with the terms of the
16    management agreement, while allowing the manager, unless
17    specifically prohibited by law or the management
18    agreement, to negotiate and sign its own contracts with
19    vendors.
20        (14) A provision requiring the private manager to
21    periodically file, at least on an annual basis,
22    appropriate financial statements in a form and manner
23    acceptable to the Department.
24        (15) Cash reserves requirements.
25        (16) Procedural requirements for obtaining the prior
26    approval of the Department when a management agreement or

 

 

SB2435- 235 -LRB102 04062 AMC 14078 b

1    an interest in a management agreement is sold, assigned,
2    transferred, or pledged as collateral to secure financing.
3        (17) Grounds for the termination of the management
4    agreement by the Department or the private manager.
5        (18) Procedures for amendment of the agreement.
6        (19) A provision requiring the private manager to
7    engage in an open and competitive bidding process for any
8    procurement having a cost in excess of $50,000 that is not
9    a part of the private manager's final offer. The process
10    shall favor the selection of a vendor deemed to have
11    submitted a proposal that provides the Lottery with the
12    best overall value. The process shall not be subject to
13    the provisions of the Illinois Procurement Code, unless
14    specifically required by the management agreement.
15        (20) The transition of rights and obligations,
16    including any associated equipment or other assets used in
17    the operation of the Lottery, from the manager to any
18    successor manager of the lottery, including the
19    Department, following the termination of or foreclosure
20    upon the management agreement.
21        (21) Right of use of copyrights, trademarks, and
22    service marks held by the Department in the name of the
23    State. The agreement must provide that any use of them by
24    the manager shall only be for the purpose of fulfilling
25    its obligations under the management agreement during the
26    term of the agreement.

 

 

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1        (22) The disclosure of any information requested by
2    the Department to enable it to comply with the reporting
3    requirements and information requests provided for under
4    subsection (p) of this Section.
5    (e) Notwithstanding any other law to the contrary, the
6Department shall select a private manager through a
7competitive request for qualifications process consistent with
8Section 20-35 of the Illinois Procurement Code, which shall
9take into account:
10        (1) the offeror's ability to market the Lottery to
11    those residents who are new, infrequent, or lapsed players
12    of the Lottery, especially those who are most likely to
13    make regular purchases on the Internet;
14        (2) the offeror's ability to address the State's
15    concern with the social effects of gambling on those who
16    can least afford to do so;
17        (3) the offeror's ability to provide the most
18    successful management of the Lottery for the benefit of
19    the people of the State based on current and past business
20    practices or plans of the offeror; and
21        (4) the offeror's poor or inadequate past performance
22    in servicing, equipping, operating or managing a lottery
23    on behalf of Illinois, another State or foreign government
24    and attracting persons who are not currently regular
25    players of a lottery.
26    (f) The Department may retain the services of an advisor

 

 

SB2435- 237 -LRB102 04062 AMC 14078 b

1or advisors with significant experience in financial services
2or the management, operation, and procurement of goods,
3services, and equipment for a government-run lottery to assist
4in the preparation of the terms of the request for
5qualifications and selection of the private manager. Any
6prospective advisor seeking to provide services under this
7subsection (f) shall disclose any material business or
8financial relationship during the past 3 years with any
9potential offeror, or with a contractor or subcontractor
10presently providing goods, services, or equipment to the
11Department to support the Lottery. The Department shall
12evaluate the material business or financial relationship of
13each prospective advisor. The Department shall not select any
14prospective advisor with a substantial business or financial
15relationship that the Department deems to impair the
16objectivity of the services to be provided by the prospective
17advisor. During the course of the advisor's engagement by the
18Department, and for a period of one year thereafter, the
19advisor shall not enter into any business or financial
20relationship with any offeror or any vendor identified to
21assist an offeror in performing its obligations under the
22management agreement. Any advisor retained by the Department
23shall be disqualified from being an offeror. The Department
24shall not include terms in the request for qualifications that
25provide a material advantage whether directly or indirectly to
26any potential offeror, or any contractor or subcontractor

 

 

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1presently providing goods, services, or equipment to the
2Department to support the Lottery, including terms contained
3in previous responses to requests for proposals or
4qualifications submitted to Illinois, another State or foreign
5government when those terms are uniquely associated with a
6particular potential offeror, contractor, or subcontractor.
7The request for proposals offered by the Department on
8December 22, 2008 as "LOT08GAMESYS" and reference number
9"22016176" is declared void.
10    (g) The Department shall select at least 2 offerors as
11finalists to potentially serve as the private manager no later
12than August 9, 2010. Upon making preliminary selections, the
13Department shall schedule a public hearing on the finalists'
14proposals and provide public notice of the hearing at least 7
15calendar days before the hearing. The notice must include all
16of the following:
17        (1) The date, time, and place of the hearing.
18        (2) The subject matter of the hearing.
19        (3) A brief description of the management agreement to
20    be awarded.
21        (4) The identity of the offerors that have been
22    selected as finalists to serve as the private manager.
23        (5) The address and telephone number of the
24    Department.
25    (h) At the public hearing, the Department shall (i)
26provide sufficient time for each finalist to present and

 

 

SB2435- 239 -LRB102 04062 AMC 14078 b

1explain its proposal to the Department and the Governor or the
2Governor's designee, including an opportunity to respond to
3questions posed by the Department, Governor, or designee and
4(ii) allow the public and non-selected offerors to comment on
5the presentations. The Governor or a designee shall attend the
6public hearing. After the public hearing, the Department shall
7have 14 calendar days to recommend to the Governor whether a
8management agreement should be entered into with a particular
9finalist. After reviewing the Department's recommendation, the
10Governor may accept or reject the Department's recommendation,
11and shall select a final offeror as the private manager by
12publication of a notice in the Illinois Procurement Bulletin
13on or before September 15, 2010. The Governor shall include in
14the notice a detailed explanation and the reasons why the
15final offeror is superior to other offerors and will provide
16management services in a manner that best achieves the
17objectives of this Section. The Governor shall also sign the
18management agreement with the private manager.
19    (i) Any action to contest the private manager selected by
20the Governor under this Section must be brought within 7
21calendar days after the publication of the notice of the
22designation of the private manager as provided in subsection
23(h) of this Section.
24    (j) The Lottery shall remain, for so long as a private
25manager manages the Lottery in accordance with provisions of
26this Act, a Lottery conducted by the State, and the State shall

 

 

SB2435- 240 -LRB102 04062 AMC 14078 b

1not be authorized to sell or transfer the Lottery to a third
2party.
3    (k) Any tangible personal property used exclusively in
4connection with the lottery that is owned by the Department
5and leased to the private manager shall be owned by the
6Department in the name of the State and shall be considered to
7be public property devoted to an essential public and
8governmental function.
9    (l) The Department may exercise any of its powers under
10this Section or any other law as necessary or desirable for the
11execution of the Department's powers under this Section.
12    (m) Neither this Section nor any management agreement
13entered into under this Section prohibits the General Assembly
14from authorizing forms of gambling that are not in direct
15competition with the Lottery. The forms of gambling authorized
16by Public Act 101-31 this amendatory Act of the 101st General
17Assembly constitute authorized forms of gambling that are not
18in direct competition with the Lottery.
19    (n) The private manager shall be subject to a complete
20investigation in the third, seventh, and tenth years of the
21agreement (if the agreement is for a 10-year term) by the
22Department in cooperation with the Auditor General to
23determine whether the private manager has complied with this
24Section and the management agreement. The private manager
25shall bear the cost of an investigation or reinvestigation of
26the private manager under this subsection.

 

 

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1    (o) The powers conferred by this Section are in addition
2and supplemental to the powers conferred by any other law. If
3any other law or rule is inconsistent with this Section,
4including, but not limited to, provisions of the Illinois
5Procurement Code, then this Section controls as to any
6management agreement entered into under this Section. This
7Section and any rules adopted under this Section contain full
8and complete authority for a management agreement between the
9Department and a private manager. No law, procedure,
10proceeding, publication, notice, consent, approval, order, or
11act by the Department or any other officer, Department,
12agency, or instrumentality of the State or any political
13subdivision is required for the Department to enter into a
14management agreement under this Section. This Section contains
15full and complete authority for the Department to approve any
16contracts entered into by a private manager with a vendor
17providing goods, services, or both goods and services to the
18private manager under the terms of the management agreement,
19including subcontractors of such vendors.
20    Upon receipt of a written request from the Chief
21Procurement Officer, the Department shall provide to the Chief
22Procurement Officer a complete and un-redacted copy of the
23management agreement or any contract that is subject to the
24Department's approval authority under this subsection (o). The
25Department shall provide a copy of the agreement or contract
26to the Chief Procurement Officer in the time specified by the

 

 

SB2435- 242 -LRB102 04062 AMC 14078 b

1Chief Procurement Officer in his or her written request, but
2no later than 5 business days after the request is received by
3the Department. The Chief Procurement Officer must retain any
4portions of the management agreement or of any contract
5designated by the Department as confidential, proprietary, or
6trade secret information in complete confidence pursuant to
7subsection (g) of Section 7 of the Freedom of Information Act.
8The Department shall also provide the Chief Procurement
9Officer with reasonable advance written notice of any contract
10that is pending Department approval.
11    Notwithstanding any other provision of this Section to the
12contrary, the Chief Procurement Officer shall adopt
13administrative rules, including emergency rules, to establish
14a procurement process to select a successor private manager if
15a private management agreement has been terminated. The
16selection process shall at a minimum take into account the
17criteria set forth in items (1) through (4) of subsection (e)
18of this Section and may include provisions consistent with
19subsections (f), (g), (h), and (i) of this Section. The Chief
20Procurement Officer shall also implement and administer the
21adopted selection process upon the termination of a private
22management agreement. The Department, after the Chief
23Procurement Officer certifies that the procurement process has
24been followed in accordance with the rules adopted under this
25subsection (o), shall select a final offeror as the private
26manager and sign the management agreement with the private

 

 

SB2435- 243 -LRB102 04062 AMC 14078 b

1manager.
2    Except as provided in Sections 21.5, 21.6, 21.7, 21.8,
321.9, 21.10, 21.11, 21.12, and 21.13, the Department shall
4distribute all proceeds of lottery tickets and shares sold in
5the following priority and manner:
6        (1) The payment of prizes and retailer bonuses.
7        (2) The payment of costs incurred in the operation and
8    administration of the Lottery, including the payment of
9    sums due to the private manager under the management
10    agreement with the Department.
11        (3) On the last day of each month or as soon thereafter
12    as possible, the State Comptroller shall direct and the
13    State Treasurer shall transfer from the State Lottery Fund
14    to the Common School Fund an amount that is equal to the
15    proceeds transferred in the corresponding month of fiscal
16    year 2009, as adjusted for inflation, to the Common School
17    Fund.
18        (4) On or before September 30 of each fiscal year,
19    deposit any estimated remaining proceeds from the prior
20    fiscal year, subject to payments under items (1), (2), and
21    (3), into the Capital Projects Fund. Beginning in fiscal
22    year 2019, the amount deposited shall be increased or
23    decreased each year by the amount the estimated payment
24    differs from the amount determined from each year-end
25    financial audit. Only remaining net deficits from prior
26    fiscal years may reduce the requirement to deposit these

 

 

SB2435- 244 -LRB102 04062 AMC 14078 b

1    funds, as determined by the annual financial audit.
2    (p) The Department shall be subject to the following
3reporting and information request requirements:
4        (1) the Department shall submit written quarterly
5    reports to the Governor and the General Assembly on the
6    activities and actions of the private manager selected
7    under this Section;
8        (2) upon request of the Chief Procurement Officer, the
9    Department shall promptly produce information related to
10    the procurement activities of the Department and the
11    private manager requested by the Chief Procurement
12    Officer; the Chief Procurement Officer must retain
13    confidential, proprietary, or trade secret information
14    designated by the Department in complete confidence
15    pursuant to subsection (g) of Section 7 of the Freedom of
16    Information Act; and
17        (3) at least 30 days prior to the beginning of the
18    Department's fiscal year, the Department shall prepare an
19    annual written report on the activities of the private
20    manager selected under this Section and deliver that
21    report to the Governor and General Assembly.
22(Source: P.A. 100-391, eff. 8-25-17; 100-587, eff. 6-4-18;
23100-647, eff. 7-30-18; 100-1068, eff. 8-24-18; 101-31, eff.
246-28-19; 101-81, eff. 7-12-19; 101-561, eff. 8-23-19; revised
2510-21-19.)
 

 

 

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1    Section 130. The Department of Public Health Powers and
2Duties Law of the Civil Administrative Code of Illinois is
3amended by setting forth and renumbering multiple versions of
4Sections 2310-223 and 2310-455 and by changing Section
52310-670 as follows:
 
6    (20 ILCS 2310/2310-222)
7    Sec. 2310-222 2310-223. Obstetric hemorrhage and
8hypertension training.
9    (a) As used in this Section, "birthing facility" means (1)
10a hospital, as defined in the Hospital Licensing Act, with
11more than one licensed obstetric bed or a neonatal intensive
12care unit; (2) a hospital operated by a State university; or
13(3) a birth center, as defined in the Alternative Health Care
14Delivery Act.
15    (b) The Department shall ensure that all birthing
16facilities conduct continuing education yearly for providers
17and staff of obstetric medicine and of the emergency
18department and other staff that may care for pregnant or
19postpartum women. The continuing education shall include
20yearly educational modules regarding management of severe
21maternal hypertension and obstetric hemorrhage for units that
22care for pregnant or postpartum women. Birthing facilities
23must demonstrate compliance with these education and training
24requirements.
25    (c) The Department shall collaborate with the Illinois

 

 

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1Perinatal Quality Collaborative or its successor organization
2to develop an initiative to improve birth equity and reduce
3peripartum racial and ethnic disparities. The Department shall
4ensure that the initiative includes the development of best
5practices for implicit bias training and education in cultural
6competency to be used by birthing facilities in interactions
7between patients and providers. In developing the initiative,
8the Illinois Perinatal Quality Collaborative or its successor
9organization shall consider existing programs, such as the
10Alliance for Innovation on Maternal Health and the California
11Maternal Quality Collaborative's pilot work on improving birth
12equity. The Department shall support the initiation of a
13statewide perinatal quality improvement initiative in
14collaboration with birthing facilities to implement strategies
15to reduce peripartum racial and ethnic disparities and to
16address implicit bias in the health care system.
17    (d) The Department, in consultation with the Maternal
18Mortality Review Committee, shall make available to all
19birthing facilities best practices for timely identification
20of all pregnant and postpartum women in the emergency
21department and for appropriate and timely consultation of an
22obstetric provider to provide input on management and
23follow-up. Birthing facilities may use telemedicine for the
24consultation.
25    (e) The Department may adopt rules for the purpose of
26implementing this Section.

 

 

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1(Source: P.A. 101-390, eff. 1-1-20; revised 10-7-19.)
 
2    (20 ILCS 2310/2310-223)
3    Sec. 2310-223. Maternal care.
4    (a) The Department shall establish a classification system
5for the following levels of maternal care:
6        (1) basic care: care of uncomplicated pregnancies with
7    the ability to detect, stabilize, and initiate management
8    of unanticipated maternal-fetal or neonatal problems that
9    occur during the antepartum, intrapartum, or postpartum
10    period until the patient can be transferred to a facility
11    at which specialty maternal care is available;
12        (2) specialty care: basic care plus care of
13    appropriate high-risk antepartum, intrapartum, or
14    postpartum conditions, both directly admitted and
15    transferred to another facility;
16        (3) subspecialty care: specialty care plus care of
17    more complex maternal medical conditions, obstetric
18    complications, and fetal conditions; and
19        (4) regional perinatal health care: subspecialty care
20    plus on-site medical and surgical care of the most complex
21    maternal conditions, critically ill pregnant women, and
22    fetuses throughout antepartum, intrapartum, and postpartum
23    care.
24    (b) The Department shall:
25        (1) introduce uniform designations for levels of

 

 

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1    maternal care that are complimentary but distinct from
2    levels of neonatal care;
3        (2) establish clear, uniform criteria for designation
4    of maternal centers that are integrated with emergency
5    response systems to help ensure that the appropriate
6    personnel, physical space, equipment, and technology are
7    available to achieve optimal outcomes, as well as to
8    facilitate subsequent data collection regarding
9    risk-appropriate care;
10        (3) require each health care facility to have a clear
11    understanding of its capability to handle increasingly
12    complex levels of maternal care, and to have a
13    well-defined threshold for transferring women to health
14    care facilities that offer a higher level of care; to
15    ensure optimal care of all pregnant women, the Department
16    shall require all birth centers, hospitals, and
17    higher-level facilities to collaborate in order to develop
18    and maintain maternal and neonatal transport plans and
19    cooperative agreements capable of managing the health care
20    needs of women who develop complications; the Department
21    shall require that receiving hospitals openly accept
22    transfers;
23        (4) require higher-level facilities to provide
24    training for quality improvement initiatives, educational
25    support, and severe morbidity and mortality case review
26    for lower-level hospitals; the Department shall ensure

 

 

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1    that, in those regions that do not have a facility that
2    qualifies as a regional perinatal health care facility,
3    any specialty care facility in the region will provide the
4    educational and consultation function;
5        (5) require facilities and regional systems to develop
6    methods to track severe maternal morbidity and mortality
7    to assess the efficacy of utilizing maternal levels of
8    care;
9        (6) analyze data collected from all facilities and
10    regional systems in order to inform future updates to the
11    levels of maternal care;
12        (7) require follow-up interdisciplinary work groups to
13    further explore the implementation needs that are
14    necessary to adopt the proposed classification system for
15    levels of maternal care in all facilities that provide
16    maternal care;
17        (8) disseminate data and materials to raise public
18    awareness about the importance of prenatal care and
19    maternal health;
20        (9) engage the Illinois Chapter of the American
21    Academy of Pediatrics in creating a quality improvement
22    initiative to expand efforts of pediatricians conducting
23    postpartum depression screening at well baby visits during
24    the first year of life; and
25        (10) adopt rules in accordance with the Illinois
26    Administrative Procedure Act to implement this subsection.

 

 

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1(Source: P.A. 101-447, eff. 8-23-19.)
 
2    (20 ILCS 2310/2310-455)
3    (Section scheduled to be repealed on January 1, 2022)
4    Sec. 2310-455. Federal funding to support maternal mental
5health.
6    (a) The Department shall investigate and apply for federal
7funding opportunities to support maternal mental health, to
8the extent that programs are financed, in whole, by federal
9funds.
10    (b) The Department shall file a report with the General
11Assembly on or before January 1, 2021 of the Department's
12efforts to secure and utilize the federal funding it receives
13from the requirement specified in subsection (a).
14    (c) This Section is repealed on January 1, 2022.
15(Source: P.A. 101-70, eff. 1-1-20.)
 
16    (20 ILCS 2310/2310-460)
17    Sec. 2310-460 2310-455. Suicide prevention. Subject to
18appropriation, the Department shall implement activities
19associated with the Suicide Prevention, Education, and
20Treatment Act, including, but not limited to, the following:
21        (1) Coordinating suicide prevention, intervention, and
22    postvention programs, services, and efforts statewide.
23        (2) Developing and submitting proposals for funding
24    from federal agencies or other sources of funding to

 

 

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1    promote suicide prevention and coordinate activities.
2        (3) With input from the Illinois Suicide Prevention
3    Alliance, preparing the Illinois Suicide Prevention
4    Strategic Plan required under Section 15 of the Suicide
5    Prevention, Education, and Treatment Act and coordinating
6    the activities necessary to implement the recommendations
7    in that Plan.
8        (4) With input from the Illinois Suicide Prevention
9    Alliance, providing to the Governor and General Assembly
10    the annual report required under Section 13 of the Suicide
11    Prevention, Education, and Treatment Act.
12        (5) Providing technical support for the activities of
13    the Illinois Suicide Prevention Alliance.
14(Source: P.A. 101-331, eff. 8-9-19; revised 9-24-19.)
 
15    (20 ILCS 2310/2310-670)
16    Sec. 2310-670. Breast cancer patient education.
17    (a) The General Assembly makes the following findings:
18        (1) Annually, about 207,090 new cases of breast cancer
19    are diagnosed, according to the American Cancer Society.
20        (2) Breast cancer has a disproportionate and
21    detrimental impact on African-American women and is the
22    most common cancer among Hispanic and Latina women.
23        (3) African-American women under the age of 40 have a
24    greater incidence of breast cancer than Caucasian women of
25    the same age.

 

 

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1        (4) Individuals undergoing surgery for breast cancer
2    should give due consideration to the option of breast
3    reconstructive surgery, either at the same time as the
4    breast cancer surgery or at a later date.
5        (5) According to the American Cancer Society,
6    immediate breast reconstruction offers the advantage of
7    combining the breast cancer surgery with the
8    reconstructive surgery and is cost effective.
9        (6) According to the American Cancer Society, delayed
10    breast reconstruction may be advantageous in women who
11    require post-surgical radiation or other treatments.
12        (7) A woman suffering from the loss of her breast may
13    not be a candidate for surgical breast reconstruction or
14    may choose not to undergo additional surgery and instead
15    choose breast prostheses.
16        (8) The federal Women's Health and Cancer Rights Act
17    of 1998 requires health plans that offer breast cancer
18    coverage to also provide for breast reconstruction.
19        (9) Required coverage for breast reconstruction
20    includes all the necessary stages of reconstruction.
21    Surgery of the opposite breast for symmetry may be
22    required. Breast prostheses may be necessary. Other
23    sequelae of breast cancer treatment, such as lymphedema,
24    must be covered.
25        (10) Several states have enacted laws to require that
26    women receive information on their breast cancer treatment

 

 

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1    and reconstruction options.
2    (b) In this Section:
3        "Hispanic" has the same meaning as in Section 1707 of
4    the federal Public Health Service Services Act.
5        "Racial and ethnic minority group" has the same
6    meaning as in Section 1707 of the federal Public Health
7    Services Act.
8    (c) The Director shall provide for the planning and
9implementation of an education campaign to inform breast
10cancer patients, especially those in racial and ethnic
11minority groups, anticipating surgery regarding the
12availability and coverage of breast reconstruction,
13prostheses, and other options. The campaign shall include the
14dissemination, at a minimum, on relevant State health Internet
15websites, including the Department of Public Health's Internet
16website, of the following information:
17        (1) Breast reconstruction is possible at the time of
18    breast cancer surgery or in a delayed fashion.
19        (2) Prostheses or breast forms may be available.
20        (3) Federal law mandates both public and private
21    health plans to include coverage of breast reconstruction
22    and prostheses.
23        (4) The patient has a right to choose the provider of
24    reconstructive care, including the potential transfer of
25    care to a surgeon that provides breast reconstructive
26    care.

 

 

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1        (5) The patient may opt to undergo breast
2    reconstruction in a delayed fashion for personal reasons
3    or after completion of all other breast cancer treatments.
4    The campaign may include dissemination of such other
5information, whether developed by the Director or by other
6entities, as the Director determines relevant. The campaign
7shall not specify, or be designed to serve as a tool to limit,
8the health care providers available to patients.
9    (d) In developing the information to be disseminated under
10this Section, the Director shall consult with appropriate
11medical societies and patient advocates related to breast
12cancer, patient advocates representing racial and ethnic
13minority groups, with a special emphasis on African-American
14and Hispanic populations' breast reconstructive surgery, and
15breast prostheses and breast forms.
16    (e) Beginning no later than January 1, 2016 (2 years after
17the effective date of Public Act 98-479) and continuing each
18second year thereafter, the Director shall submit to the
19General Assembly a report describing the activities carried
20out under this Section during the preceding 2 fiscal years,
21including evaluating the extent to which the activities have
22been effective in improving the health of racial and ethnic
23minority groups.
24(Source: P.A. 98-479, eff. 1-1-14; 98-756, eff. 7-16-14;
25revised 8-18-20.)
 

 

 

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1    Section 135. The State Police Act is amended by changing
2Section 40 as follows:
 
3    (20 ILCS 2610/40)
4    Sec. 40. Training; administration of epinephrine.
5    (a) This Section, along with Section 10.19 of the Illinois
6Police Training Act, may be referred to as the Annie LeGere
7Law.
8    (b) For the purposes of this Section, "epinephrine
9auto-injector" means a single-use device used for the
10automatic injection of a pre-measured dose of epinephrine into
11the human body prescribed in the name of the Department.
12    (c) The Department may conduct or approve a training
13program for State Police officers to recognize and respond to
14anaphylaxis, including, but not limited to:
15        (1) how to recognize symptoms of an allergic reaction;
16        (2) how to respond to an emergency involving an
17    allergic reaction;
18        (3) how to administer an epinephrine auto-injector;
19        (4) how to respond to an individual with a known
20    allergy as well as an individual with a previously unknown
21    allergy;
22        (5) a test demonstrating competency of the knowledge
23    required to recognize anaphylaxis and administer an
24    epinephrine auto-injector; and
25        (6) other criteria as determined in rules adopted by

 

 

SB2435- 256 -LRB102 04062 AMC 14078 b

1    the Department.
2    (d) The Department may authorize a State Police officer
3who has completed the training program under subsection (c) to
4carry, administer, or assist with the administration of
5epinephrine auto-injectors whenever he or she is performing
6official duties.
7    (e) The Department must establish a written policy to
8control the acquisition, storage, transportation,
9administration, and disposal of epinephrine auto-injectors
10before it allows any State Police officer to carry and
11administer epinephrine auto-injectors.
12    (f) A physician, physician physician's assistant with
13prescriptive authority, or advanced practice registered nurse
14with prescriptive authority may provide a standing protocol or
15prescription for epinephrine auto-injectors in the name of the
16Department to be maintained for use when necessary.
17    (g) When a State Police officer administers an epinephrine
18auto-injector in good faith, the officer and the Department,
19and its employees and agents, including a physician, physician
20physician's assistant with prescriptive authority, or advanced
21practice registered nurse with prescriptive authority who
22provides a standing order or prescription for an epinephrine
23auto-injector, incur no civil or professional liability,
24except for willful and wanton conduct, as a result of any
25injury or death arising from the use of an epinephrine
26auto-injector.

 

 

SB2435- 257 -LRB102 04062 AMC 14078 b

1(Source: P.A. 99-711, eff. 1-1-17; 100-201, eff. 8-18-17;
2100-648, eff. 7-31-18; revised 1-14-20.)
 
3    Section 140. The State Police Radio Act is amended by
4changing Section 5 as follows:
 
5    (20 ILCS 2615/5)  (from Ch. 121, par. 307.25)
6    Sec. 5. Any telegraph or telephone operator who fails to
7give priority to messages or calls as provided in Section
8section 3 of this Act or any person who installs or uses a
9short wavelength wave length radio receiving set in any
10automobile contrary to the provisions in Section section 4 of
11this Act or who wilfully makes any false, misleading, or
12unfounded report to any broadcasting station established under
13this Act act for the purpose of interfering with the operation
14thereof or with the intention of misleading any officer of
15this State, shall be deemed guilty of a Class B misdemeanor.
16(Source: P.A. 77-2241; revised 8-18-20.)
 
17    Section 145. The Criminal Identification Act is amended by
18changing Section 5.2 as follows:
 
19    (20 ILCS 2630/5.2)
20    Sec. 5.2. Expungement, sealing, and immediate sealing.
21    (a) General Provisions.
22        (1) Definitions. In this Act, words and phrases have

 

 

SB2435- 258 -LRB102 04062 AMC 14078 b

1    the meanings set forth in this subsection, except when a
2    particular context clearly requires a different meaning.
3            (A) The following terms shall have the meanings
4        ascribed to them in the Unified Code of Corrections,
5        730 ILCS 5/5-1-2 through 5/5-1-22:
6                (i) Business Offense (730 ILCS 5/5-1-2),
7                (ii) Charge (730 ILCS 5/5-1-3),
8                (iii) Court (730 ILCS 5/5-1-6),
9                (iv) Defendant (730 ILCS 5/5-1-7),
10                (v) Felony (730 ILCS 5/5-1-9),
11                (vi) Imprisonment (730 ILCS 5/5-1-10),
12                (vii) Judgment (730 ILCS 5/5-1-12),
13                (viii) Misdemeanor (730 ILCS 5/5-1-14),
14                (ix) Offense (730 ILCS 5/5-1-15),
15                (x) Parole (730 ILCS 5/5-1-16),
16                (xi) Petty Offense (730 ILCS 5/5-1-17),
17                (xii) Probation (730 ILCS 5/5-1-18),
18                (xiii) Sentence (730 ILCS 5/5-1-19),
19                (xiv) Supervision (730 ILCS 5/5-1-21), and
20                (xv) Victim (730 ILCS 5/5-1-22).
21            (B) As used in this Section, "charge not initiated
22        by arrest" means a charge (as defined by 730 ILCS
23        5/5-1-3) brought against a defendant where the
24        defendant is not arrested prior to or as a direct
25        result of the charge.
26            (C) "Conviction" means a judgment of conviction or

 

 

SB2435- 259 -LRB102 04062 AMC 14078 b

1        sentence entered upon a plea of guilty or upon a
2        verdict or finding of guilty of an offense, rendered
3        by a legally constituted jury or by a court of
4        competent jurisdiction authorized to try the case
5        without a jury. An order of supervision successfully
6        completed by the petitioner is not a conviction. An
7        order of qualified probation (as defined in subsection
8        (a)(1)(J)) successfully completed by the petitioner is
9        not a conviction. An order of supervision or an order
10        of qualified probation that is terminated
11        unsatisfactorily is a conviction, unless the
12        unsatisfactory termination is reversed, vacated, or
13        modified and the judgment of conviction, if any, is
14        reversed or vacated.
15            (D) "Criminal offense" means a petty offense,
16        business offense, misdemeanor, felony, or municipal
17        ordinance violation (as defined in subsection
18        (a)(1)(H)). As used in this Section, a minor traffic
19        offense (as defined in subsection (a)(1)(G)) shall not
20        be considered a criminal offense.
21            (E) "Expunge" means to physically destroy the
22        records or return them to the petitioner and to
23        obliterate the petitioner's name from any official
24        index or public record, or both. Nothing in this Act
25        shall require the physical destruction of the circuit
26        court file, but such records relating to arrests or

 

 

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1        charges, or both, ordered expunged shall be impounded
2        as required by subsections (d)(9)(A)(ii) and
3        (d)(9)(B)(ii).
4            (F) As used in this Section, "last sentence" means
5        the sentence, order of supervision, or order of
6        qualified probation (as defined by subsection
7        (a)(1)(J)), for a criminal offense (as defined by
8        subsection (a)(1)(D)) that terminates last in time in
9        any jurisdiction, regardless of whether the petitioner
10        has included the criminal offense for which the
11        sentence or order of supervision or qualified
12        probation was imposed in his or her petition. If
13        multiple sentences, orders of supervision, or orders
14        of qualified probation terminate on the same day and
15        are last in time, they shall be collectively
16        considered the "last sentence" regardless of whether
17        they were ordered to run concurrently.
18            (G) "Minor traffic offense" means a petty offense,
19        business offense, or Class C misdemeanor under the
20        Illinois Vehicle Code or a similar provision of a
21        municipal or local ordinance.
22            (G-5) "Minor Cannabis Offense" means a violation
23        of Section 4 or 5 of the Cannabis Control Act
24        concerning not more than 30 grams of any substance
25        containing cannabis, provided the violation did not
26        include a penalty enhancement under Section 7 of the

 

 

SB2435- 261 -LRB102 04062 AMC 14078 b

1        Cannabis Control Act and is not associated with an
2        arrest, conviction or other disposition for a violent
3        crime as defined in subsection (c) of Section 3 of the
4        Rights of Crime Victims and Witnesses Act.
5            (H) "Municipal ordinance violation" means an
6        offense defined by a municipal or local ordinance that
7        is criminal in nature and with which the petitioner
8        was charged or for which the petitioner was arrested
9        and released without charging.
10            (I) "Petitioner" means an adult or a minor
11        prosecuted as an adult who has applied for relief
12        under this Section.
13            (J) "Qualified probation" means an order of
14        probation under Section 10 of the Cannabis Control
15        Act, Section 410 of the Illinois Controlled Substances
16        Act, Section 70 of the Methamphetamine Control and
17        Community Protection Act, Section 5-6-3.3 or 5-6-3.4
18        of the Unified Code of Corrections, Section
19        12-4.3(b)(1) and (2) of the Criminal Code of 1961 (as
20        those provisions existed before their deletion by
21        Public Act 89-313), Section 10-102 of the Illinois
22        Alcoholism and Other Drug Dependency Act, Section
23        40-10 of the Substance Use Disorder Act, or Section 10
24        of the Steroid Control Act. For the purpose of this
25        Section, "successful completion" of an order of
26        qualified probation under Section 10-102 of the

 

 

SB2435- 262 -LRB102 04062 AMC 14078 b

1        Illinois Alcoholism and Other Drug Dependency Act and
2        Section 40-10 of the Substance Use Disorder Act means
3        that the probation was terminated satisfactorily and
4        the judgment of conviction was vacated.
5            (K) "Seal" means to physically and electronically
6        maintain the records, unless the records would
7        otherwise be destroyed due to age, but to make the
8        records unavailable without a court order, subject to
9        the exceptions in Sections 12 and 13 of this Act. The
10        petitioner's name shall also be obliterated from the
11        official index required to be kept by the circuit
12        court clerk under Section 16 of the Clerks of Courts
13        Act, but any index issued by the circuit court clerk
14        before the entry of the order to seal shall not be
15        affected.
16            (L) "Sexual offense committed against a minor"
17        includes, but is not limited to, the offenses of
18        indecent solicitation of a child or criminal sexual
19        abuse when the victim of such offense is under 18 years
20        of age.
21            (M) "Terminate" as it relates to a sentence or
22        order of supervision or qualified probation includes
23        either satisfactory or unsatisfactory termination of
24        the sentence, unless otherwise specified in this
25        Section. A sentence is terminated notwithstanding any
26        outstanding financial legal obligation.

 

 

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1        (2) Minor Traffic Offenses. Orders of supervision or
2    convictions for minor traffic offenses shall not affect a
3    petitioner's eligibility to expunge or seal records
4    pursuant to this Section.
5        (2.5) Commencing 180 days after July 29, 2016 (the
6    effective date of Public Act 99-697), the law enforcement
7    agency issuing the citation shall automatically expunge,
8    on or before January 1 and July 1 of each year, the law
9    enforcement records of a person found to have committed a
10    civil law violation of subsection (a) of Section 4 of the
11    Cannabis Control Act or subsection (c) of Section 3.5 of
12    the Drug Paraphernalia Control Act in the law enforcement
13    agency's possession or control and which contains the
14    final satisfactory disposition which pertain to the person
15    issued a citation for that offense. The law enforcement
16    agency shall provide by rule the process for access,
17    review, and to confirm the automatic expungement by the
18    law enforcement agency issuing the citation. Commencing
19    180 days after July 29, 2016 (the effective date of Public
20    Act 99-697), the clerk of the circuit court shall expunge,
21    upon order of the court, or in the absence of a court order
22    on or before January 1 and July 1 of each year, the court
23    records of a person found in the circuit court to have
24    committed a civil law violation of subsection (a) of
25    Section 4 of the Cannabis Control Act or subsection (c) of
26    Section 3.5 of the Drug Paraphernalia Control Act in the

 

 

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1    clerk's possession or control and which contains the final
2    satisfactory disposition which pertain to the person
3    issued a citation for any of those offenses.
4        (3) Exclusions. Except as otherwise provided in
5    subsections (b)(5), (b)(6), (b)(8), (e), (e-5), and (e-6)
6    of this Section, the court shall not order:
7            (A) the sealing or expungement of the records of
8        arrests or charges not initiated by arrest that result
9        in an order of supervision for or conviction of: (i)
10        any sexual offense committed against a minor; (ii)
11        Section 11-501 of the Illinois Vehicle Code or a
12        similar provision of a local ordinance; or (iii)
13        Section 11-503 of the Illinois Vehicle Code or a
14        similar provision of a local ordinance, unless the
15        arrest or charge is for a misdemeanor violation of
16        subsection (a) of Section 11-503 or a similar
17        provision of a local ordinance, that occurred prior to
18        the offender reaching the age of 25 years and the
19        offender has no other conviction for violating Section
20        11-501 or 11-503 of the Illinois Vehicle Code or a
21        similar provision of a local ordinance.
22            (B) the sealing or expungement of records of minor
23        traffic offenses (as defined in subsection (a)(1)(G)),
24        unless the petitioner was arrested and released
25        without charging.
26            (C) the sealing of the records of arrests or

 

 

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1        charges not initiated by arrest which result in an
2        order of supervision or a conviction for the following
3        offenses:
4                (i) offenses included in Article 11 of the
5            Criminal Code of 1961 or the Criminal Code of 2012
6            or a similar provision of a local ordinance,
7            except Section 11-14 and a misdemeanor violation
8            of Section 11-30 of the Criminal Code of 1961 or
9            the Criminal Code of 2012, or a similar provision
10            of a local ordinance;
11                (ii) Section 11-1.50, 12-3.4, 12-15, 12-30,
12            26-5, or 48-1 of the Criminal Code of 1961 or the
13            Criminal Code of 2012, or a similar provision of a
14            local ordinance;
15                (iii) Sections 12-3.1 or 12-3.2 of the
16            Criminal Code of 1961 or the Criminal Code of
17            2012, or Section 125 of the Stalking No Contact
18            Order Act, or Section 219 of the Civil No Contact
19            Order Act, or a similar provision of a local
20            ordinance;
21                (iv) Class A misdemeanors or felony offenses
22            under the Humane Care for Animals Act; or
23                (v) any offense or attempted offense that
24            would subject a person to registration under the
25            Sex Offender Registration Act.
26            (D) (blank).

 

 

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1    (b) Expungement.
2        (1) A petitioner may petition the circuit court to
3    expunge the records of his or her arrests and charges not
4    initiated by arrest when each arrest or charge not
5    initiated by arrest sought to be expunged resulted in: (i)
6    acquittal, dismissal, or the petitioner's release without
7    charging, unless excluded by subsection (a)(3)(B); (ii) a
8    conviction which was vacated or reversed, unless excluded
9    by subsection (a)(3)(B); (iii) an order of supervision and
10    such supervision was successfully completed by the
11    petitioner, unless excluded by subsection (a)(3)(A) or
12    (a)(3)(B); or (iv) an order of qualified probation (as
13    defined in subsection (a)(1)(J)) and such probation was
14    successfully completed by the petitioner.
15        (1.5) When a petitioner seeks to have a record of
16    arrest expunged under this Section, and the offender has
17    been convicted of a criminal offense, the State's Attorney
18    may object to the expungement on the grounds that the
19    records contain specific relevant information aside from
20    the mere fact of the arrest.
21        (2) Time frame for filing a petition to expunge.
22            (A) When the arrest or charge not initiated by
23        arrest sought to be expunged resulted in an acquittal,
24        dismissal, the petitioner's release without charging,
25        or the reversal or vacation of a conviction, there is
26        no waiting period to petition for the expungement of

 

 

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1        such records.
2            (B) When the arrest or charge not initiated by
3        arrest sought to be expunged resulted in an order of
4        supervision, successfully completed by the petitioner,
5        the following time frames will apply:
6                (i) Those arrests or charges that resulted in
7            orders of supervision under Section 3-707, 3-708,
8            3-710, or 5-401.3 of the Illinois Vehicle Code or
9            a similar provision of a local ordinance, or under
10            Section 11-1.50, 12-3.2, or 12-15 of the Criminal
11            Code of 1961 or the Criminal Code of 2012, or a
12            similar provision of a local ordinance, shall not
13            be eligible for expungement until 5 years have
14            passed following the satisfactory termination of
15            the supervision.
16                (i-5) Those arrests or charges that resulted
17            in orders of supervision for a misdemeanor
18            violation of subsection (a) of Section 11-503 of
19            the Illinois Vehicle Code or a similar provision
20            of a local ordinance, that occurred prior to the
21            offender reaching the age of 25 years and the
22            offender has no other conviction for violating
23            Section 11-501 or 11-503 of the Illinois Vehicle
24            Code or a similar provision of a local ordinance
25            shall not be eligible for expungement until the
26            petitioner has reached the age of 25 years.

 

 

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1                (ii) Those arrests or charges that resulted in
2            orders of supervision for any other offenses shall
3            not be eligible for expungement until 2 years have
4            passed following the satisfactory termination of
5            the supervision.
6            (C) When the arrest or charge not initiated by
7        arrest sought to be expunged resulted in an order of
8        qualified probation, successfully completed by the
9        petitioner, such records shall not be eligible for
10        expungement until 5 years have passed following the
11        satisfactory termination of the probation.
12        (3) Those records maintained by the Department for
13    persons arrested prior to their 17th birthday shall be
14    expunged as provided in Section 5-915 of the Juvenile
15    Court Act of 1987.
16        (4) Whenever a person has been arrested for or
17    convicted of any offense, in the name of a person whose
18    identity he or she has stolen or otherwise come into
19    possession of, the aggrieved person from whom the identity
20    was stolen or otherwise obtained without authorization,
21    upon learning of the person having been arrested using his
22    or her identity, may, upon verified petition to the chief
23    judge of the circuit wherein the arrest was made, have a
24    court order entered nunc pro tunc by the Chief Judge to
25    correct the arrest record, conviction record, if any, and
26    all official records of the arresting authority, the

 

 

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1    Department, other criminal justice agencies, the
2    prosecutor, and the trial court concerning such arrest, if
3    any, by removing his or her name from all such records in
4    connection with the arrest and conviction, if any, and by
5    inserting in the records the name of the offender, if
6    known or ascertainable, in lieu of the aggrieved's name.
7    The records of the circuit court clerk shall be sealed
8    until further order of the court upon good cause shown and
9    the name of the aggrieved person obliterated on the
10    official index required to be kept by the circuit court
11    clerk under Section 16 of the Clerks of Courts Act, but the
12    order shall not affect any index issued by the circuit
13    court clerk before the entry of the order. Nothing in this
14    Section shall limit the Department of State Police or
15    other criminal justice agencies or prosecutors from
16    listing under an offender's name the false names he or she
17    has used.
18        (5) Whenever a person has been convicted of criminal
19    sexual assault, aggravated criminal sexual assault,
20    predatory criminal sexual assault of a child, criminal
21    sexual abuse, or aggravated criminal sexual abuse, the
22    victim of that offense may request that the State's
23    Attorney of the county in which the conviction occurred
24    file a verified petition with the presiding trial judge at
25    the petitioner's trial to have a court order entered to
26    seal the records of the circuit court clerk in connection

 

 

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1    with the proceedings of the trial court concerning that
2    offense. However, the records of the arresting authority
3    and the Department of State Police concerning the offense
4    shall not be sealed. The court, upon good cause shown,
5    shall make the records of the circuit court clerk in
6    connection with the proceedings of the trial court
7    concerning the offense available for public inspection.
8        (6) If a conviction has been set aside on direct
9    review or on collateral attack and the court determines by
10    clear and convincing evidence that the petitioner was
11    factually innocent of the charge, the court that finds the
12    petitioner factually innocent of the charge shall enter an
13    expungement order for the conviction for which the
14    petitioner has been determined to be innocent as provided
15    in subsection (b) of Section 5-5-4 of the Unified Code of
16    Corrections.
17        (7) Nothing in this Section shall prevent the
18    Department of State Police from maintaining all records of
19    any person who is admitted to probation upon terms and
20    conditions and who fulfills those terms and conditions
21    pursuant to Section 10 of the Cannabis Control Act,
22    Section 410 of the Illinois Controlled Substances Act,
23    Section 70 of the Methamphetamine Control and Community
24    Protection Act, Section 5-6-3.3 or 5-6-3.4 of the Unified
25    Code of Corrections, Section 12-4.3 or subdivision (b)(1)
26    of Section 12-3.05 of the Criminal Code of 1961 or the

 

 

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1    Criminal Code of 2012, Section 10-102 of the Illinois
2    Alcoholism and Other Drug Dependency Act, Section 40-10 of
3    the Substance Use Disorder Act, or Section 10 of the
4    Steroid Control Act.
5        (8) If the petitioner has been granted a certificate
6    of innocence under Section 2-702 of the Code of Civil
7    Procedure, the court that grants the certificate of
8    innocence shall also enter an order expunging the
9    conviction for which the petitioner has been determined to
10    be innocent as provided in subsection (h) of Section 2-702
11    of the Code of Civil Procedure.
12    (c) Sealing.
13        (1) Applicability. Notwithstanding any other provision
14    of this Act to the contrary, and cumulative with any
15    rights to expungement of criminal records, this subsection
16    authorizes the sealing of criminal records of adults and
17    of minors prosecuted as adults. Subsection (g) of this
18    Section provides for immediate sealing of certain records.
19        (2) Eligible Records. The following records may be
20    sealed:
21            (A) All arrests resulting in release without
22        charging;
23            (B) Arrests or charges not initiated by arrest
24        resulting in acquittal, dismissal, or conviction when
25        the conviction was reversed or vacated, except as
26        excluded by subsection (a)(3)(B);

 

 

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1            (C) Arrests or charges not initiated by arrest
2        resulting in orders of supervision, including orders
3        of supervision for municipal ordinance violations,
4        successfully completed by the petitioner, unless
5        excluded by subsection (a)(3);
6            (D) Arrests or charges not initiated by arrest
7        resulting in convictions, including convictions on
8        municipal ordinance violations, unless excluded by
9        subsection (a)(3);
10            (E) Arrests or charges not initiated by arrest
11        resulting in orders of first offender probation under
12        Section 10 of the Cannabis Control Act, Section 410 of
13        the Illinois Controlled Substances Act, Section 70 of
14        the Methamphetamine Control and Community Protection
15        Act, or Section 5-6-3.3 of the Unified Code of
16        Corrections; and
17            (F) Arrests or charges not initiated by arrest
18        resulting in felony convictions unless otherwise
19        excluded by subsection (a) paragraph (3) of this
20        Section.
21        (3) When Records Are Eligible to Be Sealed. Records
22    identified as eligible under subsection (c)(2) may be
23    sealed as follows:
24            (A) Records identified as eligible under
25        subsection (c)(2)(A) and (c)(2)(B) may be sealed at
26        any time.

 

 

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1            (B) Except as otherwise provided in subparagraph
2        (E) of this paragraph (3), records identified as
3        eligible under subsection (c)(2)(C) may be sealed 2
4        years after the termination of petitioner's last
5        sentence (as defined in subsection (a)(1)(F)).
6            (C) Except as otherwise provided in subparagraph
7        (E) of this paragraph (3), records identified as
8        eligible under subsections (c)(2)(D), (c)(2)(E), and
9        (c)(2)(F) may be sealed 3 years after the termination
10        of the petitioner's last sentence (as defined in
11        subsection (a)(1)(F)). Convictions requiring public
12        registration under the Arsonist Registration Act, the
13        Sex Offender Registration Act, or the Murderer and
14        Violent Offender Against Youth Registration Act may
15        not be sealed until the petitioner is no longer
16        required to register under that relevant Act.
17            (D) Records identified in subsection
18        (a)(3)(A)(iii) may be sealed after the petitioner has
19        reached the age of 25 years.
20            (E) Records identified as eligible under
21        subsections (c)(2)(C), (c)(2)(D), (c)(2)(E), or
22        (c)(2)(F) may be sealed upon termination of the
23        petitioner's last sentence if the petitioner earned a
24        high school diploma, associate's degree, career
25        certificate, vocational technical certification, or
26        bachelor's degree, or passed the high school level

 

 

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1        Test of General Educational Development, during the
2        period of his or her sentence or mandatory supervised
3        release. This subparagraph shall apply only to a
4        petitioner who has not completed the same educational
5        goal prior to the period of his or her sentence or
6        mandatory supervised release. If a petition for
7        sealing eligible records filed under this subparagraph
8        is denied by the court, the time periods under
9        subparagraph (B) or (C) shall apply to any subsequent
10        petition for sealing filed by the petitioner.
11        (4) Subsequent felony convictions. A person may not
12    have subsequent felony conviction records sealed as
13    provided in this subsection (c) if he or she is convicted
14    of any felony offense after the date of the sealing of
15    prior felony convictions as provided in this subsection
16    (c). The court may, upon conviction for a subsequent
17    felony offense, order the unsealing of prior felony
18    conviction records previously ordered sealed by the court.
19        (5) Notice of eligibility for sealing. Upon entry of a
20    disposition for an eligible record under this subsection
21    (c), the petitioner shall be informed by the court of the
22    right to have the records sealed and the procedures for
23    the sealing of the records.
24    (d) Procedure. The following procedures apply to
25expungement under subsections (b), (e), and (e-6) and sealing
26under subsections (c) and (e-5):

 

 

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1        (1) Filing the petition. Upon becoming eligible to
2    petition for the expungement or sealing of records under
3    this Section, the petitioner shall file a petition
4    requesting the expungement or sealing of records with the
5    clerk of the court where the arrests occurred or the
6    charges were brought, or both. If arrests occurred or
7    charges were brought in multiple jurisdictions, a petition
8    must be filed in each such jurisdiction. The petitioner
9    shall pay the applicable fee, except no fee shall be
10    required if the petitioner has obtained a court order
11    waiving fees under Supreme Court Rule 298 or it is
12    otherwise waived.
13        (1.5) County fee waiver pilot program. From August 9,
14    2019 (the effective date of Public Act 101-306) through
15    December 31, 2020, in a county of 3,000,000 or more
16    inhabitants, no fee shall be required to be paid by a
17    petitioner if the records sought to be expunged or sealed
18    were arrests resulting in release without charging or
19    arrests or charges not initiated by arrest resulting in
20    acquittal, dismissal, or conviction when the conviction
21    was reversed or vacated, unless excluded by subsection
22    (a)(3)(B). The provisions of this paragraph (1.5), other
23    than this sentence, are inoperative on and after January
24    1, 2022.
25        (2) Contents of petition. The petition shall be
26    verified and shall contain the petitioner's name, date of

 

 

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1    birth, current address and, for each arrest or charge not
2    initiated by arrest sought to be sealed or expunged, the
3    case number, the date of arrest (if any), the identity of
4    the arresting authority, and such other information as the
5    court may require. During the pendency of the proceeding,
6    the petitioner shall promptly notify the circuit court
7    clerk of any change of his or her address. If the
8    petitioner has received a certificate of eligibility for
9    sealing from the Prisoner Review Board under paragraph
10    (10) of subsection (a) of Section 3-3-2 of the Unified
11    Code of Corrections, the certificate shall be attached to
12    the petition.
13        (3) Drug test. The petitioner must attach to the
14    petition proof that the petitioner has passed a test taken
15    within 30 days before the filing of the petition showing
16    the absence within his or her body of all illegal
17    substances as defined by the Illinois Controlled
18    Substances Act, the Methamphetamine Control and Community
19    Protection Act, and the Cannabis Control Act if he or she
20    is petitioning to:
21            (A) seal felony records under clause (c)(2)(E);
22            (B) seal felony records for a violation of the
23        Illinois Controlled Substances Act, the
24        Methamphetamine Control and Community Protection Act,
25        or the Cannabis Control Act under clause (c)(2)(F);
26            (C) seal felony records under subsection (e-5); or

 

 

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1            (D) expunge felony records of a qualified
2        probation under clause (b)(1)(iv).
3        (4) Service of petition. The circuit court clerk shall
4    promptly serve a copy of the petition and documentation to
5    support the petition under subsection (e-5) or (e-6) on
6    the State's Attorney or prosecutor charged with the duty
7    of prosecuting the offense, the Department of State
8    Police, the arresting agency and the chief legal officer
9    of the unit of local government effecting the arrest.
10        (5) Objections.
11            (A) Any party entitled to notice of the petition
12        may file an objection to the petition. All objections
13        shall be in writing, shall be filed with the circuit
14        court clerk, and shall state with specificity the
15        basis of the objection. Whenever a person who has been
16        convicted of an offense is granted a pardon by the
17        Governor which specifically authorizes expungement, an
18        objection to the petition may not be filed.
19            (B) Objections to a petition to expunge or seal
20        must be filed within 60 days of the date of service of
21        the petition.
22        (6) Entry of order.
23            (A) The Chief Judge of the circuit wherein the
24        charge was brought, any judge of that circuit
25        designated by the Chief Judge, or in counties of less
26        than 3,000,000 inhabitants, the presiding trial judge

 

 

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1        at the petitioner's trial, if any, shall rule on the
2        petition to expunge or seal as set forth in this
3        subsection (d)(6).
4            (B) Unless the State's Attorney or prosecutor, the
5        Department of State Police, the arresting agency, or
6        the chief legal officer files an objection to the
7        petition to expunge or seal within 60 days from the
8        date of service of the petition, the court shall enter
9        an order granting or denying the petition.
10            (C) Notwithstanding any other provision of law,
11        the court shall not deny a petition for sealing under
12        this Section because the petitioner has not satisfied
13        an outstanding legal financial obligation established,
14        imposed, or originated by a court, law enforcement
15        agency, or a municipal, State, county, or other unit
16        of local government, including, but not limited to,
17        any cost, assessment, fine, or fee. An outstanding
18        legal financial obligation does not include any court
19        ordered restitution to a victim under Section 5-5-6 of
20        the Unified Code of Corrections, unless the
21        restitution has been converted to a civil judgment.
22        Nothing in this subparagraph (C) waives, rescinds, or
23        abrogates a legal financial obligation or otherwise
24        eliminates or affects the right of the holder of any
25        financial obligation to pursue collection under
26        applicable federal, State, or local law.

 

 

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1        (7) Hearings. If an objection is filed, the court
2    shall set a date for a hearing and notify the petitioner
3    and all parties entitled to notice of the petition of the
4    hearing date at least 30 days prior to the hearing. Prior
5    to the hearing, the State's Attorney shall consult with
6    the Department as to the appropriateness of the relief
7    sought in the petition to expunge or seal. At the hearing,
8    the court shall hear evidence on whether the petition
9    should or should not be granted, and shall grant or deny
10    the petition to expunge or seal the records based on the
11    evidence presented at the hearing. The court may consider
12    the following:
13            (A) the strength of the evidence supporting the
14        defendant's conviction;
15            (B) the reasons for retention of the conviction
16        records by the State;
17            (C) the petitioner's age, criminal record history,
18        and employment history;
19            (D) the period of time between the petitioner's
20        arrest on the charge resulting in the conviction and
21        the filing of the petition under this Section; and
22            (E) the specific adverse consequences the
23        petitioner may be subject to if the petition is
24        denied.
25        (8) Service of order. After entering an order to
26    expunge or seal records, the court must provide copies of

 

 

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1    the order to the Department, in a form and manner
2    prescribed by the Department, to the petitioner, to the
3    State's Attorney or prosecutor charged with the duty of
4    prosecuting the offense, to the arresting agency, to the
5    chief legal officer of the unit of local government
6    effecting the arrest, and to such other criminal justice
7    agencies as may be ordered by the court.
8        (9) Implementation of order.
9            (A) Upon entry of an order to expunge records
10        pursuant to (b)(2)(A) or (b)(2)(B)(ii), or both:
11                (i) the records shall be expunged (as defined
12            in subsection (a)(1)(E)) by the arresting agency,
13            the Department, and any other agency as ordered by
14            the court, within 60 days of the date of service of
15            the order, unless a motion to vacate, modify, or
16            reconsider the order is filed pursuant to
17            paragraph (12) of subsection (d) of this Section;
18                (ii) the records of the circuit court clerk
19            shall be impounded until further order of the
20            court upon good cause shown and the name of the
21            petitioner obliterated on the official index
22            required to be kept by the circuit court clerk
23            under Section 16 of the Clerks of Courts Act, but
24            the order shall not affect any index issued by the
25            circuit court clerk before the entry of the order;
26            and

 

 

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1                (iii) in response to an inquiry for expunged
2            records, the court, the Department, or the agency
3            receiving such inquiry, shall reply as it does in
4            response to inquiries when no records ever
5            existed.
6            (B) Upon entry of an order to expunge records
7        pursuant to (b)(2)(B)(i) or (b)(2)(C), or both:
8                (i) the records shall be expunged (as defined
9            in subsection (a)(1)(E)) by the arresting agency
10            and any other agency as ordered by the court,
11            within 60 days of the date of service of the order,
12            unless a motion to vacate, modify, or reconsider
13            the order is filed pursuant to paragraph (12) of
14            subsection (d) of this Section;
15                (ii) the records of the circuit court clerk
16            shall be impounded until further order of the
17            court upon good cause shown and the name of the
18            petitioner obliterated on the official index
19            required to be kept by the circuit court clerk
20            under Section 16 of the Clerks of Courts Act, but
21            the order shall not affect any index issued by the
22            circuit court clerk before the entry of the order;
23                (iii) the records shall be impounded by the
24            Department within 60 days of the date of service
25            of the order as ordered by the court, unless a
26            motion to vacate, modify, or reconsider the order

 

 

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1            is filed pursuant to paragraph (12) of subsection
2            (d) of this Section;
3                (iv) records impounded by the Department may
4            be disseminated by the Department only as required
5            by law or to the arresting authority, the State's
6            Attorney, and the court upon a later arrest for
7            the same or a similar offense or for the purpose of
8            sentencing for any subsequent felony, and to the
9            Department of Corrections upon conviction for any
10            offense; and
11                (v) in response to an inquiry for such records
12            from anyone not authorized by law to access such
13            records, the court, the Department, or the agency
14            receiving such inquiry shall reply as it does in
15            response to inquiries when no records ever
16            existed.
17            (B-5) Upon entry of an order to expunge records
18        under subsection (e-6):
19                (i) the records shall be expunged (as defined
20            in subsection (a)(1)(E)) by the arresting agency
21            and any other agency as ordered by the court,
22            within 60 days of the date of service of the order,
23            unless a motion to vacate, modify, or reconsider
24            the order is filed under paragraph (12) of
25            subsection (d) of this Section;
26                (ii) the records of the circuit court clerk

 

 

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1            shall be impounded until further order of the
2            court upon good cause shown and the name of the
3            petitioner obliterated on the official index
4            required to be kept by the circuit court clerk
5            under Section 16 of the Clerks of Courts Act, but
6            the order shall not affect any index issued by the
7            circuit court clerk before the entry of the order;
8                (iii) the records shall be impounded by the
9            Department within 60 days of the date of service
10            of the order as ordered by the court, unless a
11            motion to vacate, modify, or reconsider the order
12            is filed under paragraph (12) of subsection (d) of
13            this Section;
14                (iv) records impounded by the Department may
15            be disseminated by the Department only as required
16            by law or to the arresting authority, the State's
17            Attorney, and the court upon a later arrest for
18            the same or a similar offense or for the purpose of
19            sentencing for any subsequent felony, and to the
20            Department of Corrections upon conviction for any
21            offense; and
22                (v) in response to an inquiry for these
23            records from anyone not authorized by law to
24            access the records, the court, the Department, or
25            the agency receiving the inquiry shall reply as it
26            does in response to inquiries when no records ever

 

 

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1            existed.
2            (C) Upon entry of an order to seal records under
3        subsection (c), the arresting agency, any other agency
4        as ordered by the court, the Department, and the court
5        shall seal the records (as defined in subsection
6        (a)(1)(K)). In response to an inquiry for such
7        records, from anyone not authorized by law to access
8        such records, the court, the Department, or the agency
9        receiving such inquiry shall reply as it does in
10        response to inquiries when no records ever existed.
11            (D) The Department shall send written notice to
12        the petitioner of its compliance with each order to
13        expunge or seal records within 60 days of the date of
14        service of that order or, if a motion to vacate,
15        modify, or reconsider is filed, within 60 days of
16        service of the order resolving the motion, if that
17        order requires the Department to expunge or seal
18        records. In the event of an appeal from the circuit
19        court order, the Department shall send written notice
20        to the petitioner of its compliance with an Appellate
21        Court or Supreme Court judgment to expunge or seal
22        records within 60 days of the issuance of the court's
23        mandate. The notice is not required while any motion
24        to vacate, modify, or reconsider, or any appeal or
25        petition for discretionary appellate review, is
26        pending.

 

 

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1            (E) Upon motion, the court may order that a sealed
2        judgment or other court record necessary to
3        demonstrate the amount of any legal financial
4        obligation due and owing be made available for the
5        limited purpose of collecting any legal financial
6        obligations owed by the petitioner that were
7        established, imposed, or originated in the criminal
8        proceeding for which those records have been sealed.
9        The records made available under this subparagraph (E)
10        shall not be entered into the official index required
11        to be kept by the circuit court clerk under Section 16
12        of the Clerks of Courts Act and shall be immediately
13        re-impounded upon the collection of the outstanding
14        financial obligations.
15            (F) Notwithstanding any other provision of this
16        Section, a circuit court clerk may access a sealed
17        record for the limited purpose of collecting payment
18        for any legal financial obligations that were
19        established, imposed, or originated in the criminal
20        proceedings for which those records have been sealed.
21        (10) Fees. The Department may charge the petitioner a
22    fee equivalent to the cost of processing any order to
23    expunge or seal records. Notwithstanding any provision of
24    the Clerks of Courts Act to the contrary, the circuit
25    court clerk may charge a fee equivalent to the cost
26    associated with the sealing or expungement of records by

 

 

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1    the circuit court clerk. From the total filing fee
2    collected for the petition to seal or expunge, the circuit
3    court clerk shall deposit $10 into the Circuit Court Clerk
4    Operation and Administrative Fund, to be used to offset
5    the costs incurred by the circuit court clerk in
6    performing the additional duties required to serve the
7    petition to seal or expunge on all parties. The circuit
8    court clerk shall collect and forward the Department of
9    State Police portion of the fee to the Department and it
10    shall be deposited in the State Police Services Fund. If
11    the record brought under an expungement petition was
12    previously sealed under this Section, the fee for the
13    expungement petition for that same record shall be waived.
14        (11) Final Order. No court order issued under the
15    expungement or sealing provisions of this Section shall
16    become final for purposes of appeal until 30 days after
17    service of the order on the petitioner and all parties
18    entitled to notice of the petition.
19        (12) Motion to Vacate, Modify, or Reconsider. Under
20    Section 2-1203 of the Code of Civil Procedure, the
21    petitioner or any party entitled to notice may file a
22    motion to vacate, modify, or reconsider the order granting
23    or denying the petition to expunge or seal within 60 days
24    of service of the order. If filed more than 60 days after
25    service of the order, a petition to vacate, modify, or
26    reconsider shall comply with subsection (c) of Section

 

 

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1    2-1401 of the Code of Civil Procedure. Upon filing of a
2    motion to vacate, modify, or reconsider, notice of the
3    motion shall be served upon the petitioner and all parties
4    entitled to notice of the petition.
5        (13) Effect of Order. An order granting a petition
6    under the expungement or sealing provisions of this
7    Section shall not be considered void because it fails to
8    comply with the provisions of this Section or because of
9    any error asserted in a motion to vacate, modify, or
10    reconsider. The circuit court retains jurisdiction to
11    determine whether the order is voidable and to vacate,
12    modify, or reconsider its terms based on a motion filed
13    under paragraph (12) of this subsection (d).
14        (14) Compliance with Order Granting Petition to Seal
15    Records. Unless a court has entered a stay of an order
16    granting a petition to seal, all parties entitled to
17    notice of the petition must fully comply with the terms of
18    the order within 60 days of service of the order even if a
19    party is seeking relief from the order through a motion
20    filed under paragraph (12) of this subsection (d) or is
21    appealing the order.
22        (15) Compliance with Order Granting Petition to
23    Expunge Records. While a party is seeking relief from the
24    order granting the petition to expunge through a motion
25    filed under paragraph (12) of this subsection (d) or is
26    appealing the order, and unless a court has entered a stay

 

 

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1    of that order, the parties entitled to notice of the
2    petition must seal, but need not expunge, the records
3    until there is a final order on the motion for relief or,
4    in the case of an appeal, the issuance of that court's
5    mandate.
6        (16) The changes to this subsection (d) made by Public
7    Act 98-163 apply to all petitions pending on August 5,
8    2013 (the effective date of Public Act 98-163) and to all
9    orders ruling on a petition to expunge or seal on or after
10    August 5, 2013 (the effective date of Public Act 98-163).
11    (e) Whenever a person who has been convicted of an offense
12is granted a pardon by the Governor which specifically
13authorizes expungement, he or she may, upon verified petition
14to the Chief Judge of the circuit where the person had been
15convicted, any judge of the circuit designated by the Chief
16Judge, or in counties of less than 3,000,000 inhabitants, the
17presiding trial judge at the defendant's trial, have a court
18order entered expunging the record of arrest from the official
19records of the arresting authority and order that the records
20of the circuit court clerk and the Department be sealed until
21further order of the court upon good cause shown or as
22otherwise provided herein, and the name of the defendant
23obliterated from the official index requested to be kept by
24the circuit court clerk under Section 16 of the Clerks of
25Courts Act in connection with the arrest and conviction for
26the offense for which he or she had been pardoned but the order

 

 

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1shall not affect any index issued by the circuit court clerk
2before the entry of the order. All records sealed by the
3Department may be disseminated by the Department only to the
4arresting authority, the State's Attorney, and the court upon
5a later arrest for the same or similar offense or for the
6purpose of sentencing for any subsequent felony. Upon
7conviction for any subsequent offense, the Department of
8Corrections shall have access to all sealed records of the
9Department pertaining to that individual. Upon entry of the
10order of expungement, the circuit court clerk shall promptly
11mail a copy of the order to the person who was pardoned.
12    (e-5) Whenever a person who has been convicted of an
13offense is granted a certificate of eligibility for sealing by
14the Prisoner Review Board which specifically authorizes
15sealing, he or she may, upon verified petition to the Chief
16Judge of the circuit where the person had been convicted, any
17judge of the circuit designated by the Chief Judge, or in
18counties of less than 3,000,000 inhabitants, the presiding
19trial judge at the petitioner's trial, have a court order
20entered sealing the record of arrest from the official records
21of the arresting authority and order that the records of the
22circuit court clerk and the Department be sealed until further
23order of the court upon good cause shown or as otherwise
24provided herein, and the name of the petitioner obliterated
25from the official index requested to be kept by the circuit
26court clerk under Section 16 of the Clerks of Courts Act in

 

 

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1connection with the arrest and conviction for the offense for
2which he or she had been granted the certificate but the order
3shall not affect any index issued by the circuit court clerk
4before the entry of the order. All records sealed by the
5Department may be disseminated by the Department only as
6required by this Act or to the arresting authority, a law
7enforcement agency, the State's Attorney, and the court upon a
8later arrest for the same or similar offense or for the purpose
9of sentencing for any subsequent felony. Upon conviction for
10any subsequent offense, the Department of Corrections shall
11have access to all sealed records of the Department pertaining
12to that individual. Upon entry of the order of sealing, the
13circuit court clerk shall promptly mail a copy of the order to
14the person who was granted the certificate of eligibility for
15sealing.
16    (e-6) Whenever a person who has been convicted of an
17offense is granted a certificate of eligibility for
18expungement by the Prisoner Review Board which specifically
19authorizes expungement, he or she may, upon verified petition
20to the Chief Judge of the circuit where the person had been
21convicted, any judge of the circuit designated by the Chief
22Judge, or in counties of less than 3,000,000 inhabitants, the
23presiding trial judge at the petitioner's trial, have a court
24order entered expunging the record of arrest from the official
25records of the arresting authority and order that the records
26of the circuit court clerk and the Department be sealed until

 

 

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1further order of the court upon good cause shown or as
2otherwise provided herein, and the name of the petitioner
3obliterated from the official index requested to be kept by
4the circuit court clerk under Section 16 of the Clerks of
5Courts Act in connection with the arrest and conviction for
6the offense for which he or she had been granted the
7certificate but the order shall not affect any index issued by
8the circuit court clerk before the entry of the order. All
9records sealed by the Department may be disseminated by the
10Department only as required by this Act or to the arresting
11authority, a law enforcement agency, the State's Attorney, and
12the court upon a later arrest for the same or similar offense
13or for the purpose of sentencing for any subsequent felony.
14Upon conviction for any subsequent offense, the Department of
15Corrections shall have access to all expunged records of the
16Department pertaining to that individual. Upon entry of the
17order of expungement, the circuit court clerk shall promptly
18mail a copy of the order to the person who was granted the
19certificate of eligibility for expungement.
20    (f) Subject to available funding, the Illinois Department
21of Corrections shall conduct a study of the impact of sealing,
22especially on employment and recidivism rates, utilizing a
23random sample of those who apply for the sealing of their
24criminal records under Public Act 93-211. At the request of
25the Illinois Department of Corrections, records of the
26Illinois Department of Employment Security shall be utilized

 

 

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1as appropriate to assist in the study. The study shall not
2disclose any data in a manner that would allow the
3identification of any particular individual or employing unit.
4The study shall be made available to the General Assembly no
5later than September 1, 2010.
6    (g) Immediate Sealing.
7        (1) Applicability. Notwithstanding any other provision
8    of this Act to the contrary, and cumulative with any
9    rights to expungement or sealing of criminal records, this
10    subsection authorizes the immediate sealing of criminal
11    records of adults and of minors prosecuted as adults.
12        (2) Eligible Records. Arrests or charges not initiated
13    by arrest resulting in acquittal or dismissal with
14    prejudice, except as excluded by subsection (a)(3)(B),
15    that occur on or after January 1, 2018 (the effective date
16    of Public Act 100-282), may be sealed immediately if the
17    petition is filed with the circuit court clerk on the same
18    day and during the same hearing in which the case is
19    disposed.
20        (3) When Records are Eligible to be Immediately
21    Sealed. Eligible records under paragraph (2) of this
22    subsection (g) may be sealed immediately after entry of
23    the final disposition of a case, notwithstanding the
24    disposition of other charges in the same case.
25        (4) Notice of Eligibility for Immediate Sealing. Upon
26    entry of a disposition for an eligible record under this

 

 

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1    subsection (g), the defendant shall be informed by the
2    court of his or her right to have eligible records
3    immediately sealed and the procedure for the immediate
4    sealing of these records.
5        (5) Procedure. The following procedures apply to
6    immediate sealing under this subsection (g).
7            (A) Filing the Petition. Upon entry of the final
8        disposition of the case, the defendant's attorney may
9        immediately petition the court, on behalf of the
10        defendant, for immediate sealing of eligible records
11        under paragraph (2) of this subsection (g) that are
12        entered on or after January 1, 2018 (the effective
13        date of Public Act 100-282). The immediate sealing
14        petition may be filed with the circuit court clerk
15        during the hearing in which the final disposition of
16        the case is entered. If the defendant's attorney does
17        not file the petition for immediate sealing during the
18        hearing, the defendant may file a petition for sealing
19        at any time as authorized under subsection (c)(3)(A).
20            (B) Contents of Petition. The immediate sealing
21        petition shall be verified and shall contain the
22        petitioner's name, date of birth, current address, and
23        for each eligible record, the case number, the date of
24        arrest if applicable, the identity of the arresting
25        authority if applicable, and other information as the
26        court may require.

 

 

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1            (C) Drug Test. The petitioner shall not be
2        required to attach proof that he or she has passed a
3        drug test.
4            (D) Service of Petition. A copy of the petition
5        shall be served on the State's Attorney in open court.
6        The petitioner shall not be required to serve a copy of
7        the petition on any other agency.
8            (E) Entry of Order. The presiding trial judge
9        shall enter an order granting or denying the petition
10        for immediate sealing during the hearing in which it
11        is filed. Petitions for immediate sealing shall be
12        ruled on in the same hearing in which the final
13        disposition of the case is entered.
14            (F) Hearings. The court shall hear the petition
15        for immediate sealing on the same day and during the
16        same hearing in which the disposition is rendered.
17            (G) Service of Order. An order to immediately seal
18        eligible records shall be served in conformance with
19        subsection (d)(8).
20            (H) Implementation of Order. An order to
21        immediately seal records shall be implemented in
22        conformance with subsections (d)(9)(C) and (d)(9)(D).
23            (I) Fees. The fee imposed by the circuit court
24        clerk and the Department of State Police shall comply
25        with paragraph (1) of subsection (d) of this Section.
26            (J) Final Order. No court order issued under this

 

 

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1        subsection (g) shall become final for purposes of
2        appeal until 30 days after service of the order on the
3        petitioner and all parties entitled to service of the
4        order in conformance with subsection (d)(8).
5            (K) Motion to Vacate, Modify, or Reconsider. Under
6        Section 2-1203 of the Code of Civil Procedure, the
7        petitioner, State's Attorney, or the Department of
8        State Police may file a motion to vacate, modify, or
9        reconsider the order denying the petition to
10        immediately seal within 60 days of service of the
11        order. If filed more than 60 days after service of the
12        order, a petition to vacate, modify, or reconsider
13        shall comply with subsection (c) of Section 2-1401 of
14        the Code of Civil Procedure.
15            (L) Effect of Order. An order granting an
16        immediate sealing petition shall not be considered
17        void because it fails to comply with the provisions of
18        this Section or because of an error asserted in a
19        motion to vacate, modify, or reconsider. The circuit
20        court retains jurisdiction to determine whether the
21        order is voidable, and to vacate, modify, or
22        reconsider its terms based on a motion filed under
23        subparagraph (L) of this subsection (g).
24            (M) Compliance with Order Granting Petition to
25        Seal Records. Unless a court has entered a stay of an
26        order granting a petition to immediately seal, all

 

 

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1        parties entitled to service of the order must fully
2        comply with the terms of the order within 60 days of
3        service of the order.
4    (h) Sealing; trafficking victims.
5        (1) A trafficking victim as defined by paragraph (10)
6    of subsection (a) of Section 10-9 of the Criminal Code of
7    2012 shall be eligible to petition for immediate sealing
8    of his or her criminal record upon the completion of his or
9    her last sentence if his or her participation in the
10    underlying offense was a direct result of human
11    trafficking under Section 10-9 of the Criminal Code of
12    2012 or a severe form of trafficking under the federal
13    Trafficking Victims Protection Act.
14        (2) A petitioner under this subsection (h), in
15    addition to the requirements provided under paragraph (4)
16    of subsection (d) of this Section, shall include in his or
17    her petition a clear and concise statement that: (A) he or
18    she was a victim of human trafficking at the time of the
19    offense; and (B) that his or her participation in the
20    offense was a direct result of human trafficking under
21    Section 10-9 of the Criminal Code of 2012 or a severe form
22    of trafficking under the federal Trafficking Victims
23    Protection Act.
24        (3) If an objection is filed alleging that the
25    petitioner is not entitled to immediate sealing under this
26    subsection (h), the court shall conduct a hearing under

 

 

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1    paragraph (7) of subsection (d) of this Section and the
2    court shall determine whether the petitioner is entitled
3    to immediate sealing under this subsection (h). A
4    petitioner is eligible for immediate relief under this
5    subsection (h) if he or she shows, by a preponderance of
6    the evidence, that: (A) he or she was a victim of human
7    trafficking at the time of the offense; and (B) that his or
8    her participation in the offense was a direct result of
9    human trafficking under Section 10-9 of the Criminal Code
10    of 2012 or a severe form of trafficking under the federal
11    Trafficking Victims Protection Act.
12    (i) Minor Cannabis Offenses under the Cannabis Control
13Act.
14        (1) Expungement of Arrest Records of Minor Cannabis
15    Offenses.
16            (A) The Department of State Police and all law
17        enforcement agencies within the State shall
18        automatically expunge all criminal history records of
19        an arrest, charge not initiated by arrest, order of
20        supervision, or order of qualified probation for a
21        Minor Cannabis Offense committed prior to June 25,
22        2019 (the effective date of Public Act 101-27) if:
23                (i) One year or more has elapsed since the
24            date of the arrest or law enforcement interaction
25            documented in the records; and
26                (ii) No criminal charges were filed relating

 

 

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1            to the arrest or law enforcement interaction or
2            criminal charges were filed and subsequently
3            dismissed or vacated or the arrestee was
4            acquitted.
5            (B) If the law enforcement agency is unable to
6        verify satisfaction of condition (ii) in paragraph
7        (A), records that satisfy condition (i) in paragraph
8        (A) shall be automatically expunged.
9            (C) Records shall be expunged by the law
10        enforcement agency under the following timelines:
11                (i) Records created prior to June 25, 2019
12            (the effective date of Public Act 101-27), but on
13            or after January 1, 2013, shall be automatically
14            expunged prior to January 1, 2021;
15                (ii) Records created prior to January 1, 2013,
16            but on or after January 1, 2000, shall be
17            automatically expunged prior to January 1, 2023;
18                (iii) Records created prior to January 1, 2000
19            shall be automatically expunged prior to January
20            1, 2025.
21            In response to an inquiry for expunged records,
22        the law enforcement agency receiving such inquiry
23        shall reply as it does in response to inquiries when no
24        records ever existed; however, it shall provide a
25        certificate of disposition or confirmation that the
26        record was expunged to the individual whose record was

 

 

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1        expunged if such a record exists.
2            (D) Nothing in this Section shall be construed to
3        restrict or modify an individual's right to have that
4        individual's records expunged except as otherwise may
5        be provided in this Act, or diminish or abrogate any
6        rights or remedies otherwise available to the
7        individual.
8        (2) Pardons Authorizing Expungement of Minor Cannabis
9    Offenses.
10            (A) Upon June 25, 2019 (the effective date of
11        Public Act 101-27), the Department of State Police
12        shall review all criminal history record information
13        and identify all records that meet all of the
14        following criteria:
15                (i) one or more convictions for a Minor
16            Cannabis Offense;
17                (ii) the conviction identified in paragraph
18            (2)(A)(i) did not include a penalty enhancement
19            under Section 7 of the Cannabis Control Act; and
20                (iii) the conviction identified in paragraph
21            (2)(A)(i) is not associated with a conviction for
22            a violent crime as defined in subsection (c) of
23            Section 3 of the Rights of Crime Victims and
24            Witnesses Act.
25            (B) Within 180 days after June 25, 2019 (the
26        effective date of Public Act 101-27), the Department

 

 

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1        of State Police shall notify the Prisoner Review Board
2        of all such records that meet the criteria established
3        in paragraph (2)(A).
4                (i) The Prisoner Review Board shall notify the
5            State's Attorney of the county of conviction of
6            each record identified by State Police in
7            paragraph (2)(A) that is classified as a Class 4
8            felony. The State's Attorney may provide a written
9            objection to the Prisoner Review Board on the sole
10            basis that the record identified does not meet the
11            criteria established in paragraph (2)(A). Such an
12            objection must be filed within 60 days or by such
13            later date set by the Prisoner Review Board in the
14            notice after the State's Attorney received notice
15            from the Prisoner Review Board.
16                (ii) In response to a written objection from a
17            State's Attorney, the Prisoner Review Board is
18            authorized to conduct a non-public hearing to
19            evaluate the information provided in the
20            objection.
21                (iii) The Prisoner Review Board shall make a
22            confidential and privileged recommendation to the
23            Governor as to whether to grant a pardon
24            authorizing expungement for each of the records
25            identified by the Department of State Police as
26            described in paragraph (2)(A).

 

 

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1            (C) If an individual has been granted a pardon
2        authorizing expungement as described in this Section,
3        the Prisoner Review Board, through the Attorney
4        General, shall file a petition for expungement with
5        the Chief Judge of the circuit or any judge of the
6        circuit designated by the Chief Judge where the
7        individual had been convicted. Such petition may
8        include more than one individual. Whenever an
9        individual who has been convicted of an offense is
10        granted a pardon by the Governor that specifically
11        authorizes expungement, an objection to the petition
12        may not be filed. Petitions to expunge under this
13        subsection (i) may include more than one individual.
14        Within 90 days of the filing of such a petition, the
15        court shall enter an order expunging the records of
16        arrest from the official records of the arresting
17        authority and order that the records of the circuit
18        court clerk and the Department of State Police be
19        expunged and the name of the defendant obliterated
20        from the official index requested to be kept by the
21        circuit court clerk under Section 16 of the Clerks of
22        Courts Act in connection with the arrest and
23        conviction for the offense for which the individual
24        had received a pardon but the order shall not affect
25        any index issued by the circuit court clerk before the
26        entry of the order. Upon entry of the order of

 

 

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1        expungement, the circuit court clerk shall promptly
2        provide a copy of the order and a certificate of
3        disposition to the individual who was pardoned to the
4        individual's last known address or by electronic means
5        (if available) or otherwise make it available to the
6        individual upon request.
7            (D) Nothing in this Section is intended to
8        diminish or abrogate any rights or remedies otherwise
9        available to the individual.
10        (3) Any individual may file a motion to vacate and
11    expunge a conviction for a misdemeanor or Class 4 felony
12    violation of Section 4 or Section 5 of the Cannabis
13    Control Act. Motions to vacate and expunge under this
14    subsection (i) may be filed with the circuit court, Chief
15    Judge of a judicial circuit or any judge of the circuit
16    designated by the Chief Judge. The circuit court clerk
17    shall promptly serve a copy of the motion to vacate and
18    expunge, and any supporting documentation, on the State's
19    Attorney or prosecutor charged with the duty of
20    prosecuting the offense. When considering such a motion to
21    vacate and expunge, a court shall consider the following:
22    the reasons to retain the records provided by law
23    enforcement, the petitioner's age, the petitioner's age at
24    the time of offense, the time since the conviction, and
25    the specific adverse consequences if denied. An individual
26    may file such a petition after the completion of any

 

 

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1    non-financial sentence or non-financial condition imposed
2    by the conviction. Within 60 days of the filing of such
3    motion, a State's Attorney may file an objection to such a
4    petition along with supporting evidence. If a motion to
5    vacate and expunge is granted, the records shall be
6    expunged in accordance with subparagraphs (d)(8) and
7    (d)(9)(A) of this Section. An agency providing civil legal
8    aid, as defined by Section 15 of the Public Interest
9    Attorney Assistance Act, assisting individuals seeking to
10    file a motion to vacate and expunge under this subsection
11    may file motions to vacate and expunge with the Chief
12    Judge of a judicial circuit or any judge of the circuit
13    designated by the Chief Judge, and the motion may include
14    more than one individual. Motions filed by an agency
15    providing civil legal aid concerning more than one
16    individual may be prepared, presented, and signed
17    electronically.
18        (4) Any State's Attorney may file a motion to vacate
19    and expunge a conviction for a misdemeanor or Class 4
20    felony violation of Section 4 or Section 5 of the Cannabis
21    Control Act. Motions to vacate and expunge under this
22    subsection (i) may be filed with the circuit court, Chief
23    Judge of a judicial circuit or any judge of the circuit
24    designated by the Chief Judge, and may include more than
25    one individual. Motions filed by a State's Attorney
26    concerning more than one individual may be prepared,

 

 

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1    presented, and signed electronically. When considering
2    such a motion to vacate and expunge, a court shall
3    consider the following: the reasons to retain the records
4    provided by law enforcement, the individual's age, the
5    individual's age at the time of offense, the time since
6    the conviction, and the specific adverse consequences if
7    denied. Upon entry of an order granting a motion to vacate
8    and expunge records pursuant to this Section, the State's
9    Attorney shall notify the Prisoner Review Board within 30
10    days. Upon entry of the order of expungement, the circuit
11    court clerk shall promptly provide a copy of the order and
12    a certificate of disposition to the individual whose
13    records will be expunged to the individual's last known
14    address or by electronic means (if available) or otherwise
15    make available to the individual upon request. If a motion
16    to vacate and expunge is granted, the records shall be
17    expunged in accordance with subparagraphs (d)(8) and
18    (d)(9)(A) of this Section.
19        (5) In the public interest, the State's Attorney of a
20    county has standing to file motions to vacate and expunge
21    pursuant to this Section in the circuit court with
22    jurisdiction over the underlying conviction.
23        (6) If a person is arrested for a Minor Cannabis
24    Offense as defined in this Section before June 25, 2019
25    (the effective date of Public Act 101-27) and the person's
26    case is still pending but a sentence has not been imposed,

 

 

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1    the person may petition the court in which the charges are
2    pending for an order to summarily dismiss those charges
3    against him or her, and expunge all official records of
4    his or her arrest, plea, trial, conviction, incarceration,
5    supervision, or expungement. If the court determines, upon
6    review, that: (A) the person was arrested before June 25,
7    2019 (the effective date of Public Act 101-27) for an
8    offense that has been made eligible for expungement; (B)
9    the case is pending at the time; and (C) the person has not
10    been sentenced of the minor cannabis violation eligible
11    for expungement under this subsection, the court shall
12    consider the following: the reasons to retain the records
13    provided by law enforcement, the petitioner's age, the
14    petitioner's age at the time of offense, the time since
15    the conviction, and the specific adverse consequences if
16    denied. If a motion to dismiss and expunge is granted, the
17    records shall be expunged in accordance with subparagraph
18    (d)(9)(A) of this Section.
19        (7) A person imprisoned solely as a result of one or
20    more convictions for Minor Cannabis Offenses under this
21    subsection (i) shall be released from incarceration upon
22    the issuance of an order under this subsection.
23        (8) The Department of State Police shall allow a
24    person to use the access and review process, established
25    in the Department of State Police, for verifying that his
26    or her records relating to Minor Cannabis Offenses of the

 

 

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1    Cannabis Control Act eligible under this Section have been
2    expunged.
3        (9) No conviction vacated pursuant to this Section
4    shall serve as the basis for damages for time unjustly
5    served as provided in the Court of Claims Act.
6        (10) Effect of Expungement. A person's right to
7    expunge an expungeable offense shall not be limited under
8    this Section. The effect of an order of expungement shall
9    be to restore the person to the status he or she occupied
10    before the arrest, charge, or conviction.
11        (11) Information. The Department of State Police shall
12    post general information on its website about the
13    expungement process described in this subsection (i).
14(Source: P.A. 100-201, eff. 8-18-17; 100-282, eff. 1-1-18;
15100-284, eff. 8-24-17; 100-287, eff. 8-24-17; 100-692, eff.
168-3-18; 100-759, eff. 1-1-19; 100-776, eff. 8-10-18; 100-863,
17eff. 8-14-18; 101-27, eff. 6-25-19; 101-81, eff. 7-12-19;
18101-159, eff. 1-1-20; 101-306, eff. 8-9-19; 101-593, eff.
1912-4-19; 101-645, eff. 6-26-20; revised 8-18-20.)
 
20    Section 150. The Department of Transportation Law of the
21Civil Administrative Code of Illinois is amended by changing
22Sections 2705-610 and 2705-615 as follows:
 
23    (20 ILCS 2705/2705-610)
24    Sec. 2705-610. Disadvantaged business revolving loan and

 

 

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1grant program.
2    (a) Purpose. The purpose of this Section is to provide for
3assistance to disadvantaged business enterprises with project
4financing costs for those firms that are ready, willing, and
5able to participate on Department construction contracts. The
6Department's disparity study recommends and supports a
7financing program to address this barrier faced by
8disadvantaged business enterprises.
9    (b) For the purposes of this Section:
10    "Construction" means building, altering, repairing,
11improving, or demolishing any public structure or building, or
12making improvements of any kind to public real property.
13Construction does not include the routine operation, routine
14repair, or routine maintenance of existing structures,
15buildings, or real property.
16    "Construction-related services" means those services
17including construction design, layout, inspection, support,
18feasibility or location study, research, development,
19planning, or other investigative study undertaken by a
20construction agency concerning construction or potential
21construction.
22    "Contractor" means one who participates, through a
23contract or subcontract at any tier, in a United States
24Department of Transportation-assisted or Illinois Department
25of Transportation-assisted highway, rail, transit, or airport
26program.

 

 

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1    "Escrow account" means a fiduciary account established
2with (1) a banking corporation which is both organized under
3the Illinois Banking Act and authorized to accept and
4administer trusts in this State; or (2) a national banking
5association which has its principal place of business in this
6State and which is authorized to accept and administer trusts
7in this State.
8    "Fund Control Agent" means a person who provides
9managerial and technical assistance to disadvantaged business
10enterprises and holds the authority to manage a loan under
11this Section. The Fund Control Agent will be procured by the
12Department under a request for proposal process governed by
13the Illinois Procurement Code and rules adopted under that
14Code.
15    "Loan" or "loan assistance funds" means a low-interest
16line of credit made available to a selected disadvantaged
17business enterprise under this program for the purposes set
18forth in subsection (f) below.
19    (c) The Department may enter into agreements to make loans
20to disadvantaged business enterprises certified by the
21Department for participation on Department-procured
22construction and construction-related contracts. For purposes
23of this Section, the term "disadvantaged business enterprise"
24has the meaning ascribed to it by 49 CFR Part 26.
25    The Department shall establish a loan selection committee
26to review applications and select eligible disadvantaged

 

 

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1business enterprises for low-interest loans under this
2program. A selection committee shall be comprised of at least
33 members appointed by the Secretary of the Department and
4shall include at least one public member from the construction
5or financing industry. The public member may not be employed
6or associated with any disadvantaged business enterprise
7holding a contract with the Department nor may the public
8member's firm be considered for a contract with the Department
9while he or she is serving as a public member of the committee.
10Terms of service for public members shall not exceed 5 years.
11No public member of the loan selection committee shall hold
12consecutive terms, nor shall any member receive any
13compensation other than for reasonable expenses for service
14related to this committee.
15    The Department shall establish through administrative
16rules the requirements for eligibility and criteria for loan
17applications, approved use of funds, amount of loans, interest
18rates, collateral, and terms. The Department is authorized to
19adopt rules to implement this Section.
20    The Department shall notify the prime contractor on a
21project that a subcontractor on the same project has been
22awarded a loan from the Working Capital Revolving Loan Fund.
23If the loan agreement is amended by the parties of the loan
24agreement, the prime contractor shall not be a party to any
25disadvantaged business enterprise loan agreement between the
26Department and participating subcontractor and shall not incur

 

 

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1any liability for loan debt accrued as a result of the loan
2agreement.
3    (d) Loan funds shall be disbursed to the escrow account,
4subject to appropriation, from the Working Capital Revolving
5Loan Fund established as a special fund in the State treasury.
6Loaned funds that are repaid to the Department shall be
7deposited into the Working Capital Revolving Loan Fund. Other
8appropriations, grants, awards, and donations to the
9Department for the purpose of the revolving loan program
10established by this Section shall be deposited into the
11Working Capital Revolving Loan Fund.
12    (e) A funds control process shall be established to serve
13as an intermediary between the Department and the contractor
14to verify payments and to ensure paperwork is properly filed.
15The Fund Control Agent and contractor shall enter into an
16agreement regarding the control and disbursement of all
17payments to be made by the Fund Control Agent under the
18contract. The Department shall authorize and direct the Fund
19Control Agent to review all disbursement requests and
20supporting documents received from the contractor. The Fund
21Control Agent shall direct the escrow account to disburse
22escrow funds to the subcontractor, material supplier, and
23other appropriate entities by written request for the
24disbursement. The disadvantaged business enterprise shall
25maintain control over its business operations by directing the
26payments of the loan funds through its relationship with the

 

 

SB2435- 311 -LRB102 04062 AMC 14078 b

1Funds Control Agent. The funds control process shall require
2the Fund Control Agent to intercept payments made from a
3contractor to a subcontractor receiving a loan made under this
4Act and allow the Fund Control Agent to deduct any unpaid loan
5repayments owed to the State before releasing the payment to
6the subcontractor.
7    (f) Loan assistance funds shall be allowed for current
8liabilities or working capital expenses associated with
9participation in the performance of contracts procured and
10awarded by the Department for transportation construction and
11construction-related purposes. Loan funds shall not be used
12for:
13        (1) refinancing or payment of existing long-term debt;
14        (2) payment of non-current taxes;
15        (3) payments, advances, or loans to stockholders,
16    officers, directors, partners, or member owners of limited
17    liability companies; or
18        (4) the purchase or lease of non-construction motor
19    vehicles or equipment.
20    The loan agreement shall provide for the terms and
21conditions of repayment which shall not extend repayment
22longer than final payment made by the Department following
23completion and acceptance of the work authorized for loan
24assistance under the program. The funds shall be loaned with
25interest.
26    (g) The number of loans one disadvantaged business

 

 

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1enterprise may receive under this program is limited to 3.
2Loans shall not be granted simultaneously. An applicant shall
3not be permitted to obtain a loan under this program for a
4different and additional project until payment in full of any
5outstanding loans granted under this program have been
6received by the Department.
7    (h) The rate of interest for any loan shall be set by rule.
8    (i) The loan amount to any successful applicant shall not
9exceed 55% percent of the contract or subcontract supporting
10the loan.
11    (j) Nothing in this Section shall impair the contractual
12rights of the Department and the prime contractor or the
13contractual rights between a prime contractor and
14subcontractor.
15    (k) Nothing in this Section is intended nor shall be
16construed to vest applicants denied funds by the Department in
17accordance with this Section a right to challenge, protest, or
18contest the awarding of funds by the Department to successful
19applicants or any loan or agreement executed in connection
20with it.
21    (l) The debt delinquency prohibition under Section 50-11
22of the Illinois Procurement Code applies to any future
23contracts or subcontracts in the event of a loan default.
24    (m) Investment income which is attributable to the
25investment of moneys in the Working Capital Revolving Loan
26Fund shall be retained in the Working Capital Revolving Loan

 

 

SB2435- 313 -LRB102 04062 AMC 14078 b

1Fund.
2    (n) By January 1, 2014 and January 1 of each succeeding
3year, the Department shall report to the Governor and the
4General Assembly on the utilization and status of the
5revolving loan program. The report shall, at a minimum,
6include the amount transferred from the Road Fund to the
7Working Capital Revolving Loan Fund, the number and size of
8approved loans, the amounts disbursed to and from the escrow
9account, the amounts, if any, repaid to the Working Capital
10Revolving Loan Fund, the interest and fees paid by loan
11recipients, and the interest earned on balances in the Working
12Capital Revolving Loan Fund, and the names of any contractors
13who are delinquent or in default of payment. The January 1,
142017 report shall include an evaluation of the program by the
15Department to determine the program's viability and progress
16towards its stated purpose.
17    (o) The Department's authority to execute additional loans
18or request transfers to the Working Capital Revolving Loan
19Fund expires on June 1, 2018. The Comptroller shall order
20transferred and the Treasurer shall transfer any available
21balance remaining in the Working Capital Revolving Loan Fund
22to the Road Fund on January 1, 2019, or as soon thereafter as
23may be practical. Any loan repayments, interest, or fees that
24are by the terms of a loan agreement payable to the Working
25Capital Revolving Loan Fund after June 20, 2018 shall instead
26be paid into the Road Fund as the successor fund to the Working

 

 

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1Capital Revolving Loan Fund.
2(Source: P.A. 98-117, eff. 7-30-13; revised 7-16-19.)
 
3    (20 ILCS 2705/2705-615)
4    Sec. 2705-615. Supplemental funding; Illinois
5Transportation Enhancement Program.
6    (a) In addition to any other funding that may be provided
7to the Illinois Transportation Enhancement Program from
8federal, State, or other sources, including, but not limited
9to, the Transportation Alternatives Set-Aside of the Surface
10Transportation Block Grant Program, the Department shall set
11aside $50,000,000 received by the Department from the Road
12Fund for the projects in the following categories: pedestrian
13and bicycle facilities and the conversion of abandoned
14railroad corridors to trails.
15    (b) Except as provided in subsection (c), funds set aside
16under subsection (a) shall be administered according to the
17requirements of the current Guidelines Manual published by the
18Department for the Illinois Transportation Enhancement
19Program, including, but not limited to, decision-making by the
20Department and the applicable Metropolitan Planning
21Organization and proportional fund distribution according to
22population size.
23    (c) For projects funded under this Section:
24        (1) local matching funding shall be required according
25    to a sliding scale based on community size, median income,

 

 

SB2435- 315 -LRB102 04062 AMC 14078 b

1    and total property tax base;
2        (2) Phase I Studies and Phase I Engineering Reports
3    are not required to be completed before application is
4    made; and
5        (3) at least 25% of funding shall be directed towards
6    projects in high-need communities, based on community
7    median income and total property tax base.
8    (d) The Department shall adopt rules necessary to
9implement this Section.
10    (e) The Department shall adhere to a 2-year funding cycle
11for the Illinois Transportation Enhancement Program with calls
12for projects at least every other year.
13    (f) The Department shall make all funded and unfunded the
14Illinois Transportation Enhancement Program applications
15publicly available upon completion of each funding cycle,
16including how each application scored on the program criteria.
17(Source: P.A. 101-32, eff. 6-28-19; revised 7-24-19.)
 
18    Section 155. The State Fire Marshal Act is amended by
19changing Section 3 as follows:
 
20    (20 ILCS 2905/3)  (from Ch. 127 1/2, par. 3)
21    Sec. 3. There is created the Illinois Fire Advisory
22Commission which shall advise the Office in the exercise of
23its powers and duties. The Commission shall be appointed by
24the Governor as follows:

 

 

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1        (1) 3 professional, full-time fulltime paid
2    firefighters;
3        (2) one volunteer firefighter;
4        (3) one Fire Protection Engineer who is registered in
5    Illinois;
6        (4) one person who is a representative of the fire
7    insurance Fire Insurance industry in Illinois;
8        (5) one person who is a representative of a registered
9    United States Department of Labor apprenticeship program
10    primarily instructing in the installation and repair of
11    fire extinguishing systems;
12        (6) one a licensed operating or stationary engineer
13    who has an associate degree in facilities engineering
14    technology and has knowledge of the operation and
15    maintenance maintennce of fire alarm and fire
16    extinguishing systems primarily for the life safety of
17    occupants in a variety of commercial or residential
18    structures; and
19        (7) 3 persons with an interest in and knowledgeable
20    about fire prevention methods.
21    In addition, the following shall serve as ex officio
22members of the Commission: the Chicago Fire Commissioner, or
23his or her designee; the executive officer, or his or her
24designee, of each of the following organizations: the Illinois
25Fire Chiefs Association, the Illinois Fire Protection District
26Association, the Illinois Fire Inspectors Association, the

 

 

SB2435- 317 -LRB102 04062 AMC 14078 b

1Illinois Professional Firefighters Association, the Illinois
2Firemen's Association, the Associated Firefighters of
3Illinois, the Illinois Society of Fire Service Instructors,
4and the Fire Service Institute, University of Illinois.
5    The Governor shall designate, at the time of appointment,
63 members to serve terms expiring on the third Monday in
7January, 1979; 3 members to serve terms expiring the third
8Monday in January, 1980; and 2 members to serve terms expiring
9the third Monday in January, 1981. The additional member
10appointed by the Governor pursuant to Public Act 85-718 this
11amendatory Act of 1987 shall serve for a term expiring the
12third Monday in January, 1990. Thereafter, all terms shall be
13for 3 years. A member shall serve until his or her successor is
14appointed and qualified. A vacancy shall be filled for the
15unexpired term.
16    The Governor shall designate one of the appointed members
17to be chairman of the Commission.
18    Members shall serve without compensation but shall be
19reimbursed for their actual reasonable expenses incurred in
20the performance of their duties.
21(Source: P.A. 101-234, eff. 8-9-19; revised 9-12-19.)
 
22    Section 160. The Capital Development Board Act is amended
23by changing Sections 10.09-1 and 12 as follows:
 
24    (20 ILCS 3105/10.09-1)

 

 

SB2435- 318 -LRB102 04062 AMC 14078 b

1    Sec. 10.09-1. Certification of inspection.
2    (a) After July 1, 2011, no person may occupy a newly
3constructed commercial building in a non-building code
4jurisdiction until:
5        (1) The property owner or his or her agent has first
6    contracted for the inspection of the building by an
7    inspector who meets the qualifications established by the
8    Board; and
9        (2) The qualified inspector files a certification of
10    inspection with the municipality or county having such
11    jurisdiction over the property indicating that the
12    building meets compliance with the building codes adopted
13    by the Board for non-building code jurisdictions based on
14    the following:
15            (A) The current edition or most recent preceding
16        editions of the following codes developed by the
17        International Code Council:
18                (i) International Building Code;
19                (ii) International Existing Building Code; and
20            (B) The current edition or most recent preceding
21        edition of the National Electrical Code NFPA 70.
22    (b) This Section does not apply to any area in a
23municipality or county having jurisdiction that has registered
24its adopted building code with the Board as required by
25Section 55 of the Illinois Building Commission Act.
26    (c) The qualification requirements of this Section do not

 

 

SB2435- 319 -LRB102 04062 AMC 14078 b

1apply to building enforcement personnel employed by
2jurisdictions as defined in subsection (b).
3    (d) For purposes of this Section:
4    "Commercial building" means any building other than a
5single-family home or a dwelling containing 2 or fewer
6apartments, condominiums, or townhomes or a farm building as
7exempted from Section 3 of the Illinois Architecture Practice
8Act of 1989.
9    "Newly constructed commercial building" means any
10commercial building for which original construction has
11commenced on or after July 1, 2011.
12    "Non-building code jurisdiction" means any area of the
13State not subject to a building code imposed by either a county
14or municipality.
15    "Qualified inspector" means an individual qualified by the
16State of Illinois, certified by a nationally recognized
17building official certification organization, qualified by an
18apprentice program certified by the Bureau of Apprentice
19Training, or who has filed verification of inspection
20experience according to rules adopted by the Board for the
21purposes of conducting inspections in non-building code
22jurisdictions.
23    (e) New residential construction is exempt from this
24Section and is defined as any original construction of a
25single-family home or a dwelling containing 2 or fewer
26apartments, condominiums, or townhomes in accordance with the

 

 

SB2435- 320 -LRB102 04062 AMC 14078 b

1Illinois Residential Building Code Act.
2    (f) Local governments may establish agreements with other
3governmental entities within the State to issue permits and
4enforce building codes and may hire third-party providers that
5are qualified in accordance with this Section to provide
6inspection services.
7    (g) This Section does not regulate any other statutorily
8authorized code or regulation administered by State agencies.
9These include without limitation the Illinois Plumbing Code,
10the Illinois Environmental Barriers Act, the International
11Energy Conservation Code, and administrative rules adopted by
12the Office of the State Fire Marshal.
13    (h) This Section applies beginning July 1, 2011.
14(Source: P.A. 101-369, eff. 12-15-19; revised 11-26-19.)
 
15    (20 ILCS 3105/12)  (from Ch. 127, par. 782)
16    Sec. 12. Nothing in this Act shall be construed to include
17the power to abrogate those powers vested in the boards of the
18local public community college districts and the Illinois
19Community College Board by the Public Community College Act,
20the Board of Trustees of the University of Illinois, The Board
21of Trustees of Southern Illinois University, the Board of
22Trustees of Chicago State University, the Board of Trustees of
23Eastern Illinois University, the Board of Trustees of
24Governors State University, the Board of Trustees of Illinois
25State University, the Board of Trustees of Northeastern

 

 

SB2435- 321 -LRB102 04062 AMC 14078 b

1Illinois University, the Board of Trustees of Northern
2Illinois University, and the Board of Trustees of Western
3Illinois University, hereinafter referred to as Governing
4Boards. In the exercise of the powers conferred by law upon the
5Board and in the exercise of the powers vested in such
6Governing Boards, it is hereby provided that (i) the Board and
7any such Governing Board may contract with each other and
8other parties as to the design and construction of any project
9to be constructed for or upon the property of such Governing
10Board or any institution under its jurisdiction; (ii) in
11connection with any such project, compliance with the
12provisions of the Illinois Procurement Code by either the
13Board or such Governing Board shall be deemed to be compliance
14by the other; (iii) funds appropriated to any such Governing
15Board may be expended for any project constructed by the Board
16for such Governing Board; (iv) in connection with any such
17project, the architects and engineers retained for the project
18and the plans and specifications for the project must be
19approved by both the Governing Board and the Board before
20undertaking either design or construction of the project, as
21the case may be.
22(Source: P.A. 101-369, eff. 12-15-19; revised 11-26-19.)
 
23    Section 165. The General Assembly Compensation Act is
24amended by changing Section 1 as follows:
 

 

 

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1    (25 ILCS 115/1)  (from Ch. 63, par. 14)
2    Sec. 1. Each member of the General Assembly shall receive
3an annual salary of $28,000 or as set by the Compensation
4Review Board, whichever is greater. The following named
5officers, committee chairmen and committee minority spokesmen
6shall receive additional amounts per year for their services
7as such officers, committee chairmen and committee minority
8spokesmen respectively, as set by the Compensation Review
9Board or, as follows, whichever is greater: Beginning the
10second Wednesday in January 1989, the Speaker and the minority
11leader of the House of Representatives and the President and
12the minority leader of the Senate, $16,000 each; the majority
13leader in the House of Representatives $13,500; 5 assistant
14majority leaders and 5 assistant minority leaders in the
15Senate, $12,000 each; 6 assistant majority leaders and 6
16assistant minority leaders in the House of Representatives,
17$10,500 each; 2 Deputy Majority leaders in the House of
18Representatives $11,500 each; and 2 Deputy Minority leaders in
19the House of Representatives, $11,500 each; the majority
20caucus chairman and minority caucus chairman in the Senate,
21$12,000 each; and beginning the second Wednesday in January,
221989, the majority conference chairman and the minority
23conference chairman in the House of Representatives, $10,500
24each; beginning the second Wednesday in January, 1989, the
25chairman and minority spokesman of each standing committee of
26the Senate, except the Rules Committee, the Committee on

 

 

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1Committees, and the Committee on Assignment of Bills, $6,000
2each; and beginning the second Wednesday in January, 1989, the
3chairman and minority spokesman of each standing and select
4committee of the House of Representatives, $6,000 each; and
5beginning fiscal year 2020, the majority leader in the Senate,
6an amount equal to the majority leader in the House. A member
7who serves in more than one position as an officer, committee
8chairman, or committee minority spokesman shall receive only
9one additional amount based on the position paying the highest
10additional amount. The compensation provided for in this
11Section to be paid per year to members of the General Assembly,
12including the additional sums payable per year to officers of
13the General Assembly shall be paid in 12 equal monthly
14installments. The first such installment is payable on January
1531, 1977. All subsequent equal monthly installments are
16payable on the last working day of the month. A member who has
17held office any part of a month is entitled to compensation for
18an entire month.
19    Mileage shall be paid at the rate of 20 cents per mile
20before January 9, 1985, and at the mileage allowance rate in
21effect under regulations promulgated pursuant to 5 U.S.C.
225707(b)(2) beginning January 9, 1985, for the number of actual
23highway miles necessarily and conveniently traveled by the
24most feasible route to be present upon convening of the
25sessions of the General Assembly by such member in each and
26every trip during each session in going to and returning from

 

 

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1the seat of government, to be computed by the Comptroller. A
2member traveling by public transportation for such purposes,
3however, shall be paid his actual cost of that transportation
4instead of on the mileage rate if his cost of public
5transportation exceeds the amount to which he would be
6entitled on a mileage basis. No member may be paid, whether on
7a mileage basis or for actual costs of public transportation,
8for more than one such trip for each week the General Assembly
9is actually in session. Each member shall also receive an
10allowance of $36 per day for lodging and meals while in
11attendance at sessions of the General Assembly before January
129, 1985; beginning January 9, 1985, such food and lodging
13allowance shall be equal to the amount per day permitted to be
14deducted for such expenses under the Internal Revenue Code;
15however, beginning May 31, 1995, no allowance for food and
16lodging while in attendance at sessions is authorized for
17periods of time after the last day in May of each calendar
18year, except (i) if the General Assembly is convened in
19special session by either the Governor or the presiding
20officers of both houses, as provided by subsection (b) of
21Section 5 of Article IV of the Illinois Constitution or (ii) if
22the General Assembly is convened to consider bills vetoed,
23item vetoed, reduced, or returned with specific
24recommendations for change by the Governor as provided in
25Section 9 of Article IV of the Illinois Constitution. For
26fiscal year 2011 and for session days in fiscal years 2012,

 

 

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12013, 2014, 2015, 2016, 2017, 2018, and 2019 only (i) the
2allowance for lodging and meals is $111 per day and (ii)
3mileage for automobile travel shall be reimbursed at a rate of
4$0.39 per mile.
5    Notwithstanding any other provision of law to the
6contrary, beginning in fiscal year 2012, travel reimbursement
7for General Assembly members on non-session days shall be
8calculated using the guidelines set forth by the Legislative
9Travel Control Board, except that fiscal year 2012, 2013,
102014, 2015, 2016, 2017, 2018, and 2019 mileage reimbursement
11is set at a rate of $0.39 per mile.
12    If a member dies having received only a portion of the
13amount payable as compensation, the unpaid balance shall be
14paid to the surviving spouse of such member, or, if there be
15none, to the estate of such member.
16(Source: P.A. 100-25, eff. 7-26-17; 100-587, eff. 6-4-18;
17101-10, eff. 6-5-19; revised 7-17-19.)
 
18    Section 170. The Legislative Commission Reorganization Act
19of 1984 is amended by changing the headings of Articles 3A and
208A as follows:
 
21    (25 ILCS 130/Art. 3A heading)
22
ARTICLE 3A .
23(Source: P.A. 89-113; revised 8-18-20.)
 

 

 

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1    (25 ILCS 130/Art. 8A heading)
2
ARTICLE 8A .
3(Source: P.A. 93-632, eff. 2-1-04; revised 8-18-20.)
 
4    Section 175. The State Finance Act is amended by setting
5forth, renumbering, and changing Sections 5.891, 5.893, 5.894,
65.895, 5.896, and 6z-107, by setting forth and renumbering
7Sections 5.892 and 5.897, and by changing Sections 8.25g, 8g,
89.02, and 10 as follows:
 
9    (30 ILCS 105/5.891)
10    Sec. 5.891. The Governor's Administrative Fund.
11(Source: P.A. 101-10, Article 5, Section 5-35, eff. 6-5-19.)
 
12    (30 ILCS 105/5.892)
13    Sec. 5.892. The Firearm Dealer License Certification Fund.
14(Source: P.A. 100-1178, eff. 1-18-19; 101-81, eff. 7-12-19.)
 
15    (30 ILCS 105/5.893)
16    Sec. 5.893. The Local Government Aviation Trust Fund.
17(Source: P.A. 101-10, eff. 6-5-19.)
 
18    (30 ILCS 105/5.894)
19    Sec. 5.894. The Aviation Fuel Sales Tax Refund Fund.
20(Source: P.A. 101-10, eff. 6-5-19.)
 

 

 

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1    (30 ILCS 105/5.895)
2    Sec. 5.895. The Sound-Reducing Windows and Doors
3Replacement Fund.
4(Source: P.A. 101-10, eff. 6-5-19.)
 
5    (30 ILCS 105/5.896)
6    Sec. 5.896. The Rebuild Illinois Projects Fund.
7(Source: P.A. 101-30, eff. 6-28-19; revised 10-17-19.)
 
8    (30 ILCS 105/5.897)
9    Sec. 5.897. The Civic and Transit Infrastructure Fund.
10(Source: P.A. 101-10, eff. 6-5-19.)
 
11    (30 ILCS 105/5.898)
12    Sec. 5.898 5.891. The State Aviation Program Fund.
13(Source: P.A. 101-10, Article 15, Section 15-5, eff. 6-5-19;
14revised 10-2-19.)
 
15    (30 ILCS 105/5.899)
16    Sec. 5.899 5.891. The Cannabis Regulation Fund.
17(Source: P.A. 101-27, eff. 6-25-19; revised 10-2-19.)
 
18    (30 ILCS 105/5.900)
19    Sec. 5.900 5.891. The Multi-modal Transportation Bond
20Fund.
21(Source: P.A. 101-30, eff. 6-28-19; revised 10-2-19.)
 

 

 

SB2435- 328 -LRB102 04062 AMC 14078 b

1    (30 ILCS 105/5.901)
2    Sec. 5.901 5.891. The Transportation Renewal Fund.
3(Source: P.A. 101-31, eff. 6-28-19; 101-32, eff. 6-28-19;
4revised 10-2-19.)
 
5    (30 ILCS 105/5.902)
6    Sec. 5.902 5.891. The Illinois Property Tax Relief Fund.
7(Source: P.A. 101-77, eff. 7-12-19; revised 10-2-19.)
 
8    (30 ILCS 105/5.903)
9    Sec. 5.903 5.891. The Attorney General Whistleblower
10Reward and Protection Fund.
11(Source: P.A. 101-148, eff. 7-26-19; revised 10-2-19.)
 
12    (30 ILCS 105/5.904)
13    Sec. 5.904 5.891. The Coal Combustion Residual Surface
14Impoundment Financial Assurance Fund.
15(Source: P.A. 101-171, eff. 7-30-19; revised 10-2-19.)
 
16    (30 ILCS 105/5.905)
17    Sec. 5.905 5.891. The Scott's Law Fund.
18(Source: P.A. 101-173, eff. 1-1-20; revised 10-2-19.)
 
19    (30 ILCS 105/5.906)
20    Sec. 5.906 5.891. The DUI Prevention and Education Fund.

 

 

SB2435- 329 -LRB102 04062 AMC 14078 b

1(Source: P.A. 101-196, eff. 1-1-20; revised 10-2-19.)
 
2    (30 ILCS 105/5.907)
3    Sec. 5.907 5.891. The Post-Traumatic Stress Disorder
4Awareness Fund.
5(Source: P.A. 101-248, eff. 1-1-20; revised 10-2-19.)
 
6    (30 ILCS 105/5.908)
7    Sec. 5.908 5.891. The Guide Dogs of America Fund.
8(Source: P.A. 101-256, eff. 1-1-20; revised 10-2-19.)
 
9    (30 ILCS 105/5.909)
10    Sec. 5.909 5.891. The Theresa Tracy Trot-Illinois
11CancerCare Foundation Fund.
12(Source: P.A. 101-276, eff. 8-9-19; revised 10-2-19.)
 
13    (30 ILCS 105/5.910)
14    Sec. 5.910 5.891. The Developmental Disabilities Awareness
15Fund.
16(Source: P.A. 101-282, eff. 1-1-20; revised 10-2-19.)
 
17    (30 ILCS 105/5.911)
18    Sec. 5.911 5.891. The Pediatric Cancer Awareness Fund.
19(Source: P.A. 101-372, eff. 1-1-20; revised 10-2-19.)
 
20    (30 ILCS 105/5.912)

 

 

SB2435- 330 -LRB102 04062 AMC 14078 b

1    Sec. 5.912 5.891. The Training in the Building Trades
2Fund.
3(Source: P.A. 101-469, eff. 1-1-20; revised 10-2-19.)
 
4    (30 ILCS 105/5.913)
5    Sec. 5.913 5.891. The School STEAM Grant Program Fund.
6(Source: P.A. 101-561, eff. 8-23-19; revised 10-2-19.)
 
7    (30 ILCS 105/5.914)
8    Sec. 5.914 5.891. The Water Workforce Development Fund.
9(Source: P.A. 101-576, eff. 1-1-20; revised 10-2-19.)
 
10    (30 ILCS 105/5.915)
11    Sec. 5.915 5.892. The Cannabis Business Development Fund.
12(Source: P.A. 101-27, eff. 6-25-19; revised 10-17-19.)
 
13    (30 ILCS 105/5.916)
14    Sec. 5.916 5.893. The Local Cannabis Consumer Excise Tax
15Trust Fund.
16(Source: P.A. 101-27, eff. 6-25-19; revised 10-17-19.)
 
17    (30 ILCS 105/5.917)
18    Sec. 5.917 5.893. The Transportation Renewal Fund.
19(Source: P.A. 101-30, eff. 6-28-19; revised 10-17-19.)
 
20    (30 ILCS 105/5.918)

 

 

SB2435- 331 -LRB102 04062 AMC 14078 b

1    Sec. 5.918 5.893. The Regional Transportation Authority
2Capital Improvement Fund.
3(Source: P.A. 101-31, eff. 6-28-19; 101-32, eff. 6-28-19;
4revised 10-17-19.)
 
5    (30 ILCS 105/5.920)
6    Sec. 5.920 5.893. The State Police Whistleblower Reward
7and Protection Fund.
8(Source: P.A. 101-148, eff. 7-26-19; revised 10-17-19.)
 
9    (30 ILCS 105/5.921)
10    Sec. 5.921 5.893. The Mechanics Training Fund.
11(Source: P.A. 101-256, eff. 1-1-20; revised 10-17-19.)
 
12    (30 ILCS 105/5.922)
13    Sec. 5.922 5.894. The Cannabis Expungement Fund.
14(Source: P.A. 101-27, eff. 6-25-19; revised 10-17-19.)
 
15    (30 ILCS 105/5.923)
16    Sec. 5.923 5.894. The Regional Transportation Authority
17Capital Improvement Fund.
18(Source: P.A. 101-30, eff. 6-28-19; revised 10-17-19.)
 
19    (30 ILCS 105/5.924)
20    Sec. 5.924 5.894. The Downstate Mass Transportation
21Capital Improvement Fund.

 

 

SB2435- 332 -LRB102 04062 AMC 14078 b

1(Source: P.A. 101-31, eff. 6-28-19; 101-32, eff. 6-28-19.)
 
2    (30 ILCS 105/5.925)
3    Sec. 5.925 5.895. The Downstate Mass Transportation
4Capital Improvement Fund.
5(Source: P.A. 101-30, eff. 6-28-19; revised 10-17-19.)
 
6    (30 ILCS 105/5.926)
7    Sec. 5.926 5.895. The Illinois Works Fund.
8(Source: P.A. 101-31, eff. 6-28-19; revised 10-17-19.)
 
9    (30 ILCS 105/5.927)
10    Sec. 5.927 5.896. The Sports Wagering Fund.
11(Source: P.A. 101-31, eff. 6-28-19; revised 10-17-19.)
 
12    (30 ILCS 105/5.928)
13    Sec. 5.928 5.897. The State Fairgrounds Capital
14Improvements and Harness Racing Fund.
15(Source: P.A. 101-31, eff. 6-28-19; revised 10-17-19.)
 
16    (30 ILCS 105/6z-107)
17    Sec. 6z-107. Governor's Administrative Fund. The
18Governor's Administrative Fund is established as a special
19fund in the State Treasury. The Fund may accept moneys from any
20public source in the form of grants, deposits, and transfers,
21and shall be used for purposes designated by the source of the

 

 

SB2435- 333 -LRB102 04062 AMC 14078 b

1moneys and, if no specific purposes are designated, then for
2the general administrative and operational costs of the
3Governor's Office.
4(Source: P.A. 101-10, eff. 6-5-19.)
 
5    (30 ILCS 105/6z-112)
6    Sec. 6z-112 6z-107. The Cannabis Regulation Fund.
7    (a) There is created the Cannabis Regulation Fund in the
8State treasury, subject to appropriations unless otherwise
9provided in this Section. All moneys collected under the
10Cannabis Regulation and Tax Act shall be deposited into the
11Cannabis Regulation Fund, consisting of taxes, license fees,
12other fees, and any other amounts required to be deposited or
13transferred into the Fund.
14    (b) Whenever the Department of Revenue determines that a
15refund should be made under the Cannabis Regulation and Tax
16Act to a claimant, the Department of Revenue shall submit a
17voucher for payment to the State Comptroller, who shall cause
18the order to be drawn for the amount specified and to the
19person named in the notification from the Department of
20Revenue. This subsection (b) shall constitute an irrevocable
21and continuing appropriation of all amounts necessary for the
22payment of refunds out of the Fund as authorized under this
23subsection (b).
24    (c) On or before the 25th day of each calendar month, the
25Department of Revenue shall prepare and certify to the State

 

 

SB2435- 334 -LRB102 04062 AMC 14078 b

1Comptroller the transfer and allocations of stated sums of
2money from the Cannabis Regulation Fund to other named funds
3in the State treasury. The amount subject to transfer shall be
4the amount of the taxes, license fees, other fees, and any
5other amounts paid into the Fund during the second preceding
6calendar month, minus the refunds made under subsection (b)
7during the second preceding calendar month by the Department.
8The transfers shall be certified as follows:
9        (1) The Department of Revenue shall first determine
10    the allocations which shall remain in the Cannabis
11    Regulation Fund, subject to appropriations, to pay for the
12    direct and indirect costs associated with the
13    implementation, administration, and enforcement of the
14    Cannabis Regulation and Tax Act by the Department of
15    Revenue, the Department of State Police, the Department of
16    Financial and Professional Regulation, the Department of
17    Agriculture, the Department of Public Health, the
18    Department of Commerce and Economic Opportunity, and the
19    Illinois Criminal Justice Information Authority.
20        (2) After the allocations have been made as provided
21    in paragraph (1) of this subsection (c), of the remainder
22    of the amount subject to transfer for the month as
23    determined in this subsection (c), the Department shall
24    certify the transfer into the Cannabis Expungement Fund
25    1/12 of the fiscal year amount appropriated from the
26    Cannabis Expungement Fund for payment of costs incurred by

 

 

SB2435- 335 -LRB102 04062 AMC 14078 b

1    State courts, the Attorney General, State's Attorneys,
2    civil legal aid, as defined by Section 15 of the Public
3    Interest Attorney Assistance Act, and the Department of
4    State Police to facilitate petitions for expungement of
5    Minor Cannabis Offenses pursuant to Public Act 101-27 this
6    amendatory Act of the 101st General Assembly, as adjusted
7    by any supplemental appropriation, plus cumulative
8    deficiencies in such transfers for prior months.
9        (3) After the allocations have been made as provided
10    in paragraphs (1) and (2) of this subsection (c), the
11    Department of Revenue shall certify to the State
12    Comptroller and the State Treasurer shall transfer the
13    amounts that the Department of Revenue determines shall be
14    transferred into the following named funds according to
15    the following:
16            (A) 2% shall be transferred to the Drug Treatment
17        Fund to be used by the Department of Human Services
18        for: (i) developing and administering a scientifically
19        and medically accurate public education campaign
20        educating youth and adults about the health and safety
21        risks of alcohol, tobacco, illegal drug use (including
22        prescription drugs), and cannabis, including use by
23        pregnant women; and (ii) data collection and analysis
24        of the public health impacts of legalizing the
25        recreational use of cannabis. Expenditures for these
26        purposes shall be subject to appropriations.

 

 

SB2435- 336 -LRB102 04062 AMC 14078 b

1            (B) 8% shall be transferred to the Local
2        Government Distributive Fund and allocated as provided
3        in Section 2 of the State Revenue Sharing Act. The
4        moneys shall be used to fund crime prevention
5        programs, training, and interdiction efforts,
6        including detection, enforcement, and prevention
7        efforts, relating to the illegal cannabis market and
8        driving under the influence of cannabis.
9            (C) 25% shall be transferred to the Criminal
10        Justice Information Projects Fund to be used for the
11        purposes of the Restore, Reinvest, and Renew Program
12        to address economic development, violence prevention
13        services, re-entry services, youth development, and
14        civil legal aid, as defined by Section 15 of the Public
15        Interest Attorney Assistance Act. The Restore,
16        Reinvest, and Renew Program shall address these issues
17        through targeted investments and intervention programs
18        and promotion of an employment infrastructure and
19        capacity building related to the social determinants
20        of health in impacted community areas. Expenditures
21        for these purposes shall be subject to appropriations.
22            (D) 20% shall be transferred to the Department of
23        Human Services Community Services Fund, to be used to
24        address substance abuse and prevention and mental
25        health concerns, including treatment, education, and
26        prevention to address the negative impacts of

 

 

SB2435- 337 -LRB102 04062 AMC 14078 b

1        substance abuse and mental health issues, including
2        concentrated poverty, violence, and the historical
3        overuse of criminal justice responses in certain
4        communities, on the individual, family, and community,
5        including federal, State, and local governments,
6        health care institutions and providers, and
7        correctional facilities. Expenditures for these
8        purposes shall be subject to appropriations.
9            (E) 10% shall be transferred to the Budget
10        Stabilization Fund.
11            (F) 35%, or any remaining balance, shall be
12        transferred to the General Revenue Fund.
13    As soon as may be practical, but no later than 10 days
14after receipt, by the State Comptroller of the transfer
15certification provided for in this subsection (c) to be given
16to the State Comptroller by the Department of Revenue, the
17State Comptroller shall direct and the State Treasurer shall
18transfer the respective amounts in accordance with the
19directions contained in such certification.
20    (d) On July 1, 2019 the Department of Revenue shall
21certify to the State Comptroller and the State Treasurer shall
22transfer $5,000,000 from the Compassionate Use of Medical
23Cannabis Fund to the Cannabis Regulation Fund.
24    (e) Notwithstanding any other law to the contrary and
25except as otherwise provided in this Section, this Fund is not
26subject to sweeps, administrative charge-backs, or any other

 

 

SB2435- 338 -LRB102 04062 AMC 14078 b

1fiscal or budgetary maneuver that would in any way transfer
2any amounts from this Fund into any other fund of the State.
3    (f) The Cannabis Regulation Fund shall retain a balance of
4$1,000,000 for the purposes of administrative costs.
5    (g) In Fiscal Year 2024 the allocations in subsection (c)
6of this Section shall be reviewed and adjusted if the General
7Assembly finds there is a greater need for funding for a
8specific purpose in the State as it relates to Public Act
9101-27 this amendatory Act of the 101st General Assembly.
10(Source: P.A. 101-27, eff. 6-25-19; revised 9-23-19.)
 
11    (30 ILCS 105/6z-113)
12    Sec. 6z-113 6z-107. Illinois Property Tax Relief Fund;
13creation.
14    (a) Beginning in State fiscal year 2021, the Illinois
15Property Tax Relief Fund is hereby created as a special fund in
16the State treasury. Moneys in the Fund shall be used by the
17State Comptroller to pay rebates to residential property
18taxpayers in the State as provided in this Section. The Fund
19may accept moneys from any lawful source.
20    (b) Beginning in State fiscal year 2021, within 30 days
21after the last day of the application period for general
22homestead exemptions in the county, each chief county
23assessment officer shall certify to the State Comptroller the
24total number of general homestead exemptions granted for
25homestead property in that county for the applicable property

 

 

SB2435- 339 -LRB102 04062 AMC 14078 b

1tax year. As soon as possible after receiving certifications
2from each county under this subsection, the State Comptroller
3shall calculate a property tax rebate amount for the
4applicable property tax year by dividing the total amount
5appropriated from the Illinois Property Tax Relief Fund for
6the purpose of making rebates under this Section by the total
7number of homestead exemptions granted for homestead property
8in the State. The county treasurer shall reduce each property
9tax bill for homestead property by the property tax rebate
10amount and shall include a separate line item on each property
11tax bill stating the property tax rebate amount from the
12Illinois Property Tax Relief Fund. Within 60 days after
13calculating the property tax rebate amount, the State
14Comptroller shall make distributions from the Illinois
15Property Tax Relief Fund to each county. The amount allocated
16to each county shall be the property tax rebate amount
17multiplied by the number of general homestead exemptions
18granted in the county for the applicable property tax year.
19The county treasurer shall distribute each taxing district's
20share of property tax collections and distributions from the
21Illinois Property Tax Relief Fund to those taxing districts as
22provided by law.
23    (c) As used in this Section:
24    "Applicable property tax year" means the tax year for
25which a rebate was applied to property tax bills under this
26Section.

 

 

SB2435- 340 -LRB102 04062 AMC 14078 b

1    "General homestead exemption" means a general homestead
2exemption that was granted for the property under Section
315-175 of the Property Tax Code.
4    "Homestead property" means property that meets both of the
5following criteria: (1) a general homestead exemption was
6granted for the property; and (2) the property tax liability
7for the property is current as of the date of the
8certification.
9(Source: P.A. 101-77, eff. 7-12-19; revised 9-23-19.)
 
10    (30 ILCS 105/8.25g)
11    Sec. 8.25g. The Civic and Transit Infrastructure Fund. The
12Civic and Transit Infrastructure Fund is created as a special
13fund in the State Treasury. Money in the Civic and Transit
14Infrastructure Fund shall, when the State of Illinois incurs
15infrastructure indebtedness pursuant to the public-private
16public private partnership entered into by the public agency
17on behalf of the State of Illinois with private entity
18pursuant to the Public-Private Partnership for Civic and
19Transit Infrastructure Project Act enacted in this amendatory
20Act of the 101th General Assembly, be used for the purpose of
21paying and discharging monthly the principal and interest on
22that infrastructure indebtedness then due and payable
23consistent with the term established in the public-private
24public private agreement entered into by the public agency on
25behalf of the State of Illinois. The public agency shall,

 

 

SB2435- 341 -LRB102 04062 AMC 14078 b

1pursuant to its authority under the Public-Private Partnership
2for Civic and Transit Infrastructure Project Act, annually
3certify to the State Comptroller and the State Treasurer the
4amount necessary and required, during the fiscal year with
5respect to which the certification is made, to pay the amounts
6due under the Public-Private Partnership for Civic and Transit
7Infrastructure Project Act. On or before the last day of each
8month, the State Comptroller and State Treasurer shall
9transfer the moneys required to be deposited into the Fund
10under Section 3 of the Retailers' Occupation Tax Act and the
11Public-Private Partnership for Civic and Transit
12Infrastructure Project Act and shall pay from that Fund the
13required amount certified by the public agency, plus any
14cumulative deficiency in such transfers and payments for prior
15months, to the public agency for distribution pursuant to the
16Public-Private Partnership for Civic and Transit
17Infrastructure Project Act. Such transferred amount shall be
18sufficient to pay all amounts due under the Public-Private
19Partnership for Civic and Transit Infrastructure Project Act.
20Provided that all amounts deposited in the Fund have been paid
21accordingly under the Public-Private Partnership for Civic and
22Transit Infrastructure Project Act, all amounts remaining in
23the Civic and Transit Infrastructure Fund shall be held in
24that Fund for other subsequent payments required under the
25Public-Private Partnership for Civic and Transit
26Infrastructure Project Act. In the event the State fails to

 

 

SB2435- 342 -LRB102 04062 AMC 14078 b

1pay the amount necessary and required under the Public-Private
2Partnership for Civic and Transit Infrastructure Project Act
3for any reason during the fiscal year with respect to which the
4certification is made or if the State takes any steps that
5result in an impact to the irrevocable, first priority pledge
6of and lien on moneys on deposit in the Civic and Transit
7Infrastructure Fund, the public agency shall certify such
8delinquent amounts to the State Comptroller and the State
9Treasurer and the State Comptroller and the State Treasurer
10shall take all steps required to intercept the tax revenues
11collected from within the boundary of the civic transit
12infrastructure project pursuant to Section 3 of the Retailers'
13Occupation Tax Act, Section 9 of the Use Tax Act, Section 9 of
14the Service Use Tax Act, Section 9 of the Service Occupation
15Tax Act, Section 4.03 of the Regional Transportation Authority
16Act, and Section 6 of the Hotel Operators' Occupation Tax Act,
17and shall pay such amounts to the Fund for distribution by the
18public agency for the time period time-period required to
19ensure that the State's distribution requirements under the
20Public-Private Partnership for Civic and Transit
21Infrastructure Project Act are fully met.
22As used in the Section, "private entity", "public-private
23private public agreement", and "public agency" have meanings
24provided in Section 25-10 of the Public-Private Partnership
25for Civic and Transit Infrastructure Project Act.
26(Source: P.A. 101-10, eff. 6-5-19; revised 7-22-19.)
 

 

 

SB2435- 343 -LRB102 04062 AMC 14078 b

1    (30 ILCS 105/8g)
2    Sec. 8g. Fund transfers.
3    (a) (Blank).
4    (b) (Blank).
5    (c) In addition to any other transfers that may be
6provided for by law, on August 30 of each fiscal year's license
7period, the Illinois Liquor Control Commission shall direct
8and the State Comptroller and State Treasurer shall transfer
9from the General Revenue Fund to the Youth Alcoholism and
10Substance Abuse Prevention Fund an amount equal to the number
11of retail liquor licenses issued for that fiscal year
12multiplied by $50.
13    (d) The payments to programs required under subsection (d)
14of Section 28.1 of the Illinois Horse Racing Act of 1975 shall
15be made, pursuant to appropriation, from the special funds
16referred to in the statutes cited in that subsection, rather
17than directly from the General Revenue Fund.
18    Beginning January 1, 2000, on the first day of each month,
19or as soon as may be practical thereafter, the State
20Comptroller shall direct and the State Treasurer shall
21transfer from the General Revenue Fund to each of the special
22funds from which payments are to be made under subsection (d)
23of Section 28.1 of the Illinois Horse Racing Act of 1975 an
24amount equal to 1/12 of the annual amount required for those
25payments from that special fund, which annual amount shall not

 

 

SB2435- 344 -LRB102 04062 AMC 14078 b

1exceed the annual amount for those payments from that special
2fund for the calendar year 1998. The special funds to which
3transfers shall be made under this subsection (d) include, but
4are not necessarily limited to, the Agricultural Premium Fund;
5the Metropolitan Exposition, Auditorium and Office Building
6Fund; the Fair and Exposition Fund; the Illinois Standardbred
7Breeders Fund; the Illinois Thoroughbred Breeders Fund; and
8the Illinois Veterans' Rehabilitation Fund. Except for
9transfers attributable to prior fiscal years, during State
10fiscal year 2020 only, no transfers shall be made from the
11General Revenue Fund to the Agricultural Premium Fund, the
12Fair and Exposition Fund, the Illinois Standardbred Breeders
13Fund, or the Illinois Thoroughbred Breeders Fund.
14    (e) (Blank).
15    (f) (Blank).
16    (f-1) (Blank).
17    (g) (Blank).
18    (h) (Blank).
19    (i) (Blank).
20    (i-1) (Blank).
21    (j) (Blank).
22    ......
23    (k) (Blank).
24    (k-1) (Blank).
25    (k-2) (Blank).
26    (k-3) (Blank).

 

 

SB2435- 345 -LRB102 04062 AMC 14078 b

1    (l) (Blank).
2    (m) (Blank).
3    (n) (Blank).
4    (o) (Blank).
5    (p) (Blank).
6    (q) (Blank).
7    (r) (Blank).
8    (s) (Blank).
9    (t) (Blank).
10    (u) (Blank).
11    (v) (Blank).
12    (w) (Blank).
13    (x) (Blank).
14    (y) (Blank).
15    (z) (Blank).
16    (aa) (Blank).
17    (bb) (Blank).
18    (cc) (Blank).
19    (dd) (Blank).
20    (ee) (Blank).
21    (ff) (Blank).
22    (gg) (Blank).
23    (hh) (Blank).
24    (ii) (Blank).
25    (jj) (Blank).
26    (kk) (Blank).

 

 

SB2435- 346 -LRB102 04062 AMC 14078 b

1    (ll) (Blank).
2    (mm) (Blank).
3    (nn) (Blank).
4    (oo) (Blank).
5    (pp) (Blank).
6    (qq) (Blank).
7    (rr) (Blank).
8    (ss) (Blank).
9    (tt) (Blank).
10    (uu) (Blank).
11    (vv) (Blank).
12    (ww) (Blank).
13    (xx) (Blank).
14    (yy) (Blank).
15    (zz) (Blank).
16    (aaa) (Blank).
17    (bbb) (Blank).
18    (ccc) (Blank).
19    (ddd) (Blank).
20    (eee) (Blank).
21    (fff) (Blank).
22    (ggg) (Blank).
23    (hhh) (Blank).
24    (iii) (Blank).
25    (jjj) (Blank).
26    (lll) (Blank).

 

 

SB2435- 347 -LRB102 04062 AMC 14078 b

1    (mmm) (Blank).
2    (nnn) (Blank).
3    (ooo) (Blank).
4    (ppp) (Blank).
5    (qqq) (Blank).
6    (rrr) (Blank).
7    (sss) (Blank).
8    (ttt) (Blank).
9    (uuu) (Blank).
10    (vvv) (Blank).
11    (www) (Blank).
12    (xxx) (Blank).
13    (yyy) (Blank).
14    (zzz) (Blank).
15    (aaaa) (Blank).
16    (bbbb) (Blank).
17    (cccc) (Blank).
18    (dddd) (Blank).
19    (eeee) (Blank).
20(Source: P.A. 100-23, eff. 7-6-17; 100-201, eff. 8-18-17;
21100-863, eff. 8-14-18; 101-10, eff. 6-5-19; revised 7-17-19.)
 
22    (30 ILCS 105/9.02)  (from Ch. 127, par. 145c)
23    Sec. 9.02. Vouchers; signature; delegation; electronic
24submission.
25    (a)(1) Any new contract or contract renewal in the amount

 

 

SB2435- 348 -LRB102 04062 AMC 14078 b

1of $250,000 or more in a fiscal year, or any order against a
2master contract in the amount of $250,000 or more in a fiscal
3year, or any contract amendment or change to an existing
4contract that increases the value of the contract to or by
5$250,000 or more in a fiscal year, shall be signed or approved
6in writing by the chief executive officer of the agency or his
7or her designee, and shall also be signed or approved in
8writing by the agency's chief legal counsel or his or her
9designee and chief fiscal officer or his or her designee. If
10the agency does not have a chief legal counsel or a chief
11fiscal officer, the chief executive officer of the agency
12shall designate in writing a senior executive as the
13individual responsible for signature or approval.
14    (2) No document identified in paragraph (1) may be filed
15with the Comptroller, nor may any authorization for payment
16pursuant to such documents be filed with the Comptroller, if
17the required signatures or approvals are lacking.
18    (3) Any person who, with knowledge the signatures or
19approvals required in paragraph (1) are lacking, either files
20or directs another to file documents or payment authorizations
21in violation of paragraph (2) shall be subject to discipline
22up to and including discharge.
23    (4) Procurements shall not be artificially divided so as
24to avoid the necessity of complying with paragraph (1).
25    (5) Each State agency shall develop and implement
26procedures to ensure the necessary signatures or approvals are

 

 

SB2435- 349 -LRB102 04062 AMC 14078 b

1obtained. Each State agency may establish, maintain and follow
2procedures that are more restrictive than those required
3herein.
4    (6) This subsection (a) applies to all State agencies as
5defined in Section 1-7 of the Illinois State Auditing Act,
6which includes without limitation the General Assembly and its
7agencies. For purposes of this subsection (a), in the case of
8the General Assembly, the "chief executive officer of the
9agency" means (i) the Senate Operations Commission for Senate
10general operations as provided in Section 4 of the General
11Assembly Operations Act, (ii) the Speaker of the House of
12Representatives for House general operations as provided in
13Section 5 of the General Assembly Operations Act, (iii) the
14Speaker of the House for majority leadership staff and
15operations, (iv) the Minority Leader of the House for minority
16leadership staff and operations, (v) the President of the
17Senate for majority leadership staff and operations, (vi) the
18Minority Leader of the Senate for minority staff and
19operations, and (vii) the Joint Committee on Legislative
20Support Services for the legislative support services agencies
21as provided in the Legislative Commission Reorganization Act
22of 1984. For purposes of this subsection (a), in the case of
23agencies, the "chief executive officer of the agency" means
24the head of the agency.
25    (b)(1) Every voucher or corresponding balancing report, as
26submitted by the agency or office in which it originates,

 

 

SB2435- 350 -LRB102 04062 AMC 14078 b

1shall bear (i) the signature of the officer responsible for
2approving and certifying vouchers under this Act and (ii) if
3authority to sign the responsible officer's name has been
4properly delegated, also the signature of the person actually
5signing the voucher.
6    (2) When an officer delegates authority to approve and
7certify vouchers, he shall send a copy of such authorization
8containing the signature of the person to whom delegation is
9made to each office that checks or approves such vouchers and
10to the State Comptroller. Such delegation may be general or
11limited. If the delegation is limited, the authorization shall
12designate the particular types of vouchers that the person is
13authorized to approve and certify.
14    (3) When any delegation of authority hereunder is revoked,
15a copy of the revocation of authority shall be sent to the
16Comptroller and to each office to which a copy of the
17authorization was sent.
18    The Comptroller may require State agencies to maintain
19signature documents and records of delegations of voucher
20signature authority and revocations of those delegations,
21instead of transmitting those documents to the Comptroller.
22The Comptroller may inspect such documents and records at any
23time.
24    (c) The Comptroller may authorize the submission of
25vouchers through electronic transmissions, on magnetic tape,
26or otherwise.

 

 

SB2435- 351 -LRB102 04062 AMC 14078 b

1(Source: P.A. 101-34, eff. 6-28-19; 101-359, eff. 8-9-19;
2revised 9-12-19.)
 
3    (30 ILCS 105/10)  (from Ch. 127, par. 146)
4    Sec. 10. When an appropriation has been made by the
5General Assembly for the ordinary and contingent expenses of
6the operation, maintenance, and administration of the several
7offices, departments, institutions, boards, commissions, and
8agencies of the State government, the State Comptroller shall
9draw his warrant on the State Treasurer for the payment of the
10same upon the presentation of itemized vouchers, issued,
11certified, and approved for , as follows: For appropriations
12to:
13        (1) Elective State officers in the executive
14    Department, to be certified and approved by such officers,
15    respectively;
16        (2) The Supreme Court, to be certified and approved by
17    the Chief Justice thereof;
18        (3) Appellate Court, to be certified and approved by
19    the Chief Justice of each judicial district;
20        (4) The State Senate, to be certified and approved by
21    the President;
22        (5) The House of Representatives, to be certified and
23    approved by the Speaker;
24        (6) The Auditor General, to be certified and approved
25    by the Auditor General;

 

 

SB2435- 352 -LRB102 04062 AMC 14078 b

1        (7) Clerks of courts, to be certified and approved by
2    the clerk incurring expenditures;
3        (8) The departments under the Civil Administrative
4    Code, to be certified and approved by the Director or
5    Secretary of the Department;
6        (9) The University of Illinois, to be certified by the
7    president of the University;
8        (10) The State Universities Retirement System, to be
9    certified to by the President and Secretary of the Board
10    of Trustees of the System;
11        (11) Illinois State University, to be certified to by
12    the president of that University;
13        (12) Northern Illinois University, to be certified to
14    by the president of that University;
15        (12a) Chicago State University, certified to by the
16    president of that University;
17        (12b) Eastern Illinois University, certified to by the
18    president of that University;
19        (12c) Governors State University, certified to by the
20    president of that University;
21        (12d) Northeastern Illinois University, certified to
22    by the president of that University;
23        (12e) Western Illinois University, certified to by the
24    president of that University;
25        (13) Southern Illinois University, to be certified to
26    by the President of the University;

 

 

SB2435- 353 -LRB102 04062 AMC 14078 b

1        (14) The Adjutant General, to be certified and
2    approved by the Adjutant General;
3        (15) The Illinois Legislative Investigating
4    Commission, to be certified and approved by its Chairman,
5    or when it is organized with Co-Chairmen, by either of its
6    Co-Chairmen;
7        (16) All other officers, boards, commissions, and
8    agencies of the State government, certified and approved
9    by such officer or by the president or chairman and
10    secretary or by the executive officer of such board,
11    commission, or agency;
12        (17) Individuals, to be certified by such individuals;
13        (18) The farmers' institute, agricultural, livestock,
14    poultry, scientific, benevolent, and other private
15    associations, or corporations of whatsoever nature, to be
16    certified and approved by the president and secretary of
17    such society.
18    Nothing contained in this Section shall be construed to
19amend or modify the "Personnel Code".
20    This Section is subject to Section 9.02.
21(Source: P.A. 98-788, eff. 7-25-14; revised 8-18-20.)
 
22    Section 180. The Public Use Trust Act is amended by
23changing Section 2 as follows:
 
24    (30 ILCS 160/2)  (from Ch. 127, par. 4002)

 

 

SB2435- 354 -LRB102 04062 AMC 14078 b

1    Sec. 2. (a) The Department of Agriculture, the Department
2of Natural Resources, and the Abraham Lincoln Presidential
3Library and Museum have the power to enter into a trust
4agreement with a person or group of persons under which the
5State agency may receive or collect money or other property
6from the person or group of persons and may expend such money
7or property solely for a public purpose within the powers and
8duties of that State agency and stated in the trust agreement.
9The State agency shall be the trustee under any such trust
10agreement.
11    (b) Money or property received under a trust agreement
12shall not be deposited in the State treasury and is not subject
13to appropriation by the General Assembly, but shall be held
14and invested by the trustee separate and apart from the State
15treasury. The trustee shall invest money or property received
16under a trust agreement as provided for trustees under the
17Illinois Trust Code or as otherwise provided in the trust
18agreement.
19    (c) The trustee shall maintain detailed records of all
20receipts and disbursements in the same manner as required for
21trustees under the Illinois Trust Code. The trustee shall
22provide an annual accounting of all receipts, disbursements,
23and inventory to all donors to the trust and the Auditor
24General. The annual accounting shall be made available to any
25member of the public upon request.
26(Source: P.A. 100-695, eff. 8-3-18; 101-48, eff. 1-1-20;

 

 

SB2435- 355 -LRB102 04062 AMC 14078 b

1101-636, eff. 6-10-20; revised 7-28-20.)
 
2    Section 185. The General Obligation Bond Act is amended by
3changing Section 19 as follows:
 
4    (30 ILCS 330/19)  (from Ch. 127, par. 669)
5    Sec. 19. Investment of money not needed for current
6expenditures; application of earnings Money Not Needed for
7Current Expenditures - Application of Earnings.
8    (a) The State Treasurer may, with the Governor's approval,
9invest and reinvest any money from the Capital Development
10Fund, the Transportation Bond, Series A Fund, the
11Transportation Bond, Series B Fund, the Multi-modal
12Transportation Bond Fund, the School Construction Fund, the
13Anti-Pollution Fund, the Coal Development Fund and the General
14Obligation Bond Retirement and Interest Fund, in the State
15Treasury, which is not needed for current expenditures due or
16about to become due from these funds.
17    (b) Monies received from the sale or redemption of
18investments from the Transportation Bond, Series A Fund and
19the Multi-modal Transportation Bond Fund shall be deposited by
20the State Treasurer in the Road Fund.
21    Monies received from the sale or redemption of investments
22from the Capital Development Fund, the Transportation Bond,
23Series B Fund, the School Construction Fund, the
24Anti-Pollution Fund, and the Coal Development Fund shall be

 

 

SB2435- 356 -LRB102 04062 AMC 14078 b

1deposited by the State Treasurer in the General Revenue Fund.
2    Monies from the sale or redemption of investments from the
3General Obligation Bond Retirement and Interest Fund shall be
4deposited in the General Obligation Bond Retirement and
5Interest Fund.
6    (c) Monies from the Capital Development Fund, the
7Transportation Bond, Series A Fund, the Transportation Bond,
8Series B Fund, the Multi-modal Transportation Bond Fund, the
9School Construction Fund, the Anti-Pollution Fund, and the
10Coal Development Fund may be invested as permitted in the
11Deposit of State Moneys Act "AN ACT in relation to State
12moneys", approved June 28, 1919, as amended and in the Public
13Funds Investment Act "AN ACT relating to certain investments
14of public funds by public agencies", approved July 23, 1943,
15as amended. Monies from the General Obligation Bond Retirement
16and Interest Fund may be invested in securities constituting
17direct obligations of the United States Government, or
18obligations, the principal of and interest on which are
19guaranteed by the United States Government, or certificates of
20deposit of any state or national bank or savings and loan
21association. For amounts not insured by the Federal Deposit
22Insurance Corporation or the Federal Savings and Loan
23Insurance Corporation, as security the State Treasurer shall
24accept securities constituting direct obligations of the
25United States Government, or obligations, the principal of and
26interest on which are guaranteed by the United States

 

 

SB2435- 357 -LRB102 04062 AMC 14078 b

1Government.
2    (d) Accrued interest paid to the State at the time of the
3delivery of the Bonds shall be deposited into the General
4Obligation Bond Retirement and Interest Fund in the State
5Treasury.
6(Source: P.A. 101-30, eff. 6-28-19; revised 8-13-19.)
 
7    Section 190. The Illinois Procurement Code is amended by
8changing Sections 1-10 and 45-35 and by setting forth,
9renumbering, and changing multiple versions of Section 1-35 as
10follows:
 
11    (30 ILCS 500/1-10)
12    Sec. 1-10. Application.
13    (a) This Code applies only to procurements for which
14bidders, offerors, potential contractors, or contractors were
15first solicited on or after July 1, 1998. This Code shall not
16be construed to affect or impair any contract, or any
17provision of a contract, entered into based on a solicitation
18prior to the implementation date of this Code as described in
19Article 99, including, but not limited to, any covenant
20entered into with respect to any revenue bonds or similar
21instruments. All procurements for which contracts are
22solicited between the effective date of Articles 50 and 99 and
23July 1, 1998 shall be substantially in accordance with this
24Code and its intent.

 

 

SB2435- 358 -LRB102 04062 AMC 14078 b

1    (b) This Code shall apply regardless of the source of the
2funds with which the contracts are paid, including federal
3assistance moneys. This Code shall not apply to:
4        (1) Contracts between the State and its political
5    subdivisions or other governments, or between State
6    governmental bodies, except as specifically provided in
7    this Code.
8        (2) Grants, except for the filing requirements of
9    Section 20-80.
10        (3) Purchase of care, except as provided in Section
11    5-30.6 of the Illinois Public Aid Code and this Section.
12        (4) Hiring of an individual as employee and not as an
13    independent contractor, whether pursuant to an employment
14    code or policy or by contract directly with that
15    individual.
16        (5) Collective bargaining contracts.
17        (6) Purchase of real estate, except that notice of
18    this type of contract with a value of more than $25,000
19    must be published in the Procurement Bulletin within 10
20    calendar days after the deed is recorded in the county of
21    jurisdiction. The notice shall identify the real estate
22    purchased, the names of all parties to the contract, the
23    value of the contract, and the effective date of the
24    contract.
25        (7) Contracts necessary to prepare for anticipated
26    litigation, enforcement actions, or investigations,

 

 

SB2435- 359 -LRB102 04062 AMC 14078 b

1    provided that the chief legal counsel to the Governor
2    shall give his or her prior approval when the procuring
3    agency is one subject to the jurisdiction of the Governor,
4    and provided that the chief legal counsel of any other
5    procuring entity subject to this Code shall give his or
6    her prior approval when the procuring entity is not one
7    subject to the jurisdiction of the Governor.
8        (8) (Blank).
9        (9) Procurement expenditures by the Illinois
10    Conservation Foundation when only private funds are used.
11        (10) (Blank).
12        (11) Public-private agreements entered into according
13    to the procurement requirements of Section 20 of the
14    Public-Private Partnerships for Transportation Act and
15    design-build agreements entered into according to the
16    procurement requirements of Section 25 of the
17    Public-Private Partnerships for Transportation Act.
18        (12) Contracts for legal, financial, and other
19    professional and artistic services entered into on or
20    before December 31, 2018 by the Illinois Finance Authority
21    in which the State of Illinois is not obligated. Such
22    contracts shall be awarded through a competitive process
23    authorized by the Board of the Illinois Finance Authority
24    and are subject to Sections 5-30, 20-160, 50-13, 50-20,
25    50-35, and 50-37 of this Code, as well as the final
26    approval by the Board of the Illinois Finance Authority of

 

 

SB2435- 360 -LRB102 04062 AMC 14078 b

1    the terms of the contract.
2        (13) Contracts for services, commodities, and
3    equipment to support the delivery of timely forensic
4    science services in consultation with and subject to the
5    approval of the Chief Procurement Officer as provided in
6    subsection (d) of Section 5-4-3a of the Unified Code of
7    Corrections, except for the requirements of Sections
8    20-60, 20-65, 20-70, and 20-160 and Article 50 of this
9    Code; however, the Chief Procurement Officer may, in
10    writing with justification, waive any certification
11    required under Article 50 of this Code. For any contracts
12    for services which are currently provided by members of a
13    collective bargaining agreement, the applicable terms of
14    the collective bargaining agreement concerning
15    subcontracting shall be followed.
16        On and after January 1, 2019, this paragraph (13),
17    except for this sentence, is inoperative.
18        (14) Contracts for participation expenditures required
19    by a domestic or international trade show or exhibition of
20    an exhibitor, member, or sponsor.
21        (15) Contracts with a railroad or utility that
22    requires the State to reimburse the railroad or utilities
23    for the relocation of utilities for construction or other
24    public purpose. Contracts included within this paragraph
25    (15) shall include, but not be limited to, those
26    associated with: relocations, crossings, installations,

 

 

SB2435- 361 -LRB102 04062 AMC 14078 b

1    and maintenance. For the purposes of this paragraph (15),
2    "railroad" means any form of non-highway ground
3    transportation that runs on rails or electromagnetic
4    guideways and "utility" means: (1) public utilities as
5    defined in Section 3-105 of the Public Utilities Act, (2)
6    telecommunications carriers as defined in Section 13-202
7    of the Public Utilities Act, (3) electric cooperatives as
8    defined in Section 3.4 of the Electric Supplier Act, (4)
9    telephone or telecommunications cooperatives as defined in
10    Section 13-212 of the Public Utilities Act, (5) rural
11    water or waste water systems with 10,000 connections or
12    less, (6) a holder as defined in Section 21-201 of the
13    Public Utilities Act, and (7) municipalities owning or
14    operating utility systems consisting of public utilities
15    as that term is defined in Section 11-117-2 of the
16    Illinois Municipal Code.
17        (16) Procurement expenditures necessary for the
18    Department of Public Health to provide the delivery of
19    timely newborn screening services in accordance with the
20    Newborn Metabolic Screening Act.
21        (17) Procurement expenditures necessary for the
22    Department of Agriculture, the Department of Financial and
23    Professional Regulation, the Department of Human Services,
24    and the Department of Public Health to implement the
25    Compassionate Use of Medical Cannabis Program and Opioid
26    Alternative Pilot Program requirements and ensure access

 

 

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1    to medical cannabis for patients with debilitating medical
2    conditions in accordance with the Compassionate Use of
3    Medical Cannabis Program Act.
4        (18) This Code does not apply to any procurements
5    necessary for the Department of Agriculture, the
6    Department of Financial and Professional Regulation, the
7    Department of Human Services, the Department of Commerce
8    and Economic Opportunity, and the Department of Public
9    Health to implement the Cannabis Regulation and Tax Act if
10    the applicable agency has made a good faith determination
11    that it is necessary and appropriate for the expenditure
12    to fall within this exemption and if the process is
13    conducted in a manner substantially in accordance with the
14    requirements of Sections 20-160, 25-60, 30-22, 50-5,
15    50-10, 50-10.5, 50-12, 50-13, 50-15, 50-20, 50-21, 50-35,
16    50-36, 50-37, 50-38, and 50-50 of this Code; however, for
17    Section 50-35, compliance applies only to contracts or
18    subcontracts over $100,000. Notice of each contract
19    entered into under this paragraph (18) that is related to
20    the procurement of goods and services identified in
21    paragraph (1) through (9) of this subsection shall be
22    published in the Procurement Bulletin within 14 calendar
23    days after contract execution. The Chief Procurement
24    Officer shall prescribe the form and content of the
25    notice. Each agency shall provide the Chief Procurement
26    Officer, on a monthly basis, in the form and content

 

 

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1    prescribed by the Chief Procurement Officer, a report of
2    contracts that are related to the procurement of goods and
3    services identified in this subsection. At a minimum, this
4    report shall include the name of the contractor, a
5    description of the supply or service provided, the total
6    amount of the contract, the term of the contract, and the
7    exception to this Code utilized. A copy of any or all of
8    these contracts shall be made available to the Chief
9    Procurement Officer immediately upon request. The Chief
10    Procurement Officer shall submit a report to the Governor
11    and General Assembly no later than November 1 of each year
12    that includes, at a minimum, an annual summary of the
13    monthly information reported to the Chief Procurement
14    Officer. This exemption becomes inoperative 5 years after
15    June 25, 2019 (the effective date of Public Act 101-27)
16    this amendatory Act of the 101st General Assembly.
17    Notwithstanding any other provision of law, for contracts
18entered into on or after October 1, 2017 under an exemption
19provided in any paragraph of this subsection (b), except
20paragraph (1), (2), or (5), each State agency shall post to the
21appropriate procurement bulletin the name of the contractor, a
22description of the supply or service provided, the total
23amount of the contract, the term of the contract, and the
24exception to the Code utilized. The chief procurement officer
25shall submit a report to the Governor and General Assembly no
26later than November 1 of each year that shall include, at a

 

 

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1minimum, an annual summary of the monthly information reported
2to the chief procurement officer.
3    (c) This Code does not apply to the electric power
4procurement process provided for under Section 1-75 of the
5Illinois Power Agency Act and Section 16-111.5 of the Public
6Utilities Act.
7    (d) Except for Section 20-160 and Article 50 of this Code,
8and as expressly required by Section 9.1 of the Illinois
9Lottery Law, the provisions of this Code do not apply to the
10procurement process provided for under Section 9.1 of the
11Illinois Lottery Law.
12    (e) This Code does not apply to the process used by the
13Capital Development Board to retain a person or entity to
14assist the Capital Development Board with its duties related
15to the determination of costs of a clean coal SNG brownfield
16facility, as defined by Section 1-10 of the Illinois Power
17Agency Act, as required in subsection (h-3) of Section 9-220
18of the Public Utilities Act, including calculating the range
19of capital costs, the range of operating and maintenance
20costs, or the sequestration costs or monitoring the
21construction of clean coal SNG brownfield facility for the
22full duration of construction.
23    (f) (Blank).
24    (g) (Blank).
25    (h) This Code does not apply to the process to procure or
26contracts entered into in accordance with Sections 11-5.2 and

 

 

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111-5.3 of the Illinois Public Aid Code.
2    (i) Each chief procurement officer may access records
3necessary to review whether a contract, purchase, or other
4expenditure is or is not subject to the provisions of this
5Code, unless such records would be subject to attorney-client
6privilege.
7    (j) This Code does not apply to the process used by the
8Capital Development Board to retain an artist or work or works
9of art as required in Section 14 of the Capital Development
10Board Act.
11    (k) This Code does not apply to the process to procure
12contracts, or contracts entered into, by the State Board of
13Elections or the State Electoral Board for hearing officers
14appointed pursuant to the Election Code.
15    (l) This Code does not apply to the processes used by the
16Illinois Student Assistance Commission to procure supplies and
17services paid for from the private funds of the Illinois
18Prepaid Tuition Fund. As used in this subsection (l), "private
19funds" means funds derived from deposits paid into the
20Illinois Prepaid Tuition Trust Fund and the earnings thereon.
21(Source: P.A. 100-43, eff. 8-9-17; 100-580, eff. 3-12-18;
22100-757, eff. 8-10-18; 100-1114, eff. 8-28-18; 101-27, eff.
236-25-19; 101-81, eff. 7-12-19; 101-363, eff. 8-9-19; revised
249-17-19.)
 
25    (30 ILCS 500/1-35)

 

 

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1    (Section scheduled to be repealed on July 17, 2021)
2    Sec. 1-35. Application to Quincy Veterans' Home. This
3Code does not apply to any procurements related to the
4renovation, restoration, rehabilitation, or rebuilding of the
5Quincy Veterans' Home under the Quincy Veterans' Home
6Rehabilitation and Rebuilding Act, provided that the process
7shall be conducted in a manner substantially in accordance
8with the requirements of the following Sections of this the
9Illinois Procurement Code: 20-160, 25-60, 30-22, 50-5, 50-10,
1050-10.5, 50-12, 50-13, 50-15, 50-20, 50-21, 50-35, 50-36,
1150-37, 50-38, and 50-50; however, for Section 50-35,
12compliance shall apply only to contracts or subcontracts over
13$100,000.
14    This Section is repealed 3 years after becoming law.
15(Source: P.A. 100-610, eff. 7-17-18; revised 4-25-19.)
 
16    (30 ILCS 500/1-40)
17    Sec. 1-40 1-35. Application to James R. Thompson Center.
18In accordance with Section 7.4 of the State Property Control
19Act, this Code does not apply to any procurements related to
20the sale of the James R. Thompson Center, provided that the
21process shall be conducted in a manner substantially in
22accordance with the requirements of the following Sections of
23this the Illinois Procurement Code: 20-160, 50-5, 50-10,
2450-10.5, 50-12, 50-13, 50-15, 50-20, 50-21, 50-35, 50-36,
2550-37, 50-38, and 50-50. The exemption contained in this

 

 

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1Section does not apply to any leases involving the James R.
2Thompson Center, including a leaseback authorized under
3Section 7.4 of the State Property Control Act.
4(Source: P.A. 100-1184, eff. 4-5-19; revised 4-25-19.)
 
5    (30 ILCS 500/45-35)
6    Sec. 45-35. Not-for-profit agencies for persons with
7significant disabilities.
8    (a) Qualification. Supplies and services may be procured
9without advertising or calling for bids from any qualified
10not-for-profit agency for persons with significant
11disabilities that:
12        (1) complies with Illinois laws governing private
13    not-for-profit organizations;
14        (2) is certified as a work center by the Wage and Hour
15    Division of the United States Department of Labor or is an
16    accredited vocational program that provides transition
17    services to youth between the ages of 14 1/2 and 22 in
18    accordance with individualized education plans under
19    Section 14-8.03 of the School Code and that provides
20    residential services at a child care institution, as
21    defined under Section 2.06 of the Child Care Act of 1969,
22    or at a group home, as defined under Section 2.16 of the
23    Child Care Act of 1969; and
24        (3) is accredited by a nationally-recognized
25    accrediting organization or certified as a developmental

 

 

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1    training provider by the Department of Human Services.
2    (b) Participation. To participate, the not-for-profit
3agency must have indicated an interest in providing the
4supplies and services, must meet the specifications and needs
5of the using agency, and must set a fair and reasonable price.
6    (c) Committee. There is created within the Department of
7Central Management Services a committee to facilitate the
8purchase of products and services of persons with a
9significant physical, developmental, or mental disability or a
10combination of any of those disabilities who cannot engage in
11normal competitive employment due to the significant
12disability or combination of those disabilities. This
13committee is called the State Use Committee. The State Use
14Committee shall consist of the Director of the Department of
15Central Management Services or his or her designee, the
16Secretary Director of the Department of Human Services or his
17or her designee, one public member representing private
18business who is knowledgeable of the employment needs and
19concerns of persons with developmental disabilities, one
20public member representing private business who is
21knowledgeable of the needs and concerns of rehabilitation
22facilities, one public member who is knowledgeable of the
23employment needs and concerns of persons with developmental
24disabilities, one public member who is knowledgeable of the
25needs and concerns of rehabilitation facilities, and 2 public
26members from a statewide association that represents

 

 

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1community-based rehabilitation facilities, all appointed by
2the Governor. The public members shall serve 2 year terms,
3commencing upon appointment and every 2 years thereafter. A
4public member may be reappointed, and vacancies shall be
5filled by appointment for the completion of the term. In the
6event there is a vacancy on the State Use Committee, the
7Governor must make an appointment to fill that vacancy within
830 calendar days after the notice of vacancy. The members
9shall serve without compensation but shall be reimbursed for
10expenses at a rate equal to that of State employees on a per
11diem basis by the Department of Central Management Services.
12All members shall be entitled to vote on issues before the
13State Use Committee.
14    The State Use Committee shall have the following powers
15and duties:
16        (1) To request from any State agency information as to
17    product specification and service requirements in order to
18    carry out its purpose.
19        (2) To meet quarterly or more often as necessary to
20    carry out its purposes.
21        (3) To request a quarterly report from each
22    participating qualified not-for-profit agency for persons
23    with significant disabilities describing the volume of
24    sales for each product or service sold under this Section.
25        (4) To prepare a report for the Governor and General
26    Assembly no later than December 31 of each year. The

 

 

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1    requirement for reporting to the General Assembly shall be
2    satisfied by following the procedures set forth in Section
3    3.1 of the General Assembly Organization Act.
4        (5) To prepare a publication that lists all supplies
5    and services currently available from any qualified
6    not-for-profit agency for persons with significant
7    disabilities. This list and any revisions shall be
8    distributed to all purchasing agencies.
9        (6) To encourage diversity in supplies and services
10    provided by qualified not-for-profit agencies for persons
11    with significant disabilities and discourage unnecessary
12    duplication or competition among not-for-profit agencies.
13        (7) To develop guidelines to be followed by qualifying
14    agencies for participation under the provisions of this
15    Section. Guidelines shall include a list of national
16    accrediting organizations which satisfy the requirements
17    of item (3) of subsection (a) of this Section. The
18    guidelines shall be developed within 6 months after the
19    effective date of this Code and made available on a
20    nondiscriminatory basis to all qualifying agencies. The
21    new guidelines required under this item (7) by Public Act
22    100-203 this amendatory Act of the 100th General Assembly
23    shall be developed within 6 months after August 18, 2017
24    (the effective date of Public Act 100-203) this amendatory
25    Act of the 100th General Assembly and made available on a
26    non-discriminatory basis to all qualifying not-for-profit

 

 

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1    agencies.
2        (8) To review all pricing submitted under the
3    provisions of this Section and may approve a proposed
4    agreement for supplies or services where the price
5    submitted is fair and reasonable.
6        (9) To, not less than every 3 years, adopt a strategic
7    plan for increasing the number of products and services
8    purchased from qualified not-for-profit agencies for
9    persons with significant disabilities, including the
10    feasibility of developing mandatory set-aside contracts.
11    (c-5) Conditions for Use. Each chief procurement officer
12shall, in consultation with the State Use Committee, determine
13which articles, materials, services, food stuffs, and supplies
14that are produced, manufactured, or provided by persons with
15significant disabilities in qualified not-for-profit agencies
16shall be given preference by purchasing agencies procuring
17those items.
18    (d) (Blank).
19    (e) Subcontracts. Subcontracts shall be permitted for
20agreements authorized under this Section. For the purposes of
21this subsection (e), "subcontract" means any acquisition from
22another source of supplies, not including raw materials, or
23services required by a qualified not-for-profit agency to
24provide the supplies or services that are the subject of the
25contract between the State and the qualified not-for-profit
26agency.

 

 

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1    The State Use Committee shall develop guidelines to be
2followed by qualified not-for-profit agencies when seeking and
3establishing subcontracts with other persons or not-for-profit
4agencies in order to fulfill State contract requirements.
5These guidelines shall include the following:
6        (i) The State Use Committee must approve all
7    subcontracts and substantive amendments to subcontracts
8    prior to execution or amendment of the subcontract.
9        (ii) A qualified not-for-profit agency shall not enter
10    into a subcontract, or any combination of subcontracts, to
11    fulfill an entire requirement, contract, or order without
12    written State Use Committee approval.
13        (iii) A qualified not-for-profit agency shall make
14    reasonable efforts to utilize subcontracts with other
15    not-for-profit agencies for persons with significant
16    disabilities.
17        (iv) For any subcontract not currently performed by a
18    qualified not-for-profit agency, the primary qualified
19    not-for-profit agency must provide to the State Use
20    Committee the following: (A) a written explanation as to
21    why the subcontract is not performed by a qualified
22    not-for-profit agency, and (B) a written plan to transfer
23    the subcontract to a qualified not-for-profit agency, as
24    reasonable.
25(Source: P.A. 100-203, eff. 8-18-17; revised 7-18-19.)
 

 

 

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1    Section 195. The Public-Private Partnership for Civic and
2Transit Infrastructure Project Act is amended by changing the
3heading of Article 25 and Sections 25-10, 25-20, 25-40, 25-45,
425-50, and 25-55 as follows:
 
5    (30 ILCS 558/Art. 25 heading)
6
Article 25. Public-Private Private-Public Partnership
7(Source: P.A. 101-10, eff. 6-5-19; revised 7-18-19.)
 
8    (30 ILCS 558/25-10)
9    Sec. 25-10. Definitions. As used in this Act:
10    "Civic and Transit Infrastructure Project" or "civic
11build" or "Project" means civic infrastructure, whether
12publicly or privately owned, located in the City of Chicago,
13generally within the boundaries of East 14th Street; extending
14east to Lake Shore Drive; south to McCormick Place's North
15Building; west to the outer boundary of the McCormick Place
16busway and, where it extends farther west, the St. Charles
17Airline; northwest to South Indiana Avenue; north to East 15th
18Place; east to the McCormick Place busway; and north to East
1914th Street, in total comprising approximately 34 acres,
20including, without limitation: (1) streets, roadways,
21pedestrian ways, commuter linkages and circulator transit
22systems, bridges, tunnels, overpasses, bus ways, and guideways
23connected to or adjacent to the Project; (2) utilities systems
24and related facilities, utility relocations and replacements,

 

 

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1utility-line extensions, network and communication systems,
2streetscape improvements, drainage systems, sewer and water
3systems, subgrade structures and associated improvements; (3)
4landscaping, facade construction and restoration, wayfinding,
5and signage; (4) public transportation and transit facilities
6and related infrastructure, vehicle parking facilities, and
7other facilities that encourage intermodal transportation and
8public transit connected to or adjacent to the Project; (5)
9railroad infrastructure, stations, maintenance and storage
10facilities; (6) parks, plazas, atriums, civic and cultural
11facilities, community and recreational facilities, facilities
12to promote tourism and hospitality, educational facilities,
13conferencing and conventions, broadcast and related multimedia
14infrastructure, destination and community retail, dining and
15entertainment facilities; and (7) other facilities with the
16primary purpose of attracting and fostering economic
17development within the area of the Civic and Transit
18Infrastructure Project by generating additional tax base, all
19as agreed upon in a public-private public private agreement.
20"Civic build" includes any improvements or substantial
21enhancements or modifications to civic infrastructure located
22on or connected or adjacent to the Civic and Transit
23Infrastructure Project. "Civic Build" does not include
24commercial office, residential, or hotel facilities, or any
25retail, dining, and entertainment included within such
26facilities as part of a private build, constructed on or

 

 

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1adjacent to the civic build.
2    "Civic build cost" means all costs of the civic build, as
3specified in the public-private agreement, and includes,
4without limitation, the cost of the following activities as
5part of the Civic and Transit Infrastructure Project: (1)
6acquiring or leasing real property, including air rights, and
7other assets associated with the Project; (2) demolishing,
8repairing, or rehabilitating buildings; (3) remediating land
9and buildings as required to prepare the property for
10development; (4) installing, constructing, or reconstructing,
11elements of civic infrastructure required to support the
12overall Project, including, without limitation, streets,
13roadways, pedestrian ways and commuter linkages, utilities
14systems and related facilities, utility relocations and
15replacements, network and communication systems, streetscape
16improvements, drainage systems, sewer and water systems,
17subgrade structures and associated improvements, landscaping,
18facade construction and restoration, wayfinding and signage,
19and other components of community infrastructure; (5)
20acquiring, constructing or reconstructing, and equipping
21transit stations, parking facilities, and other facilities
22that encourage intermodal transportation and public transit;
23(6) installing, constructing or reconstructing, and equipping
24core elements of civic infrastructure to promote and encourage
25economic development, including, without limitation, parks,
26cultural facilities, community and recreational facilities,

 

 

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1facilities to promote tourism and hospitality, educational
2facilities, conferencing and conventions, broadcast and
3related multimedia infrastructure, destination and community
4retail, dining and entertainment facilities, and other
5facilities with the primary purpose of attracting and
6fostering economic development within the area by generating a
7new tax base; (7) providing related improvements, including,
8without limitation, excavation, earth retention, soil
9stabilization and correction, site improvements, and future
10capital improvements and expenses; (8) planning, engineering,
11legal, marketing, development, insurance, finance, and other
12related professional services and costs associated with the
13civic build; and (9) the commissioning or operational start-up
14of any component of the civic build.
15    "Develop" or "development" means to do one or more of the
16following: plan, design, develop, lease, acquire, install,
17construct, reconstruct, repair, rehabilitate, replace, or
18extend the Civic and Transit Infrastructure Project as
19provided under this Act.
20    "Maintain" or "maintenance" includes ordinary maintenance,
21repair, rehabilitation, capital maintenance, maintenance
22replacement, and other categories of maintenance that may be
23designated by the public-private agreement for the Civic and
24Transit Infrastructure Project as provided under this Act.
25    "Operate" or "operation" means to do one or more of the
26following: maintain, improve, equip, modify, or otherwise

 

 

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1operate the Civic and Transit Infrastructure Project as
2provided under this Act.
3    "Private build" means all commercial, industrial or
4residential facilities, or property that is not included in
5the definition of civic build. The private build may include
6commercial office, residential, educational, health and
7wellness, or hotel facilities constructed on or adjacent to
8the civic build, and retail, dining, and entertainment
9facilities that are not included as part of the civic build
10under the public-private agreement.
11    "Private entity" means any private entity associated with
12the Civic and Transit Infrastructure Project at the time of
13execution and delivery of a public-private agreement, and its
14successors or assigns. The private entity may enter into a
15public-private agreement with the public agency on behalf of
16the State for the development, financing, construction,
17operational, or management of the Civic and Transit
18Infrastructure Project under this Act.
19    "Public agency" means the Governor's Office of Management
20and Budget.
21    "Public-private Public private agreement" or "agreement"
22means one or more agreements or contracts entered into between
23the public agency on behalf of the State and private entity,
24and all schedules, exhibits, and attachments thereto, entered
25into under this Act for the development, financing,
26construction, operation, or management of the Civic and

 

 

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1Transit Infrastructure Project, whereby the private entity
2will develop, finance, construct, own, operate, and manage the
3Project for a definite term in return for the right to receive
4the revenues generated from the Project and other required
5payments from the State, including, but not limited to, a
6portion of the State sales taxes, as provided under this Act.
7    "Revenues" means all revenues, including, but not limited
8to, income user fees; ticket fees; earnings, interest, lease
9payments, allocations, moneys from the federal government,
10grants, loans, lines of credit, credit guarantees, bond
11proceeds, equity investments, service payments, or other
12receipts arising out of or in connection with the financing,
13development, construction, operation, and management of the
14Project under this Act. "Revenues" does not include the State
15payments to the Civic and Transit Infrastructure Fund as
16required under this Act.
17    "State" means the State of Illinois.
18    "User fees" means the tolls, rates, fees, or other charges
19imposed by the State or private entity for use of all or part
20of the civic build.
21(Source: P.A. 101-10, eff. 6-5-19; revised 7-18-19.)
 
22    (30 ILCS 558/25-20)
23    Sec. 25-20. Provisions of the public-private agreement.
24The public-private agreement shall include at a minimum all of
25the following provisions:

 

 

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1        (1) the term of the public-private public private
2    agreement;
3        (2) a detailed description of the civic build,
4    including the retail, dining, and entertainment components
5    of the civic build and a general description of the
6    anticipated future private build;
7        (3) the powers, duties, responsibilities, obligations,
8    and functions of the public agency and private entity;
9        (4) compensation or payments, including any
10    reimbursement for work performed and goods or services
11    provided, if any, owed to the public agency as the
12    administrator of the public-private agreement on behalf of
13    the State, as specified in the public-private agreement;
14        (5) compensation or payments to the private entity for
15    civic build costs, plus any required debt service payments
16    for the civic build, debt service reserves or sinking
17    funds, financing costs, payments for operation and
18    management of the civic build, payments representing the
19    reasonable return on the private equity investment in the
20    civic build, and payments in respect of the public use of
21    private land, air rights, or other real property interests
22    for the civic build;
23        (6) a provision granting the private entity with the
24    express authority to structure, negotiate, and execute
25    contracts and subcontracts with third parties to enable
26    the private entity to carry out its duties,

 

 

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1    responsibilities and obligations under this Act relating
2    to the development, financing, construction, management,
3    and operation of the civic build;
4        (7) a provision imposing an affirmative duty on the
5    private entity to provide the public agency with any
6    information the private entity reasonably believes the
7    public agency would need related to the civic build to
8    enable the public agency to exercise its powers, carry out
9    its duties, responsibilities, and obligations, and perform
10    its functions under this Act or the public-private
11    agreement;
12        (8) a provision requiring the private entity to
13    provide the public agency with advance notice of any
14    decision that has a material adverse impact on the public
15    interest related to the civic build so that the public
16    agency has a reasonable opportunity to evaluate that
17    decision;
18        (9) a requirement that the public agency monitor and
19    oversee the civic build and take action that the public
20    agency considers appropriate to ensure that the private
21    entity is in compliance with the terms of the
22    public-private public private agreement;
23        (10) the authority to impose user fees and the amounts
24    of those fees, if applicable, related to the civic build
25    subject to agreement with the private entity;
26        (11) a provision stating that the private entity shall

 

 

SB2435- 381 -LRB102 04062 AMC 14078 b

1    have the right to all revenues generated from the civic
2    build until such time that the State takes ownership over
3    the civic build, at which point the State shall have the
4    right to all revenues generated from the civic build,
5    except as set forth in Section 25-45 45;
6        (12) a provision governing the rights to real and
7    personal property of the State, the public agency, the
8    private entity, and other third parties, if applicable,
9    relating to the civic build, including, but not limited
10    to, a provision relating to the State's ability to
11    exercise an option to purchase the civic build at varying
12    milestones of the Project agreed to amongst the parties in
13    the public-private public private agreement and consistent
14    with Section 25-45 45 of this Act;
15        (13) a provision regarding the implementation and
16    delivery of certain progress reports related to cost,
17    timelines, deadlines, and scheduling of the civic build;
18        (14) procedural requirements for obtaining the prior
19    approval of the public agency when rights that are the
20    subject of the public-private agreement relating to the
21    civic build, including, but not limited to, development
22    rights, construction rights, property rights, and rights
23    to certain revenues, are sold, assigned, transferred, or
24    pledged as collateral to secure financing or for any other
25    reason;
26        (15) grounds for termination of the public-private

 

 

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1    agreement by the public agency and the private entity;
2        (16) review of plans, including development,
3    construction, management, or operations plans by the
4    public agency related to the civic build;
5        (17) inspections by the public agency, including
6    inspections of construction work and improvements, related
7    to the civic build;
8        (18) rights and remedies of the public agency in the
9    event that the private entity defaults or otherwise fails
10    to comply with the terms of the public-private agreement
11    and the rights and remedies of the private entity in the
12    event that the public agency defaults or otherwise fails
13    to comply with the terms of the public-private agreement;
14        (19) a code of ethics for the private entity's
15    officers and employees;
16        (20) maintenance of public liability insurance or
17    other insurance requirements related to the civic build;
18        (21) provisions governing grants and loans, including
19    those received, or anticipated to be received, from the
20    federal government or any agency or instrumentality of the
21    federal government or from any State or local agency;
22        (22) the private entity's targeted business and
23    workforce participation program to meet the State's
24    utilization goals for business enterprises and workforce
25    involving minorities, women, persons with disabilities,
26    and veterans;

 

 

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1        (23) a provision regarding the rights of the public
2    agency and the State following completion of the civic
3    build and transfer to the State consistent with Section
4    25-45 45 of this Act;
5        (24) a provision detailing the Project's projected
6    long-range economic impacts, including projections of new
7    spending, construction jobs, and permanent, full-time
8    equivalent jobs;
9        (25) a provision detailing the Project's projected
10    support for regional and statewide transit impacts,
11    transportation mode shifts, and increased transit
12    ridership;
13        (26) a provision detailing the Project's projected
14    impact on increased convention and events visitation;
15        (27) procedures for amendment to the public-private
16    agreement;
17        (28) a provision detailing the processes and
18    procedures that will be followed for contracts and
19    purchases for the civic build; and
20        (29) all other terms, conditions, and provisions
21    acceptable to the public agency that the public agency
22    deems necessary and proper and in the best interest of the
23    State and the public.
24(Source: P.A. 101-10, eff. 6-5-19; revised 7-22-19.)
 
25    (30 ILCS 558/25-40)

 

 

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1    Sec. 25-40. Financial arrangements.
2    (a) The public agency may apply for, execute, or endorse
3applications submitted by the private entity to obtain
4federal, State, or local credit assistance to develop,
5maintain, or operate the Project.
6    (b) The private entity may take any action to obtain
7federal, State, or local assistance for the civic build that
8serves the public purpose of this Act and may enter into any
9contracts required to receive the assistance. The public
10agency shall take all reasonable steps to support action by
11the private entity to obtain federal, State, or local
12assistance for the civic build. The assistance may include,
13but not be limited to, federal credit assistance pursuant to
14Railroad Rehabilitation and Improvement Financing and the
15Transportation Infrastructure Finance and Innovation Act. In
16the event the private entity obtains federal, State, or local
17assistance for the civic build that serves the public purpose
18of this Act, the financial assistance shall reduce the State's
19required payments under this Act on terms as mutually agreed
20to by the parties in the public-private agreement.
21    (c) Any financing of the civic build costs may be in the
22amounts and subject to the terms and conditions contained in
23the public-private agreement.
24    (d) For the purpose of financing or refinancing the civic
25build costs, the private entity and the public agency may do
26the following: (1) enter into grant agreements; (2) accept

 

 

SB2435- 385 -LRB102 04062 AMC 14078 b

1grants from any public or private agency or entity; (3)
2receive the required payments from the State under this Act;
3and (4) receive any other payments or monies permitted under
4this Act or agreed to by the parties in the public-private
5agreement.
6    (e) For the purpose of financing or refinancing the civic
7build, public funds may be used and mixed and aggregated with
8private funds provided by or on behalf of the private entity or
9other private entities. However, that the required payments
10from the State under Sections 25-50 50 and 25-55 55 of this Act
11shall be solely used for civic build costs, plus debt service
12requirements of the civic build, debt service reserves or
13sinking funds, financing costs, payments for operation and
14management of the civic build, payments representing the
15reasonable return on the private equity investment in the
16civic build, and payments in respect of the public use of
17private land, air rights, or other real property interests for
18the civic build, if applicable.
19    (f) The public agency is authorized to facilitate conduit
20tax-exempt or taxable debt financing, if agreed to between the
21public agency and the private entity.
22(Source: P.A. 101-10, eff. 6-5-19; revised 7-18-19.)
 
23    (30 ILCS 558/25-45)
24    Sec. 25-45. Term of agreement; transfer of the civic build
25to the State. Following the completion of the Project and the

 

 

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1termination of the public-private agreement, the private
2entity's authority and duties under the public-private
3agreement shall cease, except for those duties and obligations
4that extend beyond the termination, as set forth in the
5public-private public private agreement, which may include
6ongoing management and operations of the civic build, and all
7interests and ownership in the civic build shall transfer to
8the State; provided that the State has made all required
9payments to the private entity as required under this Act and
10the public-private agreement. The State may also exercise an
11option to not accept its interest and ownership in the civic
12build. In the event the State exercises its option to not
13accept its interest and ownership in the civic build, the
14private entity shall maintain its interest and ownership in
15the civic build and shall have the authority to maintain,
16further develop, encumber, or sell the civic build consistent
17with its authority as the owner of the civic build. In the
18event the State exercises its option to have its interest and
19ownership in the civic build after all required payments have
20been made to the private entity consistent with the
21public-private agreement and this Act, the private entity
22shall have the authority to enter into an operating agreement
23with the public agency, on such terms that are reasonable and
24customary for operating agreements, to operate and manage the
25civic build for an annual operator fee and payment from the
26State representing a portion of the net operating income of

 

 

SB2435- 387 -LRB102 04062 AMC 14078 b

1the civic build as further defined and described in the
2public-private public private agreement between the private
3entity and the public agency.
4(Source: P.A. 101-10, eff. 6-5-19; revised 7-18-19.)
 
5    (30 ILCS 558/25-50)
6    Sec. 25-50. Payment to the private entity.
7    (a) Notwithstanding anything in the public-private public
8private agreement to the contrary: (1) the civic build cost
9shall not exceed a total of $3,800,000,000; and (2) no State
10equity payment shall be made prior to State fiscal year 2024 or
11prior to completion of the civic build.
12    (b) The public agency shall be required to take all steps
13necessary to facilitate the required payments to the Civic and
14Transit Infrastructure Fund as set forth in Section 3 of the
15Retailers' Occupation Tax and Section 8.25g of the State
16Finance Act.
17(Source: P.A. 101-10, eff. 6-5-19; revised 7-18-19.)
 
18    (30 ILCS 558/25-55)
19    Sec. 25-55. The Civic and Transit Infrastructure Fund. The
20Civic and Transit Infrastructure Fund is created as a special
21fund in the State Treasury. All moneys transferred to the
22Civic and Transit Infrastructure Fund pursuant to Section
238.25g of the State Finance Act, Section 3 of the Retailers'
24Occupation Act, and this Act shall be used only for the

 

 

SB2435- 388 -LRB102 04062 AMC 14078 b

1purposes authorized by and subject to the limitations and
2conditions of this Act and the public-private public private
3agreement entered into by private entity and the public agency
4on behalf of the State. All payments required under such Acts
5shall be direct, limited obligations of the State of Illinois
6payable solely from and secured by an irrevocable, first
7priority pledge of and lien on moneys on deposit in the Civic
8and Transit Infrastructure Fund. The State of Illinois hereby
9pledges the applicable sales tax revenues consistent with the
10State Finance Act and this Act for the time period provided in
11the public-private public private agreement between the
12private entity and the Authority, on behalf of the State.
13Moneys in the Civic and Transit Infrastructure Fund shall be
14utilized by the public agency on behalf of the State to pay the
15private entity for the development, financing, construction,
16operation and management of the civic and transit
17infrastructure project consistent with this Act and the
18public-private public private agreement. Investment income, if
19any, which is attributable to the investment of moneys in the
20Civic and Transit Infrastructure Fund shall be retained in the
21Fund for any required payment to the private entity under this
22Act and the public-private public private agreement.
23(Source: P.A. 101-10, eff. 6-5-19; revised 7-22-19.)
 
24    Section 200. The Business Enterprise for Minorities,
25Women, and Persons with Disabilities Act is amended by

 

 

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1changing Sections 4 and 5 as follows:
 
2    (30 ILCS 575/4)  (from Ch. 127, par. 132.604)
3    (Section scheduled to be repealed on June 30, 2024)
4    Sec. 4. Award of State contracts.
5    (a) Except as provided in subsection (b), not less than
620% of the total dollar amount of State contracts, as defined
7by the Secretary of the Council and approved by the Council,
8shall be established as an aspirational goal to be awarded to
9businesses owned by minorities, women, and persons with
10disabilities; provided, however, that of the total amount of
11all State contracts awarded to businesses owned by minorities,
12women, and persons with disabilities pursuant to this Section,
13contracts representing at least 11% shall be awarded to
14businesses owned by minorities, contracts representing at
15least 7% shall be awarded to women-owned businesses, and
16contracts representing at least 2% shall be awarded to
17businesses owned by persons with disabilities.
18    The above percentage relates to the total dollar amount of
19State contracts during each State fiscal year, calculated by
20examining independently each type of contract for each agency
21or public institutions of higher education which lets such
22contracts. Only that percentage of arrangements which
23represents the participation of businesses owned by
24minorities, women, and persons with disabilities on such
25contracts shall be included. State contracts subject to the

 

 

SB2435- 390 -LRB102 04062 AMC 14078 b

1requirements of this Act shall include the requirement that
2only expenditures to businesses owned by minorities, women,
3and persons with disabilities that perform a commercially
4useful function may be counted toward the goals set forth by
5this Act. Contracts shall include a definition of
6"commercially useful function" that is consistent with 49 CFR
726.55(c).
8    (b) Not less than 20% of the total dollar amount of State
9construction contracts is established as an aspirational goal
10to be awarded to businesses owned by minorities, women, and
11persons with disabilities; provided that, contracts
12representing at least 11% of the total dollar amount of State
13construction contracts shall be awarded to businesses owned by
14minorities; contracts representing at least 7% of the total
15dollar amount of State construction contracts shall be awarded
16to women-owned businesses; and contracts representing at least
172% of the total dollar amount of State construction contracts
18shall be awarded to businesses owned by persons with
19disabilities.
20    (c) (Blank).
21    (d) Within one year after April 28, 2009 (the effective
22date of Public Act 96-8), the Department of Central Management
23Services shall conduct a social scientific study that measures
24the impact of discrimination on minority and women business
25development in Illinois. Within 18 months after April 28, 2009
26(the effective date of Public Act 96-8), the Department shall

 

 

SB2435- 391 -LRB102 04062 AMC 14078 b

1issue a report of its findings and any recommendations on
2whether to adjust the goals for minority and women
3participation established in this Act. Copies of this report
4and the social scientific study shall be filed with the
5Governor and the General Assembly.
6    By December 1, 2020, the Department of Central Management
7Services shall conduct a new social scientific study that
8measures the impact of discrimination on minority and women
9business development in Illinois. By June 1, 2022, the
10Department shall issue a report of its findings and any
11recommendations on whether to adjust the goals for minority
12and women participation established in this Act. Copies of
13this report and the social scientific study shall be filed
14with the Governor, the Advisory Board, and the General
15Assembly. By December 1, 2022, the Department of Central
16Management Services Business Enterprise Program shall develop
17a model for social scientific disparity study sourcing for
18local governmental units to adapt and implement to address
19regional disparities in public procurement.
20    (e) Except as permitted under this Act or as otherwise
21mandated by federal law or regulation, those who submit bids
22or proposals for State contracts subject to the provisions of
23this Act, whose bids or proposals are successful and include a
24utilization plan but that fail to meet the goals set forth in
25subsection (b) of this Section, shall be notified of that
26deficiency and shall be afforded a period not to exceed 10

 

 

SB2435- 392 -LRB102 04062 AMC 14078 b

1calendar days from the date of notification to cure that
2deficiency in the bid or proposal. The deficiency in the bid or
3proposal may only be cured by contracting with additional
4subcontractors who are owned by minorities or women. Any
5increase in cost to a contract for the addition of a
6subcontractor to cure a bid's deficiency shall not affect the
7bid price, shall not be used in the request for an exemption in
8this Act, and in no case shall an identified subcontractor
9with a certification made pursuant to this Act be terminated
10from the contract without the written consent of the State
11agency or public institution of higher education entering into
12the contract.
13    (f) Non-construction solicitations that include Business
14Enterprise Program participation goals shall require bidders
15and offerors to include utilization plans. Utilization plans
16are due at the time of bid or offer submission. Failure to
17complete and include a utilization plan, including
18documentation demonstrating good faith effort when requesting
19a waiver, shall render the bid or offer non-responsive.
20(Source: P.A. 100-391, eff. 8-25-17; 101-170, eff. 1-1-20;
21101-601, eff. 1-1-20; revised 10-26-20.)
 
22    (30 ILCS 575/5)  (from Ch. 127, par. 132.605)
23    (Section scheduled to be repealed on June 30, 2024)
24    Sec. 5. Business Enterprise Council.
25    (1) To help implement, monitor, and enforce the goals of

 

 

SB2435- 393 -LRB102 04062 AMC 14078 b

1this Act, there is created the Business Enterprise Council for
2Minorities, Women, and Persons with Disabilities, hereinafter
3referred to as the Council, composed of the Secretary of Human
4Services and the Directors of the Department of Human Rights,
5the Department of Commerce and Economic Opportunity, the
6Department of Central Management Services, the Department of
7Transportation and the Capital Development Board, or their
8duly appointed representatives, with the Comptroller, or his
9or her designee, serving as an advisory member of the Council.
10Ten individuals representing businesses that are
11minority-owned, or women-owned, or owned by persons with
12disabilities, 2 individuals representing the business
13community, and a representative of public institutions of
14higher education shall be appointed by the Governor. These
15members shall serve 2-year 2 year terms and shall be eligible
16for reappointment. Any vacancy occurring on the Council shall
17also be filled by the Governor. Any member appointed to fill a
18vacancy occurring prior to the expiration of the term for
19which his or her predecessor was appointed shall be appointed
20for the remainder of such term. Members of the Council shall
21serve without compensation but shall be reimbursed for any
22ordinary and necessary expenses incurred in the performance of
23their duties.
24    The Director of the Department of Central Management
25Services shall serve as the Council chairperson and shall
26select, subject to approval of the council, a Secretary

 

 

SB2435- 394 -LRB102 04062 AMC 14078 b

1responsible for the operation of the program who shall serve
2as the Division Manager of the Business Enterprise for
3Minorities, Women, and Persons with Disabilities Division of
4the Department of Central Management Services.
5    The Director of each State agency and the chief executive
6officer of each public institution institutions of higher
7education shall appoint a liaison to the Council. The liaison
8shall be responsible for submitting to the Council any reports
9and documents necessary under this Act.
10    (2) The Council's authority and responsibility shall be
11to:
12        (a) Devise a certification procedure to assure that
13    businesses taking advantage of this Act are legitimately
14    classified as businesses owned by minorities, women, or
15    persons with disabilities and a registration procedure to
16    recognize, without additional evidence of Business
17    Enterprise Program eligibility, the certification of
18    businesses owned by minorities, women, or persons with
19    disabilities certified by the City of Chicago, Cook
20    County, or other jurisdictional programs with requirements
21    and procedures equaling or exceeding those in this Act.
22        (b) Maintain a list of all businesses legitimately
23    classified as businesses owned by minorities, women, or
24    persons with disabilities to provide to State agencies and
25    public institutions of higher education.
26        (c) Review rules and regulations for the

 

 

SB2435- 395 -LRB102 04062 AMC 14078 b

1    implementation of the program for businesses owned by
2    minorities, women, and persons with disabilities.
3        (d) Review compliance plans submitted by each State
4    agency and public institution institutions of higher
5    education pursuant to this Act.
6        (e) Make annual reports as provided in Section 8f to
7    the Governor and the General Assembly on the status of the
8    program.
9        (f) Serve as a central clearinghouse for information
10    on State contracts, including the maintenance of a list of
11    all pending State contracts upon which businesses owned by
12    minorities, women, and persons with disabilities may bid.
13    At the Council's discretion, maintenance of the list may
14    include 24-hour electronic access to the list along with
15    the bid and application information.
16        (g) Establish a toll-free toll free telephone number
17    to facilitate information requests concerning the
18    certification process and pending contracts.
19    (3) No premium bond rate of a surety company for a bond
20required of a business owned by a minority, woman, or person
21with a disability bidding for a State contract shall be higher
22than the lowest rate charged by that surety company for a
23similar bond in the same classification of work that would be
24written for a business not owned by a minority, woman, or
25person with a disability.
26    (4) Any Council member who has direct financial or

 

 

SB2435- 396 -LRB102 04062 AMC 14078 b

1personal interest in any measure pending before the Council
2shall disclose this fact to the Council and refrain from
3participating in the determination upon such measure.
4    (5) The Secretary shall have the following duties and
5responsibilities:
6        (a) To be responsible for the day-to-day operation of
7    the Council.
8        (b) To serve as a coordinator for all of the State's
9    programs for businesses owned by minorities, women, and
10    persons with disabilities and as the information and
11    referral center for all State initiatives for businesses
12    owned by minorities, women, and persons with disabilities.
13        (c) To establish an enforcement procedure whereby the
14    Council may recommend to the appropriate State legal
15    officer that the State exercise its legal remedies which
16    shall include (1) termination of the contract involved,
17    (2) prohibition of participation by the respondent in
18    public contracts for a period not to exceed 3 years, (3)
19    imposition of a penalty not to exceed any profit acquired
20    as a result of violation, or (4) any combination thereof.
21    Such procedures shall require prior approval by Council.
22    All funds collected as penalties under this subsection
23    shall be used exclusively for maintenance and further
24    development of the Business Enterprise Program and
25    encouragement of participation in State procurement by
26    minorities, women, and persons with disabilities.

 

 

SB2435- 397 -LRB102 04062 AMC 14078 b

1        (d) To devise appropriate policies, regulations, and
2    procedures for including participation by businesses owned
3    by minorities, women, and persons with disabilities as
4    prime contractors, including, but not limited to: , (i)
5    encouraging the inclusions of qualified businesses owned
6    by minorities, women, and persons with disabilities on
7    solicitation lists, (ii) investigating the potential of
8    blanket bonding programs for small construction jobs, and
9    (iii) investigating and making recommendations concerning
10    the use of the sheltered market process.
11        (e) To devise procedures for the waiver of the
12    participation goals in appropriate circumstances.
13        (f) To accept donations and, with the approval of the
14    Council or the Director of Central Management Services,
15    grants related to the purposes of this Act; to conduct
16    seminars related to the purpose of this Act and to charge
17    reasonable registration fees; and to sell directories,
18    vendor lists, and other such information to interested
19    parties, except that forms necessary to become eligible
20    for the program shall be provided free of charge to a
21    business or individual applying for the program.
22(Source: P.A. 100-391, eff. 8-25-17; 100-801, eff. 8-10-18;
23101-601, eff. 1-1-20; revised 8-18-20.)
 
24    Section 205. The State Property Control Act is amended by
25setting forth, renumbering, and changing multiple versions of

 

 

SB2435- 398 -LRB102 04062 AMC 14078 b

1Section 7.7 as follows:
 
2    (30 ILCS 605/7.7)
3    Sec. 7.7. Michael A. Bilandic Building.
4    (a) On or prior to the disposition of the James R. Thompson
5Center the existing executive offices of the Governor,
6Lieutenant Governor, Secretary of State, Comptroller, and
7Treasurer shall be relocated in the Michael A. Bilandic
8Building located at 160 North LaSalle Street, Chicago,
9Illinois. An officer shall occupy the designated space on the
10same terms and conditions applicable on April 5, 2019 (the
11effective date of Public Act 100-1184) this amendatory Act of
12the 100th General Assembly. An executive officer may choose to
13locate in alternative offices within the City of Chicago.
14    (b) The four caucuses of the General Assembly shall be
15given space within the Michael A. Bilandic Building. Any
16caucus located in the building on or prior to April 5, 2019
17(the effective date of Public Act 100-1184) this amendatory
18Act of the 100th General Assembly shall continue to occupy
19their designated space on the same terms and conditions
20applicable on April 5, 2019 (the effective date of Public Act
21100-1184) this amendatory Act of the 100th General Assembly.
22(Source: P.A. 100-1184, eff. 4-5-19; revised 9-24-19.)
 
23    (30 ILCS 605/7.8)
24    Sec. 7.8 7.7. Public university surplus real estate.

 

 

SB2435- 399 -LRB102 04062 AMC 14078 b

1    (a) Notwithstanding any other provision of this Act or any
2other law to the contrary, the Board of Trustees of any public
3institution of higher education in this State, as defined in
4subsection (d), is authorized to dispose of surplus real
5estate of that public institution of higher education as
6provided under subsection (b).
7    (b) The Board of Trustees of any public institution of
8higher education in this State may sell, lease, or otherwise
9transfer and convey all or part of real estate deemed by the
10Board to be surplus real estate, together with the
11improvements situated thereon, to a bona fide purchaser for
12value and on such terms as the Board shall determine are in the
13best interests of that public institution of higher education
14and consistent with that institution's objects and purposes.
15    (c) A Board of Trustees disposing of surplus real estate
16may retain the proceeds from the sale, lease, or other
17transfer of all or any part of the real estate deemed surplus
18real estate under subsection (b), including the improvements
19situated thereon, in a separate account in the treasury of the
20public institution of higher education for the purpose of
21deferred maintenance and emergency repair of institution
22property. The Auditor General shall examine the separate
23account to ensure the use or deposit of the proceeds
24authorized under this subsection (c) in a manner consistent
25with the stated purpose.
26    (d) For the purposes of this Section, "public institution

 

 

SB2435- 400 -LRB102 04062 AMC 14078 b

1of higher education" or "institution" means the University of
2Illinois; Southern Illinois University; Chicago State
3University; Eastern Illinois University; Governors State
4University; Illinois State University; Northeastern Illinois
5University; Northern Illinois University; Western Illinois
6University; and any other public universities, now or
7hereafter established or authorized by the General Assembly.
8(Source: P.A. 101-213, eff. 8-7-19; revised 9-24-19.)
 
9    Section 210. The Park and Recreational Facility
10Construction Act of 2009 is amended by changing Section 10-1
11as follows:
 
12    (30 ILCS 764/10-1)
13    Sec. 10-1. Short title. This Article Act may be cited as
14the Park and Recreational Facility Construction Act of 2009.
15References in this Article to "this Act" mean this Article.
16(Source: P.A. 96-820, eff. 11-18-09; revised 7-18-19.)
 
17    Section 215. The State Mandates Act is amended by changing
18Sections 8.43 and 8.44 as follows:
 
19    (30 ILCS 805/8.43)
20    Sec. 8.43. Exempt mandate.
21    (a) Notwithstanding Sections 6 and 8 of this Act, no
22reimbursement by the State is required for the implementation

 

 

SB2435- 401 -LRB102 04062 AMC 14078 b

1of any mandate created by Public Act 101-11, 101-49, 101-275,
2101-320, 101-377, 101-387, 101-474, 101-492, 101-502, 101-504,
3101-522, 101-610, or 101-627 or this amendatory Act of the
4101st General Assembly.
5    (b) Notwithstanding Sections 6 and 8 of this Act, no
6reimbursement by the State is required for the implementation
7of any mandate created by the Seizure Smart School Act.
8(Source: P.A. 101-11, eff. 6-7-19; 101-49, eff. 7-12-19;
9101-50, eff. 7-1-20; 101-275, eff. 8-9-19; 101-320, eff.
108-9-19; 101-377, eff. 8-16-19; 101-387, eff. 8-16-19; 101-474,
11eff. 8-23-19; 101-492, eff. 8-23-19; 101-502, eff. 8-23-19;
12101-504, eff. 7-1-20; 101-522, eff. 8-23-19; 101-610, eff.
131-1-20; 101-627, eff. 1-24-20; revised 8-4-20.)
 
14    (30 ILCS 805/8.44)
15    Sec. 8.44. Exempt mandate.
16    (a) Notwithstanding Sections 6 and 8 of this Act, no
17reimbursement by the State is required for the implementation
18of any mandate created by Section 4-7 of the Illinois Local
19Library Act or Section 30-55.60 of the Public Library District
20Act of 1991.
21    (b) Notwithstanding Sections 6 and 8 of this Act, no
22reimbursement by the State is required for the implementation
23of any mandate created by Public Act 101-633 this amendatory
24Act of the 101st General Assembly.
25(Source: P.A. 101-632, eff. 6-5-20; 101-633, eff. 6-5-20;

 

 

SB2435- 402 -LRB102 04062 AMC 14078 b

1revised 7-28-20.)
 
2    Section 220. The Illinois Income Tax Act is amended by
3changing Sections 203, 304, and 701 and by setting forth and
4renumbering multiple versions of Section 229 as follows:
 
5    (35 ILCS 5/203)  (from Ch. 120, par. 2-203)
6    Sec. 203. Base income defined.
7    (a) Individuals.
8        (1) In general. In the case of an individual, base
9    income means an amount equal to the taxpayer's adjusted
10    gross income for the taxable year as modified by paragraph
11    (2).
12        (2) Modifications. The adjusted gross income referred
13    to in paragraph (1) shall be modified by adding thereto
14    the sum of the following amounts:
15            (A) An amount equal to all amounts paid or accrued
16        to the taxpayer as interest or dividends during the
17        taxable year to the extent excluded from gross income
18        in the computation of adjusted gross income, except
19        stock dividends of qualified public utilities
20        described in Section 305(e) of the Internal Revenue
21        Code;
22            (B) An amount equal to the amount of tax imposed by
23        this Act to the extent deducted from gross income in
24        the computation of adjusted gross income for the

 

 

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1        taxable year;
2            (C) An amount equal to the amount received during
3        the taxable year as a recovery or refund of real
4        property taxes paid with respect to the taxpayer's
5        principal residence under the Revenue Act of 1939 and
6        for which a deduction was previously taken under
7        subparagraph (L) of this paragraph (2) prior to July
8        1, 1991, the retrospective application date of Article
9        4 of Public Act 87-17. In the case of multi-unit or
10        multi-use structures and farm dwellings, the taxes on
11        the taxpayer's principal residence shall be that
12        portion of the total taxes for the entire property
13        which is attributable to such principal residence;
14            (D) An amount equal to the amount of the capital
15        gain deduction allowable under the Internal Revenue
16        Code, to the extent deducted from gross income in the
17        computation of adjusted gross income;
18            (D-5) An amount, to the extent not included in
19        adjusted gross income, equal to the amount of money
20        withdrawn by the taxpayer in the taxable year from a
21        medical care savings account and the interest earned
22        on the account in the taxable year of a withdrawal
23        pursuant to subsection (b) of Section 20 of the
24        Medical Care Savings Account Act or subsection (b) of
25        Section 20 of the Medical Care Savings Account Act of
26        2000;

 

 

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1            (D-10) For taxable years ending after December 31,
2        1997, an amount equal to any eligible remediation
3        costs that the individual deducted in computing
4        adjusted gross income and for which the individual
5        claims a credit under subsection (l) of Section 201;
6            (D-15) For taxable years 2001 and thereafter, an
7        amount equal to the bonus depreciation deduction taken
8        on the taxpayer's federal income tax return for the
9        taxable year under subsection (k) of Section 168 of
10        the Internal Revenue Code;
11            (D-16) If the taxpayer sells, transfers, abandons,
12        or otherwise disposes of property for which the
13        taxpayer was required in any taxable year to make an
14        addition modification under subparagraph (D-15), then
15        an amount equal to the aggregate amount of the
16        deductions taken in all taxable years under
17        subparagraph (Z) with respect to that property.
18            If the taxpayer continues to own property through
19        the last day of the last tax year for which the
20        taxpayer may claim a depreciation deduction for
21        federal income tax purposes and for which the taxpayer
22        was allowed in any taxable year to make a subtraction
23        modification under subparagraph (Z), then an amount
24        equal to that subtraction modification.
25            The taxpayer is required to make the addition
26        modification under this subparagraph only once with

 

 

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1        respect to any one piece of property;
2            (D-17) An amount equal to the amount otherwise
3        allowed as a deduction in computing base income for
4        interest paid, accrued, or incurred, directly or
5        indirectly, (i) for taxable years ending on or after
6        December 31, 2004, to a foreign person who would be a
7        member of the same unitary business group but for the
8        fact that foreign person's business activity outside
9        the United States is 80% or more of the foreign
10        person's total business activity and (ii) for taxable
11        years ending on or after December 31, 2008, to a person
12        who would be a member of the same unitary business
13        group but for the fact that the person is prohibited
14        under Section 1501(a)(27) from being included in the
15        unitary business group because he or she is ordinarily
16        required to apportion business income under different
17        subsections of Section 304. The addition modification
18        required by this subparagraph shall be reduced to the
19        extent that dividends were included in base income of
20        the unitary group for the same taxable year and
21        received by the taxpayer or by a member of the
22        taxpayer's unitary business group (including amounts
23        included in gross income under Sections 951 through
24        964 of the Internal Revenue Code and amounts included
25        in gross income under Section 78 of the Internal
26        Revenue Code) with respect to the stock of the same

 

 

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1        person to whom the interest was paid, accrued, or
2        incurred.
3            This paragraph shall not apply to the following:
4                (i) an item of interest paid, accrued, or
5            incurred, directly or indirectly, to a person who
6            is subject in a foreign country or state, other
7            than a state which requires mandatory unitary
8            reporting, to a tax on or measured by net income
9            with respect to such interest; or
10                (ii) an item of interest paid, accrued, or
11            incurred, directly or indirectly, to a person if
12            the taxpayer can establish, based on a
13            preponderance of the evidence, both of the
14            following:
15                    (a) the person, during the same taxable
16                year, paid, accrued, or incurred, the interest
17                to a person that is not a related member, and
18                    (b) the transaction giving rise to the
19                interest expense between the taxpayer and the
20                person did not have as a principal purpose the
21                avoidance of Illinois income tax, and is paid
22                pursuant to a contract or agreement that
23                reflects an arm's-length interest rate and
24                terms; or
25                (iii) the taxpayer can establish, based on
26            clear and convincing evidence, that the interest

 

 

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1            paid, accrued, or incurred relates to a contract
2            or agreement entered into at arm's-length rates
3            and terms and the principal purpose for the
4            payment is not federal or Illinois tax avoidance;
5            or
6                (iv) an item of interest paid, accrued, or
7            incurred, directly or indirectly, to a person if
8            the taxpayer establishes by clear and convincing
9            evidence that the adjustments are unreasonable; or
10            if the taxpayer and the Director agree in writing
11            to the application or use of an alternative method
12            of apportionment under Section 304(f).
13                Nothing in this subsection shall preclude the
14            Director from making any other adjustment
15            otherwise allowed under Section 404 of this Act
16            for any tax year beginning after the effective
17            date of this amendment provided such adjustment is
18            made pursuant to regulation adopted by the
19            Department and such regulations provide methods
20            and standards by which the Department will utilize
21            its authority under Section 404 of this Act;
22            (D-18) An amount equal to the amount of intangible
23        expenses and costs otherwise allowed as a deduction in
24        computing base income, and that were paid, accrued, or
25        incurred, directly or indirectly, (i) for taxable
26        years ending on or after December 31, 2004, to a

 

 

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1        foreign person who would be a member of the same
2        unitary business group but for the fact that the
3        foreign person's business activity outside the United
4        States is 80% or more of that person's total business
5        activity and (ii) for taxable years ending on or after
6        December 31, 2008, to a person who would be a member of
7        the same unitary business group but for the fact that
8        the person is prohibited under Section 1501(a)(27)
9        from being included in the unitary business group
10        because he or she is ordinarily required to apportion
11        business income under different subsections of Section
12        304. The addition modification required by this
13        subparagraph shall be reduced to the extent that
14        dividends were included in base income of the unitary
15        group for the same taxable year and received by the
16        taxpayer or by a member of the taxpayer's unitary
17        business group (including amounts included in gross
18        income under Sections 951 through 964 of the Internal
19        Revenue Code and amounts included in gross income
20        under Section 78 of the Internal Revenue Code) with
21        respect to the stock of the same person to whom the
22        intangible expenses and costs were directly or
23        indirectly paid, incurred, or accrued. The preceding
24        sentence does not apply to the extent that the same
25        dividends caused a reduction to the addition
26        modification required under Section 203(a)(2)(D-17) of

 

 

SB2435- 409 -LRB102 04062 AMC 14078 b

1        this Act. As used in this subparagraph, the term
2        "intangible expenses and costs" includes (1) expenses,
3        losses, and costs for, or related to, the direct or
4        indirect acquisition, use, maintenance or management,
5        ownership, sale, exchange, or any other disposition of
6        intangible property; (2) losses incurred, directly or
7        indirectly, from factoring transactions or discounting
8        transactions; (3) royalty, patent, technical, and
9        copyright fees; (4) licensing fees; and (5) other
10        similar expenses and costs. For purposes of this
11        subparagraph, "intangible property" includes patents,
12        patent applications, trade names, trademarks, service
13        marks, copyrights, mask works, trade secrets, and
14        similar types of intangible assets.
15            This paragraph shall not apply to the following:
16                (i) any item of intangible expenses or costs
17            paid, accrued, or incurred, directly or
18            indirectly, from a transaction with a person who
19            is subject in a foreign country or state, other
20            than a state which requires mandatory unitary
21            reporting, to a tax on or measured by net income
22            with respect to such item; or
23                (ii) any item of intangible expense or cost
24            paid, accrued, or incurred, directly or
25            indirectly, if the taxpayer can establish, based
26            on a preponderance of the evidence, both of the

 

 

SB2435- 410 -LRB102 04062 AMC 14078 b

1            following:
2                    (a) the person during the same taxable
3                year paid, accrued, or incurred, the
4                intangible expense or cost to a person that is
5                not a related member, and
6                    (b) the transaction giving rise to the
7                intangible expense or cost between the
8                taxpayer and the person did not have as a
9                principal purpose the avoidance of Illinois
10                income tax, and is paid pursuant to a contract
11                or agreement that reflects arm's-length terms;
12                or
13                (iii) any item of intangible expense or cost
14            paid, accrued, or incurred, directly or
15            indirectly, from a transaction with a person if
16            the taxpayer establishes by clear and convincing
17            evidence, that the adjustments are unreasonable;
18            or if the taxpayer and the Director agree in
19            writing to the application or use of an
20            alternative method of apportionment under Section
21            304(f);
22                Nothing in this subsection shall preclude the
23            Director from making any other adjustment
24            otherwise allowed under Section 404 of this Act
25            for any tax year beginning after the effective
26            date of this amendment provided such adjustment is

 

 

SB2435- 411 -LRB102 04062 AMC 14078 b

1            made pursuant to regulation adopted by the
2            Department and such regulations provide methods
3            and standards by which the Department will utilize
4            its authority under Section 404 of this Act;
5            (D-19) For taxable years ending on or after
6        December 31, 2008, an amount equal to the amount of
7        insurance premium expenses and costs otherwise allowed
8        as a deduction in computing base income, and that were
9        paid, accrued, or incurred, directly or indirectly, to
10        a person who would be a member of the same unitary
11        business group but for the fact that the person is
12        prohibited under Section 1501(a)(27) from being
13        included in the unitary business group because he or
14        she is ordinarily required to apportion business
15        income under different subsections of Section 304. The
16        addition modification required by this subparagraph
17        shall be reduced to the extent that dividends were
18        included in base income of the unitary group for the
19        same taxable year and received by the taxpayer or by a
20        member of the taxpayer's unitary business group
21        (including amounts included in gross income under
22        Sections 951 through 964 of the Internal Revenue Code
23        and amounts included in gross income under Section 78
24        of the Internal Revenue Code) with respect to the
25        stock of the same person to whom the premiums and costs
26        were directly or indirectly paid, incurred, or

 

 

SB2435- 412 -LRB102 04062 AMC 14078 b

1        accrued. The preceding sentence does not apply to the
2        extent that the same dividends caused a reduction to
3        the addition modification required under Section
4        203(a)(2)(D-17) or Section 203(a)(2)(D-18) of this
5        Act; .
6            (D-20) For taxable years beginning on or after
7        January 1, 2002 and ending on or before December 31,
8        2006, in the case of a distribution from a qualified
9        tuition program under Section 529 of the Internal
10        Revenue Code, other than (i) a distribution from a
11        College Savings Pool created under Section 16.5 of the
12        State Treasurer Act or (ii) a distribution from the
13        Illinois Prepaid Tuition Trust Fund, an amount equal
14        to the amount excluded from gross income under Section
15        529(c)(3)(B). For taxable years beginning on or after
16        January 1, 2007, in the case of a distribution from a
17        qualified tuition program under Section 529 of the
18        Internal Revenue Code, other than (i) a distribution
19        from a College Savings Pool created under Section 16.5
20        of the State Treasurer Act, (ii) a distribution from
21        the Illinois Prepaid Tuition Trust Fund, or (iii) a
22        distribution from a qualified tuition program under
23        Section 529 of the Internal Revenue Code that (I)
24        adopts and determines that its offering materials
25        comply with the College Savings Plans Network's
26        disclosure principles and (II) has made reasonable

 

 

SB2435- 413 -LRB102 04062 AMC 14078 b

1        efforts to inform in-state residents of the existence
2        of in-state qualified tuition programs by informing
3        Illinois residents directly and, where applicable, to
4        inform financial intermediaries distributing the
5        program to inform in-state residents of the existence
6        of in-state qualified tuition programs at least
7        annually, an amount equal to the amount excluded from
8        gross income under Section 529(c)(3)(B).
9            For the purposes of this subparagraph (D-20), a
10        qualified tuition program has made reasonable efforts
11        if it makes disclosures (which may use the term
12        "in-state program" or "in-state plan" and need not
13        specifically refer to Illinois or its qualified
14        programs by name) (i) directly to prospective
15        participants in its offering materials or makes a
16        public disclosure, such as a website posting; and (ii)
17        where applicable, to intermediaries selling the
18        out-of-state program in the same manner that the
19        out-of-state program distributes its offering
20        materials;
21            (D-20.5) For taxable years beginning on or after
22        January 1, 2018, in the case of a distribution from a
23        qualified ABLE program under Section 529A of the
24        Internal Revenue Code, other than a distribution from
25        a qualified ABLE program created under Section 16.6 of
26        the State Treasurer Act, an amount equal to the amount

 

 

SB2435- 414 -LRB102 04062 AMC 14078 b

1        excluded from gross income under Section 529A(c)(1)(B)
2        of the Internal Revenue Code;
3            (D-21) For taxable years beginning on or after
4        January 1, 2007, in the case of transfer of moneys from
5        a qualified tuition program under Section 529 of the
6        Internal Revenue Code that is administered by the
7        State to an out-of-state program, an amount equal to
8        the amount of moneys previously deducted from base
9        income under subsection (a)(2)(Y) of this Section;
10            (D-21.5) For taxable years beginning on or after
11        January 1, 2018, in the case of the transfer of moneys
12        from a qualified tuition program under Section 529 or
13        a qualified ABLE program under Section 529A of the
14        Internal Revenue Code that is administered by this
15        State to an ABLE account established under an
16        out-of-state ABLE account program, an amount equal to
17        the contribution component of the transferred amount
18        that was previously deducted from base income under
19        subsection (a)(2)(Y) or subsection (a)(2)(HH) of this
20        Section;
21            (D-22) For taxable years beginning on or after
22        January 1, 2009, and prior to January 1, 2018, in the
23        case of a nonqualified withdrawal or refund of moneys
24        from a qualified tuition program under Section 529 of
25        the Internal Revenue Code administered by the State
26        that is not used for qualified expenses at an eligible

 

 

SB2435- 415 -LRB102 04062 AMC 14078 b

1        education institution, an amount equal to the
2        contribution component of the nonqualified withdrawal
3        or refund that was previously deducted from base
4        income under subsection (a)(2)(y) of this Section,
5        provided that the withdrawal or refund did not result
6        from the beneficiary's death or disability. For
7        taxable years beginning on or after January 1, 2018:
8        (1) in the case of a nonqualified withdrawal or
9        refund, as defined under Section 16.5 of the State
10        Treasurer Act, of moneys from a qualified tuition
11        program under Section 529 of the Internal Revenue Code
12        administered by the State, an amount equal to the
13        contribution component of the nonqualified withdrawal
14        or refund that was previously deducted from base
15        income under subsection (a)(2)(Y) of this Section, and
16        (2) in the case of a nonqualified withdrawal or refund
17        from a qualified ABLE program under Section 529A of
18        the Internal Revenue Code administered by the State
19        that is not used for qualified disability expenses, an
20        amount equal to the contribution component of the
21        nonqualified withdrawal or refund that was previously
22        deducted from base income under subsection (a)(2)(HH)
23        of this Section;
24            (D-23) An amount equal to the credit allowable to
25        the taxpayer under Section 218(a) of this Act,
26        determined without regard to Section 218(c) of this

 

 

SB2435- 416 -LRB102 04062 AMC 14078 b

1        Act;
2            (D-24) For taxable years ending on or after
3        December 31, 2017, an amount equal to the deduction
4        allowed under Section 199 of the Internal Revenue Code
5        for the taxable year;
6    and by deducting from the total so obtained the sum of the
7    following amounts:
8            (E) For taxable years ending before December 31,
9        2001, any amount included in such total in respect of
10        any compensation (including but not limited to any
11        compensation paid or accrued to a serviceman while a
12        prisoner of war or missing in action) paid to a
13        resident by reason of being on active duty in the Armed
14        Forces of the United States and in respect of any
15        compensation paid or accrued to a resident who as a
16        governmental employee was a prisoner of war or missing
17        in action, and in respect of any compensation paid to a
18        resident in 1971 or thereafter for annual training
19        performed pursuant to Sections 502 and 503, Title 32,
20        United States Code as a member of the Illinois
21        National Guard or, beginning with taxable years ending
22        on or after December 31, 2007, the National Guard of
23        any other state. For taxable years ending on or after
24        December 31, 2001, any amount included in such total
25        in respect of any compensation (including but not
26        limited to any compensation paid or accrued to a

 

 

SB2435- 417 -LRB102 04062 AMC 14078 b

1        serviceman while a prisoner of war or missing in
2        action) paid to a resident by reason of being a member
3        of any component of the Armed Forces of the United
4        States and in respect of any compensation paid or
5        accrued to a resident who as a governmental employee
6        was a prisoner of war or missing in action, and in
7        respect of any compensation paid to a resident in 2001
8        or thereafter by reason of being a member of the
9        Illinois National Guard or, beginning with taxable
10        years ending on or after December 31, 2007, the
11        National Guard of any other state. The provisions of
12        this subparagraph (E) are exempt from the provisions
13        of Section 250;
14            (F) An amount equal to all amounts included in
15        such total pursuant to the provisions of Sections
16        402(a), 402(c), 403(a), 403(b), 406(a), 407(a), and
17        408 of the Internal Revenue Code, or included in such
18        total as distributions under the provisions of any
19        retirement or disability plan for employees of any
20        governmental agency or unit, or retirement payments to
21        retired partners, which payments are excluded in
22        computing net earnings from self employment by Section
23        1402 of the Internal Revenue Code and regulations
24        adopted pursuant thereto;
25            (G) The valuation limitation amount;
26            (H) An amount equal to the amount of any tax

 

 

SB2435- 418 -LRB102 04062 AMC 14078 b

1        imposed by this Act which was refunded to the taxpayer
2        and included in such total for the taxable year;
3            (I) An amount equal to all amounts included in
4        such total pursuant to the provisions of Section 111
5        of the Internal Revenue Code as a recovery of items
6        previously deducted from adjusted gross income in the
7        computation of taxable income;
8            (J) An amount equal to those dividends included in
9        such total which were paid by a corporation which
10        conducts business operations in a River Edge
11        Redevelopment Zone or zones created under the River
12        Edge Redevelopment Zone Act, and conducts
13        substantially all of its operations in a River Edge
14        Redevelopment Zone or zones. This subparagraph (J) is
15        exempt from the provisions of Section 250;
16            (K) An amount equal to those dividends included in
17        such total that were paid by a corporation that
18        conducts business operations in a federally designated
19        Foreign Trade Zone or Sub-Zone and that is designated
20        a High Impact Business located in Illinois; provided
21        that dividends eligible for the deduction provided in
22        subparagraph (J) of paragraph (2) of this subsection
23        shall not be eligible for the deduction provided under
24        this subparagraph (K);
25            (L) For taxable years ending after December 31,
26        1983, an amount equal to all social security benefits

 

 

SB2435- 419 -LRB102 04062 AMC 14078 b

1        and railroad retirement benefits included in such
2        total pursuant to Sections 72(r) and 86 of the
3        Internal Revenue Code;
4            (M) With the exception of any amounts subtracted
5        under subparagraph (N), an amount equal to the sum of
6        all amounts disallowed as deductions by (i) Sections
7        171(a)(2), and 265(a)(2) of the Internal Revenue Code,
8        and all amounts of expenses allocable to interest and
9        disallowed as deductions by Section 265(a)(1) of the
10        Internal Revenue Code; and (ii) for taxable years
11        ending on or after August 13, 1999, Sections
12        171(a)(2), 265, 280C, and 832(b)(5)(B)(i) of the
13        Internal Revenue Code, plus, for taxable years ending
14        on or after December 31, 2011, Section 45G(e)(3) of
15        the Internal Revenue Code and, for taxable years
16        ending on or after December 31, 2008, any amount
17        included in gross income under Section 87 of the
18        Internal Revenue Code; the provisions of this
19        subparagraph are exempt from the provisions of Section
20        250;
21            (N) An amount equal to all amounts included in
22        such total which are exempt from taxation by this
23        State either by reason of its statutes or Constitution
24        or by reason of the Constitution, treaties or statutes
25        of the United States; provided that, in the case of any
26        statute of this State that exempts income derived from

 

 

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1        bonds or other obligations from the tax imposed under
2        this Act, the amount exempted shall be the interest
3        net of bond premium amortization;
4            (O) An amount equal to any contribution made to a
5        job training project established pursuant to the Tax
6        Increment Allocation Redevelopment Act;
7            (P) An amount equal to the amount of the deduction
8        used to compute the federal income tax credit for
9        restoration of substantial amounts held under claim of
10        right for the taxable year pursuant to Section 1341 of
11        the Internal Revenue Code or of any itemized deduction
12        taken from adjusted gross income in the computation of
13        taxable income for restoration of substantial amounts
14        held under claim of right for the taxable year;
15            (Q) An amount equal to any amounts included in
16        such total, received by the taxpayer as an
17        acceleration in the payment of life, endowment or
18        annuity benefits in advance of the time they would
19        otherwise be payable as an indemnity for a terminal
20        illness;
21            (R) An amount equal to the amount of any federal or
22        State bonus paid to veterans of the Persian Gulf War;
23            (S) An amount, to the extent included in adjusted
24        gross income, equal to the amount of a contribution
25        made in the taxable year on behalf of the taxpayer to a
26        medical care savings account established under the

 

 

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1        Medical Care Savings Account Act or the Medical Care
2        Savings Account Act of 2000 to the extent the
3        contribution is accepted by the account administrator
4        as provided in that Act;
5            (T) An amount, to the extent included in adjusted
6        gross income, equal to the amount of interest earned
7        in the taxable year on a medical care savings account
8        established under the Medical Care Savings Account Act
9        or the Medical Care Savings Account Act of 2000 on
10        behalf of the taxpayer, other than interest added
11        pursuant to item (D-5) of this paragraph (2);
12            (U) For one taxable year beginning on or after
13        January 1, 1994, an amount equal to the total amount of
14        tax imposed and paid under subsections (a) and (b) of
15        Section 201 of this Act on grant amounts received by
16        the taxpayer under the Nursing Home Grant Assistance
17        Act during the taxpayer's taxable years 1992 and 1993;
18            (V) Beginning with tax years ending on or after
19        December 31, 1995 and ending with tax years ending on
20        or before December 31, 2004, an amount equal to the
21        amount paid by a taxpayer who is a self-employed
22        taxpayer, a partner of a partnership, or a shareholder
23        in a Subchapter S corporation for health insurance or
24        long-term care insurance for that taxpayer or that
25        taxpayer's spouse or dependents, to the extent that
26        the amount paid for that health insurance or long-term

 

 

SB2435- 422 -LRB102 04062 AMC 14078 b

1        care insurance may be deducted under Section 213 of
2        the Internal Revenue Code, has not been deducted on
3        the federal income tax return of the taxpayer, and
4        does not exceed the taxable income attributable to
5        that taxpayer's income, self-employment income, or
6        Subchapter S corporation income; except that no
7        deduction shall be allowed under this item (V) if the
8        taxpayer is eligible to participate in any health
9        insurance or long-term care insurance plan of an
10        employer of the taxpayer or the taxpayer's spouse. The
11        amount of the health insurance and long-term care
12        insurance subtracted under this item (V) shall be
13        determined by multiplying total health insurance and
14        long-term care insurance premiums paid by the taxpayer
15        times a number that represents the fractional
16        percentage of eligible medical expenses under Section
17        213 of the Internal Revenue Code of 1986 not actually
18        deducted on the taxpayer's federal income tax return;
19            (W) For taxable years beginning on or after
20        January 1, 1998, all amounts included in the
21        taxpayer's federal gross income in the taxable year
22        from amounts converted from a regular IRA to a Roth
23        IRA. This paragraph is exempt from the provisions of
24        Section 250;
25            (X) For taxable year 1999 and thereafter, an
26        amount equal to the amount of any (i) distributions,

 

 

SB2435- 423 -LRB102 04062 AMC 14078 b

1        to the extent includible in gross income for federal
2        income tax purposes, made to the taxpayer because of
3        his or her status as a victim of persecution for racial
4        or religious reasons by Nazi Germany or any other Axis
5        regime or as an heir of the victim and (ii) items of
6        income, to the extent includible in gross income for
7        federal income tax purposes, attributable to, derived
8        from or in any way related to assets stolen from,
9        hidden from, or otherwise lost to a victim of
10        persecution for racial or religious reasons by Nazi
11        Germany or any other Axis regime immediately prior to,
12        during, and immediately after World War II, including,
13        but not limited to, interest on the proceeds
14        receivable as insurance under policies issued to a
15        victim of persecution for racial or religious reasons
16        by Nazi Germany or any other Axis regime by European
17        insurance companies immediately prior to and during
18        World War II; provided, however, this subtraction from
19        federal adjusted gross income does not apply to assets
20        acquired with such assets or with the proceeds from
21        the sale of such assets; provided, further, this
22        paragraph shall only apply to a taxpayer who was the
23        first recipient of such assets after their recovery
24        and who is a victim of persecution for racial or
25        religious reasons by Nazi Germany or any other Axis
26        regime or as an heir of the victim. The amount of and

 

 

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1        the eligibility for any public assistance, benefit, or
2        similar entitlement is not affected by the inclusion
3        of items (i) and (ii) of this paragraph in gross income
4        for federal income tax purposes. This paragraph is
5        exempt from the provisions of Section 250;
6            (Y) For taxable years beginning on or after
7        January 1, 2002 and ending on or before December 31,
8        2004, moneys contributed in the taxable year to a
9        College Savings Pool account under Section 16.5 of the
10        State Treasurer Act, except that amounts excluded from
11        gross income under Section 529(c)(3)(C)(i) of the
12        Internal Revenue Code shall not be considered moneys
13        contributed under this subparagraph (Y). For taxable
14        years beginning on or after January 1, 2005, a maximum
15        of $10,000 contributed in the taxable year to (i) a
16        College Savings Pool account under Section 16.5 of the
17        State Treasurer Act or (ii) the Illinois Prepaid
18        Tuition Trust Fund, except that amounts excluded from
19        gross income under Section 529(c)(3)(C)(i) of the
20        Internal Revenue Code shall not be considered moneys
21        contributed under this subparagraph (Y). For purposes
22        of this subparagraph, contributions made by an
23        employer on behalf of an employee, or matching
24        contributions made by an employee, shall be treated as
25        made by the employee. This subparagraph (Y) is exempt
26        from the provisions of Section 250;

 

 

SB2435- 425 -LRB102 04062 AMC 14078 b

1            (Z) For taxable years 2001 and thereafter, for the
2        taxable year in which the bonus depreciation deduction
3        is taken on the taxpayer's federal income tax return
4        under subsection (k) of Section 168 of the Internal
5        Revenue Code and for each applicable taxable year
6        thereafter, an amount equal to "x", where:
7                (1) "y" equals the amount of the depreciation
8            deduction taken for the taxable year on the
9            taxpayer's federal income tax return on property
10            for which the bonus depreciation deduction was
11            taken in any year under subsection (k) of Section
12            168 of the Internal Revenue Code, but not
13            including the bonus depreciation deduction;
14                (2) for taxable years ending on or before
15            December 31, 2005, "x" equals "y" multiplied by 30
16            and then divided by 70 (or "y" multiplied by
17            0.429); and
18                (3) for taxable years ending after December
19            31, 2005:
20                    (i) for property on which a bonus
21                depreciation deduction of 30% of the adjusted
22                basis was taken, "x" equals "y" multiplied by
23                30 and then divided by 70 (or "y" multiplied
24                by 0.429); and
25                    (ii) for property on which a bonus
26                depreciation deduction of 50% of the adjusted

 

 

SB2435- 426 -LRB102 04062 AMC 14078 b

1                basis was taken, "x" equals "y" multiplied by
2                1.0.
3            The aggregate amount deducted under this
4        subparagraph in all taxable years for any one piece of
5        property may not exceed the amount of the bonus
6        depreciation deduction taken on that property on the
7        taxpayer's federal income tax return under subsection
8        (k) of Section 168 of the Internal Revenue Code. This
9        subparagraph (Z) is exempt from the provisions of
10        Section 250;
11            (AA) If the taxpayer sells, transfers, abandons,
12        or otherwise disposes of property for which the
13        taxpayer was required in any taxable year to make an
14        addition modification under subparagraph (D-15), then
15        an amount equal to that addition modification.
16            If the taxpayer continues to own property through
17        the last day of the last tax year for which the
18        taxpayer may claim a depreciation deduction for
19        federal income tax purposes and for which the taxpayer
20        was required in any taxable year to make an addition
21        modification under subparagraph (D-15), then an amount
22        equal to that addition modification.
23            The taxpayer is allowed to take the deduction
24        under this subparagraph only once with respect to any
25        one piece of property.
26            This subparagraph (AA) is exempt from the

 

 

SB2435- 427 -LRB102 04062 AMC 14078 b

1        provisions of Section 250;
2            (BB) Any amount included in adjusted gross income,
3        other than salary, received by a driver in a
4        ridesharing arrangement using a motor vehicle;
5            (CC) The amount of (i) any interest income (net of
6        the deductions allocable thereto) taken into account
7        for the taxable year with respect to a transaction
8        with a taxpayer that is required to make an addition
9        modification with respect to such transaction under
10        Section 203(a)(2)(D-17), 203(b)(2)(E-12),
11        203(c)(2)(G-12), or 203(d)(2)(D-7), but not to exceed
12        the amount of that addition modification, and (ii) any
13        income from intangible property (net of the deductions
14        allocable thereto) taken into account for the taxable
15        year with respect to a transaction with a taxpayer
16        that is required to make an addition modification with
17        respect to such transaction under Section
18        203(a)(2)(D-18), 203(b)(2)(E-13), 203(c)(2)(G-13), or
19        203(d)(2)(D-8), but not to exceed the amount of that
20        addition modification. This subparagraph (CC) is
21        exempt from the provisions of Section 250;
22            (DD) An amount equal to the interest income taken
23        into account for the taxable year (net of the
24        deductions allocable thereto) with respect to
25        transactions with (i) a foreign person who would be a
26        member of the taxpayer's unitary business group but

 

 

SB2435- 428 -LRB102 04062 AMC 14078 b

1        for the fact that the foreign person's business
2        activity outside the United States is 80% or more of
3        that person's total business activity and (ii) for
4        taxable years ending on or after December 31, 2008, to
5        a person who would be a member of the same unitary
6        business group but for the fact that the person is
7        prohibited under Section 1501(a)(27) from being
8        included in the unitary business group because he or
9        she is ordinarily required to apportion business
10        income under different subsections of Section 304, but
11        not to exceed the addition modification required to be
12        made for the same taxable year under Section
13        203(a)(2)(D-17) for interest paid, accrued, or
14        incurred, directly or indirectly, to the same person.
15        This subparagraph (DD) is exempt from the provisions
16        of Section 250;
17            (EE) An amount equal to the income from intangible
18        property taken into account for the taxable year (net
19        of the deductions allocable thereto) with respect to
20        transactions with (i) a foreign person who would be a
21        member of the taxpayer's unitary business group but
22        for the fact that the foreign person's business
23        activity outside the United States is 80% or more of
24        that person's total business activity and (ii) for
25        taxable years ending on or after December 31, 2008, to
26        a person who would be a member of the same unitary

 

 

SB2435- 429 -LRB102 04062 AMC 14078 b

1        business group but for the fact that the person is
2        prohibited under Section 1501(a)(27) from being
3        included in the unitary business group because he or
4        she is ordinarily required to apportion business
5        income under different subsections of Section 304, but
6        not to exceed the addition modification required to be
7        made for the same taxable year under Section
8        203(a)(2)(D-18) for intangible expenses and costs
9        paid, accrued, or incurred, directly or indirectly, to
10        the same foreign person. This subparagraph (EE) is
11        exempt from the provisions of Section 250;
12            (FF) An amount equal to any amount awarded to the
13        taxpayer during the taxable year by the Court of
14        Claims under subsection (c) of Section 8 of the Court
15        of Claims Act for time unjustly served in a State
16        prison. This subparagraph (FF) is exempt from the
17        provisions of Section 250;
18            (GG) For taxable years ending on or after December
19        31, 2011, in the case of a taxpayer who was required to
20        add back any insurance premiums under Section
21        203(a)(2)(D-19), such taxpayer may elect to subtract
22        that part of a reimbursement received from the
23        insurance company equal to the amount of the expense
24        or loss (including expenses incurred by the insurance
25        company) that would have been taken into account as a
26        deduction for federal income tax purposes if the

 

 

SB2435- 430 -LRB102 04062 AMC 14078 b

1        expense or loss had been uninsured. If a taxpayer
2        makes the election provided for by this subparagraph
3        (GG), the insurer to which the premiums were paid must
4        add back to income the amount subtracted by the
5        taxpayer pursuant to this subparagraph (GG). This
6        subparagraph (GG) is exempt from the provisions of
7        Section 250; and
8            (HH) For taxable years beginning on or after
9        January 1, 2018 and prior to January 1, 2023, a maximum
10        of $10,000 contributed in the taxable year to a
11        qualified ABLE account under Section 16.6 of the State
12        Treasurer Act, except that amounts excluded from gross
13        income under Section 529(c)(3)(C)(i) or Section
14        529A(c)(1)(C) of the Internal Revenue Code shall not
15        be considered moneys contributed under this
16        subparagraph (HH). For purposes of this subparagraph
17        (HH), contributions made by an employer on behalf of
18        an employee, or matching contributions made by an
19        employee, shall be treated as made by the employee.
 
20    (b) Corporations.
21        (1) In general. In the case of a corporation, base
22    income means an amount equal to the taxpayer's taxable
23    income for the taxable year as modified by paragraph (2).
24        (2) Modifications. The taxable income referred to in
25    paragraph (1) shall be modified by adding thereto the sum

 

 

SB2435- 431 -LRB102 04062 AMC 14078 b

1    of the following amounts:
2            (A) An amount equal to all amounts paid or accrued
3        to the taxpayer as interest and all distributions
4        received from regulated investment companies during
5        the taxable year to the extent excluded from gross
6        income in the computation of taxable income;
7            (B) An amount equal to the amount of tax imposed by
8        this Act to the extent deducted from gross income in
9        the computation of taxable income for the taxable
10        year;
11            (C) In the case of a regulated investment company,
12        an amount equal to the excess of (i) the net long-term
13        capital gain for the taxable year, over (ii) the
14        amount of the capital gain dividends designated as
15        such in accordance with Section 852(b)(3)(C) of the
16        Internal Revenue Code and any amount designated under
17        Section 852(b)(3)(D) of the Internal Revenue Code,
18        attributable to the taxable year (this amendatory Act
19        of 1995 (Public Act 89-89) is declarative of existing
20        law and is not a new enactment);
21            (D) The amount of any net operating loss deduction
22        taken in arriving at taxable income, other than a net
23        operating loss carried forward from a taxable year
24        ending prior to December 31, 1986;
25            (E) For taxable years in which a net operating
26        loss carryback or carryforward from a taxable year

 

 

SB2435- 432 -LRB102 04062 AMC 14078 b

1        ending prior to December 31, 1986 is an element of
2        taxable income under paragraph (1) of subsection (e)
3        or subparagraph (E) of paragraph (2) of subsection
4        (e), the amount by which addition modifications other
5        than those provided by this subparagraph (E) exceeded
6        subtraction modifications in such earlier taxable
7        year, with the following limitations applied in the
8        order that they are listed:
9                (i) the addition modification relating to the
10            net operating loss carried back or forward to the
11            taxable year from any taxable year ending prior to
12            December 31, 1986 shall be reduced by the amount
13            of addition modification under this subparagraph
14            (E) which related to that net operating loss and
15            which was taken into account in calculating the
16            base income of an earlier taxable year, and
17                (ii) the addition modification relating to the
18            net operating loss carried back or forward to the
19            taxable year from any taxable year ending prior to
20            December 31, 1986 shall not exceed the amount of
21            such carryback or carryforward;
22            For taxable years in which there is a net
23        operating loss carryback or carryforward from more
24        than one other taxable year ending prior to December
25        31, 1986, the addition modification provided in this
26        subparagraph (E) shall be the sum of the amounts

 

 

SB2435- 433 -LRB102 04062 AMC 14078 b

1        computed independently under the preceding provisions
2        of this subparagraph (E) for each such taxable year;
3            (E-5) For taxable years ending after December 31,
4        1997, an amount equal to any eligible remediation
5        costs that the corporation deducted in computing
6        adjusted gross income and for which the corporation
7        claims a credit under subsection (l) of Section 201;
8            (E-10) For taxable years 2001 and thereafter, an
9        amount equal to the bonus depreciation deduction taken
10        on the taxpayer's federal income tax return for the
11        taxable year under subsection (k) of Section 168 of
12        the Internal Revenue Code;
13            (E-11) If the taxpayer sells, transfers, abandons,
14        or otherwise disposes of property for which the
15        taxpayer was required in any taxable year to make an
16        addition modification under subparagraph (E-10), then
17        an amount equal to the aggregate amount of the
18        deductions taken in all taxable years under
19        subparagraph (T) with respect to that property.
20            If the taxpayer continues to own property through
21        the last day of the last tax year for which the
22        taxpayer may claim a depreciation deduction for
23        federal income tax purposes and for which the taxpayer
24        was allowed in any taxable year to make a subtraction
25        modification under subparagraph (T), then an amount
26        equal to that subtraction modification.

 

 

SB2435- 434 -LRB102 04062 AMC 14078 b

1            The taxpayer is required to make the addition
2        modification under this subparagraph only once with
3        respect to any one piece of property;
4            (E-12) An amount equal to the amount otherwise
5        allowed as a deduction in computing base income for
6        interest paid, accrued, or incurred, directly or
7        indirectly, (i) for taxable years ending on or after
8        December 31, 2004, to a foreign person who would be a
9        member of the same unitary business group but for the
10        fact the foreign person's business activity outside
11        the United States is 80% or more of the foreign
12        person's total business activity and (ii) for taxable
13        years ending on or after December 31, 2008, to a person
14        who would be a member of the same unitary business
15        group but for the fact that the person is prohibited
16        under Section 1501(a)(27) from being included in the
17        unitary business group because he or she is ordinarily
18        required to apportion business income under different
19        subsections of Section 304. The addition modification
20        required by this subparagraph shall be reduced to the
21        extent that dividends were included in base income of
22        the unitary group for the same taxable year and
23        received by the taxpayer or by a member of the
24        taxpayer's unitary business group (including amounts
25        included in gross income pursuant to Sections 951
26        through 964 of the Internal Revenue Code and amounts

 

 

SB2435- 435 -LRB102 04062 AMC 14078 b

1        included in gross income under Section 78 of the
2        Internal Revenue Code) with respect to the stock of
3        the same person to whom the interest was paid,
4        accrued, or incurred.
5            This paragraph shall not apply to the following:
6                (i) an item of interest paid, accrued, or
7            incurred, directly or indirectly, to a person who
8            is subject in a foreign country or state, other
9            than a state which requires mandatory unitary
10            reporting, to a tax on or measured by net income
11            with respect to such interest; or
12                (ii) an item of interest paid, accrued, or
13            incurred, directly or indirectly, to a person if
14            the taxpayer can establish, based on a
15            preponderance of the evidence, both of the
16            following:
17                    (a) the person, during the same taxable
18                year, paid, accrued, or incurred, the interest
19                to a person that is not a related member, and
20                    (b) the transaction giving rise to the
21                interest expense between the taxpayer and the
22                person did not have as a principal purpose the
23                avoidance of Illinois income tax, and is paid
24                pursuant to a contract or agreement that
25                reflects an arm's-length interest rate and
26                terms; or

 

 

SB2435- 436 -LRB102 04062 AMC 14078 b

1                (iii) the taxpayer can establish, based on
2            clear and convincing evidence, that the interest
3            paid, accrued, or incurred relates to a contract
4            or agreement entered into at arm's-length rates
5            and terms and the principal purpose for the
6            payment is not federal or Illinois tax avoidance;
7            or
8                (iv) an item of interest paid, accrued, or
9            incurred, directly or indirectly, to a person if
10            the taxpayer establishes by clear and convincing
11            evidence that the adjustments are unreasonable; or
12            if the taxpayer and the Director agree in writing
13            to the application or use of an alternative method
14            of apportionment under Section 304(f).
15                Nothing in this subsection shall preclude the
16            Director from making any other adjustment
17            otherwise allowed under Section 404 of this Act
18            for any tax year beginning after the effective
19            date of this amendment provided such adjustment is
20            made pursuant to regulation adopted by the
21            Department and such regulations provide methods
22            and standards by which the Department will utilize
23            its authority under Section 404 of this Act;
24            (E-13) An amount equal to the amount of intangible
25        expenses and costs otherwise allowed as a deduction in
26        computing base income, and that were paid, accrued, or

 

 

SB2435- 437 -LRB102 04062 AMC 14078 b

1        incurred, directly or indirectly, (i) for taxable
2        years ending on or after December 31, 2004, to a
3        foreign person who would be a member of the same
4        unitary business group but for the fact that the
5        foreign person's business activity outside the United
6        States is 80% or more of that person's total business
7        activity and (ii) for taxable years ending on or after
8        December 31, 2008, to a person who would be a member of
9        the same unitary business group but for the fact that
10        the person is prohibited under Section 1501(a)(27)
11        from being included in the unitary business group
12        because he or she is ordinarily required to apportion
13        business income under different subsections of Section
14        304. The addition modification required by this
15        subparagraph shall be reduced to the extent that
16        dividends were included in base income of the unitary
17        group for the same taxable year and received by the
18        taxpayer or by a member of the taxpayer's unitary
19        business group (including amounts included in gross
20        income pursuant to Sections 951 through 964 of the
21        Internal Revenue Code and amounts included in gross
22        income under Section 78 of the Internal Revenue Code)
23        with respect to the stock of the same person to whom
24        the intangible expenses and costs were directly or
25        indirectly paid, incurred, or accrued. The preceding
26        sentence shall not apply to the extent that the same

 

 

SB2435- 438 -LRB102 04062 AMC 14078 b

1        dividends caused a reduction to the addition
2        modification required under Section 203(b)(2)(E-12) of
3        this Act. As used in this subparagraph, the term
4        "intangible expenses and costs" includes (1) expenses,
5        losses, and costs for, or related to, the direct or
6        indirect acquisition, use, maintenance or management,
7        ownership, sale, exchange, or any other disposition of
8        intangible property; (2) losses incurred, directly or
9        indirectly, from factoring transactions or discounting
10        transactions; (3) royalty, patent, technical, and
11        copyright fees; (4) licensing fees; and (5) other
12        similar expenses and costs. For purposes of this
13        subparagraph, "intangible property" includes patents,
14        patent applications, trade names, trademarks, service
15        marks, copyrights, mask works, trade secrets, and
16        similar types of intangible assets.
17            This paragraph shall not apply to the following:
18                (i) any item of intangible expenses or costs
19            paid, accrued, or incurred, directly or
20            indirectly, from a transaction with a person who
21            is subject in a foreign country or state, other
22            than a state which requires mandatory unitary
23            reporting, to a tax on or measured by net income
24            with respect to such item; or
25                (ii) any item of intangible expense or cost
26            paid, accrued, or incurred, directly or

 

 

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1            indirectly, if the taxpayer can establish, based
2            on a preponderance of the evidence, both of the
3            following:
4                    (a) the person during the same taxable
5                year paid, accrued, or incurred, the
6                intangible expense or cost to a person that is
7                not a related member, and
8                    (b) the transaction giving rise to the
9                intangible expense or cost between the
10                taxpayer and the person did not have as a
11                principal purpose the avoidance of Illinois
12                income tax, and is paid pursuant to a contract
13                or agreement that reflects arm's-length terms;
14                or
15                (iii) any item of intangible expense or cost
16            paid, accrued, or incurred, directly or
17            indirectly, from a transaction with a person if
18            the taxpayer establishes by clear and convincing
19            evidence, that the adjustments are unreasonable;
20            or if the taxpayer and the Director agree in
21            writing to the application or use of an
22            alternative method of apportionment under Section
23            304(f);
24                Nothing in this subsection shall preclude the
25            Director from making any other adjustment
26            otherwise allowed under Section 404 of this Act

 

 

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1            for any tax year beginning after the effective
2            date of this amendment provided such adjustment is
3            made pursuant to regulation adopted by the
4            Department and such regulations provide methods
5            and standards by which the Department will utilize
6            its authority under Section 404 of this Act;
7            (E-14) For taxable years ending on or after
8        December 31, 2008, an amount equal to the amount of
9        insurance premium expenses and costs otherwise allowed
10        as a deduction in computing base income, and that were
11        paid, accrued, or incurred, directly or indirectly, to
12        a person who would be a member of the same unitary
13        business group but for the fact that the person is
14        prohibited under Section 1501(a)(27) from being
15        included in the unitary business group because he or
16        she is ordinarily required to apportion business
17        income under different subsections of Section 304. The
18        addition modification required by this subparagraph
19        shall be reduced to the extent that dividends were
20        included in base income of the unitary group for the
21        same taxable year and received by the taxpayer or by a
22        member of the taxpayer's unitary business group
23        (including amounts included in gross income under
24        Sections 951 through 964 of the Internal Revenue Code
25        and amounts included in gross income under Section 78
26        of the Internal Revenue Code) with respect to the

 

 

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1        stock of the same person to whom the premiums and costs
2        were directly or indirectly paid, incurred, or
3        accrued. The preceding sentence does not apply to the
4        extent that the same dividends caused a reduction to
5        the addition modification required under Section
6        203(b)(2)(E-12) or Section 203(b)(2)(E-13) of this
7        Act;
8            (E-15) For taxable years beginning after December
9        31, 2008, any deduction for dividends paid by a
10        captive real estate investment trust that is allowed
11        to a real estate investment trust under Section
12        857(b)(2)(B) of the Internal Revenue Code for
13        dividends paid;
14            (E-16) An amount equal to the credit allowable to
15        the taxpayer under Section 218(a) of this Act,
16        determined without regard to Section 218(c) of this
17        Act;
18            (E-17) For taxable years ending on or after
19        December 31, 2017, an amount equal to the deduction
20        allowed under Section 199 of the Internal Revenue Code
21        for the taxable year;
22            (E-18) for taxable years beginning after December
23        31, 2018, an amount equal to the deduction allowed
24        under Section 250(a)(1)(A) of the Internal Revenue
25        Code for the taxable year.
26    and by deducting from the total so obtained the sum of the

 

 

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1    following amounts:
2            (F) An amount equal to the amount of any tax
3        imposed by this Act which was refunded to the taxpayer
4        and included in such total for the taxable year;
5            (G) An amount equal to any amount included in such
6        total under Section 78 of the Internal Revenue Code;
7            (H) In the case of a regulated investment company,
8        an amount equal to the amount of exempt interest
9        dividends as defined in subsection (b)(5) of Section
10        852 of the Internal Revenue Code, paid to shareholders
11        for the taxable year;
12            (I) With the exception of any amounts subtracted
13        under subparagraph (J), an amount equal to the sum of
14        all amounts disallowed as deductions by (i) Sections
15        171(a)(2), and 265(a)(2) and amounts disallowed as
16        interest expense by Section 291(a)(3) of the Internal
17        Revenue Code, and all amounts of expenses allocable to
18        interest and disallowed as deductions by Section
19        265(a)(1) of the Internal Revenue Code; and (ii) for
20        taxable years ending on or after August 13, 1999,
21        Sections 171(a)(2), 265, 280C, 291(a)(3), and
22        832(b)(5)(B)(i) of the Internal Revenue Code, plus,
23        for tax years ending on or after December 31, 2011,
24        amounts disallowed as deductions by Section 45G(e)(3)
25        of the Internal Revenue Code and, for taxable years
26        ending on or after December 31, 2008, any amount

 

 

SB2435- 443 -LRB102 04062 AMC 14078 b

1        included in gross income under Section 87 of the
2        Internal Revenue Code and the policyholders' share of
3        tax-exempt interest of a life insurance company under
4        Section 807(a)(2)(B) of the Internal Revenue Code (in
5        the case of a life insurance company with gross income
6        from a decrease in reserves for the tax year) or
7        Section 807(b)(1)(B) of the Internal Revenue Code (in
8        the case of a life insurance company allowed a
9        deduction for an increase in reserves for the tax
10        year); the provisions of this subparagraph are exempt
11        from the provisions of Section 250;
12            (J) An amount equal to all amounts included in
13        such total which are exempt from taxation by this
14        State either by reason of its statutes or Constitution
15        or by reason of the Constitution, treaties or statutes
16        of the United States; provided that, in the case of any
17        statute of this State that exempts income derived from
18        bonds or other obligations from the tax imposed under
19        this Act, the amount exempted shall be the interest
20        net of bond premium amortization;
21            (K) An amount equal to those dividends included in
22        such total which were paid by a corporation which
23        conducts business operations in a River Edge
24        Redevelopment Zone or zones created under the River
25        Edge Redevelopment Zone Act and conducts substantially
26        all of its operations in a River Edge Redevelopment

 

 

SB2435- 444 -LRB102 04062 AMC 14078 b

1        Zone or zones. This subparagraph (K) is exempt from
2        the provisions of Section 250;
3            (L) An amount equal to those dividends included in
4        such total that were paid by a corporation that
5        conducts business operations in a federally designated
6        Foreign Trade Zone or Sub-Zone and that is designated
7        a High Impact Business located in Illinois; provided
8        that dividends eligible for the deduction provided in
9        subparagraph (K) of paragraph 2 of this subsection
10        shall not be eligible for the deduction provided under
11        this subparagraph (L);
12            (M) For any taxpayer that is a financial
13        organization within the meaning of Section 304(c) of
14        this Act, an amount included in such total as interest
15        income from a loan or loans made by such taxpayer to a
16        borrower, to the extent that such a loan is secured by
17        property which is eligible for the River Edge
18        Redevelopment Zone Investment Credit. To determine the
19        portion of a loan or loans that is secured by property
20        eligible for a Section 201(f) investment credit to the
21        borrower, the entire principal amount of the loan or
22        loans between the taxpayer and the borrower should be
23        divided into the basis of the Section 201(f)
24        investment credit property which secures the loan or
25        loans, using for this purpose the original basis of
26        such property on the date that it was placed in service

 

 

SB2435- 445 -LRB102 04062 AMC 14078 b

1        in the River Edge Redevelopment Zone. The subtraction
2        modification available to the taxpayer in any year
3        under this subsection shall be that portion of the
4        total interest paid by the borrower with respect to
5        such loan attributable to the eligible property as
6        calculated under the previous sentence. This
7        subparagraph (M) is exempt from the provisions of
8        Section 250;
9            (M-1) For any taxpayer that is a financial
10        organization within the meaning of Section 304(c) of
11        this Act, an amount included in such total as interest
12        income from a loan or loans made by such taxpayer to a
13        borrower, to the extent that such a loan is secured by
14        property which is eligible for the High Impact
15        Business Investment Credit. To determine the portion
16        of a loan or loans that is secured by property eligible
17        for a Section 201(h) investment credit to the
18        borrower, the entire principal amount of the loan or
19        loans between the taxpayer and the borrower should be
20        divided into the basis of the Section 201(h)
21        investment credit property which secures the loan or
22        loans, using for this purpose the original basis of
23        such property on the date that it was placed in service
24        in a federally designated Foreign Trade Zone or
25        Sub-Zone located in Illinois. No taxpayer that is
26        eligible for the deduction provided in subparagraph

 

 

SB2435- 446 -LRB102 04062 AMC 14078 b

1        (M) of paragraph (2) of this subsection shall be
2        eligible for the deduction provided under this
3        subparagraph (M-1). The subtraction modification
4        available to taxpayers in any year under this
5        subsection shall be that portion of the total interest
6        paid by the borrower with respect to such loan
7        attributable to the eligible property as calculated
8        under the previous sentence;
9            (N) Two times any contribution made during the
10        taxable year to a designated zone organization to the
11        extent that the contribution (i) qualifies as a
12        charitable contribution under subsection (c) of
13        Section 170 of the Internal Revenue Code and (ii)
14        must, by its terms, be used for a project approved by
15        the Department of Commerce and Economic Opportunity
16        under Section 11 of the Illinois Enterprise Zone Act
17        or under Section 10-10 of the River Edge Redevelopment
18        Zone Act. This subparagraph (N) is exempt from the
19        provisions of Section 250;
20            (O) An amount equal to: (i) 85% for taxable years
21        ending on or before December 31, 1992, or, a
22        percentage equal to the percentage allowable under
23        Section 243(a)(1) of the Internal Revenue Code of 1986
24        for taxable years ending after December 31, 1992, of
25        the amount by which dividends included in taxable
26        income and received from a corporation that is not

 

 

SB2435- 447 -LRB102 04062 AMC 14078 b

1        created or organized under the laws of the United
2        States or any state or political subdivision thereof,
3        including, for taxable years ending on or after
4        December 31, 1988, dividends received or deemed
5        received or paid or deemed paid under Sections 951
6        through 965 of the Internal Revenue Code, exceed the
7        amount of the modification provided under subparagraph
8        (G) of paragraph (2) of this subsection (b) which is
9        related to such dividends, and including, for taxable
10        years ending on or after December 31, 2008, dividends
11        received from a captive real estate investment trust;
12        plus (ii) 100% of the amount by which dividends,
13        included in taxable income and received, including,
14        for taxable years ending on or after December 31,
15        1988, dividends received or deemed received or paid or
16        deemed paid under Sections 951 through 964 of the
17        Internal Revenue Code and including, for taxable years
18        ending on or after December 31, 2008, dividends
19        received from a captive real estate investment trust,
20        from any such corporation specified in clause (i) that
21        would but for the provisions of Section 1504(b)(3) of
22        the Internal Revenue Code be treated as a member of the
23        affiliated group which includes the dividend
24        recipient, exceed the amount of the modification
25        provided under subparagraph (G) of paragraph (2) of
26        this subsection (b) which is related to such

 

 

SB2435- 448 -LRB102 04062 AMC 14078 b

1        dividends. This subparagraph (O) is exempt from the
2        provisions of Section 250 of this Act;
3            (P) An amount equal to any contribution made to a
4        job training project established pursuant to the Tax
5        Increment Allocation Redevelopment Act;
6            (Q) An amount equal to the amount of the deduction
7        used to compute the federal income tax credit for
8        restoration of substantial amounts held under claim of
9        right for the taxable year pursuant to Section 1341 of
10        the Internal Revenue Code;
11            (R) On and after July 20, 1999, in the case of an
12        attorney-in-fact with respect to whom an interinsurer
13        or a reciprocal insurer has made the election under
14        Section 835 of the Internal Revenue Code, 26 U.S.C.
15        835, an amount equal to the excess, if any, of the
16        amounts paid or incurred by that interinsurer or
17        reciprocal insurer in the taxable year to the
18        attorney-in-fact over the deduction allowed to that
19        interinsurer or reciprocal insurer with respect to the
20        attorney-in-fact under Section 835(b) of the Internal
21        Revenue Code for the taxable year; the provisions of
22        this subparagraph are exempt from the provisions of
23        Section 250;
24            (S) For taxable years ending on or after December
25        31, 1997, in the case of a Subchapter S corporation, an
26        amount equal to all amounts of income allocable to a

 

 

SB2435- 449 -LRB102 04062 AMC 14078 b

1        shareholder subject to the Personal Property Tax
2        Replacement Income Tax imposed by subsections (c) and
3        (d) of Section 201 of this Act, including amounts
4        allocable to organizations exempt from federal income
5        tax by reason of Section 501(a) of the Internal
6        Revenue Code. This subparagraph (S) is exempt from the
7        provisions of Section 250;
8            (T) For taxable years 2001 and thereafter, for the
9        taxable year in which the bonus depreciation deduction
10        is taken on the taxpayer's federal income tax return
11        under subsection (k) of Section 168 of the Internal
12        Revenue Code and for each applicable taxable year
13        thereafter, an amount equal to "x", where:
14                (1) "y" equals the amount of the depreciation
15            deduction taken for the taxable year on the
16            taxpayer's federal income tax return on property
17            for which the bonus depreciation deduction was
18            taken in any year under subsection (k) of Section
19            168 of the Internal Revenue Code, but not
20            including the bonus depreciation deduction;
21                (2) for taxable years ending on or before
22            December 31, 2005, "x" equals "y" multiplied by 30
23            and then divided by 70 (or "y" multiplied by
24            0.429); and
25                (3) for taxable years ending after December
26            31, 2005:

 

 

SB2435- 450 -LRB102 04062 AMC 14078 b

1                    (i) for property on which a bonus
2                depreciation deduction of 30% of the adjusted
3                basis was taken, "x" equals "y" multiplied by
4                30 and then divided by 70 (or "y" multiplied
5                by 0.429); and
6                    (ii) for property on which a bonus
7                depreciation deduction of 50% of the adjusted
8                basis was taken, "x" equals "y" multiplied by
9                1.0.
10            The aggregate amount deducted under this
11        subparagraph in all taxable years for any one piece of
12        property may not exceed the amount of the bonus
13        depreciation deduction taken on that property on the
14        taxpayer's federal income tax return under subsection
15        (k) of Section 168 of the Internal Revenue Code. This
16        subparagraph (T) is exempt from the provisions of
17        Section 250;
18            (U) If the taxpayer sells, transfers, abandons, or
19        otherwise disposes of property for which the taxpayer
20        was required in any taxable year to make an addition
21        modification under subparagraph (E-10), then an amount
22        equal to that addition modification.
23            If the taxpayer continues to own property through
24        the last day of the last tax year for which the
25        taxpayer may claim a depreciation deduction for
26        federal income tax purposes and for which the taxpayer

 

 

SB2435- 451 -LRB102 04062 AMC 14078 b

1        was required in any taxable year to make an addition
2        modification under subparagraph (E-10), then an amount
3        equal to that addition modification.
4            The taxpayer is allowed to take the deduction
5        under this subparagraph only once with respect to any
6        one piece of property.
7            This subparagraph (U) is exempt from the
8        provisions of Section 250;
9            (V) The amount of: (i) any interest income (net of
10        the deductions allocable thereto) taken into account
11        for the taxable year with respect to a transaction
12        with a taxpayer that is required to make an addition
13        modification with respect to such transaction under
14        Section 203(a)(2)(D-17), 203(b)(2)(E-12),
15        203(c)(2)(G-12), or 203(d)(2)(D-7), but not to exceed
16        the amount of such addition modification, (ii) any
17        income from intangible property (net of the deductions
18        allocable thereto) taken into account for the taxable
19        year with respect to a transaction with a taxpayer
20        that is required to make an addition modification with
21        respect to such transaction under Section
22        203(a)(2)(D-18), 203(b)(2)(E-13), 203(c)(2)(G-13), or
23        203(d)(2)(D-8), but not to exceed the amount of such
24        addition modification, and (iii) any insurance premium
25        income (net of deductions allocable thereto) taken
26        into account for the taxable year with respect to a

 

 

SB2435- 452 -LRB102 04062 AMC 14078 b

1        transaction with a taxpayer that is required to make
2        an addition modification with respect to such
3        transaction under Section 203(a)(2)(D-19), Section
4        203(b)(2)(E-14), Section 203(c)(2)(G-14), or Section
5        203(d)(2)(D-9), but not to exceed the amount of that
6        addition modification. This subparagraph (V) is exempt
7        from the provisions of Section 250;
8            (W) An amount equal to the interest income taken
9        into account for the taxable year (net of the
10        deductions allocable thereto) with respect to
11        transactions with (i) a foreign person who would be a
12        member of the taxpayer's unitary business group but
13        for the fact that the foreign person's business
14        activity outside the United States is 80% or more of
15        that person's total business activity and (ii) for
16        taxable years ending on or after December 31, 2008, to
17        a person who would be a member of the same unitary
18        business group but for the fact that the person is
19        prohibited under Section 1501(a)(27) from being
20        included in the unitary business group because he or
21        she is ordinarily required to apportion business
22        income under different subsections of Section 304, but
23        not to exceed the addition modification required to be
24        made for the same taxable year under Section
25        203(b)(2)(E-12) for interest paid, accrued, or
26        incurred, directly or indirectly, to the same person.

 

 

SB2435- 453 -LRB102 04062 AMC 14078 b

1        This subparagraph (W) is exempt from the provisions of
2        Section 250;
3            (X) An amount equal to the income from intangible
4        property taken into account for the taxable year (net
5        of the deductions allocable thereto) with respect to
6        transactions with (i) a foreign person who would be a
7        member of the taxpayer's unitary business group but
8        for the fact that the foreign person's business
9        activity outside the United States is 80% or more of
10        that person's total business activity and (ii) for
11        taxable years ending on or after December 31, 2008, to
12        a person who would be a member of the same unitary
13        business group but for the fact that the person is
14        prohibited under Section 1501(a)(27) from being
15        included in the unitary business group because he or
16        she is ordinarily required to apportion business
17        income under different subsections of Section 304, but
18        not to exceed the addition modification required to be
19        made for the same taxable year under Section
20        203(b)(2)(E-13) for intangible expenses and costs
21        paid, accrued, or incurred, directly or indirectly, to
22        the same foreign person. This subparagraph (X) is
23        exempt from the provisions of Section 250;
24            (Y) For taxable years ending on or after December
25        31, 2011, in the case of a taxpayer who was required to
26        add back any insurance premiums under Section

 

 

SB2435- 454 -LRB102 04062 AMC 14078 b

1        203(b)(2)(E-14), such taxpayer may elect to subtract
2        that part of a reimbursement received from the
3        insurance company equal to the amount of the expense
4        or loss (including expenses incurred by the insurance
5        company) that would have been taken into account as a
6        deduction for federal income tax purposes if the
7        expense or loss had been uninsured. If a taxpayer
8        makes the election provided for by this subparagraph
9        (Y), the insurer to which the premiums were paid must
10        add back to income the amount subtracted by the
11        taxpayer pursuant to this subparagraph (Y). This
12        subparagraph (Y) is exempt from the provisions of
13        Section 250; and
14            (Z) The difference between the nondeductible
15        controlled foreign corporation dividends under Section
16        965(e)(3) of the Internal Revenue Code over the
17        taxable income of the taxpayer, computed without
18        regard to Section 965(e)(2)(A) of the Internal Revenue
19        Code, and without regard to any net operating loss
20        deduction. This subparagraph (Z) is exempt from the
21        provisions of Section 250.
22        (3) Special rule. For purposes of paragraph (2)(A),
23    "gross income" in the case of a life insurance company,
24    for tax years ending on and after December 31, 1994, and
25    prior to December 31, 2011, shall mean the gross
26    investment income for the taxable year and, for tax years

 

 

SB2435- 455 -LRB102 04062 AMC 14078 b

1    ending on or after December 31, 2011, shall mean all
2    amounts included in life insurance gross income under
3    Section 803(a)(3) of the Internal Revenue Code.
 
4    (c) Trusts and estates.
5        (1) In general. In the case of a trust or estate, base
6    income means an amount equal to the taxpayer's taxable
7    income for the taxable year as modified by paragraph (2).
8        (2) Modifications. Subject to the provisions of
9    paragraph (3), the taxable income referred to in paragraph
10    (1) shall be modified by adding thereto the sum of the
11    following amounts:
12            (A) An amount equal to all amounts paid or accrued
13        to the taxpayer as interest or dividends during the
14        taxable year to the extent excluded from gross income
15        in the computation of taxable income;
16            (B) In the case of (i) an estate, $600; (ii) a
17        trust which, under its governing instrument, is
18        required to distribute all of its income currently,
19        $300; and (iii) any other trust, $100, but in each such
20        case, only to the extent such amount was deducted in
21        the computation of taxable income;
22            (C) An amount equal to the amount of tax imposed by
23        this Act to the extent deducted from gross income in
24        the computation of taxable income for the taxable
25        year;

 

 

SB2435- 456 -LRB102 04062 AMC 14078 b

1            (D) The amount of any net operating loss deduction
2        taken in arriving at taxable income, other than a net
3        operating loss carried forward from a taxable year
4        ending prior to December 31, 1986;
5            (E) For taxable years in which a net operating
6        loss carryback or carryforward from a taxable year
7        ending prior to December 31, 1986 is an element of
8        taxable income under paragraph (1) of subsection (e)
9        or subparagraph (E) of paragraph (2) of subsection
10        (e), the amount by which addition modifications other
11        than those provided by this subparagraph (E) exceeded
12        subtraction modifications in such taxable year, with
13        the following limitations applied in the order that
14        they are listed:
15                (i) the addition modification relating to the
16            net operating loss carried back or forward to the
17            taxable year from any taxable year ending prior to
18            December 31, 1986 shall be reduced by the amount
19            of addition modification under this subparagraph
20            (E) which related to that net operating loss and
21            which was taken into account in calculating the
22            base income of an earlier taxable year, and
23                (ii) the addition modification relating to the
24            net operating loss carried back or forward to the
25            taxable year from any taxable year ending prior to
26            December 31, 1986 shall not exceed the amount of

 

 

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1            such carryback or carryforward;
2            For taxable years in which there is a net
3        operating loss carryback or carryforward from more
4        than one other taxable year ending prior to December
5        31, 1986, the addition modification provided in this
6        subparagraph (E) shall be the sum of the amounts
7        computed independently under the preceding provisions
8        of this subparagraph (E) for each such taxable year;
9            (F) For taxable years ending on or after January
10        1, 1989, an amount equal to the tax deducted pursuant
11        to Section 164 of the Internal Revenue Code if the
12        trust or estate is claiming the same tax for purposes
13        of the Illinois foreign tax credit under Section 601
14        of this Act;
15            (G) An amount equal to the amount of the capital
16        gain deduction allowable under the Internal Revenue
17        Code, to the extent deducted from gross income in the
18        computation of taxable income;
19            (G-5) For taxable years ending after December 31,
20        1997, an amount equal to any eligible remediation
21        costs that the trust or estate deducted in computing
22        adjusted gross income and for which the trust or
23        estate claims a credit under subsection (l) of Section
24        201;
25            (G-10) For taxable years 2001 and thereafter, an
26        amount equal to the bonus depreciation deduction taken

 

 

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1        on the taxpayer's federal income tax return for the
2        taxable year under subsection (k) of Section 168 of
3        the Internal Revenue Code; and
4            (G-11) If the taxpayer sells, transfers, abandons,
5        or otherwise disposes of property for which the
6        taxpayer was required in any taxable year to make an
7        addition modification under subparagraph (G-10), then
8        an amount equal to the aggregate amount of the
9        deductions taken in all taxable years under
10        subparagraph (R) with respect to that property.
11            If the taxpayer continues to own property through
12        the last day of the last tax year for which the
13        taxpayer may claim a depreciation deduction for
14        federal income tax purposes and for which the taxpayer
15        was allowed in any taxable year to make a subtraction
16        modification under subparagraph (R), then an amount
17        equal to that subtraction modification.
18            The taxpayer is required to make the addition
19        modification under this subparagraph only once with
20        respect to any one piece of property;
21            (G-12) An amount equal to the amount otherwise
22        allowed as a deduction in computing base income for
23        interest paid, accrued, or incurred, directly or
24        indirectly, (i) for taxable years ending on or after
25        December 31, 2004, to a foreign person who would be a
26        member of the same unitary business group but for the

 

 

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1        fact that the foreign person's business activity
2        outside the United States is 80% or more of the foreign
3        person's total business activity and (ii) for taxable
4        years ending on or after December 31, 2008, to a person
5        who would be a member of the same unitary business
6        group but for the fact that the person is prohibited
7        under Section 1501(a)(27) from being included in the
8        unitary business group because he or she is ordinarily
9        required to apportion business income under different
10        subsections of Section 304. The addition modification
11        required by this subparagraph shall be reduced to the
12        extent that dividends were included in base income of
13        the unitary group for the same taxable year and
14        received by the taxpayer or by a member of the
15        taxpayer's unitary business group (including amounts
16        included in gross income pursuant to Sections 951
17        through 964 of the Internal Revenue Code and amounts
18        included in gross income under Section 78 of the
19        Internal Revenue Code) with respect to the stock of
20        the same person to whom the interest was paid,
21        accrued, or incurred.
22            This paragraph shall not apply to the following:
23                (i) an item of interest paid, accrued, or
24            incurred, directly or indirectly, to a person who
25            is subject in a foreign country or state, other
26            than a state which requires mandatory unitary

 

 

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1            reporting, to a tax on or measured by net income
2            with respect to such interest; or
3                (ii) an item of interest paid, accrued, or
4            incurred, directly or indirectly, to a person if
5            the taxpayer can establish, based on a
6            preponderance of the evidence, both of the
7            following:
8                    (a) the person, during the same taxable
9                year, paid, accrued, or incurred, the interest
10                to a person that is not a related member, and
11                    (b) the transaction giving rise to the
12                interest expense between the taxpayer and the
13                person did not have as a principal purpose the
14                avoidance of Illinois income tax, and is paid
15                pursuant to a contract or agreement that
16                reflects an arm's-length interest rate and
17                terms; or
18                (iii) the taxpayer can establish, based on
19            clear and convincing evidence, that the interest
20            paid, accrued, or incurred relates to a contract
21            or agreement entered into at arm's-length rates
22            and terms and the principal purpose for the
23            payment is not federal or Illinois tax avoidance;
24            or
25                (iv) an item of interest paid, accrued, or
26            incurred, directly or indirectly, to a person if

 

 

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1            the taxpayer establishes by clear and convincing
2            evidence that the adjustments are unreasonable; or
3            if the taxpayer and the Director agree in writing
4            to the application or use of an alternative method
5            of apportionment under Section 304(f).
6                Nothing in this subsection shall preclude the
7            Director from making any other adjustment
8            otherwise allowed under Section 404 of this Act
9            for any tax year beginning after the effective
10            date of this amendment provided such adjustment is
11            made pursuant to regulation adopted by the
12            Department and such regulations provide methods
13            and standards by which the Department will utilize
14            its authority under Section 404 of this Act;
15            (G-13) An amount equal to the amount of intangible
16        expenses and costs otherwise allowed as a deduction in
17        computing base income, and that were paid, accrued, or
18        incurred, directly or indirectly, (i) for taxable
19        years ending on or after December 31, 2004, to a
20        foreign person who would be a member of the same
21        unitary business group but for the fact that the
22        foreign person's business activity outside the United
23        States is 80% or more of that person's total business
24        activity and (ii) for taxable years ending on or after
25        December 31, 2008, to a person who would be a member of
26        the same unitary business group but for the fact that

 

 

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1        the person is prohibited under Section 1501(a)(27)
2        from being included in the unitary business group
3        because he or she is ordinarily required to apportion
4        business income under different subsections of Section
5        304. The addition modification required by this
6        subparagraph shall be reduced to the extent that
7        dividends were included in base income of the unitary
8        group for the same taxable year and received by the
9        taxpayer or by a member of the taxpayer's unitary
10        business group (including amounts included in gross
11        income pursuant to Sections 951 through 964 of the
12        Internal Revenue Code and amounts included in gross
13        income under Section 78 of the Internal Revenue Code)
14        with respect to the stock of the same person to whom
15        the intangible expenses and costs were directly or
16        indirectly paid, incurred, or accrued. The preceding
17        sentence shall not apply to the extent that the same
18        dividends caused a reduction to the addition
19        modification required under Section 203(c)(2)(G-12) of
20        this Act. As used in this subparagraph, the term
21        "intangible expenses and costs" includes: (1)
22        expenses, losses, and costs for or related to the
23        direct or indirect acquisition, use, maintenance or
24        management, ownership, sale, exchange, or any other
25        disposition of intangible property; (2) losses
26        incurred, directly or indirectly, from factoring

 

 

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1        transactions or discounting transactions; (3) royalty,
2        patent, technical, and copyright fees; (4) licensing
3        fees; and (5) other similar expenses and costs. For
4        purposes of this subparagraph, "intangible property"
5        includes patents, patent applications, trade names,
6        trademarks, service marks, copyrights, mask works,
7        trade secrets, and similar types of intangible assets.
8            This paragraph shall not apply to the following:
9                (i) any item of intangible expenses or costs
10            paid, accrued, or incurred, directly or
11            indirectly, from a transaction with a person who
12            is subject in a foreign country or state, other
13            than a state which requires mandatory unitary
14            reporting, to a tax on or measured by net income
15            with respect to such item; or
16                (ii) any item of intangible expense or cost
17            paid, accrued, or incurred, directly or
18            indirectly, if the taxpayer can establish, based
19            on a preponderance of the evidence, both of the
20            following:
21                    (a) the person during the same taxable
22                year paid, accrued, or incurred, the
23                intangible expense or cost to a person that is
24                not a related member, and
25                    (b) the transaction giving rise to the
26                intangible expense or cost between the

 

 

SB2435- 464 -LRB102 04062 AMC 14078 b

1                taxpayer and the person did not have as a
2                principal purpose the avoidance of Illinois
3                income tax, and is paid pursuant to a contract
4                or agreement that reflects arm's-length terms;
5                or
6                (iii) any item of intangible expense or cost
7            paid, accrued, or incurred, directly or
8            indirectly, from a transaction with a person if
9            the taxpayer establishes by clear and convincing
10            evidence, that the adjustments are unreasonable;
11            or if the taxpayer and the Director agree in
12            writing to the application or use of an
13            alternative method of apportionment under Section
14            304(f);
15                Nothing in this subsection shall preclude the
16            Director from making any other adjustment
17            otherwise allowed under Section 404 of this Act
18            for any tax year beginning after the effective
19            date of this amendment provided such adjustment is
20            made pursuant to regulation adopted by the
21            Department and such regulations provide methods
22            and standards by which the Department will utilize
23            its authority under Section 404 of this Act;
24            (G-14) For taxable years ending on or after
25        December 31, 2008, an amount equal to the amount of
26        insurance premium expenses and costs otherwise allowed

 

 

SB2435- 465 -LRB102 04062 AMC 14078 b

1        as a deduction in computing base income, and that were
2        paid, accrued, or incurred, directly or indirectly, to
3        a person who would be a member of the same unitary
4        business group but for the fact that the person is
5        prohibited under Section 1501(a)(27) from being
6        included in the unitary business group because he or
7        she is ordinarily required to apportion business
8        income under different subsections of Section 304. The
9        addition modification required by this subparagraph
10        shall be reduced to the extent that dividends were
11        included in base income of the unitary group for the
12        same taxable year and received by the taxpayer or by a
13        member of the taxpayer's unitary business group
14        (including amounts included in gross income under
15        Sections 951 through 964 of the Internal Revenue Code
16        and amounts included in gross income under Section 78
17        of the Internal Revenue Code) with respect to the
18        stock of the same person to whom the premiums and costs
19        were directly or indirectly paid, incurred, or
20        accrued. The preceding sentence does not apply to the
21        extent that the same dividends caused a reduction to
22        the addition modification required under Section
23        203(c)(2)(G-12) or Section 203(c)(2)(G-13) of this
24        Act;
25            (G-15) An amount equal to the credit allowable to
26        the taxpayer under Section 218(a) of this Act,

 

 

SB2435- 466 -LRB102 04062 AMC 14078 b

1        determined without regard to Section 218(c) of this
2        Act;
3            (G-16) For taxable years ending on or after
4        December 31, 2017, an amount equal to the deduction
5        allowed under Section 199 of the Internal Revenue Code
6        for the taxable year;
7    and by deducting from the total so obtained the sum of the
8    following amounts:
9            (H) An amount equal to all amounts included in
10        such total pursuant to the provisions of Sections
11        402(a), 402(c), 403(a), 403(b), 406(a), 407(a) and 408
12        of the Internal Revenue Code or included in such total
13        as distributions under the provisions of any
14        retirement or disability plan for employees of any
15        governmental agency or unit, or retirement payments to
16        retired partners, which payments are excluded in
17        computing net earnings from self employment by Section
18        1402 of the Internal Revenue Code and regulations
19        adopted pursuant thereto;
20            (I) The valuation limitation amount;
21            (J) An amount equal to the amount of any tax
22        imposed by this Act which was refunded to the taxpayer
23        and included in such total for the taxable year;
24            (K) An amount equal to all amounts included in
25        taxable income as modified by subparagraphs (A), (B),
26        (C), (D), (E), (F) and (G) which are exempt from

 

 

SB2435- 467 -LRB102 04062 AMC 14078 b

1        taxation by this State either by reason of its
2        statutes or Constitution or by reason of the
3        Constitution, treaties or statutes of the United
4        States; provided that, in the case of any statute of
5        this State that exempts income derived from bonds or
6        other obligations from the tax imposed under this Act,
7        the amount exempted shall be the interest net of bond
8        premium amortization;
9            (L) With the exception of any amounts subtracted
10        under subparagraph (K), an amount equal to the sum of
11        all amounts disallowed as deductions by (i) Sections
12        171(a)(2) and 265(a)(2) of the Internal Revenue Code,
13        and all amounts of expenses allocable to interest and
14        disallowed as deductions by Section 265(a)(1) of the
15        Internal Revenue Code; and (ii) for taxable years
16        ending on or after August 13, 1999, Sections
17        171(a)(2), 265, 280C, and 832(b)(5)(B)(i) of the
18        Internal Revenue Code, plus, (iii) for taxable years
19        ending on or after December 31, 2011, Section
20        45G(e)(3) of the Internal Revenue Code and, for
21        taxable years ending on or after December 31, 2008,
22        any amount included in gross income under Section 87
23        of the Internal Revenue Code; the provisions of this
24        subparagraph are exempt from the provisions of Section
25        250;
26            (M) An amount equal to those dividends included in

 

 

SB2435- 468 -LRB102 04062 AMC 14078 b

1        such total which were paid by a corporation which
2        conducts business operations in a River Edge
3        Redevelopment Zone or zones created under the River
4        Edge Redevelopment Zone Act and conducts substantially
5        all of its operations in a River Edge Redevelopment
6        Zone or zones. This subparagraph (M) is exempt from
7        the provisions of Section 250;
8            (N) An amount equal to any contribution made to a
9        job training project established pursuant to the Tax
10        Increment Allocation Redevelopment Act;
11            (O) An amount equal to those dividends included in
12        such total that were paid by a corporation that
13        conducts business operations in a federally designated
14        Foreign Trade Zone or Sub-Zone and that is designated
15        a High Impact Business located in Illinois; provided
16        that dividends eligible for the deduction provided in
17        subparagraph (M) of paragraph (2) of this subsection
18        shall not be eligible for the deduction provided under
19        this subparagraph (O);
20            (P) An amount equal to the amount of the deduction
21        used to compute the federal income tax credit for
22        restoration of substantial amounts held under claim of
23        right for the taxable year pursuant to Section 1341 of
24        the Internal Revenue Code;
25            (Q) For taxable year 1999 and thereafter, an
26        amount equal to the amount of any (i) distributions,

 

 

SB2435- 469 -LRB102 04062 AMC 14078 b

1        to the extent includible in gross income for federal
2        income tax purposes, made to the taxpayer because of
3        his or her status as a victim of persecution for racial
4        or religious reasons by Nazi Germany or any other Axis
5        regime or as an heir of the victim and (ii) items of
6        income, to the extent includible in gross income for
7        federal income tax purposes, attributable to, derived
8        from or in any way related to assets stolen from,
9        hidden from, or otherwise lost to a victim of
10        persecution for racial or religious reasons by Nazi
11        Germany or any other Axis regime immediately prior to,
12        during, and immediately after World War II, including,
13        but not limited to, interest on the proceeds
14        receivable as insurance under policies issued to a
15        victim of persecution for racial or religious reasons
16        by Nazi Germany or any other Axis regime by European
17        insurance companies immediately prior to and during
18        World War II; provided, however, this subtraction from
19        federal adjusted gross income does not apply to assets
20        acquired with such assets or with the proceeds from
21        the sale of such assets; provided, further, this
22        paragraph shall only apply to a taxpayer who was the
23        first recipient of such assets after their recovery
24        and who is a victim of persecution for racial or
25        religious reasons by Nazi Germany or any other Axis
26        regime or as an heir of the victim. The amount of and

 

 

SB2435- 470 -LRB102 04062 AMC 14078 b

1        the eligibility for any public assistance, benefit, or
2        similar entitlement is not affected by the inclusion
3        of items (i) and (ii) of this paragraph in gross income
4        for federal income tax purposes. This paragraph is
5        exempt from the provisions of Section 250;
6            (R) For taxable years 2001 and thereafter, for the
7        taxable year in which the bonus depreciation deduction
8        is taken on the taxpayer's federal income tax return
9        under subsection (k) of Section 168 of the Internal
10        Revenue Code and for each applicable taxable year
11        thereafter, an amount equal to "x", where:
12                (1) "y" equals the amount of the depreciation
13            deduction taken for the taxable year on the
14            taxpayer's federal income tax return on property
15            for which the bonus depreciation deduction was
16            taken in any year under subsection (k) of Section
17            168 of the Internal Revenue Code, but not
18            including the bonus depreciation deduction;
19                (2) for taxable years ending on or before
20            December 31, 2005, "x" equals "y" multiplied by 30
21            and then divided by 70 (or "y" multiplied by
22            0.429); and
23                (3) for taxable years ending after December
24            31, 2005:
25                    (i) for property on which a bonus
26                depreciation deduction of 30% of the adjusted

 

 

SB2435- 471 -LRB102 04062 AMC 14078 b

1                basis was taken, "x" equals "y" multiplied by
2                30 and then divided by 70 (or "y" multiplied
3                by 0.429); and
4                    (ii) for property on which a bonus
5                depreciation deduction of 50% of the adjusted
6                basis was taken, "x" equals "y" multiplied by
7                1.0.
8            The aggregate amount deducted under this
9        subparagraph in all taxable years for any one piece of
10        property may not exceed the amount of the bonus
11        depreciation deduction taken on that property on the
12        taxpayer's federal income tax return under subsection
13        (k) of Section 168 of the Internal Revenue Code. This
14        subparagraph (R) is exempt from the provisions of
15        Section 250;
16            (S) If the taxpayer sells, transfers, abandons, or
17        otherwise disposes of property for which the taxpayer
18        was required in any taxable year to make an addition
19        modification under subparagraph (G-10), then an amount
20        equal to that addition modification.
21            If the taxpayer continues to own property through
22        the last day of the last tax year for which the
23        taxpayer may claim a depreciation deduction for
24        federal income tax purposes and for which the taxpayer
25        was required in any taxable year to make an addition
26        modification under subparagraph (G-10), then an amount

 

 

SB2435- 472 -LRB102 04062 AMC 14078 b

1        equal to that addition modification.
2            The taxpayer is allowed to take the deduction
3        under this subparagraph only once with respect to any
4        one piece of property.
5            This subparagraph (S) is exempt from the
6        provisions of Section 250;
7            (T) The amount of (i) any interest income (net of
8        the deductions allocable thereto) taken into account
9        for the taxable year with respect to a transaction
10        with a taxpayer that is required to make an addition
11        modification with respect to such transaction under
12        Section 203(a)(2)(D-17), 203(b)(2)(E-12),
13        203(c)(2)(G-12), or 203(d)(2)(D-7), but not to exceed
14        the amount of such addition modification and (ii) any
15        income from intangible property (net of the deductions
16        allocable thereto) taken into account for the taxable
17        year with respect to a transaction with a taxpayer
18        that is required to make an addition modification with
19        respect to such transaction under Section
20        203(a)(2)(D-18), 203(b)(2)(E-13), 203(c)(2)(G-13), or
21        203(d)(2)(D-8), but not to exceed the amount of such
22        addition modification. This subparagraph (T) is exempt
23        from the provisions of Section 250;
24            (U) An amount equal to the interest income taken
25        into account for the taxable year (net of the
26        deductions allocable thereto) with respect to

 

 

SB2435- 473 -LRB102 04062 AMC 14078 b

1        transactions with (i) a foreign person who would be a
2        member of the taxpayer's unitary business group but
3        for the fact the foreign person's business activity
4        outside the United States is 80% or more of that
5        person's total business activity and (ii) for taxable
6        years ending on or after December 31, 2008, to a person
7        who would be a member of the same unitary business
8        group but for the fact that the person is prohibited
9        under Section 1501(a)(27) from being included in the
10        unitary business group because he or she is ordinarily
11        required to apportion business income under different
12        subsections of Section 304, but not to exceed the
13        addition modification required to be made for the same
14        taxable year under Section 203(c)(2)(G-12) for
15        interest paid, accrued, or incurred, directly or
16        indirectly, to the same person. This subparagraph (U)
17        is exempt from the provisions of Section 250;
18            (V) An amount equal to the income from intangible
19        property taken into account for the taxable year (net
20        of the deductions allocable thereto) with respect to
21        transactions with (i) a foreign person who would be a
22        member of the taxpayer's unitary business group but
23        for the fact that the foreign person's business
24        activity outside the United States is 80% or more of
25        that person's total business activity and (ii) for
26        taxable years ending on or after December 31, 2008, to

 

 

SB2435- 474 -LRB102 04062 AMC 14078 b

1        a person who would be a member of the same unitary
2        business group but for the fact that the person is
3        prohibited under Section 1501(a)(27) from being
4        included in the unitary business group because he or
5        she is ordinarily required to apportion business
6        income under different subsections of Section 304, but
7        not to exceed the addition modification required to be
8        made for the same taxable year under Section
9        203(c)(2)(G-13) for intangible expenses and costs
10        paid, accrued, or incurred, directly or indirectly, to
11        the same foreign person. This subparagraph (V) is
12        exempt from the provisions of Section 250;
13            (W) in the case of an estate, an amount equal to
14        all amounts included in such total pursuant to the
15        provisions of Section 111 of the Internal Revenue Code
16        as a recovery of items previously deducted by the
17        decedent from adjusted gross income in the computation
18        of taxable income. This subparagraph (W) is exempt
19        from Section 250;
20            (X) an amount equal to the refund included in such
21        total of any tax deducted for federal income tax
22        purposes, to the extent that deduction was added back
23        under subparagraph (F). This subparagraph (X) is
24        exempt from the provisions of Section 250;
25            (Y) For taxable years ending on or after December
26        31, 2011, in the case of a taxpayer who was required to

 

 

SB2435- 475 -LRB102 04062 AMC 14078 b

1        add back any insurance premiums under Section
2        203(c)(2)(G-14), such taxpayer may elect to subtract
3        that part of a reimbursement received from the
4        insurance company equal to the amount of the expense
5        or loss (including expenses incurred by the insurance
6        company) that would have been taken into account as a
7        deduction for federal income tax purposes if the
8        expense or loss had been uninsured. If a taxpayer
9        makes the election provided for by this subparagraph
10        (Y), the insurer to which the premiums were paid must
11        add back to income the amount subtracted by the
12        taxpayer pursuant to this subparagraph (Y). This
13        subparagraph (Y) is exempt from the provisions of
14        Section 250; and
15            (Z) For taxable years beginning after December 31,
16        2018 and before January 1, 2026, the amount of excess
17        business loss of the taxpayer disallowed as a
18        deduction by Section 461(l)(1)(B) of the Internal
19        Revenue Code.
20        (3) Limitation. The amount of any modification
21    otherwise required under this subsection shall, under
22    regulations prescribed by the Department, be adjusted by
23    any amounts included therein which were properly paid,
24    credited, or required to be distributed, or permanently
25    set aside for charitable purposes pursuant to Internal
26    Revenue Code Section 642(c) during the taxable year.
 

 

 

SB2435- 476 -LRB102 04062 AMC 14078 b

1    (d) Partnerships.
2        (1) In general. In the case of a partnership, base
3    income means an amount equal to the taxpayer's taxable
4    income for the taxable year as modified by paragraph (2).
5        (2) Modifications. The taxable income referred to in
6    paragraph (1) shall be modified by adding thereto the sum
7    of the following amounts:
8            (A) An amount equal to all amounts paid or accrued
9        to the taxpayer as interest or dividends during the
10        taxable year to the extent excluded from gross income
11        in the computation of taxable income;
12            (B) An amount equal to the amount of tax imposed by
13        this Act to the extent deducted from gross income for
14        the taxable year;
15            (C) The amount of deductions allowed to the
16        partnership pursuant to Section 707 (c) of the
17        Internal Revenue Code in calculating its taxable
18        income;
19            (D) An amount equal to the amount of the capital
20        gain deduction allowable under the Internal Revenue
21        Code, to the extent deducted from gross income in the
22        computation of taxable income;
23            (D-5) For taxable years 2001 and thereafter, an
24        amount equal to the bonus depreciation deduction taken
25        on the taxpayer's federal income tax return for the

 

 

SB2435- 477 -LRB102 04062 AMC 14078 b

1        taxable year under subsection (k) of Section 168 of
2        the Internal Revenue Code;
3            (D-6) If the taxpayer sells, transfers, abandons,
4        or otherwise disposes of property for which the
5        taxpayer was required in any taxable year to make an
6        addition modification under subparagraph (D-5), then
7        an amount equal to the aggregate amount of the
8        deductions taken in all taxable years under
9        subparagraph (O) with respect to that property.
10            If the taxpayer continues to own property through
11        the last day of the last tax year for which the
12        taxpayer may claim a depreciation deduction for
13        federal income tax purposes and for which the taxpayer
14        was allowed in any taxable year to make a subtraction
15        modification under subparagraph (O), then an amount
16        equal to that subtraction modification.
17            The taxpayer is required to make the addition
18        modification under this subparagraph only once with
19        respect to any one piece of property;
20            (D-7) An amount equal to the amount otherwise
21        allowed as a deduction in computing base income for
22        interest paid, accrued, or incurred, directly or
23        indirectly, (i) for taxable years ending on or after
24        December 31, 2004, to a foreign person who would be a
25        member of the same unitary business group but for the
26        fact the foreign person's business activity outside

 

 

SB2435- 478 -LRB102 04062 AMC 14078 b

1        the United States is 80% or more of the foreign
2        person's total business activity and (ii) for taxable
3        years ending on or after December 31, 2008, to a person
4        who would be a member of the same unitary business
5        group but for the fact that the person is prohibited
6        under Section 1501(a)(27) from being included in the
7        unitary business group because he or she is ordinarily
8        required to apportion business income under different
9        subsections of Section 304. The addition modification
10        required by this subparagraph shall be reduced to the
11        extent that dividends were included in base income of
12        the unitary group for the same taxable year and
13        received by the taxpayer or by a member of the
14        taxpayer's unitary business group (including amounts
15        included in gross income pursuant to Sections 951
16        through 964 of the Internal Revenue Code and amounts
17        included in gross income under Section 78 of the
18        Internal Revenue Code) with respect to the stock of
19        the same person to whom the interest was paid,
20        accrued, or incurred.
21            This paragraph shall not apply to the following:
22                (i) an item of interest paid, accrued, or
23            incurred, directly or indirectly, to a person who
24            is subject in a foreign country or state, other
25            than a state which requires mandatory unitary
26            reporting, to a tax on or measured by net income

 

 

SB2435- 479 -LRB102 04062 AMC 14078 b

1            with respect to such interest; or
2                (ii) an item of interest paid, accrued, or
3            incurred, directly or indirectly, to a person if
4            the taxpayer can establish, based on a
5            preponderance of the evidence, both of the
6            following:
7                    (a) the person, during the same taxable
8                year, paid, accrued, or incurred, the interest
9                to a person that is not a related member, and
10                    (b) the transaction giving rise to the
11                interest expense between the taxpayer and the
12                person did not have as a principal purpose the
13                avoidance of Illinois income tax, and is paid
14                pursuant to a contract or agreement that
15                reflects an arm's-length interest rate and
16                terms; or
17                (iii) the taxpayer can establish, based on
18            clear and convincing evidence, that the interest
19            paid, accrued, or incurred relates to a contract
20            or agreement entered into at arm's-length rates
21            and terms and the principal purpose for the
22            payment is not federal or Illinois tax avoidance;
23            or
24                (iv) an item of interest paid, accrued, or
25            incurred, directly or indirectly, to a person if
26            the taxpayer establishes by clear and convincing

 

 

SB2435- 480 -LRB102 04062 AMC 14078 b

1            evidence that the adjustments are unreasonable; or
2            if the taxpayer and the Director agree in writing
3            to the application or use of an alternative method
4            of apportionment under Section 304(f).
5                Nothing in this subsection shall preclude the
6            Director from making any other adjustment
7            otherwise allowed under Section 404 of this Act
8            for any tax year beginning after the effective
9            date of this amendment provided such adjustment is
10            made pursuant to regulation adopted by the
11            Department and such regulations provide methods
12            and standards by which the Department will utilize
13            its authority under Section 404 of this Act; and
14            (D-8) An amount equal to the amount of intangible
15        expenses and costs otherwise allowed as a deduction in
16        computing base income, and that were paid, accrued, or
17        incurred, directly or indirectly, (i) for taxable
18        years ending on or after December 31, 2004, to a
19        foreign person who would be a member of the same
20        unitary business group but for the fact that the
21        foreign person's business activity outside the United
22        States is 80% or more of that person's total business
23        activity and (ii) for taxable years ending on or after
24        December 31, 2008, to a person who would be a member of
25        the same unitary business group but for the fact that
26        the person is prohibited under Section 1501(a)(27)

 

 

SB2435- 481 -LRB102 04062 AMC 14078 b

1        from being included in the unitary business group
2        because he or she is ordinarily required to apportion
3        business income under different subsections of Section
4        304. The addition modification required by this
5        subparagraph shall be reduced to the extent that
6        dividends were included in base income of the unitary
7        group for the same taxable year and received by the
8        taxpayer or by a member of the taxpayer's unitary
9        business group (including amounts included in gross
10        income pursuant to Sections 951 through 964 of the
11        Internal Revenue Code and amounts included in gross
12        income under Section 78 of the Internal Revenue Code)
13        with respect to the stock of the same person to whom
14        the intangible expenses and costs were directly or
15        indirectly paid, incurred or accrued. The preceding
16        sentence shall not apply to the extent that the same
17        dividends caused a reduction to the addition
18        modification required under Section 203(d)(2)(D-7) of
19        this Act. As used in this subparagraph, the term
20        "intangible expenses and costs" includes (1) expenses,
21        losses, and costs for, or related to, the direct or
22        indirect acquisition, use, maintenance or management,
23        ownership, sale, exchange, or any other disposition of
24        intangible property; (2) losses incurred, directly or
25        indirectly, from factoring transactions or discounting
26        transactions; (3) royalty, patent, technical, and

 

 

SB2435- 482 -LRB102 04062 AMC 14078 b

1        copyright fees; (4) licensing fees; and (5) other
2        similar expenses and costs. For purposes of this
3        subparagraph, "intangible property" includes patents,
4        patent applications, trade names, trademarks, service
5        marks, copyrights, mask works, trade secrets, and
6        similar types of intangible assets;
7            This paragraph shall not apply to the following:
8                (i) any item of intangible expenses or costs
9            paid, accrued, or incurred, directly or
10            indirectly, from a transaction with a person who
11            is subject in a foreign country or state, other
12            than a state which requires mandatory unitary
13            reporting, to a tax on or measured by net income
14            with respect to such item; or
15                (ii) any item of intangible expense or cost
16            paid, accrued, or incurred, directly or
17            indirectly, if the taxpayer can establish, based
18            on a preponderance of the evidence, both of the
19            following:
20                    (a) the person during the same taxable
21                year paid, accrued, or incurred, the
22                intangible expense or cost to a person that is
23                not a related member, and
24                    (b) the transaction giving rise to the
25                intangible expense or cost between the
26                taxpayer and the person did not have as a

 

 

SB2435- 483 -LRB102 04062 AMC 14078 b

1                principal purpose the avoidance of Illinois
2                income tax, and is paid pursuant to a contract
3                or agreement that reflects arm's-length terms;
4                or
5                (iii) any item of intangible expense or cost
6            paid, accrued, or incurred, directly or
7            indirectly, from a transaction with a person if
8            the taxpayer establishes by clear and convincing
9            evidence, that the adjustments are unreasonable;
10            or if the taxpayer and the Director agree in
11            writing to the application or use of an
12            alternative method of apportionment under Section
13            304(f);
14                Nothing in this subsection shall preclude the
15            Director from making any other adjustment
16            otherwise allowed under Section 404 of this Act
17            for any tax year beginning after the effective
18            date of this amendment provided such adjustment is
19            made pursuant to regulation adopted by the
20            Department and such regulations provide methods
21            and standards by which the Department will utilize
22            its authority under Section 404 of this Act;
23            (D-9) For taxable years ending on or after
24        December 31, 2008, an amount equal to the amount of
25        insurance premium expenses and costs otherwise allowed
26        as a deduction in computing base income, and that were

 

 

SB2435- 484 -LRB102 04062 AMC 14078 b

1        paid, accrued, or incurred, directly or indirectly, to
2        a person who would be a member of the same unitary
3        business group but for the fact that the person is
4        prohibited under Section 1501(a)(27) from being
5        included in the unitary business group because he or
6        she is ordinarily required to apportion business
7        income under different subsections of Section 304. The
8        addition modification required by this subparagraph
9        shall be reduced to the extent that dividends were
10        included in base income of the unitary group for the
11        same taxable year and received by the taxpayer or by a
12        member of the taxpayer's unitary business group
13        (including amounts included in gross income under
14        Sections 951 through 964 of the Internal Revenue Code
15        and amounts included in gross income under Section 78
16        of the Internal Revenue Code) with respect to the
17        stock of the same person to whom the premiums and costs
18        were directly or indirectly paid, incurred, or
19        accrued. The preceding sentence does not apply to the
20        extent that the same dividends caused a reduction to
21        the addition modification required under Section
22        203(d)(2)(D-7) or Section 203(d)(2)(D-8) of this Act;
23            (D-10) An amount equal to the credit allowable to
24        the taxpayer under Section 218(a) of this Act,
25        determined without regard to Section 218(c) of this
26        Act;

 

 

SB2435- 485 -LRB102 04062 AMC 14078 b

1            (D-11) For taxable years ending on or after
2        December 31, 2017, an amount equal to the deduction
3        allowed under Section 199 of the Internal Revenue Code
4        for the taxable year;
5    and by deducting from the total so obtained the following
6    amounts:
7            (E) The valuation limitation amount;
8            (F) An amount equal to the amount of any tax
9        imposed by this Act which was refunded to the taxpayer
10        and included in such total for the taxable year;
11            (G) An amount equal to all amounts included in
12        taxable income as modified by subparagraphs (A), (B),
13        (C) and (D) which are exempt from taxation by this
14        State either by reason of its statutes or Constitution
15        or by reason of the Constitution, treaties or statutes
16        of the United States; provided that, in the case of any
17        statute of this State that exempts income derived from
18        bonds or other obligations from the tax imposed under
19        this Act, the amount exempted shall be the interest
20        net of bond premium amortization;
21            (H) Any income of the partnership which
22        constitutes personal service income as defined in
23        Section 1348(b)(1) of the Internal Revenue Code (as in
24        effect December 31, 1981) or a reasonable allowance
25        for compensation paid or accrued for services rendered
26        by partners to the partnership, whichever is greater;

 

 

SB2435- 486 -LRB102 04062 AMC 14078 b

1        this subparagraph (H) is exempt from the provisions of
2        Section 250;
3            (I) An amount equal to all amounts of income
4        distributable to an entity subject to the Personal
5        Property Tax Replacement Income Tax imposed by
6        subsections (c) and (d) of Section 201 of this Act
7        including amounts distributable to organizations
8        exempt from federal income tax by reason of Section
9        501(a) of the Internal Revenue Code; this subparagraph
10        (I) is exempt from the provisions of Section 250;
11            (J) With the exception of any amounts subtracted
12        under subparagraph (G), an amount equal to the sum of
13        all amounts disallowed as deductions by (i) Sections
14        171(a)(2), and 265(a)(2) of the Internal Revenue Code,
15        and all amounts of expenses allocable to interest and
16        disallowed as deductions by Section 265(a)(1) of the
17        Internal Revenue Code; and (ii) for taxable years
18        ending on or after August 13, 1999, Sections
19        171(a)(2), 265, 280C, and 832(b)(5)(B)(i) of the
20        Internal Revenue Code, plus, (iii) for taxable years
21        ending on or after December 31, 2011, Section
22        45G(e)(3) of the Internal Revenue Code and, for
23        taxable years ending on or after December 31, 2008,
24        any amount included in gross income under Section 87
25        of the Internal Revenue Code; the provisions of this
26        subparagraph are exempt from the provisions of Section

 

 

SB2435- 487 -LRB102 04062 AMC 14078 b

1        250;
2            (K) An amount equal to those dividends included in
3        such total which were paid by a corporation which
4        conducts business operations in a River Edge
5        Redevelopment Zone or zones created under the River
6        Edge Redevelopment Zone Act and conducts substantially
7        all of its operations from a River Edge Redevelopment
8        Zone or zones. This subparagraph (K) is exempt from
9        the provisions of Section 250;
10            (L) An amount equal to any contribution made to a
11        job training project established pursuant to the Real
12        Property Tax Increment Allocation Redevelopment Act;
13            (M) An amount equal to those dividends included in
14        such total that were paid by a corporation that
15        conducts business operations in a federally designated
16        Foreign Trade Zone or Sub-Zone and that is designated
17        a High Impact Business located in Illinois; provided
18        that dividends eligible for the deduction provided in
19        subparagraph (K) of paragraph (2) of this subsection
20        shall not be eligible for the deduction provided under
21        this subparagraph (M);
22            (N) An amount equal to the amount of the deduction
23        used to compute the federal income tax credit for
24        restoration of substantial amounts held under claim of
25        right for the taxable year pursuant to Section 1341 of
26        the Internal Revenue Code;

 

 

SB2435- 488 -LRB102 04062 AMC 14078 b

1            (O) For taxable years 2001 and thereafter, for the
2        taxable year in which the bonus depreciation deduction
3        is taken on the taxpayer's federal income tax return
4        under subsection (k) of Section 168 of the Internal
5        Revenue Code and for each applicable taxable year
6        thereafter, an amount equal to "x", where:
7                (1) "y" equals the amount of the depreciation
8            deduction taken for the taxable year on the
9            taxpayer's federal income tax return on property
10            for which the bonus depreciation deduction was
11            taken in any year under subsection (k) of Section
12            168 of the Internal Revenue Code, but not
13            including the bonus depreciation deduction;
14                (2) for taxable years ending on or before
15            December 31, 2005, "x" equals "y" multiplied by 30
16            and then divided by 70 (or "y" multiplied by
17            0.429); and
18                (3) for taxable years ending after December
19            31, 2005:
20                    (i) for property on which a bonus
21                depreciation deduction of 30% of the adjusted
22                basis was taken, "x" equals "y" multiplied by
23                30 and then divided by 70 (or "y" multiplied
24                by 0.429); and
25                    (ii) for property on which a bonus
26                depreciation deduction of 50% of the adjusted

 

 

SB2435- 489 -LRB102 04062 AMC 14078 b

1                basis was taken, "x" equals "y" multiplied by
2                1.0.
3            The aggregate amount deducted under this
4        subparagraph in all taxable years for any one piece of
5        property may not exceed the amount of the bonus
6        depreciation deduction taken on that property on the
7        taxpayer's federal income tax return under subsection
8        (k) of Section 168 of the Internal Revenue Code. This
9        subparagraph (O) is exempt from the provisions of
10        Section 250;
11            (P) If the taxpayer sells, transfers, abandons, or
12        otherwise disposes of property for which the taxpayer
13        was required in any taxable year to make an addition
14        modification under subparagraph (D-5), then an amount
15        equal to that addition modification.
16            If the taxpayer continues to own property through
17        the last day of the last tax year for which the
18        taxpayer may claim a depreciation deduction for
19        federal income tax purposes and for which the taxpayer
20        was required in any taxable year to make an addition
21        modification under subparagraph (D-5), then an amount
22        equal to that addition modification.
23            The taxpayer is allowed to take the deduction
24        under this subparagraph only once with respect to any
25        one piece of property.
26            This subparagraph (P) is exempt from the

 

 

SB2435- 490 -LRB102 04062 AMC 14078 b

1        provisions of Section 250;
2            (Q) The amount of (i) any interest income (net of
3        the deductions allocable thereto) taken into account
4        for the taxable year with respect to a transaction
5        with a taxpayer that is required to make an addition
6        modification with respect to such transaction under
7        Section 203(a)(2)(D-17), 203(b)(2)(E-12),
8        203(c)(2)(G-12), or 203(d)(2)(D-7), but not to exceed
9        the amount of such addition modification and (ii) any
10        income from intangible property (net of the deductions
11        allocable thereto) taken into account for the taxable
12        year with respect to a transaction with a taxpayer
13        that is required to make an addition modification with
14        respect to such transaction under Section
15        203(a)(2)(D-18), 203(b)(2)(E-13), 203(c)(2)(G-13), or
16        203(d)(2)(D-8), but not to exceed the amount of such
17        addition modification. This subparagraph (Q) is exempt
18        from Section 250;
19            (R) An amount equal to the interest income taken
20        into account for the taxable year (net of the
21        deductions allocable thereto) with respect to
22        transactions with (i) a foreign person who would be a
23        member of the taxpayer's unitary business group but
24        for the fact that the foreign person's business
25        activity outside the United States is 80% or more of
26        that person's total business activity and (ii) for

 

 

SB2435- 491 -LRB102 04062 AMC 14078 b

1        taxable years ending on or after December 31, 2008, to
2        a person who would be a member of the same unitary
3        business group but for the fact that the person is
4        prohibited under Section 1501(a)(27) from being
5        included in the unitary business group because he or
6        she is ordinarily required to apportion business
7        income under different subsections of Section 304, but
8        not to exceed the addition modification required to be
9        made for the same taxable year under Section
10        203(d)(2)(D-7) for interest paid, accrued, or
11        incurred, directly or indirectly, to the same person.
12        This subparagraph (R) is exempt from Section 250;
13            (S) An amount equal to the income from intangible
14        property taken into account for the taxable year (net
15        of the deductions allocable thereto) with respect to
16        transactions with (i) a foreign person who would be a
17        member of the taxpayer's unitary business group but
18        for the fact that the foreign person's business
19        activity outside the United States is 80% or more of
20        that person's total business activity and (ii) for
21        taxable years ending on or after December 31, 2008, to
22        a person who would be a member of the same unitary
23        business group but for the fact that the person is
24        prohibited under Section 1501(a)(27) from being
25        included in the unitary business group because he or
26        she is ordinarily required to apportion business

 

 

SB2435- 492 -LRB102 04062 AMC 14078 b

1        income under different subsections of Section 304, but
2        not to exceed the addition modification required to be
3        made for the same taxable year under Section
4        203(d)(2)(D-8) for intangible expenses and costs paid,
5        accrued, or incurred, directly or indirectly, to the
6        same person. This subparagraph (S) is exempt from
7        Section 250; and
8            (T) For taxable years ending on or after December
9        31, 2011, in the case of a taxpayer who was required to
10        add back any insurance premiums under Section
11        203(d)(2)(D-9), such taxpayer may elect to subtract
12        that part of a reimbursement received from the
13        insurance company equal to the amount of the expense
14        or loss (including expenses incurred by the insurance
15        company) that would have been taken into account as a
16        deduction for federal income tax purposes if the
17        expense or loss had been uninsured. If a taxpayer
18        makes the election provided for by this subparagraph
19        (T), the insurer to which the premiums were paid must
20        add back to income the amount subtracted by the
21        taxpayer pursuant to this subparagraph (T). This
22        subparagraph (T) is exempt from the provisions of
23        Section 250.
 
24    (e) Gross income; adjusted gross income; taxable income.
25        (1) In general. Subject to the provisions of paragraph

 

 

SB2435- 493 -LRB102 04062 AMC 14078 b

1    (2) and subsection (b)(3), for purposes of this Section
2    and Section 803(e), a taxpayer's gross income, adjusted
3    gross income, or taxable income for the taxable year shall
4    mean the amount of gross income, adjusted gross income or
5    taxable income properly reportable for federal income tax
6    purposes for the taxable year under the provisions of the
7    Internal Revenue Code. Taxable income may be less than
8    zero. However, for taxable years ending on or after
9    December 31, 1986, net operating loss carryforwards from
10    taxable years ending prior to December 31, 1986, may not
11    exceed the sum of federal taxable income for the taxable
12    year before net operating loss deduction, plus the excess
13    of addition modifications over subtraction modifications
14    for the taxable year. For taxable years ending prior to
15    December 31, 1986, taxable income may never be an amount
16    in excess of the net operating loss for the taxable year as
17    defined in subsections (c) and (d) of Section 172 of the
18    Internal Revenue Code, provided that when taxable income
19    of a corporation (other than a Subchapter S corporation),
20    trust, or estate is less than zero and addition
21    modifications, other than those provided by subparagraph
22    (E) of paragraph (2) of subsection (b) for corporations or
23    subparagraph (E) of paragraph (2) of subsection (c) for
24    trusts and estates, exceed subtraction modifications, an
25    addition modification must be made under those
26    subparagraphs for any other taxable year to which the

 

 

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1    taxable income less than zero (net operating loss) is
2    applied under Section 172 of the Internal Revenue Code or
3    under subparagraph (E) of paragraph (2) of this subsection
4    (e) applied in conjunction with Section 172 of the
5    Internal Revenue Code.
6        (2) Special rule. For purposes of paragraph (1) of
7    this subsection, the taxable income properly reportable
8    for federal income tax purposes shall mean:
9            (A) Certain life insurance companies. In the case
10        of a life insurance company subject to the tax imposed
11        by Section 801 of the Internal Revenue Code, life
12        insurance company taxable income, plus the amount of
13        distribution from pre-1984 policyholder surplus
14        accounts as calculated under Section 815a of the
15        Internal Revenue Code;
16            (B) Certain other insurance companies. In the case
17        of mutual insurance companies subject to the tax
18        imposed by Section 831 of the Internal Revenue Code,
19        insurance company taxable income;
20            (C) Regulated investment companies. In the case of
21        a regulated investment company subject to the tax
22        imposed by Section 852 of the Internal Revenue Code,
23        investment company taxable income;
24            (D) Real estate investment trusts. In the case of
25        a real estate investment trust subject to the tax
26        imposed by Section 857 of the Internal Revenue Code,

 

 

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1        real estate investment trust taxable income;
2            (E) Consolidated corporations. In the case of a
3        corporation which is a member of an affiliated group
4        of corporations filing a consolidated income tax
5        return for the taxable year for federal income tax
6        purposes, taxable income determined as if such
7        corporation had filed a separate return for federal
8        income tax purposes for the taxable year and each
9        preceding taxable year for which it was a member of an
10        affiliated group. For purposes of this subparagraph,
11        the taxpayer's separate taxable income shall be
12        determined as if the election provided by Section
13        243(b)(2) of the Internal Revenue Code had been in
14        effect for all such years;
15            (F) Cooperatives. In the case of a cooperative
16        corporation or association, the taxable income of such
17        organization determined in accordance with the
18        provisions of Section 1381 through 1388 of the
19        Internal Revenue Code, but without regard to the
20        prohibition against offsetting losses from patronage
21        activities against income from nonpatronage
22        activities; except that a cooperative corporation or
23        association may make an election to follow its federal
24        income tax treatment of patronage losses and
25        nonpatronage losses. In the event such election is
26        made, such losses shall be computed and carried over

 

 

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1        in a manner consistent with subsection (a) of Section
2        207 of this Act and apportioned by the apportionment
3        factor reported by the cooperative on its Illinois
4        income tax return filed for the taxable year in which
5        the losses are incurred. The election shall be
6        effective for all taxable years with original returns
7        due on or after the date of the election. In addition,
8        the cooperative may file an amended return or returns,
9        as allowed under this Act, to provide that the
10        election shall be effective for losses incurred or
11        carried forward for taxable years occurring prior to
12        the date of the election. Once made, the election may
13        only be revoked upon approval of the Director. The
14        Department shall adopt rules setting forth
15        requirements for documenting the elections and any
16        resulting Illinois net loss and the standards to be
17        used by the Director in evaluating requests to revoke
18        elections. Public Act 96-932 is declaratory of
19        existing law;
20            (G) Subchapter S corporations. In the case of: (i)
21        a Subchapter S corporation for which there is in
22        effect an election for the taxable year under Section
23        1362 of the Internal Revenue Code, the taxable income
24        of such corporation determined in accordance with
25        Section 1363(b) of the Internal Revenue Code, except
26        that taxable income shall take into account those

 

 

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1        items which are required by Section 1363(b)(1) of the
2        Internal Revenue Code to be separately stated; and
3        (ii) a Subchapter S corporation for which there is in
4        effect a federal election to opt out of the provisions
5        of the Subchapter S Revision Act of 1982 and have
6        applied instead the prior federal Subchapter S rules
7        as in effect on July 1, 1982, the taxable income of
8        such corporation determined in accordance with the
9        federal Subchapter S rules as in effect on July 1,
10        1982; and
11            (H) Partnerships. In the case of a partnership,
12        taxable income determined in accordance with Section
13        703 of the Internal Revenue Code, except that taxable
14        income shall take into account those items which are
15        required by Section 703(a)(1) to be separately stated
16        but which would be taken into account by an individual
17        in calculating his taxable income.
18        (3) Recapture of business expenses on disposition of
19    asset or business. Notwithstanding any other law to the
20    contrary, if in prior years income from an asset or
21    business has been classified as business income and in a
22    later year is demonstrated to be non-business income, then
23    all expenses, without limitation, deducted in such later
24    year and in the 2 immediately preceding taxable years
25    related to that asset or business that generated the
26    non-business income shall be added back and recaptured as

 

 

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1    business income in the year of the disposition of the
2    asset or business. Such amount shall be apportioned to
3    Illinois using the greater of the apportionment fraction
4    computed for the business under Section 304 of this Act
5    for the taxable year or the average of the apportionment
6    fractions computed for the business under Section 304 of
7    this Act for the taxable year and for the 2 immediately
8    preceding taxable years.
 
9    (f) Valuation limitation amount.
10        (1) In general. The valuation limitation amount
11    referred to in subsections (a)(2)(G), (c)(2)(I) and
12    (d)(2)(E) is an amount equal to:
13            (A) The sum of the pre-August 1, 1969 appreciation
14        amounts (to the extent consisting of gain reportable
15        under the provisions of Section 1245 or 1250 of the
16        Internal Revenue Code) for all property in respect of
17        which such gain was reported for the taxable year;
18        plus
19            (B) The lesser of (i) the sum of the pre-August 1,
20        1969 appreciation amounts (to the extent consisting of
21        capital gain) for all property in respect of which
22        such gain was reported for federal income tax purposes
23        for the taxable year, or (ii) the net capital gain for
24        the taxable year, reduced in either case by any amount
25        of such gain included in the amount determined under

 

 

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1        subsection (a)(2)(F) or (c)(2)(H).
2        (2) Pre-August 1, 1969 appreciation amount.
3            (A) If the fair market value of property referred
4        to in paragraph (1) was readily ascertainable on
5        August 1, 1969, the pre-August 1, 1969 appreciation
6        amount for such property is the lesser of (i) the
7        excess of such fair market value over the taxpayer's
8        basis (for determining gain) for such property on that
9        date (determined under the Internal Revenue Code as in
10        effect on that date), or (ii) the total gain realized
11        and reportable for federal income tax purposes in
12        respect of the sale, exchange or other disposition of
13        such property.
14            (B) If the fair market value of property referred
15        to in paragraph (1) was not readily ascertainable on
16        August 1, 1969, the pre-August 1, 1969 appreciation
17        amount for such property is that amount which bears
18        the same ratio to the total gain reported in respect of
19        the property for federal income tax purposes for the
20        taxable year, as the number of full calendar months in
21        that part of the taxpayer's holding period for the
22        property ending July 31, 1969 bears to the number of
23        full calendar months in the taxpayer's entire holding
24        period for the property.
25            (C) The Department shall prescribe such
26        regulations as may be necessary to carry out the

 

 

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1        purposes of this paragraph.
 
2    (g) Double deductions. Unless specifically provided
3otherwise, nothing in this Section shall permit the same item
4to be deducted more than once.
 
5    (h) Legislative intention. Except as expressly provided by
6this Section there shall be no modifications or limitations on
7the amounts of income, gain, loss or deduction taken into
8account in determining gross income, adjusted gross income or
9taxable income for federal income tax purposes for the taxable
10year, or in the amount of such items entering into the
11computation of base income and net income under this Act for
12such taxable year, whether in respect of property values as of
13August 1, 1969 or otherwise.
14(Source: P.A. 100-22, eff. 7-6-17; 100-905, eff. 8-17-18;
15101-9, eff. 6-5-19; 101-81, eff. 7-12-19; revised 9-20-19.)
 
16    (35 ILCS 5/229)
17    Sec. 229. Data center construction employment tax credit.
18    (a) A taxpayer who has been awarded a credit by the
19Department of Commerce and Economic Opportunity under Section
20605-1025 of the Department of Commerce and Economic
21Opportunity Law of the Civil Administrative Code of Illinois
22is entitled to a credit against the taxes imposed under
23subsections (a) and (b) of Section 201 of this Act. The amount

 

 

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1of the credit shall be 20% of the wages paid during the taxable
2year to a full-time or part-time employee of a construction
3contractor employed by a certified data center if those wages
4are paid for the construction of a new data center in a
5geographic area that meets any one of the following criteria:
6        (1) the area has a poverty rate of at least 20%,
7    according to the U.S. Census Bureau American Community
8    Survey 5-Year Estimates;
9        (2) 75% or more of the children in the area
10    participate in the federal free lunch program, according
11    to reported statistics from the State Board of Education;
12        (3) 20% or more of the households in the area receive
13    assistance under the Supplemental Nutrition Assistance
14    Program (SNAP), according to data from the U.S. Census
15    Bureau American Community Survey 5-year Estimates; or
16        (4) the area has an average unemployment rate, as
17    determined by the Department of Employment Security, that
18    is more than 120% of the national unemployment average, as
19    determined by the U.S. Department of Labor, for a period
20    of at least 2 consecutive calendar years preceding the
21    date of the application.
22    If the taxpayer is a partnership, a Subchapter S
23corporation, or a limited liability company that has elected
24partnership tax treatment, the credit shall be allowed to the
25partners, shareholders, or members in accordance with the
26determination of income and distributive share of income under

 

 

SB2435- 502 -LRB102 04062 AMC 14078 b

1Sections 702 and 704 and subchapter S of the Internal Revenue
2Code, as applicable. The Department, in cooperation with the
3Department of Commerce and Economic Opportunity, shall adopt
4rules to enforce and administer this Section. This Section is
5exempt from the provisions of Section 250 of this Act.
6    (b) In no event shall a credit under this Section reduce
7the taxpayer's liability to less than zero. If the amount of
8the credit exceeds the tax liability for the year, the excess
9may be carried forward and applied to the tax liability of the
105 taxable years following the excess credit year. The tax
11credit shall be applied to the earliest year for which there is
12a tax liability. If there are credits for more than one year
13that are available to offset a liability, the earlier credit
14shall be applied first.
15    (c) No credit shall be allowed with respect to any
16certification for any taxable year ending after the revocation
17of the certification by the Department of Commerce and
18Economic Opportunity. Upon receiving notification by the
19Department of Commerce and Economic Opportunity of the
20revocation of certification, the Department shall notify the
21taxpayer that no credit is allowed for any taxable year ending
22after the revocation date, as stated in such notification. If
23any credit has been allowed with respect to a certification
24for a taxable year ending after the revocation date, any
25refund paid to the taxpayer for that taxable year shall, to the
26extent of that credit allowed, be an erroneous refund within

 

 

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1the meaning of Section 912 of this Act.
2(Source: P.A. 101-31, eff. 6-28-19; 101-604, eff. 12-13-19.)
 
3    (35 ILCS 5/230)
4    (This Section was added by P.A. 101-8, which did not take
5effect (see Section 99 of P.A. 101-8))
6    Sec. 230 229. Child tax credit.
7    (a) For taxable years beginning on or after January 1,
82021, there shall be allowed as a credit against the tax
9imposed by Section 201 for the taxable year with respect to
10each child of the taxpayer who is under the age of 17 and for
11whom the taxpayer is allowed an additional exemption under
12Section 204 an amount equal to $100.
13    (b) The amount of the credit allowed under subsection (a)
14shall be reduced by $5 for each $2,000 by which the taxpayer's
15net income exceeds $60,000 in the case of a joint return or
16exceeds $40,000 in the case of any other form of return.
17    (c) In no event shall a credit under this Section reduce
18the taxpayer's liability to less than zero.
19    (d) This Section is exempt from the provisions of Section
20250.
21(Source: P.A. 101-8, see Section 99 for effective date;
22revised 11-18-20.)
 
23    (35 ILCS 5/231)
24    Sec. 231 229. Apprenticeship education expense credit.

 

 

SB2435- 504 -LRB102 04062 AMC 14078 b

1    (a) As used in this Section:
2    "Department" means the Department of Commerce and Economic
3Opportunity.
4    "Employer" means an Illinois taxpayer who is the employer
5of the qualifying apprentice.
6    "Qualifying apprentice" means an individual who: (i) is a
7resident of the State of Illinois; (ii) is at least 16 years
8old at the close of the school year for which a credit is
9sought; (iii) during the school year for which a credit is
10sought, was a full-time apprentice enrolled in an
11apprenticeship program which is registered with the United
12States Department of Labor, Office of Apprenticeship; and (iv)
13is employed in Illinois by the taxpayer who is the employer.
14    "Qualified education expense" means the amount incurred on
15behalf of a qualifying apprentice not to exceed $3,500 for
16tuition, book fees, and lab fees at the school or community
17college in which the apprentice is enrolled during the regular
18school year.
19    "School" means any public or nonpublic secondary school in
20Illinois that is: (i) an institution of higher education that
21provides a program that leads to an industry-recognized
22postsecondary credential or degree; (ii) an entity that
23carries out programs registered under the federal National
24Apprenticeship Act; or (iii) another public or private
25provider of a program of training services, which may include
26a joint labor-management organization.

 

 

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1    (b) For taxable years beginning on or after January 1,
22020, and beginning on or before January 1, 2025, the employer
3of one or more qualifying apprentices shall be allowed a
4credit against the tax imposed by subsections (a) and (b) of
5Section 201 of the Illinois Income Tax Act for qualified
6education expenses incurred on behalf of a qualifying
7apprentice. The credit shall be equal to 100% of the qualified
8education expenses, but in no event may the total credit
9amount awarded to a single taxpayer in a single taxable year
10exceed $3,500 per qualifying apprentice. A taxpayer shall be
11entitled to an additional $1,500 credit against the tax
12imposed by subsections (a) and (b) of Section 201 of the
13Illinois Income Tax Act if (i) the qualifying apprentice
14resides in an underserved area as defined in Section 5-5 of the
15Economic Development for a Growing Economy Tax Credit Act
16during the school year for which a credit is sought by an
17employer or (ii) the employer's principal place of business is
18located in an underserved area, as defined in Section 5-5 of
19the Economic Development for a Growing Economy Tax Credit Act.
20In no event shall a credit under this Section reduce the
21taxpayer's liability under this Act to less than zero. For
22partners, shareholders of Subchapter S corporations, and
23owners of limited liability companies, if the liability
24company is treated as a partnership for purposes of federal
25and State income taxation, there shall be allowed a credit
26under this Section to be determined in accordance with the

 

 

SB2435- 506 -LRB102 04062 AMC 14078 b

1determination of income and distributive share of income under
2Sections 702 and 704 and Subchapter S of the Internal Revenue
3Code.
4    (c) The Department shall implement a program to certify
5applicants for an apprenticeship credit under this Section.
6Upon satisfactory review, the Department shall issue a tax
7credit certificate to an employer incurring costs on behalf of
8a qualifying apprentice stating the amount of the tax credit
9to which the employer is entitled. If the employer is seeking a
10tax credit for multiple qualifying apprentices, the Department
11may issue a single tax credit certificate that encompasses the
12aggregate total of tax credits for qualifying apprentices for
13a single employer.
14    (d) The Department, in addition to those powers granted
15under the Civil Administrative Code of Illinois, is granted
16and shall have all the powers necessary or convenient to carry
17out and effectuate the purposes and provisions of this
18Section, including, but not limited to, power and authority
19to:
20        (1) Adopt rules deemed necessary and appropriate for
21    the administration of this Section; establish forms for
22    applications, notifications, contracts, or any other
23    agreements; and accept applications at any time during the
24    year and require that all applications be submitted via
25    the Internet. The Department shall require that
26    applications be submitted in electronic form.

 

 

SB2435- 507 -LRB102 04062 AMC 14078 b

1        (2) Provide guidance and assistance to applicants
2    pursuant to the provisions of this Section and cooperate
3    with applicants to promote, foster, and support job
4    creation within the State.
5        (3) Enter into agreements and memoranda of
6    understanding for participation of and engage in
7    cooperation with agencies of the federal government, units
8    of local government, universities, research foundations or
9    institutions, regional economic development corporations,
10    or other organizations for the purposes of this Section.
11        (4) Gather information and conduct inquiries, in the
12    manner and by the methods it deems desirable, including,
13    without limitation, gathering information with respect to
14    applicants for the purpose of making any designations or
15    certifications necessary or desirable or to gather
16    information in furtherance of the purposes of this Act.
17        (5) Establish, negotiate, and effectuate any term,
18    agreement, or other document with any person necessary or
19    appropriate to accomplish the purposes of this Section,
20    and consent, subject to the provisions of any agreement
21    with another party, to the modification or restructuring
22    of any agreement to which the Department is a party.
23        (6) Provide for sufficient personnel to permit
24    administration, staffing, operation, and related support
25    required to adequately discharge its duties and
26    responsibilities described in this Section from funds made

 

 

SB2435- 508 -LRB102 04062 AMC 14078 b

1    available through charges to applicants or from funds as
2    may be appropriated by the General Assembly for the
3    administration of this Section.
4        (7) Require applicants, upon written request, to issue
5    any necessary authorization to the appropriate federal,
6    State, or local authority or any other person for the
7    release to the Department of information requested by the
8    Department, including, but not be limited to, financial
9    reports, returns, or records relating to the applicant or
10    to the amount of credit allowable under this Section.
11        (8) Require that an applicant shall, at all times,
12    keep proper books of record and account in accordance with
13    generally accepted accounting principles consistently
14    applied, with the books, records, or papers related to the
15    agreement in the custody or control of the applicant open
16    for reasonable Department inspection and audits,
17    including, without limitation, the making of copies of the
18    books, records, or papers.
19        (9) Take whatever actions are necessary or appropriate
20    to protect the State's interest in the event of
21    bankruptcy, default, foreclosure, or noncompliance with
22    the terms and conditions of financial assistance or
23    participation required under this Section or any agreement
24    entered into under this Section, including the power to
25    sell, dispose of, lease, or rent, upon terms and
26    conditions determined by the Department to be appropriate,

 

 

SB2435- 509 -LRB102 04062 AMC 14078 b

1    real or personal property that the Department may recover
2    as a result of these actions.
3    (e) The Department, in consultation with the Department of
4Revenue, shall adopt rules to administer this Section. The
5aggregate amount of the tax credits that may be claimed under
6this Section for qualified education expenses incurred by an
7employer on behalf of a qualifying apprentice shall be limited
8to $5,000,000 per calendar year. If applications for a greater
9amount are received, credits shall be allowed on a first-come
10first-served basis, based on the date on which each properly
11completed application for a certificate of eligibility is
12received by the Department. If more than one certificate is
13received on the same day, the credits will be awarded based on
14the time of submission for that particular day.
15    (f) An employer may not sell or otherwise transfer a
16credit awarded under this Section to another person or
17taxpayer.
18    (g) The employer shall provide the Department such
19information as the Department may require, including but not
20limited to: (i) the name, age, and taxpayer identification
21number of each qualifying apprentice employed by the taxpayer
22during the taxable year; (ii) the amount of qualified
23education expenses incurred with respect to each qualifying
24apprentice; and (iii) the name of the school at which the
25qualifying apprentice is enrolled and the qualified education
26expenses are incurred.

 

 

SB2435- 510 -LRB102 04062 AMC 14078 b

1    (h) On or before July 1 of each year, the Department shall
2report to the Governor and the General Assembly on the tax
3credit certificates awarded under this Section for the prior
4calendar year. The report must include:
5        (1) the name of each employer awarded or allocated a
6    credit;
7        (2) the number of qualifying apprentices for whom the
8    employer has incurred qualified education expenses;
9        (3) the North American Industry Classification System
10    (NAICS) code applicable to each employer awarded or
11    allocated a credit;
12        (4) the amount of the credit awarded or allocated to
13    each employer;
14        (5) the total number of employers awarded or allocated
15    a credit;
16        (6) the total number of qualifying apprentices for
17    whom employers receiving credits under this Section
18    incurred qualified education expenses; and
19        (7) the average cost to the employer of all
20    apprenticeships receiving credits under this Section.
21(Source: P.A. 101-207, eff. 8-2-19; revised 9-5-19.)
 
22    (35 ILCS 5/304)  (from Ch. 120, par. 3-304)
23    Sec. 304. Business income of persons other than residents.
24    (a) In general. The business income of a person other than
25a resident shall be allocated to this State if such person's

 

 

SB2435- 511 -LRB102 04062 AMC 14078 b

1business income is derived solely from this State. If a person
2other than a resident derives business income from this State
3and one or more other states, then, for tax years ending on or
4before December 30, 1998, and except as otherwise provided by
5this Section, such person's business income shall be
6apportioned to this State by multiplying the income by a
7fraction, the numerator of which is the sum of the property
8factor (if any), the payroll factor (if any) and 200% of the
9sales factor (if any), and the denominator of which is 4
10reduced by the number of factors other than the sales factor
11which have a denominator of zero and by an additional 2 if the
12sales factor has a denominator of zero. For tax years ending on
13or after December 31, 1998, and except as otherwise provided
14by this Section, persons other than residents who derive
15business income from this State and one or more other states
16shall compute their apportionment factor by weighting their
17property, payroll, and sales factors as provided in subsection
18(h) of this Section.
19    (1) Property factor.
20        (A) The property factor is a fraction, the numerator
21    of which is the average value of the person's real and
22    tangible personal property owned or rented and used in the
23    trade or business in this State during the taxable year
24    and the denominator of which is the average value of all
25    the person's real and tangible personal property owned or
26    rented and used in the trade or business during the

 

 

SB2435- 512 -LRB102 04062 AMC 14078 b

1    taxable year.
2        (B) Property owned by the person is valued at its
3    original cost. Property rented by the person is valued at
4    8 times the net annual rental rate. Net annual rental rate
5    is the annual rental rate paid by the person less any
6    annual rental rate received by the person from
7    sub-rentals.
8        (C) The average value of property shall be determined
9    by averaging the values at the beginning and ending of the
10    taxable year but the Director may require the averaging of
11    monthly values during the taxable year if reasonably
12    required to reflect properly the average value of the
13    person's property.
14    (2) Payroll factor.
15        (A) The payroll factor is a fraction, the numerator of
16    which is the total amount paid in this State during the
17    taxable year by the person for compensation, and the
18    denominator of which is the total compensation paid
19    everywhere during the taxable year.
20        (B) Compensation is paid in this State if:
21            (i) The individual's service is performed entirely
22        within this State;
23            (ii) The individual's service is performed both
24        within and without this State, but the service
25        performed without this State is incidental to the
26        individual's service performed within this State; or

 

 

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1            (iii) For tax years ending prior to December 31,
2        2020, some of the service is performed within this
3        State and either the base of operations, or if there is
4        no base of operations, the place from which the
5        service is directed or controlled is within this
6        State, or the base of operations or the place from
7        which the service is directed or controlled is not in
8        any state in which some part of the service is
9        performed, but the individual's residence is in this
10        State. For tax years ending on or after December 31,
11        2020, compensation is paid in this State if some of the
12        individual's service is performed within this State,
13        the individual's service performed within this State
14        is nonincidental to the individual's service performed
15        without this State, and the individual's service is
16        performed within this State for more than 30 working
17        days during the tax year. The amount of compensation
18        paid in this State shall include the portion of the
19        individual's total compensation for services performed
20        on behalf of his or her employer during the tax year
21        which the number of working days spent within this
22        State during the tax year bears to the total number of
23        working days spent both within and without this State
24        during the tax year. For purposes of this paragraph:
25                (a) The term "working day" means all days
26            during the tax year in which the individual

 

 

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1            performs duties on behalf of his or her employer.
2            All days in which the individual performs no
3            duties on behalf of his or her employer (e.g.,
4            weekends, vacation days, sick days, and holidays)
5            are not working days.
6                (b) A working day is spent within this State
7            if:
8                    (1) the individual performs service on
9                behalf of the employer and a greater amount of
10                time on that day is spent by the individual
11                performing duties on behalf of the employer
12                within this State, without regard to time
13                spent traveling, than is spent performing
14                duties on behalf of the employer without this
15                State; or
16                    (2) the only service the individual
17                performs on behalf of the employer on that day
18                is traveling to a destination within this
19                State, and the individual arrives on that day.
20                (c) Working days spent within this State do
21            not include any day in which the employee is
22            performing services in this State during a
23            disaster period solely in response to a request
24            made to his or her employer by the government of
25            this State, by any political subdivision of this
26            State, or by a person conducting business in this

 

 

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1            State to perform disaster or emergency-related
2            services in this State. For purposes of this item
3            (c):
4                    "Declared State disaster or emergency"
5                means a disaster or emergency event (i) for
6                which a Governor's proclamation of a state of
7                emergency has been issued or (ii) for which a
8                Presidential declaration of a federal major
9                disaster or emergency has been issued.
10                    "Disaster period" means a period that
11                begins 10 days prior to the date of the
12                Governor's proclamation or the President's
13                declaration (whichever is earlier) and extends
14                for a period of 60 calendar days after the end
15                of the declared disaster or emergency period.
16                    "Disaster or emergency-related services"
17                means repairing, renovating, installing,
18                building, or rendering services or conducting
19                other business activities that relate to
20                infrastructure that has been damaged,
21                impaired, or destroyed by the declared State
22                disaster or emergency.
23                    "Infrastructure" means property and
24                equipment owned or used by a public utility,
25                communications network, broadband and internet
26                service provider, cable and video service

 

 

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1                provider, electric or gas distribution system,
2                or water pipeline that provides service to
3                more than one customer or person, including
4                related support facilities. "Infrastructure"
5                includes, but is not limited to, real and
6                personal property such as buildings, offices,
7                power lines, cable lines, poles,
8                communications lines, pipes, structures, and
9                equipment.
10            (iv) Compensation paid to nonresident professional
11        athletes.
12            (a) General. The Illinois source income of a
13        nonresident individual who is a member of a
14        professional athletic team includes the portion of the
15        individual's total compensation for services performed
16        as a member of a professional athletic team during the
17        taxable year which the number of duty days spent
18        within this State performing services for the team in
19        any manner during the taxable year bears to the total
20        number of duty days spent both within and without this
21        State during the taxable year.
22            (b) Travel days. Travel days that do not involve
23        either a game, practice, team meeting, or other
24        similar team event are not considered duty days spent
25        in this State. However, such travel days are
26        considered in the total duty days spent both within

 

 

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1        and without this State.
2            (c) Definitions. For purposes of this subpart
3        (iv):
4                (1) The term "professional athletic team"
5            includes, but is not limited to, any professional
6            baseball, basketball, football, soccer, or hockey
7            team.
8                (2) The term "member of a professional
9            athletic team" includes those employees who are
10            active players, players on the disabled list, and
11            any other persons required to travel and who
12            travel with and perform services on behalf of a
13            professional athletic team on a regular basis.
14            This includes, but is not limited to, coaches,
15            managers, and trainers.
16                (3) Except as provided in items (C) and (D) of
17            this subpart (3), the term "duty days" means all
18            days during the taxable year from the beginning of
19            the professional athletic team's official
20            pre-season training period through the last game
21            in which the team competes or is scheduled to
22            compete. Duty days shall be counted for the year
23            in which they occur, including where a team's
24            official pre-season training period through the
25            last game in which the team competes or is
26            scheduled to compete, occurs during more than one

 

 

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1            tax year.
2                    (A) Duty days shall also include days on
3                which a member of a professional athletic team
4                performs service for a team on a date that
5                does not fall within the foregoing period
6                (e.g., participation in instructional leagues,
7                the "All Star Game", or promotional
8                "caravans"). Performing a service for a
9                professional athletic team includes conducting
10                training and rehabilitation activities, when
11                such activities are conducted at team
12                facilities.
13                    (B) Also included in duty days are game
14                days, practice days, days spent at team
15                meetings, promotional caravans, preseason
16                training camps, and days served with the team
17                through all post-season games in which the
18                team competes or is scheduled to compete.
19                    (C) Duty days for any person who joins a
20                team during the period from the beginning of
21                the professional athletic team's official
22                pre-season training period through the last
23                game in which the team competes, or is
24                scheduled to compete, shall begin on the day
25                that person joins the team. Conversely, duty
26                days for any person who leaves a team during

 

 

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1                this period shall end on the day that person
2                leaves the team. Where a person switches teams
3                during a taxable year, a separate duty-day
4                calculation shall be made for the period the
5                person was with each team.
6                    (D) Days for which a member of a
7                professional athletic team is not compensated
8                and is not performing services for the team in
9                any manner, including days when such member of
10                a professional athletic team has been
11                suspended without pay and prohibited from
12                performing any services for the team, shall
13                not be treated as duty days.
14                    (E) Days for which a member of a
15                professional athletic team is on the disabled
16                list and does not conduct rehabilitation
17                activities at facilities of the team, and is
18                not otherwise performing services for the team
19                in Illinois, shall not be considered duty days
20                spent in this State. All days on the disabled
21                list, however, are considered to be included
22                in total duty days spent both within and
23                without this State.
24                (4) The term "total compensation for services
25            performed as a member of a professional athletic
26            team" means the total compensation received during

 

 

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1            the taxable year for services performed:
2                    (A) from the beginning of the official
3                pre-season training period through the last
4                game in which the team competes or is
5                scheduled to compete during that taxable year;
6                and
7                    (B) during the taxable year on a date
8                which does not fall within the foregoing
9                period (e.g., participation in instructional
10                leagues, the "All Star Game", or promotional
11                caravans).
12                This compensation shall include, but is not
13            limited to, salaries, wages, bonuses as described
14            in this subpart, and any other type of
15            compensation paid during the taxable year to a
16            member of a professional athletic team for
17            services performed in that year. This compensation
18            does not include strike benefits, severance pay,
19            termination pay, contract or option year buy-out
20            payments, expansion or relocation payments, or any
21            other payments not related to services performed
22            for the team.
23                For purposes of this subparagraph, "bonuses"
24            included in "total compensation for services
25            performed as a member of a professional athletic
26            team" subject to the allocation described in

 

 

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1            Section 302(c)(1) are: bonuses earned as a result
2            of play (i.e., performance bonuses) during the
3            season, including bonuses paid for championship,
4            playoff or "bowl" games played by a team, or for
5            selection to all-star league or other honorary
6            positions; and bonuses paid for signing a
7            contract, unless the payment of the signing bonus
8            is not conditional upon the signee playing any
9            games for the team or performing any subsequent
10            services for the team or even making the team, the
11            signing bonus is payable separately from the
12            salary and any other compensation, and the signing
13            bonus is nonrefundable.
14    (3) Sales factor.
15        (A) The sales factor is a fraction, the numerator of
16    which is the total sales of the person in this State during
17    the taxable year, and the denominator of which is the
18    total sales of the person everywhere during the taxable
19    year.
20        (B) Sales of tangible personal property are in this
21    State if:
22            (i) The property is delivered or shipped to a
23        purchaser, other than the United States government,
24        within this State regardless of the f. o. b. point or
25        other conditions of the sale; or
26            (ii) The property is shipped from an office,

 

 

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1        store, warehouse, factory or other place of storage in
2        this State and either the purchaser is the United
3        States government or the person is not taxable in the
4        state of the purchaser; provided, however, that
5        premises owned or leased by a person who has
6        independently contracted with the seller for the
7        printing of newspapers, periodicals or books shall not
8        be deemed to be an office, store, warehouse, factory
9        or other place of storage for purposes of this
10        Section. Sales of tangible personal property are not
11        in this State if the seller and purchaser would be
12        members of the same unitary business group but for the
13        fact that either the seller or purchaser is a person
14        with 80% or more of total business activity outside of
15        the United States and the property is purchased for
16        resale.
17        (B-1) Patents, copyrights, trademarks, and similar
18    items of intangible personal property.
19            (i) Gross receipts from the licensing, sale, or
20        other disposition of a patent, copyright, trademark,
21        or similar item of intangible personal property, other
22        than gross receipts governed by paragraph (B-7) of
23        this item (3), are in this State to the extent the item
24        is utilized in this State during the year the gross
25        receipts are included in gross income.
26            (ii) Place of utilization.

 

 

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1                (I) A patent is utilized in a state to the
2            extent that it is employed in production,
3            fabrication, manufacturing, or other processing in
4            the state or to the extent that a patented product
5            is produced in the state. If a patent is utilized
6            in more than one state, the extent to which it is
7            utilized in any one state shall be a fraction
8            equal to the gross receipts of the licensee or
9            purchaser from sales or leases of items produced,
10            fabricated, manufactured, or processed within that
11            state using the patent and of patented items
12            produced within that state, divided by the total
13            of such gross receipts for all states in which the
14            patent is utilized.
15                (II) A copyright is utilized in a state to the
16            extent that printing or other publication
17            originates in the state. If a copyright is
18            utilized in more than one state, the extent to
19            which it is utilized in any one state shall be a
20            fraction equal to the gross receipts from sales or
21            licenses of materials printed or published in that
22            state divided by the total of such gross receipts
23            for all states in which the copyright is utilized.
24                (III) Trademarks and other items of intangible
25            personal property governed by this paragraph (B-1)
26            are utilized in the state in which the commercial

 

 

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1            domicile of the licensee or purchaser is located.
2            (iii) If the state of utilization of an item of
3        property governed by this paragraph (B-1) cannot be
4        determined from the taxpayer's books and records or
5        from the books and records of any person related to the
6        taxpayer within the meaning of Section 267(b) of the
7        Internal Revenue Code, 26 U.S.C. 267, the gross
8        receipts attributable to that item shall be excluded
9        from both the numerator and the denominator of the
10        sales factor.
11        (B-2) Gross receipts from the license, sale, or other
12    disposition of patents, copyrights, trademarks, and
13    similar items of intangible personal property, other than
14    gross receipts governed by paragraph (B-7) of this item
15    (3), may be included in the numerator or denominator of
16    the sales factor only if gross receipts from licenses,
17    sales, or other disposition of such items comprise more
18    than 50% of the taxpayer's total gross receipts included
19    in gross income during the tax year and during each of the
20    2 immediately preceding tax years; provided that, when a
21    taxpayer is a member of a unitary business group, such
22    determination shall be made on the basis of the gross
23    receipts of the entire unitary business group.
24        (B-5) For taxable years ending on or after December
25    31, 2008, except as provided in subsections (ii) through
26    (vii), receipts from the sale of telecommunications

 

 

SB2435- 525 -LRB102 04062 AMC 14078 b

1    service or mobile telecommunications service are in this
2    State if the customer's service address is in this State.
3            (i) For purposes of this subparagraph (B-5), the
4        following terms have the following meanings:
5            "Ancillary services" means services that are
6        associated with or incidental to the provision of
7        "telecommunications services", including, but not
8        limited to, "detailed telecommunications billing",
9        "directory assistance", "vertical service", and "voice
10        mail services".
11            "Air-to-Ground Radiotelephone service" means a
12        radio service, as that term is defined in 47 CFR 22.99,
13        in which common carriers are authorized to offer and
14        provide radio telecommunications service for hire to
15        subscribers in aircraft.
16            "Call-by-call Basis" means any method of charging
17        for telecommunications services where the price is
18        measured by individual calls.
19            "Communications Channel" means a physical or
20        virtual path of communications over which signals are
21        transmitted between or among customer channel
22        termination points.
23            "Conference bridging service" means an "ancillary
24        service" that links two or more participants of an
25        audio or video conference call and may include the
26        provision of a telephone number. "Conference bridging

 

 

SB2435- 526 -LRB102 04062 AMC 14078 b

1        service" does not include the "telecommunications
2        services" used to reach the conference bridge.
3            "Customer Channel Termination Point" means the
4        location where the customer either inputs or receives
5        the communications.
6            "Detailed telecommunications billing service"
7        means an "ancillary service" of separately stating
8        information pertaining to individual calls on a
9        customer's billing statement.
10            "Directory assistance" means an "ancillary
11        service" of providing telephone number information,
12        and/or address information.
13            "Home service provider" means the facilities based
14        carrier or reseller with which the customer contracts
15        for the provision of mobile telecommunications
16        services.
17            "Mobile telecommunications service" means
18        commercial mobile radio service, as defined in Section
19        20.3 of Title 47 of the Code of Federal Regulations as
20        in effect on June 1, 1999.
21            "Place of primary use" means the street address
22        representative of where the customer's use of the
23        telecommunications service primarily occurs, which
24        must be the residential street address or the primary
25        business street address of the customer. In the case
26        of mobile telecommunications services, "place of

 

 

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1        primary use" must be within the licensed service area
2        of the home service provider.
3            "Post-paid telecommunication service" means the
4        telecommunications service obtained by making a
5        payment on a call-by-call basis either through the use
6        of a credit card or payment mechanism such as a bank
7        card, travel card, credit card, or debit card, or by
8        charge made to a telephone number which is not
9        associated with the origination or termination of the
10        telecommunications service. A post-paid calling
11        service includes telecommunications service, except a
12        prepaid wireless calling service, that would be a
13        prepaid calling service except it is not exclusively a
14        telecommunication service.
15            "Prepaid telecommunication service" means the
16        right to access exclusively telecommunications
17        services, which must be paid for in advance and which
18        enables the origination of calls using an access
19        number or authorization code, whether manually or
20        electronically dialed, and that is sold in
21        predetermined units or dollars of which the number
22        declines with use in a known amount.
23            "Prepaid Mobile telecommunication service" means a
24        telecommunications service that provides the right to
25        utilize mobile wireless service as well as other
26        non-telecommunication services, including, but not

 

 

SB2435- 528 -LRB102 04062 AMC 14078 b

1        limited to, ancillary services, which must be paid for
2        in advance that is sold in predetermined units or
3        dollars of which the number declines with use in a
4        known amount.
5            "Private communication service" means a
6        telecommunication service that entitles the customer
7        to exclusive or priority use of a communications
8        channel or group of channels between or among
9        termination points, regardless of the manner in which
10        such channel or channels are connected, and includes
11        switching capacity, extension lines, stations, and any
12        other associated services that are provided in
13        connection with the use of such channel or channels.
14            "Service address" means:
15                (a) The location of the telecommunications
16            equipment to which a customer's call is charged
17            and from which the call originates or terminates,
18            regardless of where the call is billed or paid;
19                (b) If the location in line (a) is not known,
20            service address means the origination point of the
21            signal of the telecommunications services first
22            identified by either the seller's
23            telecommunications system or in information
24            received by the seller from its service provider
25            where the system used to transport such signals is
26            not that of the seller; and

 

 

SB2435- 529 -LRB102 04062 AMC 14078 b

1                (c) If the locations in line (a) and line (b)
2            are not known, the service address means the
3            location of the customer's place of primary use.
4            "Telecommunications service" means the electronic
5        transmission, conveyance, or routing of voice, data,
6        audio, video, or any other information or signals to a
7        point, or between or among points. The term
8        "telecommunications service" includes such
9        transmission, conveyance, or routing in which computer
10        processing applications are used to act on the form,
11        code or protocol of the content for purposes of
12        transmission, conveyance or routing without regard to
13        whether such service is referred to as voice over
14        Internet protocol services or is classified by the
15        Federal Communications Commission as enhanced or value
16        added. "Telecommunications service" does not include:
17                (a) Data processing and information services
18            that allow data to be generated, acquired, stored,
19            processed, or retrieved and delivered by an
20            electronic transmission to a purchaser when such
21            purchaser's primary purpose for the underlying
22            transaction is the processed data or information;
23                (b) Installation or maintenance of wiring or
24            equipment on a customer's premises;
25                (c) Tangible personal property;
26                (d) Advertising, including, but not limited

 

 

SB2435- 530 -LRB102 04062 AMC 14078 b

1            to, directory advertising;
2                (e) Billing and collection services provided
3            to third parties;
4                (f) Internet access service;
5                (g) Radio and television audio and video
6            programming services, regardless of the medium,
7            including the furnishing of transmission,
8            conveyance and routing of such services by the
9            programming service provider. Radio and television
10            audio and video programming services shall
11            include, but not be limited to, cable service as
12            defined in 47 USC 522(6) and audio and video
13            programming services delivered by commercial
14            mobile radio service providers, as defined in 47
15            CFR 20.3;
16                (h) "Ancillary services"; or
17                (i) Digital products "delivered
18            electronically", including, but not limited to,
19            software, music, video, reading materials or ring
20            tones.
21            "Vertical service" means an "ancillary service"
22        that is offered in connection with one or more
23        "telecommunications services", which offers advanced
24        calling features that allow customers to identify
25        callers and to manage multiple calls and call
26        connections, including "conference bridging services".

 

 

SB2435- 531 -LRB102 04062 AMC 14078 b

1            "Voice mail service" means an "ancillary service"
2        that enables the customer to store, send or receive
3        recorded messages. "Voice mail service" does not
4        include any "vertical services" that the customer may
5        be required to have in order to utilize the "voice mail
6        service".
7            (ii) Receipts from the sale of telecommunications
8        service sold on an individual call-by-call basis are
9        in this State if either of the following applies:
10                (a) The call both originates and terminates in
11            this State.
12                (b) The call either originates or terminates
13            in this State and the service address is located
14            in this State.
15            (iii) Receipts from the sale of postpaid
16        telecommunications service at retail are in this State
17        if the origination point of the telecommunication
18        signal, as first identified by the service provider's
19        telecommunication system or as identified by
20        information received by the seller from its service
21        provider if the system used to transport
22        telecommunication signals is not the seller's, is
23        located in this State.
24            (iv) Receipts from the sale of prepaid
25        telecommunications service or prepaid mobile
26        telecommunications service at retail are in this State

 

 

SB2435- 532 -LRB102 04062 AMC 14078 b

1        if the purchaser obtains the prepaid card or similar
2        means of conveyance at a location in this State.
3        Receipts from recharging a prepaid telecommunications
4        service or mobile telecommunications service is in
5        this State if the purchaser's billing information
6        indicates a location in this State.
7            (v) Receipts from the sale of private
8        communication services are in this State as follows:
9                (a) 100% of receipts from charges imposed at
10            each channel termination point in this State.
11                (b) 100% of receipts from charges for the
12            total channel mileage between each channel
13            termination point in this State.
14                (c) 50% of the total receipts from charges for
15            service segments when those segments are between 2
16            customer channel termination points, 1 of which is
17            located in this State and the other is located
18            outside of this State, which segments are
19            separately charged.
20                (d) The receipts from charges for service
21            segments with a channel termination point located
22            in this State and in two or more other states, and
23            which segments are not separately billed, are in
24            this State based on a percentage determined by
25            dividing the number of customer channel
26            termination points in this State by the total

 

 

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1            number of customer channel termination points.
2            (vi) Receipts from charges for ancillary services
3        for telecommunications service sold to customers at
4        retail are in this State if the customer's primary
5        place of use of telecommunications services associated
6        with those ancillary services is in this State. If the
7        seller of those ancillary services cannot determine
8        where the associated telecommunications are located,
9        then the ancillary services shall be based on the
10        location of the purchaser.
11            (vii) Receipts to access a carrier's network or
12        from the sale of telecommunication services or
13        ancillary services for resale are in this State as
14        follows:
15                (a) 100% of the receipts from access fees
16            attributable to intrastate telecommunications
17            service that both originates and terminates in
18            this State.
19                (b) 50% of the receipts from access fees
20            attributable to interstate telecommunications
21            service if the interstate call either originates
22            or terminates in this State.
23                (c) 100% of the receipts from interstate end
24            user access line charges, if the customer's
25            service address is in this State. As used in this
26            subdivision, "interstate end user access line

 

 

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1            charges" includes, but is not limited to, the
2            surcharge approved by the federal communications
3            commission and levied pursuant to 47 CFR 69.
4                (d) Gross receipts from sales of
5            telecommunication services or from ancillary
6            services for telecommunications services sold to
7            other telecommunication service providers for
8            resale shall be sourced to this State using the
9            apportionment concepts used for non-resale
10            receipts of telecommunications services if the
11            information is readily available to make that
12            determination. If the information is not readily
13            available, then the taxpayer may use any other
14            reasonable and consistent method.
15        (B-7) For taxable years ending on or after December
16    31, 2008, receipts from the sale of broadcasting services
17    are in this State if the broadcasting services are
18    received in this State. For purposes of this paragraph
19    (B-7), the following terms have the following meanings:
20            "Advertising revenue" means consideration received
21        by the taxpayer in exchange for broadcasting services
22        or allowing the broadcasting of commercials or
23        announcements in connection with the broadcasting of
24        film or radio programming, from sponsorships of the
25        programming, or from product placements in the
26        programming.

 

 

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1            "Audience factor" means the ratio that the
2        audience or subscribers located in this State of a
3        station, a network, or a cable system bears to the
4        total audience or total subscribers for that station,
5        network, or cable system. The audience factor for film
6        or radio programming shall be determined by reference
7        to the books and records of the taxpayer or by
8        reference to published rating statistics provided the
9        method used by the taxpayer is consistently used from
10        year to year for this purpose and fairly represents
11        the taxpayer's activity in this State.
12            "Broadcast" or "broadcasting" or "broadcasting
13        services" means the transmission or provision of film
14        or radio programming, whether through the public
15        airwaves, by cable, by direct or indirect satellite
16        transmission, or by any other means of communication,
17        either through a station, a network, or a cable
18        system.
19            "Film" or "film programming" means the broadcast
20        on television of any and all performances, events, or
21        productions, including, but not limited to, news,
22        sporting events, plays, stories, or other literary,
23        commercial, educational, or artistic works, either
24        live or through the use of video tape, disc, or any
25        other type of format or medium. Each episode of a
26        series of films produced for television shall

 

 

SB2435- 536 -LRB102 04062 AMC 14078 b

1        constitute separate "film" notwithstanding that the
2        series relates to the same principal subject and is
3        produced during one or more tax periods.
4            "Radio" or "radio programming" means the broadcast
5        on radio of any and all performances, events, or
6        productions, including, but not limited to, news,
7        sporting events, plays, stories, or other literary,
8        commercial, educational, or artistic works, either
9        live or through the use of an audio tape, disc, or any
10        other format or medium. Each episode in a series of
11        radio programming produced for radio broadcast shall
12        constitute a separate "radio programming"
13        notwithstanding that the series relates to the same
14        principal subject and is produced during one or more
15        tax periods.
16                (i) In the case of advertising revenue from
17            broadcasting, the customer is the advertiser and
18            the service is received in this State if the
19            commercial domicile of the advertiser is in this
20            State.
21                (ii) In the case where film or radio
22            programming is broadcast by a station, a network,
23            or a cable system for a fee or other remuneration
24            received from the recipient of the broadcast, the
25            portion of the service that is received in this
26            State is measured by the portion of the recipients

 

 

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1            of the broadcast located in this State.
2            Accordingly, the fee or other remuneration for
3            such service that is included in the Illinois
4            numerator of the sales factor is the total of
5            those fees or other remuneration received from
6            recipients in Illinois. For purposes of this
7            paragraph, a taxpayer may determine the location
8            of the recipients of its broadcast using the
9            address of the recipient shown in its contracts
10            with the recipient or using the billing address of
11            the recipient in the taxpayer's records.
12                (iii) In the case where film or radio
13            programming is broadcast by a station, a network,
14            or a cable system for a fee or other remuneration
15            from the person providing the programming, the
16            portion of the broadcast service that is received
17            by such station, network, or cable system in this
18            State is measured by the portion of recipients of
19            the broadcast located in this State. Accordingly,
20            the amount of revenue related to such an
21            arrangement that is included in the Illinois
22            numerator of the sales factor is the total fee or
23            other total remuneration from the person providing
24            the programming related to that broadcast
25            multiplied by the Illinois audience factor for
26            that broadcast.

 

 

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1                (iv) In the case where film or radio
2            programming is provided by a taxpayer that is a
3            network or station to a customer for broadcast in
4            exchange for a fee or other remuneration from that
5            customer the broadcasting service is received at
6            the location of the office of the customer from
7            which the services were ordered in the regular
8            course of the customer's trade or business.
9            Accordingly, in such a case the revenue derived by
10            the taxpayer that is included in the taxpayer's
11            Illinois numerator of the sales factor is the
12            revenue from such customers who receive the
13            broadcasting service in Illinois.
14                (v) In the case where film or radio
15            programming is provided by a taxpayer that is not
16            a network or station to another person for
17            broadcasting in exchange for a fee or other
18            remuneration from that person, the broadcasting
19            service is received at the location of the office
20            of the customer from which the services were
21            ordered in the regular course of the customer's
22            trade or business. Accordingly, in such a case the
23            revenue derived by the taxpayer that is included
24            in the taxpayer's Illinois numerator of the sales
25            factor is the revenue from such customers who
26            receive the broadcasting service in Illinois.

 

 

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1        (B-8) Gross receipts from winnings under the Illinois
2    Lottery Law from the assignment of a prize under Section
3    13.1 of the Illinois Lottery Law are received in this
4    State. This paragraph (B-8) applies only to taxable years
5    ending on or after December 31, 2013.
6        (B-9) For taxable years ending on or after December
7    31, 2019, gross receipts from winnings from pari-mutuel
8    wagering conducted at a wagering facility licensed under
9    the Illinois Horse Racing Act of 1975 or from winnings
10    from gambling games conducted on a riverboat or in a
11    casino or organization gaming facility licensed under the
12    Illinois Gambling Act are in this State.
13        (C) For taxable years ending before December 31, 2008,
14    sales, other than sales governed by paragraphs (B), (B-1),
15    (B-2), and (B-8) are in this State if:
16            (i) The income-producing activity is performed in
17        this State; or
18            (ii) The income-producing activity is performed
19        both within and without this State and a greater
20        proportion of the income-producing activity is
21        performed within this State than without this State,
22        based on performance costs.
23        (C-5) For taxable years ending on or after December
24    31, 2008, sales, other than sales governed by paragraphs
25    (B), (B-1), (B-2), (B-5), and (B-7), are in this State if
26    any of the following criteria are met:

 

 

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1            (i) Sales from the sale or lease of real property
2        are in this State if the property is located in this
3        State.
4            (ii) Sales from the lease or rental of tangible
5        personal property are in this State if the property is
6        located in this State during the rental period. Sales
7        from the lease or rental of tangible personal property
8        that is characteristically moving property, including,
9        but not limited to, motor vehicles, rolling stock,
10        aircraft, vessels, or mobile equipment are in this
11        State to the extent that the property is used in this
12        State.
13            (iii) In the case of interest, net gains (but not
14        less than zero) and other items of income from
15        intangible personal property, the sale is in this
16        State if:
17                (a) in the case of a taxpayer who is a dealer
18            in the item of intangible personal property within
19            the meaning of Section 475 of the Internal Revenue
20            Code, the income or gain is received from a
21            customer in this State. For purposes of this
22            subparagraph, a customer is in this State if the
23            customer is an individual, trust or estate who is
24            a resident of this State and, for all other
25            customers, if the customer's commercial domicile
26            is in this State. Unless the dealer has actual

 

 

SB2435- 541 -LRB102 04062 AMC 14078 b

1            knowledge of the residence or commercial domicile
2            of a customer during a taxable year, the customer
3            shall be deemed to be a customer in this State if
4            the billing address of the customer, as shown in
5            the records of the dealer, is in this State; or
6                (b) in all other cases, if the
7            income-producing activity of the taxpayer is
8            performed in this State or, if the
9            income-producing activity of the taxpayer is
10            performed both within and without this State, if a
11            greater proportion of the income-producing
12            activity of the taxpayer is performed within this
13            State than in any other state, based on
14            performance costs.
15            (iv) Sales of services are in this State if the
16        services are received in this State. For the purposes
17        of this section, gross receipts from the performance
18        of services provided to a corporation, partnership, or
19        trust may only be attributed to a state where that
20        corporation, partnership, or trust has a fixed place
21        of business. If the state where the services are
22        received is not readily determinable or is a state
23        where the corporation, partnership, or trust receiving
24        the service does not have a fixed place of business,
25        the services shall be deemed to be received at the
26        location of the office of the customer from which the

 

 

SB2435- 542 -LRB102 04062 AMC 14078 b

1        services were ordered in the regular course of the
2        customer's trade or business. If the ordering office
3        cannot be determined, the services shall be deemed to
4        be received at the office of the customer to which the
5        services are billed. If the taxpayer is not taxable in
6        the state in which the services are received, the sale
7        must be excluded from both the numerator and the
8        denominator of the sales factor. The Department shall
9        adopt rules prescribing where specific types of
10        service are received, including, but not limited to,
11        publishing, and utility service.
12        (D) For taxable years ending on or after December 31,
13    1995, the following items of income shall not be included
14    in the numerator or denominator of the sales factor:
15    dividends; amounts included under Section 78 of the
16    Internal Revenue Code; and Subpart F income as defined in
17    Section 952 of the Internal Revenue Code. No inference
18    shall be drawn from the enactment of this paragraph (D) in
19    construing this Section for taxable years ending before
20    December 31, 1995.
21        (E) Paragraphs (B-1) and (B-2) shall apply to tax
22    years ending on or after December 31, 1999, provided that
23    a taxpayer may elect to apply the provisions of these
24    paragraphs to prior tax years. Such election shall be made
25    in the form and manner prescribed by the Department, shall
26    be irrevocable, and shall apply to all tax years; provided

 

 

SB2435- 543 -LRB102 04062 AMC 14078 b

1    that, if a taxpayer's Illinois income tax liability for
2    any tax year, as assessed under Section 903 prior to
3    January 1, 1999, was computed in a manner contrary to the
4    provisions of paragraphs (B-1) or (B-2), no refund shall
5    be payable to the taxpayer for that tax year to the extent
6    such refund is the result of applying the provisions of
7    paragraph (B-1) or (B-2) retroactively. In the case of a
8    unitary business group, such election shall apply to all
9    members of such group for every tax year such group is in
10    existence, but shall not apply to any taxpayer for any
11    period during which that taxpayer is not a member of such
12    group.
13    (b) Insurance companies.
14        (1) In general. Except as otherwise provided by
15    paragraph (2), business income of an insurance company for
16    a taxable year shall be apportioned to this State by
17    multiplying such income by a fraction, the numerator of
18    which is the direct premiums written for insurance upon
19    property or risk in this State, and the denominator of
20    which is the direct premiums written for insurance upon
21    property or risk everywhere. For purposes of this
22    subsection, the term "direct premiums written" means the
23    total amount of direct premiums written, assessments and
24    annuity considerations as reported for the taxable year on
25    the annual statement filed by the company with the
26    Illinois Director of Insurance in the form approved by the

 

 

SB2435- 544 -LRB102 04062 AMC 14078 b

1    National Convention of Insurance Commissioners or such
2    other form as may be prescribed in lieu thereof.
3        (2) Reinsurance. If the principal source of premiums
4    written by an insurance company consists of premiums for
5    reinsurance accepted by it, the business income of such
6    company shall be apportioned to this State by multiplying
7    such income by a fraction, the numerator of which is the
8    sum of (i) direct premiums written for insurance upon
9    property or risk in this State, plus (ii) premiums written
10    for reinsurance accepted in respect of property or risk in
11    this State, and the denominator of which is the sum of
12    (iii) direct premiums written for insurance upon property
13    or risk everywhere, plus (iv) premiums written for
14    reinsurance accepted in respect of property or risk
15    everywhere. For purposes of this paragraph, premiums
16    written for reinsurance accepted in respect of property or
17    risk in this State, whether or not otherwise determinable,
18    may, at the election of the company, be determined on the
19    basis of the proportion which premiums written for
20    reinsurance accepted from companies commercially domiciled
21    in Illinois bears to premiums written for reinsurance
22    accepted from all sources, or, alternatively, in the
23    proportion which the sum of the direct premiums written
24    for insurance upon property or risk in this State by each
25    ceding company from which reinsurance is accepted bears to
26    the sum of the total direct premiums written by each such

 

 

SB2435- 545 -LRB102 04062 AMC 14078 b

1    ceding company for the taxable year. The election made by
2    a company under this paragraph for its first taxable year
3    ending on or after December 31, 2011, shall be binding for
4    that company for that taxable year and for all subsequent
5    taxable years, and may be altered only with the written
6    permission of the Department, which shall not be
7    unreasonably withheld.
8    (c) Financial organizations.
9        (1) In general. For taxable years ending before
10    December 31, 2008, business income of a financial
11    organization shall be apportioned to this State by
12    multiplying such income by a fraction, the numerator of
13    which is its business income from sources within this
14    State, and the denominator of which is its business income
15    from all sources. For the purposes of this subsection, the
16    business income of a financial organization from sources
17    within this State is the sum of the amounts referred to in
18    subparagraphs (A) through (E) following, but excluding the
19    adjusted income of an international banking facility as
20    determined in paragraph (2):
21            (A) Fees, commissions or other compensation for
22        financial services rendered within this State;
23            (B) Gross profits from trading in stocks, bonds or
24        other securities managed within this State;
25            (C) Dividends, and interest from Illinois
26        customers, which are received within this State;

 

 

SB2435- 546 -LRB102 04062 AMC 14078 b

1            (D) Interest charged to customers at places of
2        business maintained within this State for carrying
3        debit balances of margin accounts, without deduction
4        of any costs incurred in carrying such accounts; and
5            (E) Any other gross income resulting from the
6        operation as a financial organization within this
7        State.
8        In computing the amounts referred to in paragraphs (A)
9    through (E) of this subsection, any amount received by a
10    member of an affiliated group (determined under Section
11    1504(a) of the Internal Revenue Code but without reference
12    to whether any such corporation is an "includible
13    corporation" under Section 1504(b) of the Internal Revenue
14    Code) from another member of such group shall be included
15    only to the extent such amount exceeds expenses of the
16    recipient directly related thereto.
17        (2) International Banking Facility. For taxable years
18    ending before December 31, 2008:
19            (A) Adjusted Income. The adjusted income of an
20        international banking facility is its income reduced
21        by the amount of the floor amount.
22            (B) Floor Amount. The floor amount shall be the
23        amount, if any, determined by multiplying the income
24        of the international banking facility by a fraction,
25        not greater than one, which is determined as follows:
26                (i) The numerator shall be:

 

 

SB2435- 547 -LRB102 04062 AMC 14078 b

1                The average aggregate, determined on a
2            quarterly basis, of the financial organization's
3            loans to banks in foreign countries, to foreign
4            domiciled borrowers (except where secured
5            primarily by real estate) and to foreign
6            governments and other foreign official
7            institutions, as reported for its branches,
8            agencies and offices within the state on its
9            "Consolidated Report of Condition", Schedule A,
10            Lines 2.c., 5.b., and 7.a., which was filed with
11            the Federal Deposit Insurance Corporation and
12            other regulatory authorities, for the year 1980,
13            minus
14                The average aggregate, determined on a
15            quarterly basis, of such loans (other than loans
16            of an international banking facility), as reported
17            by the financial institution for its branches,
18            agencies and offices within the state, on the
19            corresponding Schedule and lines of the
20            Consolidated Report of Condition for the current
21            taxable year, provided, however, that in no case
22            shall the amount determined in this clause (the
23            subtrahend) exceed the amount determined in the
24            preceding clause (the minuend); and
25                (ii) the denominator shall be the average
26            aggregate, determined on a quarterly basis, of the

 

 

SB2435- 548 -LRB102 04062 AMC 14078 b

1            international banking facility's loans to banks in
2            foreign countries, to foreign domiciled borrowers
3            (except where secured primarily by real estate)
4            and to foreign governments and other foreign
5            official institutions, which were recorded in its
6            financial accounts for the current taxable year.
7            (C) Change to Consolidated Report of Condition and
8        in Qualification. In the event the Consolidated Report
9        of Condition which is filed with the Federal Deposit
10        Insurance Corporation and other regulatory authorities
11        is altered so that the information required for
12        determining the floor amount is not found on Schedule
13        A, lines 2.c., 5.b. and 7.a., the financial
14        institution shall notify the Department and the
15        Department may, by regulations or otherwise, prescribe
16        or authorize the use of an alternative source for such
17        information. The financial institution shall also
18        notify the Department should its international banking
19        facility fail to qualify as such, in whole or in part,
20        or should there be any amendment or change to the
21        Consolidated Report of Condition, as originally filed,
22        to the extent such amendment or change alters the
23        information used in determining the floor amount.
24        (3) For taxable years ending on or after December 31,
25    2008, the business income of a financial organization
26    shall be apportioned to this State by multiplying such

 

 

SB2435- 549 -LRB102 04062 AMC 14078 b

1    income by a fraction, the numerator of which is its gross
2    receipts from sources in this State or otherwise
3    attributable to this State's marketplace and the
4    denominator of which is its gross receipts everywhere
5    during the taxable year. "Gross receipts" for purposes of
6    this subparagraph (3) means gross income, including net
7    taxable gain on disposition of assets, including
8    securities and money market instruments, when derived from
9    transactions and activities in the regular course of the
10    financial organization's trade or business. The following
11    examples are illustrative:
12            (i) Receipts from the lease or rental of real or
13        tangible personal property are in this State if the
14        property is located in this State during the rental
15        period. Receipts from the lease or rental of tangible
16        personal property that is characteristically moving
17        property, including, but not limited to, motor
18        vehicles, rolling stock, aircraft, vessels, or mobile
19        equipment are from sources in this State to the extent
20        that the property is used in this State.
21            (ii) Interest income, commissions, fees, gains on
22        disposition, and other receipts from assets in the
23        nature of loans that are secured primarily by real
24        estate or tangible personal property are from sources
25        in this State if the security is located in this State.
26            (iii) Interest income, commissions, fees, gains on

 

 

SB2435- 550 -LRB102 04062 AMC 14078 b

1        disposition, and other receipts from consumer loans
2        that are not secured by real or tangible personal
3        property are from sources in this State if the debtor
4        is a resident of this State.
5            (iv) Interest income, commissions, fees, gains on
6        disposition, and other receipts from commercial loans
7        and installment obligations that are not secured by
8        real or tangible personal property are from sources in
9        this State if the proceeds of the loan are to be
10        applied in this State. If it cannot be determined
11        where the funds are to be applied, the income and
12        receipts are from sources in this State if the office
13        of the borrower from which the loan was negotiated in
14        the regular course of business is located in this
15        State. If the location of this office cannot be
16        determined, the income and receipts shall be excluded
17        from the numerator and denominator of the sales
18        factor.
19            (v) Interest income, fees, gains on disposition,
20        service charges, merchant discount income, and other
21        receipts from credit card receivables are from sources
22        in this State if the card charges are regularly billed
23        to a customer in this State.
24            (vi) Receipts from the performance of services,
25        including, but not limited to, fiduciary, advisory,
26        and brokerage services, are in this State if the

 

 

SB2435- 551 -LRB102 04062 AMC 14078 b

1        services are received in this State within the meaning
2        of subparagraph (a)(3)(C-5)(iv) of this Section.
3            (vii) Receipts from the issuance of travelers
4        checks and money orders are from sources in this State
5        if the checks and money orders are issued from a
6        location within this State.
7            (viii) Receipts from investment assets and
8        activities and trading assets and activities are
9        included in the receipts factor as follows:
10                (1) Interest, dividends, net gains (but not
11            less than zero) and other income from investment
12            assets and activities from trading assets and
13            activities shall be included in the receipts
14            factor. Investment assets and activities and
15            trading assets and activities include, but are not
16            limited to: investment securities; trading account
17            assets; federal funds; securities purchased and
18            sold under agreements to resell or repurchase;
19            options; futures contracts; forward contracts;
20            notional principal contracts such as swaps;
21            equities; and foreign currency transactions. With
22            respect to the investment and trading assets and
23            activities described in subparagraphs (A) and (B)
24            of this paragraph, the receipts factor shall
25            include the amounts described in such
26            subparagraphs.

 

 

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1                    (A) The receipts factor shall include the
2                amount by which interest from federal funds
3                sold and securities purchased under resale
4                agreements exceeds interest expense on federal
5                funds purchased and securities sold under
6                repurchase agreements.
7                    (B) The receipts factor shall include the
8                amount by which interest, dividends, gains and
9                other income from trading assets and
10                activities, including, but not limited to,
11                assets and activities in the matched book, in
12                the arbitrage book, and foreign currency
13                transactions, exceed amounts paid in lieu of
14                interest, amounts paid in lieu of dividends,
15                and losses from such assets and activities.
16                (2) The numerator of the receipts factor
17            includes interest, dividends, net gains (but not
18            less than zero), and other income from investment
19            assets and activities and from trading assets and
20            activities described in paragraph (1) of this
21            subsection that are attributable to this State.
22                    (A) The amount of interest, dividends, net
23                gains (but not less than zero), and other
24                income from investment assets and activities
25                in the investment account to be attributed to
26                this State and included in the numerator is

 

 

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1                determined by multiplying all such income from
2                such assets and activities by a fraction, the
3                numerator of which is the gross income from
4                such assets and activities which are properly
5                assigned to a fixed place of business of the
6                taxpayer within this State and the denominator
7                of which is the gross income from all such
8                assets and activities.
9                    (B) The amount of interest from federal
10                funds sold and purchased and from securities
11                purchased under resale agreements and
12                securities sold under repurchase agreements
13                attributable to this State and included in the
14                numerator is determined by multiplying the
15                amount described in subparagraph (A) of
16                paragraph (1) of this subsection from such
17                funds and such securities by a fraction, the
18                numerator of which is the gross income from
19                such funds and such securities which are
20                properly assigned to a fixed place of business
21                of the taxpayer within this State and the
22                denominator of which is the gross income from
23                all such funds and such securities.
24                    (C) The amount of interest, dividends,
25                gains, and other income from trading assets
26                and activities, including, but not limited to,

 

 

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1                assets and activities in the matched book, in
2                the arbitrage book and foreign currency
3                transactions (but excluding amounts described
4                in subparagraphs (A) or (B) of this
5                paragraph), attributable to this State and
6                included in the numerator is determined by
7                multiplying the amount described in
8                subparagraph (B) of paragraph (1) of this
9                subsection by a fraction, the numerator of
10                which is the gross income from such trading
11                assets and activities which are properly
12                assigned to a fixed place of business of the
13                taxpayer within this State and the denominator
14                of which is the gross income from all such
15                assets and activities.
16                    (D) Properly assigned, for purposes of
17                this paragraph (2) of this subsection, means
18                the investment or trading asset or activity is
19                assigned to the fixed place of business with
20                which it has a preponderance of substantive
21                contacts. An investment or trading asset or
22                activity assigned by the taxpayer to a fixed
23                place of business without the State shall be
24                presumed to have been properly assigned if:
25                        (i) the taxpayer has assigned, in the
26                    regular course of its business, such asset

 

 

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1                    or activity on its records to a fixed
2                    place of business consistent with federal
3                    or state regulatory requirements;
4                        (ii) such assignment on its records is
5                    based upon substantive contacts of the
6                    asset or activity to such fixed place of
7                    business; and
8                        (iii) the taxpayer uses such records
9                    reflecting assignment of such assets or
10                    activities for the filing of all state and
11                    local tax returns for which an assignment
12                    of such assets or activities to a fixed
13                    place of business is required.
14                    (E) The presumption of proper assignment
15                of an investment or trading asset or activity
16                provided in subparagraph (D) of paragraph (2)
17                of this subsection may be rebutted upon a
18                showing by the Department, supported by a
19                preponderance of the evidence, that the
20                preponderance of substantive contacts
21                regarding such asset or activity did not occur
22                at the fixed place of business to which it was
23                assigned on the taxpayer's records. If the
24                fixed place of business that has a
25                preponderance of substantive contacts cannot
26                be determined for an investment or trading

 

 

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1                asset or activity to which the presumption in
2                subparagraph (D) of paragraph (2) of this
3                subsection does not apply or with respect to
4                which that presumption has been rebutted, that
5                asset or activity is properly assigned to the
6                state in which the taxpayer's commercial
7                domicile is located. For purposes of this
8                subparagraph (E), it shall be presumed,
9                subject to rebuttal, that taxpayer's
10                commercial domicile is in the state of the
11                United States or the District of Columbia to
12                which the greatest number of employees are
13                regularly connected with the management of the
14                investment or trading income or out of which
15                they are working, irrespective of where the
16                services of such employees are performed, as
17                of the last day of the taxable year.
18        (4) (Blank).
19        (5) (Blank).
20    (c-1) Federally regulated exchanges. For taxable years
21ending on or after December 31, 2012, business income of a
22federally regulated exchange shall, at the option of the
23federally regulated exchange, be apportioned to this State by
24multiplying such income by a fraction, the numerator of which
25is its business income from sources within this State, and the
26denominator of which is its business income from all sources.

 

 

SB2435- 557 -LRB102 04062 AMC 14078 b

1For purposes of this subsection, the business income within
2this State of a federally regulated exchange is the sum of the
3following:
4        (1) Receipts attributable to transactions executed on
5    a physical trading floor if that physical trading floor is
6    located in this State.
7        (2) Receipts attributable to all other matching,
8    execution, or clearing transactions, including without
9    limitation receipts from the provision of matching,
10    execution, or clearing services to another entity,
11    multiplied by (i) for taxable years ending on or after
12    December 31, 2012 but before December 31, 2013, 63.77%;
13    and (ii) for taxable years ending on or after December 31,
14    2013, 27.54%.
15        (3) All other receipts not governed by subparagraphs
16    (1) or (2) of this subsection (c-1), to the extent the
17    receipts would be characterized as "sales in this State"
18    under item (3) of subsection (a) of this Section.
19    "Federally regulated exchange" means (i) a "registered
20entity" within the meaning of 7 U.S.C. Section 1a(40)(A), (B),
21or (C), (ii) an "exchange" or "clearing agency" within the
22meaning of 15 U.S.C. Section 78c (a)(1) or (23), (iii) any such
23entities regulated under any successor regulatory structure to
24the foregoing, and (iv) all taxpayers who are members of the
25same unitary business group as a federally regulated exchange,
26determined without regard to the prohibition in Section

 

 

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11501(a)(27) of this Act against including in a unitary
2business group taxpayers who are ordinarily required to
3apportion business income under different subsections of this
4Section; provided that this subparagraph (iv) shall apply only
5if 50% or more of the business receipts of the unitary business
6group determined by application of this subparagraph (iv) for
7the taxable year are attributable to the matching, execution,
8or clearing of transactions conducted by an entity described
9in subparagraph (i), (ii), or (iii) of this paragraph.
10    In no event shall the Illinois apportionment percentage
11computed in accordance with this subsection (c-1) for any
12taxpayer for any tax year be less than the Illinois
13apportionment percentage computed under this subsection (c-1)
14for that taxpayer for the first full tax year ending on or
15after December 31, 2013 for which this subsection (c-1)
16applied to the taxpayer.
17    (d) Transportation services. For taxable years ending
18before December 31, 2008, business income derived from
19furnishing transportation services shall be apportioned to
20this State in accordance with paragraphs (1) and (2):
21        (1) Such business income (other than that derived from
22    transportation by pipeline) shall be apportioned to this
23    State by multiplying such income by a fraction, the
24    numerator of which is the revenue miles of the person in
25    this State, and the denominator of which is the revenue
26    miles of the person everywhere. For purposes of this

 

 

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1    paragraph, a revenue mile is the transportation of 1
2    passenger or 1 net ton of freight the distance of 1 mile
3    for a consideration. Where a person is engaged in the
4    transportation of both passengers and freight, the
5    fraction above referred to shall be determined by means of
6    an average of the passenger revenue mile fraction and the
7    freight revenue mile fraction, weighted to reflect the
8    person's
9            (A) relative railway operating income from total
10        passenger and total freight service, as reported to
11        the Interstate Commerce Commission, in the case of
12        transportation by railroad, and
13            (B) relative gross receipts from passenger and
14        freight transportation, in case of transportation
15        other than by railroad.
16        (2) Such business income derived from transportation
17    by pipeline shall be apportioned to this State by
18    multiplying such income by a fraction, the numerator of
19    which is the revenue miles of the person in this State, and
20    the denominator of which is the revenue miles of the
21    person everywhere. For the purposes of this paragraph, a
22    revenue mile is the transportation by pipeline of 1 barrel
23    of oil, 1,000 cubic feet of gas, or of any specified
24    quantity of any other substance, the distance of 1 mile
25    for a consideration.
26        (3) For taxable years ending on or after December 31,

 

 

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1    2008, business income derived from providing
2    transportation services other than airline services shall
3    be apportioned to this State by using a fraction, (a) the
4    numerator of which shall be (i) all receipts from any
5    movement or shipment of people, goods, mail, oil, gas, or
6    any other substance (other than by airline) that both
7    originates and terminates in this State, plus (ii) that
8    portion of the person's gross receipts from movements or
9    shipments of people, goods, mail, oil, gas, or any other
10    substance (other than by airline) that originates in one
11    state or jurisdiction and terminates in another state or
12    jurisdiction, that is determined by the ratio that the
13    miles traveled in this State bears to total miles
14    everywhere and (b) the denominator of which shall be all
15    revenue derived from the movement or shipment of people,
16    goods, mail, oil, gas, or any other substance (other than
17    by airline). Where a taxpayer is engaged in the
18    transportation of both passengers and freight, the
19    fraction above referred to shall first be determined
20    separately for passenger miles and freight miles. Then an
21    average of the passenger miles fraction and the freight
22    miles fraction shall be weighted to reflect the
23    taxpayer's:
24            (A) relative railway operating income from total
25        passenger and total freight service, as reported to
26        the Surface Transportation Board, in the case of

 

 

SB2435- 561 -LRB102 04062 AMC 14078 b

1        transportation by railroad; and
2            (B) relative gross receipts from passenger and
3        freight transportation, in case of transportation
4        other than by railroad.
5        (4) For taxable years ending on or after December 31,
6    2008, business income derived from furnishing airline
7    transportation services shall be apportioned to this State
8    by multiplying such income by a fraction, the numerator of
9    which is the revenue miles of the person in this State, and
10    the denominator of which is the revenue miles of the
11    person everywhere. For purposes of this paragraph, a
12    revenue mile is the transportation of one passenger or one
13    net ton of freight the distance of one mile for a
14    consideration. If a person is engaged in the
15    transportation of both passengers and freight, the
16    fraction above referred to shall be determined by means of
17    an average of the passenger revenue mile fraction and the
18    freight revenue mile fraction, weighted to reflect the
19    person's relative gross receipts from passenger and
20    freight airline transportation.
21    (e) Combined apportionment. Where 2 or more persons are
22engaged in a unitary business as described in subsection
23(a)(27) of Section 1501, a part of which is conducted in this
24State by one or more members of the group, the business income
25attributable to this State by any such member or members shall
26be apportioned by means of the combined apportionment method.

 

 

SB2435- 562 -LRB102 04062 AMC 14078 b

1    (f) Alternative allocation. If the allocation and
2apportionment provisions of subsections (a) through (e) and of
3subsection (h) do not, for taxable years ending before
4December 31, 2008, fairly represent the extent of a person's
5business activity in this State, or, for taxable years ending
6on or after December 31, 2008, fairly represent the market for
7the person's goods, services, or other sources of business
8income, the person may petition for, or the Director may,
9without a petition, permit or require, in respect of all or any
10part of the person's business activity, if reasonable:
11        (1) Separate accounting;
12        (2) The exclusion of any one or more factors;
13        (3) The inclusion of one or more additional factors
14    which will fairly represent the person's business
15    activities or market in this State; or
16        (4) The employment of any other method to effectuate
17    an equitable allocation and apportionment of the person's
18    business income.
19    (g) Cross reference. For allocation of business income by
20residents, see Section 301(a).
21    (h) For tax years ending on or after December 31, 1998, the
22apportionment factor of persons who apportion their business
23income to this State under subsection (a) shall be equal to:
24        (1) for tax years ending on or after December 31, 1998
25    and before December 31, 1999, 16 2/3% of the property
26    factor plus 16 2/3% of the payroll factor plus 66 2/3% of

 

 

SB2435- 563 -LRB102 04062 AMC 14078 b

1    the sales factor;
2        (2) for tax years ending on or after December 31, 1999
3    and before December 31, 2000, 8 1/3% of the property
4    factor plus 8 1/3% of the payroll factor plus 83 1/3% of
5    the sales factor;
6        (3) for tax years ending on or after December 31,
7    2000, the sales factor.
8If, in any tax year ending on or after December 31, 1998 and
9before December 31, 2000, the denominator of the payroll,
10property, or sales factor is zero, the apportionment factor
11computed in paragraph (1) or (2) of this subsection for that
12year shall be divided by an amount equal to 100% minus the
13percentage weight given to each factor whose denominator is
14equal to zero.
15(Source: P.A. 100-201, eff. 8-18-17; 101-31, eff. 6-28-19;
16101-585, eff. 8-26-19; revised 9-12-19.)
 
17    (35 ILCS 5/701)  (from Ch. 120, par. 7-701)
18    Sec. 701. Requirement and amount of withholding.
19    (a) In General. Every employer maintaining an office or
20transacting business within this State and required under the
21provisions of the Internal Revenue Code to withhold a tax on:
22        (1) compensation paid in this State (as determined
23    under Section 304(a)(2)(B)) to an individual; or
24        (2) payments described in subsection (b) shall deduct
25    and withhold from such compensation for each payroll

 

 

SB2435- 564 -LRB102 04062 AMC 14078 b

1    period (as defined in Section 3401 of the Internal Revenue
2    Code) an amount equal to the amount by which such
3    individual's compensation exceeds the proportionate part
4    of this withholding exemption (computed as provided in
5    Section 702) attributable to the payroll period for which
6    such compensation is payable multiplied by a percentage
7    equal to the percentage tax rate for individuals provided
8    in subsection (b) of Section 201.
9    (a-5) Withholding from nonresident employees. For taxable
10years beginning on or after January 1, 2020, for purposes of
11determining compensation paid in this State under paragraph
12(B) of item (2) of subsection (a) of Section 304:
13        (1) If an employer maintains a time and attendance
14    system that tracks where employees perform services on a
15    daily basis, then data from the time and attendance system
16    shall be used. For purposes of this paragraph, time and
17    attendance system means a system:
18            (A) in which the employee is required, on a
19        contemporaneous basis, to record the work location for
20        every day worked outside of the State where the
21        employment duties are primarily performed; and
22            (B) that is designed to allow the employer to
23        allocate the employee's wages for income tax purposes
24        among all states in which the employee performs
25        services.
26        (2) In all other cases, the employer shall obtain a

 

 

SB2435- 565 -LRB102 04062 AMC 14078 b

1    written statement from the employee of the number of days
2    reasonably expected to be spent performing services in
3    this State during the taxable year. Absent the employer's
4    actual knowledge of fraud or gross negligence by the
5    employee in making the determination or collusion between
6    the employer and the employee to evade tax, the
7    certification so made by the employee and maintained in
8    the employer's books and records shall be prima facie
9    evidence and constitute a rebuttable presumption of the
10    number of days spent performing services in this State.
11    (b) Payment to Residents. Any payment (including
12compensation, but not including a payment from which
13withholding is required under Section 710 of this Act) to a
14resident by a payor maintaining an office or transacting
15business within this State (including any agency, officer, or
16employee of this State or of any political subdivision of this
17State) and on which withholding of tax is required under the
18provisions of the Internal Revenue Code shall be deemed to be
19compensation paid in this State by an employer to an employee
20for the purposes of Article 7 and Section 601(b)(1) to the
21extent such payment is included in the recipient's base income
22and not subjected to withholding by another state.
23Notwithstanding any other provision to the contrary, no amount
24shall be withheld from unemployment insurance benefit payments
25made to an individual pursuant to the Unemployment Insurance
26Act unless the individual has voluntarily elected the

 

 

SB2435- 566 -LRB102 04062 AMC 14078 b

1withholding pursuant to rules promulgated by the Director of
2Employment Security.
3    (c) Special Definitions. Withholding shall be considered
4required under the provisions of the Internal Revenue Code to
5the extent the Internal Revenue Code either requires
6withholding or allows for voluntary withholding the payor and
7recipient have entered into such a voluntary withholding
8agreement. For the purposes of Article 7 and Section 1002(c)
9the term "employer" includes any payor who is required to
10withhold tax pursuant to this Section.
11    (d) Reciprocal Exemption. The Director may enter into an
12agreement with the taxing authorities of any state which
13imposes a tax on or measured by income to provide that
14compensation paid in such state to residents of this State
15shall be exempt from withholding of such tax; in such case, any
16compensation paid in this State to residents of such state
17shall be exempt from withholding. All reciprocal agreements
18shall be subject to the requirements of Section 2505-575 of
19the Department of Revenue Law (20 ILCS 2505/2505-575).
20    (e) Notwithstanding subsection (a)(2) of this Section, no
21withholding is required on payments for which withholding is
22required under Section 3405 or 3406 of the Internal Revenue
23Code.
24(Source: P.A. 101-585, eff. 8-26-19; revised 11-26-19.)
 
25    Section 225. The Economic Development for a Growing

 

 

SB2435- 567 -LRB102 04062 AMC 14078 b

1Economy Tax Credit Act is amended by changing Sections 5-51
2and 5-56 as follows:
 
3    (35 ILCS 10/5-51)
4    Sec. 5-51. New Construction EDGE Agreement.
5    (a) Notwithstanding any other provisions of this Act, and
6in addition to any Credit otherwise allowed under this Act,
7beginning on January 1, 2021, there is allowed a New
8Construction EDGE Credit for eligible Applicants that meet the
9following criteria:
10        (1) the Department has certified that the Applicant
11    meets all requirements of Sections 5-15, 5-20, and 5-25;
12    and
13        (2) the Department has certified that, pursuant to
14    Section 5-20, the Applicant's Agreement includes a capital
15    investment of at least $10,000,000 in a New Construction
16    EDGE Project to be placed in service within the State as a
17    direct result of an Agreement entered into pursuant to
18    this Section.
19    (b) The Department shall notify each Applicant during the
20application process that its their project is eligible for a
21New Construction EDGE Credit. The Department shall create a
22separate application to be filled out by the Applicant
23regarding the New Construction EDGE credit. The Application
24shall include the following:
25        (1) a detailed description of the New Construction

 

 

SB2435- 568 -LRB102 04062 AMC 14078 b

1    EDGE Project that is subject to the New Construction EDGE
2    Agreement, including the location and amount of the
3    investment and jobs created or retained;
4        (2) the duration of the New Construction EDGE Credit
5    and the first taxable year for which the Credit may be
6    claimed;
7        (3) the New Construction EDGE Credit amount that will
8    be allowed for each taxable year;
9        (4) a requirement that the Director is authorized to
10    verify with the appropriate State agencies the amount of
11    the incremental income tax withheld by a Taxpayer, and
12    after doing so, shall issue a certificate to the Taxpayer
13    stating that the amounts have been verified;
14        (5) the amount of the capital investment, which may at
15    no point be less than $10,000,000, the time period of
16    placing the New Construction EDGE Project in service, and
17    the designated location in Illinois for the investment;
18        (6) a requirement that the Taxpayer shall provide
19    written notification to the Director not more than 30 days
20    after the Taxpayer determines that the capital investment
21    of at least $10,000,000 is not or will not be achieved or
22    maintained as set forth in the terms and conditions of the
23    Agreement;
24        (7) a detailed provision that the Taxpayer shall be
25    awarded a New Construction EDGE Credit upon the verified
26    completion and occupancy of a New Construction EDGE

 

 

SB2435- 569 -LRB102 04062 AMC 14078 b

1    Project; and
2        (8) any other performance conditions, including the
3    ability to verify that a New Construction EDGE Project is
4    built and completed, or that contract provisions as the
5    Department determines are appropriate.
6    (c) The Department shall post on its website the terms of
7each New Construction EDGE Agreement entered into under this
8Act on or after June 5, 2019 (the effective date of Public Act
9101-9) this amendatory Act of the 101st General Assembly. Such
10information shall be posted within 10 days after entering into
11the Agreement and must include the following:
12        (1) the name of the recipient business;
13        (2) the location of the project;
14        (3) the estimated value of the credit; and
15        (4) whether or not the project is located in an
16    underserved area.
17    (d) The Department, in collaboration with the Department
18of Labor, shall require that certified payroll reporting,
19pursuant to Section 5-56 of this Act, be completed in order to
20verify the wages and any other necessary information which the
21Department may deem necessary to ascertain and certify the
22total number of New Construction EDGE Employees subject to a
23New Construction EDGE Agreement and amount of a New
24Construction EDGE Credit.
25    (e) The total aggregate amount of credits awarded under
26the Blue Collar Jobs Act (Article 20 of Public Act 101-9 this

 

 

SB2435- 570 -LRB102 04062 AMC 14078 b

1amendatory Act of the 101st General Assembly) shall not exceed
2$20,000,000 in any State fiscal year.
3(Source: P.A. 101-9, eff. 6-5-19; revised 7-18-19.)
 
4    (35 ILCS 10/5-56)
5    Sec. 5-56. Certified payroll. (a) Each contractor and
6subcontractor that is engaged in and is executing a New
7Construction EDGE Project for a Taxpayer, pursuant to a New
8Construction EDGE Agreement shall:
9        (1) make and keep, for a period of 5 years from the
10    date of the last payment made on or after June 5, 2019 (the
11    effective date of Public Act 101-9) this amendatory Act of
12    the 101st General Assembly on a contract or subcontract
13    for a New Construction EDGE Project pursuant to a New
14    Construction EDGE Agreement, records of all laborers and
15    other workers employed by the contractor or subcontractor
16    on the project; the records shall include:
17            (A) the worker's name;
18            (B) the worker's address;
19            (C) the worker's telephone number, if available;
20            (D) the worker's social security number;
21            (E) the worker's classification or
22        classifications;
23            (F) the worker's gross and net wages paid in each
24        pay period;
25            (G) the worker's number of hours worked each day;

 

 

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1            (H) the worker's starting and ending times of work
2        each day;
3            (I) the worker's hourly wage rate; and
4            (J) the worker's hourly overtime wage rate; and
5        (2) no later than the 15th day of each calendar month,
6    provide a certified payroll for the immediately preceding
7    month to the taxpayer in charge of the project; within 5
8    business days after receiving the certified payroll, the
9    taxpayer shall file the certified payroll with the
10    Department of Labor and the Department of Commerce and
11    Economic Opportunity; a certified payroll must be filed
12    for only those calendar months during which construction
13    on a New Construction EDGE Project has occurred; the
14    certified payroll shall consist of a complete copy of the
15    records identified in paragraph (1), but may exclude the
16    starting and ending times of work each day; the certified
17    payroll shall be accompanied by a statement signed by the
18    contractor or subcontractor or an officer, employee, or
19    agent of the contractor or subcontractor which avers that:
20            (A) he or she has examined the certified payroll
21        records required to be submitted by the Act and such
22        records are true and accurate; and
23            (B) the contractor or subcontractor is aware that
24        filing a certified payroll that he or she knows to be
25        false is a Class A misdemeanor.
26    A general contractor is not prohibited from relying on a

 

 

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1certified payroll of a lower-tier subcontractor, provided the
2general contractor does not knowingly rely upon a
3subcontractor's false certification.
4    Any contractor or subcontractor subject to this Section,
5and any officer, employee, or agent of such contractor or
6subcontractor whose duty as an officer, employee, or agent it
7is to file a certified payroll under this Section, who
8willfully fails to file such a certified payroll on or before
9the date such certified payroll is required to be filed and any
10person who willfully files a false certified payroll that is
11false as to any material fact is in violation of this Act and
12guilty of a Class A misdemeanor.
13    The taxpayer in charge of the project shall keep the
14records submitted in accordance with this Section subsection
15on or after June 5, 2019 (the effective date of Public Act
16101-9) this amendatory Act of the 101st General Assembly for a
17period of 5 years from the date of the last payment for work on
18a contract or subcontract for the project.
19    The records submitted in accordance with this Section
20subsection shall be considered public records, except an
21employee's address, telephone number, and social security
22number, and made available in accordance with the Freedom of
23Information Act. The Department of Labor shall accept any
24reasonable submissions by the contractor that meet the
25requirements of this Section subsection and shall share the
26information with the Department in order to comply with the

 

 

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1awarding of New Construction EDGE Credits. A contractor,
2subcontractor, or public body may retain records required
3under this Section in paper or electronic format.
4    Upon 7 business days' notice, the contractor and each
5subcontractor shall make available for inspection and copying
6at a location within this State during reasonable hours, the
7records identified in paragraph (1) of this Section subsection
8to the taxpayer in charge of the project, its officers and
9agents, the Director of Labor and his or her deputies and
10agents, and to federal, State, or local law enforcement
11agencies and prosecutors.
12(Source: P.A. 101-9, eff. 6-5-19; revised 8-22-19.)
 
13    Section 230. The Film Production Services Tax Credit Act
14of 2008 is amended by changing Section 10 as follows:
 
15    (35 ILCS 16/10)
16    Sec. 10. Definitions. As used in this Act:
17    "Accredited production" means: (i) for productions
18commencing before May 1, 2006, a film, video, or television
19production that has been certified by the Department in which
20the aggregate Illinois labor expenditures included in the cost
21of the production, in the period that ends 12 months after the
22time principal filming or taping of the production began,
23exceed $100,000 for productions of 30 minutes or longer, or
24$50,000 for productions of less than 30 minutes; and (ii) for

 

 

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1productions commencing on or after May 1, 2006, a film, video,
2or television production that has been certified by the
3Department in which the Illinois production spending included
4in the cost of production in the period that ends 12 months
5after the time principal filming or taping of the production
6began exceeds $100,000 for productions of 30 minutes or longer
7or exceeds $50,000 for productions of less than 30 minutes.
8"Accredited production" does not include a production that:
9        (1) is news, current events, or public programming, or
10    a program that includes weather or market reports;
11        (2) is a talk show;
12        (3) is a production in respect of a game,
13    questionnaire, or contest;
14        (4) is a sports event or activity;
15        (5) is a gala presentation or awards show;
16        (6) is a finished production that solicits funds;
17        (7) is a production produced by a film production
18    company if records, as required by 18 U.S.C. 2257, are to
19    be maintained by that film production company with respect
20    to any performer portrayed in that single media or
21    multimedia program; or
22        (8) is a production produced primarily for industrial,
23    corporate, or institutional purposes.
24    "Accredited animated production" means an accredited
25production in which movement and characters' performances are
26created using a frame-by-frame technique and a significant

 

 

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1number of major characters are animated. Motion capture by
2itself is not an animation technique.
3    "Accredited production certificate" means a certificate
4issued by the Department certifying that the production is an
5accredited production that meets the guidelines of this Act.
6    "Applicant" means a taxpayer that is a film production
7company that is operating or has operated an accredited
8production located within the State of Illinois and that (i)
9owns the copyright in the accredited production throughout the
10Illinois production period or (ii) has contracted directly
11with the owner of the copyright in the accredited production
12or a person acting on behalf of the owner to provide services
13for the production, where the owner of the copyright is not an
14eligible production corporation.
15    "Credit" means:
16        (1) for an accredited production approved by the
17    Department on or before January 1, 2005 and commencing
18    before May 1, 2006, the amount equal to 25% of the Illinois
19    labor expenditure approved by the Department. The
20    applicant is deemed to have paid, on its balance due day
21    for the year, an amount equal to 25% of its qualified
22    Illinois labor expenditure for the tax year. For Illinois
23    labor expenditures generated by the employment of
24    residents of geographic areas of high poverty or high
25    unemployment, as determined by the Department, in an
26    accredited production commencing before May 1, 2006 and

 

 

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1    approved by the Department after January 1, 2005, the
2    applicant shall receive an enhanced credit of 10% in
3    addition to the 25% credit; and
4        (2) for an accredited production commencing on or
5    after May 1, 2006, the amount equal to:
6            (i) 20% of the Illinois production spending for
7        the taxable year; plus
8            (ii) 15% of the Illinois labor expenditures
9        generated by the employment of residents of geographic
10        areas of high poverty or high unemployment, as
11        determined by the Department; and
12        (3) for an accredited production commencing on or
13    after January 1, 2009, the amount equal to:
14            (i) 30% of the Illinois production spending for
15        the taxable year; plus
16            (ii) 15% of the Illinois labor expenditures
17        generated by the employment of residents of geographic
18        areas of high poverty or high unemployment, as
19        determined by the Department.
20    "Department" means the Department of Commerce and Economic
21Opportunity.
22    "Director" means the Director of Commerce and Economic
23Opportunity.
24    "Illinois labor expenditure" means salary or wages paid to
25employees of the applicant for services on the accredited
26production. ;

 

 

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1    To qualify as an Illinois labor expenditure, the
2expenditure must be:
3        (1) Reasonable in the circumstances.
4        (2) Included in the federal income tax basis of the
5    property.
6        (3) Incurred by the applicant for services on or after
7    January 1, 2004.
8        (4) Incurred for the production stages of the
9    accredited production, from the final script stage to the
10    end of the post-production stage.
11        (5) Limited to the first $25,000 of wages paid or
12    incurred to each employee of a production commencing
13    before May 1, 2006 and the first $100,000 of wages paid or
14    incurred to each employee of a production commencing on or
15    after May 1, 2006.
16        (6) For a production commencing before May 1, 2006,
17    exclusive of the salary or wages paid to or incurred for
18    the 2 highest paid employees of the production.
19        (7) Directly attributable to the accredited
20    production.
21        (8) (Blank).
22        (9) Paid to persons resident in Illinois at the time
23    the payments were made.
24        (10) Paid for services rendered in Illinois.
25    "Illinois production spending" means the expenses incurred
26by the applicant for an accredited production, including,

 

 

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1without limitation, all of the following:
2        (1) expenses to purchase, from vendors within
3    Illinois, tangible personal property that is used in the
4    accredited production;
5        (2) expenses to acquire services, from vendors in
6    Illinois, for film production, editing, or processing; and
7        (3) the compensation, not to exceed $100,000 for any
8    one employee, for contractual or salaried employees who
9    are Illinois residents performing services with respect to
10    the accredited production.
11    "Qualified production facility" means stage facilities in
12the State in which television shows and films are or are
13intended to be regularly produced and that contain at least
14one sound stage of at least 15,000 square feet.
15    Rulemaking authority to implement Public Act 95-1006 this
16amendatory Act of the 95th General Assembly, if any, is
17conditioned on the rules being adopted in accordance with all
18provisions of the Illinois Administrative Procedure Act and
19all rules and procedures of the Joint Committee on
20Administrative Rules; any purported rule not so adopted, for
21whatever reason, is unauthorized.
22(Source: P.A. 97-796, eff. 7-13-12; revised 7-18-19.)
 
23    Section 235. The Service Occupation Tax Act is amended by
24changing Section 2d as follows:
 

 

 

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1    (35 ILCS 115/2d)
2    Sec. 2d. Motor vehicles; trailers; use as rolling stock
3definition.
4    (a) (Blank).
5    (b) (Blank).
6    (c) This subsection (c) applies to motor vehicles, other
7than limousines, purchased through June 30, 2017. For motor
8vehicles, other than limousines, purchased on or after July 1,
92017, subsection (d-5) applies. This subsection (c) applies to
10limousines purchased before, on, or after July 1, 2017. "Use
11as rolling stock moving in interstate commerce" in paragraph
12(d-1) of the definition of "sale of service" in Section 2
13occurs for motor vehicles, as defined in Section 1-146 of the
14Illinois Vehicle Code, when during a 12-month period the
15rolling stock has carried persons or property for hire in
16interstate commerce for greater than 50% of its total trips
17for that period or for greater than 50% of its total miles for
18that period. The person claiming the exemption shall make an
19election at the time of purchase to use either the trips or
20mileage method. Persons who purchased motor vehicles prior to
21July 1, 2004 shall make an election to use either the trips or
22mileage method and document that election in their books and
23records. If no election is made under this subsection to use
24the trips or mileage method, the person shall be deemed to have
25chosen the mileage method.
26    For purposes of determining qualifying trips or miles,

 

 

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1motor vehicles that carry persons or property for hire, even
2just between points in Illinois, will be considered used for
3hire in interstate commerce if the motor vehicle transports
4persons whose journeys or property whose shipments originate
5or terminate outside Illinois. The exemption for motor
6vehicles used as rolling stock moving in interstate commerce
7may be claimed only for the following vehicles: (i) motor
8vehicles whose gross vehicle weight rating exceeds 16,000
9pounds; and (ii) limousines, as defined in Section 1-139.1 of
10the Illinois Vehicle Code. Through June 30, 2017, this
11definition applies to all property purchased for the purpose
12of being attached to those motor vehicles as a part thereof. On
13and after July 1, 2017, this definition applies to property
14purchased for the purpose of being attached to limousines as a
15part thereof.
16    (d) For purchases made through June 30, 2017, "use as
17rolling stock moving in interstate commerce" in paragraph
18(d-1) of the definition of "sale of service" in Section 2
19occurs for trailers, as defined in Section 1-209 of the
20Illinois Vehicle Code, semitrailers as defined in Section
211-187 of the Illinois Vehicle Code, and pole trailers as
22defined in Section 1-161 of the Illinois Vehicle Code, when
23during a 12-month period the rolling stock has carried persons
24or property for hire in interstate commerce for greater than
2550% of its total trips for that period or for greater than 50%
26of its total miles for that period. The person claiming the

 

 

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1exemption for a trailer or trailers that will not be dedicated
2to a motor vehicle or group of motor vehicles shall make an
3election at the time of purchase to use either the trips or
4mileage method. Persons who purchased trailers prior to July
51, 2004 that are not dedicated to a motor vehicle or group of
6motor vehicles shall make an election to use either the trips
7or mileage method and document that election in their books
8and records. If no election is made under this subsection to
9use the trips or mileage method, the person shall be deemed to
10have chosen the mileage method.
11    For purposes of determining qualifying trips or miles,
12trailers, semitrailers, or pole trailers that carry property
13for hire, even just between points in Illinois, will be
14considered used for hire in interstate commerce if the
15trailers, semitrailers, or pole trailers transport property
16whose shipments originate or terminate outside Illinois. This
17definition applies to all property purchased for the purpose
18of being attached to those trailers, semitrailers, or pole
19trailers as a part thereof. In lieu of a person providing
20documentation regarding the qualifying use of each individual
21trailer, semitrailer, or pole trailer, that person may
22document such qualifying use by providing documentation of the
23following:
24        (1) If a trailer, semitrailer, or pole trailer is
25    dedicated to a motor vehicle that qualifies as rolling
26    stock moving in interstate commerce under subsection (c)

 

 

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1    of this Section, then that trailer, semitrailer, or pole
2    trailer qualifies as rolling stock moving in interstate
3    commerce under this subsection.
4        (2) If a trailer, semitrailer, or pole trailer is
5    dedicated to a group of motor vehicles that all qualify as
6    rolling stock moving in interstate commerce under
7    subsection (c) of this Section, then that trailer,
8    semitrailer, or pole trailer qualifies as rolling stock
9    moving in interstate commerce under this subsection.
10        (3) If one or more trailers, semitrailers, or pole
11    trailers are dedicated to a group of motor vehicles and
12    not all of those motor vehicles in that group qualify as
13    rolling stock moving in interstate commerce under
14    subsection (c) of this Section, then the percentage of
15    those trailers, semitrailers, or pole trailers that
16    qualifies as rolling stock moving in interstate commerce
17    under this subsection is equal to the percentage of those
18    motor vehicles in that group that qualify as rolling stock
19    moving in interstate commerce under subsection (c) of this
20    Section to which those trailers, semitrailers, or pole
21    trailers are dedicated. However, to determine the
22    qualification for the exemption provided under this item
23    (3), the mathematical application of the qualifying
24    percentage to one or more trailers, semitrailers, or pole
25    trailers under this subpart shall not be allowed as to any
26    fraction of a trailer, semitrailer, or pole trailer.

 

 

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1    (d-5) For motor vehicles and trailers purchased on or
2after July 1, 2017, "use as rolling stock moving in interstate
3commerce" means that:
4        (1) the motor vehicle or trailer is used to transport
5    persons or property for hire;
6        (2) for purposes of the exemption under paragraph
7    (d-1) of the definition of "sale of service" in Section 2,
8    the purchaser who is an owner, lessor, or shipper claiming
9    the exemption certifies that the motor vehicle or trailer
10    will be utilized, from the time of purchase and continuing
11    through the statute of limitations for issuing a notice of
12    tax liability under this Act, by an interstate carrier or
13    carriers for hire who hold, and are required by Federal
14    Motor Carrier Safety Administration regulations to hold,
15    an active USDOT Number with the Carrier Operation listed
16    as "Interstate" and the Operation Classification listed as
17    "authorized for hire", "exempt for hire", or both
18    "authorized for hire" and "exempt for hire"; except that
19    this paragraph (2) does not apply to a motor vehicle or
20    trailer used at an airport to support the operation of an
21    aircraft moving in interstate commerce, as long as (i) in
22    the case of a motor vehicle, the motor vehicle meets
23    paragraphs (1) and (3) of this subsection (d-5) or (ii) in
24    the case of a trailer, the trailer meets paragraph (1) of
25    this subsection (d-5); and
26        (3) for motor vehicles, the gross vehicle weight

 

 

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1    rating exceeds 16,000 pounds.
2    The definition of "use as rolling stock moving in
3interstate commerce" in this subsection (d-5) applies to all
4property purchased on or after July 1, 2017 for the purpose of
5being attached to a motor vehicle or trailer as a part thereof,
6regardless of whether the motor vehicle or trailer was
7purchased before, on, or after July 1, 2017.
8    If an item ceases to meet requirements (1) through (3)
9under this subsection (d-5), then the tax is imposed on the
10selling price, allowing for a reasonable depreciation for the
11period during which the item qualified for the exemption.
12    For purposes of this subsection (d-5):
13        "Motor vehicle" excludes limousines, but otherwise
14    means that term as defined in Section 1-146 of the
15    Illinois Vehicle Code.
16        "Trailer" means (i) "trailer", as defined in Section
17    1-209 of the Illinois Vehicle Code, (ii) "semitrailer", as
18    defined in Section 1-187 of the Illinois Vehicle Code, and
19    (iii) "pole trailer", as defined in Section 1-161 of the
20    Illinois Vehicle Code.
21    (e) For aircraft and watercraft purchased on or after
22January 1, 2014, "use as rolling stock moving in interstate
23commerce" in paragraph (d-1) of the definition of "sale of
24service" in Section 2 occurs when, during a 12-month period,
25the rolling stock has carried persons or property for hire in
26interstate commerce for greater than 50% of its total trips

 

 

SB2435- 585 -LRB102 04062 AMC 14078 b

1for that period or for greater than 50% of its total miles for
2that period. The person claiming the exemption shall make an
3election at the time of purchase to use either the trips or
4mileage method and document that election in their books and
5records. If no election is made under this subsection to use
6the trips or mileage method, the person shall be deemed to have
7chosen the mileage method. For aircraft, flight hours may be
8used in lieu of recording miles in determining whether the
9aircraft meets the mileage test in this subsection. For
10watercraft, nautical miles or trip hours may be used in lieu of
11recording miles in determining whether the watercraft meets
12the mileage test in this subsection.
13    Notwithstanding any other provision of law to the
14contrary, property purchased on or after January 1, 2014 for
15the purpose of being attached to aircraft or watercraft as a
16part thereof qualifies as rolling stock moving in interstate
17commerce only if the aircraft or watercraft to which it will be
18attached qualifies as rolling stock moving in interstate
19commerce under the test set forth in this subsection (e),
20regardless of when the aircraft or watercraft was purchased.
21Persons who purchased aircraft or watercraft prior to January
221, 2014 shall make an election to use either the trips or
23mileage method and document that election in their books and
24records for the purpose of determining whether property
25purchased on or after January 1, 2014 for the purpose of being
26attached to aircraft or watercraft as a part thereof qualifies

 

 

SB2435- 586 -LRB102 04062 AMC 14078 b

1as rolling stock moving in interstate commerce under this
2subsection (e).
3    (f) The election to use either the trips or mileage method
4made under the provisions of subsections (c), (d), or (e) of
5this Section will remain in effect for the duration of the
6purchaser's ownership of that item.
7(Source: P.A. 100-321, eff. 8-24-17; revised 7-24-19.)
 
8    Section 240. The Retailers' Occupation Tax Act is amended
9by changing Section 11 as follows:
 
10    (35 ILCS 120/11)  (from Ch. 120, par. 450)
11    Sec. 11. All information received by the Department from
12returns filed under this Act, or from any investigation
13conducted under this Act, shall be confidential, except for
14official purposes, and any person, including a third party as
15defined in the Local Government Revenue Recapture Act, who
16divulges any such information in any manner, except in
17accordance with a proper judicial order or as otherwise
18provided by law, including the Local Government Revenue
19Recapture Act, shall be guilty of a Class B misdemeanor with a
20fine not to exceed $7,500.
21    Nothing in this Act prevents the Director of Revenue from
22publishing or making available to the public the names and
23addresses of persons filing returns under this Act, or
24reasonable statistics concerning the operation of the tax by

 

 

SB2435- 587 -LRB102 04062 AMC 14078 b

1grouping the contents of returns so the information in any
2individual return is not disclosed.
3    Nothing in this Act prevents the Director of Revenue from
4divulging to the United States Government or the government of
5any other state, or any officer or agency thereof, for
6exclusively official purposes, information received by the
7Department in administering this Act, provided that such other
8governmental agency agrees to divulge requested tax
9information to the Department.
10    The Department's furnishing of information derived from a
11taxpayer's return or from an investigation conducted under
12this Act to the surety on a taxpayer's bond that has been
13furnished to the Department under this Act, either to provide
14notice to such surety of its potential liability under the
15bond or, in order to support the Department's demand for
16payment from such surety under the bond, is an official
17purpose within the meaning of this Section.
18    The furnishing upon request of information obtained by the
19Department from returns filed under this Act or investigations
20conducted under this Act to the Illinois Liquor Control
21Commission for official use is deemed to be an official
22purpose within the meaning of this Section.
23    Notice to a surety of potential liability shall not be
24given unless the taxpayer has first been notified, not less
25than 10 days prior thereto, of the Department's intent to so
26notify the surety.

 

 

SB2435- 588 -LRB102 04062 AMC 14078 b

1    The furnishing upon request of the Auditor General, or his
2authorized agents, for official use, of returns filed and
3information related thereto under this Act is deemed to be an
4official purpose within the meaning of this Section.
5    Where an appeal or a protest has been filed on behalf of a
6taxpayer, the furnishing upon request of the attorney for the
7taxpayer of returns filed by the taxpayer and information
8related thereto under this Act is deemed to be an official
9purpose within the meaning of this Section.
10    The furnishing of financial information to a municipality
11or county, upon request of the chief executive officer
12thereof, is an official purpose within the meaning of this
13Section, provided the municipality or county agrees in writing
14to the requirements of this Section. Information provided to
15municipalities and counties under this paragraph shall be
16limited to: (1) the business name; (2) the business address;
17(3) the standard classification number assigned to the
18business; (4) net revenue distributed to the requesting
19municipality or county that is directly related to the
20requesting municipality's or county's local share of the
21proceeds under the Use Tax Act, the Service Use Tax Act, the
22Service Occupation Tax Act, and the Retailers' Occupation Tax
23Act distributed from the Local Government Tax Fund, and, if
24applicable, any locally imposed retailers' occupation tax or
25service occupation tax; and (5) a listing of all businesses
26within the requesting municipality or county by account

 

 

SB2435- 589 -LRB102 04062 AMC 14078 b

1identification number and address. On and after July 1, 2015,
2the furnishing of financial information to municipalities and
3counties under this paragraph may be by electronic means. If
4the Department may furnish financial information to a
5municipality or county under this paragraph, then the chief
6executive officer of the municipality or county may, in turn,
7provide that financial information to a third party pursuant
8to the Local Government Revenue Recapture Act. However, the
9third party shall agree in writing to the requirements of this
10Section and meet the requirements of the Local Government
11Revenue Recapture Act.
12    Information so provided shall be subject to all
13confidentiality provisions of this Section. The written
14agreement shall provide for reciprocity, limitations on
15access, disclosure, and procedures for requesting information.
16For the purposes of furnishing financial information to a
17municipality or county under this Section, "chief executive
18officer" means the mayor of a city, the village board
19president of a village, the mayor or president of an
20incorporated town, the county executive of a county that has
21adopted the county executive form of government, the president
22of the board of commissioners of Cook County, or the
23chairperson of the county board or board of county
24commissioners of any other county.
25    The Department may make available to the Board of Trustees
26of any Metro East Mass Transit District information contained

 

 

SB2435- 590 -LRB102 04062 AMC 14078 b

1on transaction reporting returns required to be filed under
2Section 3 of this Act that report sales made within the
3boundary of the taxing authority of that Metro East Mass
4Transit District, as provided in Section 5.01 of the Local
5Mass Transit District Act. The disclosure shall be made
6pursuant to a written agreement between the Department and the
7Board of Trustees of a Metro East Mass Transit District, which
8is an official purpose within the meaning of this Section. The
9written agreement between the Department and the Board of
10Trustees of a Metro East Mass Transit District shall provide
11for reciprocity, limitations on access, disclosure, and
12procedures for requesting information. Information so provided
13shall be subject to all confidentiality provisions of this
14Section.
15    The Director may make available to any State agency,
16including the Illinois Supreme Court, which licenses persons
17to engage in any occupation, information that a person
18licensed by such agency has failed to file returns under this
19Act or pay the tax, penalty and interest shown therein, or has
20failed to pay any final assessment of tax, penalty or interest
21due under this Act. The Director may make available to any
22State agency, including the Illinois Supreme Court,
23information regarding whether a bidder, contractor, or an
24affiliate of a bidder or contractor has failed to collect and
25remit Illinois Use tax on sales into Illinois, or any tax under
26this Act or pay the tax, penalty, and interest shown therein,

 

 

SB2435- 591 -LRB102 04062 AMC 14078 b

1or has failed to pay any final assessment of tax, penalty, or
2interest due under this Act, for the limited purpose of
3enforcing bidder and contractor certifications. The Director
4may make available to units of local government and school
5districts that require bidder and contractor certifications,
6as set forth in Sections 50-11 and 50-12 of the Illinois
7Procurement Code, information regarding whether a bidder,
8contractor, or an affiliate of a bidder or contractor has
9failed to collect and remit Illinois Use tax on sales into
10Illinois, file returns under this Act, or pay the tax,
11penalty, and interest shown therein, or has failed to pay any
12final assessment of tax, penalty, or interest due under this
13Act, for the limited purpose of enforcing bidder and
14contractor certifications. For purposes of this Section, the
15term "affiliate" means any entity that (1) directly,
16indirectly, or constructively controls another entity, (2) is
17directly, indirectly, or constructively controlled by another
18entity, or (3) is subject to the control of a common entity.
19For purposes of this Section, an entity controls another
20entity if it owns, directly or individually, more than 10% of
21the voting securities of that entity. As used in this Section,
22the term "voting security" means a security that (1) confers
23upon the holder the right to vote for the election of members
24of the board of directors or similar governing body of the
25business or (2) is convertible into, or entitles the holder to
26receive upon its exercise, a security that confers such a

 

 

SB2435- 592 -LRB102 04062 AMC 14078 b

1right to vote. A general partnership interest is a voting
2security.
3    The Director may make available to any State agency,
4including the Illinois Supreme Court, units of local
5government, and school districts, information regarding
6whether a bidder or contractor is an affiliate of a person who
7is not collecting and remitting Illinois Use taxes for the
8limited purpose of enforcing bidder and contractor
9certifications.
10    The Director may also make available to the Secretary of
11State information that a limited liability company, which has
12filed articles of organization with the Secretary of State, or
13corporation which has been issued a certificate of
14incorporation by the Secretary of State has failed to file
15returns under this Act or pay the tax, penalty and interest
16shown therein, or has failed to pay any final assessment of
17tax, penalty or interest due under this Act. An assessment is
18final when all proceedings in court for review of such
19assessment have terminated or the time for the taking thereof
20has expired without such proceedings being instituted.
21    The Director shall make available for public inspection in
22the Department's principal office and for publication, at
23cost, administrative decisions issued on or after January 1,
241995. These decisions are to be made available in a manner so
25that the following taxpayer information is not disclosed:
26        (1) The names, addresses, and identification numbers

 

 

SB2435- 593 -LRB102 04062 AMC 14078 b

1    of the taxpayer, related entities, and employees.
2        (2) At the sole discretion of the Director, trade
3    secrets or other confidential information identified as
4    such by the taxpayer, no later than 30 days after receipt
5    of an administrative decision, by such means as the
6    Department shall provide by rule.
7    The Director shall determine the appropriate extent of the
8deletions allowed in paragraph (2). In the event the taxpayer
9does not submit deletions, the Director shall make only the
10deletions specified in paragraph (1).
11    The Director shall make available for public inspection
12and publication an administrative decision within 180 days
13after the issuance of the administrative decision. The term
14"administrative decision" has the same meaning as defined in
15Section 3-101 of Article III of the Code of Civil Procedure.
16Costs collected under this Section shall be paid into the Tax
17Compliance and Administration Fund.
18    Nothing contained in this Act shall prevent the Director
19from divulging information to any person pursuant to a request
20or authorization made by the taxpayer or by an authorized
21representative of the taxpayer.
22    The furnishing of information obtained by the Department
23from returns filed under Public Act 101-10 this amendatory Act
24of the 101st General Assembly to the Department of
25Transportation for purposes of compliance with Public Act
26101-10 this amendatory Act of the 101st General Assembly

 

 

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1regarding aviation fuel is deemed to be an official purpose
2within the meaning of this Section.
3(Source: P.A. 101-10, eff. 6-5-19; 101-628, eff. 6-1-20;
4revised 8-4-20.)
 
5    Section 245. The Property Tax Code is amended by changing
6Sections 3-5, 18-185, and 18-246 and the heading of Division 6
7of Article 10 as follows:
 
8    (35 ILCS 200/3-5)
9    Sec. 3-5. Supervisor of assessments. In counties with less
10than 3,000,000 inhabitants and in which no county assessor has
11been elected under Section 3-45, there shall be a county
12supervisor of assessments, either appointed as provided in
13this Section, or elected.
14    In counties with less than 3,000,000 inhabitants and not
15having an elected county assessor or an elected supervisor of
16assessments, the office of supervisor of assessments shall be
17filled by appointment by the presiding officer of the county
18board with the advice and consent of the county board.
19    To be eligible for appointment or to be eligible to file
20nomination papers or participate as a candidate in any primary
21or general election for, or be elected to, the office of
22supervisor of assessments, or to enter upon the duties of the
23office, a person must possess one of the following
24qualifications as certified by the Department to the county

 

 

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1clerk:
2        (1) A currently active Certified Illinois Assessing
3    Officer designation from the Illinois Property Assessment
4    Institute.
5        (2) A currently active AAS, CAE, or MAS designation
6    from the International Association of Assessing Officers.
7        (3) A currently active MAI, SREA, SRPA, SRA, or RM
8    designation from the Appraisal Institute.
9        (4) (blank).
10    In addition, a person must have had at least 2 years'
11experience in the field of property sales, assessments,
12finance or appraisals and must have passed an examination
13conducted by the Department to determine his or her competence
14to hold the office. The examination may be conducted by the
15Department at a convenient location in the county or region.
16Notice of the time and place shall be given by publication in a
17newspaper of general circulation in the counties, at least one
18week prior to the exam. The Department shall certify to the
19county board a list of the names and scores of persons who pass
20the examination. The Department may provide by rule the
21maximum time that the name of a person who has passed the
22examination will be included on a list of persons eligible for
23appointment or election. The term of office shall be 4 years
24from the date of appointment and until a successor is
25appointed and qualified, or a successor is elected and
26qualified under Section 3-52.

 

 

SB2435- 596 -LRB102 04062 AMC 14078 b

1(Source: P.A. 101-150, eff. 7-26-19; 101-467, eff. 8-23-19;
2revised 9-19-19.)
 
3    (35 ILCS 200/Art. 10 Div. 6 heading)
4
Division 6. Farmland, open space,
5
and forestry management plan .

 
6    (35 ILCS 200/18-185)
7    Sec. 18-185. Short title; definitions. This Division 5
8may be cited as the Property Tax Extension Limitation Law. As
9used in this Division 5:
10    "Consumer Price Index" means the Consumer Price Index for
11All Urban Consumers for all items published by the United
12States Department of Labor.
13    "Extension limitation" means (a) the lesser of 5% or the
14percentage increase in the Consumer Price Index during the
1512-month calendar year preceding the levy year or (b) the rate
16of increase approved by voters under Section 18-205.
17    "Affected county" means a county of 3,000,000 or more
18inhabitants or a county contiguous to a county of 3,000,000 or
19more inhabitants.
20    "Taxing district" has the same meaning provided in Section
211-150, except as otherwise provided in this Section. For the
221991 through 1994 levy years only, "taxing district" includes
23only each non-home rule taxing district having the majority of
24its 1990 equalized assessed value within any county or

 

 

SB2435- 597 -LRB102 04062 AMC 14078 b

1counties contiguous to a county with 3,000,000 or more
2inhabitants. Beginning with the 1995 levy year, "taxing
3district" includes only each non-home rule taxing district
4subject to this Law before the 1995 levy year and each non-home
5rule taxing district not subject to this Law before the 1995
6levy year having the majority of its 1994 equalized assessed
7value in an affected county or counties. Beginning with the
8levy year in which this Law becomes applicable to a taxing
9district as provided in Section 18-213, "taxing district" also
10includes those taxing districts made subject to this Law as
11provided in Section 18-213.
12    "Aggregate extension" for taxing districts to which this
13Law applied before the 1995 levy year means the annual
14corporate extension for the taxing district and those special
15purpose extensions that are made annually for the taxing
16district, excluding special purpose extensions: (a) made for
17the taxing district to pay interest or principal on general
18obligation bonds that were approved by referendum; (b) made
19for any taxing district to pay interest or principal on
20general obligation bonds issued before October 1, 1991; (c)
21made for any taxing district to pay interest or principal on
22bonds issued to refund or continue to refund those bonds
23issued before October 1, 1991; (d) made for any taxing
24district to pay interest or principal on bonds issued to
25refund or continue to refund bonds issued after October 1,
261991 that were approved by referendum; (e) made for any taxing

 

 

SB2435- 598 -LRB102 04062 AMC 14078 b

1district to pay interest or principal on revenue bonds issued
2before October 1, 1991 for payment of which a property tax levy
3or the full faith and credit of the unit of local government is
4pledged; however, a tax for the payment of interest or
5principal on those bonds shall be made only after the
6governing body of the unit of local government finds that all
7other sources for payment are insufficient to make those
8payments; (f) made for payments under a building commission
9lease when the lease payments are for the retirement of bonds
10issued by the commission before October 1, 1991, to pay for the
11building project; (g) made for payments due under installment
12contracts entered into before October 1, 1991; (h) made for
13payments of principal and interest on bonds issued under the
14Metropolitan Water Reclamation District Act to finance
15construction projects initiated before October 1, 1991; (i)
16made for payments of principal and interest on limited bonds,
17as defined in Section 3 of the Local Government Debt Reform
18Act, in an amount not to exceed the debt service extension base
19less the amount in items (b), (c), (e), and (h) of this
20definition for non-referendum obligations, except obligations
21initially issued pursuant to referendum; (j) made for payments
22of principal and interest on bonds issued under Section 15 of
23the Local Government Debt Reform Act; (k) made by a school
24district that participates in the Special Education District
25of Lake County, created by special education joint agreement
26under Section 10-22.31 of the School Code, for payment of the

 

 

SB2435- 599 -LRB102 04062 AMC 14078 b

1school district's share of the amounts required to be
2contributed by the Special Education District of Lake County
3to the Illinois Municipal Retirement Fund under Article 7 of
4the Illinois Pension Code; the amount of any extension under
5this item (k) shall be certified by the school district to the
6county clerk; (l) made to fund expenses of providing joint
7recreational programs for persons with disabilities under
8Section 5-8 of the Park District Code or Section 11-95-14 of
9the Illinois Municipal Code; (m) made for temporary relocation
10loan repayment purposes pursuant to Sections 2-3.77 and
1117-2.2d of the School Code; (n) made for payment of principal
12and interest on any bonds issued under the authority of
13Section 17-2.2d of the School Code; (o) made for contributions
14to a firefighter's pension fund created under Article 4 of the
15Illinois Pension Code, to the extent of the amount certified
16under item (5) of Section 4-134 of the Illinois Pension Code;
17and (p) made for road purposes in the first year after a
18township assumes the rights, powers, duties, assets, property,
19liabilities, obligations, and responsibilities of a road
20district abolished under the provisions of Section 6-133 of
21the Illinois Highway Code.
22    "Aggregate extension" for the taxing districts to which
23this Law did not apply before the 1995 levy year (except taxing
24districts subject to this Law in accordance with Section
2518-213) means the annual corporate extension for the taxing
26district and those special purpose extensions that are made

 

 

SB2435- 600 -LRB102 04062 AMC 14078 b

1annually for the taxing district, excluding special purpose
2extensions: (a) made for the taxing district to pay interest
3or principal on general obligation bonds that were approved by
4referendum; (b) made for any taxing district to pay interest
5or principal on general obligation bonds issued before March
61, 1995; (c) made for any taxing district to pay interest or
7principal on bonds issued to refund or continue to refund
8those bonds issued before March 1, 1995; (d) made for any
9taxing district to pay interest or principal on bonds issued
10to refund or continue to refund bonds issued after March 1,
111995 that were approved by referendum; (e) made for any taxing
12district to pay interest or principal on revenue bonds issued
13before March 1, 1995 for payment of which a property tax levy
14or the full faith and credit of the unit of local government is
15pledged; however, a tax for the payment of interest or
16principal on those bonds shall be made only after the
17governing body of the unit of local government finds that all
18other sources for payment are insufficient to make those
19payments; (f) made for payments under a building commission
20lease when the lease payments are for the retirement of bonds
21issued by the commission before March 1, 1995 to pay for the
22building project; (g) made for payments due under installment
23contracts entered into before March 1, 1995; (h) made for
24payments of principal and interest on bonds issued under the
25Metropolitan Water Reclamation District Act to finance
26construction projects initiated before October 1, 1991; (h-4)

 

 

SB2435- 601 -LRB102 04062 AMC 14078 b

1made for stormwater management purposes by the Metropolitan
2Water Reclamation District of Greater Chicago under Section 12
3of the Metropolitan Water Reclamation District Act; (i) made
4for payments of principal and interest on limited bonds, as
5defined in Section 3 of the Local Government Debt Reform Act,
6in an amount not to exceed the debt service extension base less
7the amount in items (b), (c), and (e) of this definition for
8non-referendum obligations, except obligations initially
9issued pursuant to referendum and bonds described in
10subsection (h) of this definition; (j) made for payments of
11principal and interest on bonds issued under Section 15 of the
12Local Government Debt Reform Act; (k) made for payments of
13principal and interest on bonds authorized by Public Act
1488-503 and issued under Section 20a of the Chicago Park
15District Act for aquarium or museum projects; (l) made for
16payments of principal and interest on bonds authorized by
17Public Act 87-1191 or 93-601 and (i) issued pursuant to
18Section 21.2 of the Cook County Forest Preserve District Act,
19(ii) issued under Section 42 of the Cook County Forest
20Preserve District Act for zoological park projects, or (iii)
21issued under Section 44.1 of the Cook County Forest Preserve
22District Act for botanical gardens projects; (m) made pursuant
23to Section 34-53.5 of the School Code, whether levied annually
24or not; (n) made to fund expenses of providing joint
25recreational programs for persons with disabilities under
26Section 5-8 of the Park District Code or Section 11-95-14 of

 

 

SB2435- 602 -LRB102 04062 AMC 14078 b

1the Illinois Municipal Code; (o) made by the Chicago Park
2District for recreational programs for persons with
3disabilities under subsection (c) of Section 7.06 of the
4Chicago Park District Act; (p) made for contributions to a
5firefighter's pension fund created under Article 4 of the
6Illinois Pension Code, to the extent of the amount certified
7under item (5) of Section 4-134 of the Illinois Pension Code;
8(q) made by Ford Heights School District 169 under Section
917-9.02 of the School Code; and (r) made for the purpose of
10making employer contributions to the Public School Teachers'
11Pension and Retirement Fund of Chicago under Section 34-53 of
12the School Code.
13    "Aggregate extension" for all taxing districts to which
14this Law applies in accordance with Section 18-213, except for
15those taxing districts subject to paragraph (2) of subsection
16(e) of Section 18-213, means the annual corporate extension
17for the taxing district and those special purpose extensions
18that are made annually for the taxing district, excluding
19special purpose extensions: (a) made for the taxing district
20to pay interest or principal on general obligation bonds that
21were approved by referendum; (b) made for any taxing district
22to pay interest or principal on general obligation bonds
23issued before the date on which the referendum making this Law
24applicable to the taxing district is held; (c) made for any
25taxing district to pay interest or principal on bonds issued
26to refund or continue to refund those bonds issued before the

 

 

SB2435- 603 -LRB102 04062 AMC 14078 b

1date on which the referendum making this Law applicable to the
2taxing district is held; (d) made for any taxing district to
3pay interest or principal on bonds issued to refund or
4continue to refund bonds issued after the date on which the
5referendum making this Law applicable to the taxing district
6is held if the bonds were approved by referendum after the date
7on which the referendum making this Law applicable to the
8taxing district is held; (e) made for any taxing district to
9pay interest or principal on revenue bonds issued before the
10date on which the referendum making this Law applicable to the
11taxing district is held for payment of which a property tax
12levy or the full faith and credit of the unit of local
13government is pledged; however, a tax for the payment of
14interest or principal on those bonds shall be made only after
15the governing body of the unit of local government finds that
16all other sources for payment are insufficient to make those
17payments; (f) made for payments under a building commission
18lease when the lease payments are for the retirement of bonds
19issued by the commission before the date on which the
20referendum making this Law applicable to the taxing district
21is held to pay for the building project; (g) made for payments
22due under installment contracts entered into before the date
23on which the referendum making this Law applicable to the
24taxing district is held; (h) made for payments of principal
25and interest on limited bonds, as defined in Section 3 of the
26Local Government Debt Reform Act, in an amount not to exceed

 

 

SB2435- 604 -LRB102 04062 AMC 14078 b

1the debt service extension base less the amount in items (b),
2(c), and (e) of this definition for non-referendum
3obligations, except obligations initially issued pursuant to
4referendum; (i) made for payments of principal and interest on
5bonds issued under Section 15 of the Local Government Debt
6Reform Act; (j) made for a qualified airport authority to pay
7interest or principal on general obligation bonds issued for
8the purpose of paying obligations due under, or financing
9airport facilities required to be acquired, constructed,
10installed or equipped pursuant to, contracts entered into
11before March 1, 1996 (but not including any amendments to such
12a contract taking effect on or after that date); (k) made to
13fund expenses of providing joint recreational programs for
14persons with disabilities under Section 5-8 of the Park
15District Code or Section 11-95-14 of the Illinois Municipal
16Code; (l) made for contributions to a firefighter's pension
17fund created under Article 4 of the Illinois Pension Code, to
18the extent of the amount certified under item (5) of Section
194-134 of the Illinois Pension Code; and (m) made for the taxing
20district to pay interest or principal on general obligation
21bonds issued pursuant to Section 19-3.10 of the School Code.
22    "Aggregate extension" for all taxing districts to which
23this Law applies in accordance with paragraph (2) of
24subsection (e) of Section 18-213 means the annual corporate
25extension for the taxing district and those special purpose
26extensions that are made annually for the taxing district,

 

 

SB2435- 605 -LRB102 04062 AMC 14078 b

1excluding special purpose extensions: (a) made for the taxing
2district to pay interest or principal on general obligation
3bonds that were approved by referendum; (b) made for any
4taxing district to pay interest or principal on general
5obligation bonds issued before March 7, 1997 (the effective
6date of Public Act 89-718) this amendatory Act of 1997; (c)
7made for any taxing district to pay interest or principal on
8bonds issued to refund or continue to refund those bonds
9issued before March 7, 1997 (the effective date of Public Act
1089-718) this amendatory Act of 1997; (d) made for any taxing
11district to pay interest or principal on bonds issued to
12refund or continue to refund bonds issued after March 7, 1997
13(the effective date of Public Act 89-718) this amendatory Act
14of 1997 if the bonds were approved by referendum after March 7,
151997 (the effective date of Public Act 89-718) this amendatory
16Act of 1997; (e) made for any taxing district to pay interest
17or principal on revenue bonds issued before March 7, 1997 (the
18effective date of Public Act 89-718) this amendatory Act of
191997 for payment of which a property tax levy or the full faith
20and credit of the unit of local government is pledged;
21however, a tax for the payment of interest or principal on
22those bonds shall be made only after the governing body of the
23unit of local government finds that all other sources for
24payment are insufficient to make those payments; (f) made for
25payments under a building commission lease when the lease
26payments are for the retirement of bonds issued by the

 

 

SB2435- 606 -LRB102 04062 AMC 14078 b

1commission before March 7, 1997 (the effective date of Public
2Act 89-718) this amendatory Act of 1997 to pay for the building
3project; (g) made for payments due under installment contracts
4entered into before March 7, 1997 (the effective date of
5Public Act 89-718) this amendatory Act of 1997; (h) made for
6payments of principal and interest on limited bonds, as
7defined in Section 3 of the Local Government Debt Reform Act,
8in an amount not to exceed the debt service extension base less
9the amount in items (b), (c), and (e) of this definition for
10non-referendum obligations, except obligations initially
11issued pursuant to referendum; (i) made for payments of
12principal and interest on bonds issued under Section 15 of the
13Local Government Debt Reform Act; (j) made for a qualified
14airport authority to pay interest or principal on general
15obligation bonds issued for the purpose of paying obligations
16due under, or financing airport facilities required to be
17acquired, constructed, installed or equipped pursuant to,
18contracts entered into before March 1, 1996 (but not including
19any amendments to such a contract taking effect on or after
20that date); (k) made to fund expenses of providing joint
21recreational programs for persons with disabilities under
22Section 5-8 of the Park District Code or Section 11-95-14 of
23the Illinois Municipal Code; and (l) made for contributions to
24a firefighter's pension fund created under Article 4 of the
25Illinois Pension Code, to the extent of the amount certified
26under item (5) of Section 4-134 of the Illinois Pension Code.

 

 

SB2435- 607 -LRB102 04062 AMC 14078 b

1    "Debt service extension base" means an amount equal to
2that portion of the extension for a taxing district for the
31994 levy year, or for those taxing districts subject to this
4Law in accordance with Section 18-213, except for those
5subject to paragraph (2) of subsection (e) of Section 18-213,
6for the levy year in which the referendum making this Law
7applicable to the taxing district is held, or for those taxing
8districts subject to this Law in accordance with paragraph (2)
9of subsection (e) of Section 18-213 for the 1996 levy year,
10constituting an extension for payment of principal and
11interest on bonds issued by the taxing district without
12referendum, but not including excluded non-referendum bonds.
13For park districts (i) that were first subject to this Law in
141991 or 1995 and (ii) whose extension for the 1994 levy year
15for the payment of principal and interest on bonds issued by
16the park district without referendum (but not including
17excluded non-referendum bonds) was less than 51% of the amount
18for the 1991 levy year constituting an extension for payment
19of principal and interest on bonds issued by the park district
20without referendum (but not including excluded non-referendum
21bonds), "debt service extension base" means an amount equal to
22that portion of the extension for the 1991 levy year
23constituting an extension for payment of principal and
24interest on bonds issued by the park district without
25referendum (but not including excluded non-referendum bonds).
26A debt service extension base established or increased at any

 

 

SB2435- 608 -LRB102 04062 AMC 14078 b

1time pursuant to any provision of this Law, except Section
218-212, shall be increased each year commencing with the later
3of (i) the 2009 levy year or (ii) the first levy year in which
4this Law becomes applicable to the taxing district, by the
5lesser of 5% or the percentage increase in the Consumer Price
6Index during the 12-month calendar year preceding the levy
7year. The debt service extension base may be established or
8increased as provided under Section 18-212. "Excluded
9non-referendum bonds" means (i) bonds authorized by Public Act
1088-503 and issued under Section 20a of the Chicago Park
11District Act for aquarium and museum projects; (ii) bonds
12issued under Section 15 of the Local Government Debt Reform
13Act; or (iii) refunding obligations issued to refund or to
14continue to refund obligations initially issued pursuant to
15referendum.
16    "Special purpose extensions" include, but are not limited
17to, extensions for levies made on an annual basis for
18unemployment and workers' compensation, self-insurance,
19contributions to pension plans, and extensions made pursuant
20to Section 6-601 of the Illinois Highway Code for a road
21district's permanent road fund whether levied annually or not.
22The extension for a special service area is not included in the
23aggregate extension.
24    "Aggregate extension base" means the taxing district's
25last preceding aggregate extension as adjusted under Sections
2618-135, 18-215, 18-230, and 18-206. An adjustment under

 

 

SB2435- 609 -LRB102 04062 AMC 14078 b

1Section 18-135 shall be made for the 2007 levy year and all
2subsequent levy years whenever one or more counties within
3which a taxing district is located (i) used estimated
4valuations or rates when extending taxes in the taxing
5district for the last preceding levy year that resulted in the
6over or under extension of taxes, or (ii) increased or
7decreased the tax extension for the last preceding levy year
8as required by Section 18-135(c). Whenever an adjustment is
9required under Section 18-135, the aggregate extension base of
10the taxing district shall be equal to the amount that the
11aggregate extension of the taxing district would have been for
12the last preceding levy year if either or both (i) actual,
13rather than estimated, valuations or rates had been used to
14calculate the extension of taxes for the last levy year, or
15(ii) the tax extension for the last preceding levy year had not
16been adjusted as required by subsection (c) of Section 18-135.
17    Notwithstanding any other provision of law, for levy year
182012, the aggregate extension base for West Northfield School
19District No. 31 in Cook County shall be $12,654,592.
20    "Levy year" has the same meaning as "year" under Section
211-155.
22    "New property" means (i) the assessed value, after final
23board of review or board of appeals action, of new
24improvements or additions to existing improvements on any
25parcel of real property that increase the assessed value of
26that real property during the levy year multiplied by the

 

 

SB2435- 610 -LRB102 04062 AMC 14078 b

1equalization factor issued by the Department under Section
217-30, (ii) the assessed value, after final board of review or
3board of appeals action, of real property not exempt from real
4estate taxation, which real property was exempt from real
5estate taxation for any portion of the immediately preceding
6levy year, multiplied by the equalization factor issued by the
7Department under Section 17-30, including the assessed value,
8upon final stabilization of occupancy after new construction
9is complete, of any real property located within the
10boundaries of an otherwise or previously exempt military
11reservation that is intended for residential use and owned by
12or leased to a private corporation or other entity, (iii) in
13counties that classify in accordance with Section 4 of Article
14IX of the Illinois Constitution, an incentive property's
15additional assessed value resulting from a scheduled increase
16in the level of assessment as applied to the first year final
17board of review market value, and (iv) any increase in
18assessed value due to oil or gas production from an oil or gas
19well required to be permitted under the Hydraulic Fracturing
20Regulatory Act that was not produced in or accounted for
21during the previous levy year. In addition, the county clerk
22in a county containing a population of 3,000,000 or more shall
23include in the 1997 recovered tax increment value for any
24school district, any recovered tax increment value that was
25applicable to the 1995 tax year calculations.
26    "Qualified airport authority" means an airport authority

 

 

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1organized under the Airport Authorities Act and located in a
2county bordering on the State of Wisconsin and having a
3population in excess of 200,000 and not greater than 500,000.
4    "Recovered tax increment value" means, except as otherwise
5provided in this paragraph, the amount of the current year's
6equalized assessed value, in the first year after a
7municipality terminates the designation of an area as a
8redevelopment project area previously established under the
9Tax Increment Allocation Redevelopment Development Act in the
10Illinois Municipal Code, previously established under the
11Industrial Jobs Recovery Law in the Illinois Municipal Code,
12previously established under the Economic Development Project
13Area Tax Increment Act of 1995, or previously established
14under the Economic Development Area Tax Increment Allocation
15Act, of each taxable lot, block, tract, or parcel of real
16property in the redevelopment project area over and above the
17initial equalized assessed value of each property in the
18redevelopment project area. For the taxes which are extended
19for the 1997 levy year, the recovered tax increment value for a
20non-home rule taxing district that first became subject to
21this Law for the 1995 levy year because a majority of its 1994
22equalized assessed value was in an affected county or counties
23shall be increased if a municipality terminated the
24designation of an area in 1993 as a redevelopment project area
25previously established under the Tax Increment Allocation
26Redevelopment Development Act in the Illinois Municipal Code,

 

 

SB2435- 612 -LRB102 04062 AMC 14078 b

1previously established under the Industrial Jobs Recovery Law
2in the Illinois Municipal Code, or previously established
3under the Economic Development Area Tax Increment Allocation
4Act, by an amount equal to the 1994 equalized assessed value of
5each taxable lot, block, tract, or parcel of real property in
6the redevelopment project area over and above the initial
7equalized assessed value of each property in the redevelopment
8project area. In the first year after a municipality removes a
9taxable lot, block, tract, or parcel of real property from a
10redevelopment project area established under the Tax Increment
11Allocation Redevelopment Development Act in the Illinois
12Municipal Code, the Industrial Jobs Recovery Law in the
13Illinois Municipal Code, or the Economic Development Area Tax
14Increment Allocation Act, "recovered tax increment value"
15means the amount of the current year's equalized assessed
16value of each taxable lot, block, tract, or parcel of real
17property removed from the redevelopment project area over and
18above the initial equalized assessed value of that real
19property before removal from the redevelopment project area.
20    Except as otherwise provided in this Section, "limiting
21rate" means a fraction the numerator of which is the last
22preceding aggregate extension base times an amount equal to
23one plus the extension limitation defined in this Section and
24the denominator of which is the current year's equalized
25assessed value of all real property in the territory under the
26jurisdiction of the taxing district during the prior levy

 

 

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1year. For those taxing districts that reduced their aggregate
2extension for the last preceding levy year, except for school
3districts that reduced their extension for educational
4purposes pursuant to Section 18-206, the highest aggregate
5extension in any of the last 3 preceding levy years shall be
6used for the purpose of computing the limiting rate. The
7denominator shall not include new property or the recovered
8tax increment value. If a new rate, a rate decrease, or a
9limiting rate increase has been approved at an election held
10after March 21, 2006, then (i) the otherwise applicable
11limiting rate shall be increased by the amount of the new rate
12or shall be reduced by the amount of the rate decrease, as the
13case may be, or (ii) in the case of a limiting rate increase,
14the limiting rate shall be equal to the rate set forth in the
15proposition approved by the voters for each of the years
16specified in the proposition, after which the limiting rate of
17the taxing district shall be calculated as otherwise provided.
18In the case of a taxing district that obtained referendum
19approval for an increased limiting rate on March 20, 2012, the
20limiting rate for tax year 2012 shall be the rate that
21generates the approximate total amount of taxes extendable for
22that tax year, as set forth in the proposition approved by the
23voters; this rate shall be the final rate applied by the county
24clerk for the aggregate of all capped funds of the district for
25tax year 2012.
26(Source: P.A. 99-143, eff. 7-27-15; 99-521, eff. 6-1-17;

 

 

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1100-465, eff. 8-31-17; revised 8-12-19.)
 
2    (35 ILCS 200/18-246)
3    Sec. 18-246. Short title; definitions. This Division 5.1
4may be cited as the One-year Property Tax Extension Limitation
5Law.
6    As used in this Division 5.1:
7    "Taxing district" has the same meaning provided in Section
81-150, except that it includes only each non-home rule taxing
9district with the majority of its 1993 equalized assessed
10value contained in one or more affected counties, as defined
11in Section 18-185, other than those taxing districts subject
12to the Property Tax Extension Limitation Law before February
1312, 1995 (the effective date of Public Act 89-1) this
14amendatory Act of 1995.
15    "Aggregate extension" means the annual corporate extension
16for the taxing district and those special purpose extensions
17that are made annually for the taxing district, excluding
18special purpose extensions: (a) made for the taxing district
19to pay interest or principal on general obligation bonds that
20were approved by referendum; (b) made for any taxing district
21to pay interest or principal on general obligation bonds
22issued before March 1, 1995; (c) made for any taxing district
23to pay interest or principal on bonds issued to refund or
24continue to refund those bonds issued before March 1, 1995;
25(d) made for any taxing district to pay interest or principal

 

 

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1on bonds issued to refund or continue to refund bonds issued
2after March 1, 1995 that were approved by referendum; (e) made
3for any taxing district to pay interest or principal on
4revenue bonds issued before March 1, 1995 for payment of which
5a property tax levy or the full faith and credit of the unit of
6local government is pledged; however, a tax for the payment of
7interest or principal on those bonds shall be made only after
8the governing body of the unit of local government finds that
9all other sources for payment are insufficient to make those
10payments; (f) made for payments under a building commission
11lease when the lease payments are for the retirement of bonds
12issued by the commission before March 1, 1995, to pay for the
13building project; (g) made for payments due under installment
14contracts entered into before March 1, 1995; and (h) made for
15payments of principal and interest on bonds issued under the
16Metropolitan Water Reclamation District Act to finance
17construction projects initiated before October 1, 1991.
18    "Special purpose extensions" includes, but is not limited
19to, extensions for levies made on an annual basis for
20unemployment compensation, workers' compensation,
21self-insurance, contributions to pension plans, and extensions
22made under Section 6-601 of the Illinois Highway Code for a
23road district's permanent road fund, whether levied annually
24or not. The extension for a special service area is not
25included in the aggregate extension.
26    "Aggregate extension base" means the taxing district's

 

 

SB2435- 616 -LRB102 04062 AMC 14078 b

1aggregate extension for the 1993 levy year as adjusted under
2Section 18-248.
3    "Levy year" has the same meaning as "year" under Section
41-155.
5    "New property" means (i) the assessed value, after final
6board of review or board of appeals action, of new
7improvements or additions to existing improvements on any
8parcel of real property that increase the assessed value of
9that real property during the levy year multiplied by the
10equalization factor issued by the Department under Section
1117-30 and (ii) the assessed value, after final board of review
12or board of appeals action, of real property not exempt from
13real estate taxation, which real property was exempt from real
14estate taxation for any portion of the immediately preceding
15levy year, multiplied by the equalization factor issued by the
16Department under Section 17-30.
17    "Recovered tax increment value" means the amount of the
181994 equalized assessed value, in the first year after a city
19terminates the designation of an area as a redevelopment
20project area previously established under the Tax Increment
21Allocation Redevelopment Development Act of the Illinois
22Municipal Code or previously established under the Industrial
23Jobs Recovery Law of the Illinois Municipal Code, or
24previously established under the Economic Development Area Tax
25Increment Allocation Act, of each taxable lot, block, tract,
26or parcel of real property in the redevelopment project area

 

 

SB2435- 617 -LRB102 04062 AMC 14078 b

1over and above the initial equalized assessed value of each
2property in the redevelopment project area.
3    Except as otherwise provided in this Section, "limiting
4rate" means a fraction the numerator of which is the aggregate
5extension base times 1.05 and the denominator of which is the
61994 equalized assessed value of all real property in the
7territory under the jurisdiction of the taxing district during
8the 1993 levy year. The denominator shall not include new
9property and shall not include the recovered tax increment
10value.
11(Source: P.A. 91-357, eff. 7-29-99; revised 8-20-19.)
 
12    Section 250. The Motor Fuel Tax Law is amended by changing
13Section 8 as follows:
 
14    (35 ILCS 505/8)  (from Ch. 120, par. 424)
15    Sec. 8. Except as provided in subsection (a-1) of this
16Section, Section 8a, subdivision (h)(1) of Section 12a,
17Section 13a.6, and items 13, 14, 15, and 16 of Section 15, all
18money received by the Department under this Act, including
19payments made to the Department by member jurisdictions
20participating in the International Fuel Tax Agreement, shall
21be deposited in a special fund in the State treasury, to be
22known as the "Motor Fuel Tax Fund", and shall be used as
23follows:
24    (a) 2 1/2 cents per gallon of the tax collected on special

 

 

SB2435- 618 -LRB102 04062 AMC 14078 b

1fuel under paragraph (b) of Section 2 and Section 13a of this
2Act shall be transferred to the State Construction Account
3Fund in the State Treasury; the remainder of the tax collected
4on special fuel under paragraph (b) of Section 2 and Section
513a of this Act shall be deposited into the Road Fund;
6    (a-1) Beginning on July 1, 2019, an amount equal to the
7amount of tax collected under subsection (a) of Section 2 as a
8result of the increase in the tax rate under Public Act 101-32
9this amendatory Act of the 101st General Assembly shall be
10transferred each month into the Transportation Renewal Fund; .
11    (b) $420,000 shall be transferred each month to the State
12Boating Act Fund to be used by the Department of Natural
13Resources for the purposes specified in Article X of the Boat
14Registration and Safety Act;
15    (c) $3,500,000 shall be transferred each month to the
16Grade Crossing Protection Fund to be used as follows: not less
17than $12,000,000 each fiscal year shall be used for the
18construction or reconstruction of rail highway grade
19separation structures; $2,250,000 in fiscal years 2004 through
202009 and $3,000,000 in fiscal year 2010 and each fiscal year
21thereafter shall be transferred to the Transportation
22Regulatory Fund and shall be accounted for as part of the rail
23carrier portion of such funds and shall be used to pay the cost
24of administration of the Illinois Commerce Commission's
25railroad safety program in connection with its duties under
26subsection (3) of Section 18c-7401 of the Illinois Vehicle

 

 

SB2435- 619 -LRB102 04062 AMC 14078 b

1Code, with the remainder to be used by the Department of
2Transportation upon order of the Illinois Commerce Commission,
3to pay that part of the cost apportioned by such Commission to
4the State to cover the interest of the public in the use of
5highways, roads, streets, or pedestrian walkways in the county
6highway system, township and district road system, or
7municipal street system as defined in the Illinois Highway
8Code, as the same may from time to time be amended, for
9separation of grades, for installation, construction or
10reconstruction of crossing protection or reconstruction,
11alteration, relocation including construction or improvement
12of any existing highway necessary for access to property or
13improvement of any grade crossing and grade crossing surface
14including the necessary highway approaches thereto of any
15railroad across the highway or public road, or for the
16installation, construction, reconstruction, or maintenance of
17a pedestrian walkway over or under a railroad right-of-way, as
18provided for in and in accordance with Section 18c-7401 of the
19Illinois Vehicle Code. The Commission may order up to
20$2,000,000 per year in Grade Crossing Protection Fund moneys
21for the improvement of grade crossing surfaces and up to
22$300,000 per year for the maintenance and renewal of
234-quadrant gate vehicle detection systems located at non-high
24speed rail grade crossings. The Commission shall not order
25more than $2,000,000 per year in Grade Crossing Protection
26Fund moneys for pedestrian walkways. In entering orders for

 

 

SB2435- 620 -LRB102 04062 AMC 14078 b

1projects for which payments from the Grade Crossing Protection
2Fund will be made, the Commission shall account for
3expenditures authorized by the orders on a cash rather than an
4accrual basis. For purposes of this requirement an "accrual
5basis" assumes that the total cost of the project is expended
6in the fiscal year in which the order is entered, while a "cash
7basis" allocates the cost of the project among fiscal years as
8expenditures are actually made. To meet the requirements of
9this subsection, the Illinois Commerce Commission shall
10develop annual and 5-year project plans of rail crossing
11capital improvements that will be paid for with moneys from
12the Grade Crossing Protection Fund. The annual project plan
13shall identify projects for the succeeding fiscal year and the
145-year project plan shall identify projects for the 5 directly
15succeeding fiscal years. The Commission shall submit the
16annual and 5-year project plans for this Fund to the Governor,
17the President of the Senate, the Senate Minority Leader, the
18Speaker of the House of Representatives, and the Minority
19Leader of the House of Representatives on the first Wednesday
20in April of each year;
21    (d) of the amount remaining after allocations provided for
22in subsections (a), (a-1), (b), and (c), a sufficient amount
23shall be reserved to pay all of the following:
24        (1) the costs of the Department of Revenue in
25    administering this Act;
26        (2) the costs of the Department of Transportation in

 

 

SB2435- 621 -LRB102 04062 AMC 14078 b

1    performing its duties imposed by the Illinois Highway Code
2    for supervising the use of motor fuel tax funds
3    apportioned to municipalities, counties and road
4    districts;
5        (3) refunds provided for in Section 13, refunds for
6    overpayment of decal fees paid under Section 13a.4 of this
7    Act, and refunds provided for under the terms of the
8    International Fuel Tax Agreement referenced in Section
9    14a;
10        (4) from October 1, 1985 until June 30, 1994, the
11    administration of the Vehicle Emissions Inspection Law,
12    which amount shall be certified monthly by the
13    Environmental Protection Agency to the State Comptroller
14    and shall promptly be transferred by the State Comptroller
15    and Treasurer from the Motor Fuel Tax Fund to the Vehicle
16    Inspection Fund, and for the period July 1, 1994 through
17    June 30, 2000, one-twelfth of $25,000,000 each month, for
18    the period July 1, 2000 through June 30, 2003, one-twelfth
19    of $30,000,000 each month, and $15,000,000 on July 1,
20    2003, and $15,000,000 on January 1, 2004, and $15,000,000
21    on each July 1 and October 1, or as soon thereafter as may
22    be practical, during the period July 1, 2004 through June
23    30, 2012, and $30,000,000 on June 1, 2013, or as soon
24    thereafter as may be practical, and $15,000,000 on July 1
25    and October 1, or as soon thereafter as may be practical,
26    during the period of July 1, 2013 through June 30, 2015,

 

 

SB2435- 622 -LRB102 04062 AMC 14078 b

1    for the administration of the Vehicle Emissions Inspection
2    Law of 2005, to be transferred by the State Comptroller
3    and Treasurer from the Motor Fuel Tax Fund into the
4    Vehicle Inspection Fund;
5        (4.5) beginning on July 1, 2019, the costs of the
6    Environmental Protection Agency for the administration of
7    the Vehicle Emissions Inspection Law of 2005 shall be
8    paid, subject to appropriation, from the Motor Fuel Tax
9    Fund into the Vehicle Inspection Fund; beginning in 2019,
10    no later than December 31 of each year, or as soon
11    thereafter as practical, the State Comptroller shall
12    direct and the State Treasurer shall transfer from the
13    Vehicle Inspection Fund to the Motor Fuel Tax Fund any
14    balance remaining in the Vehicle Inspection Fund in excess
15    of $2,000,000;
16        (5) amounts ordered paid by the Court of Claims; and
17        (6) payment of motor fuel use taxes due to member
18    jurisdictions under the terms of the International Fuel
19    Tax Agreement. The Department shall certify these amounts
20    to the Comptroller by the 15th day of each month; the
21    Comptroller shall cause orders to be drawn for such
22    amounts, and the Treasurer shall administer those amounts
23    on or before the last day of each month;
24    (e) after allocations for the purposes set forth in
25subsections (a), (a-1), (b), (c), and (d), the remaining
26amount shall be apportioned as follows:

 

 

SB2435- 623 -LRB102 04062 AMC 14078 b

1        (1) Until January 1, 2000, 58.4%, and beginning
2    January 1, 2000, 45.6% shall be deposited as follows:
3            (A) 37% into the State Construction Account Fund,
4        and
5            (B) 63% into the Road Fund, $1,250,000 of which
6        shall be reserved each month for the Department of
7        Transportation to be used in accordance with the
8        provisions of Sections 6-901 through 6-906 of the
9        Illinois Highway Code;
10        (2) Until January 1, 2000, 41.6%, and beginning
11    January 1, 2000, 54.4% shall be transferred to the
12    Department of Transportation to be distributed as follows:
13            (A) 49.10% to the municipalities of the State,
14            (B) 16.74% to the counties of the State having
15        1,000,000 or more inhabitants,
16            (C) 18.27% to the counties of the State having
17        less than 1,000,000 inhabitants,
18            (D) 15.89% to the road districts of the State.
19        If a township is dissolved under Article 24 of the
20    Township Code, McHenry County shall receive any moneys
21    that would have been distributed to the township under
22    this subparagraph, except that a municipality that assumes
23    the powers and responsibilities of a road district under
24    paragraph (6) of Section 24-35 of the Township Code shall
25    receive any moneys that would have been distributed to the
26    township in a percent equal to the area of the dissolved

 

 

SB2435- 624 -LRB102 04062 AMC 14078 b

1    road district or portion of the dissolved road district
2    over which the municipality assumed the powers and
3    responsibilities compared to the total area of the
4    dissolved township. The moneys received under this
5    subparagraph shall be used in the geographic area of the
6    dissolved township. If a township is reconstituted as
7    provided under Section 24-45 of the Township Code, McHenry
8    County or a municipality shall no longer be distributed
9    moneys under this subparagraph.
10    As soon as may be after the first day of each month, the
11Department of Transportation shall allot to each municipality
12its share of the amount apportioned to the several
13municipalities which shall be in proportion to the population
14of such municipalities as determined by the last preceding
15municipal census if conducted by the Federal Government or
16Federal census. If territory is annexed to any municipality
17subsequent to the time of the last preceding census the
18corporate authorities of such municipality may cause a census
19to be taken of such annexed territory and the population so
20ascertained for such territory shall be added to the
21population of the municipality as determined by the last
22preceding census for the purpose of determining the allotment
23for that municipality. If the population of any municipality
24was not determined by the last Federal census preceding any
25apportionment, the apportionment to such municipality shall be
26in accordance with any census taken by such municipality. Any

 

 

SB2435- 625 -LRB102 04062 AMC 14078 b

1municipal census used in accordance with this Section shall be
2certified to the Department of Transportation by the clerk of
3such municipality, and the accuracy thereof shall be subject
4to approval of the Department which may make such corrections
5as it ascertains to be necessary.
6    As soon as may be after the first day of each month, the
7Department of Transportation shall allot to each county its
8share of the amount apportioned to the several counties of the
9State as herein provided. Each allotment to the several
10counties having less than 1,000,000 inhabitants shall be in
11proportion to the amount of motor vehicle license fees
12received from the residents of such counties, respectively,
13during the preceding calendar year. The Secretary of State
14shall, on or before April 15 of each year, transmit to the
15Department of Transportation a full and complete report
16showing the amount of motor vehicle license fees received from
17the residents of each county, respectively, during the
18preceding calendar year. The Department of Transportation
19shall, each month, use for allotment purposes the last such
20report received from the Secretary of State.
21    As soon as may be after the first day of each month, the
22Department of Transportation shall allot to the several
23counties their share of the amount apportioned for the use of
24road districts. The allotment shall be apportioned among the
25several counties in the State in the proportion which the
26total mileage of township or district roads in the respective

 

 

SB2435- 626 -LRB102 04062 AMC 14078 b

1counties bears to the total mileage of all township and
2district roads in the State. Funds allotted to the respective
3counties for the use of road districts therein shall be
4allocated to the several road districts in the county in the
5proportion which the total mileage of such township or
6district roads in the respective road districts bears to the
7total mileage of all such township or district roads in the
8county. After July 1 of any year prior to 2011, no allocation
9shall be made for any road district unless it levied a tax for
10road and bridge purposes in an amount which will require the
11extension of such tax against the taxable property in any such
12road district at a rate of not less than either .08% of the
13value thereof, based upon the assessment for the year
14immediately prior to the year in which such tax was levied and
15as equalized by the Department of Revenue or, in DuPage
16County, an amount equal to or greater than $12,000 per mile of
17road under the jurisdiction of the road district, whichever is
18less. Beginning July 1, 2011 and each July 1 thereafter, an
19allocation shall be made for any road district if it levied a
20tax for road and bridge purposes. In counties other than
21DuPage County, if the amount of the tax levy requires the
22extension of the tax against the taxable property in the road
23district at a rate that is less than 0.08% of the value
24thereof, based upon the assessment for the year immediately
25prior to the year in which the tax was levied and as equalized
26by the Department of Revenue, then the amount of the

 

 

SB2435- 627 -LRB102 04062 AMC 14078 b

1allocation for that road district shall be a percentage of the
2maximum allocation equal to the percentage obtained by
3dividing the rate extended by the district by 0.08%. In DuPage
4County, if the amount of the tax levy requires the extension of
5the tax against the taxable property in the road district at a
6rate that is less than the lesser of (i) 0.08% of the value of
7the taxable property in the road district, based upon the
8assessment for the year immediately prior to the year in which
9such tax was levied and as equalized by the Department of
10Revenue, or (ii) a rate that will yield an amount equal to
11$12,000 per mile of road under the jurisdiction of the road
12district, then the amount of the allocation for the road
13district shall be a percentage of the maximum allocation equal
14to the percentage obtained by dividing the rate extended by
15the district by the lesser of (i) 0.08% or (ii) the rate that
16will yield an amount equal to $12,000 per mile of road under
17the jurisdiction of the road district.
18    Prior to 2011, if any road district has levied a special
19tax for road purposes pursuant to Sections 6-601, 6-602, and
206-603 of the Illinois Highway Code, and such tax was levied in
21an amount which would require extension at a rate of not less
22than .08% of the value of the taxable property thereof, as
23equalized or assessed by the Department of Revenue, or, in
24DuPage County, an amount equal to or greater than $12,000 per
25mile of road under the jurisdiction of the road district,
26whichever is less, such levy shall, however, be deemed a

 

 

SB2435- 628 -LRB102 04062 AMC 14078 b

1proper compliance with this Section and shall qualify such
2road district for an allotment under this Section. Beginning
3in 2011 and thereafter, if any road district has levied a
4special tax for road purposes under Sections 6-601, 6-602, and
56-603 of the Illinois Highway Code, and the tax was levied in
6an amount that would require extension at a rate of not less
7than 0.08% of the value of the taxable property of that road
8district, as equalized or assessed by the Department of
9Revenue or, in DuPage County, an amount equal to or greater
10than $12,000 per mile of road under the jurisdiction of the
11road district, whichever is less, that levy shall be deemed a
12proper compliance with this Section and shall qualify such
13road district for a full, rather than proportionate, allotment
14under this Section. If the levy for the special tax is less
15than 0.08% of the value of the taxable property, or, in DuPage
16County if the levy for the special tax is less than the lesser
17of (i) 0.08% or (ii) $12,000 per mile of road under the
18jurisdiction of the road district, and if the levy for the
19special tax is more than any other levy for road and bridge
20purposes, then the levy for the special tax qualifies the road
21district for a proportionate, rather than full, allotment
22under this Section. If the levy for the special tax is equal to
23or less than any other levy for road and bridge purposes, then
24any allotment under this Section shall be determined by the
25other levy for road and bridge purposes.
26    Prior to 2011, if a township has transferred to the road

 

 

SB2435- 629 -LRB102 04062 AMC 14078 b

1and bridge fund money which, when added to the amount of any
2tax levy of the road district would be the equivalent of a tax
3levy requiring extension at a rate of at least .08%, or, in
4DuPage County, an amount equal to or greater than $12,000 per
5mile of road under the jurisdiction of the road district,
6whichever is less, such transfer, together with any such tax
7levy, shall be deemed a proper compliance with this Section
8and shall qualify the road district for an allotment under
9this Section.
10    In counties in which a property tax extension limitation
11is imposed under the Property Tax Extension Limitation Law,
12road districts may retain their entitlement to a motor fuel
13tax allotment or, beginning in 2011, their entitlement to a
14full allotment if, at the time the property tax extension
15limitation was imposed, the road district was levying a road
16and bridge tax at a rate sufficient to entitle it to a motor
17fuel tax allotment and continues to levy the maximum allowable
18amount after the imposition of the property tax extension
19limitation. Any road district may in all circumstances retain
20its entitlement to a motor fuel tax allotment or, beginning in
212011, its entitlement to a full allotment if it levied a road
22and bridge tax in an amount that will require the extension of
23the tax against the taxable property in the road district at a
24rate of not less than 0.08% of the assessed value of the
25property, based upon the assessment for the year immediately
26preceding the year in which the tax was levied and as equalized

 

 

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1by the Department of Revenue or, in DuPage County, an amount
2equal to or greater than $12,000 per mile of road under the
3jurisdiction of the road district, whichever is less.
4    As used in this Section, the term "road district" means
5any road district, including a county unit road district,
6provided for by the Illinois Highway Code; and the term
7"township or district road" means any road in the township and
8district road system as defined in the Illinois Highway Code.
9For the purposes of this Section, "township or district road"
10also includes such roads as are maintained by park districts,
11forest preserve districts and conservation districts. The
12Department of Transportation shall determine the mileage of
13all township and district roads for the purposes of making
14allotments and allocations of motor fuel tax funds for use in
15road districts.
16    Payment of motor fuel tax moneys to municipalities and
17counties shall be made as soon as possible after the allotment
18is made. The treasurer of the municipality or county may
19invest these funds until their use is required and the
20interest earned by these investments shall be limited to the
21same uses as the principal funds.
22(Source: P.A. 101-32, eff. 6-28-19; 101-230, eff. 8-9-19;
23101-493, eff. 8-23-19; revised 9-24-19.)
 
24    Section 255. The Illinois Pension Code is amended by
25changing Sections 1-109, 4-117, 4-118, 4-141, 14-125, 15-155,

 

 

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116-158, 16-190.5, 16-203, and 22C-115 as follows:
 
2    (40 ILCS 5/1-109)  (from Ch. 108 1/2, par. 1-109)
3    Sec. 1-109. Duties of fiduciaries. A fiduciary with
4respect to a retirement system or pension fund established
5under this Code shall discharge his or her duties with respect
6to the retirement system or pension fund solely in the
7interest of the participants and beneficiaries and:
8        (a) for the exclusive purpose of:
9            (1) providing benefits to participants and their
10        beneficiaries; and
11            (2) defraying reasonable expenses of administering
12        the retirement system or pension fund;
13        (b) with the care, skill, prudence and diligence under
14    the circumstances then prevailing that a prudent man
15    acting in a like capacity and familiar with such matters
16    would use in the conduct of an enterprise of a like
17    character with like aims;
18        (c) by diversifying the investments of the retirement
19    system or pension fund so as to minimize the risk of large
20    losses, unless under the circumstances it is clearly
21    prudent not to do so; and
22        (d) in accordance with the provisions of the Article
23    of this the Pension Code governing the retirement system
24    or pension fund.
25(Source: P.A. 82-960; revised 11-26-19.)
 

 

 

SB2435- 632 -LRB102 04062 AMC 14078 b

1    (40 ILCS 5/4-117)  (from Ch. 108 1/2, par. 4-117)
2    Sec. 4-117. Reentry into active service.
3    (a) If a firefighter receiving pension payments reenters
4active service, pension payments shall be suspended while he
5or she is in service. If the firefighter again retires or is
6discharged, his or her monthly pension shall be resumed in the
7same amount as was paid upon first retirement or discharge
8unless he or she remained in active service 3 or more years
9after re-entry in which case the monthly pension shall be
10based on the salary attached to the firefighter's rank at the
11date of last retirement.
12    (b) If a deferred pensioner re-enters active service, and
13again retires or is discharged from the fire service, his or
14her pension shall be based on the salary attached to the rank
15held in the fire service at the date of earlier retirement,
16unless the firefighter remains in active service for 3 or more
17years after re-entry, in which case the monthly pension shall
18be based on the salary attached to the firefighter's rank at
19the date of last retirement.
20    (c) If a pensioner or deferred pensioner re-enters or is
21recalled to active service and is thereafter injured, and the
22injury is not related to an injury for which he or she was
23previously receiving a disability pension, the 3-year 3 year
24service requirement shall not apply in order for the
25firefighter to qualify for the increased pension based on the

 

 

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1rate of pay at the time of the new injury.
2(Source: P.A. 83-1440; revised 7-17-19.)
 
3    (40 ILCS 5/4-118)  (from Ch. 108 1/2, par. 4-118)
4    Sec. 4-118. Financing.
5    (a) The city council or the board of trustees of the
6municipality shall annually levy a tax upon all the taxable
7property of the municipality at the rate on the dollar which
8will produce an amount which, when added to the deductions
9from the salaries or wages of firefighters and revenues
10available from other sources, will equal a sum sufficient to
11meet the annual actuarial requirements of the pension fund, as
12determined by an enrolled actuary employed by the Illinois
13Department of Insurance or by an enrolled actuary retained by
14the pension fund or municipality. For the purposes of this
15Section, the annual actuarial requirements of the pension fund
16are equal to (1) the normal cost of the pension fund, or 17.5%
17of the salaries and wages to be paid to firefighters for the
18year involved, whichever is greater, plus (2) an annual amount
19sufficient to bring the total assets of the pension fund up to
2090% of the total actuarial liabilities of the pension fund by
21the end of municipal fiscal year 2040, as annually updated and
22determined by an enrolled actuary employed by the Illinois
23Department of Insurance or by an enrolled actuary retained by
24the pension fund or the municipality. In making these
25determinations, the required minimum employer contribution

 

 

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1shall be calculated each year as a level percentage of payroll
2over the years remaining up to and including fiscal year 2040
3and shall be determined under the projected unit credit
4actuarial cost method. The amount to be applied towards the
5amortization of the unfunded accrued liability in any year
6shall not be less than the annual amount required to amortize
7the unfunded accrued liability, including interest, as a level
8percentage of payroll over the number of years remaining in
9the 40-year 40 year amortization period.
10    (a-2) A municipality that has established a pension fund
11under this Article and that who employs a full-time
12firefighter, as defined in Section 4-106, shall be deemed a
13primary employer with respect to that full-time firefighter.
14Any municipality of 5,000 or more inhabitants that employs or
15enrolls a firefighter while that firefighter continues to earn
16service credit as a participant in a primary employer's
17pension fund under this Article shall be deemed a secondary
18employer and such employees shall be deemed to be secondary
19employee firefighters. To ensure that the primary employer's
20pension fund under this Article is aware of additional
21liabilities and risks to which firefighters are exposed when
22performing work as firefighters for secondary employers, a
23secondary employer shall annually prepare a report accounting
24for all hours worked by and wages and salaries paid to the
25secondary employee firefighters it receives services from or
26employs for each fiscal year in which such firefighters are

 

 

SB2435- 635 -LRB102 04062 AMC 14078 b

1employed and transmit a certified copy of that report to the
2primary employer's pension fund and the secondary employee
3firefighter no later than 30 days after the end of any fiscal
4year in which wages were paid to the secondary employee
5firefighters.
6    Nothing in this Section shall be construed to allow a
7secondary employee to qualify for benefits or creditable
8service for employment as a firefighter for a secondary
9employer.
10    (a-5) For purposes of determining the required employer
11contribution to a pension fund, the value of the pension
12fund's assets shall be equal to the actuarial value of the
13pension fund's assets, which shall be calculated as follows:
14        (1) On March 30, 2011, the actuarial value of a
15    pension fund's assets shall be equal to the market value
16    of the assets as of that date.
17        (2) In determining the actuarial value of the pension
18    fund's assets for fiscal years after March 30, 2011, any
19    actuarial gains or losses from investment return incurred
20    in a fiscal year shall be recognized in equal annual
21    amounts over the 5-year period following that fiscal year.
22    (b) The tax shall be levied and collected in the same
23manner as the general taxes of the municipality, and shall be
24in addition to all other taxes now or hereafter authorized to
25be levied upon all property within the municipality, and in
26addition to the amount authorized to be levied for general

 

 

SB2435- 636 -LRB102 04062 AMC 14078 b

1purposes, under Section 8-3-1 of the Illinois Municipal Code
2or under Section 14 of the Fire Protection District Act. The
3tax shall be forwarded directly to the treasurer of the board
4within 30 business days of receipt by the county (or, in the
5case of amounts added to the tax levy under subsection (f),
6used by the municipality to pay the employer contributions
7required under subsection (b-1) of Section 15-155 of this
8Code).
9    (b-5) If a participating municipality fails to transmit to
10the fund contributions required of it under this Article for
11more than 90 days after the payment of those contributions is
12due, the fund may, after giving notice to the municipality,
13certify to the State Comptroller the amounts of the delinquent
14payments in accordance with any applicable rules of the
15Comptroller, and the Comptroller must, beginning in fiscal
16year 2016, deduct and remit to the fund the certified amounts
17or a portion of those amounts from the following proportions
18of payments of State funds to the municipality:
19        (1) in fiscal year 2016, one-third of the total amount
20    of any payments of State funds to the municipality;
21        (2) in fiscal year 2017, two-thirds of the total
22    amount of any payments of State funds to the municipality;
23    and
24        (3) in fiscal year 2018 and each fiscal year
25    thereafter, the total amount of any payments of State
26    funds to the municipality.

 

 

SB2435- 637 -LRB102 04062 AMC 14078 b

1    The State Comptroller may not deduct from any payments of
2State funds to the municipality more than the amount of
3delinquent payments certified to the State Comptroller by the
4fund.
5    (c) The board shall make available to the membership and
6the general public for inspection and copying at reasonable
7times the most recent Actuarial Valuation Balance Sheet and
8Tax Levy Requirement issued to the fund by the Department of
9Insurance.
10    (d) The firefighters' pension fund shall consist of the
11following moneys which shall be set apart by the treasurer of
12the municipality: (1) all moneys derived from the taxes levied
13hereunder; (2) contributions by firefighters as provided under
14Section 4-118.1; (2.5) all moneys received from the
15Firefighters' Pension Investment Fund as provided in Article
1622C of this Code; (3) all rewards in money, fees, gifts, and
17emoluments that may be paid or given for or on account of
18extraordinary service by the fire department or any member
19thereof, except when allowed to be retained by competitive
20awards; and (4) any money, real estate or personal property
21received by the board.
22    (e) For the purposes of this Section, "enrolled actuary"
23means an actuary: (1) who is a member of the Society of
24Actuaries or the American Academy of Actuaries; and (2) who is
25enrolled under Subtitle C of Title III of the Employee
26Retirement Income Security Act of 1974, or who has been

 

 

SB2435- 638 -LRB102 04062 AMC 14078 b

1engaged in providing actuarial services to one or more public
2retirement systems for a period of at least 3 years as of July
31, 1983.
4    (f) The corporate authorities of a municipality that
5employs a person who is described in subdivision (d) of
6Section 4-106 may add to the tax levy otherwise provided for in
7this Section an amount equal to the projected cost of the
8employer contributions required to be paid by the municipality
9to the State Universities Retirement System under subsection
10(b-1) of Section 15-155 of this Code.
11    (g) The Commission on Government Forecasting and
12Accountability shall conduct a study of all funds established
13under this Article and shall report its findings to the
14General Assembly on or before January 1, 2013. To the fullest
15extent possible, the study shall include, but not be limited
16to, the following:
17        (1) fund balances;
18        (2) historical employer contribution rates for each
19    fund;
20        (3) the actuarial formulas used as a basis for
21    employer contributions, including the actual assumed rate
22    of return for each year, for each fund;
23        (4) available contribution funding sources;
24        (5) the impact of any revenue limitations caused by
25    PTELL and employer home rule or non-home rule status; and
26        (6) existing statutory funding compliance procedures

 

 

SB2435- 639 -LRB102 04062 AMC 14078 b

1    and funding enforcement mechanisms for all municipal
2    pension funds.
3(Source: P.A. 101-522, eff. 8-23-19; 101-610, eff. 1-1-20;
4revised 8-20-20.)
 
5    (40 ILCS 5/4-141)  (from Ch. 108 1/2, par. 4-141)
6    Sec. 4-141. Referendum in municipalities less than 5,000.
7This Article shall become effective in any municipality of
8less than 5,000, population if the proposition to adopt the
9Article is submitted to and approved by the voters of the
10municipality in the manner herein provided.
11    Whenever the electors of the municipality equal in number
12to 5% of the number of legal votes cast at the last preceding
13general municipal election for mayor or president, as the case
14may be, petition the corporate authorities of the municipality
15to submit the proposition whether that municipality shall
16adopt this Article, the municipal clerk shall certify the
17proposition to the proper election official who shall submit
18it to the electors in accordance with the general election law
19at the next succeeding regular election in the municipality.
20If the proposition is not adopted at that election, it may be
21submitted in like manner at any regular election thereafter.
22    The proposition shall be substantially in the following
23form:
24-------------------------------------------------------------
25    Shall the city (or village or

 

 

SB2435- 640 -LRB102 04062 AMC 14078 b

1incorporated town as the case may be)          YES
2of.... adopt Article 4 of the
3"Illinois Pension Code",                   ------------------
4providing for a Firefighters'                   NO
5Pension Fund and the levying
6of an annual tax therefor?
7-------------------------------------------------------------
8    If a majority of the votes cast on the proposition is for
9the proposition, this Article is adopted in that municipality.
10(Source: P.A. 83-1440; revised 7-17-19.)
 
11    (40 ILCS 5/14-125)  (from Ch. 108 1/2, par. 14-125)
12    Sec. 14-125. Nonoccupational disability benefit; amount
13benefit - Amount of. The nonoccupational disability benefit
14shall be 50% of the member's final average compensation at the
15time disability occurred. In the case of a member whose
16benefit was resumed due to the same disability, the amount of
17the benefit shall be the same as that last paid before
18resumption of State employment. In the event that a temporary
19disability benefit has been received, the nonoccupational
20disability benefit shall be subject to adjustment by the Board
21under Section 14-123.1.
22    If a covered employee is eligible for a disability benefit
23before attaining the Social Security full retirement age or a
24retirement benefit on or after attaining the Social Security
25full retirement age under the federal Federal Social Security

 

 

SB2435- 641 -LRB102 04062 AMC 14078 b

1Act, the amount of the member's nonoccupational disability
2benefit shall be reduced by the amount of primary benefit the
3member would be eligible to receive under such Act, whether or
4not entitlement thereto came about as the result of service as
5a covered employee under this Article. The Board may make such
6reduction if it appears that the employee may be so eligible
7pending determination of eligibility and make an appropriate
8adjustment if necessary after such determination. The amount
9of any nonoccupational disability benefit payable under this
10Article shall not be reduced by reason of any increase under
11the federal Federal Social Security Act which occurs after the
12offset required by this Section is first applied to that
13benefit.
14    As used in this Section subsection, "Social Security full
15retirement age" means the age at which an individual is
16eligible to receive full Social Security retirement benefits.
17(Source: P.A. 101-54, eff. 7-12-19; revised 8-13-19.)
 
18    (40 ILCS 5/15-155)  (from Ch. 108 1/2, par. 15-155)
19    Sec. 15-155. Employer contributions.
20    (a) The State of Illinois shall make contributions by
21appropriations of amounts which, together with the other
22employer contributions from trust, federal, and other funds,
23employee contributions, income from investments, and other
24income of this System, will be sufficient to meet the cost of
25maintaining and administering the System on a 90% funded basis

 

 

SB2435- 642 -LRB102 04062 AMC 14078 b

1in accordance with actuarial recommendations.
2    The Board shall determine the amount of State
3contributions required for each fiscal year on the basis of
4the actuarial tables and other assumptions adopted by the
5Board and the recommendations of the actuary, using the
6formula in subsection (a-1).
7    (a-1) For State fiscal years 2012 through 2045, the
8minimum contribution to the System to be made by the State for
9each fiscal year shall be an amount determined by the System to
10be sufficient to bring the total assets of the System up to 90%
11of the total actuarial liabilities of the System by the end of
12State fiscal year 2045. In making these determinations, the
13required State contribution shall be calculated each year as a
14level percentage of payroll over the years remaining to and
15including fiscal year 2045 and shall be determined under the
16projected unit credit actuarial cost method.
17    For each of State fiscal years 2018, 2019, and 2020, the
18State shall make an additional contribution to the System
19equal to 2% of the total payroll of each employee who is deemed
20to have elected the benefits under Section 1-161 or who has
21made the election under subsection (c) of Section 1-161.
22    A change in an actuarial or investment assumption that
23increases or decreases the required State contribution and
24first applies in State fiscal year 2018 or thereafter shall be
25implemented in equal annual amounts over a 5-year period
26beginning in the State fiscal year in which the actuarial

 

 

SB2435- 643 -LRB102 04062 AMC 14078 b

1change first applies to the required State contribution.
2    A change in an actuarial or investment assumption that
3increases or decreases the required State contribution and
4first applied to the State contribution in fiscal year 2014,
52015, 2016, or 2017 shall be implemented:
6        (i) as already applied in State fiscal years before
7    2018; and
8        (ii) in the portion of the 5-year period beginning in
9    the State fiscal year in which the actuarial change first
10    applied that occurs in State fiscal year 2018 or
11    thereafter, by calculating the change in equal annual
12    amounts over that 5-year period and then implementing it
13    at the resulting annual rate in each of the remaining
14    fiscal years in that 5-year period.
15    For State fiscal years 1996 through 2005, the State
16contribution to the System, as a percentage of the applicable
17employee payroll, shall be increased in equal annual
18increments so that by State fiscal year 2011, the State is
19contributing at the rate required under this Section.
20    Notwithstanding any other provision of this Article, the
21total required State contribution for State fiscal year 2006
22is $166,641,900.
23    Notwithstanding any other provision of this Article, the
24total required State contribution for State fiscal year 2007
25is $252,064,100.
26    For each of State fiscal years 2008 through 2009, the

 

 

SB2435- 644 -LRB102 04062 AMC 14078 b

1State contribution to the System, as a percentage of the
2applicable employee payroll, shall be increased in equal
3annual increments from the required State contribution for
4State fiscal year 2007, so that by State fiscal year 2011, the
5State is contributing at the rate otherwise required under
6this Section.
7    Notwithstanding any other provision of this Article, the
8total required State contribution for State fiscal year 2010
9is $702,514,000 and shall be made from the State Pensions Fund
10and proceeds of bonds sold in fiscal year 2010 pursuant to
11Section 7.2 of the General Obligation Bond Act, less (i) the
12pro rata share of bond sale expenses determined by the
13System's share of total bond proceeds, (ii) any amounts
14received from the General Revenue Fund in fiscal year 2010,
15(iii) any reduction in bond proceeds due to the issuance of
16discounted bonds, if applicable.
17    Notwithstanding any other provision of this Article, the
18total required State contribution for State fiscal year 2011
19is the amount recertified by the System on or before April 1,
202011 pursuant to Section 15-165 and shall be made from the
21State Pensions Fund and proceeds of bonds sold in fiscal year
222011 pursuant to Section 7.2 of the General Obligation Bond
23Act, less (i) the pro rata share of bond sale expenses
24determined by the System's share of total bond proceeds, (ii)
25any amounts received from the General Revenue Fund in fiscal
26year 2011, and (iii) any reduction in bond proceeds due to the

 

 

SB2435- 645 -LRB102 04062 AMC 14078 b

1issuance of discounted bonds, if applicable.
2    Beginning in State fiscal year 2046, the minimum State
3contribution for each fiscal year shall be the amount needed
4to maintain the total assets of the System at 90% of the total
5actuarial liabilities of the System.
6    Amounts received by the System pursuant to Section 25 of
7the Budget Stabilization Act or Section 8.12 of the State
8Finance Act in any fiscal year do not reduce and do not
9constitute payment of any portion of the minimum State
10contribution required under this Article in that fiscal year.
11Such amounts shall not reduce, and shall not be included in the
12calculation of, the required State contributions under this
13Article in any future year until the System has reached a
14funding ratio of at least 90%. A reference in this Article to
15the "required State contribution" or any substantially similar
16term does not include or apply to any amounts payable to the
17System under Section 25 of the Budget Stabilization Act.
18    Notwithstanding any other provision of this Section, the
19required State contribution for State fiscal year 2005 and for
20fiscal year 2008 and each fiscal year thereafter, as
21calculated under this Section and certified under Section
2215-165, shall not exceed an amount equal to (i) the amount of
23the required State contribution that would have been
24calculated under this Section for that fiscal year if the
25System had not received any payments under subsection (d) of
26Section 7.2 of the General Obligation Bond Act, minus (ii) the

 

 

SB2435- 646 -LRB102 04062 AMC 14078 b

1portion of the State's total debt service payments for that
2fiscal year on the bonds issued in fiscal year 2003 for the
3purposes of that Section 7.2, as determined and certified by
4the Comptroller, that is the same as the System's portion of
5the total moneys distributed under subsection (d) of Section
67.2 of the General Obligation Bond Act. In determining this
7maximum for State fiscal years 2008 through 2010, however, the
8amount referred to in item (i) shall be increased, as a
9percentage of the applicable employee payroll, in equal
10increments calculated from the sum of the required State
11contribution for State fiscal year 2007 plus the applicable
12portion of the State's total debt service payments for fiscal
13year 2007 on the bonds issued in fiscal year 2003 for the
14purposes of Section 7.2 of the General Obligation Bond Act, so
15that, by State fiscal year 2011, the State is contributing at
16the rate otherwise required under this Section.
17    (a-2) Beginning in fiscal year 2018, each employer under
18this Article shall pay to the System a required contribution
19determined as a percentage of projected payroll and sufficient
20to produce an annual amount equal to:
21        (i) for each of fiscal years 2018, 2019, and 2020, the
22    defined benefit normal cost of the defined benefit plan,
23    less the employee contribution, for each employee of that
24    employer who has elected or who is deemed to have elected
25    the benefits under Section 1-161 or who has made the
26    election under subsection (c) of Section 1-161; for fiscal

 

 

SB2435- 647 -LRB102 04062 AMC 14078 b

1    year 2021 and each fiscal year thereafter, the defined
2    benefit normal cost of the defined benefit plan, less the
3    employee contribution, plus 2%, for each employee of that
4    employer who has elected or who is deemed to have elected
5    the benefits under Section 1-161 or who has made the
6    election under subsection (c) of Section 1-161; plus
7        (ii) the amount required for that fiscal year to
8    amortize any unfunded actuarial accrued liability
9    associated with the present value of liabilities
10    attributable to the employer's account under Section
11    15-155.2, determined as a level percentage of payroll over
12    a 30-year rolling amortization period.
13    In determining contributions required under item (i) of
14this subsection, the System shall determine an aggregate rate
15for all employers, expressed as a percentage of projected
16payroll.
17    In determining the contributions required under item (ii)
18of this subsection, the amount shall be computed by the System
19on the basis of the actuarial assumptions and tables used in
20the most recent actuarial valuation of the System that is
21available at the time of the computation.
22    The contributions required under this subsection (a-2)
23shall be paid by an employer concurrently with that employer's
24payroll payment period. The State, as the actual employer of
25an employee, shall make the required contributions under this
26subsection.

 

 

SB2435- 648 -LRB102 04062 AMC 14078 b

1    As used in this subsection, "academic year" means the
212-month period beginning September 1.
3    (b) If an employee is paid from trust or federal funds, the
4employer shall pay to the Board contributions from those funds
5which are sufficient to cover the accruing normal costs on
6behalf of the employee. However, universities having employees
7who are compensated out of local auxiliary funds, income
8funds, or service enterprise funds are not required to pay
9such contributions on behalf of those employees. The local
10auxiliary funds, income funds, and service enterprise funds of
11universities shall not be considered trust funds for the
12purpose of this Article, but funds of alumni associations,
13foundations, and athletic associations which are affiliated
14with the universities included as employers under this Article
15and other employers which do not receive State appropriations
16are considered to be trust funds for the purpose of this
17Article.
18    (b-1) The City of Urbana and the City of Champaign shall
19each make employer contributions to this System for their
20respective firefighter employees who participate in this
21System pursuant to subsection (h) of Section 15-107. The rate
22of contributions to be made by those municipalities shall be
23determined annually by the Board on the basis of the actuarial
24assumptions adopted by the Board and the recommendations of
25the actuary, and shall be expressed as a percentage of salary
26for each such employee. The Board shall certify the rate to the

 

 

SB2435- 649 -LRB102 04062 AMC 14078 b

1affected municipalities as soon as may be practical. The
2employer contributions required under this subsection shall be
3remitted by the municipality to the System at the same time and
4in the same manner as employee contributions.
5    (c) Through State fiscal year 1995: The total employer
6contribution shall be apportioned among the various funds of
7the State and other employers, whether trust, federal, or
8other funds, in accordance with actuarial procedures approved
9by the Board. State of Illinois contributions for employers
10receiving State appropriations for personal services shall be
11payable from appropriations made to the employers or to the
12System. The contributions for Class I community colleges
13covering earnings other than those paid from trust and federal
14funds, shall be payable solely from appropriations to the
15Illinois Community College Board or the System for employer
16contributions.
17    (d) Beginning in State fiscal year 1996, the required
18State contributions to the System shall be appropriated
19directly to the System and shall be payable through vouchers
20issued in accordance with subsection (c) of Section 15-165,
21except as provided in subsection (g).
22    (e) The State Comptroller shall draw warrants payable to
23the System upon proper certification by the System or by the
24employer in accordance with the appropriation laws and this
25Code.
26    (f) Normal costs under this Section means liability for

 

 

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1pensions and other benefits which accrues to the System
2because of the credits earned for service rendered by the
3participants during the fiscal year and expenses of
4administering the System, but shall not include the principal
5of or any redemption premium or interest on any bonds issued by
6the Board or any expenses incurred or deposits required in
7connection therewith.
8    (g) If June 4, 2018 (Public Act 100-587) the amount of a
9participant's earnings for any academic year used to determine
10the final rate of earnings, determined on a full-time
11equivalent basis, exceeds the amount of his or her earnings
12with the same employer for the previous academic year,
13determined on a full-time equivalent basis, by more than 6%,
14the participant's employer shall pay to the System, in
15addition to all other payments required under this Section and
16in accordance with guidelines established by the System, the
17present value of the increase in benefits resulting from the
18portion of the increase in earnings that is in excess of 6%.
19This present value shall be computed by the System on the basis
20of the actuarial assumptions and tables used in the most
21recent actuarial valuation of the System that is available at
22the time of the computation. The System may require the
23employer to provide any pertinent information or
24documentation.
25    Whenever it determines that a payment is or may be
26required under this subsection (g), the System shall calculate

 

 

SB2435- 651 -LRB102 04062 AMC 14078 b

1the amount of the payment and bill the employer for that
2amount. The bill shall specify the calculations used to
3determine the amount due. If the employer disputes the amount
4of the bill, it may, within 30 days after receipt of the bill,
5apply to the System in writing for a recalculation. The
6application must specify in detail the grounds of the dispute
7and, if the employer asserts that the calculation is subject
8to subsection (h) or (i) of this Section, must include an
9affidavit setting forth and attesting to all facts within the
10employer's knowledge that are pertinent to the applicability
11of that subsection. Upon receiving a timely application for
12recalculation, the System shall review the application and, if
13appropriate, recalculate the amount due.
14    The employer contributions required under this subsection
15(g) may be paid in the form of a lump sum within 90 days after
16receipt of the bill. If the employer contributions are not
17paid within 90 days after receipt of the bill, then interest
18will be charged at a rate equal to the System's annual
19actuarially assumed rate of return on investment compounded
20annually from the 91st day after receipt of the bill. Payments
21must be concluded within 3 years after the employer's receipt
22of the bill.
23    When assessing payment for any amount due under this
24subsection (g), the System shall include earnings, to the
25extent not established by a participant under Section
2615-113.11 or 15-113.12, that would have been paid to the

 

 

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1participant had the participant not taken (i) periods of
2voluntary or involuntary furlough occurring on or after July
31, 2015 and on or before June 30, 2017 or (ii) periods of
4voluntary pay reduction in lieu of furlough occurring on or
5after July 1, 2015 and on or before June 30, 2017. Determining
6earnings that would have been paid to a participant had the
7participant not taken periods of voluntary or involuntary
8furlough or periods of voluntary pay reduction shall be the
9responsibility of the employer, and shall be reported in a
10manner prescribed by the System.
11    This subsection (g) does not apply to (1) Tier 2 hybrid
12plan members and (2) Tier 2 defined benefit members who first
13participate under this Article on or after the implementation
14date of the Optional Hybrid Plan.
15    (g-1) (Blank). June 4, 2018 (Public Act 100-587)
16    (h) This subsection (h) applies only to payments made or
17salary increases given on or after June 1, 2005 but before July
181, 2011. The changes made by Public Act 94-1057 shall not
19require the System to refund any payments received before July
2031, 2006 (the effective date of Public Act 94-1057).
21    When assessing payment for any amount due under subsection
22(g), the System shall exclude earnings increases paid to
23participants under contracts or collective bargaining
24agreements entered into, amended, or renewed before June 1,
252005.
26    When assessing payment for any amount due under subsection

 

 

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1(g), the System shall exclude earnings increases paid to a
2participant at a time when the participant is 10 or more years
3from retirement eligibility under Section 15-135.
4    When assessing payment for any amount due under subsection
5(g), the System shall exclude earnings increases resulting
6from overload work, including a contract for summer teaching,
7or overtime when the employer has certified to the System, and
8the System has approved the certification, that: (i) in the
9case of overloads (A) the overload work is for the sole purpose
10of academic instruction in excess of the standard number of
11instruction hours for a full-time employee occurring during
12the academic year that the overload is paid and (B) the
13earnings increases are equal to or less than the rate of pay
14for academic instruction computed using the participant's
15current salary rate and work schedule; and (ii) in the case of
16overtime, the overtime was necessary for the educational
17mission.
18    When assessing payment for any amount due under subsection
19(g), the System shall exclude any earnings increase resulting
20from (i) a promotion for which the employee moves from one
21classification to a higher classification under the State
22Universities Civil Service System, (ii) a promotion in
23academic rank for a tenured or tenure-track faculty position,
24or (iii) a promotion that the Illinois Community College Board
25has recommended in accordance with subsection (k) of this
26Section. These earnings increases shall be excluded only if

 

 

SB2435- 654 -LRB102 04062 AMC 14078 b

1the promotion is to a position that has existed and been filled
2by a member for no less than one complete academic year and the
3earnings increase as a result of the promotion is an increase
4that results in an amount no greater than the average salary
5paid for other similar positions.
6    (i) When assessing payment for any amount due under
7subsection (g), the System shall exclude any salary increase
8described in subsection (h) of this Section given on or after
9July 1, 2011 but before July 1, 2014 under a contract or
10collective bargaining agreement entered into, amended, or
11renewed on or after June 1, 2005 but before July 1, 2011.
12Notwithstanding any other provision of this Section, any
13payments made or salary increases given after June 30, 2014
14shall be used in assessing payment for any amount due under
15subsection (g) of this Section.
16    (j) The System shall prepare a report and file copies of
17the report with the Governor and the General Assembly by
18January 1, 2007 that contains all of the following
19information:
20        (1) The number of recalculations required by the
21    changes made to this Section by Public Act 94-1057 for
22    each employer.
23        (2) The dollar amount by which each employer's
24    contribution to the System was changed due to
25    recalculations required by Public Act 94-1057.
26        (3) The total amount the System received from each

 

 

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1    employer as a result of the changes made to this Section by
2    Public Act 94-4.
3        (4) The increase in the required State contribution
4    resulting from the changes made to this Section by Public
5    Act 94-1057.
6    (j-5) For State fiscal years beginning on or after July 1,
72017, if the amount of a participant's earnings for any State
8fiscal year exceeds the amount of the salary set by law for the
9Governor that is in effect on July 1 of that fiscal year, the
10participant's employer shall pay to the System, in addition to
11all other payments required under this Section and in
12accordance with guidelines established by the System, an
13amount determined by the System to be equal to the employer
14normal cost, as established by the System and expressed as a
15total percentage of payroll, multiplied by the amount of
16earnings in excess of the amount of the salary set by law for
17the Governor. This amount shall be computed by the System on
18the basis of the actuarial assumptions and tables used in the
19most recent actuarial valuation of the System that is
20available at the time of the computation. The System may
21require the employer to provide any pertinent information or
22documentation.
23    Whenever it determines that a payment is or may be
24required under this subsection, the System shall calculate the
25amount of the payment and bill the employer for that amount.
26The bill shall specify the calculation used to determine the

 

 

SB2435- 656 -LRB102 04062 AMC 14078 b

1amount due. If the employer disputes the amount of the bill, it
2may, within 30 days after receipt of the bill, apply to the
3System in writing for a recalculation. The application must
4specify in detail the grounds of the dispute. Upon receiving a
5timely application for recalculation, the System shall review
6the application and, if appropriate, recalculate the amount
7due.
8    The employer contributions required under this subsection
9may be paid in the form of a lump sum within 90 days after
10issuance of the bill. If the employer contributions are not
11paid within 90 days after issuance of the bill, then interest
12will be charged at a rate equal to the System's annual
13actuarially assumed rate of return on investment compounded
14annually from the 91st day after issuance of the bill. All
15payments must be received within 3 years after issuance of the
16bill. If the employer fails to make complete payment,
17including applicable interest, within 3 years, then the System
18may, after giving notice to the employer, certify the
19delinquent amount to the State Comptroller, and the
20Comptroller shall thereupon deduct the certified delinquent
21amount from State funds payable to the employer and pay them
22instead to the System.
23    This subsection (j-5) does not apply to a participant's
24earnings to the extent an employer pays the employer normal
25cost of such earnings.
26    The changes made to this subsection (j-5) by Public Act

 

 

SB2435- 657 -LRB102 04062 AMC 14078 b

1100-624 are intended to apply retroactively to July 6, 2017
2(the effective date of Public Act 100-23).
3    (k) The Illinois Community College Board shall adopt rules
4for recommending lists of promotional positions submitted to
5the Board by community colleges and for reviewing the
6promotional lists on an annual basis. When recommending
7promotional lists, the Board shall consider the similarity of
8the positions submitted to those positions recognized for
9State universities by the State Universities Civil Service
10System. The Illinois Community College Board shall file a copy
11of its findings with the System. The System shall consider the
12findings of the Illinois Community College Board when making
13determinations under this Section. The System shall not
14exclude any earnings increases resulting from a promotion when
15the promotion was not submitted by a community college.
16Nothing in this subsection (k) shall require any community
17college to submit any information to the Community College
18Board.
19    (l) For purposes of determining the required State
20contribution to the System, the value of the System's assets
21shall be equal to the actuarial value of the System's assets,
22which shall be calculated as follows:
23    As of June 30, 2008, the actuarial value of the System's
24assets shall be equal to the market value of the assets as of
25that date. In determining the actuarial value of the System's
26assets for fiscal years after June 30, 2008, any actuarial

 

 

SB2435- 658 -LRB102 04062 AMC 14078 b

1gains or losses from investment return incurred in a fiscal
2year shall be recognized in equal annual amounts over the
35-year period following that fiscal year.
4    (m) For purposes of determining the required State
5contribution to the system for a particular year, the
6actuarial value of assets shall be assumed to earn a rate of
7return equal to the system's actuarially assumed rate of
8return.
9(Source: P.A. 100-23, eff. 7-6-17; 100-587, eff. 6-4-18;
10100-624, eff. 7-20-18; 101-10, eff. 6-5-19; 101-81, eff.
117-12-19; revised 8-6-19.)
 
12    (40 ILCS 5/16-158)   (from Ch. 108 1/2, par. 16-158)
13    Sec. 16-158. Contributions by State and other employing
14units.
15    (a) The State shall make contributions to the System by
16means of appropriations from the Common School Fund and other
17State funds of amounts which, together with other employer
18contributions, employee contributions, investment income, and
19other income, will be sufficient to meet the cost of
20maintaining and administering the System on a 90% funded basis
21in accordance with actuarial recommendations.
22    The Board shall determine the amount of State
23contributions required for each fiscal year on the basis of
24the actuarial tables and other assumptions adopted by the
25Board and the recommendations of the actuary, using the

 

 

SB2435- 659 -LRB102 04062 AMC 14078 b

1formula in subsection (b-3).
2    (a-1) Annually, on or before November 15 until November
315, 2011, the Board shall certify to the Governor the amount of
4the required State contribution for the coming fiscal year.
5The certification under this subsection (a-1) shall include a
6copy of the actuarial recommendations upon which it is based
7and shall specifically identify the System's projected State
8normal cost for that fiscal year.
9    On or before May 1, 2004, the Board shall recalculate and
10recertify to the Governor the amount of the required State
11contribution to the System for State fiscal year 2005, taking
12into account the amounts appropriated to and received by the
13System under subsection (d) of Section 7.2 of the General
14Obligation Bond Act.
15    On or before July 1, 2005, the Board shall recalculate and
16recertify to the Governor the amount of the required State
17contribution to the System for State fiscal year 2006, taking
18into account the changes in required State contributions made
19by Public Act 94-4.
20    On or before April 1, 2011, the Board shall recalculate
21and recertify to the Governor the amount of the required State
22contribution to the System for State fiscal year 2011,
23applying the changes made by Public Act 96-889 to the System's
24assets and liabilities as of June 30, 2009 as though Public Act
2596-889 was approved on that date.
26    (a-5) On or before November 1 of each year, beginning

 

 

SB2435- 660 -LRB102 04062 AMC 14078 b

1November 1, 2012, the Board shall submit to the State Actuary,
2the Governor, and the General Assembly a proposed
3certification of the amount of the required State contribution
4to the System for the next fiscal year, along with all of the
5actuarial assumptions, calculations, and data upon which that
6proposed certification is based. On or before January 1 of
7each year, beginning January 1, 2013, the State Actuary shall
8issue a preliminary report concerning the proposed
9certification and identifying, if necessary, recommended
10changes in actuarial assumptions that the Board must consider
11before finalizing its certification of the required State
12contributions. On or before January 15, 2013 and each January
1315 thereafter, the Board shall certify to the Governor and the
14General Assembly the amount of the required State contribution
15for the next fiscal year. The Board's certification must note
16any deviations from the State Actuary's recommended changes,
17the reason or reasons for not following the State Actuary's
18recommended changes, and the fiscal impact of not following
19the State Actuary's recommended changes on the required State
20contribution.
21    (a-10) By November 1, 2017, the Board shall recalculate
22and recertify to the State Actuary, the Governor, and the
23General Assembly the amount of the State contribution to the
24System for State fiscal year 2018, taking into account the
25changes in required State contributions made by Public Act
26100-23. The State Actuary shall review the assumptions and

 

 

SB2435- 661 -LRB102 04062 AMC 14078 b

1valuations underlying the Board's revised certification and
2issue a preliminary report concerning the proposed
3recertification and identifying, if necessary, recommended
4changes in actuarial assumptions that the Board must consider
5before finalizing its certification of the required State
6contributions. The Board's final certification must note any
7deviations from the State Actuary's recommended changes, the
8reason or reasons for not following the State Actuary's
9recommended changes, and the fiscal impact of not following
10the State Actuary's recommended changes on the required State
11contribution.
12    (a-15) On or after June 15, 2019, but no later than June
1330, 2019, the Board shall recalculate and recertify to the
14Governor and the General Assembly the amount of the State
15contribution to the System for State fiscal year 2019, taking
16into account the changes in required State contributions made
17by Public Act 100-587. The recalculation shall be made using
18assumptions adopted by the Board for the original fiscal year
192019 certification. The monthly voucher for the 12th month of
20fiscal year 2019 shall be paid by the Comptroller after the
21recertification required pursuant to this subsection is
22submitted to the Governor, Comptroller, and General Assembly.
23The recertification submitted to the General Assembly shall be
24filed with the Clerk of the House of Representatives and the
25Secretary of the Senate in electronic form only, in the manner
26that the Clerk and the Secretary shall direct.

 

 

SB2435- 662 -LRB102 04062 AMC 14078 b

1    (b) Through State fiscal year 1995, the State
2contributions shall be paid to the System in accordance with
3Section 18-7 of the School Code.
4    (b-1) Beginning in State fiscal year 1996, on the 15th day
5of each month, or as soon thereafter as may be practicable, the
6Board shall submit vouchers for payment of State contributions
7to the System, in a total monthly amount of one-twelfth of the
8required annual State contribution certified under subsection
9(a-1). From March 5, 2004 (the effective date of Public Act
1093-665) through June 30, 2004, the Board shall not submit
11vouchers for the remainder of fiscal year 2004 in excess of the
12fiscal year 2004 certified contribution amount determined
13under this Section after taking into consideration the
14transfer to the System under subsection (a) of Section 6z-61
15of the State Finance Act. These vouchers shall be paid by the
16State Comptroller and Treasurer by warrants drawn on the funds
17appropriated to the System for that fiscal year.
18    If in any month the amount remaining unexpended from all
19other appropriations to the System for the applicable fiscal
20year (including the appropriations to the System under Section
218.12 of the State Finance Act and Section 1 of the State
22Pension Funds Continuing Appropriation Act) is less than the
23amount lawfully vouchered under this subsection, the
24difference shall be paid from the Common School Fund under the
25continuing appropriation authority provided in Section 1.1 of
26the State Pension Funds Continuing Appropriation Act.

 

 

SB2435- 663 -LRB102 04062 AMC 14078 b

1    (b-2) Allocations from the Common School Fund apportioned
2to school districts not coming under this System shall not be
3diminished or affected by the provisions of this Article.
4    (b-3) For State fiscal years 2012 through 2045, the
5minimum contribution to the System to be made by the State for
6each fiscal year shall be an amount determined by the System to
7be sufficient to bring the total assets of the System up to 90%
8of the total actuarial liabilities of the System by the end of
9State fiscal year 2045. In making these determinations, the
10required State contribution shall be calculated each year as a
11level percentage of payroll over the years remaining to and
12including fiscal year 2045 and shall be determined under the
13projected unit credit actuarial cost method.
14    For each of State fiscal years 2018, 2019, and 2020, the
15State shall make an additional contribution to the System
16equal to 2% of the total payroll of each employee who is deemed
17to have elected the benefits under Section 1-161 or who has
18made the election under subsection (c) of Section 1-161.
19    A change in an actuarial or investment assumption that
20increases or decreases the required State contribution and
21first applies in State fiscal year 2018 or thereafter shall be
22implemented in equal annual amounts over a 5-year period
23beginning in the State fiscal year in which the actuarial
24change first applies to the required State contribution.
25    A change in an actuarial or investment assumption that
26increases or decreases the required State contribution and

 

 

SB2435- 664 -LRB102 04062 AMC 14078 b

1first applied to the State contribution in fiscal year 2014,
22015, 2016, or 2017 shall be implemented:
3        (i) as already applied in State fiscal years before
4    2018; and
5        (ii) in the portion of the 5-year period beginning in
6    the State fiscal year in which the actuarial change first
7    applied that occurs in State fiscal year 2018 or
8    thereafter, by calculating the change in equal annual
9    amounts over that 5-year period and then implementing it
10    at the resulting annual rate in each of the remaining
11    fiscal years in that 5-year period.
12    For State fiscal years 1996 through 2005, the State
13contribution to the System, as a percentage of the applicable
14employee payroll, shall be increased in equal annual
15increments so that by State fiscal year 2011, the State is
16contributing at the rate required under this Section; except
17that in the following specified State fiscal years, the State
18contribution to the System shall not be less than the
19following indicated percentages of the applicable employee
20payroll, even if the indicated percentage will produce a State
21contribution in excess of the amount otherwise required under
22this subsection and subsection (a), and notwithstanding any
23contrary certification made under subsection (a-1) before May
2427, 1998 (the effective date of Public Act 90-582): 10.02% in
25FY 1999; 10.77% in FY 2000; 11.47% in FY 2001; 12.16% in FY
262002; 12.86% in FY 2003; and 13.56% in FY 2004.

 

 

SB2435- 665 -LRB102 04062 AMC 14078 b

1    Notwithstanding any other provision of this Article, the
2total required State contribution for State fiscal year 2006
3is $534,627,700.
4    Notwithstanding any other provision of this Article, the
5total required State contribution for State fiscal year 2007
6is $738,014,500.
7    For each of State fiscal years 2008 through 2009, the
8State contribution to the System, as a percentage of the
9applicable employee payroll, shall be increased in equal
10annual increments from the required State contribution for
11State fiscal year 2007, so that by State fiscal year 2011, the
12State is contributing at the rate otherwise required under
13this Section.
14    Notwithstanding any other provision of this Article, the
15total required State contribution for State fiscal year 2010
16is $2,089,268,000 and shall be made from the proceeds of bonds
17sold in fiscal year 2010 pursuant to Section 7.2 of the General
18Obligation Bond Act, less (i) the pro rata share of bond sale
19expenses determined by the System's share of total bond
20proceeds, (ii) any amounts received from the Common School
21Fund in fiscal year 2010, and (iii) any reduction in bond
22proceeds due to the issuance of discounted bonds, if
23applicable.
24    Notwithstanding any other provision of this Article, the
25total required State contribution for State fiscal year 2011
26is the amount recertified by the System on or before April 1,

 

 

SB2435- 666 -LRB102 04062 AMC 14078 b

12011 pursuant to subsection (a-1) of this Section and shall be
2made from the proceeds of bonds sold in fiscal year 2011
3pursuant to Section 7.2 of the General Obligation Bond Act,
4less (i) the pro rata share of bond sale expenses determined by
5the System's share of total bond proceeds, (ii) any amounts
6received from the Common School Fund in fiscal year 2011, and
7(iii) any reduction in bond proceeds due to the issuance of
8discounted bonds, if applicable. This amount shall include, in
9addition to the amount certified by the System, an amount
10necessary to meet employer contributions required by the State
11as an employer under paragraph (e) of this Section, which may
12also be used by the System for contributions required by
13paragraph (a) of Section 16-127.
14    Beginning in State fiscal year 2046, the minimum State
15contribution for each fiscal year shall be the amount needed
16to maintain the total assets of the System at 90% of the total
17actuarial liabilities of the System.
18    Amounts received by the System pursuant to Section 25 of
19the Budget Stabilization Act or Section 8.12 of the State
20Finance Act in any fiscal year do not reduce and do not
21constitute payment of any portion of the minimum State
22contribution required under this Article in that fiscal year.
23Such amounts shall not reduce, and shall not be included in the
24calculation of, the required State contributions under this
25Article in any future year until the System has reached a
26funding ratio of at least 90%. A reference in this Article to

 

 

SB2435- 667 -LRB102 04062 AMC 14078 b

1the "required State contribution" or any substantially similar
2term does not include or apply to any amounts payable to the
3System under Section 25 of the Budget Stabilization Act.
4    Notwithstanding any other provision of this Section, the
5required State contribution for State fiscal year 2005 and for
6fiscal year 2008 and each fiscal year thereafter, as
7calculated under this Section and certified under subsection
8(a-1), shall not exceed an amount equal to (i) the amount of
9the required State contribution that would have been
10calculated under this Section for that fiscal year if the
11System had not received any payments under subsection (d) of
12Section 7.2 of the General Obligation Bond Act, minus (ii) the
13portion of the State's total debt service payments for that
14fiscal year on the bonds issued in fiscal year 2003 for the
15purposes of that Section 7.2, as determined and certified by
16the Comptroller, that is the same as the System's portion of
17the total moneys distributed under subsection (d) of Section
187.2 of the General Obligation Bond Act. In determining this
19maximum for State fiscal years 2008 through 2010, however, the
20amount referred to in item (i) shall be increased, as a
21percentage of the applicable employee payroll, in equal
22increments calculated from the sum of the required State
23contribution for State fiscal year 2007 plus the applicable
24portion of the State's total debt service payments for fiscal
25year 2007 on the bonds issued in fiscal year 2003 for the
26purposes of Section 7.2 of the General Obligation Bond Act, so

 

 

SB2435- 668 -LRB102 04062 AMC 14078 b

1that, by State fiscal year 2011, the State is contributing at
2the rate otherwise required under this Section.
3    (b-4) Beginning in fiscal year 2018, each employer under
4this Article shall pay to the System a required contribution
5determined as a percentage of projected payroll and sufficient
6to produce an annual amount equal to:
7        (i) for each of fiscal years 2018, 2019, and 2020, the
8    defined benefit normal cost of the defined benefit plan,
9    less the employee contribution, for each employee of that
10    employer who has elected or who is deemed to have elected
11    the benefits under Section 1-161 or who has made the
12    election under subsection (b) of Section 1-161; for fiscal
13    year 2021 and each fiscal year thereafter, the defined
14    benefit normal cost of the defined benefit plan, less the
15    employee contribution, plus 2%, for each employee of that
16    employer who has elected or who is deemed to have elected
17    the benefits under Section 1-161 or who has made the
18    election under subsection (b) of Section 1-161; plus
19        (ii) the amount required for that fiscal year to
20    amortize any unfunded actuarial accrued liability
21    associated with the present value of liabilities
22    attributable to the employer's account under Section
23    16-158.3, determined as a level percentage of payroll over
24    a 30-year rolling amortization period.
25    In determining contributions required under item (i) of
26this subsection, the System shall determine an aggregate rate

 

 

SB2435- 669 -LRB102 04062 AMC 14078 b

1for all employers, expressed as a percentage of projected
2payroll.
3    In determining the contributions required under item (ii)
4of this subsection, the amount shall be computed by the System
5on the basis of the actuarial assumptions and tables used in
6the most recent actuarial valuation of the System that is
7available at the time of the computation.
8    The contributions required under this subsection (b-4)
9shall be paid by an employer concurrently with that employer's
10payroll payment period. The State, as the actual employer of
11an employee, shall make the required contributions under this
12subsection.
13    (c) Payment of the required State contributions and of all
14pensions, retirement annuities, death benefits, refunds, and
15other benefits granted under or assumed by this System, and
16all expenses in connection with the administration and
17operation thereof, are obligations of the State.
18    If members are paid from special trust or federal funds
19which are administered by the employing unit, whether school
20district or other unit, the employing unit shall pay to the
21System from such funds the full accruing retirement costs
22based upon that service, which, beginning July 1, 2017, shall
23be at a rate, expressed as a percentage of salary, equal to the
24total employer's normal cost, expressed as a percentage of
25payroll, as determined by the System. Employer contributions,
26based on salary paid to members from federal funds, may be

 

 

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1forwarded by the distributing agency of the State of Illinois
2to the System prior to allocation, in an amount determined in
3accordance with guidelines established by such agency and the
4System. Any contribution for fiscal year 2015 collected as a
5result of the change made by Public Act 98-674 shall be
6considered a State contribution under subsection (b-3) of this
7Section.
8    (d) Effective July 1, 1986, any employer of a teacher as
9defined in paragraph (8) of Section 16-106 shall pay the
10employer's normal cost of benefits based upon the teacher's
11service, in addition to employee contributions, as determined
12by the System. Such employer contributions shall be forwarded
13monthly in accordance with guidelines established by the
14System.
15    However, with respect to benefits granted under Section
1616-133.4 or 16-133.5 to a teacher as defined in paragraph (8)
17of Section 16-106, the employer's contribution shall be 12%
18(rather than 20%) of the member's highest annual salary rate
19for each year of creditable service granted, and the employer
20shall also pay the required employee contribution on behalf of
21the teacher. For the purposes of Sections 16-133.4 and
2216-133.5, a teacher as defined in paragraph (8) of Section
2316-106 who is serving in that capacity while on leave of
24absence from another employer under this Article shall not be
25considered an employee of the employer from which the teacher
26is on leave.

 

 

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1    (e) Beginning July 1, 1998, every employer of a teacher
2shall pay to the System an employer contribution computed as
3follows:
4        (1) Beginning July 1, 1998 through June 30, 1999, the
5    employer contribution shall be equal to 0.3% of each
6    teacher's salary.
7        (2) Beginning July 1, 1999 and thereafter, the
8    employer contribution shall be equal to 0.58% of each
9    teacher's salary.
10The school district or other employing unit may pay these
11employer contributions out of any source of funding available
12for that purpose and shall forward the contributions to the
13System on the schedule established for the payment of member
14contributions.
15    These employer contributions are intended to offset a
16portion of the cost to the System of the increases in
17retirement benefits resulting from Public Act 90-582.
18    Each employer of teachers is entitled to a credit against
19the contributions required under this subsection (e) with
20respect to salaries paid to teachers for the period January 1,
212002 through June 30, 2003, equal to the amount paid by that
22employer under subsection (a-5) of Section 6.6 of the State
23Employees Group Insurance Act of 1971 with respect to salaries
24paid to teachers for that period.
25    The additional 1% employee contribution required under
26Section 16-152 by Public Act 90-582 is the responsibility of

 

 

SB2435- 672 -LRB102 04062 AMC 14078 b

1the teacher and not the teacher's employer, unless the
2employer agrees, through collective bargaining or otherwise,
3to make the contribution on behalf of the teacher.
4    If an employer is required by a contract in effect on May
51, 1998 between the employer and an employee organization to
6pay, on behalf of all its full-time employees covered by this
7Article, all mandatory employee contributions required under
8this Article, then the employer shall be excused from paying
9the employer contribution required under this subsection (e)
10for the balance of the term of that contract. The employer and
11the employee organization shall jointly certify to the System
12the existence of the contractual requirement, in such form as
13the System may prescribe. This exclusion shall cease upon the
14termination, extension, or renewal of the contract at any time
15after May 1, 1998.
16    (f) If June 4, 2018 (Public Act 100-587) the amount of a
17teacher's salary for any school year used to determine final
18average salary exceeds the member's annual full-time salary
19rate with the same employer for the previous school year by
20more than 6%, the teacher's employer shall pay to the System,
21in addition to all other payments required under this Section
22and in accordance with guidelines established by the System,
23the present value of the increase in benefits resulting from
24the portion of the increase in salary that is in excess of 6%.
25This present value shall be computed by the System on the basis
26of the actuarial assumptions and tables used in the most

 

 

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1recent actuarial valuation of the System that is available at
2the time of the computation. If a teacher's salary for the
32005-2006 school year is used to determine final average
4salary under this subsection (f), then the changes made to
5this subsection (f) by Public Act 94-1057 shall apply in
6calculating whether the increase in his or her salary is in
7excess of 6%. For the purposes of this Section, change in
8employment under Section 10-21.12 of the School Code on or
9after June 1, 2005 shall constitute a change in employer. The
10System may require the employer to provide any pertinent
11information or documentation. The changes made to this
12subsection (f) by Public Act 94-1111 apply without regard to
13whether the teacher was in service on or after its effective
14date.
15    Whenever it determines that a payment is or may be
16required under this subsection, the System shall calculate the
17amount of the payment and bill the employer for that amount.
18The bill shall specify the calculations used to determine the
19amount due. If the employer disputes the amount of the bill, it
20may, within 30 days after receipt of the bill, apply to the
21System in writing for a recalculation. The application must
22specify in detail the grounds of the dispute and, if the
23employer asserts that the calculation is subject to subsection
24(g) or (h) of this Section, must include an affidavit setting
25forth and attesting to all facts within the employer's
26knowledge that are pertinent to the applicability of that

 

 

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1subsection. Upon receiving a timely application for
2recalculation, the System shall review the application and, if
3appropriate, recalculate the amount due.
4    The employer contributions required under this subsection
5(f) may be paid in the form of a lump sum within 90 days after
6receipt of the bill. If the employer contributions are not
7paid within 90 days after receipt of the bill, then interest
8will be charged at a rate equal to the System's annual
9actuarially assumed rate of return on investment compounded
10annually from the 91st day after receipt of the bill. Payments
11must be concluded within 3 years after the employer's receipt
12of the bill.
13    (f-1) (Blank). June 4, 2018 (Public Act 100-587)
14    (g) This subsection (g) applies only to payments made or
15salary increases given on or after June 1, 2005 but before July
161, 2011. The changes made by Public Act 94-1057 shall not
17require the System to refund any payments received before July
1831, 2006 (the effective date of Public Act 94-1057).
19    When assessing payment for any amount due under subsection
20(f), the System shall exclude salary increases paid to
21teachers under contracts or collective bargaining agreements
22entered into, amended, or renewed before June 1, 2005.
23    When assessing payment for any amount due under subsection
24(f), the System shall exclude salary increases paid to a
25teacher at a time when the teacher is 10 or more years from
26retirement eligibility under Section 16-132 or 16-133.2.

 

 

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1    When assessing payment for any amount due under subsection
2(f), the System shall exclude salary increases resulting from
3overload work, including summer school, when the school
4district has certified to the System, and the System has
5approved the certification, that (i) the overload work is for
6the sole purpose of classroom instruction in excess of the
7standard number of classes for a full-time teacher in a school
8district during a school year and (ii) the salary increases
9are equal to or less than the rate of pay for classroom
10instruction computed on the teacher's current salary and work
11schedule.
12    When assessing payment for any amount due under subsection
13(f), the System shall exclude a salary increase resulting from
14a promotion (i) for which the employee is required to hold a
15certificate or supervisory endorsement issued by the State
16Teacher Certification Board that is a different certification
17or supervisory endorsement than is required for the teacher's
18previous position and (ii) to a position that has existed and
19been filled by a member for no less than one complete academic
20year and the salary increase from the promotion is an increase
21that results in an amount no greater than the lesser of the
22average salary paid for other similar positions in the
23district requiring the same certification or the amount
24stipulated in the collective bargaining agreement for a
25similar position requiring the same certification.
26    When assessing payment for any amount due under subsection

 

 

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1(f), the System shall exclude any payment to the teacher from
2the State of Illinois or the State Board of Education over
3which the employer does not have discretion, notwithstanding
4that the payment is included in the computation of final
5average salary.
6    (h) When assessing payment for any amount due under
7subsection (f), the System shall exclude any salary increase
8described in subsection (g) of this Section given on or after
9July 1, 2011 but before July 1, 2014 under a contract or
10collective bargaining agreement entered into, amended, or
11renewed on or after June 1, 2005 but before July 1, 2011.
12Notwithstanding any other provision of this Section, any
13payments made or salary increases given after June 30, 2014
14shall be used in assessing payment for any amount due under
15subsection (f) of this Section.
16    (i) The System shall prepare a report and file copies of
17the report with the Governor and the General Assembly by
18January 1, 2007 that contains all of the following
19information:
20        (1) The number of recalculations required by the
21    changes made to this Section by Public Act 94-1057 for
22    each employer.
23        (2) The dollar amount by which each employer's
24    contribution to the System was changed due to
25    recalculations required by Public Act 94-1057.
26        (3) The total amount the System received from each

 

 

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1    employer as a result of the changes made to this Section by
2    Public Act 94-4.
3        (4) The increase in the required State contribution
4    resulting from the changes made to this Section by Public
5    Act 94-1057.
6    (i-5) For school years beginning on or after July 1, 2017,
7if the amount of a participant's salary for any school year
8exceeds the amount of the salary set for the Governor, the
9participant's employer shall pay to the System, in addition to
10all other payments required under this Section and in
11accordance with guidelines established by the System, an
12amount determined by the System to be equal to the employer
13normal cost, as established by the System and expressed as a
14total percentage of payroll, multiplied by the amount of
15salary in excess of the amount of the salary set for the
16Governor. This amount shall be computed by the System on the
17basis of the actuarial assumptions and tables used in the most
18recent actuarial valuation of the System that is available at
19the time of the computation. The System may require the
20employer to provide any pertinent information or
21documentation.
22    Whenever it determines that a payment is or may be
23required under this subsection, the System shall calculate the
24amount of the payment and bill the employer for that amount.
25The bill shall specify the calculations used to determine the
26amount due. If the employer disputes the amount of the bill, it

 

 

SB2435- 678 -LRB102 04062 AMC 14078 b

1may, within 30 days after receipt of the bill, apply to the
2System in writing for a recalculation. The application must
3specify in detail the grounds of the dispute. Upon receiving a
4timely application for recalculation, the System shall review
5the application and, if appropriate, recalculate the amount
6due.
7    The employer contributions required under this subsection
8may be paid in the form of a lump sum within 90 days after
9receipt of the bill. If the employer contributions are not
10paid within 90 days after receipt of the bill, then interest
11will be charged at a rate equal to the System's annual
12actuarially assumed rate of return on investment compounded
13annually from the 91st day after receipt of the bill. Payments
14must be concluded within 3 years after the employer's receipt
15of the bill.
16    (j) For purposes of determining the required State
17contribution to the System, the value of the System's assets
18shall be equal to the actuarial value of the System's assets,
19which shall be calculated as follows:
20    As of June 30, 2008, the actuarial value of the System's
21assets shall be equal to the market value of the assets as of
22that date. In determining the actuarial value of the System's
23assets for fiscal years after June 30, 2008, any actuarial
24gains or losses from investment return incurred in a fiscal
25year shall be recognized in equal annual amounts over the
265-year period following that fiscal year.

 

 

SB2435- 679 -LRB102 04062 AMC 14078 b

1    (k) For purposes of determining the required State
2contribution to the system for a particular year, the
3actuarial value of assets shall be assumed to earn a rate of
4return equal to the system's actuarially assumed rate of
5return.
6(Source: P.A. 100-23, eff. 7-6-17; 100-340, eff. 8-25-17;
7100-587, eff. 6-4-18; 100-624, eff. 7-20-18; 100-863, eff.
88-14-18; 101-10, eff. 6-5-19; 101-81, eff. 7-12-19; revised
98-13-19.)
 
10    (40 ILCS 5/16-190.5)
11    Sec. 16-190.5. Accelerated pension benefit payment in lieu
12of any pension benefit.
13    (a) As used in this Section:
14    "Eligible person" means a person who:
15        (1) has terminated service;
16        (2) has accrued sufficient service credit to be
17    eligible to receive a retirement annuity under this
18    Article;
19        (3) has not received any retirement annuity under this
20    Article; and
21        (4) has not made the election under Section 16-190.6.
22    "Pension benefit" means the benefits under this Article,
23or Article 1 as it relates to those benefits, including any
24anticipated annual increases, that an eligible person is
25entitled to upon attainment of the applicable retirement age.

 

 

SB2435- 680 -LRB102 04062 AMC 14078 b

1"Pension benefit" also includes applicable survivor's or
2disability benefits.
3    (b) As soon as practical after June 4, 2018 (the effective
4date of Public Act 100-587), the System shall calculate, using
5actuarial tables and other assumptions adopted by the Board,
6the present value of pension benefits for each eligible person
7who requests that information and shall offer each eligible
8person the opportunity to irrevocably elect to receive an
9amount determined by the System to be equal to 60% of the
10present value of his or her pension benefits in lieu of
11receiving any pension benefit. The offer shall specify the
12dollar amount that the eligible person will receive if he or
13she so elects and shall expire when a subsequent offer is made
14to an eligible person. The System shall make a good faith
15effort to contact every eligible person to notify him or her of
16the election.
17    Until June 30, 2024, an eligible person may irrevocably
18elect to receive an accelerated pension benefit payment in the
19amount that the System offers under this subsection in lieu of
20receiving any pension benefit. A person who elects to receive
21an accelerated pension benefit payment under this Section may
22not elect to proceed under the Retirement Systems Reciprocal
23Act with respect to service under this Article.
24    (c) A person's creditable service under this Article shall
25be terminated upon the person's receipt of an accelerated
26pension benefit payment under this Section, and no other

 

 

SB2435- 681 -LRB102 04062 AMC 14078 b

1benefit shall be paid under this Article based on the
2terminated creditable service, including any retirement,
3survivor, or other benefit; except that to the extent that
4participation, benefits, or premiums under the State Employees
5Group Insurance Act of 1971 are based on the amount of service
6credit, the terminated service credit shall be used for that
7purpose.
8    (d) If a person who has received an accelerated pension
9benefit payment under this Section returns to active service
10under this Article, then:
11        (1) Any benefits under the System earned as a result
12    of that return to active service shall be based solely on
13    the person's creditable service arising from the return to
14    active service.
15        (2) The accelerated pension benefit payment may not be
16    repaid to the System, and the terminated creditable
17    service may not under any circumstances be reinstated.
18    (e) As a condition of receiving an accelerated pension
19benefit payment, the accelerated pension benefit payment must
20be transferred into a tax qualified retirement plan or
21account. The accelerated pension benefit payment under this
22Section may be subject to withholding or payment of applicable
23taxes, but to the extent permitted by federal law, a person who
24receives an accelerated pension benefit payment under this
25Section must direct the System to pay all of that payment as a
26rollover into another retirement plan or account qualified

 

 

SB2435- 682 -LRB102 04062 AMC 14078 b

1under the Internal Revenue Code of 1986, as amended.
2    (f) Upon receipt of a member's irrevocable election to
3receive an accelerated pension benefit payment under this
4Section, the System shall submit a voucher to the Comptroller
5for payment of the member's accelerated pension benefit
6payment. The Comptroller shall transfer the amount of the
7voucher from the State Pension Obligation Acceleration Bond
8Fund to the System, and the System shall transfer the amount
9into the member's eligible retirement plan or qualified
10account.
11    (g) The Board shall adopt any rules, including emergency
12rules, necessary to implement this Section.
13    (h) No provision of Public Act 100-587 this amendatory Act
14of the 100th General Assembly shall be interpreted in a way
15that would cause the applicable System to cease to be a
16qualified plan under the Internal Revenue Code of 1986.
17(Source: P.A. 100-587, eff. 6-4-18; 101-10, eff. 6-5-19;
18revised 9-20-19.)
 
19    (40 ILCS 5/16-203)
20    Sec. 16-203. Application and expiration of new benefit
21increases.
22    (a) As used in this Section, "new benefit increase" means
23an increase in the amount of any benefit provided under this
24Article, or an expansion of the conditions of eligibility for
25any benefit under this Article, that results from an amendment

 

 

SB2435- 683 -LRB102 04062 AMC 14078 b

1to this Code that takes effect after June 1, 2005 (the
2effective date of Public Act 94-4). "New benefit increase",
3however, does not include any benefit increase resulting from
4the changes made to Article 1 or this Article by Public Act
595-910, Public Act 100-23, Public Act 100-587, Public Act
6100-743, or Public Act 100-769, Public Act 101-10, or Public
7Act 101-49 or this amendatory Act of the 101st General
8Assembly.
9    (b) Notwithstanding any other provision of this Code or
10any subsequent amendment to this Code, every new benefit
11increase is subject to this Section and shall be deemed to be
12granted only in conformance with and contingent upon
13compliance with the provisions of this Section.
14    (c) The Public Act enacting a new benefit increase must
15identify and provide for payment to the System of additional
16funding at least sufficient to fund the resulting annual
17increase in cost to the System as it accrues.
18    Every new benefit increase is contingent upon the General
19Assembly providing the additional funding required under this
20subsection. The Commission on Government Forecasting and
21Accountability shall analyze whether adequate additional
22funding has been provided for the new benefit increase and
23shall report its analysis to the Public Pension Division of
24the Department of Insurance. A new benefit increase created by
25a Public Act that does not include the additional funding
26required under this subsection is null and void. If the Public

 

 

SB2435- 684 -LRB102 04062 AMC 14078 b

1Pension Division determines that the additional funding
2provided for a new benefit increase under this subsection is
3or has become inadequate, it may so certify to the Governor and
4the State Comptroller and, in the absence of corrective action
5by the General Assembly, the new benefit increase shall expire
6at the end of the fiscal year in which the certification is
7made.
8    (d) Every new benefit increase shall expire 5 years after
9its effective date or on such earlier date as may be specified
10in the language enacting the new benefit increase or provided
11under subsection (c). This does not prevent the General
12Assembly from extending or re-creating a new benefit increase
13by law.
14    (e) Except as otherwise provided in the language creating
15the new benefit increase, a new benefit increase that expires
16under this Section continues to apply to persons who applied
17and qualified for the affected benefit while the new benefit
18increase was in effect and to the affected beneficiaries and
19alternate payees of such persons, but does not apply to any
20other person, including, without limitation, a person who
21continues in service after the expiration date and did not
22apply and qualify for the affected benefit while the new
23benefit increase was in effect.
24(Source: P.A. 100-23, eff. 7-6-17; 100-587, eff. 6-4-18;
25100-743, eff. 8-10-18; 100-769, eff. 8-10-18; 101-10, eff.
266-5-19; 101-49, eff. 7-12-19; 101-81, eff. 7-12-19; revised

 

 

SB2435- 685 -LRB102 04062 AMC 14078 b

18-13-19.)
 
2    (40 ILCS 5/22C-115)
3    Sec. 22C-115. Board of Trustees of the Fund.
4    (a) No later than February 1, 2020 (one month after the
5effective date of Public Act 101-610) this amendatory Act of
6the 101st General Assembly or as soon thereafter as may be
7practicable, the Governor shall appoint, by and with the
8advice and consent of the Senate, a transition board of
9trustees consisting of 9 members as follows:
10        (1) three members representing municipalities and fire
11    protection districts who are mayors, presidents, chief
12    executive officers, chief financial officers, or other
13    officers, executives, or department heads of
14    municipalities or fire protection districts and appointed
15    from among candidates recommended by the Illinois
16    Municipal League;
17        (2) three members representing participants who are
18    participants and appointed from among candidates
19    recommended by the statewide labor organization
20    representing firefighters employed by at least 85
21    municipalities that is affiliated with the Illinois State
22    Federation of Labor;
23        (3) one member representing beneficiaries who is a
24    beneficiary and appointed from among the candidate or
25    candidates recommended by the statewide labor organization

 

 

SB2435- 686 -LRB102 04062 AMC 14078 b

1    representing firefighters employed by at least 85
2    municipalities that is affiliated with the Illinois State
3    Federation of Labor; and
4        (4) one member recommended by the Illinois Municipal
5    League; and
6        (5) one member who is a participant recommended by the
7    statewide labor organization representing firefighters
8    employed by at least 85 municipalities and that is
9    affiliated with the Illinois State Federation of Labor.
10    The transition board members shall serve until the initial
11permanent board members are elected and qualified.
12    The transition board of trustees shall select the
13chairperson of the transition board of trustees from among the
14trustees for the duration of the transition board's tenure.
15    (b) The permanent board of trustees shall consist of 9
16members comprised as follows:
17        (1) Three members who are mayors, presidents, chief
18    executive officers, chief financial officers, or other
19    officers, executives, or department heads of
20    municipalities or fire protection districts that have
21    participating pension funds and are elected by the mayors
22    and presidents of municipalities or fire protection
23    districts that have participating pension funds.
24        (2) Three members who are participants of
25    participating pension funds and elected by the
26    participants of participating pension funds.

 

 

SB2435- 687 -LRB102 04062 AMC 14078 b

1        (3) One member who is a beneficiary of a participating
2    pension fund and is elected by the beneficiaries of
3    participating pension funds.
4        (4) One member recommended by the Illinois Municipal
5    League who shall be appointed by the Governor with the
6    advice and consent of the Senate.
7        (5) One member recommended by the statewide labor
8    organization representing firefighters employed by at
9    least 85 municipalities and that is affiliated with the
10    Illinois State Federation of Labor who shall be appointed
11    by the Governor with the advice and consent of the Senate.
12    The permanent board of trustees shall select the
13chairperson of the permanent board of trustees from among the
14trustees for a term of 2 years. The holder of the office of
15chairperson shall alternate between a person elected or
16appointed under item (1) or (4) of this subsection (b) and a
17person elected or appointed under item (2), (3), or (5) of this
18subsection (b).
19    (c) Each trustee shall qualify by taking an oath of office
20before the Secretary of State stating that he or she will
21diligently and honestly administer the affairs of the board
22and will not violate or knowingly permit the violation of any
23provision of this Article.
24    (d) Trustees shall receive no salary for service on the
25board but shall be reimbursed for travel expenses incurred
26while on business for the board according to the standards in

 

 

SB2435- 688 -LRB102 04062 AMC 14078 b

1effect for members of the Commission on Government Forecasting
2and Accountability.
3    A municipality or fire protection district employing a
4firefighter who is an elected or appointed trustee of the
5board must allow reasonable time off with compensation for the
6firefighter to conduct official business related to his or her
7position on the board, including time for travel. The board
8shall notify the municipality or fire protection district in
9advance of the dates, times, and locations of this official
10business. The Fund shall timely reimburse the municipality or
11fire protection district for the reasonable costs incurred
12that are due to the firefighter's absence.
13    (e) No trustee shall have any interest in any brokerage
14fee, commission, or other profit or gain arising out of any
15investment directed by the board. This subsection does not
16preclude ownership by any member of any minority interest in
17any common stock or any corporate obligation in which an
18investment is directed by the board.
19    (f) Notwithstanding any provision or interpretation of law
20to the contrary, any member of the transition board may also be
21elected or appointed as a member of the permanent board.
22    Notwithstanding any provision or interpretation of law to
23the contrary, any trustee of a fund established under Article
244 of this Code may also be appointed as a member of the
25transition board or elected or appointed as a member of the
26permanent board.

 

 

SB2435- 689 -LRB102 04062 AMC 14078 b

1    The restriction in Section 3.1 of the Lobbyist
2Registration Act shall not apply to a member of the transition
3board appointed pursuant to items (4) or (5) of subsection (a)
4or to a member of the permanent board appointed pursuant to
5items (4) or (5) of subsection (b).
6(Source: P.A. 101-610, eff. 1-1-20; revised 8-20-20.)
 
7    Section 260. The Local Government Antitrust Exemption Act
8is amended by changing Section 1 as follows:
 
9    (50 ILCS 35/1)  (from Ch. 85, par. 2901)
10    Sec. 1. (a) The General Assembly declares that it is in the
11interest of the people of Illinois that decisions regarding
12provision of local services and regulation of local activities
13should be made at the local level where possible, to the extent
14authorized by the General Assembly or the Illinois
15Constitution. It is and has long been the policy of the State
16that such decisions be made by local government units as
17authorized by State statute and the Illinois Constitution. The
18General Assembly intends that actions permitted, either
19expressly or by necessary implication, by State statute or the
20Illinois Constitution be considered affirmatively authorized
21for subsidiary units of government.
22    Inasmuch as the grant of home rule home-rule authority in
23the Illinois Constitution, Article VII, Section 6 was
24intentionally made broad so as to avoid unduly restricting its

 

 

SB2435- 690 -LRB102 04062 AMC 14078 b

1exercise, the scope of the home rule home-rule powers cannot
2be precisely described. The General Assembly intends that all
3actions which are either (1) granted to home rule home-rule
4units, whether expressly or by necessary implication or (2)
5within traditional areas of local government activity, except
6as limited by the Illinois Constitution or a proper limiting
7statute, be considered affirmatively authorized for home rule
8home-rule units of government.
9    The General Assembly intends that the "State action
10exemption" to application of the federal antitrust laws be
11fully available to local governments to the extent their
12activities are either (1) expressly or by necessary
13implication authorized by Illinois law or (2) within
14traditional areas of local governmental activity.
15    The "State action exemption" for which provision is made
16by this Section shall be liberally construed in favor of local
17governments, the agents, employees and officers thereof and
18such exemption shall be available notwithstanding that the
19action of the municipality or its agents, officers or
20employees constitutes an irregular exercise of constitutional
21or statutory powers. However, this exemption shall not apply
22where the action alleged to be in violation of antitrust law
23exceeds either (1) powers granted, either expressly or by
24necessary implication, by Illinois statute or the Illinois
25Constitution or (2) powers granted to a home rule municipality
26to perform any function pertaining to its government and

 

 

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1affairs or to act within traditional areas of municipal
2activity, except as limited by the Illinois Constitution or a
3proper limiting statute.
4    (b) It is the policy of this State that all powers granted,
5either expressly or by necessary implication by any Illinois
6statute or by the Illinois Constitution to any Library
7District, its officers, employees and agents may be exercised
8by any such Library District, its officers, agents and
9employees notwithstanding effects on competition. It is the
10intention of the General Assembly that the "State action
11exemption" to the application of federal antitrust statutes be
12fully available to any such Library District, its officers,
13agents and employees to the extent they are exercising
14authority pursuant to law.
15    (c) It is the policy of this State that all powers granted,
16either expressly or by necessary implication by any Illinois
17statute or by the Illinois Constitution to any Sanitary
18District, its officers, employees and agents may be exercised
19by any Sanitary District, its officers, agents and employees
20notwithstanding effects on competition. It is the intention of
21the General Assembly that the "State action exemption" to the
22application of federal antitrust statutes be fully available
23to any such Sanitary District, its officers, agents and
24employees to the extent they are exercising authority pursuant
25to law.
26    (d) It is the policy of this State that all powers granted,

 

 

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1either expressly or by necessary implication by any Illinois
2statute or by the Illinois Constitution to any Park District
3and its officers, employees and agents may be exercised by any
4such Park District, its officers, agents and employees
5notwithstanding effects on competition. It is the intention of
6the General Assembly that the "State action exemption" to the
7application of federal antitrust statutes be fully available
8to any such Park District, its officers, agents and employees
9to the extent they are exercising authority pursuant to law.
10    (e) Notwithstanding the foregoing, where it is alleged
11that a violation of the antitrust laws has occurred, the
12relief available to the plaintiffs shall be limited to an
13injunction which enjoins the alleged activity.
14    (f) Nothing in this Section is intended to prohibit or
15limit any cause of action other than under an antitrust
16theory.
17(Source: P.A. 84-1050; revised 9-20-19.)
 
18    Section 265. The Property Assessed Clean Energy Act is
19amended by changing Sections 15 and 20 as follows:
 
20    (50 ILCS 50/15)
21    Sec. 15. Program established.
22    (a) To establish a property assessed clean energy program,
23the governing body shall adopt a resolution or ordinance that
24includes all of the following:

 

 

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1        (1) a finding that the financing or refinancing of
2    energy projects is a valid public purpose;
3        (2) a statement of intent to facilitate access to
4    capital (which may be from one or more program
5    administrators or as otherwise permitted by this Act) to
6    provide funds for energy projects, which will be repaid by
7    assessments on the property benefited with the agreement
8    of the record owners;
9        (3) a description of the proposed arrangements for
10    financing the program through the issuance of PACE bonds
11    under or in accordance with Section 35, which PACE bonds
12    may be purchased by one or more capital providers;
13        (4) the types of energy projects that may be financed
14    or refinanced;
15        (5) a description of the territory within the PACE
16    area;
17        (6) a transcript of public comments if any
18    discretionary public hearing on the proposed program was
19    previously held by the governmental unit prior to the
20    consideration of the resolution or ordinance establishing
21    the program; and;
22        (7) (blank);
23        (7) (8) the report on the proposed program as
24    described in Section 20; for this purpose, the resolution
25    or ordinance may incorporate the report or an amended
26    version thereof by reference and shall be available for

 

 

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1    public inspection.
2        (9) (blank).
3    (b) A property assessed clean energy program may be
4amended in accordance with the resolution or ordinance
5establishing the program.
6(Source: P.A. 100-77, eff. 8-11-17; 100-863, eff. 8-14-18;
7100-980, eff. 1-1-19; 101-169, eff. 7-29-19; revised 9-20-19.)
 
8    (50 ILCS 50/20)
9    Sec. 20. Program report. The report on the proposed
10program required under Section 15 shall include all of the
11following:
12        (1) a form of assessment contract between the
13    governmental unit and record owner governing the terms and
14    conditions of financing and assessment under the program;
15        (2) identification of one or more officials authorized
16    to enter into an assessment contract on behalf of the
17    governmental unit;
18        (3) (blank);
19        (4) an application process and eligibility
20    requirements for financing or refinancing energy projects
21    under the program;
22        (5) a method for determining interest rates on amounts
23    financed or refinanced under assessment contracts,
24    repayment periods, and the maximum amount of an
25    assessment, if any;

 

 

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1        (6) an explanation of the process for billing and
2    collecting assessments;
3        (7) a plan to finance the program pursuant to the
4    issuance of PACE bonds under or in accordance with Section
5    35;
6        (8) information regarding all of the following, to the
7    extent known, or procedures to determine the following in
8    the future:
9            (A) any revenue source or reserve fund or funds to
10        be used as security for PACE bonds described in
11        paragraph (7); and
12            (B) any application, administration, or other
13        program fees to be charged to record owners
14        participating in the program that will be used to
15        finance and reimburse all or a portion of costs
16        incurred by the governmental unit as a result of its
17        program;
18        (9) a requirement that the term of an assessment not
19    exceed the useful life of the energy project financed or
20    refinanced under an assessment contract; provided that an
21    assessment contract financing or refinancing multiple
22    energy projects with varying lengths of useful life may
23    have a term that is calculated in accordance with the
24    principles established by the program report;
25        (10) a requirement for an appropriate ratio of the
26    amount of the assessment to the greater of any of the

 

 

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1    following:
2            (A) the value of the property as determined by the
3        office of the county assessor; or
4            (B) the value of the property as determined by an
5        appraisal conducted by a licensed appraiser;
6        (11) a requirement that the record owner of property
7    subject to a mortgage obtain written consent from the
8    mortgage holder before participating in the program;
9        (12) provisions for marketing and participant
10    education; and
11        (13) (blank); and
12        (14) quality assurance and antifraud measures.
13(Source: P.A. 100-77, eff. 8-11-17; 100-980, eff. 1-1-19;
14101-169, eff. 7-29-19; revised 9-20-19.)
 
15    Section 270. The Governmental Account Audit Act is amended
16by changing Section 4 as follows:
 
17    (50 ILCS 310/4)  (from Ch. 85, par. 704)
18    Sec. 4. Overdue report.
19    (a) If the required report for a governmental unit is not
20filed with the Comptroller in accordance with Section 2 or
21Section 3, whichever is applicable, within 180 days after the
22close of the fiscal year of the governmental unit, the
23Comptroller shall notify the governing body of that unit in
24writing that the report is due and may also grant a 60-day 60

 

 

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1day extension for the filing of the audit report. If the
2required report is not filed within the time specified in such
3written notice, the Comptroller shall cause an audit to be
4made by an a auditor, and the governmental unit shall pay to
5the Comptroller actual compensation and expenses to reimburse
6him or her for the cost of preparing or completing such report.
7    (b) The Comptroller may decline to order an audit and the
8preparation of an audit report (i) if an initial examination
9of the books and records of the governmental unit indicates
10that the books and records of the governmental unit are
11inadequate or unavailable due to the passage of time or the
12occurrence of a natural disaster or (ii) if the Comptroller
13determines that the cost of an audit would impose an
14unreasonable financial burden on the governmental unit.
15    (c) The State Comptroller may grant extensions for
16delinquent audits or reports. The Comptroller may charge a
17governmental unit a fee for a delinquent audit or report of $5
18per day for the first 15 days past due, $10 per day for 16
19through 30 days past due, $15 per day for 31 through 45 days
20past due, and $20 per day for the 46th day and every day
21thereafter. These amounts may be reduced at the Comptroller's
22discretion. All fees collected under this subsection (c) shall
23be deposited into the Comptroller's Administrative Fund.
24(Source: P.A. 101-419, eff. 1-1-20; revised 11-26-19.)
 
25    Section 275. The Local Governmental Acceptance of Credit

 

 

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1Cards Act is amended by changing Section 15 as follows:
 
2    (50 ILCS 345/15)
3    Sec. 15. Local government credit card acceptance program.
4    (a) Any unit of local government and any community college
5district that has the authority to accept the payment of funds
6for any purpose is authorized, but not required, to accept
7payment by credit card.
8    (b) This Act shall be broadly construed to authorize, but
9not require, acceptance of credit card payments by all units
10of local government and community college districts.
11    (c) This Act authorizes the acceptance of credit card
12payments for all types of authorized obligations.
13    (d) This Act does not limit the authority of clerks of
14court to accept payment by credit card pursuant to the Clerks
15of Courts Court Act or the Unified Code of Corrections.
16    (e) A local governmental entity may not receive and
17retain, directly or indirectly, any convenience fee,
18surcharge, or other fee in excess of the amount paid in
19connection with the credit card transaction. In addition, a
20financial institution or service provider may not pay, refund,
21rebate, or return, directly or indirectly, to a local
22governmental entity for final retention any portion of a
23surcharge, convenience fee, or other fee paid in connection
24with a credit card transaction.
25(Source: P.A. 90-518, eff. 8-22-97; revised 8-20-20.)
 

 

 

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1    Section 280. The Local Government Revenue Recapture Act is
2amended by changing Section 10-15 as follows:
 
3    (50 ILCS 355/10-15)
4    Sec. 10-15. Definitions. As used in this Article:
5    "Audit" means an agreed-upon procedures engagement in
6accordance with Statements on Standards for the Attestation
7Engagements (AICPA Professional Standards, AT-C Section 315
8(Compliance Attestation Attest)).
9    "Certification program" means an instructional curriculum,
10examination, and process for certification, recertification,
11and revocation of certification of certified public
12accountants that is administered by the Department with the
13assistance of the Illinois CPA Society and that is officially
14approved by the Department to ensure that a certified public
15accountant possesses the necessary skills and abilities to
16successfully perform an attestation engagement for a
17limited-scope tax compliance review in a certified audit
18project under this Act.
19    "Department" means the Department of Revenue.
20    "Family member" means the following, whether by whole
21blood, half-blood, or adoption:
22        (1) a parent or step-parent;
23        (2) a child or step-child;
24        (3) a grandparent or step-grandparent;

 

 

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1        (4) an aunt, uncle, great-aunt, or great-uncle;
2        (5) a sibling;
3        (6) a spouse or domestic partner; and
4        (7) the spouse or domestic partner of any person
5    referenced in items (1) through (5).
6    "Misallocation" means tax paid by the taxpayer and
7allocated to one unit of local government that should have
8been allocated to a different unit of local government.
9"Misallocation" does not include amounts overpaid by the
10taxpayer and therefore not owed to any unit of local
11government, nor amounts underpaid by the taxpayer and
12therefore not previously allocated to any unit of local
13government.
14    "Participating taxpayer" means any person subject to the
15revenue laws administered by the Department who is the subject
16of a tax compliance referral by a municipality, county, or
17third party, who enters into an engagement with a qualified
18practitioner for a limited-scope tax compliance review under
19this Act, and who is approved by the Department under the local
20government revenue recapture certified audit pilot project.
21    "Qualified practitioner" means a certified public
22accountant who is licensed or registered to perform
23accountancy activities in Illinois under Section 8.05 of the
24Illinois Public Accounting Act and who has met all
25requirements for the local government revenue recapture
26certified audit training course, achieved the required score

 

 

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1on the certification test as approved by the Department, and
2been certified by the Department. "Qualified practitioner"
3does not include a third party, as defined by Section 5-5 of
4this Act, or any employee, contractual employee, officer,
5manager, or director thereof, any person or persons owning in
6the aggregate more than 5% of such third party, or a person who
7is a family member of any person who is employed by or is an
8appointed or elected member of any corporate authorities, as
9defined in the Illinois Municipal Code.
10(Source: P.A. 101-628, eff. 6-1-20; revised 8-20-20.)
 
11    Section 285. The Illinois Police Training Act is amended
12by changing Sections 7, 10.2, 10.7, and 10.11 and by setting
13forth, renumbering, and changing multiple versions of Section
1410.23 as follows:
 
15    (50 ILCS 705/7)  (from Ch. 85, par. 507)
16    Sec. 7. Rules and standards for schools. The Board shall
17adopt rules and minimum standards for such schools which shall
18include, but not be limited to, the following:
19        a. The curriculum for probationary police officers
20    which shall be offered by all certified schools shall
21    include, but not be limited to, courses of procedural
22    justice, arrest and use and control tactics, search and
23    seizure, including temporary questioning, civil rights,
24    human rights, human relations, cultural competency,

 

 

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1    including implicit bias and racial and ethnic sensitivity,
2    criminal law, law of criminal procedure, constitutional
3    and proper use of law enforcement authority, vehicle and
4    traffic law including uniform and non-discriminatory
5    enforcement of the Illinois Vehicle Code, traffic control
6    and accident investigation, techniques of obtaining
7    physical evidence, court testimonies, statements, reports,
8    firearms training, training in the use of electronic
9    control devices, including the psychological and
10    physiological effects of the use of those devices on
11    humans, first-aid (including cardiopulmonary
12    resuscitation), training in the administration of opioid
13    antagonists as defined in paragraph (1) of subsection (e)
14    of Section 5-23 of the Substance Use Disorder Act,
15    handling of juvenile offenders, recognition of mental
16    conditions and crises, including, but not limited to, the
17    disease of addiction, which require immediate assistance
18    and response and methods to safeguard and provide
19    assistance to a person in need of mental treatment,
20    recognition of abuse, neglect, financial exploitation, and
21    self-neglect of adults with disabilities and older adults,
22    as defined in Section 2 of the Adult Protective Services
23    Act, crimes against the elderly, law of evidence, the
24    hazards of high-speed police vehicle chases with an
25    emphasis on alternatives to the high-speed chase, and
26    physical training. The curriculum shall include specific

 

 

SB2435- 703 -LRB102 04062 AMC 14078 b

1    training in techniques for immediate response to and
2    investigation of cases of domestic violence and of sexual
3    assault of adults and children, including cultural
4    perceptions and common myths of sexual assault and sexual
5    abuse as well as interview techniques that are age
6    sensitive and are trauma informed, victim centered, and
7    victim sensitive. The curriculum shall include training in
8    techniques designed to promote effective communication at
9    the initial contact with crime victims and ways to
10    comprehensively explain to victims and witnesses their
11    rights under the Rights of Crime Victims and Witnesses Act
12    and the Crime Victims Compensation Act. The curriculum
13    shall also include training in effective recognition of
14    and responses to stress, trauma, and post-traumatic stress
15    experienced by police officers that is consistent with
16    Section 25 of the Illinois Mental Health First Aid
17    Training Act in a peer setting, including recognizing
18    signs and symptoms of work-related cumulative stress,
19    issues that may lead to suicide, and solutions for
20    intervention with peer support resources. The curriculum
21    shall include a block of instruction addressing the
22    mandatory reporting requirements under the Abused and
23    Neglected Child Reporting Act. The curriculum shall also
24    include a block of instruction aimed at identifying and
25    interacting with persons with autism and other
26    developmental or physical disabilities, reducing barriers

 

 

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1    to reporting crimes against persons with autism, and
2    addressing the unique challenges presented by cases
3    involving victims or witnesses with autism and other
4    developmental disabilities. The curriculum shall include
5    training in the detection and investigation of all forms
6    of human trafficking. The curriculum shall also include
7    instruction in trauma-informed responses designed to
8    ensure the physical safety and well-being of a child of an
9    arrested parent or immediate family member; this
10    instruction must include, but is not limited to: (1)
11    understanding the trauma experienced by the child while
12    maintaining the integrity of the arrest and safety of
13    officers, suspects, and other involved individuals; (2)
14    de-escalation tactics that would include the use of force
15    when reasonably necessary; and (3) inquiring whether a
16    child will require supervision and care. The curriculum
17    for permanent police officers shall include, but not be
18    limited to: (1) refresher and in-service training in any
19    of the courses listed above in this subparagraph, (2)
20    advanced courses in any of the subjects listed above in
21    this subparagraph, (3) training for supervisory personnel,
22    and (4) specialized training in subjects and fields to be
23    selected by the board. The training in the use of
24    electronic control devices shall be conducted for
25    probationary police officers, including University police
26    officers.

 

 

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1        b. Minimum courses of study, attendance requirements
2    and equipment requirements.
3        c. Minimum requirements for instructors.
4        d. Minimum basic training requirements, which a
5    probationary police officer must satisfactorily complete
6    before being eligible for permanent employment as a local
7    law enforcement officer for a participating local
8    governmental agency. Those requirements shall include
9    training in first aid (including cardiopulmonary
10    resuscitation).
11        e. Minimum basic training requirements, which a
12    probationary county corrections officer must
13    satisfactorily complete before being eligible for
14    permanent employment as a county corrections officer for a
15    participating local governmental agency.
16        f. Minimum basic training requirements which a
17    probationary court security officer must satisfactorily
18    complete before being eligible for permanent employment as
19    a court security officer for a participating local
20    governmental agency. The Board shall establish those
21    training requirements which it considers appropriate for
22    court security officers and shall certify schools to
23    conduct that training.
24        A person hired to serve as a court security officer
25    must obtain from the Board a certificate (i) attesting to
26    his or her successful completion of the training course;

 

 

SB2435- 706 -LRB102 04062 AMC 14078 b

1    (ii) attesting to his or her satisfactory completion of a
2    training program of similar content and number of hours
3    that has been found acceptable by the Board under the
4    provisions of this Act; or (iii) attesting to the Board's
5    determination that the training course is unnecessary
6    because of the person's extensive prior law enforcement
7    experience.
8        Individuals who currently serve as court security
9    officers shall be deemed qualified to continue to serve in
10    that capacity so long as they are certified as provided by
11    this Act within 24 months of June 1, 1997 (the effective
12    date of Public Act 89-685). Failure to be so certified,
13    absent a waiver from the Board, shall cause the officer to
14    forfeit his or her position.
15        All individuals hired as court security officers on or
16    after June 1, 1997 (the effective date of Public Act
17    89-685) shall be certified within 12 months of the date of
18    their hire, unless a waiver has been obtained by the
19    Board, or they shall forfeit their positions.
20        The Sheriff's Merit Commission, if one exists, or the
21    Sheriff's Office if there is no Sheriff's Merit
22    Commission, shall maintain a list of all individuals who
23    have filed applications to become court security officers
24    and who meet the eligibility requirements established
25    under this Act. Either the Sheriff's Merit Commission, or
26    the Sheriff's Office if no Sheriff's Merit Commission

 

 

SB2435- 707 -LRB102 04062 AMC 14078 b

1    exists, shall establish a schedule of reasonable intervals
2    for verification of the applicants' qualifications under
3    this Act and as established by the Board.
4        g. Minimum in-service training requirements, which a
5    police officer must satisfactorily complete every 3 years.
6    Those requirements shall include constitutional and proper
7    use of law enforcement authority, procedural justice,
8    civil rights, human rights, mental health awareness and
9    response, officer wellness, reporting child abuse and
10    neglect, and cultural competency.
11        h. Minimum in-service training requirements, which a
12    police officer must satisfactorily complete at least
13    annually. Those requirements shall include law updates and
14    use of force training which shall include scenario based
15    training, or similar training approved by the Board.
16(Source: P.A. 100-121, eff. 1-1-18; 100-247, eff. 1-1-18;
17100-759, eff. 1-1-19; 100-863, eff. 8-14-18; 100-910, eff.
181-1-19; 101-18, eff. 1-1-20; 101-81, eff. 7-12-19; 101-215,
19eff. 1-1-20; 101-224, eff. 8-9-19; 101-375, eff. 8-16-19;
20101-564, eff. 1-1-20; revised 9-10-19.)
 
21    (50 ILCS 705/10.2)
22    Sec. 10.2. Criminal background investigations.
23    (a) On and after March 14, 2002 (the effective date of
24Public Act 92-533) this amendatory Act of the 92nd General
25Assembly, an applicant for employment as a peace officer, or

 

 

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1for annual certification as a retired law enforcement officer
2qualified under federal law to carry a concealed weapon, shall
3authorize an investigation to determine if the applicant has
4been convicted of, or entered a plea of guilty to, any criminal
5offense that disqualifies the person as a peace officer.
6    (b) No law enforcement agency may knowingly employ a
7person, or certify a retired law enforcement officer qualified
8under federal law to carry a concealed weapon, unless (i) a
9criminal background investigation of that person has been
10completed and (ii) that investigation reveals no convictions
11of or pleas of guilty to of offenses specified in subsection
12(a) of Section 6.1 of this Act.
13(Source: P.A. 101-187, eff. 1-1-20; revised 9-23-19.)
 
14    (50 ILCS 705/10.7)
15    Sec. 10.7. Mandatory training; police chief and deputy
16police chief. Each police chief and deputy police chief shall
17obtain at least 20 hours of training each year. The training
18must be approved by the Illinois Law Enforcement Training and
19Standards Board and must be related to law enforcement,
20management or executive development, or ethics. This
21requirement may be satisfied by attending any training portion
22of a conference held by an association that represents chiefs
23of police that has been approved by the Illinois Law
24Enforcement Training and Standards Board. Any police chief and
25any deputy police chief, upon presentation of a certificate of

 

 

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1completion from the person or entity conducting the training,
2shall be reimbursed by the municipality in accordance with the
3municipal policy regulating the terms of reimbursement, for
4his or her reasonable expenses in obtaining the training
5required under this Section. No police chief or deputy police
6chief may attend any recognized training offering without the
7prior approval of his or her municipal mayor, manager, or
8immediate supervisor.
9    This Section does not apply to the City of Chicago or the
10Sheriff's Police Department in Cook County.
11(Source: P.A. 94-354, eff. 1-1-06; revised 11-16-20.)
 
12    (50 ILCS 705/10.11)
13    Sec. 10.11. Training; death and homicide investigation.
14The Illinois Law Enforcement Training and Standards Board
15shall conduct or approve a training program in death and
16homicide investigation for the training of law enforcement
17officers of local government agencies. Only law enforcement
18officers who successfully complete the training program may be
19assigned as lead investigators in death and homicide
20investigations. Satisfactory completion of the training
21program shall be evidenced by a certificate issued to the law
22enforcement officer by the Illinois Law Enforcement Training
23and Standards Board.
24    The Illinois Law Enforcement Training and Standards Board
25shall develop a process for waiver applications sent by a

 

 

SB2435- 710 -LRB102 04062 AMC 14078 b

1local law enforcement agency administrator for those officers
2whose prior training and experience as homicide investigators
3may qualify them for a waiver. The Board may issue a waiver at
4its discretion, based solely on the prior training and
5experience of an officer as a homicide investigator. This
6Section does not affect or impede the powers of the office of
7the coroner to investigate all deaths as provided in Division
83-3 of the Counties Code and the Coroner Training Board Act.
9(Source: P.A. 99-408, eff. 1-1-16; revised 11-16-20.)
 
10    (50 ILCS 705/10.23)
11    Sec. 10.23. Training; human trafficking. The Board shall
12conduct or approve an in-service training program in the
13detection and investigation of all forms of human trafficking,
14including, but not limited to, "involuntary servitude" under
15subsection (b) of Section 10-9 of the Criminal Code of 2012,
16"involuntary sexual servitude of a minor" under subsection (c)
17of Section 10-9 of the Criminal Code of 2012, and "trafficking
18in persons" under subsection (d) of Section 10-9 of the
19Criminal Code of 2012. This program shall be made available to
20all certified law enforcement, correctional, and court
21security officers.
22(Source: P.A. 101-18, eff. 1-1-20; revised 9-25-19.)
 
23    (50 ILCS 705/10.24)
24    Sec. 10.24 10.23. Officer wellness and suicide prevention.

 

 

SB2435- 711 -LRB102 04062 AMC 14078 b

1The Board shall create, develop, or approve an in-service
2course addressing issues of officer wellness and suicide
3prevention. The course shall include instruction on
4job-related stress management techniques, skills for
5recognizing signs and symptoms of work-related cumulative
6stress, recognition of other issues that may lead to officer
7suicide, solutions for intervention, and a presentation on
8available peer support resources.
9(Source: P.A. 101-215, eff. 1-1-20; revised 9-25-19.)
 
10    Section 290. The Law Enforcement Officer-Worn Body Camera
11Act is amended by changing Section 10-1 as follows:
 
12    (50 ILCS 706/10-1)
13    Sec. 10-1. Short title. This Article Act may be cited as
14the Law Enforcement Officer-Worn Body Camera Act. References
15in this Article to "this Act" mean this Article.
16(Source: P.A. 99-352, eff. 1-1-16; revised 8-7-19.)
 
17    Section 295. The Illinois Fire Protection Training Act is
18amended by changing Sections 2 and 8 as follows:
 
19    (50 ILCS 740/2)  (from Ch. 85, par. 532)
20    Sec. 2. Definitions. As used in this Act, unless the
21context requires otherwise:
22    a. "Office" means the Office of the State Fire Marshal.

 

 

SB2435- 712 -LRB102 04062 AMC 14078 b

1    b. "Local governmental agency" means any local
2governmental unit or municipal corporation in this State. It
3does not include the State of Illinois or any office, officer,
4department, division, bureau, board, commission, or agency of
5the State except: (i) a State controlled university, college,
6or public community college, or (ii) the Office of the State
7Fire Marshal.
8    c. "School" means any school located within the State of
9Illinois whether privately or publicly owned which offers a
10course in fire protection training or related subjects and
11which has been approved by the Office.
12    d. "Trainee" means a recruit fire fighter required to
13complete initial minimum basic training requirements at an
14approved school to be eligible for permanent employment as a
15fire fighter.
16    e. "Fire protection personnel" and "fire fighter" means
17any person engaged in fire administration, fire prevention,
18fire suppression, fire education and arson investigation,
19including any permanently employed, trainee, or volunteer fire
20fighter, whether or not such person, trainee, or volunteer is
21compensated for all or any fraction of his time.
22    f. "Basic training" and "basic level" shall mean the entry
23level fire fighter program established by the Office.
24    g. "Advanced training" means the advanced level fire
25fighter programs established by the Office.
26(Source: P.A. 100-600, eff. 1-1-19; revised 8-7-19.)
 

 

 

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1    (50 ILCS 740/8)  (from Ch. 85, par. 538)
2    Sec. 8. Rules and minimum standards for schools. The
3Office shall adopt rules and minimum standards for such
4schools which shall include, but not be limited to, the
5following:
6        a. Minimum courses of study, resources, facilities,
7    apparatus, equipment, reference material, established
8    records and procedures as determined by the Office.
9        b. Minimum requirements for instructors.
10        c. Minimum basic training requirements, which a
11    trainee must satisfactorily complete before being eligible
12    for permanent employment as a firefighter in the fire
13    department of a participating local governmental agency.
14    Those requirements shall include training in first aid
15    (including cardiopulmonary resuscitation), training in the
16    administration of opioid antagonists as defined in
17    paragraph (1) of subsection (e) of Section 5-23 of the
18    Substance Use Disorder Act, and training in the history of
19    the fire service labor movement using curriculum and
20    instructors provided by a statewide organization
21    representing professional union firefighters in Illinois.
22        d. Training in effective recognition of and responses
23    to stress, trauma, and post-traumatic stress experienced
24    by firefighters that is consistent with Section 25 of the
25    Illinois Mental Health First Aid Training Act in a peer

 

 

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1    setting.
2(Source: P.A. 100-759, eff. 1-1-19; 101-375, eff. 8-16-19;
3101-620, eff. 12-20-19; revised 12-21-20.)
 
4    Section 300. The Illinois Public Safety Agency Network Act
5is amended by changing Section 20 as follows:
 
6    (50 ILCS 752/20)
7    Sec. 20. Board of directors. IPSAN shall be governed by a
8board of directors. The IPSAN Board shall consist of 6 voting
9members. Three members shall be appointed by the Illinois
10Sheriffs' Association, and 3 members shall be appointed by the
11Illinois Association of Chiefs of Police. To the extent
12practical, voting members should be active or retired chiefs
13of police or sheriffs, should represent Statewide interests of
14the Associations that appointed them, and should attend board
15meetings. The Director of Corrections, the Director of the
16Illinois Emergency Management Agency, the Director of the
17Illinois State Police, the Sheriff of Cook County, and the
18Superintendent of the Chicago Police Department, or the
19designee of each, may be invited by the board of directors to
20serve as non-voting ex officio members. The Executive Director
21appointed under Section 30 of this Act shall serve as a
22non-voting ex officio ex-officio member of the board.
23    Members shall serve terms of one year at the pleasure of
24the Association making the appointment, but shall be eligible

 

 

SB2435- 715 -LRB102 04062 AMC 14078 b

1for re-appointment. A vacancy among members appointed shall be
2filled in the same manner as the original appointment for the
3remainder of the vacated term.
4    Members of the Board shall receive no compensation but
5shall be reimbursed for reasonable expenses incurred in the
6performance of their duties. However, a board member who is a
7retired chief of police or retired sheriff may be entitled to
8reimbursement for services provided to or on behalf of IPSAN
9as may be appropriate.
10    The Board shall designate a temporary president of the
11Board from among the members, who shall serve until a
12permanent president is elected by the Board of Directors. The
13Board shall meet at the call of the president, or as otherwise
14provided in the bylaws, rules, and policies of the board.
15    IPSAN shall comply with reporting requirements under the
16General Not for Profit Corporation Act of 1986 and related
17regulations promulgated by the Secretary of State. The
18Executive Director appointed under Section 30 of this Act
19shall have the authority to sign and file all required
20reports.
21(Source: P.A. 98-745, eff. 7-16-14; revised 11-16-20.)
 
22    Section 305. The Counties Code is amended by changing
23Sections 5-1009 and 5-10004 and by setting forth and
24renumbering multiple versions of Section 5-1184 as follows:
 

 

 

SB2435- 716 -LRB102 04062 AMC 14078 b

1    (55 ILCS 5/5-1009)  (from Ch. 34, par. 5-1009)
2    Sec. 5-1009. Limitation on home rule powers. Except as
3provided in Sections 5-1006, 5-1006.5, 5-1006.8, 5-1007, and
45-1008, on and after September 1, 1990, no home rule county has
5the authority to impose, pursuant to its home rule authority,
6a retailers' retailer's occupation tax, service occupation
7tax, use tax, sales tax or other tax on the use, sale or
8purchase of tangible personal property based on the gross
9receipts from such sales or the selling or purchase price of
10said tangible personal property. Notwithstanding the
11foregoing, this Section does not preempt any home rule imposed
12tax such as the following: (1) a tax on alcoholic beverages,
13whether based on gross receipts, volume sold or any other
14measurement; (2) a tax based on the number of units of
15cigarettes or tobacco products; (3) a tax, however measured,
16based on the use of a hotel or motel room or similar facility;
17(4) a tax, however measured, on the sale or transfer of real
18property; (5) a tax, however measured, on lease receipts; (6)
19a tax on food prepared for immediate consumption and on
20alcoholic beverages sold by a business which provides for on
21premise consumption of said food or alcoholic beverages; or
22(7) other taxes not based on the selling or purchase price or
23gross receipts from the use, sale or purchase of tangible
24personal property. This Section does not preempt a home rule
25county from imposing a tax, however measured, on the use, for
26consideration, of a parking lot, garage, or other parking

 

 

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1facility.
2    On and after December 1, 2019, no home rule county has the
3authority to impose, pursuant to its home rule authority, a
4tax, however measured, on sales of aviation fuel, as defined
5in Section 3 of the Retailers' Occupation Tax Act, unless the
6tax revenue is expended for airport-related purposes. For
7purposes of this Section, "airport-related purposes" has the
8meaning ascribed in Section 6z-20.2 of the State Finance Act.
9Aviation fuel shall be excluded from tax only for so long as
10the revenue use requirements of 49 U.S.C. 47017(b) and 49
11U.S.C. 47133 are binding on the county.
12    This Section is a limitation, pursuant to subsection (g)
13of Section 6 of Article VII of the Illinois Constitution, on
14the power of home rule units to tax. The changes made to this
15Section by Public Act 101-10 this amendatory Act of the 101st
16General Assembly are a denial and limitation of home rule
17powers and functions under subsection (g) of Section 6 of
18Article VII of the Illinois Constitution.
19(Source: P.A. 101-10, eff. 6-5-19; 101-27, eff. 6-25-19;
20revised 8-19-19.)
 
21    (55 ILCS 5/5-1184)
22    Sec. 5-1184. (Repealed).
23(Source: P.A. 101-10, eff. 6-5-19. Repealed by P.A. 101-604,
24eff. 12-13-19.)
 

 

 

SB2435- 718 -LRB102 04062 AMC 14078 b

1    (55 ILCS 5/5-1185)
2    Sec. 5-1185 5-1184. Dissolution of townships in McHenry
3County. If a township in McHenry County dissolves as provided
4in Article 24 of the Township Code, McHenry County shall
5assume the powers, duties, and obligations of each dissolved
6township as provided in Article 24 of the Township Code.
7(Source: P.A. 101-230, eff. 8-9-19; revised 10-7-19.)
 
8    (55 ILCS 5/5-10004)  (from Ch. 34, par. 5-10004)
9    Sec. 5-10004. Qualifications for license. A license to
10operate or maintain a dance hall may be issued by the county
11board to any citizen, firm, or corporation of the State: , who
12        (1) who submits a written application for a license,
13    which application shall state, and the applicant shall
14    state under oath:
15            (a) the name, address, and residence of the
16        applicant, and the length of time he has lived at that
17        residence;
18            (b) the place of birth of the applicant, and, if
19        the applicant is a naturalized citizen, the time and
20        place of such naturalization;
21            (c) whether the applicant has a prior felony
22        conviction; and
23            (d) the location of the place or building where
24        the applicant intends to operate or maintain the dance
25        hall; and .

 

 

SB2435- 719 -LRB102 04062 AMC 14078 b

1        (2) and who establishes:
2            (a) that he is a person of good moral character;
3        and
4            (b) that the place or building where the dance
5        hall or road house is to be operated or maintained,
6        reasonably conforms to all laws, and health and fire
7        regulations applicable thereto, and is properly
8        ventilated and supplied with separate and sufficient
9        toilet arrangements for each sex, and is a safe and
10        proper place or building for a public dance hall or
11        road house.
12(Source: P.A. 100-286, eff. 1-1-18; revised 8-7-19.)
 
13    Section 310. The Illinois Municipal Code is amended by
14changing Sections 1-1-10, 10-1-7.1, 10-1-48, 10-2.1-6.3,
1511-74.4-8, 11-74.6-35, and 11-101-3 as follows:
 
16    (65 ILCS 5/1-1-10)  (from Ch. 24, par. 1-1-10)
17    Sec. 1-1-10. It is the policy of this State that all powers
18granted, either expressly or by necessary implication, by this
19Code, by Illinois statute, or by the Illinois Constitution to
20municipalities may be exercised by those municipalities, and
21the officers, employees, and agents of each, notwithstanding
22effects on competition.
23    It is further the policy of this State that home rule
24home-rule municipalities and , the officers, employees, and

 

 

SB2435- 720 -LRB102 04062 AMC 14078 b

1agents of each may (1) exercise any power and perform any
2function pertaining to their government and affairs or (2)
3exercise those powers within traditional areas of municipal
4activity, except as limited by the Illinois Constitution or a
5proper limiting statute, notwithstanding effects on
6competition.
7    It is the intention of the General Assembly that the
8"State action exemption" to the application of federal
9antitrust statutes be fully available to all municipalities,
10and the agents, officers, and employees of each to the extent
11they are exercising authority as aforesaid, including, but not
12limited to, the provisions of Sections 6, 7, and 10 of Article
13VII of the Illinois Constitution or the provisions of the
14following Illinois statutes, as each is now in existence or
15may hereinafter be amended:
16    (a) The Illinois Local Library Act; Article 27 of the
17Property Tax Code "An Act to provide the manner of levying or
18imposing taxes for the provision of special services to areas
19within the boundaries of home rule units and non-home rule
20municipalities and counties", approved September 21, 1973, as
21amended; the Housing Development and Construction Act "An Act
22to facilitate the development and construction of housing, to
23provide governmental assistance therefor, and to repeal an Act
24herein named", approved July 2, 1947, as amended; or the
25Housing Authorities Act, the Housing Cooperation Law, the
26Blighted Areas Redevelopment Act of 1947, the Blighted Vacant

 

 

SB2435- 721 -LRB102 04062 AMC 14078 b

1Areas Development Act of 1949, the Urban Community
2Conservation Act, the Illinois Enterprise Zone Act, or any
3other power exercised pursuant to the Intergovernmental
4Cooperation Act; or
5    (b) Divisions 1, 2, 3, 4, 5, and 6 of Article 7 of the
6Illinois Municipal Code; Divisions 9, 10, and 11 of Article 8
7of the Illinois Municipal Code; Divisions 1, 2, 3, 4, and 5 of
8Article 9 of the Illinois Municipal Code; and all of Divisions
9of Articles 10 and 11 of the Illinois Municipal Code; or
10    (c) Any other Illinois statute or constitutional provision
11now existing or which may be enacted in the future, by which
12any municipality may exercise authority.
13    The "State action exemption" for which provision is made
14by this Section shall be liberally construed in favor of such
15municipalities and the agents, employees, and officers
16thereof, and such exemption shall be available notwithstanding
17that the action of the municipality or its agents, officers,
18or employees constitutes an irregular exercise of
19constitutional or statutory powers. However, this exemption
20shall not apply where the action alleged to be in violation of
21antitrust law exceeds either (1) powers granted, either
22expressly or by necessary implication, by Illinois statute or
23the Illinois Constitution or (2) powers granted to a home rule
24municipality to perform any function pertaining to its
25government and affairs or to act within traditional areas of
26municipal activity, except as limited by the Illinois

 

 

SB2435- 722 -LRB102 04062 AMC 14078 b

1Constitution or a proper limiting statute.
2    Notwithstanding the foregoing, where it is alleged that a
3violation of the antitrust laws has occurred, the relief
4available to the plaintiffs shall be limited to an injunction
5which enjoins the alleged activity.
6    Nothing in this Section is intended to prohibit or limit
7any cause of action other than under an antitrust theory.
8(Source: P.A. 84-1050; revised 8-7-19.)
 
9    (65 ILCS 5/10-1-7.1)
10    Sec. 10-1-7.1. Original appointments; full-time fire
11department.
12    (a) Applicability. Unless a commission elects to follow
13the provisions of Section 10-1-7.2, this Section shall apply
14to all original appointments to an affected full-time fire
15department. Existing registers of eligibles shall continue to
16be valid until their expiration dates, or up to a maximum of 2
17years after August 4, 2011 (the effective date of Public Act
1897-251) this amendatory Act of the 97th General Assembly.
19    Notwithstanding any statute, ordinance, rule, or other law
20to the contrary, all original appointments to an affected
21department to which this Section applies shall be administered
22in the manner provided for in this Section. Provisions of the
23Illinois Municipal Code, municipal ordinances, and rules
24adopted pursuant to such authority and other laws relating to
25initial hiring of firefighters in affected departments shall

 

 

SB2435- 723 -LRB102 04062 AMC 14078 b

1continue to apply to the extent they are compatible with this
2Section, but in the event of a conflict between this Section
3and any other law, this Section shall control.
4    A home rule or non-home rule municipality may not
5administer its fire department process for original
6appointments in a manner that is less stringent than this
7Section. This Section is a limitation under subsection (i) of
8Section 6 of Article VII of the Illinois Constitution on the
9concurrent exercise by home rule units of the powers and
10functions exercised by the State.
11    A municipality that is operating under a court order or
12consent decree regarding original appointments to a full-time
13fire department before August 4, 2011 (the effective date of
14Public Act 97-251) this amendatory Act of the 97th General
15Assembly is exempt from the requirements of this Section for
16the duration of the court order or consent decree.
17    Notwithstanding any other provision of this subsection
18(a), this Section does not apply to a municipality with more
19than 1,000,000 inhabitants.
20    (b) Original appointments. All original appointments made
21to an affected fire department shall be made from a register of
22eligibles established in accordance with the processes
23established by this Section. Only persons who meet or exceed
24the performance standards required by this Section shall be
25placed on a register of eligibles for original appointment to
26an affected fire department.

 

 

SB2435- 724 -LRB102 04062 AMC 14078 b

1    Whenever an appointing authority authorizes action to hire
2a person to perform the duties of a firefighter or to hire a
3firefighter-paramedic to fill a position that is a new
4position or vacancy due to resignation, discharge, promotion,
5death, the granting of a disability or retirement pension, or
6any other cause, the appointing authority shall appoint to
7that position the person with the highest ranking on the final
8eligibility list. If the appointing authority has reason to
9conclude that the highest ranked person fails to meet the
10minimum standards for the position or if the appointing
11authority believes an alternate candidate would better serve
12the needs of the department, then the appointing authority has
13the right to pass over the highest ranked person and appoint
14either: (i) any person who has a ranking in the top 5% of the
15register of eligibles or (ii) any person who is among the top 5
16highest ranked persons on the list of eligibles if the number
17of people who have a ranking in the top 5% of the register of
18eligibles is less than 5 people.
19    Any candidate may pass on an appointment once without
20losing his or her position on the register of eligibles. Any
21candidate who passes a second time may be removed from the list
22by the appointing authority provided that such action shall
23not prejudice a person's opportunities to participate in
24future examinations, including an examination held during the
25time a candidate is already on the municipality's register of
26eligibles.

 

 

SB2435- 725 -LRB102 04062 AMC 14078 b

1    The sole authority to issue certificates of appointment
2shall be vested in the Civil Service Commission. All
3certificates of appointment issued to any officer or member of
4an affected department shall be signed by the chairperson and
5secretary, respectively, of the commission upon appointment of
6such officer or member to the affected department by the
7commission. After being selected from the register of
8eligibles to fill a vacancy in the affected department, each
9appointee shall be presented with his or her certificate of
10appointment on the day on which he or she is sworn in as a
11classified member of the affected department. Firefighters who
12were not issued a certificate of appointment when originally
13appointed shall be provided with a certificate within 10 days
14after making a written request to the chairperson of the Civil
15Service Commission. Each person who accepts a certificate of
16appointment and successfully completes his or her probationary
17period shall be enrolled as a firefighter and as a regular
18member of the fire department.
19    For the purposes of this Section, "firefighter" means any
20person who has been prior to, on, or after August 4, 2011 (the
21effective date of Public Act 97-251) this amendatory Act of
22the 97th General Assembly appointed to a fire department or
23fire protection district or employed by a State university and
24sworn or commissioned to perform firefighter duties or
25paramedic duties, or both, except that the following persons
26are not included: part-time firefighters; auxiliary, reserve,

 

 

SB2435- 726 -LRB102 04062 AMC 14078 b

1or voluntary firefighters, including paid-on-call
2firefighters; clerks and dispatchers or other civilian
3employees of a fire department or fire protection district who
4are not routinely expected to perform firefighter duties; and
5elected officials.
6    (c) Qualification for placement on register of eligibles.
7The purpose of establishing a register of eligibles is to
8identify applicants who possess and demonstrate the mental
9aptitude and physical ability to perform the duties required
10of members of the fire department in order to provide the
11highest quality of service to the public. To this end, all
12applicants for original appointment to an affected fire
13department shall be subject to examination and testing which
14shall be public, competitive, and open to all applicants
15unless the municipality shall by ordinance limit applicants to
16residents of the municipality, county or counties in which the
17municipality is located, State, or nation. Any examination and
18testing procedure utilized under subsection (e) of this
19Section shall be supported by appropriate validation evidence
20and shall comply with all applicable State and federal laws.
21Municipalities may establish educational, emergency medical
22service licensure, and other prerequisites prerequites for
23participation in an examination or for hire as a firefighter.
24Any municipality may charge a fee to cover the costs of the
25application process.
26    Residency requirements in effect at the time an individual

 

 

SB2435- 727 -LRB102 04062 AMC 14078 b

1enters the fire service of a municipality cannot be made more
2restrictive for that individual during his or her period of
3service for that municipality, or be made a condition of
4promotion, except for the rank or position of fire chief and
5for no more than 2 positions that rank immediately below that
6of the chief rank which are appointed positions pursuant to
7the Fire Department Promotion Act.
8    No person who is 35 years of age or older shall be eligible
9to take an examination for a position as a firefighter unless
10the person has had previous employment status as a firefighter
11in the regularly constituted fire department of the
12municipality, except as provided in this Section. The age
13limitation does not apply to:
14        (1) any person previously employed as a full-time
15    firefighter in a regularly constituted fire department of
16    (i) any municipality or fire protection district located
17    in Illinois, (ii) a fire protection district whose
18    obligations were assumed by a municipality under Section
19    21 of the Fire Protection District Act, or (iii) a
20    municipality whose obligations were taken over by a fire
21    protection district,
22        (2) any person who has served a municipality as a
23    regularly enrolled volunteer, paid-on-call, or part-time
24    firefighter for the 5 years immediately preceding the time
25    that the municipality begins to use full-time firefighters
26    to provide all or part of its fire protection service, or

 

 

SB2435- 728 -LRB102 04062 AMC 14078 b

1        (3) any person who turned 35 while serving as a member
2    of the active or reserve components of any of the branches
3    of the Armed Forces of the United States or the National
4    Guard of any state, whose service was characterized as
5    honorable or under honorable, if separated from the
6    military, and is currently under the age of 40.
7    No person who is under 21 years of age shall be eligible
8for employment as a firefighter.
9    No applicant shall be examined concerning his or her
10political or religious opinions or affiliations. The
11examinations shall be conducted by the commissioners of the
12municipality or their designees and agents.
13    No municipality shall require that any firefighter
14appointed to the lowest rank serve a probationary employment
15period of longer than one year of actual active employment,
16which may exclude periods of training, or injury or illness
17leaves, including duty related leave, in excess of 30 calendar
18days. Notwithstanding anything to the contrary in this
19Section, the probationary employment period limitation may be
20extended for a firefighter who is required, as a condition of
21employment, to be a licensed paramedic, during which time the
22sole reason that a firefighter may be discharged without a
23hearing is for failing to meet the requirements for paramedic
24licensure.
25    In the event that any applicant who has been found
26eligible for appointment and whose name has been placed upon

 

 

SB2435- 729 -LRB102 04062 AMC 14078 b

1the final eligibility register provided for in this Division 1
2has not been appointed to a firefighter position within one
3year after the date of his or her physical ability
4examination, the commission may cause a second examination to
5be made of that applicant's physical ability prior to his or
6her appointment. If, after the second examination, the
7physical ability of the applicant shall be found to be less
8than the minimum standard fixed by the rules of the
9commission, the applicant shall not be appointed. The
10applicant's name may be retained upon the register of
11candidates eligible for appointment and when next reached for
12certification and appointment that applicant may be again
13examined as provided in this Section, and if the physical
14ability of that applicant is found to be less than the minimum
15standard fixed by the rules of the commission, the applicant
16shall not be appointed, and the name of the applicant shall be
17removed from the register.
18    (d) Notice, examination, and testing components. Notice of
19the time, place, general scope, merit criteria for any
20subjective component, and fee of every examination shall be
21given by the commission, by a publication at least 2 weeks
22preceding the examination: (i) in one or more newspapers
23published in the municipality, or if no newspaper is published
24therein, then in one or more newspapers with a general
25circulation within the municipality, or (ii) on the
26municipality's Internet website. Additional notice of the

 

 

SB2435- 730 -LRB102 04062 AMC 14078 b

1examination may be given as the commission shall prescribe.
2    The examination and qualifying standards for employment of
3firefighters shall be based on: mental aptitude, physical
4ability, preferences, moral character, and health. The mental
5aptitude, physical ability, and preference components shall
6determine an applicant's qualification for and placement on
7the final register of eligibles. The examination may also
8include a subjective component based on merit criteria as
9determined by the commission. Scores from the examination must
10be made available to the public.
11    (e) Mental aptitude. No person who does not possess at
12least a high school diploma or an equivalent high school
13education shall be placed on a register of eligibles.
14Examination of an applicant's mental aptitude shall be based
15upon a written examination. The examination shall be practical
16in character and relate to those matters that fairly test the
17capacity of the persons examined to discharge the duties
18performed by members of a fire department. Written
19examinations shall be administered in a manner that ensures
20the security and accuracy of the scores achieved.
21    (f) Physical ability. All candidates shall be required to
22undergo an examination of their physical ability to perform
23the essential functions included in the duties they may be
24called upon to perform as a member of a fire department. For
25the purposes of this Section, essential functions of the job
26are functions associated with duties that a firefighter may be

 

 

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1called upon to perform in response to emergency calls. The
2frequency of the occurrence of those duties as part of the fire
3department's regular routine shall not be a controlling factor
4in the design of examination criteria or evolutions selected
5for testing. These physical examinations shall be open,
6competitive, and based on industry standards designed to test
7each applicant's physical abilities in the following
8dimensions:
9        (1) Muscular strength to perform tasks and evolutions
10    that may be required in the performance of duties
11    including grip strength, leg strength, and arm strength.
12    Tests shall be conducted under anaerobic as well as
13    aerobic conditions to test both the candidate's speed and
14    endurance in performing tasks and evolutions. Tasks tested
15    may be based on standards developed, or approved, by the
16    local appointing authority.
17        (2) The ability to climb ladders, operate from
18    heights, walk or crawl in the dark along narrow and uneven
19    surfaces, and operate in proximity to hazardous
20    environments.
21        (3) The ability to carry out critical, time-sensitive,
22    and complex problem solving during physical exertion in
23    stressful and hazardous environments. The testing
24    environment may be hot and dark with tightly enclosed
25    spaces, flashing lights, sirens, and other distractions.
26    The tests utilized to measure each applicant's

 

 

SB2435- 732 -LRB102 04062 AMC 14078 b

1capabilities in each of these dimensions may be tests based on
2industry standards currently in use or equivalent tests
3approved by the Joint Labor-Management Committee of the Office
4of the State Fire Marshal.
5    Physical ability examinations administered under this
6Section shall be conducted with a reasonable number of
7proctors and monitors, open to the public, and subject to
8reasonable regulations of the commission.
9    (g) Scoring of examination components. Appointing
10authorities may create a preliminary eligibility register. A
11person shall be placed on the list based upon his or her
12passage of the written examination or the passage of the
13written examination and the physical ability component.
14Passage of the written examination means attaining the minimum
15score set by the commission. Minimum scores should be set by
16the commission so as to demonstrate a candidate's ability to
17perform the essential functions of the job. The minimum score
18set by the commission shall be supported by appropriate
19validation evidence and shall comply with all applicable State
20and federal laws. The appointing authority may conduct the
21physical ability component and any subjective components
22subsequent to the posting of the preliminary eligibility
23register.
24    The examination components for an initial eligibility
25register shall be graded on a 100-point scale. A person's
26position on the list shall be determined by the following: (i)

 

 

SB2435- 733 -LRB102 04062 AMC 14078 b

1the person's score on the written examination, (ii) the person
2successfully passing the physical ability component, and (iii)
3the person's results on any subjective component as described
4in subsection (d).
5    In order to qualify for placement on the final eligibility
6register, an applicant's score on the written examination,
7before any applicable preference points or subjective points
8are applied, shall be at or above the minimum score set by the
9commission. The local appointing authority may prescribe the
10score to qualify for placement on the final eligibility
11register, but the score shall not be less than the minimum
12score set by the commission.
13    The commission shall prepare and keep a register of
14persons whose total score is not less than the minimum score
15for passage and who have passed the physical ability
16examination. These persons shall take rank upon the register
17as candidates in the order of their relative excellence based
18on the highest to the lowest total points scored on the mental
19aptitude, subjective component, and preference components of
20the test administered in accordance with this Section. No more
21than 60 days after each examination, an initial eligibility
22list shall be posted by the commission. The list shall include
23the final grades of the candidates without reference to
24priority of the time of examination and subject to claim for
25preference credit.
26    Commissions may conduct additional examinations, including

 

 

SB2435- 734 -LRB102 04062 AMC 14078 b

1without limitation a polygraph test, after a final eligibility
2register is established and before it expires with the
3candidates ranked by total score without regard to date of
4examination. No more than 60 days after each examination, an
5initial eligibility list shall be posted by the commission
6showing the final grades of the candidates without reference
7to priority of time of examination and subject to claim for
8preference credit.
9    (h) Preferences. The following are preferences:
10        (1) Veteran preference. Persons who were engaged in
11    the military service of the United States for a period of
12    at least one year of active duty and who were honorably
13    discharged therefrom, or who are now or have been members
14    on inactive or reserve duty in such military or naval
15    service, shall be preferred for appointment to and
16    employment with the fire department of an affected
17    department.
18        (2) Fire cadet preference. Persons who have
19    successfully completed 2 years of study in fire techniques
20    or cadet training within a cadet program established under
21    the rules of the Joint Labor and Management Committee
22    (JLMC), as defined in Section 50 of the Fire Department
23    Promotion Act, may be preferred for appointment to and
24    employment with the fire department.
25        (3) Educational preference. Persons who have
26    successfully obtained an associate's degree in the field

 

 

SB2435- 735 -LRB102 04062 AMC 14078 b

1    of fire service or emergency medical services, or a
2    bachelor's degree from an accredited college or university
3    may be preferred for appointment to and employment with
4    the fire department.
5        (4) Paramedic preference. Persons who have obtained a
6    license as a paramedic may be preferred for appointment to
7    and employment with the fire department of an affected
8    department providing emergency medical services.
9        (5) Experience preference. All persons employed by a
10    municipality who have been paid-on-call or part-time
11    certified Firefighter II, certified Firefighter III, State
12    of Illinois or nationally licensed EMT, EMT-I, A-EMT, or
13    paramedic, or any combination of those capacities may be
14    awarded up to a maximum of 5 points. However, the
15    applicant may not be awarded more than 0.5 points for each
16    complete year of paid-on-call or part-time service.
17    Applicants from outside the municipality who were employed
18    as full-time firefighters or firefighter-paramedics by a
19    fire protection district or another municipality may be
20    awarded up to 5 experience preference points. However, the
21    applicant may not be awarded more than one point for each
22    complete year of full-time service.
23        Upon request by the commission, the governing body of
24    the municipality or in the case of applicants from outside
25    the municipality the governing body of any fire protection
26    district or any other municipality shall certify to the

 

 

SB2435- 736 -LRB102 04062 AMC 14078 b

1    commission, within 10 days after the request, the number
2    of years of successful paid-on-call, part-time, or
3    full-time service of any person. A candidate may not
4    receive the full amount of preference points under this
5    subsection if the amount of points awarded would place the
6    candidate before a veteran on the eligibility list. If
7    more than one candidate receiving experience preference
8    points is prevented from receiving all of their points due
9    to not being allowed to pass a veteran, the candidates
10    shall be placed on the list below the veteran in rank order
11    based on the totals received if all points under this
12    subsection were to be awarded. Any remaining ties on the
13    list shall be determined by lot.
14        (6) Residency preference. Applicants whose principal
15    residence is located within the fire department's
16    jurisdiction may be preferred for appointment to and
17    employment with the fire department.
18        (7) Additional preferences. Up to 5 additional
19    preference points may be awarded for unique categories
20    based on an applicant's experience or background as
21    identified by the commission.
22        (7.5) Apprentice preferences. A person who has
23    performed fire suppression service for a department as a
24    firefighter apprentice and otherwise meet the
25    qualifications for original appointment as a firefighter
26    specified in this Section may be awarded up to 20

 

 

SB2435- 737 -LRB102 04062 AMC 14078 b

1    preference points. To qualify for preference points, an
2    applicant shall have completed a minimum of 600 hours of
3    fire suppression work on a regular shift for the affected
4    fire department over a 12-month period. The fire
5    suppression work must be in accordance with Section
6    10-1-14 of this Division and the terms established by a
7    Joint Apprenticeship Committee included in a collective
8    bargaining agreement agreed between the employer and its
9    certified bargaining agent. An eligible applicant must
10    apply to the Joint Apprenticeship Committee for preference
11    points under this item. The Joint Apprenticeship Committee
12    shall evaluate the merit of the applicant's performance,
13    determine the preference points to be awarded, and certify
14    the amount of points awarded to the commissioners. The
15    commissioners may add the certified preference points to
16    the final grades achieved by the applicant on the other
17    components of the examination.
18        (8) Scoring of preferences. The commission shall give
19    preference for original appointment to persons designated
20    in item (1) by adding to the final grade that they receive
21    5 points for the recognized preference achieved. The
22    commission may give preference for original appointment to
23    persons designated in item (7.5) by adding to the final
24    grade the amount of points designated by the Joint
25    Apprenticeship Committee as defined in item (7.5). The
26    commission shall determine the number of preference points

 

 

SB2435- 738 -LRB102 04062 AMC 14078 b

1    for each category, except (1) and (7.5). The number of
2    preference points for each category shall range from 0 to
3    5, except item (7.5). In determining the number of
4    preference points, the commission shall prescribe that if
5    a candidate earns the maximum number of preference points
6    in all categories except item (7.5), that number may not
7    be less than 10 nor more than 30. The commission shall give
8    preference for original appointment to persons designated
9    in items (2) through (7) by adding the requisite number of
10    points to the final grade for each recognized preference
11    achieved. The numerical result thus attained shall be
12    applied by the commission in determining the final
13    eligibility list and appointment from the eligibility
14    list. The local appointing authority may prescribe the
15    total number of preference points awarded under this
16    Section, but the total number of preference points, except
17    item (7.5), shall not be less than 10 points or more than
18    30 points. Apprentice preference points may be added in
19    addition to other preference points awarded by the
20    commission.
21    No person entitled to any preference shall be required to
22claim the credit before any examination held under the
23provisions of this Section, but the preference shall be given
24after the posting or publication of the initial eligibility
25list or register at the request of a person entitled to a
26credit before any certification or appointments are made from

 

 

SB2435- 739 -LRB102 04062 AMC 14078 b

1the eligibility register, upon the furnishing of verifiable
2evidence and proof of qualifying preference credit. Candidates
3who are eligible for preference credit shall make a claim in
4writing within 10 days after the posting of the initial
5eligibility list, or the claim shall be deemed waived. Final
6eligibility registers shall be established after the awarding
7of verified preference points. However, apprentice preference
8credit earned subsequent to the establishment of the final
9eligibility register may be applied to the applicant's score
10upon certification by the Joint Apprenticeship Committee to
11the commission and the rank order of candidates on the final
12eligibility register shall be adjusted accordingly. All
13employment shall be subject to the commission's initial hire
14background review including, but not limited to, criminal
15history, employment history, moral character, oral
16examination, and medical and psychological examinations, all
17on a pass-fail basis. The medical and psychological
18examinations must be conducted last, and may only be performed
19after a conditional offer of employment has been extended.
20    Any person placed on an eligibility list who exceeds the
21age requirement before being appointed to a fire department
22shall remain eligible for appointment until the list is
23abolished, or his or her name has been on the list for a period
24of 2 years. No person who has attained the age of 35 years
25shall be inducted into a fire department, except as otherwise
26provided in this Section.

 

 

SB2435- 740 -LRB102 04062 AMC 14078 b

1    The commission shall strike off the names of candidates
2for original appointment after the names have been on the list
3for more than 2 years.
4    (i) Moral character. No person shall be appointed to a
5fire department unless he or she is a person of good character;
6not a habitual drunkard, a gambler, or a person who has been
7convicted of a felony or a crime involving moral turpitude.
8However, no person shall be disqualified from appointment to
9the fire department because of the person's record of
10misdemeanor convictions except those under Sections 11-6,
1111-7, 11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 12-2, 12-6,
1212-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1,
1331-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, 32-8, and
14subsections 1, 6, and 8 of Section 24-1 of the Criminal Code of
151961 or the Criminal Code of 2012, or arrest for any cause
16without conviction thereon. Any such person who is in the
17department may be removed on charges brought for violating
18this subsection and after a trial as hereinafter provided.
19    A classifiable set of the fingerprints of every person who
20is offered employment as a certificated member of an affected
21fire department whether with or without compensation, shall be
22furnished to the Illinois Department of State Police and to
23the Federal Bureau of Investigation by the commission.
24    Whenever a commission is authorized or required by law to
25consider some aspect of criminal history record information
26for the purpose of carrying out its statutory powers and

 

 

SB2435- 741 -LRB102 04062 AMC 14078 b

1responsibilities, then, upon request and payment of fees in
2conformance with the requirements of Section 2605-400 of the
3State Police Law of the Civil Administrative Code of Illinois,
4the Department of State Police is authorized to furnish,
5pursuant to positive identification, the information contained
6in State files as is necessary to fulfill the request.
7    (j) Temporary appointments. In order to prevent a stoppage
8of public business, to meet extraordinary exigencies, or to
9prevent material impairment of the fire department, the
10commission may make temporary appointments, to remain in force
11only until regular appointments are made under the provisions
12of this Division, but never to exceed 60 days. No temporary
13appointment of any one person shall be made more than twice in
14any calendar year.
15    (k) A person who knowingly divulges or receives test
16questions or answers before a written examination, or
17otherwise knowingly violates or subverts any requirement of
18this Section, commits a violation of this Section and may be
19subject to charges for official misconduct.
20    A person who is the knowing recipient of test information
21in advance of the examination shall be disqualified from the
22examination or discharged from the position to which he or she
23was appointed, as applicable, and otherwise subjected to
24disciplinary actions.
25(Source: P.A. 100-252, eff. 8-22-17; 101-489, eff. 8-23-19;
26revised 11-26-19.)
 

 

 

SB2435- 742 -LRB102 04062 AMC 14078 b

1    (65 ILCS 5/10-1-48)  (from Ch. 24, par. 10-1-48)
2    Sec. 10-1-48. This division is subject to the provisions
3of the "The Illinois Police Training Act", approved August 18,
41965, as amended and the provisions of the "Illinois Fire
5Protection Training Act", certified November 9, 1971.
6    Public Act 78-951 This amendatory Act of 1973 is not a
7limit on any municipality which is a home rule unit.
8(Source: P.A. 78-951; revised 8-8-19.)
 
9    (65 ILCS 5/10-2.1-6.3)
10    Sec. 10-2.1-6.3. Original appointments; full-time fire
11department.
12    (a) Applicability. Unless a commission elects to follow
13the provisions of Section 10-2.1-6.4, this Section shall apply
14to all original appointments to an affected full-time fire
15department. Existing registers of eligibles shall continue to
16be valid until their expiration dates, or up to a maximum of 2
17years after August 4, 2011 (the effective date of Public Act
1897-251) this amendatory Act of the 97th General Assembly.
19    Notwithstanding any statute, ordinance, rule, or other law
20to the contrary, all original appointments to an affected
21department to which this Section applies shall be administered
22in the manner provided for in this Section. Provisions of the
23Illinois Municipal Code, municipal ordinances, and rules
24adopted pursuant to such authority and other laws relating to

 

 

SB2435- 743 -LRB102 04062 AMC 14078 b

1initial hiring of firefighters in affected departments shall
2continue to apply to the extent they are compatible with this
3Section, but in the event of a conflict between this Section
4and any other law, this Section shall control.
5    A home rule or non-home rule municipality may not
6administer its fire department process for original
7appointments in a manner that is less stringent than this
8Section. This Section is a limitation under subsection (i) of
9Section 6 of Article VII of the Illinois Constitution on the
10concurrent exercise by home rule units of the powers and
11functions exercised by the State.
12    A municipality that is operating under a court order or
13consent decree regarding original appointments to a full-time
14fire department before August 4, 2011 (the effective date of
15Public Act 97-251) this amendatory Act of the 97th General
16Assembly is exempt from the requirements of this Section for
17the duration of the court order or consent decree.
18    Notwithstanding any other provision of this subsection
19(a), this Section does not apply to a municipality with more
20than 1,000,000 inhabitants.
21    (b) Original appointments. All original appointments made
22to an affected fire department shall be made from a register of
23eligibles established in accordance with the processes
24established by this Section. Only persons who meet or exceed
25the performance standards required by this Section shall be
26placed on a register of eligibles for original appointment to

 

 

SB2435- 744 -LRB102 04062 AMC 14078 b

1an affected fire department.
2    Whenever an appointing authority authorizes action to hire
3a person to perform the duties of a firefighter or to hire a
4firefighter-paramedic to fill a position that is a new
5position or vacancy due to resignation, discharge, promotion,
6death, the granting of a disability or retirement pension, or
7any other cause, the appointing authority shall appoint to
8that position the person with the highest ranking on the final
9eligibility list. If the appointing authority has reason to
10conclude that the highest ranked person fails to meet the
11minimum standards for the position or if the appointing
12authority believes an alternate candidate would better serve
13the needs of the department, then the appointing authority has
14the right to pass over the highest ranked person and appoint
15either: (i) any person who has a ranking in the top 5% of the
16register of eligibles or (ii) any person who is among the top 5
17highest ranked persons on the list of eligibles if the number
18of people who have a ranking in the top 5% of the register of
19eligibles is less than 5 people.
20    Any candidate may pass on an appointment once without
21losing his or her position on the register of eligibles. Any
22candidate who passes a second time may be removed from the list
23by the appointing authority provided that such action shall
24not prejudice a person's opportunities to participate in
25future examinations, including an examination held during the
26time a candidate is already on the municipality's register of

 

 

SB2435- 745 -LRB102 04062 AMC 14078 b

1eligibles.
2    The sole authority to issue certificates of appointment
3shall be vested in the board of fire and police commissioners.
4All certificates of appointment issued to any officer or
5member of an affected department shall be signed by the
6chairperson and secretary, respectively, of the board upon
7appointment of such officer or member to the affected
8department by action of the board. After being selected from
9the register of eligibles to fill a vacancy in the affected
10department, each appointee shall be presented with his or her
11certificate of appointment on the day on which he or she is
12sworn in as a classified member of the affected department.
13Firefighters who were not issued a certificate of appointment
14when originally appointed shall be provided with a certificate
15within 10 days after making a written request to the
16chairperson of the board of fire and police commissioners.
17Each person who accepts a certificate of appointment and
18successfully completes his or her probationary period shall be
19enrolled as a firefighter and as a regular member of the fire
20department.
21    For the purposes of this Section, "firefighter" means any
22person who has been prior to, on, or after August 4, 2011 (the
23effective date of Public Act 97-251) this amendatory Act of
24the 97th General Assembly appointed to a fire department or
25fire protection district or employed by a State university and
26sworn or commissioned to perform firefighter duties or

 

 

SB2435- 746 -LRB102 04062 AMC 14078 b

1paramedic duties, or both, except that the following persons
2are not included: part-time firefighters; auxiliary, reserve,
3or voluntary firefighters, including paid-on-call
4firefighters; clerks and dispatchers or other civilian
5employees of a fire department or fire protection district who
6are not routinely expected to perform firefighter duties; and
7elected officials.
8    (c) Qualification for placement on register of eligibles.
9The purpose of establishing a register of eligibles is to
10identify applicants who possess and demonstrate the mental
11aptitude and physical ability to perform the duties required
12of members of the fire department in order to provide the
13highest quality of service to the public. To this end, all
14applicants for original appointment to an affected fire
15department shall be subject to examination and testing which
16shall be public, competitive, and open to all applicants
17unless the municipality shall by ordinance limit applicants to
18residents of the municipality, county or counties in which the
19municipality is located, State, or nation. Any examination and
20testing procedure utilized under subsection (e) of this
21Section shall be supported by appropriate validation evidence
22and shall comply with all applicable State and federal laws.
23Municipalities may establish educational, emergency medical
24service licensure, and other prerequisites prerequites for
25participation in an examination or for hire as a firefighter.
26Any municipality may charge a fee to cover the costs of the

 

 

SB2435- 747 -LRB102 04062 AMC 14078 b

1application process.
2    Residency requirements in effect at the time an individual
3enters the fire service of a municipality cannot be made more
4restrictive for that individual during his or her period of
5service for that municipality, or be made a condition of
6promotion, except for the rank or position of fire chief and
7for no more than 2 positions that rank immediately below that
8of the chief rank which are appointed positions pursuant to
9the Fire Department Promotion Act.
10    No person who is 35 years of age or older shall be eligible
11to take an examination for a position as a firefighter unless
12the person has had previous employment status as a firefighter
13in the regularly constituted fire department of the
14municipality, except as provided in this Section. The age
15limitation does not apply to:
16        (1) any person previously employed as a full-time
17    firefighter in a regularly constituted fire department of
18    (i) any municipality or fire protection district located
19    in Illinois, (ii) a fire protection district whose
20    obligations were assumed by a municipality under Section
21    21 of the Fire Protection District Act, or (iii) a
22    municipality whose obligations were taken over by a fire
23    protection district,
24        (2) any person who has served a municipality as a
25    regularly enrolled volunteer, paid-on-call, or part-time
26    firefighter for the 5 years immediately preceding the time

 

 

SB2435- 748 -LRB102 04062 AMC 14078 b

1    that the municipality begins to use full-time firefighters
2    to provide all or part of its fire protection service, or
3        (3) any person who turned 35 while serving as a member
4    of the active or reserve components of any of the branches
5    of the Armed Forces of the United States or the National
6    Guard of any state, whose service was characterized as
7    honorable or under honorable, if separated from the
8    military, and is currently under the age of 40.
9    No person who is under 21 years of age shall be eligible
10for employment as a firefighter.
11    No applicant shall be examined concerning his or her
12political or religious opinions or affiliations. The
13examinations shall be conducted by the commissioners of the
14municipality or their designees and agents.
15    No municipality shall require that any firefighter
16appointed to the lowest rank serve a probationary employment
17period of longer than one year of actual active employment,
18which may exclude periods of training, or injury or illness
19leaves, including duty related leave, in excess of 30 calendar
20days. Notwithstanding anything to the contrary in this
21Section, the probationary employment period limitation may be
22extended for a firefighter who is required, as a condition of
23employment, to be a licensed paramedic, during which time the
24sole reason that a firefighter may be discharged without a
25hearing is for failing to meet the requirements for paramedic
26licensure.

 

 

SB2435- 749 -LRB102 04062 AMC 14078 b

1    In the event that any applicant who has been found
2eligible for appointment and whose name has been placed upon
3the final eligibility register provided for in this Section
4has not been appointed to a firefighter position within one
5year after the date of his or her physical ability
6examination, the commission may cause a second examination to
7be made of that applicant's physical ability prior to his or
8her appointment. If, after the second examination, the
9physical ability of the applicant shall be found to be less
10than the minimum standard fixed by the rules of the
11commission, the applicant shall not be appointed. The
12applicant's name may be retained upon the register of
13candidates eligible for appointment and when next reached for
14certification and appointment that applicant may be again
15examined as provided in this Section, and if the physical
16ability of that applicant is found to be less than the minimum
17standard fixed by the rules of the commission, the applicant
18shall not be appointed, and the name of the applicant shall be
19removed from the register.
20    (d) Notice, examination, and testing components. Notice of
21the time, place, general scope, merit criteria for any
22subjective component, and fee of every examination shall be
23given by the commission, by a publication at least 2 weeks
24preceding the examination: (i) in one or more newspapers
25published in the municipality, or if no newspaper is published
26therein, then in one or more newspapers with a general

 

 

SB2435- 750 -LRB102 04062 AMC 14078 b

1circulation within the municipality, or (ii) on the
2municipality's Internet website. Additional notice of the
3examination may be given as the commission shall prescribe.
4    The examination and qualifying standards for employment of
5firefighters shall be based on: mental aptitude, physical
6ability, preferences, moral character, and health. The mental
7aptitude, physical ability, and preference components shall
8determine an applicant's qualification for and placement on
9the final register of eligibles. The examination may also
10include a subjective component based on merit criteria as
11determined by the commission. Scores from the examination must
12be made available to the public.
13    (e) Mental aptitude. No person who does not possess at
14least a high school diploma or an equivalent high school
15education shall be placed on a register of eligibles.
16Examination of an applicant's mental aptitude shall be based
17upon a written examination. The examination shall be practical
18in character and relate to those matters that fairly test the
19capacity of the persons examined to discharge the duties
20performed by members of a fire department. Written
21examinations shall be administered in a manner that ensures
22the security and accuracy of the scores achieved.
23    (f) Physical ability. All candidates shall be required to
24undergo an examination of their physical ability to perform
25the essential functions included in the duties they may be
26called upon to perform as a member of a fire department. For

 

 

SB2435- 751 -LRB102 04062 AMC 14078 b

1the purposes of this Section, essential functions of the job
2are functions associated with duties that a firefighter may be
3called upon to perform in response to emergency calls. The
4frequency of the occurrence of those duties as part of the fire
5department's regular routine shall not be a controlling factor
6in the design of examination criteria or evolutions selected
7for testing. These physical examinations shall be open,
8competitive, and based on industry standards designed to test
9each applicant's physical abilities in the following
10dimensions:
11        (1) Muscular strength to perform tasks and evolutions
12    that may be required in the performance of duties
13    including grip strength, leg strength, and arm strength.
14    Tests shall be conducted under anaerobic as well as
15    aerobic conditions to test both the candidate's speed and
16    endurance in performing tasks and evolutions. Tasks tested
17    may be based on standards developed, or approved, by the
18    local appointing authority.
19        (2) The ability to climb ladders, operate from
20    heights, walk or crawl in the dark along narrow and uneven
21    surfaces, and operate in proximity to hazardous
22    environments.
23        (3) The ability to carry out critical, time-sensitive,
24    and complex problem solving during physical exertion in
25    stressful and hazardous environments. The testing
26    environment may be hot and dark with tightly enclosed

 

 

SB2435- 752 -LRB102 04062 AMC 14078 b

1    spaces, flashing lights, sirens, and other distractions.
2    The tests utilized to measure each applicant's
3capabilities in each of these dimensions may be tests based on
4industry standards currently in use or equivalent tests
5approved by the Joint Labor-Management Committee of the Office
6of the State Fire Marshal.
7    Physical ability examinations administered under this
8Section shall be conducted with a reasonable number of
9proctors and monitors, open to the public, and subject to
10reasonable regulations of the commission.
11    (g) Scoring of examination components. Appointing
12authorities may create a preliminary eligibility register. A
13person shall be placed on the list based upon his or her
14passage of the written examination or the passage of the
15written examination and the physical ability component.
16Passage of the written examination means attaining the minimum
17score set by the commission. Minimum scores should be set by
18the commission so as to demonstrate a candidate's ability to
19perform the essential functions of the job. The minimum score
20set by the commission shall be supported by appropriate
21validation evidence and shall comply with all applicable State
22and federal laws. The appointing authority may conduct the
23physical ability component and any subjective components
24subsequent to the posting of the preliminary eligibility
25register.
26    The examination components for an initial eligibility

 

 

SB2435- 753 -LRB102 04062 AMC 14078 b

1register shall be graded on a 100-point scale. A person's
2position on the list shall be determined by the following: (i)
3the person's score on the written examination, (ii) the person
4successfully passing the physical ability component, and (iii)
5the person's results on any subjective component as described
6in subsection (d).
7    In order to qualify for placement on the final eligibility
8register, an applicant's score on the written examination,
9before any applicable preference points or subjective points
10are applied, shall be at or above the minimum score as set by
11the commission. The local appointing authority may prescribe
12the score to qualify for placement on the final eligibility
13register, but the score shall not be less than the minimum
14score set by the commission.
15    The commission shall prepare and keep a register of
16persons whose total score is not less than the minimum score
17for passage and who have passed the physical ability
18examination. These persons shall take rank upon the register
19as candidates in the order of their relative excellence based
20on the highest to the lowest total points scored on the mental
21aptitude, subjective component, and preference components of
22the test administered in accordance with this Section. No more
23than 60 days after each examination, an initial eligibility
24list shall be posted by the commission. The list shall include
25the final grades of the candidates without reference to
26priority of the time of examination and subject to claim for

 

 

SB2435- 754 -LRB102 04062 AMC 14078 b

1preference credit.
2    Commissions may conduct additional examinations, including
3without limitation a polygraph test, after a final eligibility
4register is established and before it expires with the
5candidates ranked by total score without regard to date of
6examination. No more than 60 days after each examination, an
7initial eligibility list shall be posted by the commission
8showing the final grades of the candidates without reference
9to priority of time of examination and subject to claim for
10preference credit.
11    (h) Preferences. The following are preferences:
12        (1) Veteran preference. Persons who were engaged in
13    the military service of the United States for a period of
14    at least one year of active duty and who were honorably
15    discharged therefrom, or who are now or have been members
16    on inactive or reserve duty in such military or naval
17    service, shall be preferred for appointment to and
18    employment with the fire department of an affected
19    department.
20        (2) Fire cadet preference. Persons who have
21    successfully completed 2 years of study in fire techniques
22    or cadet training within a cadet program established under
23    the rules of the Joint Labor and Management Committee
24    (JLMC), as defined in Section 50 of the Fire Department
25    Promotion Act, may be preferred for appointment to and
26    employment with the fire department.

 

 

SB2435- 755 -LRB102 04062 AMC 14078 b

1        (3) Educational preference. Persons who have
2    successfully obtained an associate's degree in the field
3    of fire service or emergency medical services, or a
4    bachelor's degree from an accredited college or university
5    may be preferred for appointment to and employment with
6    the fire department.
7        (4) Paramedic preference. Persons who have obtained a
8    license as a paramedic shall be preferred for appointment
9    to and employment with the fire department of an affected
10    department providing emergency medical services.
11        (5) Experience preference. All persons employed by a
12    municipality who have been paid-on-call or part-time
13    certified Firefighter II, State of Illinois or nationally
14    licensed EMT, EMT-I, A-EMT, or any combination of those
15    capacities shall be awarded 0.5 point for each year of
16    successful service in one or more of those capacities, up
17    to a maximum of 5 points. Certified Firefighter III and
18    State of Illinois or nationally licensed paramedics shall
19    be awarded one point per year up to a maximum of 5 points.
20    Applicants from outside the municipality who were employed
21    as full-time firefighters or firefighter-paramedics by a
22    fire protection district or another municipality for at
23    least 2 years shall be awarded 5 experience preference
24    points. These additional points presuppose a rating scale
25    totaling 100 points available for the eligibility list. If
26    more or fewer points are used in the rating scale for the

 

 

SB2435- 756 -LRB102 04062 AMC 14078 b

1    eligibility list, the points awarded under this subsection
2    shall be increased or decreased by a factor equal to the
3    total possible points available for the examination
4    divided by 100.
5        Upon request by the commission, the governing body of
6    the municipality or in the case of applicants from outside
7    the municipality the governing body of any fire protection
8    district or any other municipality shall certify to the
9    commission, within 10 days after the request, the number
10    of years of successful paid-on-call, part-time, or
11    full-time service of any person. A candidate may not
12    receive the full amount of preference points under this
13    subsection if the amount of points awarded would place the
14    candidate before a veteran on the eligibility list. If
15    more than one candidate receiving experience preference
16    points is prevented from receiving all of their points due
17    to not being allowed to pass a veteran, the candidates
18    shall be placed on the list below the veteran in rank order
19    based on the totals received if all points under this
20    subsection were to be awarded. Any remaining ties on the
21    list shall be determined by lot.
22        (6) Residency preference. Applicants whose principal
23    residence is located within the fire department's
24    jurisdiction shall be preferred for appointment to and
25    employment with the fire department.
26        (7) Additional preferences. Up to 5 additional

 

 

SB2435- 757 -LRB102 04062 AMC 14078 b

1    preference points may be awarded for unique categories
2    based on an applicant's experience or background as
3    identified by the commission.
4        (7.5) Apprentice preferences. A person who has
5    performed fire suppression service for a department as a
6    firefighter apprentice and otherwise meet the
7    qualifications for original appointment as a firefighter
8    specified in this Section are eligible to be awarded up to
9    20 preference points. To qualify for preference points, an
10    applicant shall have completed a minimum of 600 hours of
11    fire suppression work on a regular shift for the affected
12    fire department over a 12-month period. The fire
13    suppression work must be in accordance with Section
14    10-2.1-4 of this Division and the terms established by a
15    Joint Apprenticeship Committee included in a collective
16    bargaining agreement agreed between the employer and its
17    certified bargaining agent. An eligible applicant must
18    apply to the Joint Apprenticeship Committee for preference
19    points under this item. The Joint Apprenticeship Committee
20    shall evaluate the merit of the applicant's performance,
21    determine the preference points to be awarded, and certify
22    the amount of points awarded to the commissioners. The
23    commissioners may add the certified preference points to
24    the final grades achieved by the applicant on the other
25    components of the examination.
26        (8) Scoring of preferences. The commission may give

 

 

SB2435- 758 -LRB102 04062 AMC 14078 b

1    preference for original appointment to persons designated
2    in item (1) by adding to the final grade that they receive
3    5 points for the recognized preference achieved. The
4    commission may give preference for original appointment to
5    persons designated in item (7.5) by adding to the final
6    grade the amount of points designated by the Joint
7    Apprenticeship Committee as defined in item (7.5). The
8    commission shall determine the number of preference points
9    for each category, except (1) and (7.5). The number of
10    preference points for each category shall range from 0 to
11    5, except item (7.5). In determining the number of
12    preference points, the commission shall prescribe that if
13    a candidate earns the maximum number of preference points
14    in all categories except item (7.5), that number may not
15    be less than 10 nor more than 30. The commission shall give
16    preference for original appointment to persons designated
17    in items (2) through (7) by adding the requisite number of
18    points to the final grade for each recognized preference
19    achieved. The numerical result thus attained shall be
20    applied by the commission in determining the final
21    eligibility list and appointment from the eligibility
22    list. The local appointing authority may prescribe the
23    total number of preference points awarded under this
24    Section, but the total number of preference points, except
25    item (7.5), shall not be less than 10 points or more than
26    30 points. Apprentice preference points may be added in

 

 

SB2435- 759 -LRB102 04062 AMC 14078 b

1    addition to other preference points awarded by the
2    commission.
3    No person entitled to any preference shall be required to
4claim the credit before any examination held under the
5provisions of this Section, but the preference may be given
6after the posting or publication of the initial eligibility
7list or register at the request of a person entitled to a
8credit before any certification or appointments are made from
9the eligibility register, upon the furnishing of verifiable
10evidence and proof of qualifying preference credit. Candidates
11who are eligible for preference credit may make a claim in
12writing within 10 days after the posting of the initial
13eligibility list, or the claim may be deemed waived. Final
14eligibility registers may be established after the awarding of
15verified preference points. However, apprentice preference
16credit earned subsequent to the establishment of the final
17eligibility register may be applied to the applicant's score
18upon certification by the Joint Apprenticeship Committee to
19the commission and the rank order of candidates on the final
20eligibility register shall be adjusted accordingly. All
21employment shall be subject to the commission's initial hire
22background review, including, but not limited to, criminal
23history, employment history, moral character, oral
24examination, and medical and psychological examinations, all
25on a pass-fail basis. The medical and psychological
26examinations must be conducted last, and may only be performed

 

 

SB2435- 760 -LRB102 04062 AMC 14078 b

1after a conditional offer of employment has been extended.
2    Any person placed on an eligibility list who exceeds the
3age requirement before being appointed to a fire department
4shall remain eligible for appointment until the list is
5abolished, or his or her name has been on the list for a period
6of 2 years. No person who has attained the age of 35 years
7shall be inducted into a fire department, except as otherwise
8provided in this Section.
9    The commission shall strike off the names of candidates
10for original appointment after the names have been on the list
11for more than 2 years.
12    (i) Moral character. No person shall be appointed to a
13fire department unless he or she is a person of good character;
14not a habitual drunkard, a gambler, or a person who has been
15convicted of a felony or a crime involving moral turpitude.
16However, no person shall be disqualified from appointment to
17the fire department because of the person's record of
18misdemeanor convictions except those under Sections 11-6,
1911-7, 11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 12-2, 12-6,
2012-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1,
2131-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, 32-8, and
22subsections 1, 6, and 8 of Section 24-1 of the Criminal Code of
231961 or the Criminal Code of 2012, or arrest for any cause
24without conviction thereon. Any such person who is in the
25department may be removed on charges brought for violating
26this subsection and after a trial as hereinafter provided.

 

 

SB2435- 761 -LRB102 04062 AMC 14078 b

1    A classifiable set of the fingerprints of every person who
2is offered employment as a certificated member of an affected
3fire department whether with or without compensation, shall be
4furnished to the Illinois Department of State Police and to
5the Federal Bureau of Investigation by the commission.
6    Whenever a commission is authorized or required by law to
7consider some aspect of criminal history record information
8for the purpose of carrying out its statutory powers and
9responsibilities, then, upon request and payment of fees in
10conformance with the requirements of Section 2605-400 of the
11State Police Law of the Civil Administrative Code of Illinois,
12the Department of State Police is authorized to furnish,
13pursuant to positive identification, the information contained
14in State files as is necessary to fulfill the request.
15    (j) Temporary appointments. In order to prevent a stoppage
16of public business, to meet extraordinary exigencies, or to
17prevent material impairment of the fire department, the
18commission may make temporary appointments, to remain in force
19only until regular appointments are made under the provisions
20of this Division, but never to exceed 60 days. No temporary
21appointment of any one person shall be made more than twice in
22any calendar year.
23    (k) A person who knowingly divulges or receives test
24questions or answers before a written examination, or
25otherwise knowingly violates or subverts any requirement of
26this Section, commits a violation of this Section and may be

 

 

SB2435- 762 -LRB102 04062 AMC 14078 b

1subject to charges for official misconduct.
2    A person who is the knowing recipient of test information
3in advance of the examination shall be disqualified from the
4examination or discharged from the position to which he or she
5was appointed, as applicable, and otherwise subjected to
6disciplinary actions.
7(Source: P.A. 100-252, eff. 8-22-17; 101-489, eff. 8-23-19;
8revised 11-26-19.)
 
9    (65 ILCS 5/11-74.4-8)   (from Ch. 24, par. 11-74.4-8)
10    Sec. 11-74.4-8. Tax increment allocation financing. A
11municipality may not adopt tax increment financing in a
12redevelopment project area after July 30, 1997 (the effective
13date of Public Act 90-258) this amendatory Act of 1997 that
14will encompass an area that is currently included in an
15enterprise zone created under the Illinois Enterprise Zone Act
16unless that municipality, pursuant to Section 5.4 of the
17Illinois Enterprise Zone Act, amends the enterprise zone
18designating ordinance to limit the eligibility for tax
19abatements as provided in Section 5.4.1 of the Illinois
20Enterprise Zone Act. A municipality, at the time a
21redevelopment project area is designated, may adopt tax
22increment allocation financing by passing an ordinance
23providing that the ad valorem taxes, if any, arising from the
24levies upon taxable real property in such redevelopment
25project area by taxing districts and tax rates determined in

 

 

SB2435- 763 -LRB102 04062 AMC 14078 b

1the manner provided in paragraph (c) of Section 11-74.4-9 each
2year after the effective date of the ordinance until
3redevelopment project costs and all municipal obligations
4financing redevelopment project costs incurred under this
5Division have been paid shall be divided as follows, provided,
6however, that with respect to any redevelopment project area
7located within a transit facility improvement area established
8pursuant to Section 11-74.4-3.3 in a municipality with a
9population of 1,000,000 or more, ad valorem taxes, if any,
10arising from the levies upon taxable real property in such
11redevelopment project area shall be allocated as specifically
12provided in this Section:
13        (a) That portion of taxes levied upon each taxable
14    lot, block, tract, or parcel of real property which is
15    attributable to the lower of the current equalized
16    assessed value or the initial equalized assessed value of
17    each such taxable lot, block, tract, or parcel of real
18    property in the redevelopment project area shall be
19    allocated to and when collected shall be paid by the
20    county collector to the respective affected taxing
21    districts in the manner required by law in the absence of
22    the adoption of tax increment allocation financing.
23        (b) Except from a tax levied by a township to retire
24    bonds issued to satisfy court-ordered damages, that
25    portion, if any, of such taxes which is attributable to
26    the increase in the current equalized assessed valuation

 

 

SB2435- 764 -LRB102 04062 AMC 14078 b

1    of each taxable lot, block, tract, or parcel of real
2    property in the redevelopment project area over and above
3    the initial equalized assessed value of each property in
4    the project area shall be allocated to and when collected
5    shall be paid to the municipal treasurer who shall deposit
6    said taxes into a special fund called the special tax
7    allocation fund of the municipality for the purpose of
8    paying redevelopment project costs and obligations
9    incurred in the payment thereof. In any county with a
10    population of 3,000,000 or more that has adopted a
11    procedure for collecting taxes that provides for one or
12    more of the installments of the taxes to be billed and
13    collected on an estimated basis, the municipal treasurer
14    shall be paid for deposit in the special tax allocation
15    fund of the municipality, from the taxes collected from
16    estimated bills issued for property in the redevelopment
17    project area, the difference between the amount actually
18    collected from each taxable lot, block, tract, or parcel
19    of real property within the redevelopment project area and
20    an amount determined by multiplying the rate at which
21    taxes were last extended against the taxable lot, block,
22    tract track, or parcel of real property in the manner
23    provided in subsection (c) of Section 11-74.4-9 by the
24    initial equalized assessed value of the property divided
25    by the number of installments in which real estate taxes
26    are billed and collected within the county; provided that

 

 

SB2435- 765 -LRB102 04062 AMC 14078 b

1    the payments on or before December 31, 1999 to a municipal
2    treasurer shall be made only if each of the following
3    conditions are met:
4            (1) The total equalized assessed value of the
5        redevelopment project area as last determined was not
6        less than 175% of the total initial equalized assessed
7        value.
8            (2) Not more than 50% of the total equalized
9        assessed value of the redevelopment project area as
10        last determined is attributable to a piece of property
11        assigned a single real estate index number.
12            (3) The municipal clerk has certified to the
13        county clerk that the municipality has issued its
14        obligations to which there has been pledged the
15        incremental property taxes of the redevelopment
16        project area or taxes levied and collected on any or
17        all property in the municipality or the full faith and
18        credit of the municipality to pay or secure payment
19        for all or a portion of the redevelopment project
20        costs. The certification shall be filed annually no
21        later than September 1 for the estimated taxes to be
22        distributed in the following year; however, for the
23        year 1992 the certification shall be made at any time
24        on or before March 31, 1992.
25            (4) The municipality has not requested that the
26        total initial equalized assessed value of real

 

 

SB2435- 766 -LRB102 04062 AMC 14078 b

1        property be adjusted as provided in subsection (b) of
2        Section 11-74.4-9.
3        The conditions of paragraphs (1) through (4) do not
4    apply after December 31, 1999 to payments to a municipal
5    treasurer made by a county with 3,000,000 or more
6    inhabitants that has adopted an estimated billing
7    procedure for collecting taxes. If a county that has
8    adopted the estimated billing procedure makes an erroneous
9    overpayment of tax revenue to the municipal treasurer,
10    then the county may seek a refund of that overpayment. The
11    county shall send the municipal treasurer a notice of
12    liability for the overpayment on or before the mailing
13    date of the next real estate tax bill within the county.
14    The refund shall be limited to the amount of the
15    overpayment.
16        It is the intent of this Division that after July 29,
17    1988 (the effective date of Public Act 85-1142) this
18    amendatory Act of 1988 a municipality's own ad valorem tax
19    arising from levies on taxable real property be included
20    in the determination of incremental revenue in the manner
21    provided in paragraph (c) of Section 11-74.4-9. If the
22    municipality does not extend such a tax, it shall annually
23    deposit in the municipality's Special Tax Increment Fund
24    an amount equal to 10% of the total contributions to the
25    fund from all other taxing districts in that year. The
26    annual 10% deposit required by this paragraph shall be

 

 

SB2435- 767 -LRB102 04062 AMC 14078 b

1    limited to the actual amount of municipally produced
2    incremental tax revenues available to the municipality
3    from taxpayers located in the redevelopment project area
4    in that year if: (a) the plan for the area restricts the
5    use of the property primarily to industrial purposes, (b)
6    the municipality establishing the redevelopment project
7    area is a home rule home-rule community with a 1990
8    population of between 25,000 and 50,000, (c) the
9    municipality is wholly located within a county with a 1990
10    population of over 750,000 and (d) the redevelopment
11    project area was established by the municipality prior to
12    June 1, 1990. This payment shall be in lieu of a
13    contribution of ad valorem taxes on real property. If no
14    such payment is made, any redevelopment project area of
15    the municipality shall be dissolved.
16        If a municipality has adopted tax increment allocation
17    financing by ordinance and the County Clerk thereafter
18    certifies the "total initial equalized assessed value as
19    adjusted" of the taxable real property within such
20    redevelopment project area in the manner provided in
21    paragraph (b) of Section 11-74.4-9, each year after the
22    date of the certification of the total initial equalized
23    assessed value as adjusted until redevelopment project
24    costs and all municipal obligations financing
25    redevelopment project costs have been paid the ad valorem
26    taxes, if any, arising from the levies upon the taxable

 

 

SB2435- 768 -LRB102 04062 AMC 14078 b

1    real property in such redevelopment project area by taxing
2    districts and tax rates determined in the manner provided
3    in paragraph (c) of Section 11-74.4-9 shall be divided as
4    follows, provided, however, that with respect to any
5    redevelopment project area located within a transit
6    facility improvement area established pursuant to Section
7    11-74.4-3.3 in a municipality with a population of
8    1,000,000 or more, ad valorem taxes, if any, arising from
9    the levies upon the taxable real property in such
10    redevelopment project area shall be allocated as
11    specifically provided in this Section:
12            (1) That portion of the taxes levied upon each
13        taxable lot, block, tract, or parcel of real property
14        which is attributable to the lower of the current
15        equalized assessed value or "current equalized
16        assessed value as adjusted" or the initial equalized
17        assessed value of each such taxable lot, block, tract,
18        or parcel of real property existing at the time tax
19        increment financing was adopted, minus the total
20        current homestead exemptions under Article 15 of the
21        Property Tax Code in the redevelopment project area
22        shall be allocated to and when collected shall be paid
23        by the county collector to the respective affected
24        taxing districts in the manner required by law in the
25        absence of the adoption of tax increment allocation
26        financing.

 

 

SB2435- 769 -LRB102 04062 AMC 14078 b

1            (2) That portion, if any, of such taxes which is
2        attributable to the increase in the current equalized
3        assessed valuation of each taxable lot, block, tract,
4        or parcel of real property in the redevelopment
5        project area, over and above the initial equalized
6        assessed value of each property existing at the time
7        tax increment financing was adopted, minus the total
8        current homestead exemptions pertaining to each piece
9        of property provided by Article 15 of the Property Tax
10        Code in the redevelopment project area, shall be
11        allocated to and when collected shall be paid to the
12        municipal Treasurer, who shall deposit said taxes into
13        a special fund called the special tax allocation fund
14        of the municipality for the purpose of paying
15        redevelopment project costs and obligations incurred
16        in the payment thereof.
17        The municipality may pledge in the ordinance the funds
18    in and to be deposited in the special tax allocation fund
19    for the payment of such costs and obligations. No part of
20    the current equalized assessed valuation of each property
21    in the redevelopment project area attributable to any
22    increase above the total initial equalized assessed value,
23    or the total initial equalized assessed value as adjusted,
24    of such properties shall be used in calculating the
25    general State aid formula, provided for in Section 18-8 of
26    the School Code, or the evidence-based funding formula,

 

 

SB2435- 770 -LRB102 04062 AMC 14078 b

1    provided for in Section 18-8.15 of the School Code, until
2    such time as all redevelopment project costs have been
3    paid as provided for in this Section.
4        Whenever a municipality issues bonds for the purpose
5    of financing redevelopment project costs, such
6    municipality may provide by ordinance for the appointment
7    of a trustee, which may be any trust company within the
8    State, and for the establishment of such funds or accounts
9    to be maintained by such trustee as the municipality shall
10    deem necessary to provide for the security and payment of
11    the bonds. If such municipality provides for the
12    appointment of a trustee, such trustee shall be considered
13    the assignee of any payments assigned by the municipality
14    pursuant to such ordinance and this Section. Any amounts
15    paid to such trustee as assignee shall be deposited in the
16    funds or accounts established pursuant to such trust
17    agreement, and shall be held by such trustee in trust for
18    the benefit of the holders of the bonds, and such holders
19    shall have a lien on and a security interest in such funds
20    or accounts so long as the bonds remain outstanding and
21    unpaid. Upon retirement of the bonds, the trustee shall
22    pay over any excess amounts held to the municipality for
23    deposit in the special tax allocation fund.
24        When such redevelopment projects costs, including,
25    without limitation, all municipal obligations financing
26    redevelopment project costs incurred under this Division,

 

 

SB2435- 771 -LRB102 04062 AMC 14078 b

1    have been paid, all surplus funds then remaining in the
2    special tax allocation fund shall be distributed by being
3    paid by the municipal treasurer to the Department of
4    Revenue, the municipality and the county collector; first
5    to the Department of Revenue and the municipality in
6    direct proportion to the tax incremental revenue received
7    from the State and the municipality, but not to exceed the
8    total incremental revenue received from the State or the
9    municipality less any annual surplus distribution of
10    incremental revenue previously made; with any remaining
11    funds to be paid to the County Collector who shall
12    immediately thereafter pay said funds to the taxing
13    districts in the redevelopment project area in the same
14    manner and proportion as the most recent distribution by
15    the county collector to the affected districts of real
16    property taxes from real property in the redevelopment
17    project area.
18        Upon the payment of all redevelopment project costs,
19    the retirement of obligations, the distribution of any
20    excess monies pursuant to this Section, and final closing
21    of the books and records of the redevelopment project
22    area, the municipality shall adopt an ordinance dissolving
23    the special tax allocation fund for the redevelopment
24    project area and terminating the designation of the
25    redevelopment project area as a redevelopment project
26    area. Title to real or personal property and public

 

 

SB2435- 772 -LRB102 04062 AMC 14078 b

1    improvements acquired by or for the municipality as a
2    result of the redevelopment project and plan shall vest in
3    the municipality when acquired and shall continue to be
4    held by the municipality after the redevelopment project
5    area has been terminated. Municipalities shall notify
6    affected taxing districts prior to November 1 if the
7    redevelopment project area is to be terminated by December
8    31 of that same year. If a municipality extends estimated
9    dates of completion of a redevelopment project and
10    retirement of obligations to finance a redevelopment
11    project, as allowed by Public Act 87-1272 this amendatory
12    Act of 1993, that extension shall not extend the property
13    tax increment allocation financing authorized by this
14    Section. Thereafter the rates of the taxing districts
15    shall be extended and taxes levied, collected and
16    distributed in the manner applicable in the absence of the
17    adoption of tax increment allocation financing.
18        If a municipality with a population of 1,000,000 or
19    more has adopted by ordinance tax increment allocation
20    financing for a redevelopment project area located in a
21    transit facility improvement area established pursuant to
22    Section 11-74.4-3.3, for each year after the effective
23    date of the ordinance until redevelopment project costs
24    and all municipal obligations financing redevelopment
25    project costs have been paid, the ad valorem taxes, if
26    any, arising from the levies upon the taxable real

 

 

SB2435- 773 -LRB102 04062 AMC 14078 b

1    property in that redevelopment project area by taxing
2    districts and tax rates determined in the manner provided
3    in paragraph (c) of Section 11-74.4-9 shall be divided as
4    follows:
5            (1) That portion of the taxes levied upon each
6        taxable lot, block, tract, or parcel of real property
7        which is attributable to the lower of (i) the current
8        equalized assessed value or "current equalized
9        assessed value as adjusted" or (ii) the initial
10        equalized assessed value of each such taxable lot,
11        block, tract, or parcel of real property existing at
12        the time tax increment financing was adopted, minus
13        the total current homestead exemptions under Article
14        15 of the Property Tax Code in the redevelopment
15        project area shall be allocated to and when collected
16        shall be paid by the county collector to the
17        respective affected taxing districts in the manner
18        required by law in the absence of the adoption of tax
19        increment allocation financing.
20            (2) That portion, if any, of such taxes which is
21        attributable to the increase in the current equalized
22        assessed valuation of each taxable lot, block, tract,
23        or parcel of real property in the redevelopment
24        project area, over and above the initial equalized
25        assessed value of each property existing at the time
26        tax increment financing was adopted, minus the total

 

 

SB2435- 774 -LRB102 04062 AMC 14078 b

1        current homestead exemptions pertaining to each piece
2        of property provided by Article 15 of the Property Tax
3        Code in the redevelopment project area, shall be
4        allocated to and when collected shall be paid by the
5        county collector as follows:
6                (A) First, that portion which would be payable
7            to a school district whose boundaries are
8            coterminous with such municipality in the absence
9            of the adoption of tax increment allocation
10            financing, shall be paid to such school district
11            in the manner required by law in the absence of the
12            adoption of tax increment allocation financing;
13            then
14                (B) 80% of the remaining portion shall be paid
15            to the municipal Treasurer, who shall deposit said
16            taxes into a special fund called the special tax
17            allocation fund of the municipality for the
18            purpose of paying redevelopment project costs and
19            obligations incurred in the payment thereof; and
20            then
21                (C) 20% of the remaining portion shall be paid
22            to the respective affected taxing districts, other
23            than the school district described in clause (a)
24            above, in the manner required by law in the
25            absence of the adoption of tax increment
26            allocation financing.

 

 

SB2435- 775 -LRB102 04062 AMC 14078 b

1    Nothing in this Section shall be construed as relieving
2property in such redevelopment project areas from being
3assessed as provided in the Property Tax Code or as relieving
4owners of such property from paying a uniform rate of taxes, as
5required by Section 4 of Article IX of the Illinois
6Constitution.
7(Source: P.A. 99-792, eff. 8-12-16; 100-465, eff. 8-31-17;
8revised 8-8-19.)
 
9    (65 ILCS 5/11-74.6-35)
10    Sec. 11-74.6-35. Ordinance for tax increment allocation
11financing.
12    (a) A municipality, at the time a redevelopment project
13area is designated, may adopt tax increment allocation
14financing by passing an ordinance providing that the ad
15valorem taxes, if any, arising from the levies upon taxable
16real property within the redevelopment project area by taxing
17districts and tax rates determined in the manner provided in
18subsection (b) of Section 11-74.6-40 each year after the
19effective date of the ordinance until redevelopment project
20costs and all municipal obligations financing redevelopment
21project costs incurred under this Act have been paid shall be
22divided as follows:
23        (1) That portion of the taxes levied upon each taxable
24    lot, block, tract, or parcel of real property that is
25    attributable to the lower of the current equalized

 

 

SB2435- 776 -LRB102 04062 AMC 14078 b

1    assessed value or the initial equalized assessed value or
2    the updated initial equalized assessed value of each
3    taxable lot, block, tract, or parcel of real property in
4    the redevelopment project area shall be allocated to and
5    when collected shall be paid by the county collector to
6    the respective affected taxing districts in the manner
7    required by law without regard to the adoption of tax
8    increment allocation financing.
9        (2) That portion, if any, of those taxes that is
10    attributable to the increase in the current equalized
11    assessed value of each taxable lot, block, tract, or
12    parcel of real property in the redevelopment project area,
13    over and above the initial equalized assessed value or the
14    updated initial equalized assessed value of each property
15    in the project area, shall be allocated to and when
16    collected shall be paid by the county collector to the
17    municipal treasurer who shall deposit that portion of
18    those taxes into a special fund called the special tax
19    allocation fund of the municipality for the purpose of
20    paying redevelopment project costs and obligations
21    incurred in the payment of those costs and obligations. In
22    any county with a population of 3,000,000 or more that has
23    adopted a procedure for collecting taxes that provides for
24    one or more of the installments of the taxes to be billed
25    and collected on an estimated basis, the municipal
26    treasurer shall be paid for deposit in the special tax

 

 

SB2435- 777 -LRB102 04062 AMC 14078 b

1    allocation fund of the municipality, from the taxes
2    collected from estimated bills issued for property in the
3    redevelopment project area, the difference between the
4    amount actually collected from each taxable lot, block,
5    tract, or parcel of real property within the redevelopment
6    project area and an amount determined by multiplying the
7    rate at which taxes were last extended against the taxable
8    lot, block, tract track, or parcel of real property in the
9    manner provided in subsection (b) of Section 11-74.6-40 by
10    the initial equalized assessed value or the updated
11    initial equalized assessed value of the property divided
12    by the number of installments in which real estate taxes
13    are billed and collected within the county, provided that
14    the payments on or before December 31, 1999 to a municipal
15    treasurer shall be made only if each of the following
16    conditions are met:
17            (A) The total equalized assessed value of the
18        redevelopment project area as last determined was not
19        less than 175% of the total initial equalized assessed
20        value.
21            (B) Not more than 50% of the total equalized
22        assessed value of the redevelopment project area as
23        last determined is attributable to a piece of property
24        assigned a single real estate index number.
25            (C) The municipal clerk has certified to the
26        county clerk that the municipality has issued its

 

 

SB2435- 778 -LRB102 04062 AMC 14078 b

1        obligations to which there has been pledged the
2        incremental property taxes of the redevelopment
3        project area or taxes levied and collected on any or
4        all property in the municipality or the full faith and
5        credit of the municipality to pay or secure payment
6        for all or a portion of the redevelopment project
7        costs. The certification shall be filed annually no
8        later than September 1 for the estimated taxes to be
9        distributed in the following year.
10    The conditions of paragraphs (A) through (C) do not apply
11after December 31, 1999 to payments to a municipal treasurer
12made by a county with 3,000,000 or more inhabitants that has
13adopted an estimated billing procedure for collecting taxes.
14If a county that has adopted the estimated billing procedure
15makes an erroneous overpayment of tax revenue to the municipal
16treasurer, then the county may seek a refund of that
17overpayment. The county shall send the municipal treasurer a
18notice of liability for the overpayment on or before the
19mailing date of the next real estate tax bill within the
20county. The refund shall be limited to the amount of the
21overpayment.
22    (b) It is the intent of this Act that a municipality's own
23ad valorem tax arising from levies on taxable real property be
24included in the determination of incremental revenue in the
25manner provided in paragraph (b) of Section 11-74.6-40.
26    (c) If a municipality has adopted tax increment allocation

 

 

SB2435- 779 -LRB102 04062 AMC 14078 b

1financing for a redevelopment project area by ordinance and
2the county clerk thereafter certifies the total initial
3equalized assessed value or the total updated initial
4equalized assessed value of the taxable real property within
5such redevelopment project area in the manner provided in
6paragraph (a) or (b) of Section 11-74.6-40, each year after
7the date of the certification of the total initial equalized
8assessed value or the total updated initial equalized assessed
9value until redevelopment project costs and all municipal
10obligations financing redevelopment project costs have been
11paid, the ad valorem taxes, if any, arising from the levies
12upon the taxable real property in the redevelopment project
13area by taxing districts and tax rates determined in the
14manner provided in paragraph (b) of Section 11-74.6-40 shall
15be divided as follows:
16        (1) That portion of the taxes levied upon each taxable
17    lot, block, tract or parcel of real property that is
18    attributable to the lower of the current equalized
19    assessed value or the initial equalized assessed value, or
20    the updated initial equalized assessed value of each
21    parcel if the updated initial equalized assessed value of
22    that parcel has been certified in accordance with Section
23    11-74.6-40, whichever has been most recently certified, of
24    each taxable lot, block, tract, or parcel of real property
25    existing at the time tax increment allocation financing
26    was adopted in the redevelopment project area, shall be

 

 

SB2435- 780 -LRB102 04062 AMC 14078 b

1    allocated to and when collected shall be paid by the
2    county collector to the respective affected taxing
3    districts in the manner required by law without regard to
4    the adoption of tax increment allocation financing.
5        (2) That portion, if any, of those taxes that is
6    attributable to the increase in the current equalized
7    assessed value of each taxable lot, block, tract, or
8    parcel of real property in the redevelopment project area,
9    over and above the initial equalized assessed value of
10    each property existing at the time tax increment
11    allocation financing was adopted in the redevelopment
12    project area, or the updated initial equalized assessed
13    value of each parcel if the updated initial equalized
14    assessed value of that parcel has been certified in
15    accordance with Section 11-74.6-40, shall be allocated to
16    and when collected shall be paid to the municipal
17    treasurer, who shall deposit those taxes into a special
18    fund called the special tax allocation fund of the
19    municipality for the purpose of paying redevelopment
20    project costs and obligations incurred in the payment
21    thereof.
22    (d) The municipality may pledge in the ordinance the funds
23in and to be deposited in the special tax allocation fund for
24the payment of redevelopment project costs and obligations. No
25part of the current equalized assessed value of each property
26in the redevelopment project area attributable to any increase

 

 

SB2435- 781 -LRB102 04062 AMC 14078 b

1above the total initial equalized assessed value or the total
2initial updated equalized assessed value of the property,
3shall be used in calculating the general State aid formula,
4provided for in Section 18-8 of the School Code, or the
5evidence-based funding formula, provided for in Section
618-8.15 of the School Code, until all redevelopment project
7costs have been paid as provided for in this Section.
8    Whenever a municipality issues bonds for the purpose of
9financing redevelopment project costs, that municipality may
10provide by ordinance for the appointment of a trustee, which
11may be any trust company within the State, and for the
12establishment of any funds or accounts to be maintained by
13that trustee, as the municipality deems necessary to provide
14for the security and payment of the bonds. If the municipality
15provides for the appointment of a trustee, the trustee shall
16be considered the assignee of any payments assigned by the
17municipality under that ordinance and this Section. Any
18amounts paid to the trustee as assignee shall be deposited
19into the funds or accounts established under the trust
20agreement, and shall be held by the trustee in trust for the
21benefit of the holders of the bonds. The holders of those bonds
22shall have a lien on and a security interest in those funds or
23accounts while the bonds remain outstanding and unpaid. Upon
24retirement of the bonds, the trustee shall pay over any excess
25amounts held to the municipality for deposit in the special
26tax allocation fund.

 

 

SB2435- 782 -LRB102 04062 AMC 14078 b

1    When the redevelopment projects costs, including without
2limitation all municipal obligations financing redevelopment
3project costs incurred under this Law, have been paid, all
4surplus funds then remaining in the special tax allocation
5fund shall be distributed by being paid by the municipal
6treasurer to the municipality and the county collector; first
7to the municipality in direct proportion to the tax
8incremental revenue received from the municipality, but not to
9exceed the total incremental revenue received from the
10municipality, minus any annual surplus distribution of
11incremental revenue previously made. Any remaining funds shall
12be paid to the county collector who shall immediately
13distribute that payment to the taxing districts in the
14redevelopment project area in the same manner and proportion
15as the most recent distribution by the county collector to the
16affected districts of real property taxes from real property
17situated in the redevelopment project area.
18    Upon the payment of all redevelopment project costs,
19retirement of obligations and the distribution of any excess
20moneys under this Section, the municipality shall adopt an
21ordinance dissolving the special tax allocation fund for the
22redevelopment project area and terminating the designation of
23the redevelopment project area as a redevelopment project
24area. Thereafter the tax levies of taxing districts shall be
25extended, collected and distributed in the same manner
26applicable before the adoption of tax increment allocation

 

 

SB2435- 783 -LRB102 04062 AMC 14078 b

1financing. Municipality shall notify affected taxing districts
2prior to November if the redevelopment project area is to be
3terminated by December 31 of that same year.
4    Nothing in this Section shall be construed as relieving
5property in a redevelopment project area from being assessed
6as provided in the Property Tax Code or as relieving owners of
7that property from paying a uniform rate of taxes, as required
8by Section 4 of Article IX of the Illinois Constitution.
9(Source: P.A. 100-465, eff. 8-31-17; revised 8-8-19.)
 
10    (65 ILCS 5/11-101-3)
11    Sec. 11-101-3. Noise mitigation; air quality.
12    (a) A municipality that has implemented a Residential
13Sound Insulation Program to mitigate aircraft noise shall
14perform indoor air quality monitoring and laboratory analysis
15of windows and doors installed pursuant to the Residential
16Sound Insulation Program to determine whether there are any
17adverse health impacts associated with off-gassing from such
18windows and doors. Such monitoring and analysis shall be
19consistent with applicable professional and industry
20standards. The municipality shall make any final reports
21resulting from such monitoring and analysis available to the
22public on the municipality's website. The municipality shall
23develop a science-based mitigation plan to address significant
24health-related impacts, if any, associated with such windows
25and doors as determined by the results of the monitoring and

 

 

SB2435- 784 -LRB102 04062 AMC 14078 b

1analysis. In a municipality that has implemented a Residential
2Sound Insulation Program to mitigate aircraft noise, if
3requested by the homeowner pursuant to a process established
4by the municipality, which process shall include, at a
5minimum, notification in a newspaper of general circulation
6and a mailer sent to every address identified as a recipient of
7windows and doors installed under the Residential Sound
8Insulation Program, the municipality shall replace all windows
9and doors installed under the Residential Sound Insulation
10Program in such homes where one or more windows or doors have
11been found to have caused offensive odors. Only those
12homeowners who request that the municipality perform an odor
13inspection as prescribed by the process established by the
14municipality within 6 months of notification being published
15and mailers being sent shall be eligible for odorous window
16and odorous door replacement. Homes that have been identified
17by the municipality as having odorous windows or doors are not
18required to make said request to the municipality. The right
19to make a claim for replacement and have it considered
20pursuant to this Section shall not be affected by the fact of
21odor-related claims made or odor-related products received
22pursuant to the Residential Sound Insulation Program prior to
23June 5, 2019 (the effective date of this Section). The
24municipality shall also perform in-home air quality testing in
25residences in which windows and doors are replaced under this
26Section. In order to receive in-home air quality testing, a

 

 

SB2435- 785 -LRB102 04062 AMC 14078 b

1homeowner must request such testing from the municipality, and
2the total number of homes tested in any given year shall not
3exceed 25% of the total number of homes in which windows and
4doors were replaced under this Section in the prior calendar
5year.
6    (b) An advisory committee shall be formed, composed of the
7following: (i) 2 members of the municipality who reside in
8homes that have received windows or doors pursuant to the
9Residential Sound Insulation Program and have been identified
10by the municipality as having odorous windows or doors,
11appointed by the Secretary of Transportation; (ii) one
12employee of the Aeronautics Division of the Department of
13Transportation; and (iii) 2 employees of the municipality that
14implemented the Residential Sound Insulation Program in
15question. The advisory committee shall determine by majority
16vote which homes contain windows or doors that cause offensive
17odors and thus are eligible for replacement, shall promulgate
18a list of such homes, and shall develop recommendations as to
19the order in which homes are to receive window replacement.
20The recommendations shall include reasonable and objective
21criteria for determining which windows or doors are odorous,
22consideration of the date of odor confirmation for
23prioritization, severity of odor, geography and individual
24hardship, and shall provide such recommendations to the
25municipality. The advisory committee shall comply with the
26requirements of the Open Meetings Act. The Chicago Department

 

 

SB2435- 786 -LRB102 04062 AMC 14078 b

1of Aviation shall provide administrative support to the
2committee commission. The municipality shall consider the
3recommendations of the committee but shall retain final
4decision-making authority over replacement of windows and
5doors installed under the Residential Sound Insulation
6Program, and shall comply with all federal, State, and local
7laws involving procurement. A municipality administering
8claims pursuant to this Section shall provide to every address
9identified as having submitted a valid claim under this
10Section a quarterly report setting forth the municipality's
11activities undertaken pursuant to this Section for that
12quarter. However, the municipality shall replace windows and
13doors pursuant to this Section only if, and to the extent,
14grants are distributed to, and received by, the municipality
15from the Sound-Reducing Windows and Doors Replacement Fund for
16the costs associated with the replacement of sound-reducing
17windows and doors installed under the Residential Sound
18Insulation Program pursuant to Section 6z-20.1 of the State
19Finance Act. In addition, the municipality shall revise its
20specifications for procurement of windows for the Residential
21Sound Insulation Program to address potential off-gassing from
22such windows in future phases of the program. A municipality
23subject to the Section shall not legislate or otherwise
24regulate with regard to indoor air quality monitoring,
25laboratory analysis or replacement requirements, except as
26provided in this Section, but the foregoing restriction shall

 

 

SB2435- 787 -LRB102 04062 AMC 14078 b

1not limit said municipality's taxing power.
2    (c) A home rule unit may not regulate indoor air quality
3monitoring and laboratory analysis, and related mitigation and
4mitigation plans, in a manner inconsistent with this Section.
5This Section is a limitation of home rule powers and functions
6under subsection (i) of Section 6 of Article VII of the
7Illinois Constitution on the concurrent exercise by home rule
8units of powers and functions exercised by the State.
9    (d) This Section shall not be construed to create a
10private right of action.
11(Source: P.A. 101-10, eff. 6-5-19; 101-604, eff. 12-13-19;
12101-636, eff. 6-10-20; revised 8-20-20.)
 
13    Section 315. The River Edge Redevelopment Zone Act is
14amended by changing Section 10-10.4 as follows:
 
15    (65 ILCS 115/10-10.4)
16    Sec. 10-10.4. Certified payroll. (a) Any contractor and
17each subcontractor who is engaged in and is executing a River
18Edge construction jobs project for a taxpayer that is entitled
19to a credit pursuant to Section 10-10.3 of this Act shall:
20        (1) make and keep, for a period of 5 years from the
21    date of the last payment made on or after June 5, 2019 (the
22    effective date of Public Act 101-9) this amendatory Act of
23    the 101st General Assembly on a contract or subcontract
24    for a River Edge Construction Jobs Project in a River Edge

 

 

SB2435- 788 -LRB102 04062 AMC 14078 b

1    Redevelopment Zone records of all laborers and other
2    workers employed by them on the project; the records shall
3    include:
4            (A) the worker's name;
5            (B) the worker's address;
6            (C) the worker's telephone number, if available;
7            (D) the worker's social security number;
8            (E) the worker's classification or
9        classifications;
10            (F) the worker's gross and net wages paid in each
11        pay period;
12            (G) the worker's number of hours worked each day;
13            (H) the worker's starting and ending times of work
14        each day;
15            (I) the worker's hourly wage rate; and
16            (J) the worker's hourly overtime wage rate; and
17        (2) no later than the 15th day of each calendar month,
18    provide a certified payroll for the immediately preceding
19    month to the taxpayer in charge of the project; within 5
20    business days after receiving the certified payroll, the
21    taxpayer shall file the certified payroll with the
22    Department of Labor and the Department of Commerce and
23    Economic Opportunity; a certified payroll must be filed
24    for only those calendar months during which construction
25    on a River Edge Construction Jobs Project has occurred;
26    the certified payroll shall consist of a complete copy of

 

 

SB2435- 789 -LRB102 04062 AMC 14078 b

1    the records identified in paragraph (1), but may exclude
2    the starting and ending times of work each day; the
3    certified payroll shall be accompanied by a statement
4    signed by the contractor or subcontractor or an officer,
5    employee, or agent of the contractor or subcontractor
6    which avers that:
7            (A) he or she has examined the certified payroll
8        records required to be submitted and such records are
9        true and accurate; and
10            (B) the contractor or subcontractor is aware that
11        filing a certified payroll that he or she knows to be
12        false is a Class A misdemeanor.
13    A general contractor is not prohibited from relying on a
14certified payroll of a lower-tier subcontractor, provided the
15general contractor does not knowingly rely upon a
16subcontractor's false certification.
17    Any contractor or subcontractor subject to this Section,
18and any officer, employee, or agent of such contractor or
19subcontractor whose duty as an officer, employee, or agent it
20is to file a certified payroll under this Section, who
21willfully fails to file such a certified payroll on or before
22the date such certified payroll is required to be filed and any
23person who willfully files a false certified payroll that is
24false as to any material fact is in violation of this Act and
25guilty of a Class A misdemeanor.
26    The taxpayer in charge of the project shall keep the

 

 

SB2435- 790 -LRB102 04062 AMC 14078 b

1records submitted in accordance with this Section on or after
2June 5, 2019 (the effective date of Public Act 101-9) this
3amendatory Act of the 101st General Assembly for a period of 5
4years from the date of the last payment for work on a contract
5or subcontract for the project.
6    The records submitted in accordance with this Section
7subsection shall be considered public records, except an
8employee's address, telephone number, and social security
9number, and made available in accordance with the Freedom of
10Information Act. The Department of Labor shall accept any
11reasonable submissions by the contractor that meet the
12requirements of this Section subsection and shall share the
13information with the Department in order to comply with the
14awarding of River Edge construction jobs credits. A
15contractor, subcontractor, or public body may retain records
16required under this Section in paper or electronic format.
17    Upon 7 business days' notice, the contractor and each
18subcontractor shall make available for inspection and copying
19at a location within this State during reasonable hours, the
20records identified in paragraph (1) of this Section subsection
21to the taxpayer in charge of the project, its officers and
22agents, the Director of Labor and his or her deputies and
23agents, and to federal, State, or local law enforcement
24agencies and prosecutors.
25(Source: P.A. 101-9, eff. 6-5-19; revised 8-9-19.)
 

 

 

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1    Section 320. The Metropolitan Pier and Exposition
2Authority Act is amended by changing Section 13.2 as follows:
 
3    (70 ILCS 210/13.2)  (from Ch. 85, par. 1233.2)
4    Sec. 13.2. The McCormick Place Expansion Project Fund is
5created in the State Treasury. All moneys in the McCormick
6Place Expansion Project Fund are allocated to and shall be
7appropriated and used only for the purposes authorized by and
8subject to the limitations and conditions of this Section.
9Those amounts may be appropriated by law to the Authority for
10the purposes of paying the debt service requirements on all
11bonds and notes, including bonds and notes issued to refund or
12advance refund bonds and notes issued under this Section,
13Section 13.1, or issued to refund or advance refund bonds and
14notes otherwise issued under this Act, (collectively referred
15to as "bonds") to be issued by the Authority under this Section
16in an aggregate original principal amount (excluding the
17amount of any bonds and notes issued to refund or advance
18refund bonds or notes issued under this Section and Section
1913.1) not to exceed $2,850,000,000 for the purposes of
20carrying out and performing its duties and exercising its
21powers under this Act. The increased debt authorization of
22$450,000,000 provided by Public Act 96-898 shall be used
23solely for the purpose of: (i) hotel construction and related
24necessary capital improvements; (ii) other needed capital
25improvements to existing facilities; and (iii) land

 

 

SB2435- 792 -LRB102 04062 AMC 14078 b

1acquisition for and construction of one multi-use facility on
2property bounded by East Cermak Road on the south, East 21st
3Street on the north, South Indiana Avenue on the west, and
4South Prairie Avenue on the east in the City of Chicago, Cook
5County, Illinois; these limitations do not apply to the
6increased debt authorization provided by Public Act 100-23. No
7bonds issued to refund or advance refund bonds issued under
8this Section may mature later than 40 years from the date of
9issuance of the refunding or advance refunding bonds. After
10the aggregate original principal amount of bonds authorized in
11this Section has been issued, the payment of any principal
12amount of such bonds does not authorize the issuance of
13additional bonds (except refunding bonds). Any bonds and notes
14issued under this Section in any year in which there is an
15outstanding "post-2010 deficiency amount" as that term is
16defined in Section 13 (g)(3) of this Act shall provide for the
17payment to the State Treasurer of the amount of that
18deficiency. Proceeds from the sale of bonds issued pursuant to
19the increased debt authorization provided by Public Act 100-23
20may be used for any corporate purpose of the Authority in
21fiscal years 2021 and 2022 and for the payment to the State
22Treasurer of any unpaid amounts described in paragraph (3) of
23subsection (g) of Section 13 of this Act as part of the "2010
24deficiency amount" or the "Post-2010 deficiency amount".
25    On the first day of each month commencing after July 1,
261993, amounts, if any, on deposit in the McCormick Place

 

 

SB2435- 793 -LRB102 04062 AMC 14078 b

1Expansion Project Fund shall, subject to appropriation, be
2paid in full to the Authority or, upon its direction, to the
3trustee or trustees for bondholders of bonds that by their
4terms are payable from the moneys received from the McCormick
5Place Expansion Project Fund, until an amount equal to 100% of
6the aggregate amount of the principal and interest in the
7fiscal year, including that pursuant to sinking fund
8requirements, has been so paid and deficiencies in reserves
9shall have been remedied.
10    The State of Illinois pledges to and agrees with the
11holders of the bonds of the Metropolitan Pier and Exposition
12Authority issued under this Section that the State will not
13limit or alter the rights and powers vested in the Authority by
14this Act so as to impair the terms of any contract made by the
15Authority with those holders or in any way impair the rights
16and remedies of those holders until the bonds, together with
17interest thereon, interest on any unpaid installments of
18interest, and all costs and expenses in connection with any
19action or proceedings by or on behalf of those holders are
20fully met and discharged; provided that any increase in the
21Tax Act Amounts specified in Section 3 of the Retailers'
22Occupation Tax Act, Section 9 of the Use Tax Act, Section 9 of
23the Service Use Tax Act, and Section 9 of the Service
24Occupation Tax Act required to be deposited into the Build
25Illinois Bond Account in the Build Illinois Fund pursuant to
26any law hereafter enacted shall not be deemed to impair the

 

 

SB2435- 794 -LRB102 04062 AMC 14078 b

1rights of such holders so long as the increase does not result
2in the aggregate debt service payable in the current or any
3future fiscal year of the State on all bonds issued pursuant to
4the Build Illinois Bond Act and the Metropolitan Pier and
5Exposition Authority Act and payable from tax revenues
6specified in Section 3 of the Retailers' Occupation Tax Act,
7Section 9 of the Use Tax Act, Section 9 of the Service Use Tax
8Act, and Section 9 of the Service Occupation Tax Act exceeding
933 1/3% of such tax revenues for the most recently completed
10fiscal year of the State at the time of such increase. In
11addition, the State pledges to and agrees with the holders of
12the bonds of the Authority issued under this Section that the
13State will not limit or alter the basis on which State funds
14are to be paid to the Authority as provided in this Act or the
15use of those funds so as to impair the terms of any such
16contract; provided that any increase in the Tax Act Amounts
17specified in Section 3 of the Retailers' Occupation Tax Act,
18Section 9 of the Use Tax Act, Section 9 of the Service Use Tax
19Act, and Section 9 of the Service Occupation Tax Act required
20to be deposited into the Build Illinois Bond Account in the
21Build Illinois Fund pursuant to any law hereafter enacted
22shall not be deemed to impair the terms of any such contract so
23long as the increase does not result in the aggregate debt
24service payable in the current or any future fiscal year of the
25State on all bonds issued pursuant to the Build Illinois Bond
26Act and the Metropolitan Pier and Exposition Authority Act and

 

 

SB2435- 795 -LRB102 04062 AMC 14078 b

1payable from tax revenues specified in Section 3 of the
2Retailers' Occupation Tax Act, Section 9 of the Use Tax Act,
3Section 9 of the Service Use Tax Act, and Section 9 of the
4Service Occupation Tax Act exceeding 33 1/3% of such tax
5revenues for the most recently completed fiscal year of the
6State at the time of such increase. The Authority is
7authorized to include these pledges and agreements with the
8State in any contract with the holders of bonds issued under
9this Section.
10    The State shall not be liable on bonds of the Authority
11issued under this Section, those bonds shall not be a debt of
12the State, and this Act shall not be construed as a guarantee
13by the State of the debts of the Authority. The bonds shall
14contain a statement to this effect on the face of the bonds.
15(Source: P.A. 100-23, eff. 7-6-17; 101-636, eff. 6-10-20;
16revised 8-20-20.)
 
17    Section 325. The Fire Protection District Act is amended
18by changing Sections 11k and 16.06b as follows:
 
19    (70 ILCS 705/11k)
20    Sec. 11k. Competitive bidding; notice requirements.
21    (a) The board of trustees shall have the power to acquire
22by gift, legacy, or purchase any personal property necessary
23for its corporate purposes provided that all contracts for
24supplies, materials, or work involving an expenditure in

 

 

SB2435- 796 -LRB102 04062 AMC 14078 b

1excess of $20,000 shall be let to the lowest responsible
2bidder after advertising as required under subsection (b) of
3this Section. The board is not required to accept a bid that
4does not meet the district's established specifications, terms
5of delivery, quality, and serviceability requirements.
6Contracts which, by their nature, are not adapted to award by
7competitive bidding, are not subject to competitive bidding,
8including, but not limited to:
9        (1) contracts for the services of individuals
10    possessing a high degree of professional skill where the
11    ability or fitness of the individual plays an important
12    part;
13        (2) contracts for the printing of finance committee
14    reports and departmental reports;
15        (3) contracts for the printing or engraving of bonds,
16    tax warrants, and other evidences of indebtedness;
17        (4) contracts for the maintenance or servicing of, or
18    provision of repair parts for, equipment which are made
19    with the manufacturer or authorized service agent of that
20    equipment where the provision of parts, maintenance, or
21    servicing can best be performed by the manufacturer or
22    authorized service agent, or which involve proprietary
23    parts or technology not otherwise available;
24        (5) purchases and contracts for the use, purchase,
25    delivery, movement, or installation of data processing
26    equipment, software, or services and telecommunications

 

 

SB2435- 797 -LRB102 04062 AMC 14078 b

1    and interconnect equipment, software, and services;
2        (6) contracts for duplicating machines and supplies;
3        (7) contracts for utility services such as water,
4    light, heat, telephone or telegraph;
5        (8) contracts for goods or services procured from
6    another governmental agency;
7        (9) purchases of equipment previously owned by some
8    entity other than the district itself; and
9        (10) contracts for goods or services which are
10    economically procurable from only one source, such as for
11    the purchase of magazines, books, periodicals, pamphlets,
12    reports, and online subscriptions.
13    Contracts for emergency expenditures are also exempt from
14competitive bidding when the emergency expenditure is approved
15by a vote of 3/4 of the members of the board.
16    (b) Except as otherwise provided in subsection (a) of this
17Section, all proposals to award contracts involving amounts in
18excess of $20,000 shall be published at least 10 days,
19excluding Sundays and legal holidays, in advance of the date
20announced for the receiving of bids, in a secular English
21language newspaper of general circulation throughout the
22district. In addition, a fire protection district that has a
23website that the full-time staff of the district maintains
24shall post notice on its website of all proposals to award
25contracts in excess of $20,000. Advertisements for bids shall
26describe the character of the proposed contract or agreement

 

 

SB2435- 798 -LRB102 04062 AMC 14078 b

1in sufficient detail to enable the bidders thereon to know
2what their obligations will be, either in the advertisement
3itself, or by reference to detailed plans and specifications
4on file at the time of the publication of the first
5announcement. Such advertisement shall also state the date,
6time and place assigned for the opening of bids, and no bids
7shall be received at any time subsequent to the time indicated
8in the announcement. All competitive bids for contracts
9involving an expenditure in excess of $20,000 must be sealed
10by the bidder and must be opened by a member of the board or an
11employee of the district at a public bid opening at which the
12contents of the bids must be announced. Each bidder must
13receive at least 3 days' days notice of the time and place of
14the bid opening.
15    (c) In addition to contracts entered into under the
16Governmental Joint Purchasing Act, a board of trustees may
17enter into contracts for supplies, materials, or work
18involving an expenditure in excess of $20,000 through
19participation in a joint governmental or nongovernmental
20purchasing program that requires as part of its selection
21procedure a competitive solicitation and procurement process.
22(Source: P.A. 101-41, eff. 7-12-19; 101-139, eff. 7-26-19;
23revised 8-19-19.)
 
24    (70 ILCS 705/16.06b)
25    Sec. 16.06b. Original appointments; full-time fire

 

 

SB2435- 799 -LRB102 04062 AMC 14078 b

1department.
2    (a) Applicability. Unless a commission elects to follow
3the provisions of Section 16.06c, this Section shall apply to
4all original appointments to an affected full-time fire
5department. Existing registers of eligibles shall continue to
6be valid until their expiration dates, or up to a maximum of 2
7years after August 4, 2011 (the effective date of Public Act
897-251) this amendatory Act of the 97th General Assembly.
9    Notwithstanding any statute, ordinance, rule, or other law
10to the contrary, all original appointments to an affected
11department to which this Section applies shall be administered
12in a no less stringent manner than the manner provided for in
13this Section. Provisions of the Illinois Municipal Code, Fire
14Protection District Act, fire district ordinances, and rules
15adopted pursuant to such authority and other laws relating to
16initial hiring of firefighters in affected departments shall
17continue to apply to the extent they are compatible with this
18Section, but in the event of a conflict between this Section
19and any other law, this Section shall control.
20    A fire protection district that is operating under a court
21order or consent decree regarding original appointments to a
22full-time fire department before August 4, 2011 (the effective
23date of Public Act 97-251) this amendatory Act of the 97th
24General Assembly is exempt from the requirements of this
25Section for the duration of the court order or consent decree.
26    (b) Original appointments. All original appointments made

 

 

SB2435- 800 -LRB102 04062 AMC 14078 b

1to an affected fire department shall be made from a register of
2eligibles established in accordance with the processes
3required by this Section. Only persons who meet or exceed the
4performance standards required by the Section shall be placed
5on a register of eligibles for original appointment to an
6affected fire department.
7    Whenever an appointing authority authorizes action to hire
8a person to perform the duties of a firefighter or to hire a
9firefighter-paramedic to fill a position that is a new
10position or vacancy due to resignation, discharge, promotion,
11death, the granting of a disability or retirement pension, or
12any other cause, the appointing authority shall appoint to
13that position the person with the highest ranking on the final
14eligibility list. If the appointing authority has reason to
15conclude that the highest ranked person fails to meet the
16minimum standards for the position or if the appointing
17authority believes an alternate candidate would better serve
18the needs of the department, then the appointing authority has
19the right to pass over the highest ranked person and appoint
20either: (i) any person who has a ranking in the top 5% of the
21register of eligibles or (ii) any person who is among the top 5
22highest ranked persons on the list of eligibles if the number
23of people who have a ranking in the top 5% of the register of
24eligibles is less than 5 people.
25    Any candidate may pass on an appointment once without
26losing his or her position on the register of eligibles. Any

 

 

SB2435- 801 -LRB102 04062 AMC 14078 b

1candidate who passes a second time may be removed from the list
2by the appointing authority provided that such action shall
3not prejudice a person's opportunities to participate in
4future examinations, including an examination held during the
5time a candidate is already on the fire district's register of
6eligibles.
7    The sole authority to issue certificates of appointment
8shall be vested in the board of fire commissioners, or board of
9trustees serving in the capacity of a board of fire
10commissioners. All certificates of appointment issued to any
11officer or member of an affected department shall be signed by
12the chairperson and secretary, respectively, of the commission
13upon appointment of such officer or member to the affected
14department by action of the commission. After being selected
15from the register of eligibles to fill a vacancy in the
16affected department, each appointee shall be presented with
17his or her certificate of appointment on the day on which he or
18she is sworn in as a classified member of the affected
19department. Firefighters who were not issued a certificate of
20appointment when originally appointed shall be provided with a
21certificate within 10 days after making a written request to
22the chairperson of the board of fire commissioners, or board
23of trustees serving in the capacity of a board of fire
24commissioners. Each person who accepts a certificate of
25appointment and successfully completes his or her probationary
26period shall be enrolled as a firefighter and as a regular

 

 

SB2435- 802 -LRB102 04062 AMC 14078 b

1member of the fire department.
2    For the purposes of this Section, "firefighter" means any
3person who has been prior to, on, or after August 4, 2011 (the
4effective date of Public Act 97-251) this amendatory Act of
5the 97th General Assembly appointed to a fire department or
6fire protection district or employed by a State university and
7sworn or commissioned to perform firefighter duties or
8paramedic duties, or both, except that the following persons
9are not included: part-time firefighters; auxiliary, reserve,
10or voluntary firefighters, including paid-on-call
11firefighters; clerks and dispatchers or other civilian
12employees of a fire department or fire protection district who
13are not routinely expected to perform firefighter duties; and
14elected officials.
15    (c) Qualification for placement on register of eligibles.
16The purpose of establishing a register of eligibles is to
17identify applicants who possess and demonstrate the mental
18aptitude and physical ability to perform the duties required
19of members of the fire department in order to provide the
20highest quality of service to the public. To this end, all
21applicants for original appointment to an affected fire
22department shall be subject to examination and testing which
23shall be public, competitive, and open to all applicants
24unless the district shall by ordinance limit applicants to
25residents of the district, county or counties in which the
26district is located, State, or nation. Any examination and

 

 

SB2435- 803 -LRB102 04062 AMC 14078 b

1testing procedure utilized under subsection (e) of this
2Section shall be supported by appropriate validation evidence
3and shall comply with all applicable State and federal laws.
4Districts may establish educational, emergency medical service
5licensure, and other prerequisites prerequites for
6participation in an examination or for hire as a firefighter.
7Any fire protection district may charge a fee to cover the
8costs of the application process.
9    Residency requirements in effect at the time an individual
10enters the fire service of a district cannot be made more
11restrictive for that individual during his or her period of
12service for that district, or be made a condition of
13promotion, except for the rank or position of fire chief and
14for no more than 2 positions that rank immediately below that
15of the chief rank which are appointed positions pursuant to
16the Fire Department Promotion Act.
17    No person who is 35 years of age or older shall be eligible
18to take an examination for a position as a firefighter unless
19the person has had previous employment status as a firefighter
20in the regularly constituted fire department of the district,
21except as provided in this Section. The age limitation does
22not apply to:
23        (1) any person previously employed as a full-time
24    firefighter in a regularly constituted fire department of
25    (i) any municipality or fire protection district located
26    in Illinois, (ii) a fire protection district whose

 

 

SB2435- 804 -LRB102 04062 AMC 14078 b

1    obligations were assumed by a municipality under Section
2    21 of the Fire Protection District Act, or (iii) a
3    municipality whose obligations were taken over by a fire
4    protection district;
5        (2) any person who has served a fire district as a
6    regularly enrolled volunteer, paid-on-call, or part-time
7    firefighter for the 5 years immediately preceding the time
8    that the district begins to use full-time firefighters to
9    provide all or part of its fire protection service; or
10        (3) any person who turned 35 while serving as a member
11    of the active or reserve components of any of the branches
12    of the Armed Forces of the United States or the National
13    Guard of any state, whose service was characterized as
14    honorable or under honorable, if separated from the
15    military, and is currently under the age of 40.
16    No person who is under 21 years of age shall be eligible
17for employment as a firefighter.
18    No applicant shall be examined concerning his or her
19political or religious opinions or affiliations. The
20examinations shall be conducted by the commissioners of the
21district or their designees and agents.
22    No district shall require that any firefighter appointed
23to the lowest rank serve a probationary employment period of
24longer than one year of actual active employment, which may
25exclude periods of training, or injury or illness leaves,
26including duty related leave, in excess of 30 calendar days.

 

 

SB2435- 805 -LRB102 04062 AMC 14078 b

1Notwithstanding anything to the contrary in this Section, the
2probationary employment period limitation may be extended for
3a firefighter who is required, as a condition of employment,
4to be a licensed paramedic, during which time the sole reason
5that a firefighter may be discharged without a hearing is for
6failing to meet the requirements for paramedic licensure.
7    In the event that any applicant who has been found
8eligible for appointment and whose name has been placed upon
9the final eligibility register provided for in this Section
10has not been appointed to a firefighter position within one
11year after the date of his or her physical ability
12examination, the commission may cause a second examination to
13be made of that applicant's physical ability prior to his or
14her appointment. If, after the second examination, the
15physical ability of the applicant shall be found to be less
16than the minimum standard fixed by the rules of the
17commission, the applicant shall not be appointed. The
18applicant's name may be retained upon the register of
19candidates eligible for appointment and when next reached for
20certification and appointment that applicant may be again
21examined as provided in this Section, and if the physical
22ability of that applicant is found to be less than the minimum
23standard fixed by the rules of the commission, the applicant
24shall not be appointed, and the name of the applicant shall be
25removed from the register.
26    (d) Notice, examination, and testing components. Notice of

 

 

SB2435- 806 -LRB102 04062 AMC 14078 b

1the time, place, general scope, merit criteria for any
2subjective component, and fee of every examination shall be
3given by the commission, by a publication at least 2 weeks
4preceding the examination: (i) in one or more newspapers
5published in the district, or if no newspaper is published
6therein, then in one or more newspapers with a general
7circulation within the district, or (ii) on the fire
8protection district's Internet website. Additional notice of
9the examination may be given as the commission shall
10prescribe.
11    The examination and qualifying standards for employment of
12firefighters shall be based on: mental aptitude, physical
13ability, preferences, moral character, and health. The mental
14aptitude, physical ability, and preference components shall
15determine an applicant's qualification for and placement on
16the final register of eligibles. The examination may also
17include a subjective component based on merit criteria as
18determined by the commission. Scores from the examination must
19be made available to the public.
20    (e) Mental aptitude. No person who does not possess at
21least a high school diploma or an equivalent high school
22education shall be placed on a register of eligibles.
23Examination of an applicant's mental aptitude shall be based
24upon a written examination. The examination shall be practical
25in character and relate to those matters that fairly test the
26capacity of the persons examined to discharge the duties

 

 

SB2435- 807 -LRB102 04062 AMC 14078 b

1performed by members of a fire department. Written
2examinations shall be administered in a manner that ensures
3the security and accuracy of the scores achieved.
4    (f) Physical ability. All candidates shall be required to
5undergo an examination of their physical ability to perform
6the essential functions included in the duties they may be
7called upon to perform as a member of a fire department. For
8the purposes of this Section, essential functions of the job
9are functions associated with duties that a firefighter may be
10called upon to perform in response to emergency calls. The
11frequency of the occurrence of those duties as part of the fire
12department's regular routine shall not be a controlling factor
13in the design of examination criteria or evolutions selected
14for testing. These physical examinations shall be open,
15competitive, and based on industry standards designed to test
16each applicant's physical abilities in the following
17dimensions:
18        (1) Muscular strength to perform tasks and evolutions
19    that may be required in the performance of duties
20    including grip strength, leg strength, and arm strength.
21    Tests shall be conducted under anaerobic as well as
22    aerobic conditions to test both the candidate's speed and
23    endurance in performing tasks and evolutions. Tasks tested
24    may be based on standards developed, or approved, by the
25    local appointing authority.
26        (2) The ability to climb ladders, operate from

 

 

SB2435- 808 -LRB102 04062 AMC 14078 b

1    heights, walk or crawl in the dark along narrow and uneven
2    surfaces, and operate in proximity to hazardous
3    environments.
4        (3) The ability to carry out critical, time-sensitive,
5    and complex problem solving during physical exertion in
6    stressful and hazardous environments. The testing
7    environment may be hot and dark with tightly enclosed
8    spaces, flashing lights, sirens, and other distractions.
9    The tests utilized to measure each applicant's
10capabilities in each of these dimensions may be tests based on
11industry standards currently in use or equivalent tests
12approved by the Joint Labor-Management Committee of the Office
13of the State Fire Marshal.
14    Physical ability examinations administered under this
15Section shall be conducted with a reasonable number of
16proctors and monitors, open to the public, and subject to
17reasonable regulations of the commission.
18    (g) Scoring of examination components. Appointing
19authorities may create a preliminary eligibility register. A
20person shall be placed on the list based upon his or her
21passage of the written examination or the passage of the
22written examination and the physical ability component.
23Passage of the written examination means attaining the minimum
24score set by the commission. Minimum scores should be set by
25the appointing authorities so as to demonstrate a candidate's
26ability to perform the essential functions of the job. The

 

 

SB2435- 809 -LRB102 04062 AMC 14078 b

1minimum score set by the commission shall be supported by
2appropriate validation evidence and shall comply with all
3applicable State and federal laws. The appointing authority
4may conduct the physical ability component and any subjective
5components subsequent to the posting of the preliminary
6eligibility register.
7    The examination components for an initial eligibility
8register shall be graded on a 100-point scale. A person's
9position on the list shall be determined by the following: (i)
10the person's score on the written examination, (ii) the person
11successfully passing the physical ability component, and (iii)
12the person's results on any subjective component as described
13in subsection (d).
14    In order to qualify for placement on the final eligibility
15register, an applicant's score on the written examination,
16before any applicable preference points or subjective points
17are applied, shall be at or above the minimum score set by the
18commission. The local appointing authority may prescribe the
19score to qualify for placement on the final eligibility
20register, but the score shall not be less than the minimum
21score set by the commission.
22    The commission shall prepare and keep a register of
23persons whose total score is not less than the minimum score
24for passage and who have passed the physical ability
25examination. These persons shall take rank upon the register
26as candidates in the order of their relative excellence based

 

 

SB2435- 810 -LRB102 04062 AMC 14078 b

1on the highest to the lowest total points scored on the mental
2aptitude, subjective component, and preference components of
3the test administered in accordance with this Section. No more
4than 60 days after each examination, an initial eligibility
5list shall be posted by the commission. The list shall include
6the final grades of the candidates without reference to
7priority of the time of examination and subject to claim for
8preference credit.
9    Commissions may conduct additional examinations, including
10without limitation a polygraph test, after a final eligibility
11register is established and before it expires with the
12candidates ranked by total score without regard to date of
13examination. No more than 60 days after each examination, an
14initial eligibility list shall be posted by the commission
15showing the final grades of the candidates without reference
16to priority of time of examination and subject to claim for
17preference credit.
18    (h) Preferences. The following are preferences:
19        (1) Veteran preference. Persons who were engaged in
20    the military service of the United States for a period of
21    at least one year of active duty and who were honorably
22    discharged therefrom, or who are now or have been members
23    on inactive or reserve duty in such military or naval
24    service, shall be preferred for appointment to and
25    employment with the fire department of an affected
26    department.

 

 

SB2435- 811 -LRB102 04062 AMC 14078 b

1        (2) Fire cadet preference. Persons who have
2    successfully completed 2 years of study in fire techniques
3    or cadet training within a cadet program established under
4    the rules of the Joint Labor and Management Committee
5    (JLMC), as defined in Section 50 of the Fire Department
6    Promotion Act, may be preferred for appointment to and
7    employment with the fire department.
8        (3) Educational preference. Persons who have
9    successfully obtained an associate's degree in the field
10    of fire service or emergency medical services, or a
11    bachelor's degree from an accredited college or university
12    may be preferred for appointment to and employment with
13    the fire department.
14        (4) Paramedic preference. Persons who have obtained a
15    license as a paramedic may be preferred for appointment to
16    and employment with the fire department of an affected
17    department providing emergency medical services.
18        (5) Experience preference. All persons employed by a
19    district who have been paid-on-call or part-time certified
20    Firefighter II, certified Firefighter III, State of
21    Illinois or nationally licensed EMT, EMT-I, A-EMT, or
22    paramedic, or any combination of those capacities may be
23    awarded up to a maximum of 5 points. However, the
24    applicant may not be awarded more than 0.5 points for each
25    complete year of paid-on-call or part-time service.
26    Applicants from outside the district who were employed as

 

 

SB2435- 812 -LRB102 04062 AMC 14078 b

1    full-time firefighters or firefighter-paramedics by a fire
2    protection district or municipality for at least 2 years
3    may be awarded up to 5 experience preference points.
4    However, the applicant may not be awarded more than one
5    point for each complete year of full-time service.
6        Upon request by the commission, the governing body of
7    the district or in the case of applicants from outside the
8    district the governing body of any other fire protection
9    district or any municipality shall certify to the
10    commission, within 10 days after the request, the number
11    of years of successful paid-on-call, part-time, or
12    full-time service of any person. A candidate may not
13    receive the full amount of preference points under this
14    subsection if the amount of points awarded would place the
15    candidate before a veteran on the eligibility list. If
16    more than one candidate receiving experience preference
17    points is prevented from receiving all of their points due
18    to not being allowed to pass a veteran, the candidates
19    shall be placed on the list below the veteran in rank order
20    based on the totals received if all points under this
21    subsection were to be awarded. Any remaining ties on the
22    list shall be determined by lot.
23        (6) Residency preference. Applicants whose principal
24    residence is located within the fire department's
25    jurisdiction may be preferred for appointment to and
26    employment with the fire department.

 

 

SB2435- 813 -LRB102 04062 AMC 14078 b

1        (7) Additional preferences. Up to 5 additional
2    preference points may be awarded for unique categories
3    based on an applicant's experience or background as
4    identified by the commission.
5        (7.5) Apprentice preferences. A person who has
6    performed fire suppression service for a department as a
7    firefighter apprentice and otherwise meet the
8    qualifications for original appointment as a firefighter
9    specified in this Section are eligible to be awarded up to
10    20 preference points. To qualify for preference points, an
11    applicant shall have completed a minimum of 600 hours of
12    fire suppression work on a regular shift for the affected
13    fire department over a 12-month period. The fire
14    suppression work must be in accordance with Section 16.06
15    of this Act and the terms established by a Joint
16    Apprenticeship Committee included in a collective
17    bargaining agreement agreed between the employer and its
18    certified bargaining agent. An eligible applicant must
19    apply to the Joint Apprenticeship Committee for preference
20    points under this item. The Joint Apprenticeship Committee
21    shall evaluate the merit of the applicant's performance,
22    determine the preference points to be awarded, and certify
23    the amount of points awarded to the commissioners. The
24    commissioners may add the certified preference points to
25    the final grades achieved by the applicant on the other
26    components of the examination.

 

 

SB2435- 814 -LRB102 04062 AMC 14078 b

1        (8) Scoring of preferences. The commission shall give
2    preference for original appointment to persons designated
3    in item (1) by adding to the final grade that they receive
4    5 points for the recognized preference achieved. The
5    commission may give preference for original appointment to
6    persons designated in item (7.5) by adding to the final
7    grade the amount of points designated by the Joint
8    Apprenticeship Committee as defined in item (7.5). The
9    commission shall determine the number of preference points
10    for each category, except (1) and (7.5). The number of
11    preference points for each category shall range from 0 to
12    5, except item (7.5). In determining the number of
13    preference points, the commission shall prescribe that if
14    a candidate earns the maximum number of preference points
15    in all categories except item (7.5), that number may not
16    be less than 10 nor more than 30. The commission shall give
17    preference for original appointment to persons designated
18    in items (2) through (7) by adding the requisite number of
19    points to the final grade for each recognized preference
20    achieved. The numerical result thus attained shall be
21    applied by the commission in determining the final
22    eligibility list and appointment from the eligibility
23    list. The local appointing authority may prescribe the
24    total number of preference points awarded under this
25    Section, but the total number of preference points, except
26    item (7.5), shall not be less than 10 points or more than

 

 

SB2435- 815 -LRB102 04062 AMC 14078 b

1    30 points. Apprentice preference points may be added in
2    addition to other preference points awarded by the
3    commission.
4    No person entitled to any preference shall be required to
5claim the credit before any examination held under the
6provisions of this Section, but the preference shall be given
7after the posting or publication of the initial eligibility
8list or register at the request of a person entitled to a
9credit before any certification or appointments are made from
10the eligibility register, upon the furnishing of verifiable
11evidence and proof of qualifying preference credit. Candidates
12who are eligible for preference credit shall make a claim in
13writing within 10 days after the posting of the initial
14eligibility list, or the claim shall be deemed waived. Final
15eligibility registers shall be established after the awarding
16of verified preference points. However, apprentice preference
17credit earned subsequent to the establishment of the final
18eligibility register may be applied to the applicant's score
19upon certification by the Joint Apprenticeship Committee to
20the commission and the rank order of candidates on the final
21eligibility register shall be adjusted accordingly. All
22employment shall be subject to the commission's initial hire
23background review including, but not limited to, criminal
24history, employment history, moral character, oral
25examination, and medical and psychological examinations, all
26on a pass-fail basis. The medical and psychological

 

 

SB2435- 816 -LRB102 04062 AMC 14078 b

1examinations must be conducted last, and may only be performed
2after a conditional offer of employment has been extended.
3    Any person placed on an eligibility list who exceeds the
4age requirement before being appointed to a fire department
5shall remain eligible for appointment until the list is
6abolished, or his or her name has been on the list for a period
7of 2 years. No person who has attained the age of 35 years
8shall be inducted into a fire department, except as otherwise
9provided in this Section.
10    The commission shall strike off the names of candidates
11for original appointment after the names have been on the list
12for more than 2 years.
13    (i) Moral character. No person shall be appointed to a
14fire department unless he or she is a person of good character;
15not a habitual drunkard, a gambler, or a person who has been
16convicted of a felony or a crime involving moral turpitude.
17However, no person shall be disqualified from appointment to
18the fire department because of the person's record of
19misdemeanor convictions except those under Sections 11-6,
2011-7, 11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 12-2, 12-6,
2112-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1,
2231-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, 32-8, and
23subsections 1, 6, and 8 of Section 24-1 of the Criminal Code of
241961 or the Criminal Code of 2012, or arrest for any cause
25without conviction thereon. Any such person who is in the
26department may be removed on charges brought for violating

 

 

SB2435- 817 -LRB102 04062 AMC 14078 b

1this subsection and after a trial as hereinafter provided.
2    A classifiable set of the fingerprints of every person who
3is offered employment as a certificated member of an affected
4fire department whether with or without compensation, shall be
5furnished to the Illinois Department of State Police and to
6the Federal Bureau of Investigation by the commission.
7    Whenever a commission is authorized or required by law to
8consider some aspect of criminal history record information
9for the purpose of carrying out its statutory powers and
10responsibilities, then, upon request and payment of fees in
11conformance with the requirements of Section 2605-400 of the
12State Police Law of the Civil Administrative Code of Illinois,
13the Department of State Police is authorized to furnish,
14pursuant to positive identification, the information contained
15in State files as is necessary to fulfill the request.
16    (j) Temporary appointments. In order to prevent a stoppage
17of public business, to meet extraordinary exigencies, or to
18prevent material impairment of the fire department, the
19commission may make temporary appointments, to remain in force
20only until regular appointments are made under the provisions
21of this Section, but never to exceed 60 days. No temporary
22appointment of any one person shall be made more than twice in
23any calendar year.
24    (k) A person who knowingly divulges or receives test
25questions or answers before a written examination, or
26otherwise knowingly violates or subverts any requirement of

 

 

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1this Section, commits a violation of this Section and may be
2subject to charges for official misconduct.
3    A person who is the knowing recipient of test information
4in advance of the examination shall be disqualified from the
5examination or discharged from the position to which he or she
6was appointed, as applicable, and otherwise subjected to
7disciplinary actions.
8(Source: P.A. 100-252, eff. 8-22-17; 101-489, eff. 8-23-19;
9revised 11-26-19.)
 
10    Section 330. The Park District Code is amended by changing
11Sections 2-25 and 10-7 as follows:
 
12    (70 ILCS 1205/2-25)  (from Ch. 105, par. 2-25)
13    Sec. 2-25. Vacancies. Whenever any member of the governing
14board of any park district (i) dies, (ii) resigns, (iii)
15becomes under legal disability, (iv) ceases to be a legal
16voter in the district, (v) is convicted in any court located in
17the United States of any infamous crime, bribery, perjury, or
18other felony, (vi) refuses or neglects to take his or her oath
19of office, (vii) neglects to perform the duties of his or her
20office or attend meetings of the board for the length of time
21as the board fixes by ordinance, or (viii) for any other reason
22specified by law, that office may be declared vacant.
23Vacancies shall be filled by appointment by a majority of the
24remaining members of the board. Any person so appointed shall

 

 

SB2435- 819 -LRB102 04062 AMC 14078 b

1hold his or her office until the next regular election for this
2office, at which a member shall be elected to fill the vacancy
3for the unexpired term, subject to the following conditions:
4        (1) If the vacancy occurs with less than 28 months
5    remaining in the term, the person appointed to fill the
6    vacancy shall hold his or her office until the expiration
7    of the term for which he or she has been appointed, and no
8    election to fill the vacancy shall be held.
9        (2) If the vacancy occurs with more than 28 months
10    left in the term, but less than 123 days before the next
11    regularly scheduled election for this office, the person
12    appointed to fill the vacancy shall hold his or her office
13    until the second regularly scheduled election for the
14    office following the appointment, at which a member shall
15    be elected to fill the vacancy for the unexpired term.
16(Source: P.A. 101-257, eff. 8-9-19; revised 9-24-19.)
 
17    (70 ILCS 1205/10-7)  (from Ch. 105, par. 10-7)
18    Sec. 10-7. Sale, lease, or exchange of realty.
19    (a) Any park district owning and holding any real estate
20is authorized (1) to sell or lease that property to the State
21of Illinois, with the State's consent, or another unit of
22Illinois State or local government for public use, (2) to give
23the property to the State of Illinois if the property is
24contiguous to a State park, or (3) to lease that property upon
25the terms and at the price that the board determines for a

 

 

SB2435- 820 -LRB102 04062 AMC 14078 b

1period not to exceed 99 years to any corporation organized
2under the laws of this State, for public use. The grantee or
3lessee must covenant to hold and maintain the property for
4public park or recreational purposes unless the park district
5obtains other real property of substantially the same size or
6larger and of substantially the same or greater suitability
7for park purposes without additional cost to the district. In
8the case of property given or sold under this subsection after
9January 1, 2002 (the effective date of Public Act 92-401) this
10amendatory Act of the 92nd General Assembly for which this
11covenant is required, the conveyance must provide that
12ownership of the property automatically reverts to the grantor
13if the grantee knowingly violates the required covenant by
14allowing all or any part of the property to be used for
15purposes other than park or recreational purposes. Real estate
16given, sold, or leased to the State of Illinois under this
17subsection (1) must be 50 acres or more in size, (2) may not be
18located within the territorial limits of a municipality, and
19(3) may not be the site of a known environmental liability or
20hazard.
21    (b) Any park district owning or holding any real estate is
22authorized to convey such property to a nongovernmental entity
23in exchange for other real property of substantially equal or
24greater value as determined by 2 appraisals of the property
25and of substantially the same or greater suitability for park
26purposes without additional cost to such district.

 

 

SB2435- 821 -LRB102 04062 AMC 14078 b

1    Prior to such exchange with a nongovernmental entity, the
2park board shall hold a public meeting in order to consider the
3proposed conveyance. Notice of such meeting shall be published
4not less than 3 three times (the first and last publication
5being not less than 10 days apart) in a newspaper of general
6circulation within the park district. If there is no such
7newspaper, then such notice shall be posted in not less than 3
8public places in said park district and such notice shall not
9become effective until 10 days after said publication or
10posting.
11    (c) Notwithstanding any other provision of this Act, this
12subsection (c) shall apply only to park districts that serve
13territory within a municipality having more than 40,000
14inhabitants and within a county having more than 260,000
15inhabitants and bordering the Mississippi River. Any park
16district owning or holding real estate is authorized to sell
17that property to any not-for-profit corporation organized
18under the laws of this State upon the condition that the
19corporation uses the property for public park or recreational
20programs for youth. The park district shall have the right of
21re-entry for breach of condition subsequent. If the
22corporation stops using the property for these purposes, the
23property shall revert back to ownership of the park district.
24Any temporary suspension of use caused by the construction of
25improvements on the property for public park or recreational
26programs for youth is not a breach of condition subsequent.

 

 

SB2435- 822 -LRB102 04062 AMC 14078 b

1    Prior to the sale of the property to a not-for-profit
2corporation, the park board shall hold a public meeting to
3consider the proposed sale. Notice of the meeting shall be
4published not less than 3 times (the first and last
5publication being not less than 10 days apart) in a newspaper
6of general circulation within the park district. If there is
7no such newspaper, then the notice shall be posted in not less
8than 3 public places in the park district. The notice shall be
9published or posted at least 10 days before the meeting. A
10resolution to approve the sale of the property to a
11not-for-profit corporation requires adoption by a majority of
12the park board.
13    (d) Real estate, not subject to such covenant or which has
14not been conveyed and replaced as provided in this Section,
15may be conveyed in the manner provided by Sections 10-7a to
1610-7d hereof, inclusive.
17    (d-5) Notwithstanding any provision of law to the contrary
18and in addition to the means provided by Sections 10-7a,
1910-7b, 10-7c, and 10-7d, real estate, not subject to a
20covenant required under subsection (a) or not conveyed and
21replaced as provided under subsection (a), may be conveyed to
22another unit of local government or school district if the
23park district board approves the sale to the unit of local
24government or school district by a four-fifths vote and: (i)
25the park district is situated wholly within the corporate
26limits of that unit of local government or school district; or

 

 

SB2435- 823 -LRB102 04062 AMC 14078 b

1(ii) the real estate is conveyed for a price not less than the
2appraised value of the real estate as determined by the
3average of 3 written MAI certified appraisals or by the
4average of 3 written certified appraisals of State certified
5or licensed real estate appraisers.
6    (e) In addition to any other power provided in this
7Section, any park district owning or holding real estate that
8the board deems is not required for park or recreational
9purposes may lease such real estate to any individual or
10entity and may collect rents therefrom. Such lease shall not
11exceed 4 and one-half times the term of years provided for in
12Section 8-15 governing installment purchase contracts.
13    (f) Notwithstanding any other provision of law, if (i) the
14real estate that a park district with a population of 3,000 or
15less transfers by lease, license, development agreement, or
16other means to any private entity is greater than 70% of the
17district's total property and (ii) the current use of the real
18estate will be substantially altered by that private entity,
19the real estate may be conveyed only in the manner provided for
20in Sections 10-7a, 10-7b, and 10-7c.
21(Source: P.A. 101-243, eff. 8-9-19; 101-322, eff. 8-9-19;
22revised 9-10-19.)
 
23    Section 335. The North Shore Water Reclamation District
24Act is amended by changing Section 28 as follows:
 

 

 

SB2435- 824 -LRB102 04062 AMC 14078 b

1    (70 ILCS 2305/28)  (from Ch. 42, par. 296.8)
2    Sec. 28. Annexation of territory. The board of trustees of
3any sanitary district may annex any territory which is not
4within the corporate limits of the sanitary district,
5provided:
6        (a) The territory is contiguous to the annexing
7    sanitary district or the territory is non-contiguous and
8    the owner or owners of record have entered into an
9    agreement requesting the annexation of the non-contiguous
10    territory; and
11        (b) The territory is served by the sanitary district
12    or by a municipality with sanitary sewers that are
13    connected and served by the sanitary district.
14    The annexation shall be accomplished only by ordinance and
15the ordinance shall include a description of the annexed
16territory. The ordinance annexing non-contiguous territory
17shall designate the ward to which the land shall be assigned. A
18copy of the ordinance and a map of the annexed territory
19certified as true and accurate by the clerk of the annexing
20sanitary district shall be filed with the county clerk of the
21county in which the annexed territory is located. The new
22boundary shall extend to the far side of any adjacent highway
23and shall include all of every highway within the area
24annexed. These highways shall be considered to be annexed even
25though not included in the legal description set forth in the
26annexation ordinance.

 

 

SB2435- 825 -LRB102 04062 AMC 14078 b

1    The territory to be annexed to the sanitary district shall
2be considered to be contiguous to the sanitary district
3notwithstanding that the territory to be annexed is divided
4by, or that the territory to be annexed is separated from the
5sanitary district by, one or more railroad rights-of-way
6rights-of-ways, public easements, or properties owned by a
7public utility, a forest preserve district, a public agency,
8or a not-for-profit corporation.
9(Source: P.A. 100-31, eff. 8-4-17; revised 8-9-19.)
 
10    Section 340. The Street Light District Act is amended by
11changing Section 0.01 as follows:
 
12    (70 ILCS 3305/0.01)  (from Ch. 121, par. 354.9)
13    Sec. 0.01. Short title. This Act may be cited as the Street
14Lighting Light District Act.
15(Source: P.A. 86-1324; revised 8-9-19.)
 
16    Section 345. The Regional Transportation Authority Act is
17amended by changing Section 4.04 as follows:
 
18    (70 ILCS 3615/4.04)  (from Ch. 111 2/3, par. 704.04)
19    Sec. 4.04. Issuance and Pledge of Bonds and Notes.
20    (a) The Authority shall have the continuing power to
21borrow money and to issue its negotiable bonds or notes as
22provided in this Section. Unless otherwise indicated in this

 

 

SB2435- 826 -LRB102 04062 AMC 14078 b

1Section, the term "notes" also includes bond anticipation
2notes, which are notes which by their terms provide for their
3payment from the proceeds of bonds thereafter to be issued.
4Bonds or notes of the Authority may be issued for any or all of
5the following purposes: to pay costs to the Authority or a
6Service Board of constructing or acquiring any public
7transportation facilities (including funds and rights relating
8thereto, as provided in Section 2.05 of this Act); to repay
9advances to the Authority or a Service Board made for such
10purposes; to pay other expenses of the Authority or a Service
11Board incident to or incurred in connection with such
12construction or acquisition; to provide funds for any
13transportation agency to pay principal of or interest or
14redemption premium on any bonds or notes, whether as such
15amounts become due or by earlier redemption, issued prior to
16the date of this amendatory Act by such transportation agency
17to construct or acquire public transportation facilities or to
18provide funds to purchase such bonds or notes; and to provide
19funds for any transportation agency to construct or acquire
20any public transportation facilities, to repay advances made
21for such purposes, and to pay other expenses incident to or
22incurred in connection with such construction or acquisition;
23and to provide funds for payment of obligations, including the
24funding of reserves, under any self-insurance plan or joint
25self-insurance pool or entity.
26    In addition to any other borrowing as may be authorized by

 

 

SB2435- 827 -LRB102 04062 AMC 14078 b

1this Section, the Authority may issue its notes, from time to
2time, in anticipation of tax receipts of the Authority or of
3other revenues or receipts of the Authority, in order to
4provide money for the Authority or the Service Boards to cover
5any cash flow deficit which the Authority or a Service Board
6anticipates incurring. Any such notes are referred to in this
7Section as "Working Cash Notes". No Working Cash Notes shall
8be issued for a term of longer than 24 months. Proceeds of
9Working Cash Notes may be used to pay day to day operating
10expenses of the Authority or the Service Boards, consisting of
11wages, salaries, and fringe benefits, professional and
12technical services (including legal, audit, engineering, and
13other consulting services), office rental, furniture, fixtures
14and equipment, insurance premiums, claims for self-insured
15amounts under insurance policies, public utility obligations
16for telephone, light, heat and similar items, travel expenses,
17office supplies, postage, dues, subscriptions, public hearings
18and information expenses, fuel purchases, and payments of
19grants and payments under purchase of service agreements for
20operations of transportation agencies, prior to the receipt by
21the Authority or a Service Board from time to time of funds for
22paying such expenses. In addition to any Working Cash Notes
23that the Board of the Authority may determine to issue, the
24Suburban Bus Board, the Commuter Rail Board or the Board of the
25Chicago Transit Authority may demand and direct that the
26Authority issue its Working Cash Notes in such amounts and

 

 

SB2435- 828 -LRB102 04062 AMC 14078 b

1having such maturities as the Service Board may determine.
2    Notwithstanding any other provision of this Act, any
3amounts necessary to pay principal of and interest on any
4Working Cash Notes issued at the demand and direction of a
5Service Board or any Working Cash Notes the proceeds of which
6were used for the direct benefit of a Service Board or any
7other Bonds or Notes of the Authority the proceeds of which
8were used for the direct benefit of a Service Board shall
9constitute a reduction of the amount of any other funds
10provided by the Authority to that Service Board. The Authority
11shall, after deducting any costs of issuance, tender the net
12proceeds of any Working Cash Notes issued at the demand and
13direction of a Service Board to such Service Board as soon as
14may be practicable after the proceeds are received. The
15Authority may also issue notes or bonds to pay, refund or
16redeem any of its notes and bonds, including to pay redemption
17premiums or accrued interest on such bonds or notes being
18renewed, paid or refunded, and other costs in connection
19therewith. The Authority may also utilize the proceeds of any
20such bonds or notes to pay the legal, financial,
21administrative and other expenses of such authorization,
22issuance, sale or delivery of bonds or notes or to provide or
23increase a debt service reserve fund with respect to any or all
24of its bonds or notes. The Authority may also issue and deliver
25its bonds or notes in exchange for any public transportation
26facilities, (including funds and rights relating thereto, as

 

 

SB2435- 829 -LRB102 04062 AMC 14078 b

1provided in Section 2.05 of this Act) or in exchange for
2outstanding bonds or notes of the Authority, including any
3accrued interest or redemption premium thereon, without
4advertising or submitting such notes or bonds for public
5bidding.
6    (b) The ordinance providing for the issuance of any such
7bonds or notes shall fix the date or dates of maturity, the
8dates on which interest is payable, any sinking fund account
9or reserve fund account provisions and all other details of
10such bonds or notes and may provide for such covenants or
11agreements necessary or desirable with regard to the issue,
12sale and security of such bonds or notes. The rate or rates of
13interest on its bonds or notes may be fixed or variable and the
14Authority shall determine or provide for the determination of
15the rate or rates of interest of its bonds or notes issued
16under this Act in an ordinance adopted by the Authority prior
17to the issuance thereof, none of which rates of interest shall
18exceed that permitted in the Bond Authorization Act. Interest
19may be payable at such times as are provided for by the Board.
20Bonds and notes issued under this Section may be issued as
21serial or term obligations, shall be of such denomination or
22denominations and form, including interest coupons to be
23attached thereto, be executed in such manner, shall be payable
24at such place or places and bear such date as the Authority
25shall fix by the ordinance authorizing such bond or note and
26shall mature at such time or times, within a period not to

 

 

SB2435- 830 -LRB102 04062 AMC 14078 b

1exceed forty years from the date of issue, and may be
2redeemable prior to maturity with or without premium, at the
3option of the Authority, upon such terms and conditions as the
4Authority shall fix by the ordinance authorizing the issuance
5of such bonds or notes. No bond anticipation note or any
6renewal thereof shall mature at any time or times exceeding 5
7years from the date of the first issuance of such note. The
8Authority may provide for the registration of bonds or notes
9in the name of the owner as to the principal alone or as to
10both principal and interest, upon such terms and conditions as
11the Authority may determine. The ordinance authorizing bonds
12or notes may provide for the exchange of such bonds or notes
13which are fully registered, as to both principal and interest,
14with bonds or notes which are registerable as to principal
15only. All bonds or notes issued under this Section by the
16Authority other than those issued in exchange for property or
17for bonds or notes of the Authority shall be sold at a price
18which may be at a premium or discount but such that the
19interest cost (excluding any redemption premium) to the
20Authority of the proceeds of an issue of such bonds or notes,
21computed to stated maturity according to standard tables of
22bond values, shall not exceed that permitted in the Bond
23Authorization Act. The Authority shall notify the Governor's
24Office of Management and Budget and the State Comptroller at
25least 30 days before any bond sale and shall file with the
26Governor's Office of Management and Budget and the State

 

 

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1Comptroller a certified copy of any ordinance authorizing the
2issuance of bonds at or before the issuance of the bonds. After
3December 31, 1994, any such bonds or notes shall be sold to the
4highest and best bidder on sealed bids as the Authority shall
5deem. As such bonds or notes are to be sold the Authority shall
6advertise for proposals to purchase the bonds or notes which
7advertisement shall be published at least once in a daily
8newspaper of general circulation published in the metropolitan
9region at least 10 days before the time set for the submission
10of bids. The Authority shall have the right to reject any or
11all bids. Notwithstanding any other provisions of this
12Section, Working Cash Notes or bonds or notes to provide funds
13for self-insurance or a joint self-insurance pool or entity
14may be sold either upon competitive bidding or by negotiated
15sale (without any requirement of publication of intention to
16negotiate the sale of such Notes), as the Board shall
17determine by ordinance adopted with the affirmative votes of
18at least 9 Directors. In case any officer whose signature
19appears on any bonds, notes or coupons authorized pursuant to
20this Section shall cease to be such officer before delivery of
21such bonds or notes, such signature shall nevertheless be
22valid and sufficient for all purposes, the same as if such
23officer had remained in office until such delivery. Neither
24the Directors of the Authority nor any person executing any
25bonds or notes thereof shall be liable personally on any such
26bonds or notes or coupons by reason of the issuance thereof.

 

 

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1    (c) All bonds or notes of the Authority issued pursuant to
2this Section shall be general obligations of the Authority to
3which shall be pledged the full faith and credit of the
4Authority, as provided in this Section. Such bonds or notes
5shall be secured as provided in the authorizing ordinance,
6which may, notwithstanding any other provision of this Act,
7include in addition to any other security, a specific pledge
8or assignment of and lien on or security interest in any or all
9tax receipts of the Authority and on any or all other revenues
10or moneys of the Authority from whatever source, which may by
11law be utilized for debt service purposes and a specific
12pledge or assignment of and lien on or security interest in any
13funds or accounts established or provided for by the ordinance
14of the Authority authorizing the issuance of such bonds or
15notes. Any such pledge, assignment, lien, or security interest
16for the benefit of holders of bonds or notes of the Authority
17shall be valid and binding from the time the bonds or notes are
18issued without any physical delivery or further act and shall
19be valid and binding as against and prior to the claims of all
20other parties having claims of any kind against the Authority
21or any other person irrespective of whether such other parties
22have notice of such pledge, assignment, lien, or security
23interest. The obligations of the Authority incurred pursuant
24to this Section shall be superior to and have priority over any
25other obligations of the Authority.
26    The Authority may provide in the ordinance authorizing the

 

 

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1issuance of any bonds or notes issued pursuant to this Section
2for the creation of, deposits in, and regulation and
3disposition of sinking fund or reserve accounts relating to
4such bonds or notes. The ordinance authorizing the issuance of
5any bonds or notes pursuant to this Section may contain
6provisions as part of the contract with the holders of the
7bonds or notes, for the creation of a separate fund to provide
8for the payment of principal and interest on such bonds or
9notes and for the deposit in such fund from any or all the tax
10receipts of the Authority and from any or all such other moneys
11or revenues of the Authority from whatever source which may by
12law be utilized for debt service purposes, all as provided in
13such ordinance, of amounts to meet the debt service
14requirements on such bonds or notes, including principal and
15interest, and any sinking fund or reserve fund account
16requirements as may be provided by such ordinance, and all
17expenses incident to or in connection with such fund and
18accounts or the payment of such bonds or notes. Such ordinance
19may also provide limitations on the issuance of additional
20bonds or notes of the Authority. No such bonds or notes of the
21Authority shall constitute a debt of the State of Illinois.
22Nothing in this Act shall be construed to enable the Authority
23to impose any ad valorem tax on property.
24    (d) The ordinance of the Authority authorizing the
25issuance of any bonds or notes may provide additional security
26for such bonds or notes by providing for appointment of a

 

 

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1corporate trustee (which may be any trust company or bank
2having the powers of a trust company within the state) with
3respect to such bonds or notes. The ordinance shall prescribe
4the rights, duties, and powers of the trustee to be exercised
5for the benefit of the Authority and the protection of the
6holders of such bonds or notes. The ordinance may provide for
7the trustee to hold in trust, invest, and use amounts in funds
8and accounts created as provided by the ordinance with respect
9to the bonds or notes. The ordinance may provide for the
10assignment and direct payment to the trustee of any or all
11amounts produced from the sources provided in Section 4.03 and
12Section 4.09 of this Act and provided in Section 6z-17 of the
13State Finance Act "An Act in relation to State finance",
14approved June 10, 1919, as amended. Upon receipt of notice of
15any such assignment, the Department of Revenue and the
16Comptroller of the State of Illinois shall thereafter,
17notwithstanding the provisions of Section 4.03 and Section
184.09 of this Act and Section 6z-17 of the State Finance Act "An
19Act in relation to State finance", approved June 10, 1919, as
20amended, provide for such assigned amounts to be paid directly
21to the trustee instead of the Authority, all in accordance
22with the terms of the ordinance making the assignment. The
23ordinance shall provide that amounts so paid to the trustee
24which are not required to be deposited, held or invested in
25funds and accounts created by the ordinance with respect to
26bonds or notes or used for paying bonds or notes to be paid by

 

 

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1the trustee to the Authority.
2    (e) Any bonds or notes of the Authority issued pursuant to
3this Section shall constitute a contract between the Authority
4and the holders from time to time of such bonds or notes. In
5issuing any bond or note, the Authority may include in the
6ordinance authorizing such issue a covenant as part of the
7contract with the holders of the bonds or notes, that as long
8as such obligations are outstanding, it shall make such
9deposits, as provided in paragraph (c) of this Section. It may
10also so covenant that it shall impose and continue to impose
11taxes, as provided in Section 4.03 of this Act and in addition
12thereto as subsequently authorized by law, sufficient to make
13such deposits and pay the principal and interest and to meet
14other debt service requirements of such bonds or notes as they
15become due. A certified copy of the ordinance authorizing the
16issuance of any such obligations shall be filed at or prior to
17the issuance of such obligations with the Comptroller of the
18State of Illinois and the Illinois Department of Revenue.
19    (f) The State of Illinois pledges to and agrees with the
20holders of the bonds and notes of the Authority issued
21pursuant to this Section that the State will not limit or alter
22the rights and powers vested in the Authority by this Act so as
23to impair the terms of any contract made by the Authority with
24such holders or in any way impair the rights and remedies of
25such holders until such bonds and notes, together with
26interest thereon, with interest on any unpaid installments of

 

 

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1interest, and all costs and expenses in connection with any
2action or proceedings by or on behalf of such holders, are
3fully met and discharged. In addition, the State pledges to
4and agrees with the holders of the bonds and notes of the
5Authority issued pursuant to this Section that the State will
6not limit or alter the basis on which State funds are to be
7paid to the Authority as provided in this Act, or the use of
8such funds, so as to impair the terms of any such contract. The
9Authority is authorized to include these pledges and
10agreements of the State in any contract with the holders of
11bonds or notes issued pursuant to this Section.
12    (g)(1) Except as provided in subdivisions (g)(2) and
13(g)(3) of Section 4.04 of this Act, the Authority shall not at
14any time issue, sell or deliver any bonds or notes (other than
15Working Cash Notes and lines of credit) pursuant to this
16Section 4.04 which will cause it to have issued and
17outstanding at any time in excess of $800,000,000 of such
18bonds and notes (other than Working Cash Notes and lines of
19credit). The Authority shall not issue, sell, or deliver any
20Working Cash Notes or establish a line of credit pursuant to
21this Section that will cause it to have issued and outstanding
22at any time in excess of $100,000,000. However, the Authority
23may issue, sell, and deliver additional Working Cash Notes or
24establish a line of credit before July 1, 2022 that are over
25and above and in addition to the $100,000,000 authorization
26such that the outstanding amount of these additional Working

 

 

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1Cash Notes and lines of credit does do not exceed at any time
2$300,000,000. Bonds or notes which are being paid or retired
3by such issuance, sale or delivery of bonds or notes, and bonds
4or notes for which sufficient funds have been deposited with
5the paying agency of such bonds or notes to provide for payment
6of principal and interest thereon or to provide for the
7redemption thereof, all pursuant to the ordinance authorizing
8the issuance of such bonds or notes, shall not be considered to
9be outstanding for the purposes of this subsection.
10    (2) In addition to the authority provided by paragraphs
11(1) and (3), the Authority is authorized to issue, sell, and
12deliver bonds or notes for Strategic Capital Improvement
13Projects approved pursuant to Section 4.13 as follows:
14        $100,000,000 is authorized to be issued on or after
15    January 1, 1990;
16        an additional $100,000,000 is authorized to be issued
17    on or after January 1, 1991;
18        an additional $100,000,000 is authorized to be issued
19    on or after January 1, 1992;
20        an additional $100,000,000 is authorized to be issued
21    on or after January 1, 1993;
22        an additional $100,000,000 is authorized to be issued
23    on or after January 1, 1994; and
24        the aggregate total authorization of bonds and notes
25    for Strategic Capital Improvement Projects as of January
26    1, 1994, shall be $500,000,000.

 

 

SB2435- 838 -LRB102 04062 AMC 14078 b

1    The Authority is also authorized to issue, sell, and
2deliver bonds or notes in such amounts as are necessary to
3provide for the refunding or advance refunding of bonds or
4notes issued for Strategic Capital Improvement Projects under
5this subdivision (g)(2), provided that no such refunding bond
6or note shall mature later than the final maturity date of the
7series of bonds or notes being refunded, and provided further
8that the debt service requirements for such refunding bonds or
9notes in the current or any future fiscal year shall not exceed
10the debt service requirements for that year on the refunded
11bonds or notes.
12    (3) In addition to the authority provided by paragraphs
13(1) and (2), the Authority is authorized to issue, sell, and
14deliver bonds or notes for Strategic Capital Improvement
15Projects approved pursuant to Section 4.13 as follows:
16        $260,000,000 is authorized to be issued on or after
17    January 1, 2000;
18        an additional $260,000,000 is authorized to be issued
19    on or after January 1, 2001;
20        an additional $260,000,000 is authorized to be issued
21    on or after January 1, 2002;
22        an additional $260,000,000 is authorized to be issued
23    on or after January 1, 2003;
24        an additional $260,000,000 is authorized to be issued
25    on or after January 1, 2004; and
26        the aggregate total authorization of bonds and notes

 

 

SB2435- 839 -LRB102 04062 AMC 14078 b

1    for Strategic Capital Improvement Projects pursuant to
2    this paragraph (3) as of January 1, 2004 shall be
3    $1,300,000,000.
4    The Authority is also authorized to issue, sell, and
5deliver bonds or notes in such amounts as are necessary to
6provide for the refunding or advance refunding of bonds or
7notes issued for Strategic Capital Improvement projects under
8this subdivision (g)(3), provided that no such refunding bond
9or note shall mature later than the final maturity date of the
10series of bonds or notes being refunded, and provided further
11that the debt service requirements for such refunding bonds or
12notes in the current or any future fiscal year shall not exceed
13the debt service requirements for that year on the refunded
14bonds or notes.
15    (h) The Authority, subject to the terms of any agreements
16with noteholders or bond holders as may then exist, shall have
17power, out of any funds available therefor, to purchase notes
18or bonds of the Authority, which shall thereupon be cancelled.
19    (i) In addition to any other authority granted by law, the
20State Treasurer may, with the approval of the Governor, invest
21or reinvest, at a price not to exceed par, any State money in
22the State Treasury which is not needed for current
23expenditures due or about to become due in Working Cash Notes.
24In the event of a default on a Working Cash Note issued by the
25Regional Transportation Authority in which State money in the
26State treasury was invested, the Treasurer may, after giving

 

 

SB2435- 840 -LRB102 04062 AMC 14078 b

1notice to the Authority, certify to the Comptroller the
2amounts of the defaulted Working Cash Note, in accordance with
3any applicable rules of the Comptroller, and the Comptroller
4must deduct and remit to the State treasury the certified
5amounts or a portion of those amounts from the following
6proportions of payments of State funds to the Authority:
7        (1) in the first year after default, one-third of the
8    total amount of any payments of State funds to the
9    Authority;
10        (2) in the second year after default, two-thirds of
11    the total amount of any payments of State funds to the
12    Authority; and
13        (3) in the third year after default and for each year
14    thereafter until the total invested amount is repaid, the
15    total amount of any payments of State funds to the
16    Authority.
17    (j) The Authority may establish a line of credit with a
18bank or other financial institution as may be evidenced by the
19issuance of notes or other obligations, secured by and payable
20from all tax receipts of the Authority and any or all other
21revenues or moneys of the Authority, in an amount not to exceed
22the limitations set forth in paragraph (1) of subsection (g).
23Money borrowed under this subsection (j) shall be used to
24provide money for the Authority or the Service Boards to cover
25any cash flow deficit that the Authority or a Service Board
26anticipates incurring and shall be repaid within 24 months.

 

 

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1    Before establishing a line of credit under this subsection
2(j), the Authority shall authorize the line of credit by
3ordinance. The ordinance shall set forth facts demonstrating
4the need for the line of credit, state the amount to be
5borrowed, establish a maximum interest rate limit not to
6exceed the maximum rate authorized by the Bond Authorization
7Act, and provide a date by which the borrowed funds shall be
8repaid. The ordinance shall authorize and direct the relevant
9officials to make arrangements to set apart and hold, as
10applicable, the moneys that will be used to repay the
11borrowing. In addition, the ordinance may authorize the
12relevant officials to make partial repayments on the line of
13credit as the moneys become available and may contain any
14other terms, restrictions, or limitations desirable or
15necessary to give effect to this subsection (j).
16    The Authority shall notify the Governor's Office of
17Management and Budget and the State Comptroller at least 30
18days before establishing a line of credit and shall file with
19the Governor's Office of Management and Budget and the State
20Comptroller a certified copy of any ordinance authorizing the
21establishment of a line of credit upon or before establishing
22the line of credit.
23    Moneys borrowed under a line of credit pursuant to this
24subsection (j) are general obligations of the Authority that
25are secured by the full faith and credit of the Authority.
26(Source: P.A. 101-485, eff. 8-23-19; revised 8-24-20.)
 

 

 

SB2435- 842 -LRB102 04062 AMC 14078 b

1    Section 350. The School Code is amended by changing
2Sections 2-3.80, 2-3.155, 2-3.159, 10-17a, 10-20.5b, 14-8.02,
318-8.15, 22-33, 24A-7, 27-24.1, 27-24.2, 27A-5, 34-18, and
434-18.11, by setting forth and renumbering multiple versions
5of Sections 2-3.176, 10-20.69, 22-85, and 27-23.13, and by
6setting forth, renumbering, and changing multiple versions of
7Section 34-18.61 as follows:
 
8    (105 ILCS 5/2-3.80)  (from Ch. 122, par. 2-3.80)
9    Sec. 2-3.80. (a) The General Assembly recognizes that
10agriculture is the most basic and singularly important
11industry in the State, that agriculture is of central
12importance to the welfare and economic stability of the State,
13and that the maintenance of this vital industry requires a
14continued source of trained and qualified individuals for
15employment in agriculture and agribusiness. The General
16Assembly hereby declares that it is in the best interests of
17the people of the State of Illinois that a comprehensive
18education program in agriculture be created and maintained by
19the State's public school system in order to ensure an
20adequate supply of trained and skilled individuals and to
21ensure appropriate representation of racial and ethnic groups
22in all phases of the industry. It is the intent of the General
23Assembly that a State program for agricultural education shall
24be a part of the curriculum of the public school system K

 

 

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1through adult, and made readily available to all school
2districts which may, at their option, include programs in
3education in agriculture as a part of the curriculum of that
4district.
5    (b) The State Board of Education shall adopt such rules
6and regulations as are necessary to implement the provisions
7of this Section. The rules and regulations shall not create
8any new State mandates on school districts as a condition of
9receiving federal, State, and local funds by those entities.
10It is in the intent of the General Assembly that, although this
11Section does not create any new mandates, school districts are
12strongly advised to follow the guidelines set forth in this
13Section.
14    (c) The State Superintendent of Education shall assume
15responsibility for the administration of the State program
16adopted under this Section throughout the public school system
17as well as the articulation of the State program to the
18requirements and mandates of federally assisted education.
19There is currently within the State Board of Education an
20agricultural education unit to assist school districts in the
21establishment and maintenance of educational programs pursuant
22to the provisions of this Section. The staffing of the unit
23shall at all times be comprised of an appropriate number of
24full-time employees who shall serve as program consultants in
25agricultural education and shall be available to provide
26assistance to school districts. At least one consultant shall

 

 

SB2435- 844 -LRB102 04062 AMC 14078 b

1be responsible for the coordination of the State program, as
2Head Consultant. At least one consultant shall be responsible
3for the coordination of the activities of student and
4agricultural organizations and associations.
5    (d) A committee of 13 agriculturalists representative of
6the various and diverse areas of the agricultural industry in
7Illinois shall be established to at least develop a curriculum
8and overview the implementation of the Build Illinois through
9Quality Agricultural Education plans of the Illinois
10Leadership Council for Agricultural Education and to advise
11the State Board of Education on vocational agricultural
12education. The Committee shall be composed of the following: 6
13(6) agriculturalists representing the Illinois Leadership
14Council for Agricultural Education; 2 (2) Secondary
15Agriculture Teachers; one (1) "Ag In The Classroom" Teacher;
16one (1) Community College Agriculture Teacher; one (1) Adult
17Agriculture Education Teacher; one (1) University Agriculture
18Teacher Educator; and one (1) FFA Representative. All members
19of the Committee shall be appointed by the Governor by and with
20the advice and consent of the Senate. The terms of all members
21so appointed shall be for 3 years, except that of the members
22initially appointed, 5 shall be appointed to serve for terms
23of one 1 year, 4 shall be appointed to serve for terms of 2
24years, and 4 shall be appointed to serve for terms of 3 years.
25All members of the Committee shall serve until their
26successors are appointed and qualified. Vacancies in terms

 

 

SB2435- 845 -LRB102 04062 AMC 14078 b

1shall be filled by appointment of the Governor with the advice
2and consent of the Senate for the extent of the unexpired term.
3The State Board of Education shall implement a Build Illinois
4through Quality Agricultural Education plan following receipt
5of these recommendations which shall be made available on or
6before March 31, 1987. Recommendations shall include, but not
7be limited to, the development of a curriculum and a strategy
8for the purpose of establishing a source of trained and
9qualified individuals in agriculture, a strategy for
10articulating the State program in agricultural education
11throughout the public school system, and a consumer education
12outreach strategy regarding the importance of agriculture in
13Illinois. The committee of agriculturalists shall serve
14without compensation.
15    (e) A school district that offers a secondary agricultural
16education program that is approved for State and federal
17funding must ensure that, at a minimum, all of the following
18are available to its secondary agricultural education
19students:
20        (1) An instructional sequence of courses approved by
21    the State Board of Education.
22        (2) A State and nationally affiliated FFA (Future
23    Farmers of America) chapter that is integral to
24    instruction and is not treated solely as an
25    extracurricular activity.
26        (3) A mechanism for ensuring the involvement of all

 

 

SB2435- 846 -LRB102 04062 AMC 14078 b

1    secondary agricultural education students in formal,
2    supervised, agricultural-experience activities and
3    programs.
4    (f) Nothing in this Section may prevent those secondary
5agricultural education programs that are in operation before
6January 1, 2007 (the effective date of Public Act 94-855) this
7amendatory Act of the 94th General Assembly and that do not
8have an active State and nationally affiliated FFA chapter
9from continuing to operate or from continuing to receive
10funding from the State Board of Education.
11(Source: P.A. 94-855, eff. 1-1-07; revised 8-24-20.)
 
12    (105 ILCS 5/2-3.155)
13    Sec. 2-3.155. Textbook block grant program.
14    (a) The provisions of this Section are in the public
15interest, for the public benefit, and serve secular public
16purposes.
17    (b) As used in this Section, "textbook" means any book or
18book substitute that a pupil uses as a text or text substitute,
19including electronic textbooks. "Textbook" includes books,
20reusable workbooks, manuals, whether bound or in loose-leaf
21form, instructional computer software, and electronic
22textbooks and the technological equipment necessary to gain
23access to and use electronic textbooks intended as a principal
24source of study material for a given class or group of
25students. "Textbook" also includes science curriculum

 

 

SB2435- 847 -LRB102 04062 AMC 14078 b

1materials in a kit format that includes pre-packaged
2consumable materials if (i) it is shown that the materials
3serve as a textbook substitute, (ii) the materials are for use
4by the pupils as a principal learning source, (iii) each
5component of the materials is integrally necessary to teach
6the requirements of the intended course, (iv) the kit includes
7teacher guidance materials, and (v) the purchase of individual
8consumable materials is not allowed.
9    (c) Subject to annual appropriation by the General
10Assembly, the State Board of Education is authorized to
11provide annual funding to public school districts and
12State-recognized, non-public schools serving students in
13grades kindergarten through 12 for the purchase of selected
14textbooks. The textbooks authorized to be purchased under this
15Section are limited without exception to textbooks for use in
16any public school and that are secular, non-religious,
17non-sectarian, and non-discriminatory as to any of the
18characteristics under the Illinois Human Rights Act. Textbooks
19authorized to be purchased under this Section must include the
20roles and contributions of all people protected under the
21Illinois Human Rights Act. Each public school district and
22State-recognized, non-public school shall, subject to
23appropriations for that purpose, receive a per pupil grant for
24the purchase of secular and non-discriminatory textbooks. The
25per pupil grant amount must be calculated by the State Board of
26Education utilizing the total appropriation made for these

 

 

SB2435- 848 -LRB102 04062 AMC 14078 b

1purposes divided by the most current student enrollment data
2available.
3    (d) The State Board of Education may adopt rules as
4necessary for the implementation of this Section and to ensure
5the religious neutrality of the textbook block grant program,
6as well as provide for the monitoring of all textbooks
7authorized in this Section to be purchased directly by
8State-recognized, nonpublic schools serving students in grades
9kindergarten through 12.
10(Source: P.A. 101-17, eff. 6-14-19; 101-227, eff. 7-1-20;
11revised 8-4-20.)
 
12    (105 ILCS 5/2-3.159)
13    Sec. 2-3.159. State Seal of Biliteracy.
14    (a) In this Section, "foreign language" means any language
15other than English, including all modern languages, Latin,
16American Sign Language, Native American languages, and native
17languages.
18    (b) The State Seal of Biliteracy program is established to
19recognize public and non-public high school graduates who have
20attained a high level of proficiency in one or more languages
21in addition to English. School district and non-public school
22participation in this program is voluntary.
23    (c) The purposes of the State Seal of Biliteracy are as
24follows:
25        (1) To encourage pupils to study languages.

 

 

SB2435- 849 -LRB102 04062 AMC 14078 b

1        (2) To certify attainment of biliteracy.
2        (3) To provide employers with a method of identifying
3    people with language and biliteracy skills.
4        (4) To provide universities with an additional method
5    to recognize applicants seeking admission.
6        (5) To prepare pupils with 21st century skills.
7        (6) To recognize the value of foreign language and
8    native language instruction in public and non-public
9    schools.
10        (7) To strengthen intergroup relationships, affirm the
11    value of diversity, and honor the multiple cultures and
12    languages of a community.
13    (d) The State Seal of Biliteracy certifies attainment of a
14high level of proficiency, sufficient for meaningful use in
15college and a career, by a graduating public or non-public
16high school pupil in one or more languages in addition to
17English.
18    (e) The State Board of Education shall adopt such rules as
19may be necessary to establish the criteria that pupils must
20achieve to earn a State Seal of Biliteracy, which may include
21without limitation attainment of units of credit in English
22language arts and languages other than English and passage of
23such assessments of foreign language proficiency as may be
24approved by the State Board of Education for this purpose.
25These rules shall ensure that the criteria that pupils must
26achieve to earn a State Seal of Biliteracy meet the course

 

 

SB2435- 850 -LRB102 04062 AMC 14078 b

1credit criteria established under subsection (i) of this
2Section.
3    (e-5) To demonstrate sufficient English language
4proficiency for eligibility to receive a State Seal of
5Biliteracy under this Section, the State Board of Education
6shall allow a pupil to provide his or her school district with
7evidence of completion of any of the following, in accordance
8with guidelines for proficiency adopted by the State Board:
9        (1) An AP (Advanced Placement) English Language and
10    Composition Exam.
11        (2) An English language arts dual credit course.
12        (3) Transitional coursework in English language arts
13    articulated in partnership with a public community college
14    as an ESSA (Every Student Succeeds Act) College and Career
15    Readiness Indicator.
16    (f) The State Board of Education shall do both of the
17following:
18        (1) Prepare and deliver to participating school
19    districts and non-public schools an appropriate mechanism
20    for designating the State Seal of Biliteracy on the
21    diploma and transcript of the pupil indicating that the
22    pupil has been awarded a State Seal of Biliteracy by the
23    State Board of Education.
24        (2) Provide other information the State Board of
25    Education deems necessary for school districts and
26    non-public schools to successfully participate in the

 

 

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1    program.
2    (g) A school district or non-public school that
3participates in the program under this Section shall do both
4of the following:
5        (1) Maintain appropriate records in order to identify
6    pupils who have earned a State Seal of Biliteracy.
7        (2) Make the appropriate designation on the diploma
8    and transcript of each pupil who earns a State Seal of
9    Biliteracy.
10    (h) No fee shall be charged to a pupil to receive the
11designation pursuant to this Section. Notwithstanding this
12prohibition, costs may be incurred by the pupil in
13demonstrating proficiency, including without limitation any
14assessments required under subsection (e) of this Section.
15    (i) For admissions purposes, each public university in
16this State shall accept the State Seal of Biliteracy as
17equivalent to 2 years of foreign language coursework taken
18during high school if a student's high school transcript
19indicates that he or she will be receiving or has received the
20State Seal of Biliteracy.
21    (j) Each public community college and public university in
22this State shall establish criteria to translate a State Seal
23of Biliteracy into course credit based on foreign language
24course equivalencies identified by the community college's or
25university's faculty and staff and, upon request from an
26enrolled student, the community college or university shall

 

 

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1award foreign language course credit to a student who has
2received a State Seal of Biliteracy. Students enrolled in a
3public community college or public university who have
4received a State Seal of Biliteracy must request course credit
5for their seal within 3 academic years after graduating from
6high school.
7(Source: P.A. 101-222, eff. 1-1-20; 101-503, eff. 8-23-19;
8revised 9-9-19.)
 
9    (105 ILCS 5/2-3.176)
10    Sec. 2-3.176. Transfers to Governor's Grant Fund. In
11addition to any other transfers that may be provided for by
12law, the State Comptroller shall direct and the State
13Treasurer shall transfer from the SBE Federal Agency Services
14Fund and the SBE Federal Department of Education Fund into the
15Governor's Grant Fund such amounts as may be directed in
16writing by the State Board of Education.
17(Source: P.A. 101-10, eff. 6-5-19.)
 
18    (105 ILCS 5/2-3.179)
19    Sec. 2-3.179 2-3.176. Work-based learning database.
20    (a) In this Section, "work-based learning" means an
21educational strategy that provides students with real-life
22work experiences in which they can apply academic and
23technical skills and develop their employability.
24    (b) The State Board must develop a work-based learning

 

 

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1database to help facilitate relationships between school
2districts and businesses and expand work-based learning in
3this State.
4(Source: P.A. 101-389, eff. 8-16-19; revised 10-21-19.)
 
5    (105 ILCS 5/2-3.180)
6    Sec. 2-3.180 2-3.176. School safety and security grants.
7Subject to appropriation or private donations, the State Board
8of Education shall award grants to school districts to support
9school safety and security. Grant funds may be used for school
10security improvements, including professional development,
11safety-related upgrades to school buildings, equipment,
12including metal detectors and x-ray machines, and facilities,
13including school-based health centers. The State Board must
14prioritize the distribution of grants under this Section to
15school districts designated as Tier 1 or Tier 2 under Section
1618-8.15.
17(Source: P.A. 101-413, eff. 1-1-20; revised 10-21-19.)
 
18    (105 ILCS 5/2-3.181)
19    Sec. 2-3.181 2-3.176. Safe Schools and Healthy Learning
20Environments Grant Program.
21    (a) The State Board of Education, subject to
22appropriation, is authorized to award competitive grants on an
23annual basis under a Safe Schools and Healthy Learning
24Environments Grant Program. The goal of this grant program is

 

 

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1to promote school safety and healthy learning environments by
2providing schools with additional resources to implement
3restorative interventions and resolution strategies as
4alternatives to exclusionary discipline, and to address the
5full range of students' intellectual, social, emotional,
6physical, psychological, and moral developmental needs.
7    (b) To receive a grant under this program, a school
8district must submit with its grant application a plan for
9implementing evidence-based and promising practices that are
10aligned with the goal of this program. The application may
11include proposals to (i) hire additional school support
12personnel, including, but not limited to, restorative justice
13practitioners, school psychologists, school social workers,
14and other mental and behavioral health specialists; (ii) use
15existing school-based resources, community-based resources, or
16other experts and practitioners to expand alternatives to
17exclusionary discipline, mental and behavioral health
18supports, wraparound services, or drug and alcohol treatment;
19and (iii) provide training for school staff on trauma-informed
20approaches to meeting students' developmental needs,
21addressing the effects of toxic stress, restorative justice
22approaches, conflict resolution techniques, and the effective
23utilization of school support personnel and community-based
24services. For purposes of this subsection, "promising
25practices" means practices that present, based on preliminary
26information, potential for becoming evidence-based practices.

 

 

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1    Grant funds may not be used to increase the use of
2school-based law enforcement or security personnel. Nothing in
3this Section shall prohibit school districts from involving
4law enforcement personnel when necessary and allowed by law.
5    (c) The State Board of Education, subject to appropriation
6for the grant program, shall annually disseminate a request
7for applications to this program, and funds shall be
8distributed annually. The criteria to be considered by the
9State Board of Education in awarding the funds shall be (i) the
10average ratio of school support personnel to students in the
11target schools over the preceding 3 school years, with
12priority given to applications with a demonstrated shortage of
13school support personnel to meet student needs; and (ii) the
14degree to which the proposal articulates a comprehensive
15approach for reducing exclusionary discipline while building
16safe and healthy learning environments. Priority shall be
17given to school districts that meet the metrics under
18subsection (b) of Section 2-3.162.
19    (d) The State Board of Education, subject to appropriation
20for the grant program, shall produce an annual report on the
21program in cooperation with the school districts participating
22in the program. The report shall include available
23quantitative information on the progress being made in
24reducing exclusionary discipline and the effects of the
25program on school safety and school climate. This report shall
26be posted on the State Board of Education's website by October

 

 

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131 of each year, beginning in 2020.
2    (e) The State Board of Education may adopt any rules
3necessary for the implementation of this program.
4(Source: P.A. 101-438, eff. 8-20-19; revised 10-21-19.)
 
5    (105 ILCS 5/10-17a)  (from Ch. 122, par. 10-17a)
6    Sec. 10-17a. State, school district, and school report
7cards.
8    (1) By October 31, 2013 and October 31 of each subsequent
9school year, the State Board of Education, through the State
10Superintendent of Education, shall prepare a State report
11card, school district report cards, and school report cards,
12and shall by the most economic means provide to each school
13district in this State, including special charter districts
14and districts subject to the provisions of Article 34, the
15report cards for the school district and each of its schools.
16    (2) In addition to any information required by federal
17law, the State Superintendent shall determine the indicators
18and presentation of the school report card, which must
19include, at a minimum, the most current data collected and
20maintained by the State Board of Education related to the
21following:
22        (A) school characteristics and student demographics,
23    including average class size, average teaching experience,
24    student racial/ethnic breakdown, and the percentage of
25    students classified as low-income; the percentage of

 

 

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1    students classified as English learners; the percentage of
2    students who have individualized education plans or 504
3    plans that provide for special education services; the
4    number and percentage of all students who have been
5    assessed for placement in a gifted education or advanced
6    academic program and, of those students: (i) the racial
7    and ethnic breakdown, (ii) the percentage who are
8    classified as low-income, and (iii) the number and
9    percentage of students who received direct instruction
10    from a teacher who holds a gifted education endorsement
11    and, of those students, the percentage who are classified
12    as low-income; the percentage of students scoring at the
13    "exceeds expectations" level on the assessments required
14    under Section 2-3.64a-5 of this Code; the percentage of
15    students who annually transferred in or out of the school
16    district; average daily attendance; the per-pupil
17    operating expenditure of the school district; and the
18    per-pupil State average operating expenditure for the
19    district type (elementary, high school, or unit);
20        (B) curriculum information, including, where
21    applicable, Advanced Placement, International
22    Baccalaureate or equivalent courses, dual enrollment
23    courses, foreign language classes, school personnel
24    resources (including Career Technical Education teachers),
25    before and after school programs, extracurricular
26    activities, subjects in which elective classes are

 

 

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1    offered, health and wellness initiatives (including the
2    average number of days of Physical Education per week per
3    student), approved programs of study, awards received,
4    community partnerships, and special programs such as
5    programming for the gifted and talented, students with
6    disabilities, and work-study students;
7        (C) student outcomes, including, where applicable, the
8    percentage of students deemed proficient on assessments of
9    State standards, the percentage of students in the eighth
10    grade who pass Algebra, the percentage of students who
11    participated in workplace learning experiences, the
12    percentage of students enrolled in post-secondary
13    institutions (including colleges, universities, community
14    colleges, trade/vocational schools, and training programs
15    leading to career certification within 2 semesters of high
16    school graduation), the percentage of students graduating
17    from high school who are college and career ready, and the
18    percentage of graduates enrolled in community colleges,
19    colleges, and universities who are in one or more courses
20    that the community college, college, or university
21    identifies as a developmental course;
22        (D) student progress, including, where applicable, the
23    percentage of students in the ninth grade who have earned
24    5 credits or more without failing more than one core
25    class, a measure of students entering kindergarten ready
26    to learn, a measure of growth, and the percentage of

 

 

SB2435- 859 -LRB102 04062 AMC 14078 b

1    students who enter high school on track for college and
2    career readiness;
3        (E) the school environment, including, where
4    applicable, the percentage of students with less than 10
5    absences in a school year, the percentage of teachers with
6    less than 10 absences in a school year for reasons other
7    than professional development, leaves taken pursuant to
8    the federal Family Medical Leave Act of 1993, long-term
9    disability, or parental leaves, the 3-year average of the
10    percentage of teachers returning to the school from the
11    previous year, the number of different principals at the
12    school in the last 6 years, the number of teachers who hold
13    a gifted education endorsement, the process and criteria
14    used by the district to determine whether a student is
15    eligible for participation in a gifted education program
16    or advanced academic program and the manner in which
17    parents and guardians are made aware of the process and
18    criteria, 2 or more indicators from any school climate
19    survey selected or approved by the State and administered
20    pursuant to Section 2-3.153 of this Code, with the same or
21    similar indicators included on school report cards for all
22    surveys selected or approved by the State pursuant to
23    Section 2-3.153 of this Code, and the combined percentage
24    of teachers rated as proficient or excellent in their most
25    recent evaluation;
26        (F) a school district's and its individual schools'

 

 

SB2435- 860 -LRB102 04062 AMC 14078 b

1    balanced accountability measure, in accordance with
2    Section 2-3.25a of this Code;
3        (G) the total and per pupil normal cost amount the
4    State contributed to the Teachers' Retirement System of
5    the State of Illinois in the prior fiscal year for the
6    school's employees, which shall be reported to the State
7    Board of Education by the Teachers' Retirement System of
8    the State of Illinois;
9        (H) for a school district organized under Article 34
10    of this Code only, State contributions to the Public
11    School Teachers' Pension and Retirement Fund of Chicago
12    and State contributions for health care for employees of
13    that school district;
14        (I) a school district's Final Percent of Adequacy, as
15    defined in paragraph (4) of subsection (f) of Section
16    18-8.15 of this Code;
17        (J) a school district's Local Capacity Target, as
18    defined in paragraph (2) of subsection (c) of Section
19    18-8.15 of this Code, displayed as a percentage amount;
20        (K) a school district's Real Receipts, as defined in
21    paragraph (1) of subsection (d) of Section 18-8.15 of this
22    Code, divided by a school district's Adequacy Target, as
23    defined in paragraph (1) of subsection (b) of Section
24    18-8.15 of this Code, displayed as a percentage amount;
25        (L) a school district's administrative costs; and
26        (M) whether or not the school has participated in the

 

 

SB2435- 861 -LRB102 04062 AMC 14078 b

1    Illinois Youth Survey. In this paragraph (M), "Illinois
2    Youth Survey" means a self-report survey, administered in
3    school settings every 2 years, designed to gather
4    information about health and social indicators, including
5    substance abuse patterns and the attitudes of students in
6    grades 8, 10, and 12; and
7        (N) whether the school offered its students career and
8    technical education opportunities.
9    The school report card shall also provide information that
10allows for comparing the current outcome, progress, and
11environment data to the State average, to the school data from
12the past 5 years, and to the outcomes, progress, and
13environment of similar schools based on the type of school and
14enrollment of low-income students, special education students,
15and English learners.
16    As used in this subsection (2):
17    "Administrative costs" means costs associated with
18executive, administrative, or managerial functions within the
19school district that involve planning, organizing, managing,
20or directing the school district.
21    "Advanced academic program" means a course of study to
22which students are assigned based on advanced cognitive
23ability or advanced academic achievement compared to local age
24peers and in which the curriculum is substantially
25differentiated from the general curriculum to provide
26appropriate challenge and pace.

 

 

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1    "Gifted education" means educational services, including
2differentiated curricula and instructional methods, designed
3to meet the needs of gifted children as defined in Article 14A
4of this Code.
5    For the purposes of paragraph (A) of this subsection (2),
6"average daily attendance" means the average of the actual
7number of attendance days during the previous school year for
8any enrolled student who is subject to compulsory attendance
9by Section 26-1 of this Code at each school and charter school.
10    (3) At the discretion of the State Superintendent, the
11school district report card shall include a subset of the
12information identified in paragraphs (A) through (E) of
13subsection (2) of this Section, as well as information
14relating to the operating expense per pupil and other finances
15of the school district, and the State report card shall
16include a subset of the information identified in paragraphs
17(A) through (E) and paragraph (N) of subsection (2) of this
18Section. The school district report card shall include the
19average daily attendance, as that term is defined in
20subsection (2) of this Section, of students who have
21individualized education programs and students who have 504
22plans that provide for special education services within the
23school district.
24    (4) Notwithstanding anything to the contrary in this
25Section, in consultation with key education stakeholders, the
26State Superintendent shall at any time have the discretion to

 

 

SB2435- 863 -LRB102 04062 AMC 14078 b

1amend or update any and all metrics on the school, district, or
2State report card.
3    (5) Annually, no more than 30 calendar days after receipt
4of the school district and school report cards from the State
5Superintendent of Education, each school district, including
6special charter districts and districts subject to the
7provisions of Article 34, shall present such report cards at a
8regular school board meeting subject to applicable notice
9requirements, post the report cards on the school district's
10Internet web site, if the district maintains an Internet web
11site, make the report cards available to a newspaper of
12general circulation serving the district, and, upon request,
13send the report cards home to a parent (unless the district
14does not maintain an Internet web site, in which case the
15report card shall be sent home to parents without request). If
16the district posts the report card on its Internet web site,
17the district shall send a written notice home to parents
18stating (i) that the report card is available on the web site,
19(ii) the address of the web site, (iii) that a printed copy of
20the report card will be sent to parents upon request, and (iv)
21the telephone number that parents may call to request a
22printed copy of the report card.
23    (6) Nothing contained in Public Act 98-648 repeals,
24supersedes, invalidates, or nullifies final decisions in
25lawsuits pending on July 1, 2014 (the effective date of Public
26Act 98-648) in Illinois courts involving the interpretation of

 

 

SB2435- 864 -LRB102 04062 AMC 14078 b

1Public Act 97-8.
2(Source: P.A. 100-227, eff. 8-18-17; 100-364, eff. 1-1-18;
3100-448, eff. 7-1-19; 100-465, eff. 8-31-17; 100-807, eff.
48-10-18; 100-863, eff. 8-14-18; 100-1121, eff. 1-1-19; 101-68,
5eff. 1-1-20; 101-81, eff. 7-12-19; revised 9-9-19.)
 
6    (105 ILCS 5/10-20.5b)  (from Ch. 122, par. 10-20.5b)
7    Sec. 10-20.5b. Tobacco prohibition. Each school board
8shall prohibit the use of tobacco on school property by any
9school personnel, student, or other person when such property
10is being used for any school purposes. The school board may not
11authorize or permit any exception to or exemption from the
12prohibition at any place or at any time, including, without
13limitation, outside of school buildings or before or after the
14regular school day or on days when school is not in session.
15"School purposes" includes, but is include but are not limited
16to, all events or activities or other use of school property
17that the school board or school officials authorize or permit
18on school property, including, without limitation, all
19interscholastic or extracurricular athletic, academic, or
20other events sponsored by the school board or in which pupils
21of the district participate. For purposes of this Section
22"tobacco" shall mean a cigarette, a cigar, or tobacco in any
23other form, including smokeless tobacco which is any loose,
24cut, shredded, ground, powdered, compressed, or leaf tobacco
25that is intended to be placed in the mouth without being

 

 

SB2435- 865 -LRB102 04062 AMC 14078 b

1smoked.
2(Source: P.A. 89-181, eff. 7-19-95; revised 12-21-20.)
 
3    (105 ILCS 5/10-20.69)
4    Sec. 10-20.69. Policy on sexual harassment. Each school
5district must create, maintain, and implement an
6age-appropriate policy on sexual harassment that must be
7posted on the school district's website and, if applicable,
8any other area where policies, rules, and standards of conduct
9are currently posted in each school and must also be included
10in the school district's student code of conduct handbook.
11(Source: P.A. 101-418, eff. 1-1-20.)
 
12    (105 ILCS 5/10-20.70)
13    Sec. 10-20.70 10-20.69. Class size reporting. No later
14than November 16, 2020, and annually thereafter, each school
15district must report to the State Board of Education
16information on the school district described under subsection
17(b) of Section 2-3.136a and must make that information
18available on its website.
19(Source: P.A. 101-451, eff. 1-1-20; revised 10-21-19.)
 
20    (105 ILCS 5/10-20.71)
21    Sec. 10-20.71 10-20.69. Sexual abuse investigations at
22schools. Every 2 years, each school district must review all
23existing policies and procedures concerning sexual abuse

 

 

SB2435- 866 -LRB102 04062 AMC 14078 b

1investigations at schools to ensure consistency with Section
222-85.
3(Source: P.A. 101-531, eff. 8-23-19; revised 10-21-19.)
 
4    (105 ILCS 5/10-20.72)
5    Sec. 10-20.72 10-20.69. Door security locking means.
6    (a) In this Section, "door security locking means" means a
7door locking means intended for use by a trained school
8district employee in a school building for the purpose of
9preventing ingress through a door of the building.
10    (b) A school district may install a door security locking
11means on a door of a school building to prevent unwanted entry
12through the door if all of the following requirements are met:
13        (1) The door security locking means can be engaged
14    without opening the door.
15        (2) The unlocking and unlatching of the door security
16    locking means from the occupied side of the door can be
17    accomplished without the use of a key or tool.
18        (3) The door security locking means complies with all
19    applicable State and federal accessibility requirements.
20        (4) Locks, if remotely engaged, can be unlocked from
21    the occupied side.
22        (5) The door security locking means is capable of
23    being disengaged from the outside by school district
24    employees, and school district employees may use a key or
25    other credentials to unlock the door from the outside.

 

 

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1        (6) The door security locking means does not modify
2    the door-closing hardware, panic hardware, or fire exit
3    hardware.
4        (7) Any bolts, stops, brackets, or pins employed by
5    the door security locking means do not affect the fire
6    rating of a fire door assembly.
7        (8) School district employees are trained in the
8    engagement and release of the door security locking means,
9    from within and outside the room, as part of the emergency
10    response plan.
11        (9) For doors installed before July 1, 2019 only, the
12    unlocking and unlatching of a door security locking means
13    requires no more than 2 releasing operations. For doors
14    installed on or after July 1, 2019, the unlocking and
15    unlatching of a door security locking means requires no
16    more than one releasing operation. If doors installed
17    before July 1, 2019 are replaced on or after July 1, 2019,
18    the unlocking and unlatching of a door security locking
19    means on the replacement door requires no more than one
20    releasing operation.
21        (10) The door security locking means is no more than
22    48 inches above the finished floor.
23        (11) The door security locking means otherwise
24    complies with the school building code prepared by the
25    State Board of Education under Section 2-3.12.
26    A school district may install a door security locking

 

 

SB2435- 868 -LRB102 04062 AMC 14078 b

1means that does not comply with paragraph (3) or (10) of this
2subsection if (i) the school district meets all other
3requirements under this subsection and (ii) prior to its
4installation, local law enforcement officials, the local fire
5department, and the school board agree, in writing, to the
6installation and use of the door security locking means. The
7school district must keep the agreement on file and must, upon
8request, provide the agreement to its regional office of
9education. The agreement must be included in the school
10district's filed school safety plan under the School Safety
11Drill Act.
12    (c) A school district must include the location of any
13door security locking means and must address the use of the
14locking and unlocking means from within and outside the room
15in its filed school safety plan under the School Safety Drill
16Act. Local law enforcement officials and the local fire
17department must be notified of the location of any door
18security locking means and how to disengage it. Any specific
19tool needed to disengage the door security locking means from
20the outside of the room must, upon request, be made available
21to local law enforcement officials and the local fire
22department.
23    (d) A door security locking means may be used only (i) by a
24school district employee trained under subsection (e), (ii)
25during an emergency that threatens the health and safety of
26students and employees or during an active shooter drill, and

 

 

SB2435- 869 -LRB102 04062 AMC 14078 b

1(iii) when local law enforcement officials and the local fire
2department have been notified of its installation prior to its
3use. The door security locking means must be engaged for a
4finite period of time in accordance with the school district's
5school safety plan adopted under the School Safety Drill Act.
6    (e) A school district that has installed a door security
7locking means shall conduct an in-service training program for
8school district employees on the proper use of the door
9security locking means. The school district shall keep a file
10verifying the employees who have completed the program and
11must, upon request, provide the file to its regional office of
12education and the local fire department and local law
13enforcement agency.
14    (f) A door security locking means that requires 2
15releasing operations must be discontinued from use when the
16door is replaced or is a part of new construction. Replacement
17and new construction door hardware must include mortise locks,
18compliant with the applicable building code, and must be
19lockable from the occupied side without opening the door.
20However, mortise locks are not required if panic hardware or
21fire exit hardware is required.
22(Source: P.A. 101-548, eff. 8-23-19; revised 10-21-19.)
 
23    (105 ILCS 5/14-8.02)  (from Ch. 122, par. 14-8.02)
24    Sec. 14-8.02. Identification, evaluation, and placement of
25children.

 

 

SB2435- 870 -LRB102 04062 AMC 14078 b

1    (a) The State Board of Education shall make rules under
2which local school boards shall determine the eligibility of
3children to receive special education. Such rules shall ensure
4that a free appropriate public education be available to all
5children with disabilities as defined in Section 14-1.02. The
6State Board of Education shall require local school districts
7to administer non-discriminatory procedures or tests to
8English learners coming from homes in which a language other
9than English is used to determine their eligibility to receive
10special education. The placement of low English proficiency
11students in special education programs and facilities shall be
12made in accordance with the test results reflecting the
13student's linguistic, cultural and special education needs.
14For purposes of determining the eligibility of children the
15State Board of Education shall include in the rules
16definitions of "case study", "staff conference",
17"individualized educational program", and "qualified
18specialist" appropriate to each category of children with
19disabilities as defined in this Article. For purposes of
20determining the eligibility of children from homes in which a
21language other than English is used, the State Board of
22Education shall include in the rules definitions for
23"qualified bilingual specialists" and "linguistically and
24culturally appropriate individualized educational programs".
25For purposes of this Section, as well as Sections 14-8.02a,
2614-8.02b, and 14-8.02c of this Code, "parent" means a parent

 

 

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1as defined in the federal Individuals with Disabilities
2Education Act (20 U.S.C. 1401(23)).
3    (b) No child shall be eligible for special education
4facilities except with a carefully completed case study fully
5reviewed by professional personnel in a multidisciplinary
6staff conference and only upon the recommendation of qualified
7specialists or a qualified bilingual specialist, if available.
8At the conclusion of the multidisciplinary staff conference,
9the parent of the child shall be given a copy of the
10multidisciplinary conference summary report and
11recommendations, which includes options considered, and be
12informed of his or her their right to obtain an independent
13educational evaluation if he or she disagrees they disagree
14with the evaluation findings conducted or obtained by the
15school district. If the school district's evaluation is shown
16to be inappropriate, the school district shall reimburse the
17parent for the cost of the independent evaluation. The State
18Board of Education shall, with advice from the State Advisory
19Council on Education of Children with Disabilities on the
20inclusion of specific independent educational evaluators,
21prepare a list of suggested independent educational
22evaluators. The State Board of Education shall include on the
23list clinical psychologists licensed pursuant to the Clinical
24Psychologist Licensing Act. Such psychologists shall not be
25paid fees in excess of the amount that would be received by a
26school psychologist for performing the same services. The

 

 

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1State Board of Education shall supply school districts with
2such list and make the list available to parents at their
3request. School districts shall make the list available to
4parents at the time they are informed of their right to obtain
5an independent educational evaluation. However, the school
6district may initiate an impartial due process hearing under
7this Section within 5 days of any written parent request for an
8independent educational evaluation to show that its evaluation
9is appropriate. If the final decision is that the evaluation
10is appropriate, the parent still has a right to an independent
11educational evaluation, but not at public expense. An
12independent educational evaluation at public expense must be
13completed within 30 days of a parent written request unless
14the school district initiates an impartial due process hearing
15or the parent or school district offers reasonable grounds to
16show that such 30-day 30 day time period should be extended. If
17the due process hearing decision indicates that the parent is
18entitled to an independent educational evaluation, it must be
19completed within 30 days of the decision unless the parent or
20the school district offers reasonable grounds to show that
21such 30-day 30 day period should be extended. If a parent
22disagrees with the summary report or recommendations of the
23multidisciplinary conference or the findings of any
24educational evaluation which results therefrom, the school
25district shall not proceed with a placement based upon such
26evaluation and the child shall remain in his or her regular

 

 

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1classroom setting. No child shall be eligible for admission to
2a special class for children with a mental disability who are
3educable or for children with a mental disability who are
4trainable except with a psychological evaluation and
5recommendation by a school psychologist. Consent shall be
6obtained from the parent of a child before any evaluation is
7conducted. If consent is not given by the parent or if the
8parent disagrees with the findings of the evaluation, then the
9school district may initiate an impartial due process hearing
10under this Section. The school district may evaluate the child
11if that is the decision resulting from the impartial due
12process hearing and the decision is not appealed or if the
13decision is affirmed on appeal. The determination of
14eligibility shall be made and the IEP meeting shall be
15completed within 60 school days from the date of written
16parental consent. In those instances when written parental
17consent is obtained with fewer than 60 pupil attendance days
18left in the school year, the eligibility determination shall
19be made and the IEP meeting shall be completed prior to the
20first day of the following school year. Special education and
21related services must be provided in accordance with the
22student's IEP no later than 10 school attendance days after
23notice is provided to the parents pursuant to Section 300.503
24of Title 34 of the Code of Federal Regulations and
25implementing rules adopted by the State Board of Education.
26The appropriate program pursuant to the individualized

 

 

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1educational program of students whose native tongue is a
2language other than English shall reflect the special
3education, cultural and linguistic needs. No later than
4September 1, 1993, the State Board of Education shall
5establish standards for the development, implementation and
6monitoring of appropriate bilingual special individualized
7educational programs. The State Board of Education shall
8further incorporate appropriate monitoring procedures to
9verify implementation of these standards. The district shall
10indicate to the parent and the State Board of Education the
11nature of the services the child will receive for the regular
12school term while waiting placement in the appropriate special
13education class. At the child's initial IEP meeting and at
14each annual review meeting, the child's IEP team shall provide
15the child's parent or guardian with a written notification
16that informs the parent or guardian that the IEP team is
17required to consider whether the child requires assistive
18technology in order to receive free, appropriate public
19education. The notification must also include a toll-free
20telephone number and internet address for the State's
21assistive technology program.
22    If the child is deaf, hard of hearing, blind, or visually
23impaired and he or she might be eligible to receive services
24from the Illinois School for the Deaf or the Illinois School
25for the Visually Impaired, the school district shall notify
26the parents, in writing, of the existence of these schools and

 

 

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1the services they provide and shall make a reasonable effort
2to inform the parents of the existence of other, local schools
3that provide similar services and the services that these
4other schools provide. This notification shall include without
5limitation information on school services, school admissions
6criteria, and school contact information.
7    In the development of the individualized education program
8for a student who has a disability on the autism spectrum
9(which includes autistic disorder, Asperger's disorder,
10pervasive developmental disorder not otherwise specified,
11childhood disintegrative disorder, and Rett Syndrome, as
12defined in the Diagnostic and Statistical Manual of Mental
13Disorders, fourth edition (DSM-IV, 2000)), the IEP team shall
14consider all of the following factors:
15        (1) The verbal and nonverbal communication needs of
16    the child.
17        (2) The need to develop social interaction skills and
18    proficiencies.
19        (3) The needs resulting from the child's unusual
20    responses to sensory experiences.
21        (4) The needs resulting from resistance to
22    environmental change or change in daily routines.
23        (5) The needs resulting from engagement in repetitive
24    activities and stereotyped movements.
25        (6) The need for any positive behavioral
26    interventions, strategies, and supports to address any

 

 

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1    behavioral difficulties resulting from autism spectrum
2    disorder.
3        (7) Other needs resulting from the child's disability
4    that impact progress in the general curriculum, including
5    social and emotional development.
6Public Act 95-257 does not create any new entitlement to a
7service, program, or benefit, but must not affect any
8entitlement to a service, program, or benefit created by any
9other law.
10    If the student may be eligible to participate in the
11Home-Based Support Services Program for Adults with Mental
12Disabilities authorized under the Developmental Disability and
13Mental Disability Services Act upon becoming an adult, the
14student's individualized education program shall include plans
15for (i) determining the student's eligibility for those
16home-based services, (ii) enrolling the student in the program
17of home-based services, and (iii) developing a plan for the
18student's most effective use of the home-based services after
19the student becomes an adult and no longer receives special
20educational services under this Article. The plans developed
21under this paragraph shall include specific actions to be
22taken by specified individuals, agencies, or officials.
23    (c) In the development of the individualized education
24program for a student who is functionally blind, it shall be
25presumed that proficiency in Braille reading and writing is
26essential for the student's satisfactory educational progress.

 

 

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1For purposes of this subsection, the State Board of Education
2shall determine the criteria for a student to be classified as
3functionally blind. Students who are not currently identified
4as functionally blind who are also entitled to Braille
5instruction include: (i) those whose vision loss is so severe
6that they are unable to read and write at a level comparable to
7their peers solely through the use of vision, and (ii) those
8who show evidence of progressive vision loss that may result
9in functional blindness. Each student who is functionally
10blind shall be entitled to Braille reading and writing
11instruction that is sufficient to enable the student to
12communicate with the same level of proficiency as other
13students of comparable ability. Instruction should be provided
14to the extent that the student is physically and cognitively
15able to use Braille. Braille instruction may be used in
16combination with other special education services appropriate
17to the student's educational needs. The assessment of each
18student who is functionally blind for the purpose of
19developing the student's individualized education program
20shall include documentation of the student's strengths and
21weaknesses in Braille skills. Each person assisting in the
22development of the individualized education program for a
23student who is functionally blind shall receive information
24describing the benefits of Braille instruction. The
25individualized education program for each student who is
26functionally blind shall specify the appropriate learning

 

 

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1medium or media based on the assessment report.
2    (d) To the maximum extent appropriate, the placement shall
3provide the child with the opportunity to be educated with
4children who do not have a disability; provided that children
5with disabilities who are recommended to be placed into
6regular education classrooms are provided with supplementary
7services to assist the children with disabilities to benefit
8from the regular classroom instruction and are included on the
9teacher's regular education class register. Subject to the
10limitation of the preceding sentence, placement in special
11classes, separate schools or other removal of the child with a
12disability from the regular educational environment shall
13occur only when the nature of the severity of the disability is
14such that education in the regular classes with the use of
15supplementary aids and services cannot be achieved
16satisfactorily. The placement of English learners with
17disabilities shall be in non-restrictive environments which
18provide for integration with peers who do not have
19disabilities in bilingual classrooms. Annually, each January,
20school districts shall report data on students from
21non-English speaking backgrounds receiving special education
22and related services in public and private facilities as
23prescribed in Section 2-3.30. If there is a disagreement
24between parties involved regarding the special education
25placement of any child, either in-state or out-of-state, the
26placement is subject to impartial due process procedures

 

 

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1described in Article 10 of the Rules and Regulations to Govern
2the Administration and Operation of Special Education.
3    (e) No child who comes from a home in which a language
4other than English is the principal language used may be
5assigned to any class or program under this Article until he
6has been given, in the principal language used by the child and
7used in his home, tests reasonably related to his cultural
8environment. All testing and evaluation materials and
9procedures utilized for evaluation and placement shall not be
10linguistically, racially or culturally discriminatory.
11    (f) Nothing in this Article shall be construed to require
12any child to undergo any physical examination or medical
13treatment whose parents object thereto on the grounds that
14such examination or treatment conflicts with his religious
15beliefs.
16    (g) School boards or their designee shall provide to the
17parents of a child prior written notice of any decision (a)
18proposing to initiate or change, or (b) refusing to initiate
19or change, the identification, evaluation, or educational
20placement of the child or the provision of a free appropriate
21public education to their child, and the reasons therefor.
22Such written notification shall also inform the parent of the
23opportunity to present complaints with respect to any matter
24relating to the educational placement of the student, or the
25provision of a free appropriate public education and to have
26an impartial due process hearing on the complaint. The notice

 

 

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1shall inform the parents in the parents' native language,
2unless it is clearly not feasible to do so, of their rights and
3all procedures available pursuant to this Act and the federal
4Individuals with Disabilities Education Improvement Act of
52004 (Public Law 108-446); it shall be the responsibility of
6the State Superintendent to develop uniform notices setting
7forth the procedures available under this Act and the federal
8Individuals with Disabilities Education Improvement Act of
92004 (Public Law 108-446) to be used by all school boards. The
10notice shall also inform the parents of the availability upon
11request of a list of free or low-cost legal and other relevant
12services available locally to assist parents in initiating an
13impartial due process hearing. The State Superintendent shall
14revise the uniform notices required by this subsection (g) to
15reflect current law and procedures at least once every 2
16years. Any parent who is deaf, or does not normally
17communicate using spoken English, who participates in a
18meeting with a representative of a local educational agency
19for the purposes of developing an individualized educational
20program shall be entitled to the services of an interpreter.
21The State Board of Education must adopt rules to establish the
22criteria, standards, and competencies for a bilingual language
23interpreter who attends an individualized education program
24meeting under this subsection to assist a parent who has
25limited English proficiency.
26    (g-5) For purposes of this subsection (g-5), "qualified

 

 

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1professional" means an individual who holds credentials to
2evaluate the child in the domain or domains for which an
3evaluation is sought or an intern working under the direct
4supervision of a qualified professional, including a master's
5or doctoral degree candidate.
6    To ensure that a parent can participate fully and
7effectively with school personnel in the development of
8appropriate educational and related services for his or her
9child, the parent, an independent educational evaluator, or a
10qualified professional retained by or on behalf of a parent or
11child must be afforded reasonable access to educational
12facilities, personnel, classrooms, and buildings and to the
13child as provided in this subsection (g-5). The requirements
14of this subsection (g-5) apply to any public school facility,
15building, or program and to any facility, building, or program
16supported in whole or in part by public funds. Prior to
17visiting a school, school building, or school facility, the
18parent, independent educational evaluator, or qualified
19professional may be required by the school district to inform
20the building principal or supervisor in writing of the
21proposed visit, the purpose of the visit, and the approximate
22duration of the visit. The visitor and the school district
23shall arrange the visit or visits at times that are mutually
24agreeable. Visitors shall comply with school safety, security,
25and visitation policies at all times. School district
26visitation policies must not conflict with this subsection

 

 

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1(g-5). Visitors shall be required to comply with the
2requirements of applicable privacy laws, including those laws
3protecting the confidentiality of education records such as
4the federal Family Educational Rights and Privacy Act and the
5Illinois School Student Records Act. The visitor shall not
6disrupt the educational process.
7        (1) A parent must be afforded reasonable access of
8    sufficient duration and scope for the purpose of observing
9    his or her child in the child's current educational
10    placement, services, or program or for the purpose of
11    visiting an educational placement or program proposed for
12    the child.
13        (2) An independent educational evaluator or a
14    qualified professional retained by or on behalf of a
15    parent or child must be afforded reasonable access of
16    sufficient duration and scope for the purpose of
17    conducting an evaluation of the child, the child's
18    performance, the child's current educational program,
19    placement, services, or environment, or any educational
20    program, placement, services, or environment proposed for
21    the child, including interviews of educational personnel,
22    child observations, assessments, tests or assessments of
23    the child's educational program, services, or placement or
24    of any proposed educational program, services, or
25    placement. If one or more interviews of school personnel
26    are part of the evaluation, the interviews must be

 

 

SB2435- 883 -LRB102 04062 AMC 14078 b

1    conducted at a mutually agreed upon time, date, and place
2    that do not interfere with the school employee's school
3    duties. The school district may limit interviews to
4    personnel having information relevant to the child's
5    current educational services, program, or placement or to
6    a proposed educational service, program, or placement.
7    (h) (Blank).
8    (i) (Blank).
9    (j) (Blank).
10    (k) (Blank).
11    (l) (Blank).
12    (m) (Blank).
13    (n) (Blank).
14    (o) (Blank).
15(Source: P.A. 100-122, eff. 8-18-17; 100-863, eff. 8-14-18;
16100-993, eff. 8-20-18; 101-124, eff. 1-1-20; revised 9-26-19.)
 
17    (105 ILCS 5/18-8.15)
18    Sec. 18-8.15. Evidence-Based Funding for student success
19for the 2017-2018 and subsequent school years.
20    (a) General provisions.
21        (1) The purpose of this Section is to ensure that, by
22    June 30, 2027 and beyond, this State has a kindergarten
23    through grade 12 public education system with the capacity
24    to ensure the educational development of all persons to
25    the limits of their capacities in accordance with Section

 

 

SB2435- 884 -LRB102 04062 AMC 14078 b

1    1 of Article X of the Constitution of the State of
2    Illinois. To accomplish that objective, this Section
3    creates a method of funding public education that is
4    evidence-based; is sufficient to ensure every student
5    receives a meaningful opportunity to learn irrespective of
6    race, ethnicity, sexual orientation, gender, or
7    community-income level; and is sustainable and
8    predictable. When fully funded under this Section, every
9    school shall have the resources, based on what the
10    evidence indicates is needed, to:
11            (A) provide all students with a high quality
12        education that offers the academic, enrichment, social
13        and emotional support, technical, and career-focused
14        programs that will allow them to become competitive
15        workers, responsible parents, productive citizens of
16        this State, and active members of our national
17        democracy;
18            (B) ensure all students receive the education they
19        need to graduate from high school with the skills
20        required to pursue post-secondary education and
21        training for a rewarding career;
22            (C) reduce, with a goal of eliminating, the
23        achievement gap between at-risk and non-at-risk
24        students by raising the performance of at-risk
25        students and not by reducing standards; and
26            (D) ensure this State satisfies its obligation to

 

 

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1        assume the primary responsibility to fund public
2        education and simultaneously relieve the
3        disproportionate burden placed on local property taxes
4        to fund schools.
5        (2) The Evidence-Based Funding formula under this
6    Section shall be applied to all Organizational Units in
7    this State. The Evidence-Based Funding formula outlined in
8    this Act is based on the formula outlined in Senate Bill 1
9    of the 100th General Assembly, as passed by both
10    legislative chambers. As further defined and described in
11    this Section, there are 4 major components of the
12    Evidence-Based Funding model:
13            (A) First, the model calculates a unique Adequacy
14        Target for each Organizational Unit in this State that
15        considers the costs to implement research-based
16        activities, the unit's student demographics, and
17        regional wage differences.
18            (B) Second, the model calculates each
19        Organizational Unit's Local Capacity, or the amount
20        each Organizational Unit is assumed to contribute
21        toward its Adequacy Target from local resources.
22            (C) Third, the model calculates how much funding
23        the State currently contributes to the Organizational
24        Unit and adds that to the unit's Local Capacity to
25        determine the unit's overall current adequacy of
26        funding.

 

 

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1            (D) Finally, the model's distribution method
2        allocates new State funding to those Organizational
3        Units that are least well-funded, considering both
4        Local Capacity and State funding, in relation to their
5        Adequacy Target.
6        (3) An Organizational Unit receiving any funding under
7    this Section may apply those funds to any fund so received
8    for which that Organizational Unit is authorized to make
9    expenditures by law.
10        (4) As used in this Section, the following terms shall
11    have the meanings ascribed in this paragraph (4):
12        "Adequacy Target" is defined in paragraph (1) of
13    subsection (b) of this Section.
14        "Adjusted EAV" is defined in paragraph (4) of
15    subsection (d) of this Section.
16        "Adjusted Local Capacity Target" is defined in
17    paragraph (3) of subsection (c) of this Section.
18        "Adjusted Operating Tax Rate" means a tax rate for all
19    Organizational Units, for which the State Superintendent
20    shall calculate and subtract for the Operating Tax Rate a
21    transportation rate based on total expenses for
22    transportation services under this Code, as reported on
23    the most recent Annual Financial Report in Pupil
24    Transportation Services, function 2550 in both the
25    Education and Transportation funds and functions 4110 and
26    4120 in the Transportation fund, less any corresponding

 

 

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1    fiscal year State of Illinois scheduled payments excluding
2    net adjustments for prior years for regular, vocational,
3    or special education transportation reimbursement pursuant
4    to Section 29-5 or subsection (b) of Section 14-13.01 of
5    this Code divided by the Adjusted EAV. If an
6    Organizational Unit's corresponding fiscal year State of
7    Illinois scheduled payments excluding net adjustments for
8    prior years for regular, vocational, or special education
9    transportation reimbursement pursuant to Section 29-5 or
10    subsection (b) of Section 14-13.01 of this Code exceed the
11    total transportation expenses, as defined in this
12    paragraph, no transportation rate shall be subtracted from
13    the Operating Tax Rate.
14        "Allocation Rate" is defined in paragraph (3) of
15    subsection (g) of this Section.
16        "Alternative School" means a public school that is
17    created and operated by a regional superintendent of
18    schools and approved by the State Board.
19        "Applicable Tax Rate" is defined in paragraph (1) of
20    subsection (d) of this Section.
21        "Assessment" means any of those benchmark, progress
22    monitoring, formative, diagnostic, and other assessments,
23    in addition to the State accountability assessment, that
24    assist teachers' needs in understanding the skills and
25    meeting the needs of the students they serve.
26        "Assistant principal" means a school administrator

 

 

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1    duly endorsed to be employed as an assistant principal in
2    this State.
3        "At-risk student" means a student who is at risk of
4    not meeting the Illinois Learning Standards or not
5    graduating from elementary or high school and who
6    demonstrates a need for vocational support or social
7    services beyond that provided by the regular school
8    program. All students included in an Organizational Unit's
9    Low-Income Count, as well as all English learner and
10    disabled students attending the Organizational Unit, shall
11    be considered at-risk students under this Section.
12        "Average Student Enrollment" or "ASE" for fiscal year
13    2018 means, for an Organizational Unit, the greater of the
14    average number of students (grades K through 12) reported
15    to the State Board as enrolled in the Organizational Unit
16    on October 1 in the immediately preceding school year,
17    plus the pre-kindergarten students who receive special
18    education services of 2 or more hours a day as reported to
19    the State Board on December 1 in the immediately preceding
20    school year, or the average number of students (grades K
21    through 12) reported to the State Board as enrolled in the
22    Organizational Unit on October 1, plus the
23    pre-kindergarten students who receive special education
24    services of 2 or more hours a day as reported to the State
25    Board on December 1, for each of the immediately preceding
26    3 school years. For fiscal year 2019 and each subsequent

 

 

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1    fiscal year, "Average Student Enrollment" or "ASE" means,
2    for an Organizational Unit, the greater of the average
3    number of students (grades K through 12) reported to the
4    State Board as enrolled in the Organizational Unit on
5    October 1 and March 1 in the immediately preceding school
6    year, plus the pre-kindergarten students who receive
7    special education services as reported to the State Board
8    on October 1 and March 1 in the immediately preceding
9    school year, or the average number of students (grades K
10    through 12) reported to the State Board as enrolled in the
11    Organizational Unit on October 1 and March 1, plus the
12    pre-kindergarten students who receive special education
13    services as reported to the State Board on October 1 and
14    March 1, for each of the immediately preceding 3 school
15    years. For the purposes of this definition, "enrolled in
16    the Organizational Unit" means the number of students
17    reported to the State Board who are enrolled in schools
18    within the Organizational Unit that the student attends or
19    would attend if not placed or transferred to another
20    school or program to receive needed services. For the
21    purposes of calculating "ASE", all students, grades K
22    through 12, excluding those attending kindergarten for a
23    half day and students attending an alternative education
24    program operated by a regional office of education or
25    intermediate service center, shall be counted as 1.0. All
26    students attending kindergarten for a half day shall be

 

 

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1    counted as 0.5, unless in 2017 by June 15 or by March 1 in
2    subsequent years, the school district reports to the State
3    Board of Education the intent to implement full-day
4    kindergarten district-wide for all students, then all
5    students attending kindergarten shall be counted as 1.0.
6    Special education pre-kindergarten students shall be
7    counted as 0.5 each. If the State Board does not collect or
8    has not collected both an October 1 and March 1 enrollment
9    count by grade or a December 1 collection of special
10    education pre-kindergarten students as of August 31, 2017
11    (the effective date of Public Act 100-465), it shall
12    establish such collection for all future years. For any
13    year in which a count by grade level was collected only
14    once, that count shall be used as the single count
15    available for computing a 3-year average ASE. Funding for
16    programs operated by a regional office of education or an
17    intermediate service center must be calculated using the
18    Evidence-Based Funding formula under this Section for the
19    2019-2020 school year and each subsequent school year
20    until separate adequacy formulas are developed and adopted
21    for each type of program. ASE for a program operated by a
22    regional office of education or an intermediate service
23    center must be determined by the March 1 enrollment for
24    the program. For the 2019-2020 school year, the ASE used
25    in the calculation must be the first-year ASE and, in that
26    year only, the assignment of students served by a regional

 

 

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1    office of education or intermediate service center shall
2    not result in a reduction of the March enrollment for any
3    school district. For the 2020-2021 school year, the ASE
4    must be the greater of the current-year ASE or the 2-year
5    average ASE. Beginning with the 2021-2022 school year, the
6    ASE must be the greater of the current-year ASE or the
7    3-year average ASE. School districts shall submit the data
8    for the ASE calculation to the State Board within 45 days
9    of the dates required in this Section for submission of
10    enrollment data in order for it to be included in the ASE
11    calculation. For fiscal year 2018 only, the ASE
12    calculation shall include only enrollment taken on October
13    1.
14        "Base Funding Guarantee" is defined in paragraph (10)
15    of subsection (g) of this Section.
16        "Base Funding Minimum" is defined in subsection (e) of
17    this Section.
18        "Base Tax Year" means the property tax levy year used
19    to calculate the Budget Year allocation of primary State
20    aid.
21        "Base Tax Year's Extension" means the product of the
22    equalized assessed valuation utilized by the county clerk
23    in the Base Tax Year multiplied by the limiting rate as
24    calculated by the county clerk and defined in PTELL.
25        "Bilingual Education Allocation" means the amount of
26    an Organizational Unit's final Adequacy Target

 

 

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1    attributable to bilingual education divided by the
2    Organizational Unit's final Adequacy Target, the product
3    of which shall be multiplied by the amount of new funding
4    received pursuant to this Section. An Organizational
5    Unit's final Adequacy Target attributable to bilingual
6    education shall include all additional investments in
7    English learner students' adequacy elements.
8        "Budget Year" means the school year for which primary
9    State aid is calculated and awarded under this Section.
10        "Central office" means individual administrators and
11    support service personnel charged with managing the
12    instructional programs, business and operations, and
13    security of the Organizational Unit.
14        "Comparable Wage Index" or "CWI" means a regional cost
15    differentiation metric that measures systemic, regional
16    variations in the salaries of college graduates who are
17    not educators. The CWI utilized for this Section shall,
18    for the first 3 years of Evidence-Based Funding
19    implementation, be the CWI initially developed by the
20    National Center for Education Statistics, as most recently
21    updated by Texas A & M University. In the fourth and
22    subsequent years of Evidence-Based Funding implementation,
23    the State Superintendent shall re-determine the CWI using
24    a similar methodology to that identified in the Texas A & M
25    University study, with adjustments made no less frequently
26    than once every 5 years.

 

 

SB2435- 893 -LRB102 04062 AMC 14078 b

1        "Computer technology and equipment" means computers
2    servers, notebooks, network equipment, copiers, printers,
3    instructional software, security software, curriculum
4    management courseware, and other similar materials and
5    equipment.
6        "Computer technology and equipment investment
7    allocation" means the final Adequacy Target amount of an
8    Organizational Unit assigned to Tier 1 or Tier 2 in the
9    prior school year attributable to the additional $285.50
10    per student computer technology and equipment investment
11    grant divided by the Organizational Unit's final Adequacy
12    Target, the result of which shall be multiplied by the
13    amount of new funding received pursuant to this Section.
14    An Organizational Unit assigned to a Tier 1 or Tier 2 final
15    Adequacy Target attributable to the received computer
16    technology and equipment investment grant shall include
17    all additional investments in computer technology and
18    equipment adequacy elements.
19        "Core subject" means mathematics; science; reading,
20    English, writing, and language arts; history and social
21    studies; world languages; and subjects taught as Advanced
22    Placement in high schools.
23        "Core teacher" means a regular classroom teacher in
24    elementary schools and teachers of a core subject in
25    middle and high schools.
26        "Core Intervention teacher (tutor)" means a licensed

 

 

SB2435- 894 -LRB102 04062 AMC 14078 b

1    teacher providing one-on-one or small group tutoring to
2    students struggling to meet proficiency in core subjects.
3        "CPPRT" means corporate personal property replacement
4    tax funds paid to an Organizational Unit during the
5    calendar year one year before the calendar year in which a
6    school year begins, pursuant to "An Act in relation to the
7    abolition of ad valorem personal property tax and the
8    replacement of revenues lost thereby, and amending and
9    repealing certain Acts and parts of Acts in connection
10    therewith", certified August 14, 1979, as amended (Public
11    Act 81-1st S.S.-1).
12        "EAV" means equalized assessed valuation as defined in
13    paragraph (2) of subsection (d) of this Section and
14    calculated in accordance with paragraph (3) of subsection
15    (d) of this Section.
16        "ECI" means the Bureau of Labor Statistics' national
17    employment cost index for civilian workers in educational
18    services in elementary and secondary schools on a
19    cumulative basis for the 12-month calendar year preceding
20    the fiscal year of the Evidence-Based Funding calculation.
21        "EIS Data" means the employment information system
22    data maintained by the State Board on educators within
23    Organizational Units.
24        "Employee benefits" means health, dental, and vision
25    insurance offered to employees of an Organizational Unit,
26    the costs associated with the statutorily required payment

 

 

SB2435- 895 -LRB102 04062 AMC 14078 b

1    of the normal cost of the Organizational Unit's teacher
2    pensions, Social Security employer contributions, and
3    Illinois Municipal Retirement Fund employer contributions.
4        "English learner" or "EL" means a child included in
5    the definition of "English learners" under Section 14C-2
6    of this Code participating in a program of transitional
7    bilingual education or a transitional program of
8    instruction meeting the requirements and program
9    application procedures of Article 14C of this Code. For
10    the purposes of collecting the number of EL students
11    enrolled, the same collection and calculation methodology
12    as defined above for "ASE" shall apply to English
13    learners, with the exception that EL student enrollment
14    shall include students in grades pre-kindergarten through
15    12.
16        "Essential Elements" means those elements, resources,
17    and educational programs that have been identified through
18    academic research as necessary to improve student success,
19    improve academic performance, close achievement gaps, and
20    provide for other per student costs related to the
21    delivery and leadership of the Organizational Unit, as
22    well as the maintenance and operations of the unit, and
23    which are specified in paragraph (2) of subsection (b) of
24    this Section.
25        "Evidence-Based Funding" means State funding provided
26    to an Organizational Unit pursuant to this Section.

 

 

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1        "Extended day" means academic and enrichment programs
2    provided to students outside the regular school day before
3    and after school or during non-instructional times during
4    the school day.
5        "Extension Limitation Ratio" means a numerical ratio
6    in which the numerator is the Base Tax Year's Extension
7    and the denominator is the Preceding Tax Year's Extension.
8        "Final Percent of Adequacy" is defined in paragraph
9    (4) of subsection (f) of this Section.
10        "Final Resources" is defined in paragraph (3) of
11    subsection (f) of this Section.
12        "Full-time equivalent" or "FTE" means the full-time
13    equivalency compensation for staffing the relevant
14    position at an Organizational Unit.
15        "Funding Gap" is defined in paragraph (1) of
16    subsection (g).
17        "Guidance counselor" means a licensed guidance
18    counselor who provides guidance and counseling support for
19    students within an Organizational Unit.
20        "Hybrid District" means a partial elementary unit
21    district created pursuant to Article 11E of this Code.
22        "Instructional assistant" means a core or special
23    education, non-licensed employee who assists a teacher in
24    the classroom and provides academic support to students.
25        "Instructional facilitator" means a qualified teacher
26    or licensed teacher leader who facilitates and coaches

 

 

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1    continuous improvement in classroom instruction; provides
2    instructional support to teachers in the elements of
3    research-based instruction or demonstrates the alignment
4    of instruction with curriculum standards and assessment
5    tools; develops or coordinates instructional programs or
6    strategies; develops and implements training; chooses
7    standards-based instructional materials; provides
8    teachers with an understanding of current research; serves
9    as a mentor, site coach, curriculum specialist, or lead
10    teacher; or otherwise works with fellow teachers, in
11    collaboration, to use data to improve instructional
12    practice or develop model lessons.
13        "Instructional materials" means relevant
14    instructional materials for student instruction,
15    including, but not limited to, textbooks, consumable
16    workbooks, laboratory equipment, library books, and other
17    similar materials.
18        "Laboratory School" means a public school that is
19    created and operated by a public university and approved
20    by the State Board.
21        "Librarian" means a teacher with an endorsement as a
22    library information specialist or another individual whose
23    primary responsibility is overseeing library resources
24    within an Organizational Unit.
25        "Limiting rate for Hybrid Districts" means the
26    combined elementary school and high school limiting rates.

 

 

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1        "Local Capacity" is defined in paragraph (1) of
2    subsection (c) of this Section.
3        "Local Capacity Percentage" is defined in subparagraph
4    (A) of paragraph (2) of subsection (c) of this Section.
5        "Local Capacity Ratio" is defined in subparagraph (B)
6    of paragraph (2) of subsection (c) of this Section.
7        "Local Capacity Target" is defined in paragraph (2) of
8    subsection (c) of this Section.
9        "Low-Income Count" means, for an Organizational Unit
10    in a fiscal year, the higher of the average number of
11    students for the prior school year or the immediately
12    preceding 3 school years who, as of July 1 of the
13    immediately preceding fiscal year (as determined by the
14    Department of Human Services), are eligible for at least
15    one of the following low-income programs: Medicaid, the
16    Children's Health Insurance Program, Temporary Assistance
17    for Needy Families (TANF), or the Supplemental Nutrition
18    Assistance Program, excluding pupils who are eligible for
19    services provided by the Department of Children and Family
20    Services. Until such time that grade level low-income
21    populations become available, grade level low-income
22    populations shall be determined by applying the low-income
23    percentage to total student enrollments by grade level.
24    The low-income percentage is determined by dividing the
25    Low-Income Count by the Average Student Enrollment. The
26    low-income percentage for programs operated by a regional

 

 

SB2435- 899 -LRB102 04062 AMC 14078 b

1    office of education or an intermediate service center must
2    be set to the weighted average of the low-income
3    percentages of all of the school districts in the service
4    region. The weighted low-income percentage is the result
5    of multiplying the low-income percentage of each school
6    district served by the regional office of education or
7    intermediate service center by each school district's
8    Average Student Enrollment, summarizing those products and
9    dividing the total by the total Average Student Enrollment
10    for the service region.
11        "Maintenance and operations" means custodial services,
12    facility and ground maintenance, facility operations,
13    facility security, routine facility repairs, and other
14    similar services and functions.
15        "Minimum Funding Level" is defined in paragraph (9) of
16    subsection (g) of this Section.
17        "New Property Tax Relief Pool Funds" means, for any
18    given fiscal year, all State funds appropriated under
19    Section 2-3.170 of this the School Code.
20        "New State Funds" means, for a given school year, all
21    State funds appropriated for Evidence-Based Funding in
22    excess of the amount needed to fund the Base Funding
23    Minimum for all Organizational Units in that school year.
24        "Net State Contribution Target" means, for a given
25    school year, the amount of State funds that would be
26    necessary to fully meet the Adequacy Target of an

 

 

SB2435- 900 -LRB102 04062 AMC 14078 b

1    Operational Unit minus the Preliminary Resources available
2    to each unit.
3        "Nurse" means an individual licensed as a certified
4    school nurse, in accordance with the rules established for
5    nursing services by the State Board, who is an employee of
6    and is available to provide health care-related services
7    for students of an Organizational Unit.
8        "Operating Tax Rate" means the rate utilized in the
9    previous year to extend property taxes for all purposes,
10    except Bond and Interest, Summer School, Rent, Capital
11    Improvement, and Vocational Education Building purposes.
12    For Hybrid Districts, the Operating Tax Rate shall be the
13    combined elementary and high school rates utilized in the
14    previous year to extend property taxes for all purposes,
15    except Bond and Interest, Summer School, Rent, Capital
16    Improvement, and Vocational Education Building purposes.
17        "Organizational Unit" means a Laboratory School or any
18    public school district that is recognized as such by the
19    State Board and that contains elementary schools typically
20    serving kindergarten through 5th grades, middle schools
21    typically serving 6th through 8th grades, high schools
22    typically serving 9th through 12th grades, a program
23    established under Section 2-3.66 or 2-3.41, or a program
24    operated by a regional office of education or an
25    intermediate service center under Article 13A or 13B. The
26    General Assembly acknowledges that the actual grade levels

 

 

SB2435- 901 -LRB102 04062 AMC 14078 b

1    served by a particular Organizational Unit may vary
2    slightly from what is typical.
3        "Organizational Unit CWI" is determined by calculating
4    the CWI in the region and original county in which an
5    Organizational Unit's primary administrative office is
6    located as set forth in this paragraph, provided that if
7    the Organizational Unit CWI as calculated in accordance
8    with this paragraph is less than 0.9, the Organizational
9    Unit CWI shall be increased to 0.9. Each county's current
10    CWI value shall be adjusted based on the CWI value of that
11    county's neighboring Illinois counties, to create a
12    "weighted adjusted index value". This shall be calculated
13    by summing the CWI values of all of a county's adjacent
14    Illinois counties and dividing by the number of adjacent
15    Illinois counties, then taking the weighted value of the
16    original county's CWI value and the adjacent Illinois
17    county average. To calculate this weighted value, if the
18    number of adjacent Illinois counties is greater than 2,
19    the original county's CWI value will be weighted at 0.25
20    and the adjacent Illinois county average will be weighted
21    at 0.75. If the number of adjacent Illinois counties is 2,
22    the original county's CWI value will be weighted at 0.33
23    and the adjacent Illinois county average will be weighted
24    at 0.66. The greater of the county's current CWI value and
25    its weighted adjusted index value shall be used as the
26    Organizational Unit CWI.

 

 

SB2435- 902 -LRB102 04062 AMC 14078 b

1        "Preceding Tax Year" means the property tax levy year
2    immediately preceding the Base Tax Year.
3        "Preceding Tax Year's Extension" means the product of
4    the equalized assessed valuation utilized by the county
5    clerk in the Preceding Tax Year multiplied by the
6    Operating Tax Rate.
7        "Preliminary Percent of Adequacy" is defined in
8    paragraph (2) of subsection (f) of this Section.
9        "Preliminary Resources" is defined in paragraph (2) of
10    subsection (f) of this Section.
11        "Principal" means a school administrator duly endorsed
12    to be employed as a principal in this State.
13        "Professional development" means training programs for
14    licensed staff in schools, including, but not limited to,
15    programs that assist in implementing new curriculum
16    programs, provide data focused or academic assessment data
17    training to help staff identify a student's weaknesses and
18    strengths, target interventions, improve instruction,
19    encompass instructional strategies for English learner,
20    gifted, or at-risk students, address inclusivity, cultural
21    sensitivity, or implicit bias, or otherwise provide
22    professional support for licensed staff.
23        "Prototypical" means 450 special education
24    pre-kindergarten and kindergarten through grade 5 students
25    for an elementary school, 450 grade 6 through 8 students
26    for a middle school, and 600 grade 9 through 12 students

 

 

SB2435- 903 -LRB102 04062 AMC 14078 b

1    for a high school.
2        "PTELL" means the Property Tax Extension Limitation
3    Law.
4        "PTELL EAV" is defined in paragraph (4) of subsection
5    (d) of this Section.
6        "Pupil support staff" means a nurse, psychologist,
7    social worker, family liaison personnel, or other staff
8    member who provides support to at-risk or struggling
9    students.
10        "Real Receipts" is defined in paragraph (1) of
11    subsection (d) of this Section.
12        "Regionalization Factor" means, for a particular
13    Organizational Unit, the figure derived by dividing the
14    Organizational Unit CWI by the Statewide Weighted CWI.
15        "School site staff" means the primary school secretary
16    and any additional clerical personnel assigned to a
17    school.
18        "Special education" means special educational
19    facilities and services, as defined in Section 14-1.08 of
20    this Code.
21        "Special Education Allocation" means the amount of an
22    Organizational Unit's final Adequacy Target attributable
23    to special education divided by the Organizational Unit's
24    final Adequacy Target, the product of which shall be
25    multiplied by the amount of new funding received pursuant
26    to this Section. An Organizational Unit's final Adequacy

 

 

SB2435- 904 -LRB102 04062 AMC 14078 b

1    Target attributable to special education shall include all
2    special education investment adequacy elements.
3        "Specialist teacher" means a teacher who provides
4    instruction in subject areas not included in core
5    subjects, including, but not limited to, art, music,
6    physical education, health, driver education,
7    career-technical education, and such other subject areas
8    as may be mandated by State law or provided by an
9    Organizational Unit.
10        "Specially Funded Unit" means an Alternative School,
11    safe school, Department of Juvenile Justice school,
12    special education cooperative or entity recognized by the
13    State Board as a special education cooperative,
14    State-approved charter school, or alternative learning
15    opportunities program that received direct funding from
16    the State Board during the 2016-2017 school year through
17    any of the funding sources included within the calculation
18    of the Base Funding Minimum or Glenwood Academy.
19        "Supplemental Grant Funding" means supplemental
20    general State aid funding received by an Organizational
21    Unit during the 2016-2017 school year pursuant to
22    subsection (H) of Section 18-8.05 of this Code (now
23    repealed).
24        "State Adequacy Level" is the sum of the Adequacy
25    Targets of all Organizational Units.
26        "State Board" means the State Board of Education.

 

 

SB2435- 905 -LRB102 04062 AMC 14078 b

1        "State Superintendent" means the State Superintendent
2    of Education.
3        "Statewide Weighted CWI" means a figure determined by
4    multiplying each Organizational Unit CWI times the ASE for
5    that Organizational Unit creating a weighted value,
6    summing all Organizational Units' weighted values, and
7    dividing by the total ASE of all Organizational Units,
8    thereby creating an average weighted index.
9        "Student activities" means non-credit producing
10    after-school programs, including, but not limited to,
11    clubs, bands, sports, and other activities authorized by
12    the school board of the Organizational Unit.
13        "Substitute teacher" means an individual teacher or
14    teaching assistant who is employed by an Organizational
15    Unit and is temporarily serving the Organizational Unit on
16    a per diem or per period-assignment basis to replace
17    another staff member.
18        "Summer school" means academic and enrichment programs
19    provided to students during the summer months outside of
20    the regular school year.
21        "Supervisory aide" means a non-licensed staff member
22    who helps in supervising students of an Organizational
23    Unit, but does so outside of the classroom, in situations
24    such as, but not limited to, monitoring hallways and
25    playgrounds, supervising lunchrooms, or supervising
26    students when being transported in buses serving the

 

 

SB2435- 906 -LRB102 04062 AMC 14078 b

1    Organizational Unit.
2        "Target Ratio" is defined in paragraph (4) of
3    subsection (g).
4        "Tier 1", "Tier 2", "Tier 3", and "Tier 4" are defined
5    in paragraph (3) of subsection (g).
6        "Tier 1 Aggregate Funding", "Tier 2 Aggregate
7    Funding", "Tier 3 Aggregate Funding", and "Tier 4
8    Aggregate Funding" are defined in paragraph (1) of
9    subsection (g).
10    (b) Adequacy Target calculation.
11        (1) Each Organizational Unit's Adequacy Target is the
12    sum of the Organizational Unit's cost of providing
13    Essential Elements, as calculated in accordance with this
14    subsection (b), with the salary amounts in the Essential
15    Elements multiplied by a Regionalization Factor calculated
16    pursuant to paragraph (3) of this subsection (b).
17        (2) The Essential Elements are attributable on a pro
18    rata basis related to defined subgroups of the ASE of each
19    Organizational Unit as specified in this paragraph (2),
20    with investments and FTE positions pro rata funded based
21    on ASE counts in excess of or less than the thresholds set
22    forth in this paragraph (2). The method for calculating
23    attributable pro rata costs and the defined subgroups
24    thereto are as follows:
25            (A) Core class size investments. Each
26        Organizational Unit shall receive the funding required

 

 

SB2435- 907 -LRB102 04062 AMC 14078 b

1        to support that number of FTE core teacher positions
2        as is needed to keep the respective class sizes of the
3        Organizational Unit to the following maximum numbers:
4                (i) For grades kindergarten through 3, the
5            Organizational Unit shall receive funding required
6            to support one FTE core teacher position for every
7            15 Low-Income Count students in those grades and
8            one FTE core teacher position for every 20
9            non-Low-Income Count students in those grades.
10                (ii) For grades 4 through 12, the
11            Organizational Unit shall receive funding required
12            to support one FTE core teacher position for every
13            20 Low-Income Count students in those grades and
14            one FTE core teacher position for every 25
15            non-Low-Income Count students in those grades.
16            The number of non-Low-Income Count students in a
17        grade shall be determined by subtracting the
18        Low-Income students in that grade from the ASE of the
19        Organizational Unit for that grade.
20            (B) Specialist teacher investments. Each
21        Organizational Unit shall receive the funding needed
22        to cover that number of FTE specialist teacher
23        positions that correspond to the following
24        percentages:
25                (i) if the Organizational Unit operates an
26            elementary or middle school, then 20.00% of the

 

 

SB2435- 908 -LRB102 04062 AMC 14078 b

1            number of the Organizational Unit's core teachers,
2            as determined under subparagraph (A) of this
3            paragraph (2); and
4                (ii) if such Organizational Unit operates a
5            high school, then 33.33% of the number of the
6            Organizational Unit's core teachers.
7            (C) Instructional facilitator investments. Each
8        Organizational Unit shall receive the funding needed
9        to cover one FTE instructional facilitator position
10        for every 200 combined ASE of pre-kindergarten
11        children with disabilities and all kindergarten
12        through grade 12 students of the Organizational Unit.
13            (D) Core intervention teacher (tutor) investments.
14        Each Organizational Unit shall receive the funding
15        needed to cover one FTE teacher position for each
16        prototypical elementary, middle, and high school.
17            (E) Substitute teacher investments. Each
18        Organizational Unit shall receive the funding needed
19        to cover substitute teacher costs that is equal to
20        5.70% of the minimum pupil attendance days required
21        under Section 10-19 of this Code for all full-time
22        equivalent core, specialist, and intervention
23        teachers, school nurses, special education teachers
24        and instructional assistants, instructional
25        facilitators, and summer school and extended day
26        teacher positions, as determined under this paragraph

 

 

SB2435- 909 -LRB102 04062 AMC 14078 b

1        (2), at a salary rate of 33.33% of the average salary
2        for grade K through 12 teachers and 33.33% of the
3        average salary of each instructional assistant
4        position.
5            (F) Core guidance counselor investments. Each
6        Organizational Unit shall receive the funding needed
7        to cover one FTE guidance counselor for each 450
8        combined ASE of pre-kindergarten children with
9        disabilities and all kindergarten through grade 5
10        students, plus one FTE guidance counselor for each 250
11        grades 6 through 8 ASE middle school students, plus
12        one FTE guidance counselor for each 250 grades 9
13        through 12 ASE high school students.
14            (G) Nurse investments. Each Organizational Unit
15        shall receive the funding needed to cover one FTE
16        nurse for each 750 combined ASE of pre-kindergarten
17        children with disabilities and all kindergarten
18        through grade 12 students across all grade levels it
19        serves.
20            (H) Supervisory aide investments. Each
21        Organizational Unit shall receive the funding needed
22        to cover one FTE for each 225 combined ASE of
23        pre-kindergarten children with disabilities and all
24        kindergarten through grade 5 students, plus one FTE
25        for each 225 ASE middle school students, plus one FTE
26        for each 200 ASE high school students.

 

 

SB2435- 910 -LRB102 04062 AMC 14078 b

1            (I) Librarian investments. Each Organizational
2        Unit shall receive the funding needed to cover one FTE
3        librarian for each prototypical elementary school,
4        middle school, and high school and one FTE aide or
5        media technician for every 300 combined ASE of
6        pre-kindergarten children with disabilities and all
7        kindergarten through grade 12 students.
8            (J) Principal investments. Each Organizational
9        Unit shall receive the funding needed to cover one FTE
10        principal position for each prototypical elementary
11        school, plus one FTE principal position for each
12        prototypical middle school, plus one FTE principal
13        position for each prototypical high school.
14            (K) Assistant principal investments. Each
15        Organizational Unit shall receive the funding needed
16        to cover one FTE assistant principal position for each
17        prototypical elementary school, plus one FTE assistant
18        principal position for each prototypical middle
19        school, plus one FTE assistant principal position for
20        each prototypical high school.
21            (L) School site staff investments. Each
22        Organizational Unit shall receive the funding needed
23        for one FTE position for each 225 ASE of
24        pre-kindergarten children with disabilities and all
25        kindergarten through grade 5 students, plus one FTE
26        position for each 225 ASE middle school students, plus

 

 

SB2435- 911 -LRB102 04062 AMC 14078 b

1        one FTE position for each 200 ASE high school
2        students.
3            (M) Gifted investments. Each Organizational Unit
4        shall receive $40 per kindergarten through grade 12
5        ASE.
6            (N) Professional development investments. Each
7        Organizational Unit shall receive $125 per student of
8        the combined ASE of pre-kindergarten children with
9        disabilities and all kindergarten through grade 12
10        students for trainers and other professional
11        development-related expenses for supplies and
12        materials.
13            (O) Instructional material investments. Each
14        Organizational Unit shall receive $190 per student of
15        the combined ASE of pre-kindergarten children with
16        disabilities and all kindergarten through grade 12
17        students to cover instructional material costs.
18            (P) Assessment investments. Each Organizational
19        Unit shall receive $25 per student of the combined ASE
20        of pre-kindergarten children with disabilities and all
21        kindergarten through grade 12 students to cover
22        assessment costs.
23            (Q) Computer technology and equipment investments.
24        Each Organizational Unit shall receive $285.50 per
25        student of the combined ASE of pre-kindergarten
26        children with disabilities and all kindergarten

 

 

SB2435- 912 -LRB102 04062 AMC 14078 b

1        through grade 12 students to cover computer technology
2        and equipment costs. For the 2018-2019 school year and
3        subsequent school years, Organizational Units assigned
4        to Tier 1 and Tier 2 in the prior school year shall
5        receive an additional $285.50 per student of the
6        combined ASE of pre-kindergarten children with
7        disabilities and all kindergarten through grade 12
8        students to cover computer technology and equipment
9        costs in the Organizational Unit's Adequacy Target.
10        The State Board may establish additional requirements
11        for Organizational Unit expenditures of funds received
12        pursuant to this subparagraph (Q), including a
13        requirement that funds received pursuant to this
14        subparagraph (Q) may be used only for serving the
15        technology needs of the district. It is the intent of
16        Public Act 100-465 that all Tier 1 and Tier 2 districts
17        receive the addition to their Adequacy Target in the
18        following year, subject to compliance with the
19        requirements of the State Board.
20            (R) Student activities investments. Each
21        Organizational Unit shall receive the following
22        funding amounts to cover student activities: $100 per
23        kindergarten through grade 5 ASE student in elementary
24        school, plus $200 per ASE student in middle school,
25        plus $675 per ASE student in high school.
26            (S) Maintenance and operations investments. Each

 

 

SB2435- 913 -LRB102 04062 AMC 14078 b

1        Organizational Unit shall receive $1,038 per student
2        of the combined ASE of pre-kindergarten children with
3        disabilities and all kindergarten through grade 12
4        students for day-to-day maintenance and operations
5        expenditures, including salary, supplies, and
6        materials, as well as purchased services, but
7        excluding employee benefits. The proportion of salary
8        for the application of a Regionalization Factor and
9        the calculation of benefits is equal to $352.92.
10            (T) Central office investments. Each
11        Organizational Unit shall receive $742 per student of
12        the combined ASE of pre-kindergarten children with
13        disabilities and all kindergarten through grade 12
14        students to cover central office operations, including
15        administrators and classified personnel charged with
16        managing the instructional programs, business and
17        operations of the school district, and security
18        personnel. The proportion of salary for the
19        application of a Regionalization Factor and the
20        calculation of benefits is equal to $368.48.
21            (U) Employee benefit investments. Each
22        Organizational Unit shall receive 30% of the total of
23        all salary-calculated elements of the Adequacy Target,
24        excluding substitute teachers and student activities
25        investments, to cover benefit costs. For central
26        office and maintenance and operations investments, the

 

 

SB2435- 914 -LRB102 04062 AMC 14078 b

1        benefit calculation shall be based upon the salary
2        proportion of each investment. If at any time the
3        responsibility for funding the employer normal cost of
4        teacher pensions is assigned to school districts, then
5        that amount certified by the Teachers' Retirement
6        System of the State of Illinois to be paid by the
7        Organizational Unit for the preceding school year
8        shall be added to the benefit investment. For any
9        fiscal year in which a school district organized under
10        Article 34 of this Code is responsible for paying the
11        employer normal cost of teacher pensions, then that
12        amount of its employer normal cost plus the amount for
13        retiree health insurance as certified by the Public
14        School Teachers' Pension and Retirement Fund of
15        Chicago to be paid by the school district for the
16        preceding school year that is statutorily required to
17        cover employer normal costs and the amount for retiree
18        health insurance shall be added to the 30% specified
19        in this subparagraph (U). The Teachers' Retirement
20        System of the State of Illinois and the Public School
21        Teachers' Pension and Retirement Fund of Chicago shall
22        submit such information as the State Superintendent
23        may require for the calculations set forth in this
24        subparagraph (U).
25            (V) Additional investments in low-income students.
26        In addition to and not in lieu of all other funding

 

 

SB2435- 915 -LRB102 04062 AMC 14078 b

1        under this paragraph (2), each Organizational Unit
2        shall receive funding based on the average teacher
3        salary for grades K through 12 to cover the costs of:
4                (i) one FTE intervention teacher (tutor)
5            position for every 125 Low-Income Count students;
6                (ii) one FTE pupil support staff position for
7            every 125 Low-Income Count students;
8                (iii) one FTE extended day teacher position
9            for every 120 Low-Income Count students; and
10                (iv) one FTE summer school teacher position
11            for every 120 Low-Income Count students.
12            (W) Additional investments in English learner
13        students. In addition to and not in lieu of all other
14        funding under this paragraph (2), each Organizational
15        Unit shall receive funding based on the average
16        teacher salary for grades K through 12 to cover the
17        costs of:
18                (i) one FTE intervention teacher (tutor)
19            position for every 125 English learner students;
20                (ii) one FTE pupil support staff position for
21            every 125 English learner students;
22                (iii) one FTE extended day teacher position
23            for every 120 English learner students;
24                (iv) one FTE summer school teacher position
25            for every 120 English learner students; and
26                (v) one FTE core teacher position for every

 

 

SB2435- 916 -LRB102 04062 AMC 14078 b

1            100 English learner students.
2            (X) Special education investments. Each
3        Organizational Unit shall receive funding based on the
4        average teacher salary for grades K through 12 to
5        cover special education as follows:
6                (i) one FTE teacher position for every 141
7            combined ASE of pre-kindergarten children with
8            disabilities and all kindergarten through grade 12
9            students;
10                (ii) one FTE instructional assistant for every
11            141 combined ASE of pre-kindergarten children with
12            disabilities and all kindergarten through grade 12
13            students; and
14                (iii) one FTE psychologist position for every
15            1,000 combined ASE of pre-kindergarten children
16            with disabilities and all kindergarten through
17            grade 12 students.
18        (3) For calculating the salaries included within the
19    Essential Elements, the State Superintendent shall
20    annually calculate average salaries to the nearest dollar
21    using the employment information system data maintained by
22    the State Board, limited to public schools only and
23    excluding special education and vocational cooperatives,
24    schools operated by the Department of Juvenile Justice,
25    and charter schools, for the following positions:
26            (A) Teacher for grades K through 8.

 

 

SB2435- 917 -LRB102 04062 AMC 14078 b

1            (B) Teacher for grades 9 through 12.
2            (C) Teacher for grades K through 12.
3            (D) Guidance counselor for grades K through 8.
4            (E) Guidance counselor for grades 9 through 12.
5            (F) Guidance counselor for grades K through 12.
6            (G) Social worker.
7            (H) Psychologist.
8            (I) Librarian.
9            (J) Nurse.
10            (K) Principal.
11            (L) Assistant principal.
12        For the purposes of this paragraph (3), "teacher"
13    includes core teachers, specialist and elective teachers,
14    instructional facilitators, tutors, special education
15    teachers, pupil support staff teachers, English learner
16    teachers, extended day teachers, and summer school
17    teachers. Where specific grade data is not required for
18    the Essential Elements, the average salary for
19    corresponding positions shall apply. For substitute
20    teachers, the average teacher salary for grades K through
21    12 shall apply.
22        For calculating the salaries included within the
23    Essential Elements for positions not included within EIS
24    Data, the following salaries shall be used in the first
25    year of implementation of Evidence-Based Funding:
26            (i) school site staff, $30,000; and

 

 

SB2435- 918 -LRB102 04062 AMC 14078 b

1            (ii) non-instructional assistant, instructional
2        assistant, library aide, library media tech, or
3        supervisory aide: $25,000.
4        In the second and subsequent years of implementation
5    of Evidence-Based Funding, the amounts in items (i) and
6    (ii) of this paragraph (3) shall annually increase by the
7    ECI.
8        The salary amounts for the Essential Elements
9    determined pursuant to subparagraphs (A) through (L), (S)
10    and (T), and (V) through (X) of paragraph (2) of
11    subsection (b) of this Section shall be multiplied by a
12    Regionalization Factor.
13    (c) Local Capacity calculation.
14        (1) Each Organizational Unit's Local Capacity
15    represents an amount of funding it is assumed to
16    contribute toward its Adequacy Target for purposes of the
17    Evidence-Based Funding formula calculation. "Local
18    Capacity" means either (i) the Organizational Unit's Local
19    Capacity Target as calculated in accordance with paragraph
20    (2) of this subsection (c) if its Real Receipts are equal
21    to or less than its Local Capacity Target or (ii) the
22    Organizational Unit's Adjusted Local Capacity, as
23    calculated in accordance with paragraph (3) of this
24    subsection (c) if Real Receipts are more than its Local
25    Capacity Target.
26        (2) "Local Capacity Target" means, for an

 

 

SB2435- 919 -LRB102 04062 AMC 14078 b

1    Organizational Unit, that dollar amount that is obtained
2    by multiplying its Adequacy Target by its Local Capacity
3    Ratio.
4            (A) An Organizational Unit's Local Capacity
5        Percentage is the conversion of the Organizational
6        Unit's Local Capacity Ratio, as such ratio is
7        determined in accordance with subparagraph (B) of this
8        paragraph (2), into a cumulative distribution
9        resulting in a percentile ranking to determine each
10        Organizational Unit's relative position to all other
11        Organizational Units in this State. The calculation of
12        Local Capacity Percentage is described in subparagraph
13        (C) of this paragraph (2).
14            (B) An Organizational Unit's Local Capacity Ratio
15        in a given year is the percentage obtained by dividing
16        its Adjusted EAV or PTELL EAV, whichever is less, by
17        its Adequacy Target, with the resulting ratio further
18        adjusted as follows:
19                (i) for Organizational Units serving grades
20            kindergarten through 12 and Hybrid Districts, no
21            further adjustments shall be made;
22                (ii) for Organizational Units serving grades
23            kindergarten through 8, the ratio shall be
24            multiplied by 9/13;
25                (iii) for Organizational Units serving grades
26            9 through 12, the Local Capacity Ratio shall be

 

 

SB2435- 920 -LRB102 04062 AMC 14078 b

1            multiplied by 4/13; and
2                (iv) for an Organizational Unit with a
3            different grade configuration than those specified
4            in items (i) through (iii) of this subparagraph
5            (B), the State Superintendent shall determine a
6            comparable adjustment based on the grades served.
7            (C) The Local Capacity Percentage is equal to the
8        percentile ranking of the district. Local Capacity
9        Percentage converts each Organizational Unit's Local
10        Capacity Ratio to a cumulative distribution resulting
11        in a percentile ranking to determine each
12        Organizational Unit's relative position to all other
13        Organizational Units in this State. The Local Capacity
14        Percentage cumulative distribution resulting in a
15        percentile ranking for each Organizational Unit shall
16        be calculated using the standard normal distribution
17        of the score in relation to the weighted mean and
18        weighted standard deviation and Local Capacity Ratios
19        of all Organizational Units. If the value assigned to
20        any Organizational Unit is in excess of 90%, the value
21        shall be adjusted to 90%. For Laboratory Schools, the
22        Local Capacity Percentage shall be set at 10% in
23        recognition of the absence of EAV and resources from
24        the public university that are allocated to the
25        Laboratory School. For programs operated by a regional
26        office of education or an intermediate service center,

 

 

SB2435- 921 -LRB102 04062 AMC 14078 b

1        the Local Capacity Percentage must be set at 10% in
2        recognition of the absence of EAV and resources from
3        school districts that are allocated to the regional
4        office of education or intermediate service center.
5        The weighted mean for the Local Capacity Percentage
6        shall be determined by multiplying each Organizational
7        Unit's Local Capacity Ratio times the ASE for the unit
8        creating a weighted value, summing the weighted values
9        of all Organizational Units, and dividing by the total
10        ASE of all Organizational Units. The weighted standard
11        deviation shall be determined by taking the square
12        root of the weighted variance of all Organizational
13        Units' Local Capacity Ratio, where the variance is
14        calculated by squaring the difference between each
15        unit's Local Capacity Ratio and the weighted mean,
16        then multiplying the variance for each unit times the
17        ASE for the unit to create a weighted variance for each
18        unit, then summing all units' weighted variance and
19        dividing by the total ASE of all units.
20            (D) For any Organizational Unit, the
21        Organizational Unit's Adjusted Local Capacity Target
22        shall be reduced by either (i) the school board's
23        remaining contribution pursuant to paragraph (ii) of
24        subsection (b-4) of Section 16-158 of the Illinois
25        Pension Code in a given year or (ii) the board of
26        education's remaining contribution pursuant to

 

 

SB2435- 922 -LRB102 04062 AMC 14078 b

1        paragraph (iv) of subsection (b) of Section 17-129 of
2        the Illinois Pension Code absent the employer normal
3        cost portion of the required contribution and amount
4        allowed pursuant to subdivision (3) of Section
5        17-142.1 of the Illinois Pension Code in a given year.
6        In the preceding sentence, item (i) shall be certified
7        to the State Board of Education by the Teachers'
8        Retirement System of the State of Illinois and item
9        (ii) shall be certified to the State Board of
10        Education by the Public School Teachers' Pension and
11        Retirement Fund of the City of Chicago.
12        (3) If an Organizational Unit's Real Receipts are more
13    than its Local Capacity Target, then its Local Capacity
14    shall equal an Adjusted Local Capacity Target as
15    calculated in accordance with this paragraph (3). The
16    Adjusted Local Capacity Target is calculated as the sum of
17    the Organizational Unit's Local Capacity Target and its
18    Real Receipts Adjustment. The Real Receipts Adjustment
19    equals the Organizational Unit's Real Receipts less its
20    Local Capacity Target, with the resulting figure
21    multiplied by the Local Capacity Percentage.
22        As used in this paragraph (3), "Real Percent of
23    Adequacy" means the sum of an Organizational Unit's Real
24    Receipts, CPPRT, and Base Funding Minimum, with the
25    resulting figure divided by the Organizational Unit's
26    Adequacy Target.

 

 

SB2435- 923 -LRB102 04062 AMC 14078 b

1    (d) Calculation of Real Receipts, EAV, and Adjusted EAV
2for purposes of the Local Capacity calculation.
3        (1) An Organizational Unit's Real Receipts are the
4    product of its Applicable Tax Rate and its Adjusted EAV.
5    An Organizational Unit's Applicable Tax Rate is its
6    Adjusted Operating Tax Rate for property within the
7    Organizational Unit.
8        (2) The State Superintendent shall calculate the
9    equalized assessed valuation, or EAV, of all taxable
10    property of each Organizational Unit as of September 30 of
11    the previous year in accordance with paragraph (3) of this
12    subsection (d). The State Superintendent shall then
13    determine the Adjusted EAV of each Organizational Unit in
14    accordance with paragraph (4) of this subsection (d),
15    which Adjusted EAV figure shall be used for the purposes
16    of calculating Local Capacity.
17        (3) To calculate Real Receipts and EAV, the Department
18    of Revenue shall supply to the State Superintendent the
19    value as equalized or assessed by the Department of
20    Revenue of all taxable property of every Organizational
21    Unit, together with (i) the applicable tax rate used in
22    extending taxes for the funds of the Organizational Unit
23    as of September 30 of the previous year and (ii) the
24    limiting rate for all Organizational Units subject to
25    property tax extension limitations as imposed under PTELL.
26            (A) The Department of Revenue shall add to the

 

 

SB2435- 924 -LRB102 04062 AMC 14078 b

1        equalized assessed value of all taxable property of
2        each Organizational Unit situated entirely or
3        partially within a county that is or was subject to the
4        provisions of Section 15-176 or 15-177 of the Property
5        Tax Code (i) an amount equal to the total amount by
6        which the homestead exemption allowed under Section
7        15-176 or 15-177 of the Property Tax Code for real
8        property situated in that Organizational Unit exceeds
9        the total amount that would have been allowed in that
10        Organizational Unit if the maximum reduction under
11        Section 15-176 was (I) $4,500 in Cook County or $3,500
12        in all other counties in tax year 2003 or (II) $5,000
13        in all counties in tax year 2004 and thereafter and
14        (ii) an amount equal to the aggregate amount for the
15        taxable year of all additional exemptions under
16        Section 15-175 of the Property Tax Code for owners
17        with a household income of $30,000 or less. The county
18        clerk of any county that is or was subject to the
19        provisions of Section 15-176 or 15-177 of the Property
20        Tax Code shall annually calculate and certify to the
21        Department of Revenue for each Organizational Unit all
22        homestead exemption amounts under Section 15-176 or
23        15-177 of the Property Tax Code and all amounts of
24        additional exemptions under Section 15-175 of the
25        Property Tax Code for owners with a household income
26        of $30,000 or less. It is the intent of this

 

 

SB2435- 925 -LRB102 04062 AMC 14078 b

1        subparagraph (A) that if the general homestead
2        exemption for a parcel of property is determined under
3        Section 15-176 or 15-177 of the Property Tax Code
4        rather than Section 15-175, then the calculation of
5        EAV shall not be affected by the difference, if any,
6        between the amount of the general homestead exemption
7        allowed for that parcel of property under Section
8        15-176 or 15-177 of the Property Tax Code and the
9        amount that would have been allowed had the general
10        homestead exemption for that parcel of property been
11        determined under Section 15-175 of the Property Tax
12        Code. It is further the intent of this subparagraph
13        (A) that if additional exemptions are allowed under
14        Section 15-175 of the Property Tax Code for owners
15        with a household income of less than $30,000, then the
16        calculation of EAV shall not be affected by the
17        difference, if any, because of those additional
18        exemptions.
19            (B) With respect to any part of an Organizational
20        Unit within a redevelopment project area in respect to
21        which a municipality has adopted tax increment
22        allocation financing pursuant to the Tax Increment
23        Allocation Redevelopment Act, Division 74.4 of Article
24        11 of the Illinois Municipal Code, or the Industrial
25        Jobs Recovery Law, Division 74.6 of Article 11 of the
26        Illinois Municipal Code, no part of the current EAV of

 

 

SB2435- 926 -LRB102 04062 AMC 14078 b

1        real property located in any such project area that is
2        attributable to an increase above the total initial
3        EAV of such property shall be used as part of the EAV
4        of the Organizational Unit, until such time as all
5        redevelopment project costs have been paid, as
6        provided in Section 11-74.4-8 of the Tax Increment
7        Allocation Redevelopment Act or in Section 11-74.6-35
8        of the Industrial Jobs Recovery Law. For the purpose
9        of the EAV of the Organizational Unit, the total
10        initial EAV or the current EAV, whichever is lower,
11        shall be used until such time as all redevelopment
12        project costs have been paid.
13            (B-5) The real property equalized assessed
14        valuation for a school district shall be adjusted by
15        subtracting from the real property value, as equalized
16        or assessed by the Department of Revenue, for the
17        district an amount computed by dividing the amount of
18        any abatement of taxes under Section 18-170 of the
19        Property Tax Code by 3.00% for a district maintaining
20        grades kindergarten through 12, by 2.30% for a
21        district maintaining grades kindergarten through 8, or
22        by 1.05% for a district maintaining grades 9 through
23        12 and adjusted by an amount computed by dividing the
24        amount of any abatement of taxes under subsection (a)
25        of Section 18-165 of the Property Tax Code by the same
26        percentage rates for district type as specified in

 

 

SB2435- 927 -LRB102 04062 AMC 14078 b

1        this subparagraph (B-5).
2            (C) For Organizational Units that are Hybrid
3        Districts, the State Superintendent shall use the
4        lesser of the adjusted equalized assessed valuation
5        for property within the partial elementary unit
6        district for elementary purposes, as defined in
7        Article 11E of this Code, or the adjusted equalized
8        assessed valuation for property within the partial
9        elementary unit district for high school purposes, as
10        defined in Article 11E of this Code.
11        (4) An Organizational Unit's Adjusted EAV shall be the
12    average of its EAV over the immediately preceding 3 years
13    or its EAV in the immediately preceding year if the EAV in
14    the immediately preceding year has declined by 10% or more
15    compared to the 3-year average. In the event of
16    Organizational Unit reorganization, consolidation, or
17    annexation, the Organizational Unit's Adjusted EAV for the
18    first 3 years after such change shall be as follows: the
19    most current EAV shall be used in the first year, the
20    average of a 2-year EAV or its EAV in the immediately
21    preceding year if the EAV declines by 10% or more compared
22    to the 2-year average for the second year, and a 3-year
23    average EAV or its EAV in the immediately preceding year
24    if the Adjusted EAV declines by 10% or more compared to the
25    3-year average for the third year. For any school district
26    whose EAV in the immediately preceding year is used in

 

 

SB2435- 928 -LRB102 04062 AMC 14078 b

1    calculations, in the following year, the Adjusted EAV
2    shall be the average of its EAV over the immediately
3    preceding 2 years or the immediately preceding year if
4    that year represents a decline of 10% or more compared to
5    the 2-year average.
6        "PTELL EAV" means a figure calculated by the State
7    Board for Organizational Units subject to PTELL as
8    described in this paragraph (4) for the purposes of
9    calculating an Organizational Unit's Local Capacity Ratio.
10    Except as otherwise provided in this paragraph (4), the
11    PTELL EAV of an Organizational Unit shall be equal to the
12    product of the equalized assessed valuation last used in
13    the calculation of general State aid under Section 18-8.05
14    of this Code (now repealed) or Evidence-Based Funding
15    under this Section and the Organizational Unit's Extension
16    Limitation Ratio. If an Organizational Unit has approved
17    or does approve an increase in its limiting rate, pursuant
18    to Section 18-190 of the Property Tax Code, affecting the
19    Base Tax Year, the PTELL EAV shall be equal to the product
20    of the equalized assessed valuation last used in the
21    calculation of general State aid under Section 18-8.05 of
22    this Code (now repealed) or Evidence-Based Funding under
23    this Section multiplied by an amount equal to one plus the
24    percentage increase, if any, in the Consumer Price Index
25    for All Urban Consumers for all items published by the
26    United States Department of Labor for the 12-month

 

 

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1    calendar year preceding the Base Tax Year, plus the
2    equalized assessed valuation of new property, annexed
3    property, and recovered tax increment value and minus the
4    equalized assessed valuation of disconnected property.
5        As used in this paragraph (4), "new property" and
6    "recovered tax increment value" shall have the meanings
7    set forth in the Property Tax Extension Limitation Law.
8    (e) Base Funding Minimum calculation.
9        (1) For the 2017-2018 school year, the Base Funding
10    Minimum of an Organizational Unit or a Specially Funded
11    Unit shall be the amount of State funds distributed to the
12    Organizational Unit or Specially Funded Unit during the
13    2016-2017 school year prior to any adjustments and
14    specified appropriation amounts described in this
15    paragraph (1) from the following Sections, as calculated
16    by the State Superintendent: Section 18-8.05 of this Code
17    (now repealed); Section 5 of Article 224 of Public Act
18    99-524 (equity grants); Section 14-7.02b of this Code
19    (funding for children requiring special education
20    services); Section 14-13.01 of this Code (special
21    education facilities and staffing), except for
22    reimbursement of the cost of transportation pursuant to
23    Section 14-13.01; Section 14C-12 of this Code (English
24    learners); and Section 18-4.3 of this Code (summer
25    school), based on an appropriation level of $13,121,600.
26    For a school district organized under Article 34 of this

 

 

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1    Code, the Base Funding Minimum also includes (i) the funds
2    allocated to the school district pursuant to Section 1D-1
3    of this Code attributable to funding programs authorized
4    by the Sections of this Code listed in the preceding
5    sentence and (ii) the difference between (I) the funds
6    allocated to the school district pursuant to Section 1D-1
7    of this Code attributable to the funding programs
8    authorized by Section 14-7.02 (non-public special
9    education reimbursement), subsection (b) of Section
10    14-13.01 (special education transportation), Section 29-5
11    (transportation), Section 2-3.80 (agricultural
12    education), Section 2-3.66 (truants' alternative
13    education), Section 2-3.62 (educational service centers),
14    and Section 14-7.03 (special education - orphanage) of
15    this Code and Section 15 of the Childhood Hunger Relief
16    Act (free breakfast program) and (II) the school
17    district's actual expenditures for its non-public special
18    education, special education transportation,
19    transportation programs, agricultural education, truants'
20    alternative education, services that would otherwise be
21    performed by a regional office of education, special
22    education orphanage expenditures, and free breakfast, as
23    most recently calculated and reported pursuant to
24    subsection (f) of Section 1D-1 of this Code. The Base
25    Funding Minimum for Glenwood Academy shall be $625,500.
26    For programs operated by a regional office of education or

 

 

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1    an intermediate service center, the Base Funding Minimum
2    must be the total amount of State funds allocated to those
3    programs in the 2018-2019 school year and amounts provided
4    pursuant to Article 34 of Public Act 100-586 and Section
5    3-16 of this Code. All programs established after June 5,
6    2019 (the effective date of Public Act 101-10) and
7    administered by a regional office of education or an
8    intermediate service center must have an initial Base
9    Funding Minimum set to an amount equal to the first-year
10    ASE multiplied by the amount of per pupil funding received
11    in the previous school year by the lowest funded similar
12    existing program type. If the enrollment for a program
13    operated by a regional office of education or an
14    intermediate service center is zero, then it may not
15    receive Base Funding Minimum funds for that program in the
16    next fiscal year, and those funds must be distributed to
17    Organizational Units under subsection (g).
18        (2) For the 2018-2019 and subsequent school years, the
19    Base Funding Minimum of Organizational Units and Specially
20    Funded Units shall be the sum of (i) the amount of
21    Evidence-Based Funding for the prior school year, (ii) the
22    Base Funding Minimum for the prior school year, and (iii)
23    any amount received by a school district pursuant to
24    Section 7 of Article 97 of Public Act 100-21.
25        (3) Subject to approval by the General Assembly as
26    provided in this paragraph (3), an Organizational Unit

 

 

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1    that meets all of the following criteria, as determined by
2    the State Board, shall have District Intervention Money
3    added to its Base Funding Minimum at the time the Base
4    Funding Minimum is calculated by the State Board:
5            (A) The Organizational Unit is operating under an
6        Independent Authority under Section 2-3.25f-5 of this
7        Code for a minimum of 4 school years or is subject to
8        the control of the State Board pursuant to a court
9        order for a minimum of 4 school years.
10            (B) The Organizational Unit was designated as a
11        Tier 1 or Tier 2 Organizational Unit in the previous
12        school year under paragraph (3) of subsection (g) of
13        this Section.
14            (C) The Organizational Unit demonstrates
15        sustainability through a 5-year financial and
16        strategic plan.
17            (D) The Organizational Unit has made sufficient
18        progress and achieved sufficient stability in the
19        areas of governance, academic growth, and finances.
20        As part of its determination under this paragraph (3),
21    the State Board may consider the Organizational Unit's
22    summative designation, any accreditations of the
23    Organizational Unit, or the Organizational Unit's
24    financial profile, as calculated by the State Board.
25        If the State Board determines that an Organizational
26    Unit has met the criteria set forth in this paragraph (3),

 

 

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1    it must submit a report to the General Assembly, no later
2    than January 2 of the fiscal year in which the State Board
3    makes it determination, on the amount of District
4    Intervention Money to add to the Organizational Unit's
5    Base Funding Minimum. The General Assembly must review the
6    State Board's report and may approve or disapprove, by
7    joint resolution, the addition of District Intervention
8    Money. If the General Assembly fails to act on the report
9    within 40 calendar days from the receipt of the report,
10    the addition of District Intervention Money is deemed
11    approved. If the General Assembly approves the amount of
12    District Intervention Money to be added to the
13    Organizational Unit's Base Funding Minimum, the District
14    Intervention Money must be added to the Base Funding
15    Minimum annually thereafter.
16        For the first 4 years following the initial year that
17    the State Board determines that an Organizational Unit has
18    met the criteria set forth in this paragraph (3) and has
19    received funding under this Section, the Organizational
20    Unit must annually submit to the State Board, on or before
21    November 30, a progress report regarding its financial and
22    strategic plan under subparagraph (C) of this paragraph
23    (3). The plan shall include the financial data from the
24    past 4 annual financial reports or financial audits that
25    must be presented to the State Board by November 15 of each
26    year and the approved budget financial data for the

 

 

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1    current year. The plan shall be developed according to the
2    guidelines presented to the Organizational Unit by the
3    State Board. The plan shall further include financial
4    projections for the next 3 fiscal years and include a
5    discussion and financial summary of the Organizational
6    Unit's facility needs. If the Organizational Unit does not
7    demonstrate sufficient progress toward its 5-year plan or
8    if it has failed to file an annual financial report, an
9    annual budget, a financial plan, a deficit reduction plan,
10    or other financial information as required by law, the
11    State Board may establish a Financial Oversight Panel
12    under Article 1H of this Code. However, if the
13    Organizational Unit already has a Financial Oversight
14    Panel, the State Board may extend the duration of the
15    Panel.
16    (f) Percent of Adequacy and Final Resources calculation.
17        (1) The Evidence-Based Funding formula establishes a
18    Percent of Adequacy for each Organizational Unit in order
19    to place such units into tiers for the purposes of the
20    funding distribution system described in subsection (g) of
21    this Section. Initially, an Organizational Unit's
22    Preliminary Resources and Preliminary Percent of Adequacy
23    are calculated pursuant to paragraph (2) of this
24    subsection (f). Then, an Organizational Unit's Final
25    Resources and Final Percent of Adequacy are calculated to
26    account for the Organizational Unit's poverty

 

 

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1    concentration levels pursuant to paragraphs (3) and (4) of
2    this subsection (f).
3        (2) An Organizational Unit's Preliminary Resources are
4    equal to the sum of its Local Capacity Target, CPPRT, and
5    Base Funding Minimum. An Organizational Unit's Preliminary
6    Percent of Adequacy is the lesser of (i) its Preliminary
7    Resources divided by its Adequacy Target or (ii) 100%.
8        (3) Except for Specially Funded Units, an
9    Organizational Unit's Final Resources are equal to the sum
10    of its Local Capacity, CPPRT, and Adjusted Base Funding
11    Minimum. The Base Funding Minimum of each Specially Funded
12    Unit shall serve as its Final Resources, except that the
13    Base Funding Minimum for State-approved charter schools
14    shall not include any portion of general State aid
15    allocated in the prior year based on the per capita
16    tuition charge times the charter school enrollment.
17        (4) An Organizational Unit's Final Percent of Adequacy
18    is its Final Resources divided by its Adequacy Target. An
19    Organizational Unit's Adjusted Base Funding Minimum is
20    equal to its Base Funding Minimum less its Supplemental
21    Grant Funding, with the resulting figure added to the
22    product of its Supplemental Grant Funding and Preliminary
23    Percent of Adequacy.
24    (g) Evidence-Based Funding formula distribution system.
25        (1) In each school year under the Evidence-Based
26    Funding formula, each Organizational Unit receives funding

 

 

SB2435- 936 -LRB102 04062 AMC 14078 b

1    equal to the sum of its Base Funding Minimum and the unit's
2    allocation of New State Funds determined pursuant to this
3    subsection (g). To allocate New State Funds, the
4    Evidence-Based Funding formula distribution system first
5    places all Organizational Units into one of 4 tiers in
6    accordance with paragraph (3) of this subsection (g),
7    based on the Organizational Unit's Final Percent of
8    Adequacy. New State Funds are allocated to each of the 4
9    tiers as follows: Tier 1 Aggregate Funding equals 50% of
10    all New State Funds, Tier 2 Aggregate Funding equals 49%
11    of all New State Funds, Tier 3 Aggregate Funding equals
12    0.9% of all New State Funds, and Tier 4 Aggregate Funding
13    equals 0.1% of all New State Funds. Each Organizational
14    Unit within Tier 1 or Tier 2 receives an allocation of New
15    State Funds equal to its tier Funding Gap, as defined in
16    the following sentence, multiplied by the tier's
17    Allocation Rate determined pursuant to paragraph (4) of
18    this subsection (g). For Tier 1, an Organizational Unit's
19    Funding Gap equals the tier's Target Ratio, as specified
20    in paragraph (5) of this subsection (g), multiplied by the
21    Organizational Unit's Adequacy Target, with the resulting
22    amount reduced by the Organizational Unit's Final
23    Resources. For Tier 2, an Organizational Unit's Funding
24    Gap equals the tier's Target Ratio, as described in
25    paragraph (5) of this subsection (g), multiplied by the
26    Organizational Unit's Adequacy Target, with the resulting

 

 

SB2435- 937 -LRB102 04062 AMC 14078 b

1    amount reduced by the Organizational Unit's Final
2    Resources and its Tier 1 funding allocation. To determine
3    the Organizational Unit's Funding Gap, the resulting
4    amount is then multiplied by a factor equal to one minus
5    the Organizational Unit's Local Capacity Target
6    percentage. Each Organizational Unit within Tier 3 or Tier
7    4 receives an allocation of New State Funds equal to the
8    product of its Adequacy Target and the tier's Allocation
9    Rate, as specified in paragraph (4) of this subsection
10    (g).
11        (2) To ensure equitable distribution of dollars for
12    all Tier 2 Organizational Units, no Tier 2 Organizational
13    Unit shall receive fewer dollars per ASE than any Tier 3
14    Organizational Unit. Each Tier 2 and Tier 3 Organizational
15    Unit shall have its funding allocation divided by its ASE.
16    Any Tier 2 Organizational Unit with a funding allocation
17    per ASE below the greatest Tier 3 allocation per ASE shall
18    get a funding allocation equal to the greatest Tier 3
19    funding allocation per ASE multiplied by the
20    Organizational Unit's ASE. Each Tier 2 Organizational
21    Unit's Tier 2 funding allocation shall be multiplied by
22    the percentage calculated by dividing the original Tier 2
23    Aggregate Funding by the sum of all Tier 2 Organizational
24    Units' Tier 2 funding allocation after adjusting
25    districts' funding below Tier 3 levels.
26        (3) Organizational Units are placed into one of 4

 

 

SB2435- 938 -LRB102 04062 AMC 14078 b

1    tiers as follows:
2            (A) Tier 1 consists of all Organizational Units,
3        except for Specially Funded Units, with a Percent of
4        Adequacy less than the Tier 1 Target Ratio. The Tier 1
5        Target Ratio is the ratio level that allows for Tier 1
6        Aggregate Funding to be distributed, with the Tier 1
7        Allocation Rate determined pursuant to paragraph (4)
8        of this subsection (g).
9            (B) Tier 2 consists of all Tier 1 Units and all
10        other Organizational Units, except for Specially
11        Funded Units, with a Percent of Adequacy of less than
12        0.90.
13            (C) Tier 3 consists of all Organizational Units,
14        except for Specially Funded Units, with a Percent of
15        Adequacy of at least 0.90 and less than 1.0.
16            (D) Tier 4 consists of all Organizational Units
17        with a Percent of Adequacy of at least 1.0.
18        (4) The Allocation Rates for Tiers 1 through 4 are
19    determined as follows:
20            (A) The Tier 1 Allocation Rate is 30%.
21            (B) The Tier 2 Allocation Rate is the result of the
22        following equation: Tier 2 Aggregate Funding, divided
23        by the sum of the Funding Gaps for all Tier 2
24        Organizational Units, unless the result of such
25        equation is higher than 1.0. If the result of such
26        equation is higher than 1.0, then the Tier 2

 

 

SB2435- 939 -LRB102 04062 AMC 14078 b

1        Allocation Rate is 1.0.
2            (C) The Tier 3 Allocation Rate is the result of the
3        following equation: Tier 3 Aggregate Funding, divided
4        by the sum of the Adequacy Targets of all Tier 3
5        Organizational Units.
6            (D) The Tier 4 Allocation Rate is the result of the
7        following equation: Tier 4 Aggregate Funding, divided
8        by the sum of the Adequacy Targets of all Tier 4
9        Organizational Units.
10        (5) A tier's Target Ratio is determined as follows:
11            (A) The Tier 1 Target Ratio is the ratio level that
12        allows for Tier 1 Aggregate Funding to be distributed
13        with the Tier 1 Allocation Rate.
14            (B) The Tier 2 Target Ratio is 0.90.
15            (C) The Tier 3 Target Ratio is 1.0.
16        (6) If, at any point, the Tier 1 Target Ratio is
17    greater than 90%, then than all Tier 1 funding shall be
18    allocated to Tier 2 and no Tier 1 Organizational Unit's
19    funding may be identified.
20        (7) In the event that all Tier 2 Organizational Units
21    receive funding at the Tier 2 Target Ratio level, any
22    remaining New State Funds shall be allocated to Tier 3 and
23    Tier 4 Organizational Units.
24        (8) If any Specially Funded Units, excluding Glenwood
25    Academy, recognized by the State Board do not qualify for
26    direct funding following the implementation of Public Act

 

 

SB2435- 940 -LRB102 04062 AMC 14078 b

1    100-465 from any of the funding sources included within
2    the definition of Base Funding Minimum, the unqualified
3    portion of the Base Funding Minimum shall be transferred
4    to one or more appropriate Organizational Units as
5    determined by the State Superintendent based on the prior
6    year ASE of the Organizational Units.
7        (8.5) If a school district withdraws from a special
8    education cooperative, the portion of the Base Funding
9    Minimum that is attributable to the school district may be
10    redistributed to the school district upon withdrawal. The
11    school district and the cooperative must include the
12    amount of the Base Funding Minimum that is to be
13    reapportioned in their withdrawal agreement and notify the
14    State Board of the change with a copy of the agreement upon
15    withdrawal.
16        (9) The Minimum Funding Level is intended to establish
17    a target for State funding that will keep pace with
18    inflation and continue to advance equity through the
19    Evidence-Based Funding formula. The target for State
20    funding of New Property Tax Relief Pool Funds is
21    $50,000,000 for State fiscal year 2019 and subsequent
22    State fiscal years. The Minimum Funding Level is equal to
23    $350,000,000. In addition to any New State Funds, no more
24    than $50,000,000 New Property Tax Relief Pool Funds may be
25    counted toward the Minimum Funding Level. If the sum of
26    New State Funds and applicable New Property Tax Relief

 

 

SB2435- 941 -LRB102 04062 AMC 14078 b

1    Pool Funds are less than the Minimum Funding Level, than
2    funding for tiers shall be reduced in the following
3    manner:
4            (A) First, Tier 4 funding shall be reduced by an
5        amount equal to the difference between the Minimum
6        Funding Level and New State Funds until such time as
7        Tier 4 funding is exhausted.
8            (B) Next, Tier 3 funding shall be reduced by an
9        amount equal to the difference between the Minimum
10        Funding Level and New State Funds and the reduction in
11        Tier 4 funding until such time as Tier 3 funding is
12        exhausted.
13            (C) Next, Tier 2 funding shall be reduced by an
14        amount equal to the difference between the Minimum
15        Funding Level and New State Funds and the reduction in
16        Tier 4 and Tier 3.
17            (D) Finally, Tier 1 funding shall be reduced by an
18        amount equal to the difference between the Minimum
19        Funding level and New State Funds and the reduction in
20        Tier 2, 3, and 4 funding. In addition, the Allocation
21        Rate for Tier 1 shall be reduced to a percentage equal
22        to the Tier 1 Allocation Rate set by paragraph (4) of
23        this subsection (g), multiplied by the result of New
24        State Funds divided by the Minimum Funding Level.
25        (9.5) For State fiscal year 2019 and subsequent State
26    fiscal years, if New State Funds exceed $300,000,000, then

 

 

SB2435- 942 -LRB102 04062 AMC 14078 b

1    any amount in excess of $300,000,000 shall be dedicated
2    for purposes of Section 2-3.170 of this Code up to a
3    maximum of $50,000,000.
4        (10) In the event of a decrease in the amount of the
5    appropriation for this Section in any fiscal year after
6    implementation of this Section, the Organizational Units
7    receiving Tier 1 and Tier 2 funding, as determined under
8    paragraph (3) of this subsection (g), shall be held
9    harmless by establishing a Base Funding Guarantee equal to
10    the per pupil kindergarten through grade 12 funding
11    received in accordance with this Section in the prior
12    fiscal year. Reductions shall be made to the Base Funding
13    Minimum of Organizational Units in Tier 3 and Tier 4 on a
14    per pupil basis equivalent to the total number of the ASE
15    in Tier 3-funded and Tier 4-funded Organizational Units
16    divided by the total reduction in State funding. The Base
17    Funding Minimum as reduced shall continue to be applied to
18    Tier 3 and Tier 4 Organizational Units and adjusted by the
19    relative formula when increases in appropriations for this
20    Section resume. In no event may State funding reductions
21    to Organizational Units in Tier 3 or Tier 4 exceed an
22    amount that would be less than the Base Funding Minimum
23    established in the first year of implementation of this
24    Section. If additional reductions are required, all school
25    districts shall receive a reduction by a per pupil amount
26    equal to the aggregate additional appropriation reduction

 

 

SB2435- 943 -LRB102 04062 AMC 14078 b

1    divided by the total ASE of all Organizational Units.
2        (11) The State Superintendent shall make minor
3    adjustments to the distribution formula set forth in this
4    subsection (g) to account for the rounding of percentages
5    to the nearest tenth of a percentage and dollar amounts to
6    the nearest whole dollar.
7    (h) State Superintendent administration of funding and
8district submission requirements.
9        (1) The State Superintendent shall, in accordance with
10    appropriations made by the General Assembly, meet the
11    funding obligations created under this Section.
12        (2) The State Superintendent shall calculate the
13    Adequacy Target for each Organizational Unit and Net State
14    Contribution Target for each Organizational Unit under
15    this Section. No Evidence-Based Funding shall be
16    distributed within an Organizational Unit without the
17    approval of the unit's school board.
18        (3) Annually, the State Superintendent shall calculate
19    and report to each Organizational Unit the unit's
20    aggregate financial adequacy amount, which shall be the
21    sum of the Adequacy Target for each Organizational Unit.
22    The State Superintendent shall calculate and report
23    separately for each Organizational Unit the unit's total
24    State funds allocated for its students with disabilities.
25    The State Superintendent shall calculate and report
26    separately for each Organizational Unit the amount of

 

 

SB2435- 944 -LRB102 04062 AMC 14078 b

1    funding and applicable FTE calculated for each Essential
2    Element of the unit's Adequacy Target.
3        (4) Annually, the State Superintendent shall calculate
4    and report to each Organizational Unit the amount the unit
5    must expend on special education and bilingual education
6    and computer technology and equipment for Organizational
7    Units assigned to Tier 1 or Tier 2 that received an
8    additional $285.50 per student computer technology and
9    equipment investment grant to their Adequacy Target
10    pursuant to the unit's Base Funding Minimum, Special
11    Education Allocation, Bilingual Education Allocation, and
12    computer technology and equipment investment allocation.
13        (5) Moneys distributed under this Section shall be
14    calculated on a school year basis, but paid on a fiscal
15    year basis, with payments beginning in August and
16    extending through June. Unless otherwise provided, the
17    moneys appropriated for each fiscal year shall be
18    distributed in 22 equal payments at least 2 times monthly
19    to each Organizational Unit. If moneys appropriated for
20    any fiscal year are distributed other than monthly, the
21    distribution shall be on the same basis for each
22    Organizational Unit.
23        (6) Any school district that fails, for any given
24    school year, to maintain school as required by law or to
25    maintain a recognized school is not eligible to receive
26    Evidence-Based Funding. In case of non-recognition of one

 

 

SB2435- 945 -LRB102 04062 AMC 14078 b

1    or more attendance centers in a school district otherwise
2    operating recognized schools, the claim of the district
3    shall be reduced in the proportion that the enrollment in
4    the attendance center or centers bears to the enrollment
5    of the school district. "Recognized school" means any
6    public school that meets the standards for recognition by
7    the State Board. A school district or attendance center
8    not having recognition status at the end of a school term
9    is entitled to receive State aid payments due upon a legal
10    claim that was filed while it was recognized.
11        (7) School district claims filed under this Section
12    are subject to Sections 18-9 and 18-12 of this Code,
13    except as otherwise provided in this Section.
14        (8) Each fiscal year, the State Superintendent shall
15    calculate for each Organizational Unit an amount of its
16    Base Funding Minimum and Evidence-Based Funding that shall
17    be deemed attributable to the provision of special
18    educational facilities and services, as defined in Section
19    14-1.08 of this Code, in a manner that ensures compliance
20    with maintenance of State financial support requirements
21    under the federal Individuals with Disabilities Education
22    Act. An Organizational Unit must use such funds only for
23    the provision of special educational facilities and
24    services, as defined in Section 14-1.08 of this Code, and
25    must comply with any expenditure verification procedures
26    adopted by the State Board.

 

 

SB2435- 946 -LRB102 04062 AMC 14078 b

1        (9) All Organizational Units in this State must submit
2    annual spending plans by the end of September of each year
3    to the State Board as part of the annual budget process,
4    which shall describe how each Organizational Unit will
5    utilize the Base Funding Minimum and Evidence-Based
6    Funding it receives from this State under this Section
7    with specific identification of the intended utilization
8    of Low-Income, English learner, and special education
9    resources. Additionally, the annual spending plans of each
10    Organizational Unit shall describe how the Organizational
11    Unit expects to achieve student growth and how the
12    Organizational Unit will achieve State education goals, as
13    defined by the State Board. The State Superintendent may,
14    from time to time, identify additional requisites for
15    Organizational Units to satisfy when compiling the annual
16    spending plans required under this subsection (h). The
17    format and scope of annual spending plans shall be
18    developed by the State Superintendent and the State Board
19    of Education. School districts that serve students under
20    Article 14C of this Code shall continue to submit
21    information as required under Section 14C-12 of this Code.
22        (10) No later than January 1, 2018, the State
23    Superintendent shall develop a 5-year strategic plan for
24    all Organizational Units to help in planning for adequacy
25    funding under this Section. The State Superintendent shall
26    submit the plan to the Governor and the General Assembly,

 

 

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1    as provided in Section 3.1 of the General Assembly
2    Organization Act. The plan shall include recommendations
3    for:
4            (A) a framework for collaborative, professional,
5        innovative, and 21st century learning environments
6        using the Evidence-Based Funding model;
7            (B) ways to prepare and support this State's
8        educators for successful instructional careers;
9            (C) application and enhancement of the current
10        financial accountability measures, the approved State
11        plan to comply with the federal Every Student Succeeds
12        Act, and the Illinois Balanced Accountability Measures
13        in relation to student growth and elements of the
14        Evidence-Based Funding model; and
15            (D) implementation of an effective school adequacy
16        funding system based on projected and recommended
17        funding levels from the General Assembly.
18        (11) On an annual basis, the State Superintendent must
19    recalibrate all of the following per pupil elements of the
20    Adequacy Target and applied to the formulas, based on the
21    study of average expenses and as reported in the most
22    recent annual financial report:
23            (A) Gifted under subparagraph (M) of paragraph (2)
24        of subsection (b).
25            (B) Instructional materials under subparagraph (O)
26        of paragraph (2) of subsection (b).

 

 

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1            (C) Assessment under subparagraph (P) of paragraph
2        (2) of subsection (b).
3            (D) Student activities under subparagraph (R) of
4        paragraph (2) of subsection (b).
5            (E) Maintenance and operations under subparagraph
6        (S) of paragraph (2) of subsection (b).
7            (F) Central office under subparagraph (T) of
8        paragraph (2) of subsection (b).
9    (i) Professional Review Panel.
10        (1) A Professional Review Panel is created to study
11    and review topics related to the implementation and effect
12    of Evidence-Based Funding, as assigned by a joint
13    resolution or Public Act of the General Assembly or a
14    motion passed by the State Board of Education. The Panel
15    must provide recommendations to and serve the Governor,
16    the General Assembly, and the State Board. The State
17    Superintendent or his or her designee must serve as a
18    voting member and chairperson of the Panel. The State
19    Superintendent must appoint a vice chairperson from the
20    membership of the Panel. The Panel must advance
21    recommendations based on a three-fifths majority vote of
22    Panel members present and voting. A minority opinion may
23    also accompany any recommendation of the Panel. The Panel
24    shall be appointed by the State Superintendent, except as
25    otherwise provided in paragraph (2) of this subsection (i)
26    and include the following members:

 

 

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1            (A) Two appointees that represent district
2        superintendents, recommended by a statewide
3        organization that represents district superintendents.
4            (B) Two appointees that represent school boards,
5        recommended by a statewide organization that
6        represents school boards.
7            (C) Two appointees from districts that represent
8        school business officials, recommended by a statewide
9        organization that represents school business
10        officials.
11            (D) Two appointees that represent school
12        principals, recommended by a statewide organization
13        that represents school principals.
14            (E) Two appointees that represent teachers,
15        recommended by a statewide organization that
16        represents teachers.
17            (F) Two appointees that represent teachers,
18        recommended by another statewide organization that
19        represents teachers.
20            (G) Two appointees that represent regional
21        superintendents of schools, recommended by
22        organizations that represent regional superintendents.
23            (H) Two independent experts selected solely by the
24        State Superintendent.
25            (I) Two independent experts recommended by public
26        universities in this State.

 

 

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1            (J) One member recommended by a statewide
2        organization that represents parents.
3            (K) Two representatives recommended by collective
4        impact organizations that represent major metropolitan
5        areas or geographic areas in Illinois.
6            (L) One member from a statewide organization
7        focused on research-based education policy to support
8        a school system that prepares all students for
9        college, a career, and democratic citizenship.
10            (M) One representative from a school district
11        organized under Article 34 of this Code.
12        The State Superintendent shall ensure that the
13    membership of the Panel includes representatives from
14    school districts and communities reflecting the
15    geographic, socio-economic, racial, and ethnic diversity
16    of this State. The State Superintendent shall additionally
17    ensure that the membership of the Panel includes
18    representatives with expertise in bilingual education and
19    special education. Staff from the State Board shall staff
20    the Panel.
21        (2) In addition to those Panel members appointed by
22    the State Superintendent, 4 members of the General
23    Assembly shall be appointed as follows: one member of the
24    House of Representatives appointed by the Speaker of the
25    House of Representatives, one member of the Senate
26    appointed by the President of the Senate, one member of

 

 

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1    the House of Representatives appointed by the Minority
2    Leader of the House of Representatives, and one member of
3    the Senate appointed by the Minority Leader of the Senate.
4    There shall be one additional member appointed by the
5    Governor. All members appointed by legislative leaders or
6    the Governor shall be non-voting, ex officio members.
7        (3) The Panel must study topics at the direction of
8    the General Assembly or State Board of Education, as
9    provided under paragraph (1). The Panel may also study the
10    following topics at the direction of the chairperson:
11            (A) The format and scope of annual spending plans
12        referenced in paragraph (9) of subsection (h) of this
13        Section.
14            (B) The Comparable Wage Index under this Section.
15            (C) Maintenance and operations, including capital
16        maintenance and construction costs.
17            (D) "At-risk student" definition.
18            (E) Benefits.
19            (F) Technology.
20            (G) Local Capacity Target.
21            (H) Funding for Alternative Schools, Laboratory
22        Schools, safe schools, and alternative learning
23        opportunities programs.
24            (I) Funding for college and career acceleration
25        strategies.
26            (J) Special education investments.

 

 

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1            (K) Early childhood investments, in collaboration
2        with the Illinois Early Learning Council.
3        (4) (Blank).
4        (5) Within 5 years after the implementation of this
5    Section, and every 5 years thereafter, the Panel shall
6    complete an evaluative study of the entire Evidence-Based
7    Funding model, including an assessment of whether or not
8    the formula is achieving State goals. The Panel shall
9    report to the State Board, the General Assembly, and the
10    Governor on the findings of the study.
11        (6) (Blank).
12    (j) References. Beginning July 1, 2017, references in
13other laws to general State aid funds or calculations under
14Section 18-8.05 of this Code (now repealed) shall be deemed to
15be references to evidence-based model formula funds or
16calculations under this Section.
17(Source: P.A. 100-465, eff. 8-31-17; 100-578, eff. 1-31-18;
18100-582, eff. 3-23-18; 101-10, eff. 6-5-19; 101-17, eff.
196-14-19; 101-643, eff. 6-18-20; revised 8-21-20.)
 
20    (105 ILCS 5/22-33)
21    Sec. 22-33. Medical cannabis.
22    (a) This Section may be referred to as Ashley's Law.
23    (a-5) In this Section:
24    "Designated caregiver", "medical cannabis infused
25product", "qualifying patient", and "registered" have the

 

 

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1meanings given to those terms under Section 10 of the
2Compassionate Use of Medical Cannabis Program Act.
3    "Self-administration" means a student's discretionary use
4of his or her medical cannabis infused product.
5    (b) Subject to the restrictions under subsections (c)
6through (g) of this Section, a school district, public school,
7charter school, or nonpublic school shall authorize a parent
8or guardian or any other individual registered with the
9Department of Public Health as a designated caregiver of a
10student who is a registered qualifying patient to administer a
11medical cannabis infused product to the student on the
12premises of the child's school or on the child's school bus if
13both the student (as a registered qualifying patient) and the
14parent or guardian or other individual (as a registered
15designated caregiver) have been issued registry identification
16cards under the Compassionate Use of Medical Cannabis Program
17Act. After administering the product, the parent or guardian
18or other individual shall remove the product from the school
19premises or the school bus.
20    (b-5) Notwithstanding subsection (b) and subject to the
21restrictions under subsections (c) through (g), a school
22district, public school, charter school, or nonpublic school
23must allow a school nurse or school administrator to
24administer a medical cannabis infused product to a student who
25is a registered qualifying patient (i) while on school
26premises, (ii) while at a school-sponsored activity, or (iii)

 

 

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1before or after normal school activities, including while the
2student is in before-school or after-school care on
3school-operated property or while the student is being
4transported on a school bus. A school district, public school,
5charter school, or nonpublic school may authorize the
6self-administration of a medical cannabis infused product by a
7student who is a registered qualifying patient if the
8self-administration takes place under the direct supervision
9of a school nurse or school administrator.
10    Before allowing the administration of a medical cannabis
11infused product by a school nurse or school administrator or a
12student's self-administration of a medical cannabis infused
13product under the supervision of a school nurse or school
14administrator under this subsection, the parent or guardian of
15a student who is the registered qualifying patient must
16provide written authorization for its use, along with a copy
17of the registry identification card of the student (as a
18registered qualifying patient) and the parent or guardian (as
19a registered designated caregiver). The written authorization
20must specify the times at which where or the special
21circumstances under which the medical cannabis infused product
22must be administered. The written authorization and a copy of
23the registry identification cards must be kept on file in the
24office of the school nurse. The authorization for a student to
25self-administer medical cannabis infused products is effective
26for the school year in which it is granted and must be renewed

 

 

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1each subsequent school year upon fulfillment of the
2requirements of this Section.
3    (b-10) Medical cannabis infused products that are to be
4administered under subsection (b-5) must be stored with the
5school nurse at all times in a manner consistent with storage
6of other student medication at the school and may be
7accessible only by the school nurse or a school administrator.
8    (c) A parent or guardian or other individual may not
9administer a medical cannabis infused product under this
10Section in a manner that, in the opinion of the school district
11or school, would create a disruption to the school's
12educational environment or would cause exposure of the product
13to other students.
14    (d) A school district or school may not discipline a
15student who is administered a medical cannabis infused product
16by a parent or guardian or other individual under this Section
17or who self-administers a medical cannabis infused product
18under the supervision of a school nurse or school
19administrator under this Section and may not deny the
20student's eligibility to attend school solely because the
21student requires the administration of the product.
22    (e) Nothing in this Section requires a member of a
23school's staff to administer a medical cannabis infused
24product to a student.
25    (f) A school district, public school, charter school, or
26nonpublic school may not authorize the use of a medical

 

 

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1cannabis infused product under this Section if the school
2district or school would lose federal funding as a result of
3the authorization.
4    (f-5) The State Board of Education, in consultation with
5the Department of Public Health, must develop a training
6curriculum for school nurses and school administrators on the
7administration of medical cannabis infused products. Prior to
8the administration of a medical cannabis infused product under
9subsection (b-5), a school nurse or school administrator must
10annually complete the training curriculum developed under this
11subsection and must submit to the school's administration
12proof of its completion. A school district, public school,
13charter school, or nonpublic school must maintain records
14related to the training curriculum and of the school nurses or
15school administrators who have completed the training.
16    (g) A school district, public school, charter school, or
17nonpublic school shall adopt a policy to implement this
18Section.
19(Source: P.A. 100-660, eff. 8-1-18; 101-363, eff. 8-9-19;
20101-370, eff. 1-1-20; revised 10-7-19.)
 
21    (105 ILCS 5/22-85)
22    Sec. 22-85. Sexual abuse at schools.
23    (a) The General Assembly finds that:
24        (1) investigation of a child regarding an incident of
25    sexual abuse can induce significant trauma for the child;

 

 

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1        (2) it is desirable to prevent multiple interviews of
2    a child at a school; and
3        (3) it is important to recognize the role of
4    Children's Advocacy Centers in conducting developmentally
5    appropriate investigations.
6    (b) In this Section:
7    "Alleged incident of sexual abuse" is limited to an
8incident of sexual abuse of a child that is alleged to have
9been perpetrated by school personnel, including a school
10vendor or volunteer, that occurred (i) on school grounds or
11during a school activity or (ii) outside of school grounds or
12not during a school activity.
13    "Appropriate law enforcement agency" means a law
14enforcement agency whose employees have been involved, in some
15capacity, with an investigation of a particular alleged
16incident of sexual abuse.
17    (c) If a mandated reporter within a school has knowledge
18of an alleged incident of sexual abuse, the reporter must call
19the Department of Children and Family Services' hotline
20established under Section 7.6 of the Abused and Neglected
21Child Reporting Act immediately after obtaining the minimal
22information necessary to make a report, including the names of
23the affected parties and the allegations. The State Board of
24Education must make available materials detailing the
25information that is necessary to enable notification to the
26Department of Children and Family Services of an alleged

 

 

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1incident of sexual abuse. Each school must ensure that
2mandated reporters review the State Board of Education's
3materials and materials developed by the Department of
4Children and Family Services and distributed in the school
5building under Section 7 of the Abused and Neglected Child
6Reporting Act at least once annually.
7    (d) For schools in a county with an accredited Children's
8Advocacy Center, every alleged incident of sexual abuse that
9is reported to the Department of Children and Family Services'
10hotline or a law enforcement agency and is subsequently
11accepted for investigation must be referred by the entity that
12received the report to the local Children's Advocacy Center
13pursuant to that county's multidisciplinary team's protocol
14under the Children's Advocacy Center Act for investigating
15child sexual abuse allegations.
16    (e) A county's local Children's Advocacy Center must, at a
17minimum, do both of the following regarding a referred case of
18an alleged incident of sexual abuse:
19        (1) Coordinate the investigation of the alleged
20    incident, as governed by the local Children's Advocacy
21    Center's existing multidisciplinary team protocol and
22    according to National Children's Alliance accreditation
23    standards.
24        (2) Facilitate communication between the
25    multidisciplinary team investigating the alleged incident
26    of sexual abuse and, if applicable, the referring school's

 

 

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1    (i) Title IX officer, or his or her designee, (ii) school
2    resource officer, or (iii) personnel leading the school's
3    investigation into the alleged incident of sexual abuse.
4    If a school uses a designated entity to investigate a
5    sexual abuse allegation, the multidisciplinary team may
6    correspond only with that entity and any reference in this
7    Section to "school" refers to that designated entity. This
8    facilitation of communication must, at a minimum, ensure
9    that all applicable parties have each other's contact
10    information and must share the county's local Children's
11    Advocacy Center's protocol regarding the process of
12    approving the viewing of a forensic interview, as defined
13    under Section 2.5 of the Children's Advocacy Center Act,
14    by school personnel and a contact person for questions
15    relating to the protocol.
16    (f) After an alleged incident of sexual abuse is accepted
17for investigation by the Department of Children and Family
18Services or a law enforcement agency and while the criminal
19and child abuse investigations related to that alleged
20incident are being conducted by the local multidisciplinary
21team, the school relevant to the alleged incident of sexual
22abuse must comply with both of the following:
23        (1) It may not interview the alleged victim regarding
24    details of the alleged incident of sexual abuse until
25    after the completion of the forensic interview of that
26    victim is conducted at a Children's Advocacy Center. This

 

 

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1    paragraph does not prohibit a school from requesting
2    information from the alleged victim or his or her parent
3    or guardian to ensure the safety and well-being of the
4    alleged victim at school during an investigation.
5        (2) If asked by a law enforcement agency or an
6    investigator of the Department of Children and Family
7    Services who is conducting the investigation, it must
8    inform those individuals of any evidence the school has
9    gathered pertaining to an alleged incident of sexual
10    abuse, as permissible by federal or State law.
11    (g) After completion of a forensic interview, the
12multidisciplinary team must notify the school relevant to the
13alleged incident of sexual abuse of its completion. If, for
14any reason, a multidisciplinary team determines it will not
15conduct a forensic interview in a specific investigation, the
16multidisciplinary team must notify the school as soon as the
17determination is made. If a forensic interview has not been
18conducted within 15 calendar days after opening an
19investigation, the school may notify the multidisciplinary
20team that it intends to interview the alleged victim. No later
21than 10 calendar days after this notification, the
22multidisciplinary team may conduct the forensic interview and,
23if the multidisciplinary team does not conduct the interview,
24the school may proceed with its interview.
25    (h) To the greatest extent possible considering student
26safety and Title IX compliance, school personnel may view the

 

 

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1electronic recordings of a forensic interview of an alleged
2victim of an incident of sexual abuse. As a means to avoid
3additional interviews of an alleged victim, school personnel
4must be granted viewing access to the electronic recording of
5a forensic interview conducted at an accredited Children's
6Advocacy Center for an alleged incident of sexual abuse only
7if the school receives (i) approval from the multidisciplinary
8team investigating the case and (ii) informed consent by a
9child over the age of 13 or the child's parent or guardian.
10Each county's local Children's Advocacy Center and
11multidisciplinary team must establish an internal protocol
12regarding the process of approving the viewing of the forensic
13interview, and this process and the contact person must be
14shared with the school contact at the time of the initial
15facilitation. Whenever possible, the school's viewing of the
16electronic recording of a forensic interview should be
17conducted in lieu of the need for additional interviews.
18    (i) For an alleged incident of sexual abuse that has been
19accepted for investigation by a multidisciplinary team, if,
20during the course of its internal investigation and at any
21point during or after the multidisciplinary team's
22investigation, the school determines that it needs to
23interview the alleged victim to successfully complete its
24investigation and the victim is under 18 years of age, a child
25advocate must be made available to the student and may be
26present during the school's interview. A child advocate may be

 

 

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1a school social worker, a school or equally qualified
2psychologist, or a person in a position the State Board of
3Education has identified as an appropriate advocate for the
4student during a school's investigation into an alleged
5incident of sexual abuse.
6    (j) The Department of Children and Family Services must
7notify the relevant school when an agency investigation of an
8alleged incident of sexual abuse is complete. The notification
9must include information on the outcome of that investigation.
10    (k) The appropriate law enforcement agency must notify the
11relevant school when an agency investigation of an alleged
12incident of sexual abuse is complete or has been suspended.
13The notification must include information on the outcome of
14that investigation.
15    (l) This Section applies to all schools operating under
16this Code, including, but not limited to, public schools
17located in cities having a population of more than 500,000, a
18school operated pursuant to an agreement with a public school
19district, alternative schools operated by third parties, an
20alternative learning opportunities program, a public school
21administered by a local public agency or the Department of
22Human Services, charter schools operating under the authority
23of Article 27A, and non-public schools recognized by the State
24Board of Education.
25(Source: P.A. 101-531, eff. 8-23-19.)
 

 

 

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1    (105 ILCS 5/22-87)
2    Sec. 22-87 22-85. Graduation requirements; Free
3Application for Federal Student Aid.
4    (a) Beginning with the 2020-2021 school year, in addition
5to any other requirements under this Code, as a prerequisite
6to receiving a high school diploma from a public high school,
7the parent or guardian of each student or, if a student is at
8least 18 years of age or legally emancipated, the student must
9comply with either of the following:
10        (1) File a Free Application for Federal Student Aid
11    with the United States Department of Education or, if
12    applicable, an application for State financial aid.
13        (2) On a form created by the State Board of Education,
14    file a waiver with the student's school district
15    indicating that the parent or guardian or, if applicable,
16    the student understands what the Free Application for
17    Federal Student Aid and application for State financial
18    aid are and has chosen not to file an application under
19    paragraph (1).
20    (b) Each school district with a high school must require
21each high school student to comply with this Section and must
22provide to each high school student and, if applicable, his or
23her parent or guardian any support or assistance necessary to
24comply with this Section. A school district must award a high
25school diploma to a student who is unable to meet the
26requirements of subsection (a) due to extenuating

 

 

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1circumstances, as determined by the school district, if (i)
2the student has met all other graduation requirements under
3this Code and (ii) the principal attests that the school
4district has made a good faith effort to assist the student or,
5if applicable, his or her parent or guardian in filing an
6application or a waiver under subsection (a).
7    (c) The State Board of Education may adopt rules to
8implement this Section.
9(Source: P.A. 101-180, eff. 6-1-20; revised 8-4-20.)
 
10    (105 ILCS 5/22-88)
11    Sec. 22-88 22-85. Parental notification of law enforcement
12detainment and questioning on school grounds.
13    (a) In this Section, "school grounds" means the real
14property comprising an active and operational elementary or
15secondary school during the regular hours in which school is
16in session and when students are present.
17    (b) Before detaining and questioning a student on school
18grounds who is under 18 years of age and who is suspected of
19committing a criminal act, a law enforcement officer, a school
20resource officer, or other school security personnel must do
21all of the following:
22        (1) Ensure that notification or attempted notification
23    of the student's parent or guardian is made.
24        (2) Document the time and manner in which the
25    notification or attempted notification under paragraph (1)

 

 

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1    occurred.
2        (3) Make reasonable efforts to ensure that the
3    student's parent or guardian is present during the
4    questioning or, if the parent or guardian is not present,
5    ensure that school personnel, including, but not limited
6    to, a school social worker, a school psychologist, a
7    school nurse, a school guidance counselor, or any other
8    mental health professional, are present during the
9    questioning.
10        (4) If practicable, make reasonable efforts to ensure
11    that a law enforcement officer trained in promoting safe
12    interactions and communications with youth is present
13    during the questioning. An officer who received training
14    in youth investigations approved or certified by his or
15    her law enforcement agency or under Section 10.22 of the
16    Police Training Act or a juvenile police officer, as
17    defined under Section 1-3 of the Juvenile Court Act of
18    1987, satisfies the requirement under this paragraph.
19    (c) This Section does not limit the authority of a law
20enforcement officer to make an arrest on school grounds. This
21Section does not apply to circumstances that would cause a
22reasonable person to believe that urgent and immediate action
23is necessary to do any of the following:
24        (1) Prevent bodily harm or injury to the student or
25    any other person.
26        (2) Apprehend an armed or fleeing suspect.

 

 

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1        (3) Prevent the destruction of evidence.
2        (4) Address an emergency or other dangerous situation.
3(Source: P.A. 101-478, eff. 8-23-19; revised 8-24-20.)
 
4    (105 ILCS 5/24A-7)  (from Ch. 122, par. 24A-7)
5    Sec. 24A-7. Rules. The State Board of Education is
6authorized to adopt such rules as are deemed necessary to
7implement and accomplish the purposes and provisions of this
8Article, including, but not limited to, rules:
9        (1) (i) relating to the methods for measuring student
10    growth (including, but not limited to, limitations on the
11    age of usable useable data; the amount of data needed to
12    reliably and validly measure growth for the purpose of
13    teacher and principal evaluations; and whether and at what
14    time annual State assessments may be used as one of
15    multiple measures of student growth);
16        (2) , (ii) defining the term "significant factor" for
17    purposes of including consideration of student growth in
18    performance ratings;
19        (3) , (iii) controlling for such factors as student
20    characteristics (including, but not limited to, students
21    receiving special education and English Language Learner
22    services), student attendance, and student mobility so as
23    to best measure the impact that a teacher, principal,
24    school and school district has on students' academic
25    achievement;

 

 

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1        (4) , (iv) establishing minimum requirements for
2    district teacher and principal evaluation instruments and
3    procedures; , and
4        (5) (v) establishing a model evaluation plan for use
5    by school districts in which student growth shall comprise
6    50% of the performance rating.
7    Notwithstanding any other provision in this Section, such
8rules shall not preclude a school district having 500,000 or
9more inhabitants from using an annual State assessment as the
10sole measure of student growth for purposes of teacher or
11principal evaluations.
12    The State Superintendent of Education shall convene a
13Performance Evaluation Advisory Council, which shall be
14staffed by the State Board of Education. Members of the
15Council shall be selected by the State Superintendent and
16include, without limitation, representatives of teacher unions
17and school district management, persons with expertise in
18performance evaluation processes and systems, as well as other
19stakeholders. The Council shall meet at least quarterly, and
20may also meet at the call of the chairperson of the Council,
21following August 18, 2017 (the effective date of Public Act
22100-211) this amendatory Act of the 100th General Assembly
23until June 30, 2021. The Council shall advise the State Board
24of Education on the ongoing implementation of performance
25evaluations in this State, which may include gathering public
26feedback, sharing best practices, consulting with the State

 

 

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1Board on any proposed rule changes regarding evaluations, and
2other subjects as determined by the chairperson of the
3Council.
4    Prior to the applicable implementation date, these rules
5shall not apply to teachers assigned to schools identified in
6an agreement entered into between the board of a school
7district operating under Article 34 of this Code and the
8exclusive representative of the district's teachers in
9accordance with Section 34-85c of this Code.
10(Source: P.A. 100-211, eff. 8-18-17; revised 7-15-19.)
 
11    (105 ILCS 5/27-23.13)
12    Sec. 27-23.13. Hunting safety. A school district may offer
13its students a course on hunting safety as part of its
14curriculum during the school day or as part of an after-school
15program. The State Board of Education may prepare and make
16available to school boards resources on hunting safety that
17may be used as guidelines for the development of a course under
18this Section.
19(Source: P.A. 101-152, eff. 7-26-19.)
 
20    (105 ILCS 5/27-23.14)
21    Sec. 27-23.14 27-23.13. Workplace preparation course. A
22school district that maintains any of grades 9 through 12 may
23include in its high school curriculum a unit of instruction on
24workplace preparation that covers legal protections in the

 

 

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1workplace, including protection against sexual harassment and
2racial and other forms of discrimination and other protections
3for employees. A school board may determine the minimum amount
4of instruction time that qualifies as a unit of instruction
5under this Section.
6(Source: P.A. 101-347, eff. 1-1-20; revised 9-25-19.)
 
7    (105 ILCS 5/27-24.1)  (from Ch. 122, par. 27-24.1)
8    Sec. 27-24.1. Definitions. As used in the Driver Education
9Act unless the context otherwise requires:
10    "State Board" means the State Board of Education. ;
11    "Driver education course" and "course" means a course of
12instruction in the use and operation of cars, including
13instruction in the safe operation of cars and rules of the road
14and the laws of this State relating to motor vehicles, which
15meets the minimum requirements of this Act and the rules and
16regulations issued thereunder by the State Board and has been
17approved by the State Board as meeting such requirements. ;
18    "Car" means a motor vehicle of the first division as
19defined in the Illinois Vehicle Code. ;
20    "Motorcycle" or "motor driven cycle" means such a vehicle
21as defined in the Illinois Vehicle Code. ;
22    "Driver's license" means any license or permit issued by
23the Secretary of State under Chapter 6 of the Illinois Vehicle
24Code.
25    "Distance learning program" means a program of study in

 

 

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1which all participating teachers and students do not
2physically meet in the classroom and instead use the Internet,
3email, or any other method other than the classroom to provide
4instruction.
5    With reference to persons, the singular number includes
6the plural and vice versa, and the masculine gender includes
7the feminine.
8(Source: P.A. 101-183, eff. 8-2-19; revised 9-26-19.)
 
9    (105 ILCS 5/27-24.2)  (from Ch. 122, par. 27-24.2)
10    Sec. 27-24.2. Safety education; driver education course.
11Instruction shall be given in safety education in each of
12grades one through 8, equivalent to one class period each
13week, and any school district which maintains grades 9 through
1412 shall offer a driver education course in any such school
15which it operates. Its curriculum shall include content
16dealing with Chapters 11, 12, 13, 15, and 16 of the Illinois
17Vehicle Code, the rules adopted pursuant to those Chapters
18insofar as they pertain to the operation of motor vehicles,
19and the portions of the Litter Control Act relating to the
20operation of motor vehicles. The course of instruction given
21in grades 10 through 12 shall include an emphasis on the
22development of knowledge, attitudes, habits, and skills
23necessary for the safe operation of motor vehicles, including
24motorcycles insofar as they can be taught in the classroom,
25and instruction on distracted driving as a major traffic

 

 

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1safety issue. In addition, the course shall include
2instruction on special hazards existing at and required safety
3and driving precautions that must be observed at emergency
4situations, highway construction and maintenance zones, and
5railroad crossings and the approaches thereto. Beginning with
6the 2017-2018 school year, the course shall also include
7instruction concerning law enforcement procedures for traffic
8stops, including a demonstration of the proper actions to be
9taken during a traffic stop and appropriate interactions with
10law enforcement. The course of instruction required of each
11eligible student at the high school level shall consist of a
12minimum of 30 clock hours of classroom instruction and a
13minimum of 6 clock hours of individual behind-the-wheel
14instruction in a dual control car on public roadways taught by
15a driver education instructor endorsed by the State Board of
16Education. A school district's decision to allow a student to
17take a portion of the driver education course through a
18distance learning program must be determined on a case-by-case
19basis and must be approved by the school's administration,
20including the student's driver education teacher, and the
21student's parent or guardian. Under no circumstances may the
22student take the entire driver education course through a
23distance learning program. Both the classroom instruction part
24and the practice driving part of a driver education course
25shall be open to a resident or non-resident student attending
26a non-public school in the district wherein the course is

 

 

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1offered. Each student attending any public or non-public high
2school in the district must receive a passing grade in at least
38 courses during the previous 2 semesters prior to enrolling
4in a driver education course, or the student shall not be
5permitted to enroll in the course; provided that the local
6superintendent of schools (with respect to a student attending
7a public high school in the district) or chief school
8administrator (with respect to a student attending a
9non-public high school in the district) may waive the
10requirement if the superintendent or chief school
11administrator, as the case may be, deems it to be in the best
12interest of the student. A student may be allowed to commence
13the classroom instruction part of such driver education course
14prior to reaching age 15 if such student then will be eligible
15to complete the entire course within 12 months after being
16allowed to commence such classroom instruction.
17    A school district may offer a driver education course in a
18school by contracting with a commercial driver training school
19to provide both the classroom instruction part and the
20practice driving part or either one without having to request
21a modification or waiver of administrative rules of the State
22Board of Education if the school district approves the action
23during a public hearing on whether to enter into a contract
24with a commercial driver training school. The public hearing
25shall be held at a regular or special school board meeting
26prior to entering into such a contract. If a school district

 

 

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1chooses to approve a contract with a commercial driver
2training school, then the district must provide evidence to
3the State Board of Education that the commercial driver
4training school with which it will contract holds a license
5issued by the Secretary of State under Article IV of Chapter 6
6of the Illinois Vehicle Code and that each instructor employed
7by the commercial driver training school to provide
8instruction to students served by the school district holds a
9valid teaching license issued under the requirements of this
10Code and rules of the State Board of Education. Such evidence
11must include, but need not be limited to, a list of each
12instructor assigned to teach students served by the school
13district, which list shall include the instructor's name,
14personal identification number as required by the State Board
15of Education, birth date, and driver's license number. Once
16the contract is entered into, the school district shall notify
17the State Board of Education of any changes in the personnel
18providing instruction either (i) within 15 calendar days after
19an instructor leaves the program or (ii) before a new
20instructor is hired. Such notification shall include the
21instructor's name, personal identification number as required
22by the State Board of Education, birth date, and driver's
23license number. If the school district maintains an Internet
24website, then the district shall post a copy of the final
25contract between the district and the commercial driver
26training school on the district's Internet website. If no

 

 

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1Internet website exists, then the school district shall make
2available the contract upon request. A record of all materials
3in relation to the contract must be maintained by the school
4district and made available to parents and guardians upon
5request. The instructor's date of birth and driver's license
6number and any other personally identifying information as
7deemed by the federal Driver's Privacy Protection Act of 1994
8must be redacted from any public materials.
9    Such a course may be commenced immediately after the
10completion of a prior course. Teachers of such courses shall
11meet the licensure requirements of this Code and regulations
12of the State Board as to qualifications. Except for a contract
13with a Certified Driver Rehabilitation Specialist, a school
14district that contracts with a third party to teach a driver
15education course under this Section must ensure the teacher
16meets the educator licensure and endorsement requirements
17under Article 21B and must follow the same evaluation and
18observation requirements that apply to non-tenured teachers
19under Article 24A. The teacher evaluation must be conducted by
20a school administrator employed by the school district and
21must be submitted annually to the district superintendent and
22all school board members for oversight purposes.
23    Subject to rules of the State Board of Education, the
24school district may charge a reasonable fee, not to exceed
25$50, to students who participate in the course, unless a
26student is unable to pay for such a course, in which event the

 

 

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1fee for such a student must be waived. However, the district
2may increase this fee to an amount not to exceed $250 by school
3board resolution following a public hearing on the increase,
4which increased fee must be waived for students who
5participate in the course and are unable to pay for the course.
6The total amount from driver education fees and reimbursement
7from the State for driver education must not exceed the total
8cost of the driver education program in any year and must be
9deposited into the school district's driver education fund as
10a separate line item budget entry. All moneys deposited into
11the school district's driver education fund must be used
12solely for the funding of a high school driver education
13program approved by the State Board of Education that uses
14driver education instructors endorsed by the State Board of
15Education.
16(Source: P.A. 100-465, eff. 8-31-17; 101-183, eff. 8-2-19;
17101-450, eff. 8-23-19; revised 9-19-19.)
 
18    (105 ILCS 5/27A-5)
19    Sec. 27A-5. Charter school; legal entity; requirements.
20    (a) A charter school shall be a public, nonsectarian,
21nonreligious, non-home based, and non-profit school. A charter
22school shall be organized and operated as a nonprofit
23corporation or other discrete, legal, nonprofit entity
24authorized under the laws of the State of Illinois.
25    (b) A charter school may be established under this Article

 

 

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1by creating a new school or by converting an existing public
2school or attendance center to charter school status.
3Beginning on April 16, 2003 (the effective date of Public Act
493-3), in all new applications to establish a charter school
5in a city having a population exceeding 500,000, operation of
6the charter school shall be limited to one campus. The changes
7made to this Section by Public Act 93-3 do not apply to charter
8schools existing or approved on or before April 16, 2003 (the
9effective date of Public Act 93-3).
10    (b-5) In this subsection (b-5), "virtual-schooling" means
11a cyber school where students engage in online curriculum and
12instruction via the Internet and electronic communication with
13their teachers at remote locations and with students
14participating at different times.
15    From April 1, 2013 through December 31, 2016, there is a
16moratorium on the establishment of charter schools with
17virtual-schooling components in school districts other than a
18school district organized under Article 34 of this Code. This
19moratorium does not apply to a charter school with
20virtual-schooling components existing or approved prior to
21April 1, 2013 or to the renewal of the charter of a charter
22school with virtual-schooling components already approved
23prior to April 1, 2013.
24    (c) A charter school shall be administered and governed by
25its board of directors or other governing body in the manner
26provided in its charter. The governing body of a charter

 

 

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1school shall be subject to the Freedom of Information Act and
2the Open Meetings Act. No later than January 1, 2021 (one year
3after the effective date of Public Act 101-291) this
4amendatory Act of the 101st General Assembly, a charter
5school's board of directors or other governing body must
6include at least one parent or guardian of a pupil currently
7enrolled in the charter school who may be selected through the
8charter school or a charter network election, appointment by
9the charter school's board of directors or other governing
10body, or by the charter school's Parent Teacher Organization
11or its equivalent.
12    (c-5) No later than January 1, 2021 (one year after the
13effective date of Public Act 101-291) this amendatory Act of
14the 101st General Assembly or within the first year of his or
15her first term, every voting member of a charter school's
16board of directors or other governing body shall complete a
17minimum of 4 hours of professional development leadership
18training to ensure that each member has sufficient familiarity
19with the board's or governing body's role and
20responsibilities, including financial oversight and
21accountability of the school, evaluating the principal's and
22school's performance, adherence to the Freedom of Information
23Act and the Open Meetings Act Acts, and compliance with
24education and labor law. In each subsequent year of his or her
25term, a voting member of a charter school's board of directors
26or other governing body shall complete a minimum of 2 hours of

 

 

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1professional development training in these same areas. The
2training under this subsection may be provided or certified by
3a statewide charter school membership association or may be
4provided or certified by other qualified providers approved by
5the State Board of Education.
6    (d) For purposes of this subsection (d), "non-curricular
7health and safety requirement" means any health and safety
8requirement created by statute or rule to provide, maintain,
9preserve, or safeguard safe or healthful conditions for
10students and school personnel or to eliminate, reduce, or
11prevent threats to the health and safety of students and
12school personnel. "Non-curricular health and safety
13requirement" does not include any course of study or
14specialized instructional requirement for which the State
15Board has established goals and learning standards or which is
16designed primarily to impart knowledge and skills for students
17to master and apply as an outcome of their education.
18    A charter school shall comply with all non-curricular
19health and safety requirements applicable to public schools
20under the laws of the State of Illinois. On or before September
211, 2015, the State Board shall promulgate and post on its
22Internet website a list of non-curricular health and safety
23requirements that a charter school must meet. The list shall
24be updated annually no later than September 1. Any charter
25contract between a charter school and its authorizer must
26contain a provision that requires the charter school to follow

 

 

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1the list of all non-curricular health and safety requirements
2promulgated by the State Board and any non-curricular health
3and safety requirements added by the State Board to such list
4during the term of the charter. Nothing in this subsection (d)
5precludes an authorizer from including non-curricular health
6and safety requirements in a charter school contract that are
7not contained in the list promulgated by the State Board,
8including non-curricular health and safety requirements of the
9authorizing local school board.
10    (e) Except as otherwise provided in the School Code, a
11charter school shall not charge tuition; provided that a
12charter school may charge reasonable fees for textbooks,
13instructional materials, and student activities.
14    (f) A charter school shall be responsible for the
15management and operation of its fiscal affairs including, but
16not limited to, the preparation of its budget. An audit of each
17charter school's finances shall be conducted annually by an
18outside, independent contractor retained by the charter
19school. To ensure financial accountability for the use of
20public funds, on or before December 1 of every year of
21operation, each charter school shall submit to its authorizer
22and the State Board a copy of its audit and a copy of the Form
23990 the charter school filed that year with the federal
24Internal Revenue Service. In addition, if deemed necessary for
25proper financial oversight of the charter school, an
26authorizer may require quarterly financial statements from

 

 

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1each charter school.
2    (g) A charter school shall comply with all provisions of
3this Article, the Illinois Educational Labor Relations Act,
4all federal and State laws and rules applicable to public
5schools that pertain to special education and the instruction
6of English learners, and its charter. A charter school is
7exempt from all other State laws and regulations in this Code
8governing public schools and local school board policies;
9however, a charter school is not exempt from the following:
10        (1) Sections 10-21.9 and 34-18.5 of this Code
11    regarding criminal history records checks and checks of
12    the Statewide Sex Offender Database and Statewide Murderer
13    and Violent Offender Against Youth Database of applicants
14    for employment;
15        (2) Sections 10-20.14, 10-22.6, 24-24, 34-19, and
16    34-84a of this Code regarding discipline of students;
17        (3) the Local Governmental and Governmental Employees
18    Tort Immunity Act;
19        (4) Section 108.75 of the General Not For Profit
20    Corporation Act of 1986 regarding indemnification of
21    officers, directors, employees, and agents;
22        (5) the Abused and Neglected Child Reporting Act;
23        (5.5) subsection (b) of Section 10-23.12 and
24    subsection (b) of Section 34-18.6 of this Code;
25        (6) the Illinois School Student Records Act;
26        (7) Section 10-17a of this Code regarding school

 

 

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1    report cards;
2        (8) the P-20 Longitudinal Education Data System Act;
3        (9) Section 27-23.7 of this Code regarding bullying
4    prevention;
5        (10) Section 2-3.162 of this Code regarding student
6    discipline reporting;
7        (11) Sections 22-80 and 27-8.1 of this Code;
8        (12) Sections 10-20.60 and 34-18.53 of this Code;
9        (13) Sections 10-20.63 and 34-18.56 of this Code;
10        (14) Section 26-18 of this Code;
11        (15) Section 22-30 of this Code; and
12        (16) Sections 24-12 and 34-85 of this Code; and .
13        (17) the (16) The Seizure Smart School Act.
14    The change made by Public Act 96-104 to this subsection
15(g) is declaratory of existing law.
16    (h) A charter school may negotiate and contract with a
17school district, the governing body of a State college or
18university or public community college, or any other public or
19for-profit or nonprofit private entity for: (i) the use of a
20school building and grounds or any other real property or
21facilities that the charter school desires to use or convert
22for use as a charter school site, (ii) the operation and
23maintenance thereof, and (iii) the provision of any service,
24activity, or undertaking that the charter school is required
25to perform in order to carry out the terms of its charter.
26However, a charter school that is established on or after

 

 

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1April 16, 2003 (the effective date of Public Act 93-3) and that
2operates in a city having a population exceeding 500,000 may
3not contract with a for-profit entity to manage or operate the
4school during the period that commences on April 16, 2003 (the
5effective date of Public Act 93-3) and concludes at the end of
6the 2004-2005 school year. Except as provided in subsection
7(i) of this Section, a school district may charge a charter
8school reasonable rent for the use of the district's
9buildings, grounds, and facilities. Any services for which a
10charter school contracts with a school district shall be
11provided by the district at cost. Any services for which a
12charter school contracts with a local school board or with the
13governing body of a State college or university or public
14community college shall be provided by the public entity at
15cost.
16    (i) In no event shall a charter school that is established
17by converting an existing school or attendance center to
18charter school status be required to pay rent for space that is
19deemed available, as negotiated and provided in the charter
20agreement, in school district facilities. However, all other
21costs for the operation and maintenance of school district
22facilities that are used by the charter school shall be
23subject to negotiation between the charter school and the
24local school board and shall be set forth in the charter.
25    (j) A charter school may limit student enrollment by age
26or grade level.

 

 

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1    (k) If the charter school is approved by the State Board or
2Commission, then the charter school is its own local education
3agency.
4(Source: P.A. 100-29, eff. 1-1-18; 100-156, eff. 1-1-18;
5100-163, eff. 1-1-18; 100-413, eff. 1-1-18; 100-468, eff.
66-1-18; 100-726, eff. 1-1-19; 100-863, eff. 8-14-18; 101-50,
7eff. 7-1-20; 101-81, eff. 7-12-19; 101-291, eff. 1-1-20;
8101-531, eff. 8-23-19; 101-543, eff. 8-23-19; revised 8-4-20.)
 
9    (105 ILCS 5/34-18)  (from Ch. 122, par. 34-18)
10    Sec. 34-18. Powers of the board. The board shall exercise
11general supervision and jurisdiction over the public education
12and the public school system of the city, and, except as
13otherwise provided by this Article, shall have power:
14        1. To make suitable provision for the establishment
15    and maintenance throughout the year or for such portion
16    thereof as it may direct, not less than 9 months and in
17    compliance with Section 10-19.05, of schools of all grades
18    and kinds, including normal schools, high schools, night
19    schools, schools for defectives and delinquents, parental
20    and truant schools, schools for the blind, the deaf, and
21    persons with physical disabilities, schools or classes in
22    manual training, constructural and vocational teaching,
23    domestic arts, and physical culture, vocation and
24    extension schools and lecture courses, and all other
25    educational courses and facilities, including

 

 

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1    establishing, equipping, maintaining and operating
2    playgrounds and recreational programs, when such programs
3    are conducted in, adjacent to, or connected with any
4    public school under the general supervision and
5    jurisdiction of the board; provided that the calendar for
6    the school term and any changes must be submitted to and
7    approved by the State Board of Education before the
8    calendar or changes may take effect, and provided that in
9    allocating funds from year to year for the operation of
10    all attendance centers within the district, the board
11    shall ensure that supplemental general State aid or
12    supplemental grant funds are allocated and applied in
13    accordance with Section 18-8, 18-8.05, or 18-8.15. To
14    admit to such schools without charge foreign exchange
15    students who are participants in an organized exchange
16    student program which is authorized by the board. The
17    board shall permit all students to enroll in
18    apprenticeship programs in trade schools operated by the
19    board, whether those programs are union-sponsored or not.
20    No student shall be refused admission into or be excluded
21    from any course of instruction offered in the common
22    schools by reason of that student's sex. No student shall
23    be denied equal access to physical education and
24    interscholastic athletic programs supported from school
25    district funds or denied participation in comparable
26    physical education and athletic programs solely by reason

 

 

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1    of the student's sex. Equal access to programs supported
2    from school district funds and comparable programs will be
3    defined in rules promulgated by the State Board of
4    Education in consultation with the Illinois High School
5    Association. Notwithstanding any other provision of this
6    Article, neither the board of education nor any local
7    school council or other school official shall recommend
8    that children with disabilities be placed into regular
9    education classrooms unless those children with
10    disabilities are provided with supplementary services to
11    assist them so that they benefit from the regular
12    classroom instruction and are included on the teacher's
13    regular education class register;
14        2. To furnish lunches to pupils, to make a reasonable
15    charge therefor, and to use school funds for the payment
16    of such expenses as the board may determine are necessary
17    in conducting the school lunch program;
18        3. To co-operate with the circuit court;
19        4. To make arrangements with the public or
20    quasi-public libraries and museums for the use of their
21    facilities by teachers and pupils of the public schools;
22        5. To employ dentists and prescribe their duties for
23    the purpose of treating the pupils in the schools, but
24    accepting such treatment shall be optional with parents or
25    guardians;
26        6. To grant the use of assembly halls and classrooms

 

 

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1    when not otherwise needed, including light, heat, and
2    attendants, for free public lectures, concerts, and other
3    educational and social interests, free of charge, under
4    such provisions and control as the principal of the
5    affected attendance center may prescribe;
6        7. To apportion the pupils to the several schools;
7    provided that no pupil shall be excluded from or
8    segregated in any such school on account of his color,
9    race, sex, or nationality. The board shall take into
10    consideration the prevention of segregation and the
11    elimination of separation of children in public schools
12    because of color, race, sex, or nationality. Except that
13    children may be committed to or attend parental and social
14    adjustment schools established and maintained either for
15    boys or girls only. All records pertaining to the
16    creation, alteration or revision of attendance areas shall
17    be open to the public. Nothing herein shall limit the
18    board's authority to establish multi-area attendance
19    centers or other student assignment systems for
20    desegregation purposes or otherwise, and to apportion the
21    pupils to the several schools. Furthermore, beginning in
22    school year 1994-95, pursuant to a board plan adopted by
23    October 1, 1993, the board shall offer, commencing on a
24    phased-in basis, the opportunity for families within the
25    school district to apply for enrollment of their children
26    in any attendance center within the school district which

 

 

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1    does not have selective admission requirements approved by
2    the board. The appropriate geographical area in which such
3    open enrollment may be exercised shall be determined by
4    the board of education. Such children may be admitted to
5    any such attendance center on a space available basis
6    after all children residing within such attendance
7    center's area have been accommodated. If the number of
8    applicants from outside the attendance area exceed the
9    space available, then successful applicants shall be
10    selected by lottery. The board of education's open
11    enrollment plan must include provisions that allow
12    low-income low income students to have access to
13    transportation needed to exercise school choice. Open
14    enrollment shall be in compliance with the provisions of
15    the Consent Decree and Desegregation Plan cited in Section
16    34-1.01;
17        8. To approve programs and policies for providing
18    transportation services to students. Nothing herein shall
19    be construed to permit or empower the State Board of
20    Education to order, mandate, or require busing or other
21    transportation of pupils for the purpose of achieving
22    racial balance in any school;
23        9. Subject to the limitations in this Article, to
24    establish and approve system-wide curriculum objectives
25    and standards, including graduation standards, which
26    reflect the multi-cultural diversity in the city and are

 

 

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1    consistent with State law, provided that for all purposes
2    of this Article courses or proficiency in American Sign
3    Language shall be deemed to constitute courses or
4    proficiency in a foreign language; and to employ
5    principals and teachers, appointed as provided in this
6    Article, and fix their compensation. The board shall
7    prepare such reports related to minimal competency testing
8    as may be requested by the State Board of Education, and,
9    in addition, shall monitor and approve special education
10    and bilingual education programs and policies within the
11    district to ensure assure that appropriate services are
12    provided in accordance with applicable State and federal
13    laws to children requiring services and education in those
14    areas;
15        10. To employ non-teaching personnel or utilize
16    volunteer personnel for: (i) non-teaching duties not
17    requiring instructional judgment or evaluation of pupils,
18    including library duties; and (ii) supervising study
19    halls, long distance teaching reception areas used
20    incident to instructional programs transmitted by
21    electronic media such as computers, video, and audio,
22    detention and discipline areas, and school-sponsored
23    extracurricular activities. The board may further utilize
24    volunteer non-certificated personnel or employ
25    non-certificated personnel to assist in the instruction of
26    pupils under the immediate supervision of a teacher

 

 

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1    holding a valid certificate, directly engaged in teaching
2    subject matter or conducting activities; provided that the
3    teacher shall be continuously aware of the
4    non-certificated persons' activities and shall be able to
5    control or modify them. The general superintendent shall
6    determine qualifications of such personnel and shall
7    prescribe rules for determining the duties and activities
8    to be assigned to such personnel;
9        10.5. To utilize volunteer personnel from a regional
10    School Crisis Assistance Team (S.C.A.T.), created as part
11    of the Safe to Learn Program established pursuant to
12    Section 25 of the Illinois Violence Prevention Act of
13    1995, to provide assistance to schools in times of
14    violence or other traumatic incidents within a school
15    community by providing crisis intervention services to
16    lessen the effects of emotional trauma on individuals and
17    the community; the School Crisis Assistance Team Steering
18    Committee shall determine the qualifications for
19    volunteers;
20        11. To provide television studio facilities in not to
21    exceed one school building and to provide programs for
22    educational purposes, provided, however, that the board
23    shall not construct, acquire, operate, or maintain a
24    television transmitter; to grant the use of its studio
25    facilities to a licensed television station located in the
26    school district; and to maintain and operate not to exceed

 

 

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1    one school radio transmitting station and provide programs
2    for educational purposes;
3        12. To offer, if deemed appropriate, outdoor education
4    courses, including field trips within the State of
5    Illinois, or adjacent states, and to use school
6    educational funds for the expense of the said outdoor
7    educational programs, whether within the school district
8    or not;
9        13. During that period of the calendar year not
10    embraced within the regular school term, to provide and
11    conduct courses in subject matters normally embraced in
12    the program of the schools during the regular school term
13    and to give regular school credit for satisfactory
14    completion by the student of such courses as may be
15    approved for credit by the State Board of Education;
16        14. To insure against any loss or liability of the
17    board, the former School Board Nominating Commission,
18    Local School Councils, the Chicago Schools Academic
19    Accountability Council, or the former Subdistrict Councils
20    or of any member, officer, agent, or employee thereof,
21    resulting from alleged violations of civil rights arising
22    from incidents occurring on or after September 5, 1967 or
23    from the wrongful or negligent act or omission of any such
24    person whether occurring within or without the school
25    premises, provided the officer, agent, or employee was, at
26    the time of the alleged violation of civil rights or

 

 

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1    wrongful act or omission, acting within the scope of his
2    or her employment or under direction of the board, the
3    former School Board Nominating Commission, the Chicago
4    Schools Academic Accountability Council, Local School
5    Councils, or the former Subdistrict Councils; and to
6    provide for or participate in insurance plans for its
7    officers and employees, including, but not limited to,
8    retirement annuities, medical, surgical and
9    hospitalization benefits in such types and amounts as may
10    be determined by the board; provided, however, that the
11    board shall contract for such insurance only with an
12    insurance company authorized to do business in this State.
13    Such insurance may include provision for employees who
14    rely on treatment by prayer or spiritual means alone for
15    healing, in accordance with the tenets and practice of a
16    recognized religious denomination;
17        15. To contract with the corporate authorities of any
18    municipality or the county board of any county, as the
19    case may be, to provide for the regulation of traffic in
20    parking areas of property used for school purposes, in
21    such manner as is provided by Section 11-209 of the The
22    Illinois Vehicle Code, approved September 29, 1969, as
23    amended;
24        16. (a) To provide, on an equal basis, access to a high
25    school campus and student directory information to the
26    official recruiting representatives of the armed forces of

 

 

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1    Illinois and the United States for the purposes of
2    informing students of the educational and career
3    opportunities available in the military if the board has
4    provided such access to persons or groups whose purpose is
5    to acquaint students with educational or occupational
6    opportunities available to them. The board is not required
7    to give greater notice regarding the right of access to
8    recruiting representatives than is given to other persons
9    and groups. In this paragraph 16, "directory information"
10    means a high school student's name, address, and telephone
11    number.
12        (b) If a student or his or her parent or guardian
13    submits a signed, written request to the high school
14    before the end of the student's sophomore year (or if the
15    student is a transfer student, by another time set by the
16    high school) that indicates that the student or his or her
17    parent or guardian does not want the student's directory
18    information to be provided to official recruiting
19    representatives under subsection (a) of this Section, the
20    high school may not provide access to the student's
21    directory information to these recruiting representatives.
22    The high school shall notify its students and their
23    parents or guardians of the provisions of this subsection
24    (b).
25        (c) A high school may require official recruiting
26    representatives of the armed forces of Illinois and the

 

 

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1    United States to pay a fee for copying and mailing a
2    student's directory information in an amount that is not
3    more than the actual costs incurred by the high school.
4        (d) Information received by an official recruiting
5    representative under this Section may be used only to
6    provide information to students concerning educational and
7    career opportunities available in the military and may not
8    be released to a person who is not involved in recruiting
9    students for the armed forces of Illinois or the United
10    States;
11        17. (a) To sell or market any computer program
12    developed by an employee of the school district, provided
13    that such employee developed the computer program as a
14    direct result of his or her duties with the school
15    district or through the utilization of the school district
16    resources or facilities. The employee who developed the
17    computer program shall be entitled to share in the
18    proceeds of such sale or marketing of the computer
19    program. The distribution of such proceeds between the
20    employee and the school district shall be as agreed upon
21    by the employee and the school district, except that
22    neither the employee nor the school district may receive
23    more than 90% of such proceeds. The negotiation for an
24    employee who is represented by an exclusive bargaining
25    representative may be conducted by such bargaining
26    representative at the employee's request.

 

 

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1        (b) For the purpose of this paragraph 17:
2            (1) "Computer" means an internally programmed,
3        general purpose digital device capable of
4        automatically accepting data, processing data and
5        supplying the results of the operation.
6            (2) "Computer program" means a series of coded
7        instructions or statements in a form acceptable to a
8        computer, which causes the computer to process data in
9        order to achieve a certain result.
10            (3) "Proceeds" means profits derived from the
11        marketing or sale of a product after deducting the
12        expenses of developing and marketing such product;
13        18. To delegate to the general superintendent of
14    schools, by resolution, the authority to approve contracts
15    and expenditures in amounts of $10,000 or less;
16        19. Upon the written request of an employee, to
17    withhold from the compensation of that employee any dues,
18    payments, or contributions payable by such employee to any
19    labor organization as defined in the Illinois Educational
20    Labor Relations Act. Under such arrangement, an amount
21    shall be withheld from each regular payroll period which
22    is equal to the pro rata share of the annual dues plus any
23    payments or contributions, and the board shall transmit
24    such withholdings to the specified labor organization
25    within 10 working days from the time of the withholding;
26        19a. Upon receipt of notice from the comptroller of a

 

 

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1    municipality with a population of 500,000 or more, a
2    county with a population of 3,000,000 or more, the Cook
3    County Forest Preserve District, the Chicago Park
4    District, the Metropolitan Water Reclamation District, the
5    Chicago Transit Authority, or a housing authority of a
6    municipality with a population of 500,000 or more that a
7    debt is due and owing the municipality, the county, the
8    Cook County Forest Preserve District, the Chicago Park
9    District, the Metropolitan Water Reclamation District, the
10    Chicago Transit Authority, or the housing authority by an
11    employee of the Chicago Board of Education, to withhold,
12    from the compensation of that employee, the amount of the
13    debt that is due and owing and pay the amount withheld to
14    the municipality, the county, the Cook County Forest
15    Preserve District, the Chicago Park District, the
16    Metropolitan Water Reclamation District, the Chicago
17    Transit Authority, or the housing authority; provided,
18    however, that the amount deducted from any one salary or
19    wage payment shall not exceed 25% of the net amount of the
20    payment. Before the Board deducts any amount from any
21    salary or wage of an employee under this paragraph, the
22    municipality, the county, the Cook County Forest Preserve
23    District, the Chicago Park District, the Metropolitan
24    Water Reclamation District, the Chicago Transit Authority,
25    or the housing authority shall certify that (i) the
26    employee has been afforded an opportunity for a hearing to

 

 

SB2435- 996 -LRB102 04062 AMC 14078 b

1    dispute the debt that is due and owing the municipality,
2    the county, the Cook County Forest Preserve District, the
3    Chicago Park District, the Metropolitan Water Reclamation
4    District, the Chicago Transit Authority, or the housing
5    authority and (ii) the employee has received notice of a
6    wage deduction order and has been afforded an opportunity
7    for a hearing to object to the order. For purposes of this
8    paragraph, "net amount" means that part of the salary or
9    wage payment remaining after the deduction of any amounts
10    required by law to be deducted and "debt due and owing"
11    means (i) a specified sum of money owed to the
12    municipality, the county, the Cook County Forest Preserve
13    District, the Chicago Park District, the Metropolitan
14    Water Reclamation District, the Chicago Transit Authority,
15    or the housing authority for services, work, or goods,
16    after the period granted for payment has expired, or (ii)
17    a specified sum of money owed to the municipality, the
18    county, the Cook County Forest Preserve District, the
19    Chicago Park District, the Metropolitan Water Reclamation
20    District, the Chicago Transit Authority, or the housing
21    authority pursuant to a court order or order of an
22    administrative hearing officer after the exhaustion of, or
23    the failure to exhaust, judicial review;
24        20. The board is encouraged to employ a sufficient
25    number of certified school counselors to maintain a
26    student/counselor ratio of 250 to 1 by July 1, 1990. Each

 

 

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1    counselor shall spend at least 75% of his work time in
2    direct contact with students and shall maintain a record
3    of such time;
4        21. To make available to students vocational and
5    career counseling and to establish 5 special career
6    counseling days for students and parents. On these days
7    representatives of local businesses and industries shall
8    be invited to the school campus and shall inform students
9    of career opportunities available to them in the various
10    businesses and industries. Special consideration shall be
11    given to counseling minority students as to career
12    opportunities available to them in various fields. For the
13    purposes of this paragraph, minority student means a
14    person who is any of the following:
15        (a) American Indian or Alaska Native (a person having
16    origins in any of the original peoples of North and South
17    America, including Central America, and who maintains
18    tribal affiliation or community attachment).
19        (b) Asian (a person having origins in any of the
20    original peoples of the Far East, Southeast Asia, or the
21    Indian subcontinent, including, but not limited to,
22    Cambodia, China, India, Japan, Korea, Malaysia, Pakistan,
23    the Philippine Islands, Thailand, and Vietnam).
24        (c) Black or African American (a person having origins
25    in any of the black racial groups of Africa). Terms such as
26    "Haitian" or "Negro" can be used in addition to "Black or

 

 

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1    African American".
2        (d) Hispanic or Latino (a person of Cuban, Mexican,
3    Puerto Rican, South or Central American, or other Spanish
4    culture or origin, regardless of race).
5        (e) Native Hawaiian or Other Pacific Islander (a
6    person having origins in any of the original peoples of
7    Hawaii, Guam, Samoa, or other Pacific Islands).
8        Counseling days shall not be in lieu of regular school
9    days;
10        22. To report to the State Board of Education the
11    annual student dropout rate and number of students who
12    graduate from, transfer from, or otherwise leave bilingual
13    programs;
14        23. Except as otherwise provided in the Abused and
15    Neglected Child Reporting Act or other applicable State or
16    federal law, to permit school officials to withhold, from
17    any person, information on the whereabouts of any child
18    removed from school premises when the child has been taken
19    into protective custody as a victim of suspected child
20    abuse. School officials shall direct such person to the
21    Department of Children and Family Services, or to the
22    local law enforcement agency, if appropriate;
23        24. To develop a policy, based on the current state of
24    existing school facilities, projected enrollment, and
25    efficient utilization of available resources, for capital
26    improvement of schools and school buildings within the

 

 

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1    district, addressing in that policy both the relative
2    priority for major repairs, renovations, and additions to
3    school facilities, and the advisability or necessity of
4    building new school facilities or closing existing schools
5    to meet current or projected demographic patterns within
6    the district;
7        25. To make available to the students in every high
8    school attendance center the ability to take all courses
9    necessary to comply with the Board of Higher Education's
10    college entrance criteria effective in 1993;
11        26. To encourage mid-career changes into the teaching
12    profession, whereby qualified professionals become
13    certified teachers, by allowing credit for professional
14    employment in related fields when determining point of
15    entry on the teacher pay scale;
16        27. To provide or contract out training programs for
17    administrative personnel and principals with revised or
18    expanded duties pursuant to this Code Act in order to
19    ensure assure they have the knowledge and skills to
20    perform their duties;
21        28. To establish a fund for the prioritized special
22    needs programs, and to allocate such funds and other lump
23    sum amounts to each attendance center in a manner
24    consistent with the provisions of part 4 of Section
25    34-2.3. Nothing in this paragraph shall be construed to
26    require any additional appropriations of State funds for

 

 

SB2435- 1000 -LRB102 04062 AMC 14078 b

1    this purpose;
2        29. (Blank);
3        30. Notwithstanding any other provision of this Act or
4    any other law to the contrary, to contract with third
5    parties for services otherwise performed by employees,
6    including those in a bargaining unit, and to layoff those
7    employees upon 14 days written notice to the affected
8    employees. Those contracts may be for a period not to
9    exceed 5 years and may be awarded on a system-wide basis.
10    The board may not operate more than 30 contract schools,
11    provided that the board may operate an additional 5
12    contract turnaround schools pursuant to item (5.5) of
13    subsection (d) of Section 34-8.3 of this Code, and the
14    governing bodies of contract schools are subject to the
15    Freedom of Information Act and Open Meetings Act;
16        31. To promulgate rules establishing procedures
17    governing the layoff or reduction in force of employees
18    and the recall of such employees, including, but not
19    limited to, criteria for such layoffs, reductions in force
20    or recall rights of such employees and the weight to be
21    given to any particular criterion. Such criteria shall
22    take into account factors, including, but not be limited
23    to, qualifications, certifications, experience,
24    performance ratings or evaluations, and any other factors
25    relating to an employee's job performance;
26        32. To develop a policy to prevent nepotism in the

 

 

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1    hiring of personnel or the selection of contractors;
2        33. (Blank); and
3        34. To establish a Labor Management Council to the
4    board comprised of representatives of the board, the chief
5    executive officer, and those labor organizations that are
6    the exclusive representatives of employees of the board
7    and to promulgate policies and procedures for the
8    operation of the Council.
9    The specifications of the powers herein granted are not to
10be construed as exclusive, but the board shall also exercise
11all other powers that they may be requisite or proper for the
12maintenance and the development of a public school system, not
13inconsistent with the other provisions of this Article or
14provisions of this Code which apply to all school districts.
15    In addition to the powers herein granted and authorized to
16be exercised by the board, it shall be the duty of the board to
17review or to direct independent reviews of special education
18expenditures and services. The board shall file a report of
19such review with the General Assembly on or before May 1, 1990.
20(Source: P.A. 100-465, eff. 8-31-17; 100-1046, eff. 8-23-18;
21101-12, eff. 7-1-19; 101-88, eff. 1-1-20; revised 8-19-19.)
 
22    (105 ILCS 5/34-18.11)  (from Ch. 122, par. 34-18.11)
23    Sec. 34-18.11. Tobacco prohibition. The Board of Education
24shall prohibit the use of tobacco on school property when such
25property is being used for any school purposes. Neither the

 

 

SB2435- 1002 -LRB102 04062 AMC 14078 b

1board nor the local school council may authorize or permit any
2exception to or exemption from the prohibition at any place or
3at any time, including without limitation outside of school
4buildings or before or after the regular school day or on days
5when school is not in session. "School purposes" include but
6are not limited to all events or activities or other use of
7school property that the school board or school officials
8authorize or permit on school property, including without
9limitation all interscholastic or extracurricular athletic,
10academic or other events sponsored by the school board or in
11which pupils of the district participate. For purposes of this
12Section "tobacco" shall mean a cigarette, a cigar, or tobacco
13in any other form, including smokeless tobacco which is any
14loose, cut, shredded, ground, powdered, compressed or leaf
15tobacco that is intended to be placed in the mouth without
16being smoked.
17(Source: P.A. 89-181, eff. 7-19-95; revised 8-21-20.)
 
18    (105 ILCS 5/34-18.61)
19    Sec. 34-18.61. Self-administration of Self-administrating
20medication.
21    (a) In this Section, "asthma action plan" has the meaning
22given to that term under Section 22-30.
23    (b) Notwithstanding any other provision of law, the school
24district must allow any student with an asthma action plan, an
25Individual Health Care Action Plan, an Illinois Food Allergy

 

 

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1Emergency Action Plan and Treatment Authorization Form, a plan
2pursuant to Section 504 of the federal Rehabilitation Act of
31973, or a plan pursuant to the federal Individuals with
4Disabilities Education Act to self-administer any medication
5required under those plans if the student's parent or guardian
6provides the school district with (i) written permission for
7the student's self-administration of medication and (ii)
8written authorization from the student's physician, physician
9assistant, or advanced practice registered nurse for the
10student to self-administer the medication. A parent or
11guardian must also provide to the school district the
12prescription label for the medication, which must contain the
13name of the medication, the prescribed dosage, and the time or
14times at which or the circumstances under which the medication
15is to be administered. Information received by the school
16district under this subsection shall be kept on file in the
17office of the school nurse or, in the absence of a school
18nurse, the school's administrator.
19    (c) The school district must adopt an emergency action
20plan for a student who self-administers medication under
21subsection (b). The plan must include both of the following:
22        (1) A plan of action in the event a student is unable
23    to self-administer medication.
24        (2) The situations in which a school must call 9-1-1.
25    (d) The school district and its employees and agents shall
26incur no liability, except for willful and wanton conduct, as

 

 

SB2435- 1004 -LRB102 04062 AMC 14078 b

1a result of any injury arising from the self-administration of
2medication by a student under subsection (b). The student's
3parent or guardian must sign a statement to this effect, which
4must acknowledge that the parent or guardian must indemnify
5and hold harmless the school district and its employees and
6agents against any claims, except a claim based on willful and
7wanton conduct, arising out of the self-administration of
8medication by a student.
9(Source: P.A. 101-205, eff. 1-1-20; revised 10-21-19.)
 
10    (105 ILCS 5/34-18.62)
11    Sec. 34-18.62 34-18.61. Policy on sexual harassment. The
12school district must create, maintain, and implement an
13age-appropriate policy on sexual harassment that must be
14posted on the school district's website and, if applicable,
15any other area where policies, rules, and standards of conduct
16are currently posted in each school and must also be included
17in the school district's student code of conduct handbook.
18(Source: P.A. 101-418, eff. 1-1-20; revised 10-21-19.)
 
19    (105 ILCS 5/34-18.63)
20    Sec. 34-18.63 34-18.61. Class size reporting. No later
21than November 16, 2020, and annually thereafter, the school
22district must report to the State Board of Education
23information on the school district described under subsection
24(b) of Section 2-3.136a and must make that information

 

 

SB2435- 1005 -LRB102 04062 AMC 14078 b

1available on its website.
2(Source: P.A. 101-451, eff. 1-1-20; revised 10-21-19.)
 
3    (105 ILCS 5/34-18.64)
4    Sec. 34-18.64 34-18.61. Sexual abuse investigations at
5schools. Every 2 years, the school district must review all
6existing policies and procedures concerning sexual abuse
7investigations at schools to ensure consistency with Section
822-85.
9(Source: P.A. 101-531, eff. 8-23-19; revised 10-21-19.)
 
10    (105 ILCS 5/34-18.65)
11    Sec. 34-18.65 34-18.61. Door security locking means.
12    (a) In this Section, "door security locking means" means a
13door locking means intended for use by a trained school
14district employee in a school building for the purpose of
15preventing ingress through a door of the building.
16    (b) The school district may install a door security
17locking means on a door of a school building to prevent
18unwanted entry through the door if all of the following
19requirements are met:
20        (1) The door security locking means can be engaged
21    without opening the door.
22        (2) The unlocking and unlatching of the door security
23    locking means from the occupied side of the door can be
24    accomplished without the use of a key or tool.

 

 

SB2435- 1006 -LRB102 04062 AMC 14078 b

1        (3) The door security locking means complies with all
2    applicable State and federal accessibility requirements.
3        (4) Locks, if remotely engaged, can be unlocked from
4    the occupied side.
5        (5) The door security locking means is capable of
6    being disengaged from the outside by school district
7    employees, and school district employees may use a key or
8    other credentials to unlock the door from the outside.
9        (6) The door security locking means does not modify
10    the door-closing hardware, panic hardware, or fire exit
11    hardware.
12        (7) Any bolts, stops, brackets, or pins employed by
13    the door security locking means do not affect the fire
14    rating of a fire door assembly.
15        (8) School district employees are trained in the
16    engagement and release of the door security locking means,
17    from within and outside the room, as part of the emergency
18    response plan.
19        (9) For doors installed before July 1, 2019 only, the
20    unlocking and unlatching of a door security locking means
21    requires no more than 2 releasing operations. For doors
22    installed on or after July 1, 2019, the unlocking and
23    unlatching of a door security locking means requires no
24    more than one releasing operation. If doors installed
25    before July 1, 2019 are replaced on or after July 1, 2019,
26    the unlocking and unlatching of a door security locking

 

 

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1    means on the replacement door requires no more than one
2    releasing operation.
3        (10) The door security locking means is no more than
4    48 inches above the finished floor.
5        (11) The door security locking means otherwise
6    complies with the school building code prepared by the
7    State Board of Education under Section 2-3.12.
8    The school district may install a door security locking
9means that does not comply with paragraph (3) or (10) of this
10subsection if (i) the school district meets all other
11requirements under this subsection and (ii) prior to its
12installation, local law enforcement officials, the local fire
13department, and the board agree, in writing, to the
14installation and use of the door security locking means. The
15school district must keep the agreement on file and must, upon
16request, provide the agreement to the State Board of
17Education. The agreement must be included in the school
18district's filed school safety plan under the School Safety
19Drill Act.
20    (c) The school district must include the location of any
21door security locking means and must address the use of the
22locking and unlocking means from within and outside the room
23in its filed school safety plan under the School Safety Drill
24Act. Local law enforcement officials and the local fire
25department must be notified of the location of any door
26security locking means and how to disengage it. Any specific

 

 

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1tool needed to disengage the door security locking means from
2the outside of the room must, upon request, be made available
3to local law enforcement officials and the local fire
4department.
5    (d) A door security locking means may be used only (i) by a
6school district employee trained under subsection (e), (ii)
7during an emergency that threatens the health and safety of
8students and employees or during an active shooter drill, and
9(iii) when local law enforcement officials and the local fire
10department have been notified of its installation prior to its
11use. The door security locking means must be engaged for a
12finite period of time in accordance with the school district's
13school safety plan adopted under the School Safety Drill Act.
14    (e) If the school district installs a door security
15locking means, it must conduct an in-service training program
16for school district employees on the proper use of the door
17security locking means. The school district shall keep a file
18verifying the employees who have completed the program and
19must, upon request, provide the file to the local fire
20department and local law enforcement agency.
21    (f) A door security locking means that requires 2
22releasing operations must be discontinued from use when the
23door is replaced or is a part of new construction. Replacement
24and new construction door hardware must include mortise locks,
25compliant with the applicable building code, and must be
26lockable from the occupied side without opening the door.

 

 

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1However, mortise locks are not required if panic hardware or
2fire exit hardware is required.
3(Source: P.A. 101-548, eff. 8-23-19; revised 10-21-19.)
 
4    Section 355. The Illinois School Student Records Act is
5amended by changing Section 2 as follows:
 
6    (105 ILCS 10/2)  (from Ch. 122, par. 50-2)
7    Sec. 2. As used in this Act: ,
8    (a) "Student" means any person enrolled or previously
9enrolled in a school.
10    (b) "School" means any public preschool, day care center,
11kindergarten, nursery, elementary or secondary educational
12institution, vocational school, special educational facility
13or any other elementary or secondary educational agency or
14institution and any person, agency or institution which
15maintains school student records from more than one school,
16but does not include a private or non-public school.
17    (c) "State Board" means the State Board of Education.
18    (d) "School Student Record" means any writing or other
19recorded information concerning a student and by which a
20student may be individually identified, maintained by a school
21or at its direction or by an employee of a school, regardless
22of how or where the information is stored. The following shall
23not be deemed school student records under this Act: writings
24or other recorded information maintained by an employee of a

 

 

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1school or other person at the direction of a school for his or
2her exclusive use; provided that all such writings and other
3recorded information are destroyed not later than the
4student's graduation or permanent withdrawal from the school;
5and provided further that no such records or recorded
6information may be released or disclosed to any person except
7a person designated by the school as a substitute unless they
8are first incorporated in a school student record and made
9subject to all of the provisions of this Act. School student
10records shall not include information maintained by law
11enforcement professionals working in the school.
12    (e) "Student Permanent Record" means the minimum personal
13information necessary to a school in the education of the
14student and contained in a school student record. Such
15information may include the student's name, birth date,
16address, grades and grade level, parents' names and addresses,
17attendance records, and such other entries as the State Board
18may require or authorize.
19    (f) "Student Temporary Record" means all information
20contained in a school student record but not contained in the
21student permanent record. Such information may include family
22background information, intelligence test scores, aptitude
23test scores, psychological and personality test results,
24teacher evaluations, and other information of clear relevance
25to the education of the student, all subject to regulations of
26the State Board. The information shall include information

 

 

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1provided under Section 8.6 of the Abused and Neglected Child
2Reporting Act and information contained in service logs
3maintained by a local education agency under subsection (d) of
4Section 14-8.02f of the School Code. In addition, the student
5temporary record shall include information regarding serious
6disciplinary infractions that resulted in expulsion,
7suspension, or the imposition of punishment or sanction. For
8purposes of this provision, serious disciplinary infractions
9means: infractions involving drugs, weapons, or bodily harm to
10another.
11    (g) "Parent" means a person who is the natural parent of
12the student or other person who has the primary responsibility
13for the care and upbringing of the student. All rights and
14privileges accorded to a parent under this Act shall become
15exclusively those of the student upon his 18th birthday,
16graduation from secondary school, marriage or entry into
17military service, whichever occurs first. Such rights and
18privileges may also be exercised by the student at any time
19with respect to the student's permanent school record.
20(Source: P.A. 101-515, eff. 8-23-19; revised 12-3-19.)
 
21    Section 360. The Education for Homeless Children Act is
22amended by changing Section 1-10 as follows:
 
23    (105 ILCS 45/1-10)
24    Sec. 1-10. Choice of schools. (a) When a child loses

 

 

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1permanent housing and becomes a homeless person within the
2meaning of Section 1-5, or when a homeless child changes his or
3her temporary living arrangements, the parents or guardians of
4the homeless child shall have the option of either:
5        (1) continuing the child's education in the school of
6    origin for as long as the child remains homeless or, if the
7    child becomes permanently housed, until the end of the
8    academic year during which the housing is acquired; or
9        (2) enrolling the child in any school that nonhomeless
10    students who live in the attendance area in which the
11    child or youth is actually living are eligible to attend.
12(Source: P.A. 100-201, eff. 8-18-17; revised 7-16-19.)
 
13    Section 365. The Student Online Personal Protection Act is
14amended by changing Section 27 as follows:
 
15    (105 ILCS 85/27)
16    (This Section may contain text from a Public Act with a
17delayed effective date)
18    Sec. 27. School duties.
19    (a) Each school shall post and maintain on its website or,
20if the school does not maintain a website, make available for
21inspection by the general public at its administrative office
22all of the following information:
23        (1) An explanation, that is clear and understandable
24    by a layperson, of the data elements of covered

 

 

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1    information that the school collects, maintains, or
2    discloses to any person, entity, third party, or
3    governmental agency. The information must explain how the
4    school uses, to whom or what entities it discloses, and
5    for what purpose it discloses the covered information.
6        (2) A list of operators that the school has written
7    agreements with, a copy of each written agreement, and a
8    business address for each operator. A copy of a written
9    agreement posted or made available by a school under this
10    paragraph may contain redactions, as provided under
11    subparagraph (F) of paragraph (4) of Section 15.
12        (3) For each operator, a list of any subcontractors to
13    whom covered information may be disclosed or a link to a
14    page on the operator's website that clearly lists that
15    information, as provided by the operator to the school
16    under paragraph (6) of Section 15.
17        (4) A written description of the procedures that a
18    parent may use to carry out the rights enumerated under
19    Section 33.
20        (5) A list of any breaches of covered information
21    maintained by the school or breaches under Section 15 that
22    includes, but is not limited to, all of the following
23    information:
24            (A) The number of students whose covered
25        information is involved in the breach, unless
26        disclosing that number would violate the provisions of

 

 

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1        the Personal Information Protection Act.
2            (B) The date, estimated date, or estimated date
3        range of the breach.
4            (C) For a breach under Section 15, the name of the
5        operator.
6        The school may omit from the list required under this
7    paragraph (5): (i) any breach in which, to the best of the
8    school's knowledge at the time of updating the list, the
9    number of students whose covered information is involved
10    in the breach is less than 10% of the school's enrollment,
11    (ii) any breach in which, at the time of posting the list,
12    the school is not required to notify the parent of a
13    student under subsection (d), (iii) any breach in which
14    the date, estimated date, or estimated date range in which
15    it occurred is earlier than July 1, 2021, or (iv) any
16    breach previously posted on a list under this paragraph
17    (5) no more than 5 years prior to the school updating the
18    current list.
19    The school must, at a minimum, update the items under
20paragraphs (1), (3), (4), and (5) no later than 30 calendar
21days following the start of a fiscal year and no later than 30
22days following the beginning of a calendar year.
23    (b) Each school must adopt a policy for designating which
24school employees are authorized to enter into written
25agreements with operators. This subsection may not be
26construed to limit individual school employees outside of the

 

 

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1scope of their employment from entering into agreements with
2operators on their own behalf and for non-K through 12 school
3purposes, provided that no covered information is provided to
4the operators. Any agreement or contract entered into in
5violation of this Act is void and unenforceable as against
6public policy.
7    (c) A school must post on its website or, if the school
8does not maintain a website, make available at its
9administrative office for inspection by the general public
10each written agreement entered into under this Act, along with
11any information required under subsection (a), no later than
1210 business days after entering into the agreement.
13    (d) After receipt of notice of a breach under Section 15 or
14determination of a breach of covered information maintained by
15the school, a school shall notify, no later than 30 calendar
16days after receipt of the notice or determination that a
17breach has occurred, the parent of any student whose covered
18information is involved in the breach. The notification must
19include, but is not limited to, all of the following:
20        (1) The date, estimated date, or estimated date range
21    of the breach.
22        (2) A description of the covered information that was
23    compromised or reasonably believed to have been
24    compromised in the breach.
25        (3) Information that the parent may use to contact the
26    operator and school to inquire about the breach.

 

 

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1        (4) The toll-free numbers, addresses, and websites for
2    consumer reporting agencies.
3        (5) The toll-free number, address, and website for the
4    Federal Trade Commission.
5        (6) A statement that the parent may obtain information
6    from the Federal Trade Commission and consumer reporting
7    agencies about fraud alerts and security freezes.
8    A notice of breach required under this subsection may be
9delayed if an appropriate law enforcement agency determines
10that the notification will interfere with a criminal
11investigation and provides the school with a written request
12for a delay of notice. A school must comply with the
13notification requirements as soon as the notification will no
14longer interfere with the investigation.
15    (e) Each school must implement and maintain reasonable
16security procedures and practices that otherwise meet or
17exceed industry standards designed to protect covered
18information from unauthorized access, destruction, use,
19modification, or disclosure. Any written agreement under which
20the disclosure of covered information between the school and a
21third party takes place must include a provision requiring the
22entity to whom the covered information is disclosed to
23implement and maintain reasonable security procedures and
24practices that otherwise meet or exceed industry standards
25designed to protect covered information from unauthorized
26access, destruction, use, modification, or disclosure. The

 

 

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1State Board must make available on its website a guidance
2document for schools pertaining to reasonable security
3procedures and practices under this subsection.
4    (f) Each school may designate an appropriate staff person
5as a privacy officer, who may also be an official records
6custodian as designated under the Illinois School Student
7Records Act, to carry out the duties and responsibilities
8assigned to schools and to ensure compliance with the
9requirements of this Section and Section 26.
10    (g) A school shall make a request, pursuant to paragraph
11(2) of Section 15, to an operator to delete covered
12information on behalf of a student's parent if the parent
13requests from the school that the student's covered
14information held by the operator be deleted, so long as the
15deletion of the covered information is not in violation of
16State or federal records laws.
17    (h) This Section does not apply to nonpublic schools.
18(Source: P.A. 101-516, eff. 7-1-21; revised 12-3-19.)
 
19    Section 370. The Critical Health Problems and
20Comprehensive Health Education Act is amended by changing
21Section 3 as follows:
 
22    (105 ILCS 110/3)
23    Sec. 3. Comprehensive Health Education Program. The
24program established under this Act shall include, but not be

 

 

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1limited to, the following major educational areas as a basis
2for curricula in all elementary and secondary schools in this
3State: human ecology and health, human growth and development,
4the emotional, psychological, physiological, hygienic, and
5social responsibilities of family life, including sexual
6abstinence until marriage, the prevention and control of
7disease, including instruction in grades 6 through 12 on the
8prevention, transmission, and spread of AIDS, age-appropriate
9sexual abuse and assault awareness and prevention education in
10grades pre-kindergarten through 12, public and environmental
11health, consumer health, safety education and disaster
12survival, mental health and illness, personal health habits,
13alcohol and , drug use, and abuse, including the medical and
14legal ramifications of alcohol, drug, and tobacco use, abuse
15during pregnancy, evidence-based and medically accurate
16information regarding sexual abstinence, tobacco, nutrition,
17and dental health. The instruction on mental health and
18illness must evaluate the multiple dimensions of health by
19reviewing the relationship between physical and mental health
20so as to enhance student understanding, attitudes, and
21behaviors that promote health, well-being, and human dignity.
22The program shall also provide course material and instruction
23to advise pupils of the Abandoned Newborn Infant Protection
24Act. The program shall include information about cancer,
25including, without limitation, types of cancer, signs and
26symptoms, risk factors, the importance of early prevention and

 

 

SB2435- 1019 -LRB102 04062 AMC 14078 b

1detection, and information on where to go for help.
2Notwithstanding the above educational areas, the following
3areas may also be included as a basis for curricula in all
4elementary and secondary schools in this State: basic first
5aid (including, but not limited to, cardiopulmonary
6resuscitation and the Heimlich maneuver), heart disease,
7diabetes, stroke, the prevention of child abuse, neglect, and
8suicide, and teen dating violence in grades 7 through 12.
9Beginning with the 2014-2015 school year, training on how to
10properly administer cardiopulmonary resuscitation (which
11training must be in accordance with standards of the American
12Red Cross, the American Heart Association, or another
13nationally recognized certifying organization) and how to use
14an automated external defibrillator shall be included as a
15basis for curricula in all secondary schools in this State.
16    The school board of each public elementary and secondary
17school in the State shall encourage all teachers and other
18school personnel to acquire, develop, and maintain the
19knowledge and skills necessary to properly administer
20life-saving techniques, including, without limitation, the
21Heimlich maneuver and rescue breathing. The training shall be
22in accordance with standards of the American Red Cross, the
23American Heart Association, or another nationally recognized
24certifying organization. A school board may use the services
25of non-governmental entities whose personnel have expertise in
26life-saving techniques to instruct teachers and other school

 

 

SB2435- 1020 -LRB102 04062 AMC 14078 b

1personnel in these techniques. Each school board is encouraged
2to have in its employ, or on its volunteer staff, at least one
3person who is certified, by the American Red Cross or by
4another qualified certifying agency, as qualified to
5administer first aid and cardiopulmonary resuscitation. In
6addition, each school board is authorized to allocate
7appropriate portions of its institute or inservice days to
8conduct training programs for teachers and other school
9personnel who have expressed an interest in becoming qualified
10to administer emergency first aid or cardiopulmonary
11resuscitation. School boards are urged to encourage their
12teachers and other school personnel who coach school athletic
13programs and other extracurricular school activities to
14acquire, develop, and maintain the knowledge and skills
15necessary to properly administer first aid and cardiopulmonary
16resuscitation in accordance with standards and requirements
17established by the American Red Cross or another qualified
18certifying agency. Subject to appropriation, the State Board
19of Education shall establish and administer a matching grant
20program to pay for half of the cost that a school district
21incurs in training those teachers and other school personnel
22who express an interest in becoming qualified to administer
23cardiopulmonary resuscitation (which training must be in
24accordance with standards of the American Red Cross, the
25American Heart Association, or another nationally recognized
26certifying organization) or in learning how to use an

 

 

SB2435- 1021 -LRB102 04062 AMC 14078 b

1automated external defibrillator. A school district that
2applies for a grant must demonstrate that it has funds to pay
3half of the cost of the training for which matching grant money
4is sought. The State Board of Education shall award the grants
5on a first-come, first-serve basis.
6    No pupil shall be required to take or participate in any
7class or course on AIDS or family life instruction or to
8receive training on how to properly administer cardiopulmonary
9resuscitation or how to use an automated external
10defibrillator if his or her parent or guardian submits written
11objection thereto, and refusal to take or participate in the
12course or program or the training shall not be reason for
13suspension or expulsion of the pupil.
14    Curricula developed under programs established in
15accordance with this Act in the major educational area of
16alcohol and drug use and abuse shall include classroom
17instruction in grades 5 through 12. The instruction, which
18shall include matters relating to both the physical and legal
19effects and ramifications of drug and substance abuse, shall
20be integrated into existing curricula; and the State Board of
21Education shall develop and make available to all elementary
22and secondary schools in this State instructional materials
23and guidelines which will assist the schools in incorporating
24the instruction into their existing curricula. In addition,
25school districts may offer, as part of existing curricula
26during the school day or as part of an after school program,

 

 

SB2435- 1022 -LRB102 04062 AMC 14078 b

1support services and instruction for pupils or pupils whose
2parent, parents, or guardians are chemically dependent.
3(Source: P.A. 101-305, eff. 1-1-20; revised 8-21-20.)
 
4    Section 375. The Dual Credit Quality Act is amended by
5changing Section 20 as follows:
 
6    (110 ILCS 27/20)
7    Sec. 20. Standards. All institutions offering dual credit
8courses shall meet the following standards:
9        (1) High school instructors teaching credit-bearing
10    college-level courses for dual credit must meet any of the
11    academic credential requirements set forth in this
12    paragraph or paragraph (1), (2), or (3) of this Section
13    and need not meet higher certification requirements or
14    those set out in Article 21B of the School Code:
15            (A) Approved instructors of dual credit courses
16        shall meet any of the faculty credential standards
17        allowed by the Higher Learning Commission to determine
18        minimally qualified faculty. At the request of an
19        instructor, an instructor who meets these credential
20        standards shall be provided by the State Board of
21        Education with a Dual Credit Endorsement, to be placed
22        on the professional educator license, as established
23        by the State Board of Education and as authorized
24        under Article 21B of the School Code and promulgated

 

 

SB2435- 1023 -LRB102 04062 AMC 14078 b

1        through administrative rule in cooperation with the
2        Illinois Community College Board and the Board of
3        Higher Education.
4            (B) An instructor who does not meet the faculty
5        credential standards allowed by the Higher Learning
6        Commission to determine minimally qualified faculty
7        may teach dual credit courses if the instructor has a
8        professional development plan, approved by the
9        institution and shared with the State Board of
10        Education, within 4 years of January 1, 2019 (the
11        effective date of Public Act 100-1049) this amendatory
12        Act of the 100th General Assembly, to raise his or her
13        credentials to be in line with the credentials under
14        subparagraph (A) of this paragraph (1). The
15        institution shall have 30 days to review the plan and
16        approve an instructor professional development plan
17        that is in line with the credentials set forth in
18        paragraph (2) of this Section. The institution shall
19        not unreasonably withhold approval of a professional
20        development plan. These approvals shall be good for as
21        long as satisfactory progress toward the completion of
22        the credential is demonstrated, but in no event shall
23        a professional development plan be in effect for more
24        than 3 years from the date of its approval. A high
25        school instructor whose professional development plan
26        is not approved by the institution may appeal to the

 

 

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1        Illinois Community College Board or the Board of
2        Higher Education, as appropriate.
3            (C) The Illinois Community College Board shall
4        report yearly on its Internet website the number of
5        teachers who have approved professional development
6        plans under this Section.
7        (2) A high school instructor shall qualify for a
8    professional development plan if the instructor:
9            (A) has a master's degree in any discipline and
10        has earned 9 graduate hours in a discipline in which he
11        or she is currently teaching or expects to teach; or
12            (B) has a bachelor's degree with a minimum of 18
13        graduate hours in a discipline that he or she is
14        currently teaching or expects to teach and is enrolled
15        in a discipline-specific master's degree program; and
16            (C) agrees to demonstrate his or her progress
17        toward completion to the supervising institution, as
18        outlined in the professional development plan.
19        (3) An instructor in career and technical education
20    courses must possess the credentials and demonstrated
21    teaching competencies appropriate to the field of
22    instruction.
23        (4) Course content must be equivalent to
24    credit-bearing college-level courses offered at the
25    community college.
26        (5) Learning outcomes must be the same as

 

 

SB2435- 1025 -LRB102 04062 AMC 14078 b

1    credit-bearing college-level courses and be appropriately
2    measured.
3        (6) A high school instructor is expected to
4    participate in any orientation developed by the
5    institution for dual credit instructors in course
6    curriculum, assessment methods, and administrative
7    requirements.
8        (7) Dual credit instructors must be given the
9    opportunity to participate in all activities available to
10    other adjunct faculty, including professional development,
11    seminars, site visits, and internal communication,
12    provided that such opportunities do not interfere with an
13    instructor's regular teaching duties.
14        (8) Every dual credit course must be reviewed annually
15    by faculty through the appropriate department to ensure
16    consistency with campus courses.
17        (9) Dual credit students must be assessed using
18    methods consistent with students in traditional
19    credit-bearing college courses.
20(Source: P.A. 100-1049, eff. 1-1-19; revised 7-16-19.)
 
21    Section 380. The Higher Education Veterans Service Act is
22amended by changing Section 15 as follows:
 
23    (110 ILCS 49/15)
24    Sec. 15. Survey; coordinator; best practices report; best

 

 

SB2435- 1026 -LRB102 04062 AMC 14078 b

1efforts.
2    (a) All public colleges and universities shall, within 60
3days after the effective date of this Act, conduct a survey of
4the services and programs that are provided for veterans,
5active duty military personnel, and their families, at each of
6their respective campuses. This survey shall enumerate and
7fully describe the service or program that is available, the
8number of veterans or active duty personnel using the service
9or program, an estimated range for potential use within a
105-year and 10-year period, information on the location of the
11service or program, and how its administrators may be
12contacted. The survey shall indicate the manner or manners in
13which a student veteran may avail himself or herself of the
14program's services. This survey must be made available to all
15veterans matriculating at the college or university in the
16form of an orientation-related guidebook.
17    Each public college and university shall make the survey
18available on the homepage of all campus Internet links as soon
19as practical after the completion of the survey. As soon as
20possible after the completion of the survey, each public
21college and university shall provide a copy of its survey to
22the following:
23        (1) the Board of Higher Education;
24        (2) the Department of Veterans' Affairs;
25        (3) the President and Minority Leader of the Senate
26    and the Speaker and Minority Leader of the House of

 

 

SB2435- 1027 -LRB102 04062 AMC 14078 b

1    Representatives; and
2        (4) the Governor.
3    (b) Each public college and university shall, at its
4discretion, (i) appoint, within 6 months after the effective
5date of this Act, an existing employee or (ii) hire a new
6employee to serve as a Coordinator of Veterans and Military
7Personnel Student Services on each campus of the college or
8university that has an onsite, daily, full-time student
9headcount above 1,000 students.
10    The Coordinator of Veterans and Military Personnel Student
11Services shall be an ombudsperson serving the specific needs
12of student veterans and military personnel and their families
13and shall serve as an advocate before the administration of
14the college or university for the needs of student veterans.
15The college or university shall enable the Coordinator of
16Veterans and Military Personnel Student Services to
17communicate directly with the senior executive administration
18of the college or university periodically. The college or
19university shall retain unfettered discretion to determine the
20organizational management structure of its institution.
21    In addition to any responsibilities the college or
22university may assign, the Coordinator of Veterans and
23Military Personnel Student Services shall make its best
24efforts to create a centralized source for student veterans
25and military personnel to learn how to receive all benefit
26programs and services for which they are eligible.

 

 

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1    Each college and university campus that is required to
2have a Coordinator of Veterans and Military Personnel Student
3Services shall regularly and conspicuously advertise the
4office location and , phone number of , and Internet access to
5the Coordinator of Veterans and Military Personnel Student
6Services, along with a brief summary of the manner in which he
7or she can assist student veterans. The advertisement shall
8include, but is not necessarily limited to, the following:
9        (1) advertisements on each campus' Internet home page;
10    and
11        (2) any promotional mailings for student application.
12    The Coordinator of Veterans and Military Personnel Student
13Services shall facilitate other campus offices with the
14promotion of programs and services that are available.
15    (c) Upon receipt of all of the surveys under subsection
16(a) of this Section, the Board of Higher Education and the
17Department of Veterans' Affairs shall conduct a joint review
18of the surveys and post, on any Internet home page they may
19operate, a link to each survey as posted on the Internet
20website for the college or university. Upon receipt of all of
21the surveys, the Office of the Governor, through its military
22affairs advisors, shall similarly conduct a review of the
23surveys and post the surveys on its Internet website.
24Following its review of the surveys, the Office of the
25Governor shall submit an evaluation report to each college and
26university offering suggestions and insight on the conduct of

 

 

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1student veteran-related policies and programs.
2    (d) The Board of Higher Education and the Department of
3Veterans' Affairs may issue a best practices report to
4highlight those programs and services that are most beneficial
5to veterans and active duty military personnel. The report
6shall contain a fiscal needs assessment in conjunction with
7any program recommendations.
8    (e) Each college and university campus that is required to
9have a Coordinator of Veterans and Military Personnel Student
10Services under subsection (b) of this Section shall make its
11best efforts to create academic and social programs and
12services for veterans and active duty military personnel that
13will provide reasonable opportunities for academic performance
14and success.
15    Each public college and university shall make its best
16efforts to determine how its online educational curricula can
17be expanded or altered to serve the needs of student veterans
18and currently-deployed military, including a determination of
19whether and to what extent the public colleges and
20universities can share existing technologies to improve the
21online curricula of peer institutions, provided such efforts
22are both practically and economically feasible.
23(Source: P.A. 96-133, eff. 8-7-09; revised 7-16-19.)
 
24    Section 385. The Public University Energy Conservation Act
25is amended by changing Section 5 as follows:
 

 

 

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1    (110 ILCS 62/5)
2    Sec. 5. Definitions. In this Act, words and phrases have
3the meanings set forth in the following Sections preceding
4Section 10.
5(Source: P.A. 90-486, eff. 8-17-97; revised 7-16-19.)
 
6    Section 390. The University of Illinois Act is amended by
7setting forth, renumbering, and changing multiple versions of
8Section 105 as follows:
 
9    (110 ILCS 305/105)
10    Sec. 105. Mental health resources. For the 2020-2021
11academic year and for each academic year thereafter, the
12University must make available to its students information on
13all mental health and suicide prevention resources available
14at the University.
15(Source: P.A. 101-217, eff. 1-1-20.)
 
16    (110 ILCS 305/110)
17    Sec. 110 105. Competency-based learning program; notice.
18If the University offers a competency-based learning program,
19it must notify a student if he or she becomes eligible for the
20program.
21(Source: P.A. 101-271, eff. 1-1-20; revised 10-21-19.)
 

 

 

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1    (110 ILCS 305/115)
2    (Section scheduled to be repealed on January 1, 2022)
3    Sec. 115 105. Water rates report.
4    (a) Subject to appropriation, no later than December 1,
52020, the Government Finance Research Center at the University
6of Illinois at Chicago, in coordination with an
7intergovernmental advisory committee, must issue a report
8evaluating the setting of water rates throughout the Lake
9Michigan service area of northeastern Illinois and, no later
10than December 1, 2021, for the remainder of Illinois. The
11report must provide recommendations for policy and regulatory
12needs at the State and local level based on its findings. The
13report shall, at a minimum, address all of the following
14areas:
15        (1) The components of a water bill.
16        (2) Reasons for increases in water rates.
17        (3) The definition of affordability throughout the
18    State and any variances to that definition.
19        (4) Evidence of rate-setting that utilizes
20    inappropriate practices.
21        (5) The extent to which State or local policies drive
22    cost increases or variations in rate-settings.
23        (6) Challenges within economically disadvantaged
24    communities in setting water rates.
25        (7) Opportunities for increased intergovernmental
26    coordination for setting equitable water rates.

 

 

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1    (b) In developing the report under this Section, the
2Government Finance Research Center shall form an advisory
3committee, which shall be composed of all of the following
4members:
5        (1) The Director of the Environmental Protection
6    Agency, or his or her designee.
7        (2) The Director of Natural Resources, or his or her
8    designee.
9        (3) The Director of Commerce and Economic Opportunity,
10    or his or her designee.
11        (4) The Attorney General, or his or her designee.
12        (5) At least 2 members who are representatives of
13    private water utilities operating in Illinois, appointed
14    by the Director of the Government Finance Research Center.
15        (6) At least 4 members who are representatives of
16    municipal water utilities, appointed by the Director of
17    the Government Finance Research Center.
18        (7) One member who is a representative of an
19    environmental justice advocacy organization, appointed by
20    the Director of the Government Finance Research Center.
21        (8) One member who is a representative of a consumer
22    advocacy organization, appointed by the Director of the
23    Government Finance Research Center.
24        (9) One member who is a representative of an
25    environmental planning organization that serves
26    northeastern Illinois, appointed by the Director of the

 

 

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1    Government Finance Research Center.
2        (10) The Director of the Illinois State Water Survey,
3    or his or her designee.
4        (11) The Chairperson of the Illinois Commerce
5    Commission, or his or her designee.
6    (c) After all members are appointed, the committee shall
7hold its first meeting at the call of the Director of the
8Government Finance Research Center, at which meeting the
9members shall select a chairperson from among themselves.
10After its first meeting, the committee shall meet at the call
11of the chairperson. Members of the committee shall serve
12without compensation but may be reimbursed for their
13reasonable and necessary expenses incurred in performing their
14duties. The Government Finance Research Center shall provide
15administrative and other support to the committee.
16    (d) No later than 60 days after August 23, 2019 (the
17effective date of Public Act 101-562) this amendatory Act of
18the 101st General Assembly, the Government Finance Research
19Center must provide an opportunity for public comment on the
20questions to be addressed in the report, the metrics to be
21used, and the recommendations that need to be issued.
22    (e) This Section is repealed on January 1, 2022.
23(Source: P.A. 101-562, eff. 8-23-19; revised 10-21-19.)
 
24    Section 395. The University of Illinois Hospital Act is
25amended by setting forth, renumbering, and changing multiple

 

 

SB2435- 1034 -LRB102 04062 AMC 14078 b

1versions of Section 8b as follows:
 
2    (110 ILCS 330/8b)
3    Sec. 8b. Instruments for taking a pregnant woman's blood
4pressure. The University of Illinois Hospital shall ensure
5that it has the proper instruments available for taking a
6pregnant woman's blood pressure. The Department of Public
7Health shall adopt rules for the implementation of this
8Section.
9(Source: P.A. 101-91, eff. 1-1-20.)
 
10    (110 ILCS 330/8c)
11    Sec. 8c 8b. Closed captioning required. The University of
12Illinois Hospital must make reasonable efforts to have
13activated at all times the closed captioning feature on a
14television in a common area provided for use by the general
15public or in a patient's room or to enable the closed
16captioning feature when requested to do so by a member of the
17general public or a patient if the television includes a
18closed captioning feature.
19    It is not a violation of this Section if the closed
20captioning feature is deactivated by a member of the
21University of Illinois Hospital's staff after such feature is
22enabled in a common area or in a patient's room unless the
23deactivation of the closed captioning feature is knowing or
24intentional. It is not a violation of this Section if the

 

 

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1closed captioning feature is deactivated by a member of the
2general public, a patient, or a member of the University of
3Illinois Hospital's staff at the request of a patient of the
4University of Illinois Hospital.
5    If the University of Illinois Hospital does not have a
6television that includes a closed captioning feature, then the
7University of Illinois Hospital must ensure that all
8televisions obtained for common areas and patient rooms after
9January 1, 2020 (the effective date of Public Act 101-116)
10this amendatory Act of the 101st General Assembly include a
11closed captioning feature. This Section does not affect any
12other provision of law relating to disability discrimination
13or providing reasonable accommodations or diminish the rights
14of a person with a disability under any other law.
15    As used in this Section, "closed captioning" means a text
16display of spoken words presented on a television that allows
17a deaf or hard of hearing viewer to follow the dialogue and the
18action of a program simultaneously.
19(Source: P.A. 101-116, eff. 1-1-20; revised 9-17-19.)
 
20    Section 400. The Southern Illinois University Management
21Act is amended by setting forth and renumbering multiple
22versions of Section 90 as follows:
 
23    (110 ILCS 520/90)
24    Sec. 90. Mental health resources. For the 2020-2021

 

 

SB2435- 1036 -LRB102 04062 AMC 14078 b

1academic year and for each academic year thereafter, the
2University must make available to its students information on
3all mental health and suicide prevention resources available
4at the University.
5(Source: P.A. 101-217, eff. 1-1-20.)
 
6    (110 ILCS 520/95)
7    Sec. 95 90. Competency-based learning program; notice. If
8the University offers a competency-based learning program, it
9must notify a student if he or she becomes eligible for the
10program.
11(Source: P.A. 101-271, eff. 1-1-20; revised 10-8-19.)
 
12    Section 405. The Chicago State University Law is amended
13by setting forth and renumbering multiple versions of Section
145-200 as follows:
 
15    (110 ILCS 660/5-200)
16    Sec. 5-200. Mental health resources. For the 2020-2021
17academic year for and each academic year thereafter, the
18University must make available to its students information on
19all mental health and suicide prevention resources available
20at the University.
21(Source: P.A. 101-217, eff. 1-1-20.)
 
22    (110 ILCS 660/5-205)

 

 

SB2435- 1037 -LRB102 04062 AMC 14078 b

1    Sec. 5-205 5-200. Competency-based learning program;
2notice. If the University offers a competency-based learning
3program, it must notify a student if he or she becomes eligible
4for the program.
5(Source: P.A. 101-271, eff. 1-1-20; revised 10-8-19.)
 
6    Section 410. The Eastern Illinois University Law is
7amended by setting forth and renumbering multiple versions of
8Section 10-200 as follows:
 
9    (110 ILCS 665/10-200)
10    Sec. 10-200. Mental health resources. For the 2020-2021
11academic year and for each academic year thereafter, the
12University must make available to its students information on
13all mental health and suicide prevention resources available
14at the University.
15(Source: P.A. 101-217, eff. 1-1-20.)
 
16    (110 ILCS 665/10-205)
17    Sec. 10-205 10-200. Competency-based learning program;
18notice. If the University offers a competency-based learning
19program, it must notify a student if he or she becomes eligible
20for the program.
21(Source: P.A. 101-271, eff. 1-1-20; revised 10-8-19.)
 
22    Section 415. The Governors State University Law is amended

 

 

SB2435- 1038 -LRB102 04062 AMC 14078 b

1by setting forth and renumbering multiple versions of Section
215-200 as follows:
 
3    (110 ILCS 670/15-200)
4    Sec. 15-200. Mental health resources. For the 2020-2021
5academic year and for each academic year thereafter, the
6University must make available to its students information on
7all mental health and suicide prevention resources available
8at the University.
9(Source: P.A. 101-217, eff. 1-1-20.)
 
10    (110 ILCS 670/15-205)
11    Sec. 15-205 15-200. Competency-based learning program;
12notice. If the University offers a competency-based learning
13program, it must notify a student if he or she becomes eligible
14for the program.
15(Source: P.A. 101-271, eff. 1-1-20; revised 10-8-19.)
 
16    Section 420. The Illinois State University Law is amended
17by setting forth and renumbering multiple versions of Section
1820-205 as follows:
 
19    (110 ILCS 675/20-205)
20    Sec. 20-205. Mental health resources. For the 2020-2021
21academic year and for each academic year thereafter, the
22University must make available to its students information on

 

 

SB2435- 1039 -LRB102 04062 AMC 14078 b

1all mental health and suicide prevention resources available
2at the University.
3(Source: P.A. 101-217, eff. 1-1-20.)
 
4    (110 ILCS 675/20-210)
5    Sec. 20-210 20-205. Competency-based learning program;
6notice. If the University offers a competency-based learning
7program, it must notify a student if he or she becomes eligible
8for the program.
9(Source: P.A. 101-271, eff. 1-1-20; revised 10-8-19.)
 
10    Section 425. The Northeastern Illinois University Law is
11amended by setting forth and renumbering multiple versions of
12Section 25-200 as follows:
 
13    (110 ILCS 680/25-200)
14    Sec. 25-200. Mental health resources. For the 2020-2021
15academic year and for each academic year thereafter, the
16University must make available to its students information on
17all mental health and suicide prevention resources available
18at the University.
19(Source: P.A. 101-217, eff. 1-1-20.)
 
20    (110 ILCS 680/25-205)
21    Sec. 25-205 25-200. Competency-based learning program;
22notice. If the University offers a competency-based learning

 

 

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1program, it must notify a student if he or she becomes eligible
2for the program.
3(Source: P.A. 101-271, eff. 1-1-20; revised 10-8-19.)
 
4    Section 430. The Northern Illinois University Law is
5amended by setting forth and renumbering multiple versions of
6Section 30-210 as follows:
 
7    (110 ILCS 685/30-210)
8    Sec. 30-210. Mental health resources. For the 2020-2021
9academic year and for each academic year thereafter, the
10University must make available to its students information on
11all mental health and suicide prevention resources available
12at the University.
13(Source: P.A. 101-217, eff. 1-1-20.)
 
14    (110 ILCS 685/30-215)
15    Sec. 30-215 30-210. Competency-based learning program;
16notice. If the University offers a competency-based learning
17program, it must notify a student if he or she becomes eligible
18for the program.
19(Source: P.A. 101-271, eff. 1-1-20; revised 10-8-19.)
 
20    Section 435. The Western Illinois University Law is
21amended by setting forth and renumbering multiple versions of
22Section 35-205 as follows:
 

 

 

SB2435- 1041 -LRB102 04062 AMC 14078 b

1    (110 ILCS 690/35-205)
2    Sec. 35-205. Mental health resources. For the 2020-2021
3academic year and for each academic year thereafter, the
4University must make available to its students information on
5all mental health and suicide prevention resources available
6at the University.
7(Source: P.A. 101-217, eff. 1-1-20.)
 
8    (110 ILCS 690/35-210)
9    Sec. 35-210 35-205. Competency-based learning program;
10notice. If the University offers a competency-based learning
11program, it must notify a student if he or she becomes eligible
12for the program.
13(Source: P.A. 101-271, eff. 1-1-20; revised 10-8-19.)
 
14    Section 440. The Public Community College Act is amended
15by changing Sections 2-26 and 3-42.1 as follows:
 
16    (110 ILCS 805/2-26)
17    Sec. 2-26. 21st Century Employment grant program.
18    (a) Subject to appropriation, the State Board shall
19establish and administer a 21st Century Employment grant
20program. To qualify for a grant, a community college district
21and a public high school located in that district must jointly
22establish a collaborative regional partnership with workforce

 

 

SB2435- 1042 -LRB102 04062 AMC 14078 b

1development organizations, including community-based
2organizations with a vested interest in the workforce,
3regional economic development organizations, and economic
4development officials in the district, along with
5manufacturers, healthcare service providers, and innovative
6technology businesses that have a presence in the district, to
7provide a manufacturing training program. A grant recipient
8must provide the State Board with a plan that meets all of the
9following requirements:
10        (1) The plan shall define specific goals that a
11    student must meet upon graduation.
12        (2) The plan shall include the type of professional
13    skills that will be taught in order for the students to
14    gain and retain employment. The professional skills
15    curriculum in the program shall include, but not be
16    limited to, training on all of the following:
17            (A) Effective communication skills.
18            (B) Teamwork.
19            (C) Dependability.
20            (D) Adaptability.
21            (E) Conflict resolution.
22            (F) Flexibility.
23            (G) Leadership.
24            (H) Problem-solving.
25            (I) Research.
26            (J) Creativity.

 

 

SB2435- 1043 -LRB102 04062 AMC 14078 b

1            (K) Work ethic.
2            (L) Integrity.
3        In awarding grants under this Section, the State Board
4    must give priority to plans that demonstrate a formal
5    articulation agreement between a public high school and a
6    community college district.
7        (3) The plan shall include a budget that includes any
8    outside donations, including any in-kind donations, made
9    to help the program, including from non-profit entities
10    and individuals.
11        (4) The plan shall include the proposed number of
12    individuals who would be enrolled in the program, along
13    with the places that those individuals could be employed
14    at after graduation and what industries would be targeted.
15    The plan must support a seamless transition into higher
16    education and career opportunities and must outline the
17    college credit and on-the-job training hours that will
18    transfer from the high school to a community college.
19        (5) The plan shall require a private-public
20    partnership clause that requires private businesses to
21    contribute an amount determined by the State Board and the
22    collaborative regional partnership that does not exceed
23    40% of the amount of the total project. The applicant must
24    provide the State Board with a receipt of contributions
25    from businesses to evidence compliance with this
26    paragraph. However, businesses may contribute equipment or

 

 

SB2435- 1044 -LRB102 04062 AMC 14078 b

1    offer their facilities, in which case a business shall
2    establish a cost of use of its facility, to meet the
3    requirements of this paragraph.
4        (6) The plan shall indicate the certificates that the
5    community college or high school will offer to students
6    upon graduation, as agreed to by the collaborative
7    regional partnership. The community college or high school
8    shall offer no less than 6 types of industry-recognized
9    certificates.
10    (b) The State Board shall establish an advisory board for
11the grant program established under subsection (a) that
12consists of all of the following members:
13        (1) The Director of Commerce and Economic Opportunity.
14        (2) The Executive Director of the State Board.
15        (3) The State Superintendent of Education.
16        (4) The Director of Labor.
17        (5) A senator appointed by the President of the
18    Senate.
19        (6) A senator appointed by the Minority Leader of the
20    Senate.
21        (7) A representative appointed by the Speaker of the
22    House of Representatives.
23        (8) A representative appointed by the Minority Leader
24    of the House of Representatives.
25        (9) A member from a statewide organization that
26    represents manufacturing companies throughout this State,

 

 

SB2435- 1045 -LRB102 04062 AMC 14078 b

1    appointed by the Governor.
2        (10) A member who represents at-risk students,
3    including, but not limited to, opportunity youth,
4    appointed by the Governor.
5        (11) A member from a statewide organization that
6    represents multiple employee unions in this State,
7    appointed by the Governor.
8        (12) A member from a trade union, appointed by the
9    Governor.
10        (13) A member from a statewide organization that
11    represents the business community, appointed by the
12    Governor.
13        (14) A member from a statewide organization that
14    represents service employees in this State, appointed by
15    the Governor.
16        (15) Educators representing various regions of this
17    State from professional teachers' organizations, appointed
18    by the Governor.
19        (16) A member from a statewide organization that
20    represents hospitals in this State, appointed by the
21    Governor.
22        (17) A president of a community college, appointed by
23    the Governor.
24        (18) A district superintendent of a high school
25    district, appointed by the Governor.
26    The members of the advisory board shall serve without

 

 

SB2435- 1046 -LRB102 04062 AMC 14078 b

1compensation but shall be reimbursed for their reasonable and
2necessary expenses from funds appropriated to the State Board
3for that purpose, including travel, subject to the rules of
4the appropriate travel control board.
5    The advisory board shall meet at the call of the State
6Board and shall report to the State Board. The State Board
7shall provide administrative and other support to the advisory
8board.
9    (c) The advisory board established under subsection (b)
10shall have all of the following duties:
11        (1) To review the progress made by each grant
12    recipient, including, but not limited to, the
13    gainful-employment success rate, how many students remain
14    employed for how long, and how many students went on to
15    receive higher manufacturing certificates.
16        (2) To review how many students went on to complete a
17    paid internship or apprenticeship upon graduation.
18        (3) To compile a list of programs offered by each
19    community college or high school.
20        (4) To analyze whether the certificates are closing
21    the gap in education for the current needs of the labor
22    force, and to offer suggestions on how to close the gap if
23    one still exists.
24        (5) To suggest certificates that could help future
25    employers looking to locate in this State.
26        (6) To offer guidelines for the types of certificates

 

 

SB2435- 1047 -LRB102 04062 AMC 14078 b

1    that a community college or high school should pursue.
2        (7) To offer possible rules to the State Board that
3    the grant process should follow.
4    (d) The State Board may adopt any rules necessary for the
5purposes of this Section.
6(Source: P.A. 101-437, eff. 1-1-20; revised 8-21-20.)
 
7    (110 ILCS 805/3-42.1)  (from Ch. 122, par. 103-42.1)
8    Sec. 3-42.1. (a) To appoint law enforcement officer and
9non-law enforcement officer members of the community college
10district police department or department of public safety.
11    (b) Members of the community college district police
12department or department of public safety who are law
13enforcement officers, as defined in the Illinois Police
14Training Act, shall be peace officers under the laws of this
15State. As such, law enforcement officer members of these
16departments shall have all of the powers of police officers in
17cities and sheriffs in counties, including the power to make
18arrests on view or on warrants for violations of State
19statutes and to enforce county or city ordinances in all
20counties that lie within the community college district, when
21such is required for the protection of community college
22personnel, students, property, or interests. Such officers
23shall have no power to serve and execute civil process.
24    As peace officers in this State, all laws pertaining to
25hiring, training, retention, service authority, and discipline

 

 

SB2435- 1048 -LRB102 04062 AMC 14078 b

1of police officers, under State law, shall apply. Law
2enforcement officer members must complete the minimum basic
3training requirements of a police training school under the
4Illinois Police Training Act. Law enforcement officer members
5who have successfully completed an Illinois Law Enforcement
6Training and Standards Board certified firearms course shall
7be equipped with appropriate firearms and auxiliary weapons.
8    (c) Non-law enforcement officer members of the community
9college police, public safety, or security departments whose
10job requirements include performing patrol and security type
11functions shall, within 6 months after their initial hiring
12date, be required to successfully complete the 20-hour basic
13security training course required by (i) the Department of
14Financial and Professional Regulation, Division of
15Professional Regulation for Security Officers, (ii) by the
16International Association of College Law Enforcement
17Administrators, or (iii) campus protection officer training
18program or a similar course certified and approved by the
19Illinois Law Enforcement Training and Standards Board. They
20shall also be permitted to become members of an Illinois State
21Training Board Mobile Training Unit and shall complete 8 hours
22in continuing training, related to their specific position of
23employment, each year. The board may establish reasonable
24eligibility requirements for appointment and retention of
25non-law enforcement officer members.
26    All non-law enforcement officer members authorized to

 

 

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1carry weapons, other than firearms, shall receive training on
2the proper deployment and use of force regarding such weapons.
3(Source: P.A. 100-884, eff. 1-1-19; revised 11-16-20.)
 
4    Section 445. The Illinois Educational Labor Relations Act
5is amended by changing Section 14 as follows:
 
6    (115 ILCS 5/14)  (from Ch. 48, par. 1714)
7    Sec. 14. Unfair labor practices.
8    (a) Educational employers, their agents or representatives
9are prohibited from:
10        (1) Interfering, restraining or coercing employees in
11    the exercise of the rights guaranteed under this Act.
12        (2) Dominating or interfering with the formation,
13    existence or administration of any employee organization.
14        (3) Discriminating in regard to hire or tenure of
15    employment or any term or condition of employment to
16    encourage or discourage membership in any employee
17    organization.
18        (4) Discharging or otherwise discriminating against an
19    employee because he or she has signed or filed an
20    affidavit, authorization card, petition or complaint or
21    given any information or testimony under this Act.
22        (5) Refusing to bargain collectively in good faith
23    with an employee representative which is the exclusive
24    representative of employees in an appropriate unit,

 

 

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1    including, but not limited to, the discussing of
2    grievances with the exclusive representative; provided,
3    however, that if an alleged unfair labor practice involves
4    interpretation or application of the terms of a collective
5    bargaining agreement and said agreement contains a
6    grievance and arbitration procedure, the Board may defer
7    the resolution of such dispute to the grievance and
8    arbitration procedure contained in said agreement.
9        (6) Refusing to reduce a collective bargaining
10    agreement to writing and signing such agreement.
11        (7) Violating any of the rules and regulations
12    promulgated by the Board regulating the conduct of
13    representation elections.
14        (8) Refusing to comply with the provisions of a
15    binding arbitration award.
16        (9) Expending or causing the expenditure of public
17    funds to any external agent, individual, firm, agency,
18    partnership or association in any attempt to influence the
19    outcome of representational elections held pursuant to
20    paragraph (c) of Section 7 of this Act; provided, that
21    nothing in this subsection shall be construed to limit an
22    employer's right to be represented on any matter
23    pertaining to unit determinations, unfair labor practice
24    charges or pre-election conferences in any formal or
25    informal proceeding before the Board, or to seek or obtain
26    advice from legal counsel. Nothing in this paragraph shall

 

 

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1    be construed to prohibit an employer from expending or
2    causing the expenditure of public funds on, or seeking or
3    obtaining services or advice from, any organization, group
4    or association established by, and including educational
5    or public employers, whether or not covered by this Act,
6    the Illinois Public Labor Relations Act or the public
7    employment labor relations law of any other state or the
8    federal government, provided that such services or advice
9    are generally available to the membership of the
10    organization, group, or association, and are not offered
11    solely in an attempt to influence the outcome of a
12    particular representational election.
13        (10) Interfering with, restraining, coercing,
14    deterring or discouraging educational employees or
15    applicants to be educational employees from: (1) becoming
16    members of an employee organization; (2) authorizing
17    representation by an employee organization; or (3)
18    authorizing dues or fee deductions to an employee
19    organization, nor shall the employer intentionally permit
20    outside third parties to use its email or other
21    communications systems to engage in that conduct. An
22    employer's good faith implementation of a policy to block
23    the use of its email or other communication systems for
24    such purposes shall be a defense to an unfair labor
25    practice.
26        (11) Disclosing to any person or entity information

 

 

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1    set forth in subsection (d) of Section 3 of this Act that
2    the employer knows or should know will be used to
3    interfere with, restrain, coerce, deter, or discourage any
4    public employee from: (i) becoming or remaining members of
5    a labor organization, (ii) authorizing representation by a
6    labor organization, or (iii) authorizing dues or fee
7    deductions to a labor organization.
8    (b) Employee organizations, their agents or
9representatives or educational employees are prohibited from:
10        (1) Restraining or coercing employees in the exercise
11    of the rights guaranteed under this Act, provided that a
12    labor organization or its agents shall commit an unfair
13    labor practice under this paragraph in duty of fair
14    representation cases only by intentional misconduct in
15    representing employees under this Act.
16        (2) Restraining or coercing an educational employer in
17    the selection of his representative for the purposes of
18    collective bargaining or the adjustment of grievances.
19        (3) Refusing to bargain collectively in good faith
20    with an educational employer, if they have been designated
21    in accordance with the provisions of this Act as the
22    exclusive representative of employees in an appropriate
23    unit.
24        (4) Violating any of the rules and regulations
25    promulgated by the Board regulating the conduct of
26    representation elections.

 

 

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1        (5) Refusing to reduce a collective bargaining
2    agreement to writing and signing such agreement.
3        (6) Refusing to comply with the provisions of a
4    binding arbitration award.
5    (c) The expressing of any views, argument, opinion or the
6dissemination thereof, whether in written, printed, graphic or
7visual form, shall not constitute or be evidence of an unfair
8labor practice under any of the provisions of this Act, if such
9expression contains no threat of reprisal or force or promise
10of benefit.
11    (c-5) The employer shall not discourage public employees
12or applicants to be public employees from becoming or
13remaining union members or authorizing dues deductions, and
14shall not otherwise interfere with the relationship between
15employees and their exclusive bargaining representative. The
16employer shall refer all inquiries about union membership to
17the exclusive bargaining representative, except that the
18employer may communicate with employees regarding payroll
19processes and procedures. The employer will establish email
20policies in an effort to prohibit the use of its email system
21by outside sources.
22    (d) The actions of a Financial Oversight Panel created
23pursuant to Section 1A-8 of the School Code due to a district
24violating a financial plan shall not constitute or be evidence
25of an unfair labor practice under any of the provisions of this
26Act. Such actions include, but are not limited to, reviewing,

 

 

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1approving, or rejecting a school district budget or a
2collective bargaining agreement.
3(Source: P.A. 101-620, eff. 12-20-19; revised 8-21-20.)
 
4    Section 450. The Illinois Banking Act is amended by
5changing Section 48 as follows:
 
6    (205 ILCS 5/48)
7    Sec. 48. Secretary's powers; duties. The Secretary shall
8have the powers and authority, and is charged with the duties
9and responsibilities designated in this Act, and a State bank
10shall not be subject to any other visitorial power other than
11as authorized by this Act, except those vested in the courts,
12or upon prior consultation with the Secretary, a foreign bank
13regulator with an appropriate supervisory interest in the
14parent or affiliate of a state bank. In the performance of the
15Secretary's duties:
16        (1) The Commissioner shall call for statements from
17    all State banks as provided in Section 47 at least one time
18    during each calendar quarter.
19        (2) (a) The Commissioner, as often as the Commissioner
20    shall deem necessary or proper, and no less frequently
21    than 18 months following the preceding examination, shall
22    appoint a suitable person or persons to make an
23    examination of the affairs of every State bank, except
24    that for every eligible State bank, as defined by

 

 

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1    regulation, the Commissioner in lieu of the examination
2    may accept on an alternating basis the examination made by
3    the eligible State bank's appropriate federal banking
4    agency pursuant to Section 111 of the Federal Deposit
5    Insurance Corporation Improvement Act of 1991, provided
6    the appropriate federal banking agency has made such an
7    examination. A person so appointed shall not be a
8    stockholder or officer or employee of any bank which that
9    person may be directed to examine, and shall have powers
10    to make a thorough examination into all the affairs of the
11    bank and in so doing to examine any of the officers or
12    agents or employees thereof on oath and shall make a full
13    and detailed report of the condition of the bank to the
14    Commissioner. In making the examination the examiners
15    shall include an examination of the affairs of all the
16    affiliates of the bank, as defined in subsection (b) of
17    Section 35.2 of this Act, or subsidiaries of the bank as
18    shall be necessary to disclose fully the conditions of the
19    subsidiaries or affiliates, the relations between the bank
20    and the subsidiaries or affiliates and the effect of those
21    relations upon the affairs of the bank, and in connection
22    therewith shall have power to examine any of the officers,
23    directors, agents, or employees of the subsidiaries or
24    affiliates on oath. After May 31, 1997, the Commissioner
25    may enter into cooperative agreements with state
26    regulatory authorities of other states to provide for

 

 

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1    examination of State bank branches in those states, and
2    the Commissioner may accept reports of examinations of
3    State bank branches from those state regulatory
4    authorities. These cooperative agreements may set forth
5    the manner in which the other state regulatory authorities
6    may be compensated for examinations prepared for and
7    submitted to the Commissioner.
8        (b) After May 31, 1997, the Commissioner is authorized
9    to examine, as often as the Commissioner shall deem
10    necessary or proper, branches of out-of-state banks. The
11    Commissioner may establish and may assess fees to be paid
12    to the Commissioner for examinations under this subsection
13    (b). The fees shall be borne by the out-of-state bank,
14    unless the fees are borne by the state regulatory
15    authority that chartered the out-of-state bank, as
16    determined by a cooperative agreement between the
17    Commissioner and the state regulatory authority that
18    chartered the out-of-state bank.
19        (2.1) Pursuant to paragraph (a) of subsection (6) of
20    this Section, the Secretary shall adopt rules that ensure
21    consistency and due process in the examination process.
22    The Secretary may also establish guidelines that (i)
23    define the scope of the examination process and (ii)
24    clarify examination items to be resolved. The rules,
25    formal guidance, interpretive letters, or opinions
26    furnished to State banks by the Secretary may be relied

 

 

SB2435- 1057 -LRB102 04062 AMC 14078 b

1    upon by the State banks.
2        (2.5) Whenever any State bank, any subsidiary or
3    affiliate of a State bank, or after May 31, 1997, any
4    branch of an out-of-state bank causes to be performed, by
5    contract or otherwise, any bank services for itself,
6    whether on or off its premises:
7            (a) that performance shall be subject to
8        examination by the Commissioner to the same extent as
9        if services were being performed by the bank or, after
10        May 31, 1997, branch of the out-of-state bank itself
11        on its own premises; and
12            (b) the bank or, after May 31, 1997, branch of the
13        out-of-state bank shall notify the Commissioner of the
14        existence of a service relationship. The notification
15        shall be submitted with the first statement of
16        condition (as required by Section 47 of this Act) due
17        after the making of the service contract or the
18        performance of the service, whichever occurs first.
19        The Commissioner shall be notified of each subsequent
20        contract in the same manner.
21        For purposes of this subsection (2.5), the term "bank
22    services" means services such as sorting and posting of
23    checks and deposits, computation and posting of interest
24    and other credits and charges, preparation and mailing of
25    checks, statements, notices, and similar items, or any
26    other clerical, bookkeeping, accounting, statistical, or

 

 

SB2435- 1058 -LRB102 04062 AMC 14078 b

1    similar functions performed for a State bank, including,
2    but not limited to, electronic data processing related to
3    those bank services.
4        (3) The expense of administering this Act, including
5    the expense of the examinations of State banks as provided
6    in this Act, shall to the extent of the amounts resulting
7    from the fees provided for in paragraphs (a), (a-2), and
8    (b) of this subsection (3) be assessed against and borne
9    by the State banks:
10            (a) Each bank shall pay to the Secretary a Call
11        Report Fee which shall be paid in quarterly
12        installments equal to one-fourth of the sum of the
13        annual fixed fee of $800, plus a variable fee based on
14        the assets shown on the quarterly statement of
15        condition delivered to the Secretary in accordance
16        with Section 47 for the preceding quarter according to
17        the following schedule: 16¢ per $1,000 of the first
18        $5,000,000 of total assets, 15¢ per $1,000 of the next
19        $20,000,000 of total assets, 13¢ per $1,000 of the
20        next $75,000,000 of total assets, 9¢ per $1,000 of the
21        next $400,000,000 of total assets, 7¢ per $1,000 of
22        the next $500,000,000 of total assets, and 5¢ per
23        $1,000 of all assets in excess of $1,000,000,000, of
24        the State bank. The Call Report Fee shall be
25        calculated by the Secretary and billed to the banks
26        for remittance at the time of the quarterly statements

 

 

SB2435- 1059 -LRB102 04062 AMC 14078 b

1        of condition provided for in Section 47. The Secretary
2        may require payment of the fees provided in this
3        Section by an electronic transfer of funds or an
4        automatic debit of an account of each of the State
5        banks. In case more than one examination of any bank is
6        deemed by the Secretary to be necessary in any
7        examination frequency cycle specified in subsection
8        2(a) of this Section, and is performed at his
9        direction, the Secretary may assess a reasonable
10        additional fee to recover the cost of the additional
11        examination. In lieu of the method and amounts set
12        forth in this paragraph (a) for the calculation of the
13        Call Report Fee, the Secretary may specify by rule
14        that the Call Report Fees provided by this Section may
15        be assessed semiannually or some other period and may
16        provide in the rule the formula to be used for
17        calculating and assessing the periodic Call Report
18        Fees to be paid by State banks.
19            (a-1) If in the opinion of the Commissioner an
20        emergency exists or appears likely, the Commissioner
21        may assign an examiner or examiners to monitor the
22        affairs of a State bank with whatever frequency he
23        deems appropriate, including, but not limited to, a
24        daily basis. The reasonable and necessary expenses of
25        the Commissioner during the period of the monitoring
26        shall be borne by the subject bank. The Commissioner

 

 

SB2435- 1060 -LRB102 04062 AMC 14078 b

1        shall furnish the State bank a statement of time and
2        expenses if requested to do so within 30 days of the
3        conclusion of the monitoring period.
4            (a-2) On and after January 1, 1990, the reasonable
5        and necessary expenses of the Commissioner during
6        examination of the performance of electronic data
7        processing services under subsection (2.5) shall be
8        borne by the banks for which the services are
9        provided. An amount, based upon a fee structure
10        prescribed by the Commissioner, shall be paid by the
11        banks or, after May 31, 1997, branches of out-of-state
12        banks receiving the electronic data processing
13        services along with the Call Report Fee assessed under
14        paragraph (a) of this subsection (3).
15            (a-3) After May 31, 1997, the reasonable and
16        necessary expenses of the Commissioner during
17        examination of the performance of electronic data
18        processing services under subsection (2.5) at or on
19        behalf of branches of out-of-state banks shall be
20        borne by the out-of-state banks, unless those expenses
21        are borne by the state regulatory authorities that
22        chartered the out-of-state banks, as determined by
23        cooperative agreements between the Commissioner and
24        the state regulatory authorities that chartered the
25        out-of-state banks.
26            (b) "Fiscal year" for purposes of this Section 48

 

 

SB2435- 1061 -LRB102 04062 AMC 14078 b

1        is defined as a period beginning July 1 of any year and
2        ending June 30 of the next year. The Commissioner
3        shall receive for each fiscal year, commencing with
4        the fiscal year ending June 30, 1987, a contingent fee
5        equal to the lesser of the aggregate of the fees paid
6        by all State banks under paragraph (a) of subsection
7        (3) for that year, or the amount, if any, whereby the
8        aggregate of the administration expenses, as defined
9        in paragraph (c), for that fiscal year exceeds the sum
10        of the aggregate of the fees payable by all State banks
11        for that year under paragraph (a) of subsection (3),
12        plus any amounts transferred into the Bank and Trust
13        Company Fund from the State Pensions Fund for that
14        year, plus all other amounts collected by the
15        Commissioner for that year under any other provision
16        of this Act, plus the aggregate of all fees collected
17        for that year by the Commissioner under the Corporate
18        Fiduciary Act, excluding the receivership fees
19        provided for in Section 5-10 of the Corporate
20        Fiduciary Act, and the Foreign Banking Office Act. The
21        aggregate amount of the contingent fee thus arrived at
22        for any fiscal year shall be apportioned amongst,
23        assessed upon, and paid by the State banks and foreign
24        banking corporations, respectively, in the same
25        proportion that the fee of each under paragraph (a) of
26        subsection (3), respectively, for that year bears to

 

 

SB2435- 1062 -LRB102 04062 AMC 14078 b

1        the aggregate for that year of the fees collected
2        under paragraph (a) of subsection (3). The aggregate
3        amount of the contingent fee, and the portion thereof
4        to be assessed upon each State bank and foreign
5        banking corporation, respectively, shall be determined
6        by the Commissioner and shall be paid by each,
7        respectively, within 120 days of the close of the
8        period for which the contingent fee is computed and is
9        payable, and the Commissioner shall give 20 days'
10        advance notice of the amount of the contingent fee
11        payable by the State bank and of the date fixed by the
12        Commissioner for payment of the fee.
13            (c) The "administration expenses" for any fiscal
14        year shall mean the ordinary and contingent expenses
15        for that year incident to making the examinations
16        provided for by, and for otherwise administering, this
17        Act, the Corporate Fiduciary Act, excluding the
18        expenses paid from the Corporate Fiduciary
19        Receivership account in the Bank and Trust Company
20        Fund, the Foreign Banking Office Act, the Electronic
21        Fund Transfer Act, and the Illinois Bank Examiners'
22        Education Foundation Act, including all salaries and
23        other compensation paid for personal services rendered
24        for the State by officers or employees of the State,
25        including the Commissioner and the Deputy
26        Commissioners, communication equipment and services,

 

 

SB2435- 1063 -LRB102 04062 AMC 14078 b

1        office furnishings, surety bond premiums, and travel
2        expenses of those officers and employees, employees,
3        expenditures or charges for the acquisition,
4        enlargement or improvement of, or for the use of, any
5        office space, building, or structure, or expenditures
6        for the maintenance thereof or for furnishing heat,
7        light, or power with respect thereto, all to the
8        extent that those expenditures are directly incidental
9        to such examinations or administration. The
10        Commissioner shall not be required by paragraphs (c)
11        or (d-1) of this subsection (3) to maintain in any
12        fiscal year's budget appropriated reserves for accrued
13        vacation and accrued sick leave that is required to be
14        paid to employees of the Commissioner upon termination
15        of their service with the Commissioner in an amount
16        that is more than is reasonably anticipated to be
17        necessary for any anticipated turnover in employees,
18        whether due to normal attrition or due to layoffs,
19        terminations, or resignations.
20            (d) The aggregate of all fees collected by the
21        Secretary under this Act, the Corporate Fiduciary Act,
22        or the Foreign Banking Office Act on and after July 1,
23        1979, shall be paid promptly after receipt of the
24        same, accompanied by a detailed statement thereof,
25        into the State treasury and shall be set apart in a
26        special fund to be known as the "Bank and Trust Company

 

 

SB2435- 1064 -LRB102 04062 AMC 14078 b

1        Fund", except as provided in paragraph (c) of
2        subsection (11) of this Section. All earnings received
3        from investments of funds in the Bank and Trust
4        Company Fund shall be deposited in the Bank and Trust
5        Company Fund and may be used for the same purposes as
6        fees deposited in that Fund. The amount from time to
7        time deposited into the Bank and Trust Company Fund
8        shall be used: (i) to offset the ordinary
9        administrative expenses of the Secretary as defined in
10        this Section or (ii) as a credit against fees under
11        paragraph (d-1) of this subsection (3). Nothing in
12        Public Act 81-131 shall prevent continuing the
13        practice of paying expenses involving salaries,
14        retirement, social security, and State-paid insurance
15        premiums of State officers by appropriations from the
16        General Revenue Fund. However, the General Revenue
17        Fund shall be reimbursed for those payments made on
18        and after July 1, 1979, by an annual transfer of funds
19        from the Bank and Trust Company Fund. Moneys in the
20        Bank and Trust Company Fund may be transferred to the
21        Professions Indirect Cost Fund, as authorized under
22        Section 2105-300 of the Department of Professional
23        Regulation Law of the Civil Administrative Code of
24        Illinois.
25            Notwithstanding provisions in the State Finance
26        Act, as now or hereafter amended, or any other law to

 

 

SB2435- 1065 -LRB102 04062 AMC 14078 b

1        the contrary, the Governor may, during any fiscal year
2        through January 10, 2011, from time to time direct the
3        State Treasurer and Comptroller to transfer a
4        specified sum not exceeding 10% of the revenues to be
5        deposited into the Bank and Trust Company Fund during
6        that fiscal year from that Fund to the General Revenue
7        Fund in order to help defray the State's operating
8        costs for the fiscal year. Notwithstanding provisions
9        in the State Finance Act, as now or hereafter amended,
10        or any other law to the contrary, the total sum
11        transferred during any fiscal year through January 10,
12        2011, from the Bank and Trust Company Fund to the
13        General Revenue Fund pursuant to this provision shall
14        not exceed during any fiscal year 10% of the revenues
15        to be deposited into the Bank and Trust Company Fund
16        during that fiscal year. The State Treasurer and
17        Comptroller shall transfer the amounts designated
18        under this Section as soon as may be practicable after
19        receiving the direction to transfer from the Governor.
20            (d-1) Adequate funds shall be available in the
21        Bank and Trust Company Fund to permit the timely
22        payment of administration expenses. In each fiscal
23        year the total administration expenses shall be
24        deducted from the total fees collected by the
25        Commissioner and the remainder transferred into the
26        Cash Flow Reserve Account, unless the balance of the

 

 

SB2435- 1066 -LRB102 04062 AMC 14078 b

1        Cash Flow Reserve Account prior to the transfer equals
2        or exceeds one-fourth of the total initial
3        appropriations from the Bank and Trust Company Fund
4        for the subsequent year, in which case the remainder
5        shall be credited to State banks and foreign banking
6        corporations and applied against their fees for the
7        subsequent year. The amount credited to each State
8        bank and foreign banking corporation shall be in the
9        same proportion as the Call Report Fees paid by each
10        for the year bear to the total Call Report Fees
11        collected for the year. If, after a transfer to the
12        Cash Flow Reserve Account is made or if no remainder is
13        available for transfer, the balance of the Cash Flow
14        Reserve Account is less than one-fourth of the total
15        initial appropriations for the subsequent year and the
16        amount transferred is less than 5% of the total Call
17        Report Fees for the year, additional amounts needed to
18        make the transfer equal to 5% of the total Call Report
19        Fees for the year shall be apportioned amongst,
20        assessed upon, and paid by the State banks and foreign
21        banking corporations in the same proportion that the
22        Call Report Fees of each, respectively, for the year
23        bear to the total Call Report Fees collected for the
24        year. The additional amounts assessed shall be
25        transferred into the Cash Flow Reserve Account. For
26        purposes of this paragraph (d-1), the calculation of

 

 

SB2435- 1067 -LRB102 04062 AMC 14078 b

1        the fees collected by the Commissioner shall exclude
2        the receivership fees provided for in Section 5-10 of
3        the Corporate Fiduciary Act.
4            (e) The Commissioner may upon request certify to
5        any public record in his keeping and shall have
6        authority to levy a reasonable charge for issuing
7        certifications of any public record in his keeping.
8            (f) In addition to fees authorized elsewhere in
9        this Act, the Commissioner may, in connection with a
10        review, approval, or provision of a service, levy a
11        reasonable charge to recover the cost of the review,
12        approval, or service.
13        (4) Nothing contained in this Act shall be construed
14    to limit the obligation relative to examinations and
15    reports of any State bank, deposits in which are to any
16    extent insured by the United States or any agency thereof,
17    nor to limit in any way the powers of the Commissioner with
18    reference to examinations and reports of that bank.
19        (5) The nature and condition of the assets in or
20    investment of any bonus, pension, or profit sharing plan
21    for officers or employees of every State bank or, after
22    May 31, 1997, branch of an out-of-state bank shall be
23    deemed to be included in the affairs of that State bank or
24    branch of an out-of-state bank subject to examination by
25    the Commissioner under the provisions of subsection (2) of
26    this Section, and if the Commissioner shall find from an

 

 

SB2435- 1068 -LRB102 04062 AMC 14078 b

1    examination that the condition of or operation of the
2    investments or assets of the plan is unlawful, fraudulent,
3    or unsafe, or that any trustee has abused his trust, the
4    Commissioner shall, if the situation so found by the
5    Commissioner shall not be corrected to his satisfaction
6    within 60 days after the Commissioner has given notice to
7    the board of directors of the State bank or out-of-state
8    bank of his findings, report the facts to the Attorney
9    General who shall thereupon institute proceedings against
10    the State bank or out-of-state bank, the board of
11    directors thereof, or the trustees under such plan as the
12    nature of the case may require.
13        (6) The Commissioner shall have the power:
14            (a) To promulgate reasonable rules for the purpose
15        of administering the provisions of this Act.
16            (a-5) To impose conditions on any approval issued
17        by the Commissioner if he determines that the
18        conditions are necessary or appropriate. These
19        conditions shall be imposed in writing and shall
20        continue in effect for the period prescribed by the
21        Commissioner.
22            (b) To issue orders against any person, if the
23        Commissioner has reasonable cause to believe that an
24        unsafe or unsound banking practice has occurred, is
25        occurring, or is about to occur, if any person has
26        violated, is violating, or is about to violate any

 

 

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1        law, rule, or written agreement with the Commissioner,
2        or for the purpose of administering the provisions of
3        this Act and any rule promulgated in accordance with
4        this Act.
5            (b-1) To enter into agreements with a bank
6        establishing a program to correct the condition of the
7        bank or its practices.
8            (c) To appoint hearing officers to execute any of
9        the powers granted to the Commissioner under this
10        Section for the purpose of administering this Act and
11        any rule promulgated in accordance with this Act and
12        otherwise to authorize, in writing, an officer or
13        employee of the Office of Banks and Real Estate to
14        exercise his powers under this Act.
15            (d) To subpoena witnesses, to compel their
16        attendance, to administer an oath, to examine any
17        person under oath, and to require the production of
18        any relevant books, papers, accounts, and documents in
19        the course of and pursuant to any investigation being
20        conducted, or any action being taken, by the
21        Commissioner in respect of any matter relating to the
22        duties imposed upon, or the powers vested in, the
23        Commissioner under the provisions of this Act or any
24        rule promulgated in accordance with this Act.
25            (e) To conduct hearings.
26        (7) Whenever, in the opinion of the Secretary, any

 

 

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1    director, officer, employee, or agent of a State bank or
2    any subsidiary or bank holding company of the bank or,
3    after May 31, 1997, of any branch of an out-of-state bank
4    or any subsidiary or bank holding company of the bank
5    shall have violated any law, rule, or order relating to
6    that bank or any subsidiary or bank holding company of the
7    bank, shall have obstructed or impeded any examination or
8    investigation by the Secretary, shall have engaged in an
9    unsafe or unsound practice in conducting the business of
10    that bank or any subsidiary or bank holding company of the
11    bank, or shall have violated any law or engaged or
12    participated in any unsafe or unsound practice in
13    connection with any financial institution or other
14    business entity such that the character and fitness of the
15    director, officer, employee, or agent does not assure
16    reasonable promise of safe and sound operation of the
17    State bank, the Secretary may issue an order of removal.
18    If, in the opinion of the Secretary, any former director,
19    officer, employee, or agent of a State bank or any
20    subsidiary or bank holding company of the bank, prior to
21    the termination of his or her service with that bank or any
22    subsidiary or bank holding company of the bank, violated
23    any law, rule, or order relating to that State bank or any
24    subsidiary or bank holding company of the bank, obstructed
25    or impeded any examination or investigation by the
26    Secretary, engaged in an unsafe or unsound practice in

 

 

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1    conducting the business of that bank or any subsidiary or
2    bank holding company of the bank, or violated any law or
3    engaged or participated in any unsafe or unsound practice
4    in connection with any financial institution or other
5    business entity such that the character and fitness of the
6    director, officer, employee, or agent would not have
7    assured reasonable promise of safe and sound operation of
8    the State bank, the Secretary may issue an order
9    prohibiting that person from further service with a bank
10    or any subsidiary or bank holding company of the bank as a
11    director, officer, employee, or agent. An order issued
12    pursuant to this subsection shall be served upon the
13    director, officer, employee, or agent. A copy of the order
14    shall be sent to each director of the bank affected by
15    registered mail. A copy of the order shall also be served
16    upon the bank of which he is a director, officer,
17    employee, or agent, whereupon he shall cease to be a
18    director, officer, employee, or agent of that bank. The
19    Secretary may institute a civil action against the
20    director, officer, or agent of the State bank or, after
21    May 31, 1997, of the branch of the out-of-state bank
22    against whom any order provided for by this subsection (7)
23    of this Section 48 has been issued, and against the State
24    bank or, after May 31, 1997, out-of-state bank, to enforce
25    compliance with or to enjoin any violation of the terms of
26    the order. Any person who has been the subject of an order

 

 

SB2435- 1072 -LRB102 04062 AMC 14078 b

1    of removal or an order of prohibition issued by the
2    Secretary under this subsection or Section 5-6 of the
3    Corporate Fiduciary Act may not thereafter serve as
4    director, officer, employee, or agent of any State bank or
5    of any branch of any out-of-state bank, or of any
6    corporate fiduciary, as defined in Section 1-5.05 of the
7    Corporate Fiduciary Act, or of any other entity that is
8    subject to licensure or regulation by the Division of
9    Banking unless the Secretary has granted prior approval in
10    writing.
11        For purposes of this paragraph (7), "bank holding
12    company" has the meaning prescribed in Section 2 of the
13    Illinois Bank Holding Company Act of 1957.
14        (7.5) Notwithstanding the provisions of this Section,
15    the Secretary shall not:
16            (1) issue an order against a State bank or any
17        subsidiary organized under this Act for unsafe or
18        unsound banking practices solely because the entity
19        provides or has provided financial services to a
20        cannabis-related legitimate business;
21            (2) prohibit, penalize, or otherwise discourage a
22        State bank or any subsidiary from providing financial
23        services to a cannabis-related legitimate business
24        solely because the entity provides or has provided
25        financial services to a cannabis-related legitimate
26        business;

 

 

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1            (3) recommend, incentivize, or encourage a State
2        bank or any subsidiary not to offer financial services
3        to an account holder or to downgrade or cancel the
4        financial services offered to an account holder solely
5        because:
6                (A) the account holder is a manufacturer or
7            producer, or is the owner, operator, or employee
8            of a cannabis-related legitimate business;
9                (B) the account holder later becomes an owner
10            or operator of a cannabis-related legitimate
11            business; or
12                (C) the State bank or any subsidiary was not
13            aware that the account holder is the owner or
14            operator of a cannabis-related legitimate
15            business; and
16            (4) take any adverse or corrective supervisory
17        action on a loan made to an owner or operator of:
18                (A) a cannabis-related legitimate business
19            solely because the owner or operator owns or
20            operates a cannabis-related legitimate business;
21            or
22                (B) real estate or equipment that is leased to
23            a cannabis-related legitimate business solely
24            because the owner or operator of the real estate
25            or equipment leased the equipment or real estate
26            to a cannabis-related legitimate business.

 

 

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1        (8) The Commissioner may impose civil penalties of up
2    to $100,000 against any person for each violation of any
3    provision of this Act, any rule promulgated in accordance
4    with this Act, any order of the Commissioner, or any other
5    action which in the Commissioner's discretion is an unsafe
6    or unsound banking practice.
7        (9) The Commissioner may impose civil penalties of up
8    to $100 against any person for the first failure to comply
9    with reporting requirements set forth in the report of
10    examination of the bank and up to $200 for the second and
11    subsequent failures to comply with those reporting
12    requirements.
13        (10) All final administrative decisions of the
14    Commissioner hereunder shall be subject to judicial review
15    pursuant to the provisions of the Administrative Review
16    Law. For matters involving administrative review, venue
17    shall be in either Sangamon County or Cook County.
18        (11) The endowment fund for the Illinois Bank
19    Examiners' Education Foundation shall be administered as
20    follows:
21            (a) (Blank).
22            (b) The Foundation is empowered to receive
23        voluntary contributions, gifts, grants, bequests, and
24        donations on behalf of the Illinois Bank Examiners'
25        Education Foundation from national banks and other
26        persons for the purpose of funding the endowment of

 

 

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1        the Illinois Bank Examiners' Education Foundation.
2            (c) The aggregate of all special educational fees
3        collected by the Secretary and property received by
4        the Secretary on behalf of the Illinois Bank
5        Examiners' Education Foundation under this subsection
6        (11) on or after June 30, 1986, shall be either (i)
7        promptly paid after receipt of the same, accompanied
8        by a detailed statement thereof, into the State
9        Treasury and shall be set apart in a special fund to be
10        known as "The Illinois Bank Examiners' Education Fund"
11        to be invested by either the Treasurer of the State of
12        Illinois in the Public Treasurers' Investment Pool or
13        in any other investment he is authorized to make or by
14        the Illinois State Board of Investment as the State
15        Banking Board of Illinois may direct or (ii) deposited
16        into an account maintained in a commercial bank or
17        corporate fiduciary in the name of the Illinois Bank
18        Examiners' Education Foundation pursuant to the order
19        and direction of the Board of Trustees of the Illinois
20        Bank Examiners' Education Foundation.
21        (12) (Blank).
22        (13) The Secretary may borrow funds from the General
23    Revenue Fund on behalf of the Bank and Trust Company Fund
24    if the Director of Banking certifies to the Governor that
25    there is an economic emergency affecting banking that
26    requires a borrowing to provide additional funds to the

 

 

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1    Bank and Trust Company Fund. The borrowed funds shall be
2    paid back within 3 years and shall not exceed the total
3    funding appropriated to the Agency in the previous year.
4        (14) In addition to the fees authorized in this Act,
5    the Secretary may assess reasonable receivership fees
6    against any State bank that does not maintain insurance
7    with the Federal Deposit Insurance Corporation. All fees
8    collected under this subsection (14) shall be paid into
9    the Non-insured Institutions Receivership account in the
10    Bank and Trust Company Fund, as established by the
11    Secretary. The fees assessed under this subsection (14)
12    shall provide for the expenses that arise from the
13    administration of the receivership of any such institution
14    required to pay into the Non-insured Institutions
15    Receivership account, whether pursuant to this Act, the
16    Corporate Fiduciary Act, the Foreign Banking Office Act,
17    or any other Act that requires payments into the
18    Non-insured Institutions Receivership account. The
19    Secretary may establish by rule a reasonable manner of
20    assessing fees under this subsection (14).
21(Source: P.A. 100-22, eff. 1-1-18; 101-27, eff. 6-25-19;
22101-275, eff. 8-9-19; revised 9-19-19.)
 
23    Section 455. The Savings Bank Act is amended by changing
24Section 1008 as follows:
 

 

 

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1    (205 ILCS 205/1008)  (from Ch. 17, par. 7301-8)
2    Sec. 1008. General corporate powers.
3    (a) A savings bank operating under this Act shall be a body
4corporate and politic and shall have all of the powers
5conferred by this Act including, but not limited to, the
6following powers:
7        (1) To sue and be sued, complain, and defend in its
8    corporate name and to have a common seal, which it may
9    alter or renew at pleasure.
10        (2) To obtain and maintain insurance by a deposit
11    insurance corporation as defined in this Act.
12        (3) To act as a fiscal agent for the United States, the
13    State of Illinois or any department, branch, arm, or
14    agency of the State or any unit of local government or
15    school district in the State, when duly designated for
16    that purpose, and as agent to perform reasonable functions
17    as may be required of it.
18        (4) To become a member of or deal with any corporation
19    or agency of the United States or the State of Illinois, to
20    the extent that the agency assists in furthering or
21    facilitating its purposes or powers and to that end to
22    purchase stock or securities thereof or deposit money
23    therewith, and to comply with any other conditions of
24    membership or credit.
25        (5) To make donations in reasonable amounts for the
26    public welfare or for charitable, scientific, religious,

 

 

SB2435- 1078 -LRB102 04062 AMC 14078 b

1    or educational purposes.
2        (6) To adopt and operate reasonable insurance, bonus,
3    profit sharing, and retirement plans for officers and
4    employees and for directors including, but not limited to,
5    advisory, honorary, and emeritus directors, who are not
6    officers or employees.
7        (7) To reject any application for membership; to
8    retire deposit accounts by enforced retirement as provided
9    in this Act and the bylaws; and to limit the issuance of,
10    or payments on, deposit accounts, subject, however, to
11    contractual obligations.
12        (8) To purchase stock or membership interests in
13    service corporations and to invest in any form of
14    indebtedness of any service corporation as defined in this
15    Act, subject to regulations of the Secretary.
16        (9) To purchase stock of a corporation whose principal
17    purpose is to operate a safe deposit company or escrow
18    service company.
19        (10) To exercise all the powers necessary to qualify
20    as a trustee or custodian under federal or State law,
21    provided that the authority to accept and execute trusts
22    is subject to the provisions of the Corporate Fiduciary
23    Act and to the supervision of those activities by the
24    Secretary.
25        (11) (Blank).
26        (12) To establish, maintain, and operate terminals as

 

 

SB2435- 1079 -LRB102 04062 AMC 14078 b

1    authorized by the Electronic Fund Transfer Act.
2        (13) To pledge its assets:
3            (A) to enable it to act as agent for the sale of
4        obligations of the United States;
5            (B) to secure deposits;
6            (C) to secure deposits of money whenever required
7        by the National Bankruptcy Act;
8            (D) (blank); and
9            (E) to secure trust funds commingled with the
10        savings bank's funds, whether deposited by the savings
11        bank or an affiliate of the savings bank, as required
12        under Section 2-8 of the Corporate Fiduciary Act.
13        (14) To accept for payment at a future date not to
14    exceed one year from the date of acceptance, drafts drawn
15    upon it by its customers; and to issue, advise, or confirm
16    letters of credit authorizing holders thereof to draw
17    drafts upon it or its correspondents.
18        (15) Subject to the regulations of the Secretary, to
19    own and lease personal property acquired by the savings
20    bank at the request of a prospective lessee and, upon the
21    agreement of that person, to lease the personal property.
22        (16) To establish temporary service booths at any
23    International Fair in this State that is approved by the
24    United States Department of Commerce for the duration of
25    the international fair for the purpose of providing a
26    convenient place for foreign trade customers to exchange

 

 

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1    their home countries' currency into United States currency
2    or the converse. To provide temporary periodic service to
3    persons residing in a bona fide nursing home, senior
4    citizens' retirement home, or long-term care facility.
5    These powers shall not be construed as establishing a new
6    place or change of location for the savings bank providing
7    the service booth.
8        (17) To indemnify its officers, directors, employees,
9    and agents, as authorized for corporations under Section
10    8.75 of the Business Corporation Corporations Act of 1983.
11        (18) To provide data processing services to others on
12    a for-profit basis.
13        (19) To utilize any electronic technology to provide
14    customers with home banking services.
15        (20) Subject to the regulations of the Secretary, to
16    enter into an agreement to act as a surety.
17        (21) Subject to the regulations of the Secretary, to
18    issue credit cards, extend credit therewith, and otherwise
19    engage in or participate in credit card operations.
20        (22) To purchase for its own account shares of stock
21    of a bankers' bank, described in Section 13(b)(1) of the
22    Illinois Banking Act, on the same terms and conditions as
23    a bank may purchase such shares. In no event shall the
24    total amount of such stock held by a savings bank in such
25    bankers' bank exceed 10% of its capital and surplus
26    (including undivided profits) and in no event shall a

 

 

SB2435- 1081 -LRB102 04062 AMC 14078 b

1    savings bank acquire more than 5% of any class of voting
2    securities of such bankers' bank.
3        (23) With respect to affiliate facilities:
4            (A) to conduct at affiliate facilities any of the
5        following transactions for and on behalf of any
6        affiliated depository institution, if so authorized by
7        the affiliate or affiliates: receiving deposits;
8        renewing deposits; cashing and issuing checks, drafts,
9        money orders, travelers checks, or similar
10        instruments; changing money; receiving payments on
11        existing indebtedness; and conducting ministerial
12        functions with respect to loan applications, servicing
13        loans, and providing loan account information; and
14            (B) to authorize an affiliated depository
15        institution to conduct for and on behalf of it, any of
16        the transactions listed in this subsection at one or
17        more affiliate facilities.
18        A savings bank intending to conduct or to authorize an
19    affiliated depository institution to conduct at an
20    affiliate facility any of the transactions specified in
21    this subsection shall give written notice to the Secretary
22    at least 30 days before any such transaction is conducted
23    at an affiliate facility. All conduct under this
24    subsection shall be on terms consistent with safe and
25    sound banking practices and applicable law.
26        (24) Subject to Article XLIV of the Illinois Insurance

 

 

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1    Code, to act as the agent for any fire, life, or other
2    insurance company authorized by the State of Illinois, by
3    soliciting and selling insurance and collecting premiums
4    on policies issued by such company; and may receive for
5    services so rendered such fees or commissions as may be
6    agreed upon between the said savings bank and the
7    insurance company for which it may act as agent; provided,
8    however, that no such savings bank shall in any case
9    assume or guarantee the payment of any premium on
10    insurance policies issued through its agency by its
11    principal; and provided further, that the savings bank
12    shall not guarantee the truth of any statement made by an
13    assured in filing his application for insurance.
14        (25) To become a member of the Federal Home Loan Bank
15    and to have the powers granted to a savings association
16    organized under the Illinois Savings and Loan Act of 1985
17    or the laws of the United States, subject to regulations
18    of the Secretary.
19        (26) To offer any product or service that is at the
20    time authorized or permitted to a bank by applicable law,
21    but subject always to the same limitations and
22    restrictions that are applicable to the bank for the
23    product or service by such applicable law and subject to
24    the applicable provisions of the Financial Institutions
25    Insurance Sales Law and rules of the Secretary.
26    (b) If this Act or the regulations adopted under this Act

 

 

SB2435- 1083 -LRB102 04062 AMC 14078 b

1fail to provide specific guidance in matters of corporate
2governance, the provisions of the Business Corporation Act of
31983 may be used, or if the savings bank is a limited liability
4company, the provisions of the Limited Liability Company Act
5shall be used.
6    (c) A savings bank may be organized as a limited liability
7company, may convert to a limited liability company, or may
8merge with and into a limited liability company, under the
9applicable laws of this State and of the United States,
10including any rules promulgated thereunder. A savings bank
11organized as a limited liability company shall be subject to
12the provisions of the Limited Liability Company Act in
13addition to this Act, provided that if a provision of the
14Limited Liability Company Act conflicts with a provision of
15this Act or with any rule of the Secretary, the provision of
16this Act or the rule of the Secretary shall apply.
17    Any filing required to be made under the Limited Liability
18Company Act shall be made exclusively with the Secretary, and
19the Secretary shall possess the exclusive authority to
20regulate the savings bank as provided in this Act.
21    Any organization as, conversion to, and merger with or
22into a limited liability company shall be subject to the prior
23approval of the Secretary.
24    A savings bank that is a limited liability company shall
25be subject to all of the provisions of this Act in the same
26manner as a savings bank that is organized in stock form.

 

 

SB2435- 1084 -LRB102 04062 AMC 14078 b

1    The Secretary may promulgate rules to ensure that a
2savings bank that is a limited liability company (i) is
3operating in a safe and sound manner and (ii) is subject to the
4Secretary's authority in the same manner as a savings bank
5that is organized in stock form.
6(Source: P.A. 97-492, eff. 1-1-12; revised 8-23-19.)
 
7    Section 460. The Illinois Credit Union Act is amended by
8changing Sections 9 and 46 as follows:
 
9    (205 ILCS 305/9)  (from Ch. 17, par. 4410)
10    Sec. 9. Reports and examinations.
11    (1) Credit unions shall report to the Department on forms
12supplied by the Department, in accordance with a schedule
13published by the Department. A recapitulation of the annual
14reports shall be compiled and published annually by the
15Department, for the use of the General Assembly, credit
16unions, various educational institutions and other interested
17parties. A credit union which fails to file any report when due
18shall pay to the Department a late filing fee for each day the
19report is overdue as prescribed by rule. The Secretary may
20extend the time for filing a report.
21    (2) The Secretary may require special examinations of and
22special financial reports from a credit union or a credit
23union organization in which a credit union loans, invests, or
24delegates substantially all managerial duties and

 

 

SB2435- 1085 -LRB102 04062 AMC 14078 b

1responsibilities when he determines that such examinations and
2reports are necessary to enable the Department to determine
3the safety of a credit union's operation or its solvency. The
4cost to the Department of the aforesaid special examinations
5shall be borne by the credit union being examined as
6prescribed by rule.
7    (3) All credit unions incorporated under this Act shall be
8examined at least biennially by the Department or, at the
9discretion of the Secretary, by a public accountant registered
10by the Department of Financial and Professional Regulation.
11The costs of an examination shall be paid by the credit union.
12The scope of all examinations by a public accountant shall be
13at least equal to the examinations made by the Department. The
14examiners shall have full access to, and may compel the
15production of, all the books, papers, securities and accounts
16of any credit union. A special examination shall be made by the
17Department or by a public accountant approved by the
18Department upon written request of 5 or more members, who
19guarantee the expense of the same. Any credit union refusing
20to submit to an examination when ordered by the Department
21shall be reported to the Attorney General, who shall institute
22proceedings to have its charter revoked. If the Secretary
23determines that the examination of a credit union is to be
24conducted by a public accountant registered by the Department
25of Financial and Professional Regulation and the examination
26is done in conjunction with the credit union's external

 

 

SB2435- 1086 -LRB102 04062 AMC 14078 b

1independent audit of financial statements, the requirements of
2this Section and subsection (3) of Section 34 shall be deemed
3met.
4    (3.5) Pursuant to Section 8, the Secretary shall adopt
5rules that ensure consistency and due process in the
6examination process. The Secretary may also establish
7guidelines that (i) define the scope of the examination
8process and (ii) clarify examination items to be resolved. The
9rules, formal guidance, interpretive interpretative letters,
10or opinions furnished to credit unions by the Secretary may be
11relied upon by the credit unions.
12    (4) A copy of the completed report of examination and a
13review comment letter, if any, citing exceptions revealed
14during the examination, shall be submitted to the credit union
15by the Department. A detailed report stating the corrective
16actions taken by the board of directors on each exception set
17forth in the review comment letter shall be filed with the
18Department within 40 days after the date of the review comment
19letter, or as otherwise directed by the Department. Any credit
20union through its officers, directors, committee members or
21employees, which willfully provides fraudulent or misleading
22information regarding the corrective actions taken on
23exceptions appearing in a review comment letter may have its
24operations restricted to the collection of principal and
25interest on loans outstanding and the payment of normal
26expenses and salaries until all exceptions are corrected and

 

 

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1accepted by the Department.
2(Source: P.A. 97-133, eff. 1-1-12; 98-784, eff. 7-24-14;
3revised 8-23-19.)
 
4    (205 ILCS 305/46)  (from Ch. 17, par. 4447)
5    Sec. 46. Loans and interest rate.
6    (1) A credit union may make loans to its members for such
7purpose and upon such security and terms, including rates of
8interest, as the credit committee, credit manager, or loan
9officer approves. Notwithstanding the provisions of any other
10law in connection with extensions of credit, a credit union
11may elect to contract for and receive interest and fees and
12other charges for extensions of credit subject only to the
13provisions of this Act and rules promulgated under this Act,
14except that extensions of credit secured by residential real
15estate shall be subject to the laws applicable thereto. The
16rates of interest to be charged on loans to members shall be
17set by the board of directors of each individual credit union
18in accordance with Section 30 of this Act and such rates may be
19less than, but may not exceed, the maximum rate set forth in
20this Section. A borrower may repay his loan prior to maturity,
21in whole or in part, without penalty. A prepayment penalty
22does not include a waived, bona fide third-party charge that
23the credit union imposes if the borrower prepays all of the
24transaction's principal sooner than 36 months after
25consummation of a closed-end credit transaction, a waived,

 

 

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1bona fide third-party charge that the credit union imposes if
2the borrower terminates an open-end credit plan sooner than 36
3months after account opening, or a yield maintenance fee
4imposed on a business loan transaction. The credit contract
5may provide for the payment by the member and receipt by the
6credit union of all costs and disbursements, including
7reasonable attorney's fees and collection agency charges,
8incurred by the credit union to collect or enforce the debt in
9the event of a delinquency by the member, or in the event of a
10breach of any obligation of the member under the credit
11contract. A contingency or hourly arrangement established
12under an agreement entered into by a credit union with an
13attorney or collection agency to collect a loan of a member in
14default shall be presumed prima facie reasonable.
15    (2) Credit unions may make loans based upon the security
16of any interest or equity in real estate, subject to rules and
17regulations promulgated by the Secretary. In any contract or
18loan which is secured by a mortgage, deed of trust, or
19conveyance in the nature of a mortgage, on residential real
20estate, the interest which is computed, calculated, charged,
21or collected pursuant to such contract or loan, or pursuant to
22any regulation or rule promulgated pursuant to this Act, may
23not be computed, calculated, charged or collected for any
24period of time occurring after the date on which the total
25indebtedness, with the exception of late payment penalties, is
26paid in full.

 

 

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1    For purposes of this subsection (2) of this Section 46, a
2prepayment shall mean the payment of the total indebtedness,
3with the exception of late payment penalties if incurred or
4charged, on any date before the date specified in the contract
5or loan agreement on which the total indebtedness shall be
6paid in full, or before the date on which all payments, if
7timely made, shall have been made. In the event of a prepayment
8of the indebtedness which is made on a date after the date on
9which interest on the indebtedness was last computed,
10calculated, charged, or collected but before the next date on
11which interest on the indebtedness was to be calculated,
12computed, charged, or collected, the lender may calculate,
13charge and collect interest on the indebtedness for the period
14which elapsed between the date on which the prepayment is made
15and the date on which interest on the indebtedness was last
16computed, calculated, charged or collected at a rate equal to
171/360 of the annual rate for each day which so elapsed, which
18rate shall be applied to the indebtedness outstanding as of
19the date of prepayment. The lender shall refund to the
20borrower any interest charged or collected which exceeds that
21which the lender may charge or collect pursuant to the
22preceding sentence.
23    (3) (Blank).
24    (4) Notwithstanding any other provisions of this Act, a
25credit union authorized under this Act to make loans secured
26by an interest or equity in real property may engage in making

 

 

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1revolving credit loans secured by mortgages or deeds of trust
2on such real property or by security assignments of beneficial
3interests in land trusts.
4    For purposes of this Section, "revolving credit" has the
5meaning defined in Section 4.1 of the Interest Act.
6    Any mortgage or deed of trust given to secure a revolving
7credit loan may, and when so expressed therein shall, secure
8not only the existing indebtedness but also such future
9advances, whether such advances are obligatory or to be made
10at the option of the lender, or otherwise, as are made within
1120 twenty years from the date thereof, to the same extent as if
12such future advances were made on the date of the execution of
13such mortgage or deed of trust, although there may be no
14advance made at the time of execution of such mortgage or other
15instrument, and although there may be no indebtedness
16outstanding at the time any advance is made. The lien of such
17mortgage or deed of trust, as to third persons without actual
18notice thereof, shall be valid as to all such indebtedness and
19future advances from form the time said mortgage or deed of
20trust is filed for record in the office of the recorder of
21deeds or the registrar of titles of the county where the real
22property described therein is located. The total amount of
23indebtedness that may be so secured may increase or decrease
24from time to time, but the total unpaid balance so secured at
25any one time shall not exceed a maximum principal amount which
26must be specified in such mortgage or deed of trust, plus

 

 

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1interest thereon, and any disbursements made for the payment
2of taxes, special assessments, or insurance on said real
3property, with interest on such disbursements.
4    Any such mortgage or deed of trust shall be valid and have
5priority over all subsequent liens and encumbrances, including
6statutory liens, except taxes and assessments levied on said
7real property.
8    (4-5) For purposes of this Section, "real estate" and
9"real property" include a manufactured home as defined in
10subdivision (53) of Section 9-102 of the Uniform Commercial
11Code which is real property as defined in Section 5-35 of the
12Conveyance and Encumbrance of Manufactured Homes as Real
13Property and Severance Act.
14    (5) Compliance with federal or Illinois preemptive laws or
15regulations governing loans made by a credit union chartered
16under this Act shall constitute compliance with this Act.
17    (6) Credit unions may make residential real estate
18mortgage loans on terms and conditions established by the
19United States Department of Agriculture through its Rural
20Development Housing and Community Facilities Program. The
21portion of any loan in excess of the appraised value of the
22real estate shall be allocable only to the guarantee fee
23required under the program.
24    (7) For a renewal, refinancing, or restructuring of an
25existing loan at the credit union that is secured by an
26interest or equity in real estate, a new appraisal of the

 

 

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1collateral shall not be required when (i) no new moneys are
2advanced other than funds necessary to cover reasonable
3closing costs, or (ii) there has been no obvious or material
4change in market conditions or physical aspects of the real
5estate that threatens the adequacy of the credit union's real
6estate collateral protection after the transaction, even with
7the advancement of new moneys. The Department reserves the
8right to require an appraisal under this subsection (7)
9whenever the Department believes it is necessary to address
10safety and soundness concerns.
11(Source: P.A. 99-78, eff. 7-20-15; 99-149, eff. 1-1-16;
1299-331, eff. 1-1-16; 99-614, eff. 7-22-16; 99-642, eff.
137-28-16; 100-201, eff. 8-18-17; revised 8-23-19.)
 
14    Section 465. The Community Living Facilities Licensing Act
15is amended by changing Section 5.5 as follows:
 
16    (210 ILCS 35/5.5)
17    Sec. 5.5. Closed captioning required. A Community Living
18Facility licensed under this Act must make reasonable efforts
19to have activated at all times the closed captioning feature
20on a television in a common area provided for use by the
21general public or in a resident's room, or enable the closed
22captioning feature when requested to do so by a member of the
23general public or a resident, if the television includes a
24closed captioning feature.

 

 

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1    It is not a violation of this Section if the closed
2captioning feature is deactivated by a member of the Community
3Living Facility's staff after such feature is enabled in a
4common area or in a resident's room unless the deactivation of
5the closed captioning feature is knowing or intentional. It is
6not a violation of this Section if the closed captioning
7feature is deactivated by a member of the general public, a
8resident, or a member of the a Community Living Facility's
9staff at the request of a resident of the Community Living
10Facility licensed under this Act.
11    If a Community Living Facility licensed under this Act
12does not have a television in a common area that includes a
13closed captioning feature, then the Community Living Facility
14licensed under this Act must ensure that all televisions
15obtained for common areas after January 1, 2020 (the effective
16date of Public Act 101-116) this amendatory Act of the 101st
17General Assembly include a closed captioning feature. This
18Section does not affect any other provision of law relating to
19disability discrimination or providing reasonable
20accommodations or diminish the rights of a person with a
21disability under any other law. Nothing in this Section shall
22apply to televisions that are privately owned by a resident or
23third party and not owned by the Community Living Facility.
24    As used in this Section, "closed captioning" means a text
25display of spoken words presented on a television that allows
26a deaf or hard of hearing viewer to follow the dialogue and the

 

 

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1action of a program simultaneously.
2(Source: P.A. 101-116, eff. 1-1-20; revised 9-26-19.)
 
3    Section 470. The Specialized Mental Health Rehabilitation
4Act of 2013 is amended by changing Section 2-101 as follows:
 
5    (210 ILCS 49/2-101)
6    Sec. 2-101. Standards for facilities.
7    (a) The Department shall, by rule, prescribe minimum
8standards for each level of care for facilities to be in place
9during the provisional licensure period and thereafter. These
10standards shall include, but are not limited to, the
11following:
12        (1) life safety standards that will ensure the health,
13    safety and welfare of residents and their protection from
14    hazards;
15        (2) number and qualifications of all personnel,
16    including management and clinical personnel, having
17    responsibility for any part of the care given to
18    consumers; specifically, the Department shall establish
19    staffing ratios for facilities which shall specify the
20    number of staff hours per consumer of care that are needed
21    for each level of care offered within the facility;
22        (3) all sanitary conditions within the facility and
23    its surroundings, including water supply, sewage disposal,
24    food handling, and general hygiene which shall ensure the

 

 

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1    health and comfort of consumers;
2        (4) a program for adequate maintenance of physical
3    plant and equipment;
4        (5) adequate accommodations, staff, and services for
5    the number and types of services being offered to
6    consumers for whom the facility is licensed to care;
7        (6) development of evacuation and other appropriate
8    safety plans for use during weather, health, fire,
9    physical plant, environmental, and national defense
10    emergencies;
11        (7) maintenance of minimum financial or other
12    resources necessary to meet the standards established
13    under this Section, and to operate and conduct the
14    facility in accordance with this Act; and
15        (8) standards for coercive free environment,
16    restraint, and therapeutic separation; and .
17        (9) each multiple bedroom shall have at least 55
18    square feet of net floor area per consumer, not including
19    space for closets, bathrooms, and clearly defined entryway
20    areas. A minimum of 3 feet of clearance at the foot and one
21    side of each bed shall be provided.
22    (b) Any requirement contained in administrative rule
23concerning a percentage of single occupancy rooms shall be
24calculated based on the total number of licensed or
25provisionally licensed beds under this Act on January 1, 2019
26and shall not be calculated on a per-facility basis.

 

 

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1(Source: P.A. 100-1181, eff. 3-8-19; 101-10, eff. 6-5-19;
2revised 7-17-19.)
 
3    Section 475. The Emergency Medical Services (EMS) Systems
4Act is amended by changing Sections 3.50 and 3.233 as follows:
 
5    (210 ILCS 50/3.50)
6    Sec. 3.50. Emergency Medical Services personnel licensure
7levels.
8    (a) "Emergency Medical Technician" or "EMT" means a person
9who has successfully completed a course in basic life support
10as approved by the Department, is currently licensed by the
11Department in accordance with standards prescribed by this Act
12and rules adopted by the Department pursuant to this Act, and
13practices within an EMS System. A valid Emergency Medical
14Technician-Basic (EMT-B) license issued under this Act shall
15continue to be valid and shall be recognized as an Emergency
16Medical Technician (EMT) license until the Emergency Medical
17Technician-Basic (EMT-B) license expires.
18    (b) "Emergency Medical Technician-Intermediate" or "EMT-I"
19means a person who has successfully completed a course in
20intermediate life support as approved by the Department, is
21currently licensed by the Department in accordance with
22standards prescribed by this Act and rules adopted by the
23Department pursuant to this Act, and practices within an
24Intermediate or Advanced Life Support EMS System.

 

 

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1    (b-5) "Advanced Emergency Medical Technician" or "A-EMT"
2means a person who has successfully completed a course in
3basic and limited advanced emergency medical care as approved
4by the Department, is currently licensed by the Department in
5accordance with standards prescribed by this Act and rules
6adopted by the Department pursuant to this Act, and practices
7within an Intermediate or Advanced Life Support EMS System.
8    (c) "Paramedic (EMT-P)" means a person who has
9successfully completed a course in advanced life support care
10as approved by the Department, is licensed by the Department
11in accordance with standards prescribed by this Act and rules
12adopted by the Department pursuant to this Act, and practices
13within an Advanced Life Support EMS System. A valid Emergency
14Medical Technician-Paramedic (EMT-P) license issued under this
15Act shall continue to be valid and shall be recognized as a
16Paramedic license until the Emergency Medical
17Technician-Paramedic (EMT-P) license expires.
18    (c-5) "Emergency Medical Responder" or "EMR (First
19Responder)" means a person who has successfully completed a
20course in emergency medical response as approved by the
21Department and provides emergency medical response services
22prior to the arrival of an ambulance or specialized emergency
23medical services vehicle, in accordance with the level of care
24established by the National EMS Educational Standards
25Emergency Medical Responder course as modified by the
26Department. An Emergency Medical Responder who provides

 

 

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1services as part of an EMS System response plan shall comply
2with the applicable sections of the Program Plan, as approved
3by the Department, of that EMS System. The Department shall
4have the authority to adopt rules governing the curriculum,
5practice, and necessary equipment applicable to Emergency
6Medical Responders.
7    On August 15, 2014 (the effective date of Public Act
898-973), a person who is licensed by the Department as a First
9Responder and has completed a Department-approved course in
10first responder defibrillator training based on, or equivalent
11to, the National EMS Educational Standards or other standards
12previously recognized by the Department shall be eligible for
13licensure as an Emergency Medical Responder upon meeting the
14licensure requirements and submitting an application to the
15Department. A valid First Responder license issued under this
16Act shall continue to be valid and shall be recognized as an
17Emergency Medical Responder license until the First Responder
18license expires.
19    (c-10) All EMS Systems and licensees shall be fully
20compliant with the National EMS Education Standards, as
21modified by the Department in administrative rules, within 24
22months after the adoption of the administrative rules.
23    (d) The Department shall have the authority and
24responsibility to:
25        (1) Prescribe education and training requirements,
26    which includes training in the use of epinephrine, for all

 

 

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1    levels of EMS personnel except for EMRs, based on the
2    National EMS Educational Standards and any modifications
3    to those curricula specified by the Department through
4    rules adopted pursuant to this Act.
5        (2) Prescribe licensure testing requirements for all
6    levels of EMS personnel, which shall include a requirement
7    that all phases of instruction, training, and field
8    experience be completed before taking the appropriate
9    licensure examination. Candidates may elect to take the
10    appropriate National Registry examination in lieu of the
11    Department's examination, but are responsible for making
12    their own arrangements for taking the National Registry
13    examination. In prescribing licensure testing requirements
14    for honorably discharged members of the armed forces of
15    the United States under this paragraph (2), the Department
16    shall ensure that a candidate's military emergency medical
17    training, emergency medical curriculum completed, and
18    clinical experience, as described in paragraph (2.5), are
19    recognized.
20        (2.5) Review applications for EMS personnel licensure
21    from honorably discharged members of the armed forces of
22    the United States with military emergency medical
23    training. Applications shall be filed with the Department
24    within one year after military discharge and shall
25    contain: (i) proof of successful completion of military
26    emergency medical training; (ii) a detailed description of

 

 

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1    the emergency medical curriculum completed; and (iii) a
2    detailed description of the applicant's clinical
3    experience. The Department may request additional and
4    clarifying information. The Department shall evaluate the
5    application, including the applicant's training and
6    experience, consistent with the standards set forth under
7    subsections (a), (b), (c), and (d) of Section 3.10. If the
8    application clearly demonstrates that the training and
9    experience meet such standards, the Department shall offer
10    the applicant the opportunity to successfully complete a
11    Department-approved EMS personnel examination for the
12    level of license for which the applicant is qualified.
13    Upon passage of an examination, the Department shall issue
14    a license, which shall be subject to all provisions of
15    this Act that are otherwise applicable to the level of EMS
16    personnel license issued.
17        (3) License individuals as an EMR, EMT, EMT-I, A-EMT,
18    or Paramedic who have met the Department's education,
19    training and examination requirements.
20        (4) Prescribe annual continuing education and
21    relicensure requirements for all EMS personnel licensure
22    levels.
23        (5) Relicense individuals as an EMD, EMR, EMT, EMT-I,
24    A-EMT, PHRN, PHAPRN, PHPA, or Paramedic every 4 years,
25    based on their compliance with continuing education and
26    relicensure requirements as required by the Department

 

 

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1    pursuant to this Act. Every 4 years, a Paramedic shall
2    have 100 hours of approved continuing education, an EMT-I
3    and an advanced EMT shall have 80 hours of approved
4    continuing education, and an EMT shall have 60 hours of
5    approved continuing education. An Illinois licensed EMR,
6    EMD, EMT, EMT-I, A-EMT, Paramedic, ECRN, PHPA, PHAPRN, or
7    PHRN whose license has been expired for less than 36
8    months may apply for reinstatement by the Department.
9    Reinstatement shall require that the applicant (i) submit
10    satisfactory proof of completion of continuing medical
11    education and clinical requirements to be prescribed by
12    the Department in an administrative rule; (ii) submit a
13    positive recommendation from an Illinois EMS Medical
14    Director attesting to the applicant's qualifications for
15    retesting; and (iii) pass a Department approved test for
16    the level of EMS personnel license sought to be
17    reinstated.
18        (6) Grant inactive status to any EMR, EMD, EMT, EMT-I,
19    A-EMT, Paramedic, ECRN, PHAPRN, PHPA, or PHRN who
20    qualifies, based on standards and procedures established
21    by the Department in rules adopted pursuant to this Act.
22        (7) Charge a fee for EMS personnel examination,
23    licensure, and license renewal.
24        (8) Suspend, revoke, or refuse to issue or renew the
25    license of any licensee, after an opportunity for an
26    impartial hearing before a neutral administrative law

 

 

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1    judge appointed by the Director, where the preponderance
2    of the evidence shows one or more of the following:
3            (A) The licensee has not met continuing education
4        or relicensure requirements as prescribed by the
5        Department;
6            (B) The licensee has failed to maintain
7        proficiency in the level of skills for which he or she
8        is licensed;
9            (C) The licensee, during the provision of medical
10        services, engaged in dishonorable, unethical, or
11        unprofessional conduct of a character likely to
12        deceive, defraud, or harm the public;
13            (D) The licensee has failed to maintain or has
14        violated standards of performance and conduct as
15        prescribed by the Department in rules adopted pursuant
16        to this Act or his or her EMS System's Program Plan;
17            (E) The licensee is physically impaired to the
18        extent that he or she cannot physically perform the
19        skills and functions for which he or she is licensed,
20        as verified by a physician, unless the person is on
21        inactive status pursuant to Department regulations;
22            (F) The licensee is mentally impaired to the
23        extent that he or she cannot exercise the appropriate
24        judgment, skill and safety for performing the
25        functions for which he or she is licensed, as verified
26        by a physician, unless the person is on inactive

 

 

SB2435- 1103 -LRB102 04062 AMC 14078 b

1        status pursuant to Department regulations;
2            (G) The licensee has violated this Act or any rule
3        adopted by the Department pursuant to this Act; or
4            (H) The licensee has been convicted (or entered a
5        plea of guilty or nolo contendere nolo-contendere) by
6        a court of competent jurisdiction of a Class X, Class
7        1, or Class 2 felony in this State or an out-of-state
8        equivalent offense.
9        (9) Prescribe education and training requirements in
10    the administration and use of opioid antagonists for all
11    levels of EMS personnel based on the National EMS
12    Educational Standards and any modifications to those
13    curricula specified by the Department through rules
14    adopted pursuant to this Act.
15    (d-5) An EMR, EMD, EMT, EMT-I, A-EMT, Paramedic, ECRN,
16PHAPRN, PHPA, or PHRN who is a member of the Illinois National
17Guard or an Illinois State Trooper or who exclusively serves
18as a volunteer for units of local government with a population
19base of less than 5,000 or as a volunteer for a not-for-profit
20organization that serves a service area with a population base
21of less than 5,000 may submit an application to the Department
22for a waiver of the fees described under paragraph (7) of
23subsection (d) of this Section on a form prescribed by the
24Department.
25    The education requirements prescribed by the Department
26under this Section must allow for the suspension of those

 

 

SB2435- 1104 -LRB102 04062 AMC 14078 b

1requirements in the case of a member of the armed services or
2reserve forces of the United States or a member of the Illinois
3National Guard who is on active duty pursuant to an executive
4order of the President of the United States, an act of the
5Congress of the United States, or an order of the Governor at
6the time that the member would otherwise be required to
7fulfill a particular education requirement. Such a person must
8fulfill the education requirement within 6 months after his or
9her release from active duty.
10    (e) In the event that any rule of the Department or an EMS
11Medical Director that requires testing for drug use as a
12condition of the applicable EMS personnel license conflicts
13with or duplicates a provision of a collective bargaining
14agreement that requires testing for drug use, that rule shall
15not apply to any person covered by the collective bargaining
16agreement.
17    (f) At the time of applying for or renewing his or her
18license, an applicant for a license or license renewal may
19submit an email address to the Department. The Department
20shall keep the email address on file as a form of contact for
21the individual. The Department shall send license renewal
22notices electronically and by mail to a licensee all licensees
23who provides provide the Department with his or her email
24address. The notices shall be sent at least 60 days prior to
25the expiration date of the license.
26(Source: P.A. 100-1082, eff. 8-24-19; 101-81, eff. 7-12-19;

 

 

SB2435- 1105 -LRB102 04062 AMC 14078 b

1101-153, eff. 1-1-20; revised 12-3-19.)
 
2    (210 ILCS 50/3.233)
3    Sec. 3.233. Opioid overdose reporting.
4    (a) In this Section:
5    "Covered vehicle service provider" means a licensed
6vehicle service provider that is a municipality with a
7population of 1,000,000 or greater.
8    "Covered vehicle service provider personnel" means
9individuals licensed by the Department as an EMT, EMT-I,
10A-EMT, or EMT-P who are employed by a covered vehicle service
11provider.
12    "Opioid" means any narcotic containing opium or one or
13more of its natural or synthetic derivatives.
14    "Overdose" means a physiological event that results in a
15life-threatening emergency to an individual who ingested,
16inhaled, injected, or otherwise bodily absorbed an opioid.
17    (b) Covered vehicle service provider personnel who treat
18and either release or transport to a health care facility an
19individual experiencing a suspected or an actual overdose
20shall document in the patient's care report the information
21specified in subsection (c) within 24 hours of the initial
22reporting of the incident.
23    (c) A patient care report of an overdose made under this
24Section shall include:
25        (1) the date and time of the overdose;

 

 

SB2435- 1106 -LRB102 04062 AMC 14078 b

1        (2) the location in latitude and longitude, to no more
2    than 4 decimal places, where the overdose victim was
3    initially encountered by the covered vehicle service
4    provider personnel;
5        (3) whether one or more doses of an opioid overdose
6    reversal drug were was administered; and
7        (4) whether the overdose was fatal or nonfatal when
8    the overdose victim was initially encountered by the
9    covered vehicle service provider personnel and during the
10    transportation of the victim to a health care facility.
11    (d) Upon receipt of a patient care report that documents
12an overdose, a covered vehicle service provider shall report
13the information listed under subsection (c) to:
14        (i) the Washington/Baltimore High Intensity Drug
15    Trafficking Area Overdose Detection Mapping Application;
16    or
17        (ii) any similar information technology platform with
18    secure access operated by the federal government or a unit
19    of state or local government, as determined by the covered
20    vehicle service provider.
21    (e) Overdose information reported by a covered vehicle
22service provider under this Section shall not be used in an
23opioid use-related criminal investigation or prosecution of
24the individual who was treated by the covered vehicle service
25provider personnel for experiencing the suspected or actual
26overdose.

 

 

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1    (f) Covered vehicle service providers or covered vehicle
2service provider personnel that in good faith make a report
3under this Section shall be immune from civil or criminal
4liability for making the report.
5(Source: P.A. 101-320, eff. 8-9-19; revised 12-3-19.)
 
6    Section 480. The Mobile Home Park Act is amended by
7changing Section 9.8 as follows:
 
8    (210 ILCS 115/9.8)  (from Ch. 111 1/2, par. 719.8)
9    Sec. 9.8. Adequate insect and rodent control measures
10shall be employed. All buildings shall be fly proof and rodent
11proof, and rodent harborages shall not be permitted to exist
12in the park or pathways. All mobile homes shall be skirted to
13exclude rodents and provide protection to the homes' homes
14utilities from the weather.
15(Source: P.A. 101-454, eff. 8-23-19; revised 1-25-21.)
 
16    Section 485. The Safe Pharmaceutical Disposal Act is
17amended by changing Section 5 as follows:
 
18    (210 ILCS 150/5)
19    Sec. 5. Definitions. In this Act:
20    "Health care institution" means any public or private
21institution or agency licensed or certified by State law to
22provide health care. The term includes hospitals, nursing

 

 

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1homes, residential health care facilities, home health care
2agencies, hospice programs operating in this State,
3institutions, facilities, or agencies that provide services to
4persons with mental health illnesses, and institutions,
5facilities, or agencies that provide services for persons with
6developmental disabilities.
7    "Law enforcement agency" means any federal, State, or
8local law enforcement agency, including a State's Attorney and
9the Attorney General.
10    "Nurse" means an advanced practice registered nurse,
11registered nurse, or licensed practical nurse licensed under
12the Nurse Practice Act.
13    "Public wastewater collection system" means any wastewater
14collection system regulated by the Environmental Protection
15Agency.
16    "Unused medication" means any unopened, expired, or excess
17(including medication unused as a result of the death of the
18patient) medication that has been dispensed for patient or
19resident care and that is in a liquid or solid form. The term
20includes, but is not limited to, suspensions, pills, tablets,
21capsules, and caplets. For long-term care facilities licensed
22under the Nursing Home Care Act, "unused medication" does not
23include any Schedule II controlled substance under federal law
24in any form, until such time as the federal Drug Enforcement
25Administration adopts regulations that permit these facilities
26to dispose of controlled substances in a manner consistent

 

 

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1with this Act.
2(Source: P.A. 99-648, eff. 1-1-17; 100-345, eff. 8-25-17;
3100-612, eff. 1-1-19; revised 7-23-19.)
 
4    Section 490. The Illinois Insurance Code is amended by
5changing Sections 28.2a, 291.1, 368g, 370c, and 534.3 and by
6setting forth, renumbering, and changing multiple versions of
7Section 356z.33 as follows:
 
8    (215 ILCS 5/28.2a)  (from Ch. 73, par. 640.2a)
9    (Section scheduled to be repealed on January 1, 2027)
10    Sec. 28.2a. Proxies.
11    (1) A shareholder may appoint a proxy to vote or otherwise
12act for him or her by signing an appointment form and
13delivering it to the person so appointed.
14    (2) No proxy shall be valid after the expiration of 11
15months from the date thereof unless otherwise provided in the
16proxy. Every proxy continues in full force and effect until
17revoked by the person executing it prior to the vote pursuant
18thereto, except as otherwise provided in this Section. Such
19revocation may be effected by a writing delivered to the
20corporation stating that the proxy is revoked or by a
21subsequent proxy executed by, or by attendance at the meeting
22and voting in person by, the person executing the proxy. The
23dates contained on the forms of proxy presumptively determine
24the order of execution, regardless of the postmark dates on

 

 

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1the envelopes in which they are mailed.
2    (3) An appointment of a proxy is revocable by the
3shareholder unless the appointment form conspicuously states
4that it is irrevocable and the appointment is coupled with an
5interest in the shares or in the corporation generally. By way
6of example and without limiting the generality of the
7foregoing, a proxy is coupled with an interest when the proxy
8appointed is one of the following:
9        (a) a pledgee;
10        (b) a person who has purchased or had agreed to
11    purchase the shares;
12        (c) a creditor of the corporation who has extended it
13    credit under terms requiring the appointment, if the
14    appointment states the purpose for which it was given, the
15    name of the creditor, and the amount of credit extended;
16    or
17        (d) an employee of the corporation whose employment
18    contract requires the appointment, if the appointment
19    states the purpose for which it was given, the name of the
20    employee, and the period of employment.
21    (4) The death or incapacity of the shareholder appointing
22a proxy does not revoke the proxy's authority unless notice of
23the death or incapacity is received by the officer or agent who
24maintains the corporation's share transfer book before the
25proxy exercises his or her authority under the appointment.
26    (5) An appointment made irrevocable under subsection (3)

 

 

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1becomes revocable when the interest in the proxy terminates
2such as when the pledge is redeemed, the shares are registered
3in the purchaser's name, the creditor's debt is paid, the
4employment contract ends, or the voting agreement expires.
5    (6) A transferee for value of shares subject to an
6irrevocable appointment may revoke the appointment if the
7transferee was ignorant of its existence when the shares were
8acquired and both the existence of the appointment and its
9revocability were not noted conspicuously on the certificate
10(or information statement for shares without certificates)
11representing the shares.
12    (7) Unless the appointment of a proxy contains an express
13limitation on the proxy's authority, a corporation may accept
14one proxy's vote or other action as that of the shareholder
15making the appointment. If the proxy appointed fails to vote
16or otherwise act in accordance with the appointment, the
17shareholder is entitled to such legal or equitable relief as
18is appropriate in the circumstances.
19(Source: P.A. 84-502; revised 8-23-19.)
 
20    (215 ILCS 5/291.1)  (from Ch. 73, par. 903.1)
21    (Section scheduled to be repealed on January 1, 2027)
22    Sec. 291.1. Organization. A domestic society organized on
23or after January 1, 1986 (the effective date of Public Act
2484-303) this amendatory Act shall be formed as follows:
25        (a) Seven or more citizens of the United States, a

 

 

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1    majority of whom are citizens of this State, who desire to
2    form a fraternal benefit society may make, sign and
3    acknowledge, before some officer competent to take
4    acknowledgement of deeds, articles of incorporation, in
5    which shall be stated:
6            (1) The proposed corporate name of the society,
7        which shall not so closely resemble the name of any
8        society or insurance company already authorized to
9        transact business in this State as to be misleading or
10        confusing;
11            (2) The place where its principal office shall be
12        located within this State;
13            (3) The purposes for which it is being formed and
14        the mode in which its corporate powers are to be
15        exercised. Such purposes shall not include more
16        liberal powers than are granted by this amendatory
17        Act; and
18            (4) The names and residences of the incorporators
19        and the names, residences and official titles of all
20        the officers, trustees, directors or other persons who
21        are to have and exercise the general control of the
22        management of the affairs and funds of the society for
23        the first year or until the ensuing election, at which
24        all such officers shall be elected by the supreme
25        governing body, which election shall be held not later
26        than one year from the date of issuance of the

 

 

SB2435- 1113 -LRB102 04062 AMC 14078 b

1        permanent certificate of authority;
2        (b) Duplicate originals of the articles of
3    incorporation, certified copies of the society's bylaws
4    and rules, copies of all proposed forms of certificates,
5    applicants and rates therefor, and circulars to be issued
6    by the society and a bond conditioned upon the return to
7    applicants of the advanced payments if the organization is
8    not completed within one year shall be filed with the
9    Director, who may require such further information as the
10    Director deems necessary. The bond with sureties approved
11    by the Director shall be in such amount, not less than
12    $300,000 nor more than $1,500,000, as required by the
13    Director. All documents filed are to be in the English
14    language. If the Director finds that the purposes of the
15    society conform to the requirements of this amendatory Act
16    and all provisions of the law have been complied with, the
17    Director shall approve the articles of incorporation and
18    issue the incorporators a preliminary certificate of
19    authority authorizing the society to solicit members as
20    hereinafter provided;
21        (c) No preliminary certificate of authority issued
22    under the provisions of this Section shall be valid after
23    one year from its date of issue or after such further
24    period, not exceeding one year, as may be authorized by
25    the Director, upon cause shown, unless the 500 applicants
26    hereinafter required have been secured and the

 

 

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1    organization has been completed as herein provided. The
2    articles of incorporation and all other proceedings
3    thereunder shall become null and void in one year from the
4    date of the preliminary certificate of authority or at the
5    expiration of the extended period, unless the society
6    shall have completed its organization and received a
7    certificate of authority to do business as hereinafter
8    provided;
9        (d) Upon receipt of a preliminary certificate of
10    authority from the Director, the society may solicit
11    members for the purpose of completing its organization,
12    shall collect from each applicant the amount of not less
13    than one regular monthly premium in accordance with its
14    table of rates and shall issue to each such applicant a
15    receipt for the amount so collected. No society shall
16    incur any liability other than for the return of such
17    advance premium nor issue any certificate nor pay, allow
18    or offer or promise to pay or allow any benefit to any
19    person until:
20            (1) Actual bona fide applications for benefits
21        have been secured on not less than 500 applicants and
22        any necessary evidence of insurability has been
23        furnished to and approved by the society;
24            (2) At least 10 subordinate lodges have been
25        established into which the 500 applicants have been
26        admitted;

 

 

SB2435- 1115 -LRB102 04062 AMC 14078 b

1            (3) There has been submitted to the Director,
2        under oath of the president or secretary, or
3        corresponding officer of the society, a list of such
4        applicants, giving their names, addresses, date each
5        was admitted, name and number of the subordinate lodge
6        of which each applicant is a member, amount of
7        benefits to be granted and premiums therefor;
8            (4) It shall have been shown to the Director, by
9        sworn statement of the treasurer or corresponding
10        officer of such society, that at a least 500
11        applicants have each paid in cash at least one regular
12        monthly premium as herein provided, which premiums in
13        the aggregate shall amount to at least $150,000. Said
14        advance premiums shall be held in trust during the
15        period of organization, and, if the society has not
16        qualified for a certificate of authority within one
17        year unless extended by the Director, as herein
18        provided, such premiums shall be returned to said
19        applicants; and
20            (5) In the case of a domestic society that is
21        organized after January 1, 2015 (the effective date of
22        Public Act 98-814) this amendatory Act of the 98th
23        General Assembly, the society meets the following
24        requirements:
25                (i) maintains a minimum surplus of $2,000,000,
26            or such higher amount as the Director may deem

 

 

SB2435- 1116 -LRB102 04062 AMC 14078 b

1            necessary; and
2                (ii) meets any other requirements as
3            determined by the Director.
4        (e) The Director may make such examination and require
5    such further information as the Director deems necessary.
6    Upon presentation of satisfactory evidence that the
7    society has complied with all the provisions of law, the
8    Director shall issue to the society a certificate of
9    authority to that effect and that the society is
10    authorized to transact business pursuant to the provisions
11    of this amendatory Act; and
12        (f) Any incorporated society authorized to transact
13    business in this State at the time Public Act 84-303 this
14    amendatory Act becomes effective (January 1, 1986) shall
15    not be required to reincorporate.
16(Source: P.A. 98-814, eff. 1-1-15; revised 8-23-19.)
 
17    (215 ILCS 5/356z.33)
18    Sec. 356z.33. Coverage for epinephrine injectors. A group
19or individual policy of accident and health insurance or a
20managed care plan that is amended, delivered, issued, or
21renewed on or after January 1, 2020 (the effective date of
22Public Act 101-281) this amendatory Act of the 101st General
23Assembly shall provide coverage for medically necessary
24epinephrine injectors for persons 18 years of age or under. As
25used in this Section, "epinephrine injector" has the meaning

 

 

SB2435- 1117 -LRB102 04062 AMC 14078 b

1given to that term in Section 5 of the Epinephrine Injector
2Act.
3(Source: P.A. 101-281, eff. 1-1-20; revised 10-16-19.)
 
4    (215 ILCS 5/356z.34)
5    Sec. 356z.34 356z.33. Coverage for cardiopulmonary
6monitors. A group or individual policy of accident and health
7insurance amended, delivered, issued, or renewed after January
81, 2020 (the effective date of Public Act 101-218) this
9amendatory Act of the 101st General Assembly shall provide
10coverage for cardiopulmonary monitors determined to be
11medically necessary for a person 18 years old or younger who
12has had a cardiopulmonary event.
13(Source: P.A. 101-218, eff. 1-1-20; revised 10-16-19.)
 
14    (215 ILCS 5/356z.35)
15    Sec. 356z.35 356z.33. Long-term antibiotic therapy for
16tick-borne diseases.
17    (a) As used in this Section:
18    "Long-term antibiotic therapy" means the administration of
19oral, intramuscular, or intravenous antibiotics singly or in
20combination for periods of time in excess of 4 weeks.
21    "Tick-borne disease" means a disease caused when an
22infected tick bites a person and the tick's saliva transmits
23an infectious agent (bacteria, viruses, or parasites) that can
24cause illness, including, but not limited to, the following:

 

 

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1        (1) a severe infection with borrelia burgdorferi;
2        (2) a late stage, persistent, or chronic infection or
3    complications related to such an infection;
4        (3) an infection with other strains of borrelia or a
5    tick-borne disease that is recognized by the United States
6    Centers for Disease Control and Prevention; and
7        (4) the presence of signs or symptoms compatible with
8    acute infection of borrelia or other tick-borne diseases.
9    (b) An individual or group policy of accident and health
10insurance or managed care plan that is amended, delivered,
11issued, or renewed on or after January 1, 2020 (the effective
12date of Public Act 101-371) this amendatory Act of the 101st
13General Assembly shall provide coverage for long-term
14antibiotic therapy, including necessary office visits and
15ongoing testing, for a person with a tick-borne disease when
16determined to be medically necessary and ordered by a
17physician licensed to practice medicine in all its branches
18after making a thorough evaluation of the person's symptoms,
19diagnostic test results, or response to treatment. An
20experimental drug shall be covered as a long-term antibiotic
21therapy if it is approved for an indication by the United
22States Food and Drug Administration. A drug, including an
23experimental drug, shall be covered for an off-label use in
24the treatment of a tick-borne disease if the drug has been
25approved by the United States Food and Drug Administration.
26(Source: P.A. 101-371, eff. 1-1-20; revised 10-16-19.)
 

 

 

SB2435- 1119 -LRB102 04062 AMC 14078 b

1    (215 ILCS 5/356z.36)
2    Sec. 356z.36 356z.33. Coverage of treatment models for
3early treatment of serious mental illnesses.
4    (a) For purposes of early treatment of a serious mental
5illness in a child or young adult under age 26, a group or
6individual policy of accident and health insurance, or managed
7care plan, that is amended, delivered, issued, or renewed
8after December 31, 2020 shall provide coverage of the
9following bundled, evidence-based treatment:
10        (1) Coordinated specialty care for first episode
11    psychosis treatment, covering the elements of the
12    treatment model included in the most recent national
13    research trials conducted by the National Institute of
14    Mental Health in the Recovery After an Initial
15    Schizophrenia Episode (RAISE) trials for psychosis
16    resulting from a serious mental illness, but excluding the
17    components of the treatment model related to education and
18    employment support.
19        (2) Assertive community treatment (ACT) and community
20    support team (CST) treatment. The elements of ACT and CST
21    to be covered shall include those covered under Article V
22    of the Illinois Public Aid Code, through 89 Ill. Adm. Code
23    140.453(d)(4).
24    (b) Adherence to the clinical models. For purposes of
25ensuring adherence to the coordinated specialty care for first

 

 

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1episode psychosis treatment model, only providers contracted
2with the Department of Human Services' Division of Mental
3Health to be FIRST.IL providers to deliver coordinated
4specialty care for first episode psychosis treatment shall be
5permitted to provide such treatment in accordance with this
6Section and such providers must adhere to the fidelity of the
7treatment model. For purposes of ensuring fidelity to ACT and
8CST, only providers certified to provide ACT and CST by the
9Department of Human Services' Division of Mental Health and
10approved to provide ACT and CST by the Department of
11Healthcare and Family Services, or its designee, in accordance
12with 89 Ill. Adm. Code 140, shall be permitted to provide such
13services under this Section and such providers shall be
14required to adhere to the fidelity of the models.
15    (c) Development of medical necessity criteria for
16coverage. Within 6 months after January 1, 2020 (the effective
17date of Public Act 101-461) this amendatory Act of the 101st
18General Assembly, the Department of Insurance shall lead and
19convene a workgroup that includes the Department of Human
20Services' Division of Mental Health, the Department of
21Healthcare and Family Services, providers of the treatment
22models listed in this Section, and insurers operating in
23Illinois to develop medical necessity criteria for such
24treatment models for purposes of coverage under this Section.
25The workgroup shall use the medical necessity criteria the
26State and other states use as guidance for establishing

 

 

SB2435- 1121 -LRB102 04062 AMC 14078 b

1medical necessity for insurance coverage. The Department of
2Insurance shall adopt a rule that defines medical necessity
3for each of the 3 treatment models listed in this Section by no
4later than June 30, 2020 based on the workgroup's
5recommendations.
6    (d) For purposes of credentialing the mental health
7professionals and other medical professionals that are part of
8a coordinated specialty care for first episode psychosis
9treatment team, an ACT team, or a CST team, the credentialing
10of the psychiatrist or the licensed clinical leader of the
11treatment team shall qualify all members of the treatment team
12to be credentialed with the insurer.
13    (e) Payment for the services performed under the treatment
14models listed in this Section shall be based on a bundled
15treatment model or payment, rather than payment for each
16separate service delivered by a treatment team member. By no
17later than 6 months after January 1, 2020 (the effective date
18of Public Act 101-461) this amendatory Act of the 101st
19General Assembly, the Department of Insurance shall convene a
20workgroup of Illinois insurance companies and Illinois mental
21health treatment providers that deliver the bundled treatment
22approaches listed in this Section to determine a coding
23solution that allows for these bundled treatment models to be
24coded and paid for as a bundle of services, similar to
25intensive outpatient treatment where multiple services are
26covered under one billing code or a bundled set of billing

 

 

SB2435- 1122 -LRB102 04062 AMC 14078 b

1codes. The coding solution shall ensure that services
2delivered using coordinated specialty care for first episode
3psychosis treatment, ACT, or CST are provided and billed as a
4bundled service, rather than for each individual service
5provided by a treatment team member, which would deconstruct
6the evidence-based practice. The coding solution shall be
7reached prior to coverage, which shall begin for plans
8amended, delivered, issued, or renewed after December 31,
92020, to ensure coverage of the treatment team approaches as
10intended by this Section.
11    (f) If, at any time, the Secretary of the United States
12Department of Health and Human Services, or its successor
13agency, adopts rules or regulations to be published in the
14Federal Register or publishes a comment in the Federal
15Register or issues an opinion, guidance, or other action that
16would require the State, under any provision of the Patient
17Protection and Affordable Care Act (P.L. 111-148), including,
18but not limited to, 42 U.S.C. 18031(d)(3)(b), or any successor
19provision, to defray the cost of any coverage for serious
20mental illnesses or serious emotional disturbances outlined in
21this Section, then the requirement that a group or individual
22policy of accident and health insurance or managed care plan
23cover the bundled treatment approaches listed in this Section
24is inoperative other than any such coverage authorized under
25Section 1902 of the Social Security Act, 42 U.S.C. 1396a, and
26the State shall not assume any obligation for the cost of the

 

 

SB2435- 1123 -LRB102 04062 AMC 14078 b

1coverage.
2    (g) After 5 years following full implementation of this
3Section, if requested by an insurer, the Department of
4Insurance shall contract with an independent third party with
5expertise in analyzing health insurance premiums and costs to
6perform an independent analysis of the impact coverage of the
7team-based treatment models listed in this Section has had on
8insurance premiums in Illinois. If premiums increased by more
9than 1% annually solely due to coverage of these treatment
10models, coverage of these models shall no longer be required.
11    (h) The Department of Insurance shall adopt any rules
12necessary to implement the provisions of this Section by no
13later than June 30, 2020.
14(Source: P.A. 101-461, eff. 1-1-20; revised 10-16-19.)
 
15    (215 ILCS 5/356z.37)
16    Sec. 356z.37 356z.33. Whole body skin examination. An
17individual or group policy of accident and health insurance
18shall cover, without imposing a deductible, coinsurance,
19copayment, or any other cost-sharing requirement upon the
20insured patient, one annual office visit, using appropriate
21routine evaluation and management Current Procedural
22Terminology codes or any successor codes, for a whole body
23skin examination for lesions suspicious for skin cancer. The
24whole body skin examination shall be indicated using an
25appropriate International Statistical Classification of

 

 

SB2435- 1124 -LRB102 04062 AMC 14078 b

1Diseases and Related Health Problems code or any successor
2codes. The provisions of this Section do not apply to the
3extent such coverage would disqualify a high-deductible health
4plan from eligibility for a health savings account pursuant to
526 U.S.C. 223.
6(Source: P.A. 101-500, eff. 1-1-20; revised 10-16-19.)
 
7    (215 ILCS 5/356z.38)
8    Sec. 356z.38 356z.33. Human breast milk coverage.
9    (a) Notwithstanding any other provision of this Act,
10pasteurized donated human breast milk, which may include human
11milk fortifiers if indicated by a prescribing licensed medical
12practitioner, shall be covered under an individual or group
13health insurance for persons who are otherwise eligible for
14coverage under this Act if the covered person is an infant
15under the age of 6 months, a licensed medical practitioner
16prescribes the milk for the covered person, and all of the
17following conditions are met:
18        (1) the milk is obtained from a human milk bank that
19    meets quality guidelines established by the Human Milk
20    Banking Association of North America or is licensed by the
21    Department of Public Health;
22        (2) the infant's mother is medically or physically
23    unable to produce maternal breast milk or produce maternal
24    breast milk in sufficient quantities to meet the infant's
25    needs or the maternal breast milk is contraindicated;

 

 

SB2435- 1125 -LRB102 04062 AMC 14078 b

1        (3) the milk has been determined to be medically
2    necessary for the infant; and
3        (4) one or more of the following applies:
4            (A) the infant's birth weight is below 1,500
5        grams;
6            (B) the infant has a congenital or acquired
7        condition that places the infant at a high risk for
8        development of necrotizing enterocolitis;
9            (C) the infant has infant hypoglycemia;
10            (D) the infant has congenital heart disease;
11            (E) the infant has had or will have an organ
12        transplant;
13            (F) the infant has sepsis; or
14            (G) the infant has any other serious congenital or
15        acquired condition for which the use of donated human
16        breast milk is medically necessary and supports the
17        treatment and recovery of the infant.
18    (b) Notwithstanding any other provision of this Act,
19pasteurized donated human breast milk, which may include human
20milk fortifiers if indicated by a prescribing licensed medical
21practitioner, shall be covered under an individual or group
22health insurance for persons who are otherwise eligible for
23coverage under this Act if the covered person is a child 6
24months through 12 months of age, a licensed medical
25practitioner prescribes the milk for the covered person, and
26all of the following conditions are met:

 

 

SB2435- 1126 -LRB102 04062 AMC 14078 b

1        (1) the milk is obtained from a human milk bank that
2    meets quality guidelines established by the Human Milk
3    Banking Association of North America or is licensed by the
4    Department of Public Health;
5        (2) the child's mother is medically or physically
6    unable to produce maternal breast milk or produce maternal
7    breast milk in sufficient quantities to meet the child's
8    needs or the maternal breast milk is contraindicated;
9        (3) the milk has been determined to be medically
10    necessary for the child; and
11        (4) one or more of the following applies:
12            (A) the child has spinal muscular atrophy;
13            (B) the child's birth weight was below 1,500 grams
14        and he or she has long-term feeding or
15        gastrointestinal complications related to prematurity;
16            (C) the child has had or will have an organ
17        transplant; or
18            (D) the child has a congenital or acquired
19        condition for which the use of donated human breast
20        milk is medically necessary and supports the treatment
21        and recovery of the child.
22(Source: P.A. 101-511, eff. 1-1-20; revised 10-16-19.)
 
23    (215 ILCS 5/356z.39)
24    Sec. 356z.39 356z.33. Coverage of the psychiatric
25Collaborative Care Model.

 

 

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1    (a) As used in this Section, "psychiatric Collaborative
2Care Model" means the evidence-based, integrated behavioral
3health service delivery method, which includes a formal
4collaborative arrangement among a primary care team consisting
5of a primary care provider, a care manager, and a psychiatric
6consultant, and includes, but is not limited to, the following
7elements:
8        (1) care directed by the primary care team;
9        (2) structured care management;
10        (3) regular assessments of clinical status using
11    validated tools; and
12        (4) modification of treatment as appropriate.
13    (b) An individual or group policy of accident and health
14insurance amended, delivered, issued, or renewed on or after
15January 1, 2020 (the effective date of Public Act 101-574)
16this amendatory Act of the 101st General Assembly or managed
17care organization that provides mental health benefits shall
18provide reimbursement for benefits that are delivered through
19the psychiatric Collaborative Care Model. The following
20American Medical Association 2018 current procedural
21terminology codes and Healthcare Common Procedure Coding
22System code shall be used to bill for benefits delivered
23through the psychiatric Collaborative Care Model:
24        (1) 99492;
25        (2) 99493;
26        (3) 99494; and

 

 

SB2435- 1128 -LRB102 04062 AMC 14078 b

1        (4) G0512.
2    (c) The Director of Insurance shall update the billing
3codes in subsection (b) if there are any alterations or
4additions to the billing codes for the psychiatric
5Collaborative Care Model.
6    (d) An individual or group policy or managed care
7organization that provides benefits under this Section may
8deny reimbursement of any billing code listed in this Section
9on the grounds of medical necessity if such medical necessity
10determinations are in compliance with the Paul Wellstone and
11Pete Domenici Mental Health Parity and Addiction Equity Act of
122008 and its implementing and related regulations and that
13such determinations are made in accordance with the
14utilization review requirements under Section 85 of the
15Managed Care Reform and Patient Rights Act.
16(Source: P.A. 101-574, eff. 1-1-20; revised 10-16-19.)
 
17    (215 ILCS 5/368g)
18    Sec. 368g. Time-based billing.
19    (a) As used in this Section, "CPT code" means the medical
20billing code set contained in the most recent version of the
21Current Procedural Terminology code book published by the
22American Medical Association.
23    (b) A health care plan requiring a health care provider to
24use a time-based CPT code to bill for health care services
25shall not apply a time measurement standard that results in

 

 

SB2435- 1129 -LRB102 04062 AMC 14078 b

1fewer units billed than allowed by the CPT code book, except as
2required by federal law for federally funded federally-funded
3patients.
4(Source: P.A. 101-119, eff. 7-22-19; revised 9-26-19.)
 
5    (215 ILCS 5/370c)  (from Ch. 73, par. 982c)
6    Sec. 370c. Mental and emotional disorders.
7    (a)(1) On and after August 16, 2019 January 1, 2019 (the
8effective date of Public Act 101-386 this amendatory Act of
9the 101st General Assembly Public Act 100-1024), every insurer
10that amends, delivers, issues, or renews group accident and
11health policies providing coverage for hospital or medical
12treatment or services for illness on an expense-incurred basis
13shall provide coverage for reasonable and necessary treatment
14and services for mental, emotional, nervous, or substance use
15disorders or conditions consistent with the parity
16requirements of Section 370c.1 of this Code.
17    (2) Each insured that is covered for mental, emotional,
18nervous, or substance use disorders or conditions shall be
19free to select the physician licensed to practice medicine in
20all its branches, licensed clinical psychologist, licensed
21clinical social worker, licensed clinical professional
22counselor, licensed marriage and family therapist, licensed
23speech-language pathologist, or other licensed or certified
24professional at a program licensed pursuant to the Substance
25Use Disorder Act of his choice to treat such disorders, and the

 

 

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1insurer shall pay the covered charges of such physician
2licensed to practice medicine in all its branches, licensed
3clinical psychologist, licensed clinical social worker,
4licensed clinical professional counselor, licensed marriage
5and family therapist, licensed speech-language pathologist, or
6other licensed or certified professional at a program licensed
7pursuant to the Substance Use Disorder Act up to the limits of
8coverage, provided (i) the disorder or condition treated is
9covered by the policy, and (ii) the physician, licensed
10psychologist, licensed clinical social worker, licensed
11clinical professional counselor, licensed marriage and family
12therapist, licensed speech-language pathologist, or other
13licensed or certified professional at a program licensed
14pursuant to the Substance Use Disorder Act is authorized to
15provide said services under the statutes of this State and in
16accordance with accepted principles of his profession.
17    (3) Insofar as this Section applies solely to licensed
18clinical social workers, licensed clinical professional
19counselors, licensed marriage and family therapists, licensed
20speech-language pathologists, and other licensed or certified
21professionals at programs licensed pursuant to the Substance
22Use Disorder Act, those persons who may provide services to
23individuals shall do so after the licensed clinical social
24worker, licensed clinical professional counselor, licensed
25marriage and family therapist, licensed speech-language
26pathologist, or other licensed or certified professional at a

 

 

SB2435- 1131 -LRB102 04062 AMC 14078 b

1program licensed pursuant to the Substance Use Disorder Act
2has informed the patient of the desirability of the patient
3conferring with the patient's primary care physician.
4    (4) "Mental, emotional, nervous, or substance use disorder
5or condition" means a condition or disorder that involves a
6mental health condition or substance use disorder that falls
7under any of the diagnostic categories listed in the mental
8and behavioral disorders chapter of the current edition of the
9International Classification of Disease or that is listed in
10the most recent version of the Diagnostic and Statistical
11Manual of Mental Disorders. "Mental, emotional, nervous, or
12substance use disorder or condition" includes any mental
13health condition that occurs during pregnancy or during the
14postpartum period and includes, but is not limited to,
15postpartum depression.
16    (b)(1) (Blank).
17    (2) (Blank).
18    (2.5) (Blank).
19    (3) Unless otherwise prohibited by federal law and
20consistent with the parity requirements of Section 370c.1 of
21this Code, the reimbursing insurer that amends, delivers,
22issues, or renews a group or individual policy of accident and
23health insurance, a qualified health plan offered through the
24health insurance marketplace, or a provider of treatment of
25mental, emotional, nervous, or substance use disorders or
26conditions shall furnish medical records or other necessary

 

 

SB2435- 1132 -LRB102 04062 AMC 14078 b

1data that substantiate that initial or continued treatment is
2at all times medically necessary. An insurer shall provide a
3mechanism for the timely review by a provider holding the same
4license and practicing in the same specialty as the patient's
5provider, who is unaffiliated with the insurer, jointly
6selected by the patient (or the patient's next of kin or legal
7representative if the patient is unable to act for himself or
8herself), the patient's provider, and the insurer in the event
9of a dispute between the insurer and patient's provider
10regarding the medical necessity of a treatment proposed by a
11patient's provider. If the reviewing provider determines the
12treatment to be medically necessary, the insurer shall provide
13reimbursement for the treatment. Future contractual or
14employment actions by the insurer regarding the patient's
15provider may not be based on the provider's participation in
16this procedure. Nothing prevents the insured from agreeing in
17writing to continue treatment at his or her expense. When
18making a determination of the medical necessity for a
19treatment modality for mental, emotional, nervous, or
20substance use disorders or conditions, an insurer must make
21the determination in a manner that is consistent with the
22manner used to make that determination with respect to other
23diseases or illnesses covered under the policy, including an
24appeals process. Medical necessity determinations for
25substance use disorders shall be made in accordance with
26appropriate patient placement criteria established by the

 

 

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1American Society of Addiction Medicine. No additional criteria
2may be used to make medical necessity determinations for
3substance use disorders.
4    (4) A group health benefit plan amended, delivered,
5issued, or renewed on or after January 1, 2019 (the effective
6date of Public Act 100-1024) or an individual policy of
7accident and health insurance or a qualified health plan
8offered through the health insurance marketplace amended,
9delivered, issued, or renewed on or after January 1, 2019 (the
10effective date of Public Act 100-1024):
11        (A) shall provide coverage based upon medical
12    necessity for the treatment of a mental, emotional,
13    nervous, or substance use disorder or condition consistent
14    with the parity requirements of Section 370c.1 of this
15    Code; provided, however, that in each calendar year
16    coverage shall not be less than the following:
17            (i) 45 days of inpatient treatment; and
18            (ii) beginning on June 26, 2006 (the effective
19        date of Public Act 94-921), 60 visits for outpatient
20        treatment including group and individual outpatient
21        treatment; and
22            (iii) for plans or policies delivered, issued for
23        delivery, renewed, or modified after January 1, 2007
24        (the effective date of Public Act 94-906), 20
25        additional outpatient visits for speech therapy for
26        treatment of pervasive developmental disorders that

 

 

SB2435- 1134 -LRB102 04062 AMC 14078 b

1        will be in addition to speech therapy provided
2        pursuant to item (ii) of this subparagraph (A); and
3        (B) may not include a lifetime limit on the number of
4    days of inpatient treatment or the number of outpatient
5    visits covered under the plan.
6        (C) (Blank).
7    (5) An issuer of a group health benefit plan or an
8individual policy of accident and health insurance or a
9qualified health plan offered through the health insurance
10marketplace may not count toward the number of outpatient
11visits required to be covered under this Section an outpatient
12visit for the purpose of medication management and shall cover
13the outpatient visits under the same terms and conditions as
14it covers outpatient visits for the treatment of physical
15illness.
16    (5.5) An individual or group health benefit plan amended,
17delivered, issued, or renewed on or after September 9, 2015
18(the effective date of Public Act 99-480) shall offer coverage
19for medically necessary acute treatment services and medically
20necessary clinical stabilization services. The treating
21provider shall base all treatment recommendations and the
22health benefit plan shall base all medical necessity
23determinations for substance use disorders in accordance with
24the most current edition of the Treatment Criteria for
25Addictive, Substance-Related, and Co-Occurring Conditions
26established by the American Society of Addiction Medicine. The

 

 

SB2435- 1135 -LRB102 04062 AMC 14078 b

1treating provider shall base all treatment recommendations and
2the health benefit plan shall base all medical necessity
3determinations for medication-assisted treatment in accordance
4with the most current Treatment Criteria for Addictive,
5Substance-Related, and Co-Occurring Conditions established by
6the American Society of Addiction Medicine.
7    As used in this subsection:
8    "Acute treatment services" means 24-hour medically
9supervised addiction treatment that provides evaluation and
10withdrawal management and may include biopsychosocial
11assessment, individual and group counseling, psychoeducational
12groups, and discharge planning.
13    "Clinical stabilization services" means 24-hour treatment,
14usually following acute treatment services for substance
15abuse, which may include intensive education and counseling
16regarding the nature of addiction and its consequences,
17relapse prevention, outreach to families and significant
18others, and aftercare planning for individuals beginning to
19engage in recovery from addiction.
20    (6) An issuer of a group health benefit plan may provide or
21offer coverage required under this Section through a managed
22care plan.
23    (6.5) An individual or group health benefit plan amended,
24delivered, issued, or renewed on or after January 1, 2019 (the
25effective date of Public Act 100-1024):
26        (A) shall not impose prior authorization requirements,

 

 

SB2435- 1136 -LRB102 04062 AMC 14078 b

1    other than those established under the Treatment Criteria
2    for Addictive, Substance-Related, and Co-Occurring
3    Conditions established by the American Society of
4    Addiction Medicine, on a prescription medication approved
5    by the United States Food and Drug Administration that is
6    prescribed or administered for the treatment of substance
7    use disorders;
8        (B) shall not impose any step therapy requirements,
9    other than those established under the Treatment Criteria
10    for Addictive, Substance-Related, and Co-Occurring
11    Conditions established by the American Society of
12    Addiction Medicine, before authorizing coverage for a
13    prescription medication approved by the United States Food
14    and Drug Administration that is prescribed or administered
15    for the treatment of substance use disorders;
16        (C) shall place all prescription medications approved
17    by the United States Food and Drug Administration
18    prescribed or administered for the treatment of substance
19    use disorders on, for brand medications, the lowest tier
20    of the drug formulary developed and maintained by the
21    individual or group health benefit plan that covers brand
22    medications and, for generic medications, the lowest tier
23    of the drug formulary developed and maintained by the
24    individual or group health benefit plan that covers
25    generic medications; and
26        (D) shall not exclude coverage for a prescription

 

 

SB2435- 1137 -LRB102 04062 AMC 14078 b

1    medication approved by the United States Food and Drug
2    Administration for the treatment of substance use
3    disorders and any associated counseling or wraparound
4    services on the grounds that such medications and services
5    were court ordered.
6    (7) (Blank).
7    (8) (Blank).
8    (9) With respect to all mental, emotional, nervous, or
9substance use disorders or conditions, coverage for inpatient
10treatment shall include coverage for treatment in a
11residential treatment center certified or licensed by the
12Department of Public Health or the Department of Human
13Services.
14    (c) This Section shall not be interpreted to require
15coverage for speech therapy or other habilitative services for
16those individuals covered under Section 356z.15 of this Code.
17    (d) With respect to a group or individual policy of
18accident and health insurance or a qualified health plan
19offered through the health insurance marketplace, the
20Department and, with respect to medical assistance, the
21Department of Healthcare and Family Services shall each
22enforce the requirements of this Section and Sections 356z.23
23and 370c.1 of this Code, the Paul Wellstone and Pete Domenici
24Mental Health Parity and Addiction Equity Act of 2008, 42
25U.S.C. 18031(j), and any amendments to, and federal guidance
26or regulations issued under, those Acts, including, but not

 

 

SB2435- 1138 -LRB102 04062 AMC 14078 b

1limited to, final regulations issued under the Paul Wellstone
2and Pete Domenici Mental Health Parity and Addiction Equity
3Act of 2008 and final regulations applying the Paul Wellstone
4and Pete Domenici Mental Health Parity and Addiction Equity
5Act of 2008 to Medicaid managed care organizations, the
6Children's Health Insurance Program, and alternative benefit
7plans. Specifically, the Department and the Department of
8Healthcare and Family Services shall take action:
9        (1) proactively ensuring compliance by individual and
10    group policies, including by requiring that insurers
11    submit comparative analyses, as set forth in paragraph (6)
12    of subsection (k) of Section 370c.1, demonstrating how
13    they design and apply nonquantitative treatment
14    limitations, both as written and in operation, for mental,
15    emotional, nervous, or substance use disorder or condition
16    benefits as compared to how they design and apply
17    nonquantitative treatment limitations, as written and in
18    operation, for medical and surgical benefits;
19        (2) evaluating all consumer or provider complaints
20    regarding mental, emotional, nervous, or substance use
21    disorder or condition coverage for possible parity
22    violations;
23        (3) performing parity compliance market conduct
24    examinations or, in the case of the Department of
25    Healthcare and Family Services, parity compliance audits
26    of individual and group plans and policies, including, but

 

 

SB2435- 1139 -LRB102 04062 AMC 14078 b

1    not limited to, reviews of:
2            (A) nonquantitative treatment limitations,
3        including, but not limited to, prior authorization
4        requirements, concurrent review, retrospective review,
5        step therapy, network admission standards,
6        reimbursement rates, and geographic restrictions;
7            (B) denials of authorization, payment, and
8        coverage; and
9            (C) other specific criteria as may be determined
10        by the Department.
11    The findings and the conclusions of the parity compliance
12market conduct examinations and audits shall be made public.
13    The Director may adopt rules to effectuate any provisions
14of the Paul Wellstone and Pete Domenici Mental Health Parity
15and Addiction Equity Act of 2008 that relate to the business of
16insurance.
17    (e) Availability of plan information.
18        (1) The criteria for medical necessity determinations
19    made under a group health plan, an individual policy of
20    accident and health insurance, or a qualified health plan
21    offered through the health insurance marketplace with
22    respect to mental health or substance use disorder
23    benefits (or health insurance coverage offered in
24    connection with the plan with respect to such benefits)
25    must be made available by the plan administrator (or the
26    health insurance issuer offering such coverage) to any

 

 

SB2435- 1140 -LRB102 04062 AMC 14078 b

1    current or potential participant, beneficiary, or
2    contracting provider upon request.
3        (2) The reason for any denial under a group health
4    benefit plan, an individual policy of accident and health
5    insurance, or a qualified health plan offered through the
6    health insurance marketplace (or health insurance coverage
7    offered in connection with such plan or policy) of
8    reimbursement or payment for services with respect to
9    mental, emotional, nervous, or substance use disorders or
10    conditions benefits in the case of any participant or
11    beneficiary must be made available within a reasonable
12    time and in a reasonable manner and in readily
13    understandable language by the plan administrator (or the
14    health insurance issuer offering such coverage) to the
15    participant or beneficiary upon request.
16    (f) As used in this Section, "group policy of accident and
17health insurance" and "group health benefit plan" includes (1)
18State-regulated employer-sponsored group health insurance
19plans written in Illinois or which purport to provide coverage
20for a resident of this State; and (2) State employee health
21plans.
22    (g) (1) As used in this subsection:
23    "Benefits", with respect to insurers, means the benefits
24provided for treatment services for inpatient and outpatient
25treatment of substance use disorders or conditions at American
26Society of Addiction Medicine levels of treatment 2.1

 

 

SB2435- 1141 -LRB102 04062 AMC 14078 b

1(Intensive Outpatient), 2.5 (Partial Hospitalization), 3.1
2(Clinically Managed Low-Intensity Residential), 3.3
3(Clinically Managed Population-Specific High-Intensity
4Residential), 3.5 (Clinically Managed High-Intensity
5Residential), and 3.7 (Medically Monitored Intensive
6Inpatient) and OMT (Opioid Maintenance Therapy) services.
7    "Benefits", with respect to managed care organizations,
8means the benefits provided for treatment services for
9inpatient and outpatient treatment of substance use disorders
10or conditions at American Society of Addiction Medicine levels
11of treatment 2.1 (Intensive Outpatient), 2.5 (Partial
12Hospitalization), 3.5 (Clinically Managed High-Intensity
13Residential), and 3.7 (Medically Monitored Intensive
14Inpatient) and OMT (Opioid Maintenance Therapy) services.
15    "Substance use disorder treatment provider or facility"
16means a licensed physician, licensed psychologist, licensed
17psychiatrist, licensed advanced practice registered nurse, or
18licensed, certified, or otherwise State-approved facility or
19provider of substance use disorder treatment.
20    (2) A group health insurance policy, an individual health
21benefit plan, or qualified health plan that is offered through
22the health insurance marketplace, small employer group health
23plan, and large employer group health plan that is amended,
24delivered, issued, executed, or renewed in this State, or
25approved for issuance or renewal in this State, on or after
26January 1, 2019 (the effective date of Public Act 100-1023)

 

 

SB2435- 1142 -LRB102 04062 AMC 14078 b

1shall comply with the requirements of this Section and Section
2370c.1. The services for the treatment and the ongoing
3assessment of the patient's progress in treatment shall follow
4the requirements of 77 Ill. Adm. Code 2060.
5    (3) Prior authorization shall not be utilized for the
6benefits under this subsection. The substance use disorder
7treatment provider or facility shall notify the insurer of the
8initiation of treatment. For an insurer that is not a managed
9care organization, the substance use disorder treatment
10provider or facility notification shall occur for the
11initiation of treatment of the covered person within 2
12business days. For managed care organizations, the substance
13use disorder treatment provider or facility notification shall
14occur in accordance with the protocol set forth in the
15provider agreement for initiation of treatment within 24
16hours. If the managed care organization is not capable of
17accepting the notification in accordance with the contractual
18protocol during the 24-hour period following admission, the
19substance use disorder treatment provider or facility shall
20have one additional business day to provide the notification
21to the appropriate managed care organization. Treatment plans
22shall be developed in accordance with the requirements and
23timeframes established in 77 Ill. Adm. Code 2060. If the
24substance use disorder treatment provider or facility fails to
25notify the insurer of the initiation of treatment in
26accordance with these provisions, the insurer may follow its

 

 

SB2435- 1143 -LRB102 04062 AMC 14078 b

1normal prior authorization processes.
2    (4) For an insurer that is not a managed care
3organization, if an insurer determines that benefits are no
4longer medically necessary, the insurer shall notify the
5covered person, the covered person's authorized
6representative, if any, and the covered person's health care
7provider in writing of the covered person's right to request
8an external review pursuant to the Health Carrier External
9Review Act. The notification shall occur within 24 hours
10following the adverse determination.
11    Pursuant to the requirements of the Health Carrier
12External Review Act, the covered person or the covered
13person's authorized representative may request an expedited
14external review. An expedited external review may not occur if
15the substance use disorder treatment provider or facility
16determines that continued treatment is no longer medically
17necessary. Under this subsection, a request for expedited
18external review must be initiated within 24 hours following
19the adverse determination notification by the insurer. Failure
20to request an expedited external review within 24 hours shall
21preclude a covered person or a covered person's authorized
22representative from requesting an expedited external review.
23    If an expedited external review request meets the criteria
24of the Health Carrier External Review Act, an independent
25review organization shall make a final determination of
26medical necessity within 72 hours. If an independent review

 

 

SB2435- 1144 -LRB102 04062 AMC 14078 b

1organization upholds an adverse determination, an insurer
2shall remain responsible to provide coverage of benefits
3through the day following the determination of the independent
4review organization. A decision to reverse an adverse
5determination shall comply with the Health Carrier External
6Review Act.
7    (5) The substance use disorder treatment provider or
8facility shall provide the insurer with 7 business days'
9advance notice of the planned discharge of the patient from
10the substance use disorder treatment provider or facility and
11notice on the day that the patient is discharged from the
12substance use disorder treatment provider or facility.
13    (6) The benefits required by this subsection shall be
14provided to all covered persons with a diagnosis of substance
15use disorder or conditions. The presence of additional related
16or unrelated diagnoses shall not be a basis to reduce or deny
17the benefits required by this subsection.
18    (7) Nothing in this subsection shall be construed to
19require an insurer to provide coverage for any of the benefits
20in this subsection.
21(Source: P.A. 100-305, eff. 8-24-17; 100-1023, eff. 1-1-19;
22100-1024, eff. 1-1-19; 101-81, eff. 7-12-19; 101-386, eff.
238-16-19; revised 9-20-19.)
 
24    (215 ILCS 5/534.3)  (from Ch. 73, par. 1065.84-3)
25    Sec. 534.3. Covered claim; unearned premium defined.

 

 

SB2435- 1145 -LRB102 04062 AMC 14078 b

1    (a) "Covered claim" means an unpaid claim for a loss
2arising out of and within the coverage of an insurance policy
3to which this Article applies and which is in force at the time
4of the occurrence giving rise to the unpaid claim, including
5claims presented during any extended discovery period which
6was purchased from the company before the entry of a
7liquidation order or which is purchased or obtained from the
8liquidator after the entry of a liquidation order, made by a
9person insured under such policy or by a person suffering
10injury or damage for which a person insured under such policy
11is legally liable, and for unearned premium, if:
12        (i) The company issuing, assuming, or being allocated
13    the policy becomes an insolvent company as defined in
14    Section 534.4 after the effective date of this Article;
15    and
16        (ii) The claimant or insured is a resident of this
17    State at the time of the insured occurrence, or the
18    property from which a first party claim for damage to
19    property arises is permanently located in this State or,
20    in the case of an unearned premium claim, the policyholder
21    is a resident of this State at the time the policy was
22    issued; provided, that for entities other than an
23    individual, the residence of a claimant, insured, or
24    policyholder is the state in which its principal place of
25    business is located at the time of the insured event.
26    (b) "Covered claim" does not include:

 

 

SB2435- 1146 -LRB102 04062 AMC 14078 b

1        (i) any amount in excess of the applicable limits of
2    liability provided by an insurance policy to which this
3    Article applies; nor
4        (ii) any claim for punitive or exemplary damages or
5    fines and penalties paid to government authorities; nor
6        (iii) any first party claim by an insured who is an
7    affiliate of the insolvent company; nor
8        (iv) any first party or third party claim by or
9    against an insured whose net worth on December 31 of the
10    year next preceding the date the insurer becomes an
11    insolvent insurer exceeds $25,000,000; provided that an
12    insured's net worth on such date shall be deemed to
13    include the aggregate net worth of the insured and all of
14    its affiliates as calculated on a consolidated basis.
15    However, this exclusion shall not apply to third party
16    claims against the insured where the insured has applied
17    for or consented to the appointment of a receiver,
18    trustee, or liquidator for all or a substantial part of
19    its assets, filed a voluntary petition in bankruptcy,
20    filed a petition or an answer seeking a reorganization or
21    arrangement with creditors or to take advantage of any
22    insolvency law, or if an order, judgment, or decree is
23    entered by a court of competent jurisdiction, on the
24    application of a creditor, adjudicating the insured
25    bankrupt or insolvent or approving a petition seeking
26    reorganization of the insured or of all or substantial

 

 

SB2435- 1147 -LRB102 04062 AMC 14078 b

1    part of its assets; nor
2        (v) any claim for any amount due any reinsurer,
3    insurer, insurance pool, or underwriting association as
4    subrogated recoveries, reinsurance recoverables,
5    contribution, indemnification or otherwise. No such claim
6    held by a reinsurer, insurer, insurance pool, or
7    underwriting association may be asserted in any legal
8    action against a person insured under a policy issued by
9    an insolvent company other than to the extent such claim
10    exceeds the Fund obligation limitations set forth in
11    Section 537.2 of this Code.
12    (c) "Unearned Premium" means the premium for the unexpired
13period of a policy which has been terminated prior to the
14expiration of the period for which premium has been paid and
15does not mean premium which is returnable to the insured for
16any other reason.
17(Source: P.A. 100-1190, eff. 4-5-19; 101-60, eff. 7-12-19;
18revised 9-20-19.)
 
19    Section 495. The Dental Service Plan Act is amended by
20changing Section 47 as follows:
 
21    (215 ILCS 110/47)  (from Ch. 32, par. 690.47)
22    Sec. 47. Continuance privilege; group privilege - Group
23type contracts contacts.
24    (1) Every service plan contract of a dental service plan

 

 

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1corporation which provides that the continued coverage of a
2beneficiary is contingent upon the continued employment of the
3subscriber with a particular employer shall further provide
4for the continuance of such contract in accordance with the
5requirements set forth in Section 367.2 of the "Illinois
6Insurance Code", approved June 29, 1937, as amended.
7    (2) The requirements of this Section shall apply to all
8such contracts delivered, issued for delivery, renewed, or
9amended on or after December 1, 1985 (the effective date of
10Public Act 84-556) this amendatory Act of 1985.
11(Source: P.A. 84-556; revised 8-23-19.)
 
12    Section 500. The Health Maintenance Organization Act is
13amended by changing Section 5-5 as follows:
 
14    (215 ILCS 125/5-5)  (from Ch. 111 1/2, par. 1413)
15    Sec. 5-5. Suspension, revocation, or denial of
16certification of authority. The Director may suspend or revoke
17any certificate of authority issued to a health maintenance
18organization under this Act or deny an application for a
19certificate of authority if he finds any of the following:
20        (a) The health maintenance organization is operating
21    significantly in contravention of its basic organizational
22    document, its health care plan, or in a manner contrary to
23    that described in any information submitted under Section
24    2-1 or 4-12.

 

 

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1        (b) The health maintenance organization issues
2    contracts or evidences of coverage or uses a schedule of
3    charges for health care services that do not comply with
4    the requirement of Section 2-1 or 4-12.
5        (c) The health care plan does not provide or arrange
6    for basic health care services, except as provided in
7    Section 4-13 concerning mental health services for clients
8    of the Department of Children and Family Services.
9        (d) The Director of Public Health certifies to the
10    Director that (1) the health maintenance organization does
11    not meet the requirements of Section 2-2 or (2) the health
12    maintenance organization is unable to fulfill its
13    obligations to furnish health care services as required
14    under its health care plan. The Department of Public
15    Health shall promulgate by rule, pursuant to the Illinois
16    Administrative Procedure Act, the precise standards used
17    for determining what constitutes a material
18    misrepresentation, what constitutes a material violation
19    of a contract or evidence of coverage, or what constitutes
20    good faith with regard to certification under this
21    paragraph.
22        (e) The health maintenance organization is no longer
23    financially responsible and may reasonably be expected to
24    be unable to meet its obligations to enrollees or
25    prospective enrollees.
26        (f) The health maintenance organization, or any person

 

 

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1    on its behalf, has advertised or merchandised its services
2    in an untrue, misrepresentative, misleading, deceptive, or
3    unfair manner.
4        (g) The continued operation of the health maintenance
5    organization would be hazardous to its enrollees.
6        (h) The health maintenance organization has neglected
7    to correct, within the time prescribed by subsection (c)
8    of Section 2-4, any deficiency occurring due to the
9    organization's prescribed minimum net worth or special
10    contingent reserve being impaired.
11        (i) The health maintenance organization has otherwise
12    failed to substantially comply with this Act.
13        (j) The health maintenance organization has failed to
14    meet the requirements for issuance of a certificate of
15    authority set forth in Section 2-2.
16        When the certificate of authority of a health
17    maintenance organization is revoked, the organization
18    shall proceed, immediately following the effective date of
19    the order of revocation, to wind up its affairs and shall
20    conduct no further business except as may be essential to
21    the orderly conclusion of the affairs of the organization.
22    The Director may permit further operation of the
23    organization that he finds to be in the best interest of
24    enrollees to the end that the enrollees will be afforded
25    the greatest practical opportunity to obtain health care
26    services.

 

 

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1        (k) The health maintenance organization has failed to
2    pay any assessment due under Article V-H of the Illinois
3    Public Aid Code for 60 days following the due date of the
4    payment (as extended by any grace period granted).
5(Source: P.A. 101-9, eff. 6-5-19; revised 8-23-19.)
 
6    Section 505. The Use of Credit Information in Personal
7Insurance Act is amended by changing Section 10 as follows:
 
8    (215 ILCS 157/10)
9    Sec. 10. Scope. This Act applies to personal insurance and
10not to commercial insurance. For purposes of this Act,
11"personal insurance" means private passenger automobile,
12homeowners, motorcycle, mobile-homeowners and non-commercial
13dwelling fire insurance policies, and boat, personal
14watercraft, snowmobile, and recreational vehicle policies
15polices. Such policies must be individually underwritten for
16personal, family, or household use. No other type of insurance
17shall be included as personal insurance for the purpose of
18this Act.
19(Source: P.A. 93-114, eff. 10-1-03; revised 8-23-19.)
 
20    Section 510. The Voluntary Health Services Plans Act is
21amended by changing Section 15.6-1 as follows:
 
22    (215 ILCS 165/15.6-1)  (from Ch. 32, par. 609.6-1)

 

 

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1    Sec. 15.6-1. Continuance privilege; group privilege -
2Group type contracts contacts.
3    (1) Every service plan contract of a health service plan
4corporation which provides that the continued coverage of a
5beneficiary is contingent upon the continued employment of the
6subscriber with a particular employer shall further provide
7for the continuance of such contract in accordance with the
8requirements set forth in Section 367.2 of the "Illinois
9Insurance Code", approved June 29, 1937, as amended.
10    (2) The requirements of this Section shall apply to all
11such contracts delivered, issued for delivery, renewed or
12amended on or after December 1, 1985 (the effective date of
13Public Act 84-556) this amendatory Act of 1985.
14(Source: P.A. 84-556; revised 8-23-19.)
 
15    Section 515. The Organ Transplant Medication Notification
16Act is amended by changing Section 10 as follows:
 
17    (215 ILCS 175/10)
18    Sec. 10. Definitions. For the purpose of this Act:
19    "Health insurance policy or health care service plan"
20means any policy of health or accident insurance subject to
21the provisions of the Illinois Insurance Code, Health
22Maintenance Organization Act, Voluntary Health Services Plans
23Plan Act, Counties Code, Illinois Municipal Code, School Code,
24and State Employees Group Insurance Act of 1971.

 

 

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1    "Immunosuppressant drugs" mean drugs that are used in
2immunosuppressive therapy to inhibit or prevent the activity
3of the immune system. "Immunosuppressant drugs" are used
4clinically to prevent the rejection of transplanted organs and
5tissues. "Immunosuppressant drugs" do not include drugs for
6the treatment of autoimmune diseases or diseases that are most
7likely of autoimmune origin.
8(Source: P.A. 96-766, eff. 1-1-10; revised 8-23-19.)
 
9    Section 520. The Public Utilities Act is amended by
10changing Sections 5-117, 13-507.1, and 16-130 as follows:
 
11    (220 ILCS 5/5-117)
12    Sec. 5-117. Supplier diversity goals.
13    (a) The public policy of this State is to collaboratively
14work with companies that serve Illinois residents to improve
15their supplier diversity in a non-antagonistic manner.
16    (b) The Commission shall require all gas, electric, and
17water companies with at least 100,000 customers under its
18authority, as well as suppliers of wind energy, solar energy,
19hydroelectricity, nuclear energy, and any other supplier of
20energy within this State, to submit an annual report by April
2115, 2015 and every April 15 thereafter, in a searchable Adobe
22PDF format, on all procurement goals and actual spending for
23female-owned, minority-owned, veteran-owned, and small
24business enterprises in the previous calendar year. These

 

 

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1goals shall be expressed as a percentage of the total work
2performed by the entity submitting the report, and the actual
3spending for all female-owned, minority-owned, veteran-owned,
4and small business enterprises shall also be expressed as a
5percentage of the total work performed by the entity
6submitting the report.
7    (c) Each participating company in its annual report shall
8include the following information:
9        (1) an explanation of the plan for the next year to
10    increase participation;
11        (2) an explanation of the plan to increase the goals;
12        (3) the areas of procurement each company shall be
13    actively seeking more participation in in the next year;
14        (4) an outline of the plan to alert and encourage
15    potential vendors in that area to seek business from the
16    company;
17        (5) an explanation of the challenges faced in finding
18    quality vendors and offer any suggestions for what the
19    Commission could do to be helpful to identify those
20    vendors;
21        (6) a list of the certifications the company
22    recognizes;
23        (7) the point of contact for any potential vendor who
24    wishes to do business with the company and explain the
25    process for a vendor to enroll with the company as a
26    minority-owned, women-owned, or veteran-owned company; and

 

 

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1        (8) any particular success stories to encourage other
2    companies to emulate best practices.
3    (d) Each annual report shall include as much
4State-specific data as possible. If the submitting entity does
5not submit State-specific data, then the company shall include
6any national data it does have and explain why it could not
7submit State-specific data and how it intends to do so in
8future reports, if possible.
9    (e) Each annual report shall include the rules,
10regulations, and definitions used for the procurement goals in
11the company's annual report.
12    (f) The Commission and all participating entities shall
13hold an annual workshop open to the public in 2015 and every
14year thereafter on the state of supplier diversity to
15collaboratively seek solutions to structural impediments to
16achieving stated goals, including testimony from each
17participating entity as well as subject matter experts and
18advocates. The Commission shall publish a database on its
19website of the point of contact for each participating entity
20for supplier diversity, along with a list of certifications
21each company recognizes from the information submitted in each
22annual report. The Commission shall publish each annual report
23on its website and shall maintain each annual report for at
24least 5 years.
25(Source: P.A. 98-1056, eff. 8-26-14; 99-906, eff. 6-1-17;
26revised 7-22-19.)
 

 

 

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1    (220 ILCS 5/13-507.1)
2    (Section scheduled to be repealed on December 31, 2021)
3    Sec. 13-507.1. In any proceeding permitting, approving,
4investigating, or establishing rates, charges,
5classifications, or tariffs for telecommunications services
6classified as noncompetitive offered or provided by an
7incumbent local exchange carrier as that term is defined in
8Section 13-202.5 13-202.1 of this Act, the Commission shall
9not allow any subsidy of Internet services, cable services, or
10video services by the rates or charges for local exchange
11telecommunications services, including local services
12classified as noncompetitive.
13(Source: P.A. 100-20, eff. 7-1-17; revised 7-6-20.)
 
14    (220 ILCS 5/16-130)
15    Sec. 16-130. Annual reports Reports.
16    (a) The General Assembly finds that it is necessary to
17have reliable and accurate information regarding the
18transition to a competitive electric industry. In addition to
19the annual report requirements pursuant to Section 5-109 of
20this Act, each electric utility shall file with the Commission
21a report on the following topics in accordance with the
22schedule set forth in subsection (b) of this Section:
23        (1) Data on each customer class of the electric
24    utility in which delivery services have been elected,

 

 

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1    including:
2            (A) number of retail customers in each class that
3        have elected delivery service;
4            (B) kilowatt hours consumed by the customers
5        described in subparagraph (A);
6            (C) revenue loss experienced by the utility as a
7        result of customers electing delivery services or
8        market-based prices as compared to continued service
9        under otherwise applicable tariffed rates;
10            (D) total amount of funds collected from each
11        customer class pursuant to the transition charges
12        authorized in Section 16-108;
13            (E) such Such other information as the Commission
14        may by rule require.
15        (2) A description of any steps taken by the electric
16    utility to mitigate and reduce its costs, including both a
17    detailed description of steps taken during the preceding
18    calendar year and a summary of steps taken since December
19    16, 1997 (the effective date of Public Act 90-561) this
20    amendatory Act of 1997, and including, to the extent
21    practicable, quantification of the costs mitigated or
22    reduced by specific actions taken by the electric utility.
23        (3) A description of actions taken under Sections
24    5-104, 7-204, 9-220, and 16-111 of this Act. This
25    information shall include, but not be limited to:
26            (A) a description of the actions taken;

 

 

SB2435- 1158 -LRB102 04062 AMC 14078 b

1            (B) the effective date of the action;
2            (C) the annual savings or additional charges
3        realized by customers from actions taken, by customer
4        class and total for each year;
5            (D) the accumulated impact on customers by
6        customer class and total; and
7            (E) a summary of the method used to quantify the
8        impact on customers.
9        (4) A summary of the electric utility's use of
10    transitional funding instruments, including a description
11    of the electric utility's use of the proceeds of any
12    transitional funding instruments it has issued in
13    accordance with Article XVIII of this Act.
14        (5) Kilowatt-hours consumed in the twelve months
15    ending December 31, 1996 (which kilowatt-hours are hereby
16    referred to as "base year sales") by customer class
17    multiplied by the revenue per kilowatt hour, adjusted to
18    remove charges added to customers' bills pursuant to
19    Sections 9-221 and 9-222 of this Act, during the twelve
20    months ending December 31, 1996, adjusted for the
21    reductions required by subsection (b) of Section 16-111
22    and the mitigation factors contained in Section 16-102.
23    This amount shall be stated for: (i) each calendar year
24    preceding the year in which a report is required to be
25    submitted pursuant to subsection (b); and (ii) as a
26    cumulative total of all calendar years beginning with 1998

 

 

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1    and ending with the calendar year preceding the year in
2    which a report is required to be submitted pursuant to
3    subsection (b).
4        (6) Calculations identical to those required by
5    subparagraph (5) except that base year sales shall be
6    adjusted for growth in the electric utility's service
7    territory, in addition to the other adjustments specified
8    by the first sentence of subparagraph (5).
9        (7) The electric utility's total revenue and net
10    income for each calendar year beginning with 1997 through
11    the calendar year preceding the year in which a report is
12    required to be submitted pursuant to subsection (b) as
13    reported in the electric utility's Form 1 report to the
14    Federal Energy Regulatory Commission.
15        (8) Any consideration in excess of the net book cost
16    as of December 16, 1997 (the effective date of Public Act
17    90-561) this amendatory Act of 1997 received by the
18    electric utility during the year from a sale made
19    subsequent to December 16, 1997 (the effective date of
20    Public Act 90-561) this amendatory Act of 1997 to a
21    non-affiliated third party of any generating plant that
22    was owned by the electric utility on December 16, 1997
23    (the effective date of Public Act 90-561) this amendatory
24    Act of 1997.
25        (9) Any consideration received by the electric utility
26    from sales or transfers during the year to an affiliated

 

 

SB2435- 1160 -LRB102 04062 AMC 14078 b

1    interest of generating plant, or other plant that
2    represents an investment of $25,000,000 or more in terms
3    of total depreciated original cost, which generating or
4    other plant were owned by the electric utility prior to
5    December 16, 1997 (the effective date of Public Act
6    90-561) this amendatory Act of 1997.
7        (10) Any consideration received by an affiliated
8    interest of an electric utility from sales or transfers
9    during the year to a non-affiliated third party of
10    generating plant, but only if: (i) the electric utility
11    had previously sold or transferred such plant to the
12    affiliated interest subsequent to December 16, 1997 (the
13    effective date of Public Act 90-561) this amendatory Act
14    of 1997; (ii) the affiliated interest sells or transfers
15    such plant to a non-affiliated third party prior to
16    December 31, 2006; and (iii) the affiliated interest
17    receives consideration for the sale or transfer of such
18    plant to the non-affiliated third party in an amount
19    greater than the cost or price at which such plant was sold
20    or transferred to the affiliated interest by the electric
21    utility.
22        (11) A summary account of those expenditures made for
23    projects, programs, and improvements relating to
24    transmission and distribution including, without
25    limitation, infrastructure expansion, repair and
26    replacement, capital investments, operations and

 

 

SB2435- 1161 -LRB102 04062 AMC 14078 b

1    maintenance, and vegetation management, pursuant to a
2    written commitment made under subsection (k) of Section
3    16-111.
4    (b) The information required by subsection (a) shall be
5filed by each electric utility on or before March 1 of each
6year 1999 through 2007 or through such additional years as the
7electric utility is collecting transition charges pursuant to
8subsection (f) of Section 16-108, for the previous calendar
9year. The information required by subparagraph (6) of
10subsection (a) for calendar year 1997 shall be submitted by
11the electric utility on or before March 1, 1999.
12    (c) On or before May 15 of each year 1999 through 2006 or
13through such additional years as the electric utility is
14collecting transition charges pursuant to subsection (f) of
15Section 16-108, the Commission shall submit a report to the
16General Assembly which summarizes the information provided by
17each electric utility under this Section; provided, however,
18that proprietary or confidential information shall not be
19publicly disclosed.
20(Source: P.A. 90-561, eff. 12-16-97; 91-50, eff. 6-30-99;
21revised 7-22-19.)
 
22    Section 525. The Illinois Dental Practice Act is amended
23by changing Sections 4 and 17 as follows:
 
24    (225 ILCS 25/4)   (from Ch. 111, par. 2304)

 

 

SB2435- 1162 -LRB102 04062 AMC 14078 b

1    (Section scheduled to be repealed on January 1, 2026)
2    Sec. 4. Definitions. As used in this Act:
3    "Address of record" means the designated address recorded
4by the Department in the applicant's or licensee's application
5file or license file as maintained by the Department's
6licensure maintenance unit. It is the duty of the applicant or
7licensee to inform the Department of any change of address and
8those changes must be made either through the Department's
9website or by contacting the Department.
10    "Department" means the Department of Financial and
11Professional Regulation.
12    "Secretary" means the Secretary of Financial and
13Professional Regulation.
14    "Board" means the Board of Dentistry.
15    "Dentist" means a person who has received a general
16license pursuant to paragraph (a) of Section 11 of this Act and
17who may perform any intraoral and extraoral procedure required
18in the practice of dentistry and to whom is reserved the
19responsibilities specified in Section 17.
20    "Dental hygienist" means a person who holds a license
21under this Act to perform dental services as authorized by
22Section 18.
23    "Dental assistant" means an appropriately trained person
24who, under the supervision of a dentist, provides dental
25services as authorized by Section 17.
26    "Expanded function dental assistant" means a dental

 

 

SB2435- 1163 -LRB102 04062 AMC 14078 b

1assistant who has completed the training required by Section
217.1 of this Act.
3    "Dental laboratory" means a person, firm or corporation
4which:
5        (i) engages in making, providing, repairing or
6    altering dental prosthetic appliances and other artificial
7    materials and devices which are returned to a dentist for
8    insertion into the human oral cavity or which come in
9    contact with its adjacent structures and tissues; and
10        (ii) utilizes or employs a dental technician to
11    provide such services; and
12        (iii) performs such functions only for a dentist or
13    dentists.
14    "Supervision" means supervision of a dental hygienist or a
15dental assistant requiring that a dentist authorize the
16procedure, remain in the dental facility while the procedure
17is performed, and approve the work performed by the dental
18hygienist or dental assistant before dismissal of the patient,
19but does not mean that the dentist must be present at all times
20in the treatment room.
21    "General supervision" means supervision of a dental
22hygienist requiring that the patient be a patient of record,
23that the dentist examine the patient in accordance with
24Section 18 prior to treatment by the dental hygienist, and
25that the dentist authorize the procedures which are being
26carried out by a notation in the patient's record, but not

 

 

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1requiring that a dentist be present when the authorized
2procedures are being performed. The issuance of a prescription
3to a dental laboratory by a dentist does not constitute
4general supervision.
5    "Public member" means a person who is not a health
6professional. For purposes of board membership, any person
7with a significant financial interest in a health service or
8profession is not a public member.
9    "Dentistry" means the healing art which is concerned with
10the examination, diagnosis, treatment planning and care of
11conditions within the human oral cavity and its adjacent
12tissues and structures, as further specified in Section 17.
13    "Branches of dentistry" means the various specialties of
14dentistry which, for purposes of this Act, shall be limited to
15the following: endodontics, oral and maxillofacial surgery,
16orthodontics and dentofacial orthopedics, pediatric dentistry,
17periodontics, prosthodontics, and oral and maxillofacial
18radiology.
19    "Specialist" means a dentist who has received a specialty
20license pursuant to Section 11(b).
21    "Dental technician" means a person who owns, operates or
22is employed by a dental laboratory and engages in making,
23providing, repairing or altering dental prosthetic appliances
24and other artificial materials and devices which are returned
25to a dentist for insertion into the human oral cavity or which
26come in contact with its adjacent structures and tissues.

 

 

SB2435- 1165 -LRB102 04062 AMC 14078 b

1    "Impaired dentist" or "impaired dental hygienist" means a
2dentist or dental hygienist who is unable to practice with
3reasonable skill and safety because of a physical or mental
4disability as evidenced by a written determination or written
5consent based on clinical evidence, including deterioration
6through the aging process, loss of motor skills, abuse of
7drugs or alcohol, or a psychiatric disorder, of sufficient
8degree to diminish the person's ability to deliver competent
9patient care.
10    "Nurse" means a registered professional nurse, a certified
11registered nurse anesthetist licensed as an advanced practice
12registered nurse, or a licensed practical nurse licensed under
13the Nurse Practice Act.
14    "Patient of record" means a patient for whom the patient's
15most recent dentist has obtained a relevant medical and dental
16history and on whom the dentist has performed an examination
17and evaluated the condition to be treated.
18    "Dental responder" means a dentist or dental hygienist who
19is appropriately certified in disaster preparedness,
20immunizations, and dental humanitarian medical response
21consistent with the Society of Disaster Medicine and Public
22Health and training certified by the National Incident
23Management System or the National Disaster Life Support
24Foundation.
25    "Mobile dental van or portable dental unit" means any
26self-contained or portable dental unit in which dentistry is

 

 

SB2435- 1166 -LRB102 04062 AMC 14078 b

1practiced that can be moved, towed, or transported from one
2location to another in order to establish a location where
3dental services can be provided.
4    "Public health dental hygienist" means a hygienist who
5holds a valid license to practice in the State, has 2 years of
6full-time clinical experience or an equivalent of 4,000 hours
7of clinical experience and has completed at least 42 clock
8hours of additional structured courses in dental education in
9advanced areas specific to public health dentistry.
10    "Public health setting" means a federally qualified health
11center; a federal, State, or local public health facility;
12Head Start; a special supplemental nutrition program for
13Women, Infants, and Children (WIC) facility; or a certified
14school-based health center or school-based oral health
15program.
16    "Public health supervision" means the supervision of a
17public health dental hygienist by a licensed dentist who has a
18written public health supervision agreement with that public
19health dental hygienist while working in an approved facility
20or program that allows the public health dental hygienist to
21treat patients, without a dentist first examining the patient
22and being present in the facility during treatment, (1) who
23are eligible for Medicaid or (2) who are uninsured and whose
24household income is not greater than 200% of the federal
25poverty level.
26    "Teledentistry" means the use of telehealth systems and

 

 

SB2435- 1167 -LRB102 04062 AMC 14078 b

1methodologies in dentistry and includes patient care and
2education delivery using synchronous and asynchronous
3communications under a dentist's authority as provided under
4this Act.
5(Source: P.A. 100-215, eff. 1-1-18; 100-513, eff. 1-1-18;
6100-863, eff. 8-14-18; 101-64, eff. 7-12-19; 101-162, eff.
77-26-19; revised 9-27-19.)
 
8    (225 ILCS 25/17)  (from Ch. 111, par. 2317)
9    (Section scheduled to be repealed on January 1, 2026)
10    Sec. 17. Acts constituting the practice of dentistry. A
11person practices dentistry, within the meaning of this Act:
12        (1) Who represents himself or herself as being able to
13    diagnose or diagnoses, treats, prescribes, or operates for
14    any disease, pain, deformity, deficiency, injury, or
15    physical condition of the human tooth, teeth, alveolar
16    process, gums or jaw; or
17        (2) Who is a manager, proprietor, operator or
18    conductor of a business where dental operations are
19    performed; or
20        (3) Who performs dental operations of any kind; or
21        (4) Who uses an X-Ray machine or X-Ray films for
22    dental diagnostic purposes; or
23        (5) Who extracts a human tooth or teeth, or corrects
24    or attempts to correct malpositions of the human teeth or
25    jaws; or

 

 

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1        (6) Who offers or undertakes, by any means or method,
2    to diagnose, treat or remove stains, calculus, and bonding
3    materials from human teeth or jaws; or
4        (7) Who uses or administers local or general
5    anesthetics in the treatment of dental or oral diseases or
6    in any preparation incident to a dental operation of any
7    kind or character; or
8        (8) Who takes material or digital scans for final
9    impressions of the human tooth, teeth, or jaws or performs
10    any phase of any operation incident to the replacement of
11    a part of a tooth, a tooth, teeth or associated tissues by
12    means of a filling, crown, a bridge, a denture or other
13    appliance; or
14        (9) Who offers to furnish, supply, construct,
15    reproduce or repair, or who furnishes, supplies,
16    constructs, reproduces or repairs, prosthetic dentures,
17    bridges or other substitutes for natural teeth, to the
18    user or prospective user thereof; or
19        (10) Who instructs students on clinical matters or
20    performs any clinical operation included in the curricula
21    of recognized dental schools and colleges; or
22        (11) Who takes material or digital scans for final
23    impressions of human teeth or places his or her hands in
24    the mouth of any person for the purpose of applying teeth
25    whitening materials, or who takes impressions of human
26    teeth or places his or her hands in the mouth of any person

 

 

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1    for the purpose of assisting in the application of teeth
2    whitening materials. A person does not practice dentistry
3    when he or she discloses to the consumer that he or she is
4    not licensed as a dentist under this Act and (i) discusses
5    the use of teeth whitening materials with a consumer
6    purchasing these materials; (ii) provides instruction on
7    the use of teeth whitening materials with a consumer
8    purchasing these materials; or (iii) provides appropriate
9    equipment on-site to the consumer for the consumer to
10    self-apply teeth whitening materials.
11    The fact that any person engages in or performs, or offers
12to engage in or perform, any of the practices, acts, or
13operations set forth in this Section, shall be prima facie
14evidence that such person is engaged in the practice of
15dentistry.
16    The following practices, acts, and operations, however,
17are exempt from the operation of this Act:
18        (a) The rendering of dental relief in emergency cases
19    in the practice of his or her profession by a physician or
20    surgeon, licensed as such under the laws of this State,
21    unless he or she undertakes to reproduce or reproduces
22    lost parts of the human teeth in the mouth or to restore or
23    replace lost or missing teeth in the mouth; or
24        (b) The practice of dentistry in the discharge of
25    their official duties by dentists in any branch of the
26    Armed Services of the United States, the United States

 

 

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1    Public Health Service, or the United States Veterans
2    Administration; or
3        (c) The practice of dentistry by students in their
4    course of study in dental schools or colleges approved by
5    the Department, when acting under the direction and
6    supervision of dentists acting as instructors; or
7        (d) The practice of dentistry by clinical instructors
8    in the course of their teaching duties in dental schools
9    or colleges approved by the Department:
10            (i) when acting under the direction and
11        supervision of dentists, provided that such clinical
12        instructors have instructed continuously in this State
13        since January 1, 1986; or
14            (ii) when holding the rank of full professor at
15        such approved dental school or college and possessing
16        a current valid license or authorization to practice
17        dentistry in another country; or
18        (e) The practice of dentistry by licensed dentists of
19    other states or countries at meetings of the Illinois
20    State Dental Society or component parts thereof, alumni
21    meetings of dental colleges, or any other like dental
22    organizations, while appearing as clinicians; or
23        (f) The use of X-Ray machines for exposing X-Ray films
24    of dental or oral tissues by dental hygienists or dental
25    assistants; or
26        (g) The performance of any dental service by a dental

 

 

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1    assistant, if such service is performed under the
2    supervision and full responsibility of a dentist. In
3    addition, after being authorized by a dentist, a dental
4    assistant may, for the purpose of eliminating pain or
5    discomfort, remove loose, broken, or irritating
6    orthodontic appliances on a patient of record.
7        For purposes of this paragraph (g), "dental service"
8    is defined to mean any intraoral procedure or act which
9    shall be prescribed by rule or regulation of the
10    Department. Dental service, however, shall not include:
11            (1) Any and all diagnosis of or prescription for
12        treatment of disease, pain, deformity, deficiency,
13        injury or physical condition of the human teeth or
14        jaws, or adjacent structures.
15            (2) Removal of, or restoration of, or addition to
16        the hard or soft tissues of the oral cavity, except for
17        the placing, carving, and finishing of amalgam
18        restorations and placing, packing, and finishing
19        composite restorations by dental assistants who have
20        had additional formal education and certification.
21            A dental assistant may place, carve, and finish
22        amalgam restorations, place, pack, and finish
23        composite restorations, and place interim restorations
24        if he or she (A) has successfully completed a
25        structured training program as described in item (2)
26        of subsection (g) provided by an educational

 

 

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1        institution accredited by the Commission on Dental
2        Accreditation, such as a dental school or dental
3        hygiene or dental assistant program, or (B) has at
4        least 4,000 hours of direct clinical patient care
5        experience and has successfully completed a structured
6        training program as described in item (2) of
7        subsection (g) provided by a statewide dental
8        association, approved by the Department to provide
9        continuing education, that has developed and conducted
10        training programs for expanded functions for dental
11        assistants or hygienists. The training program must:
12        (i) include a minimum of 16 hours of didactic study and
13        14 hours of clinical manikin instruction; all training
14        programs shall include areas of study in nomenclature,
15        caries classifications, oral anatomy, periodontium,
16        basic occlusion, instrumentations, pulp protection
17        liners and bases, dental materials, matrix and wedge
18        techniques, amalgam placement and carving, rubber dam
19        clamp placement, and rubber dam placement and removal;
20        (ii) include an outcome assessment examination that
21        demonstrates competency; (iii) require the supervising
22        dentist to observe and approve the completion of 8
23        amalgam or composite restorations; and (iv) issue a
24        certificate of completion of the training program,
25        which must be kept on file at the dental office and be
26        made available to the Department upon request. A

 

 

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1        dental assistant must have successfully completed an
2        approved coronal polishing and dental sealant course
3        prior to taking the amalgam and composite restoration
4        course.
5            A dentist utilizing dental assistants shall not
6        supervise more than 4 dental assistants at any one
7        time for placing, carving, and finishing of amalgam
8        restorations or for placing, packing, and finishing
9        composite restorations.
10            (3) Any and all correction of malformation of
11        teeth or of the jaws.
12            (4) Administration of anesthetics, except for
13        monitoring of nitrous oxide, conscious sedation, deep
14        sedation, and general anesthetic as provided in
15        Section 8.1 of this Act, that may be performed only
16        after successful completion of a training program
17        approved by the Department. A dentist utilizing dental
18        assistants shall not supervise more than 4 dental
19        assistants at any one time for the monitoring of
20        nitrous oxide.
21            (5) Removal of calculus from human teeth.
22            (6) Taking of material or digital scans for final
23        impressions for the fabrication of prosthetic
24        appliances, crowns, bridges, inlays, onlays, or other
25        restorative or replacement dentistry.
26            (7) The operative procedure of dental hygiene

 

 

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1        consisting of oral prophylactic procedures, except for
2        coronal polishing and pit and fissure sealants, which
3        may be performed by a dental assistant who has
4        successfully completed a training program approved by
5        the Department. Dental assistants may perform coronal
6        polishing under the following circumstances: (i) the
7        coronal polishing shall be limited to polishing the
8        clinical crown of the tooth and existing restorations,
9        supragingivally; (ii) the dental assistant performing
10        the coronal polishing shall be limited to the use of
11        rotary instruments using a rubber cup or brush
12        polishing method (air polishing is not permitted); and
13        (iii) the supervising dentist shall not supervise more
14        than 4 dental assistants at any one time for the task
15        of coronal polishing or pit and fissure sealants.
16            In addition to coronal polishing and pit and
17        fissure sealants as described in this item (7), a
18        dental assistant who has at least 2,000 hours of
19        direct clinical patient care experience and who has
20        successfully completed a structured training program
21        provided by (1) an educational institution such as a
22        dental school or dental hygiene or dental assistant
23        program, or (2) by a statewide dental or dental
24        hygienist association, approved by the Department on
25        or before January 1, 2017 (the effective date of
26        Public Act 99-680) this amendatory Act of the 99th

 

 

SB2435- 1175 -LRB102 04062 AMC 14078 b

1        General Assembly, that has developed and conducted a
2        training program for expanded functions for dental
3        assistants or hygienists may perform: (A) coronal
4        scaling above the gum line, supragingivally, on the
5        clinical crown of the tooth only on patients 12 years
6        of age or younger who have an absence of periodontal
7        disease and who are not medically compromised or
8        individuals with special needs and (B) intracoronal
9        temporization of a tooth. The training program must:
10        (I) include a minimum of 16 hours of instruction in
11        both didactic and clinical manikin or human subject
12        instruction; all training programs shall include areas
13        of study in dental anatomy, public health dentistry,
14        medical history, dental emergencies, and managing the
15        pediatric patient; (II) include an outcome assessment
16        examination that demonstrates competency; (III)
17        require the supervising dentist to observe and approve
18        the completion of 6 full mouth supragingival scaling
19        procedures; and (IV) issue a certificate of completion
20        of the training program, which must be kept on file at
21        the dental office and be made available to the
22        Department upon request. A dental assistant must have
23        successfully completed an approved coronal polishing
24        course prior to taking the coronal scaling course. A
25        dental assistant performing these functions shall be
26        limited to the use of hand instruments only. In

 

 

SB2435- 1176 -LRB102 04062 AMC 14078 b

1        addition, coronal scaling as described in this
2        paragraph shall only be utilized on patients who are
3        eligible for Medicaid or who are uninsured and whose
4        household income is not greater than 200% of the
5        federal poverty level. A dentist may not supervise
6        more than 2 dental assistants at any one time for the
7        task of coronal scaling. This paragraph is inoperative
8        on and after January 1, 2026.
9        The limitations on the number of dental assistants a
10    dentist may supervise contained in items (2), (4), and (7)
11    of this paragraph (g) mean a limit of 4 total dental
12    assistants or dental hygienists doing expanded functions
13    covered by these Sections being supervised by one dentist;
14    or .
15        (h) The practice of dentistry by an individual who:
16            (i) has applied in writing to the Department, in
17        form and substance satisfactory to the Department, for
18        a general dental license and has complied with all
19        provisions of Section 9 of this Act, except for the
20        passage of the examination specified in subsection (e)
21        of Section 9 of this Act; or
22            (ii) has applied in writing to the Department, in
23        form and substance satisfactory to the Department, for
24        a temporary dental license and has complied with all
25        provisions of subsection (c) of Section 11 of this
26        Act; and

 

 

SB2435- 1177 -LRB102 04062 AMC 14078 b

1            (iii) has been accepted or appointed for specialty
2        or residency training by a hospital situated in this
3        State; or
4            (iv) has been accepted or appointed for specialty
5        training in an approved dental program situated in
6        this State; or
7            (v) has been accepted or appointed for specialty
8        training in a dental public health agency situated in
9        this State.
10        The applicant shall be permitted to practice dentistry
11    for a period of 3 months from the starting date of the
12    program, unless authorized in writing by the Department to
13    continue such practice for a period specified in writing
14    by the Department.
15        The applicant shall only be entitled to perform such
16    acts as may be prescribed by and incidental to his or her
17    program of residency or specialty training and shall not
18    otherwise engage in the practice of dentistry in this
19    State.
20        The authority to practice shall terminate immediately
21    upon:
22            (1) the decision of the Department that the
23        applicant has failed the examination; or
24            (2) denial of licensure by the Department; or
25            (3) withdrawal of the application.
26(Source: P.A. 100-215, eff. 1-1-18; 100-976, eff. 1-1-19;

 

 

SB2435- 1178 -LRB102 04062 AMC 14078 b

1101-162, eff. 7-26-19; revised 9-19-19.)
 
2    Section 530. The Medical Practice Act of 1987 is amended
3by changing Sections 22 and 36 as follows:
 
4    (225 ILCS 60/22)  (from Ch. 111, par. 4400-22)
5    (Section scheduled to be repealed on January 1, 2022)
6    Sec. 22. Disciplinary action.
7    (A) The Department may revoke, suspend, place on
8probation, reprimand, refuse to issue or renew, or take any
9other disciplinary or non-disciplinary action as the
10Department may deem proper with regard to the license or
11permit of any person issued under this Act, including imposing
12fines not to exceed $10,000 for each violation, upon any of the
13following grounds:
14        (1) (Blank).
15        (2) (Blank).
16        (3) A plea of guilty or nolo contendere, finding of
17    guilt, jury verdict, or entry of judgment or sentencing,
18    including, but not limited to, convictions, preceding
19    sentences of supervision, conditional discharge, or first
20    offender probation, under the laws of any jurisdiction of
21    the United States of any crime that is a felony.
22        (4) Gross negligence in practice under this Act.
23        (5) Engaging in dishonorable, unethical, or
24    unprofessional conduct of a character likely to deceive,

 

 

SB2435- 1179 -LRB102 04062 AMC 14078 b

1    defraud or harm the public.
2        (6) Obtaining any fee by fraud, deceit, or
3    misrepresentation.
4        (7) Habitual or excessive use or abuse of drugs
5    defined in law as controlled substances, of alcohol, or of
6    any other substances which results in the inability to
7    practice with reasonable judgment, skill, or safety.
8        (8) Practicing under a false or, except as provided by
9    law, an assumed name.
10        (9) Fraud or misrepresentation in applying for, or
11    procuring, a license under this Act or in connection with
12    applying for renewal of a license under this Act.
13        (10) Making a false or misleading statement regarding
14    their skill or the efficacy or value of the medicine,
15    treatment, or remedy prescribed by them at their direction
16    in the treatment of any disease or other condition of the
17    body or mind.
18        (11) Allowing another person or organization to use
19    their license, procured under this Act, to practice.
20        (12) Adverse action taken by another state or
21    jurisdiction against a license or other authorization to
22    practice as a medical doctor, doctor of osteopathy, doctor
23    of osteopathic medicine or doctor of chiropractic, a
24    certified copy of the record of the action taken by the
25    other state or jurisdiction being prima facie evidence
26    thereof. This includes any adverse action taken by a State

 

 

SB2435- 1180 -LRB102 04062 AMC 14078 b

1    or federal agency that prohibits a medical doctor, doctor
2    of osteopathy, doctor of osteopathic medicine, or doctor
3    of chiropractic from providing services to the agency's
4    participants.
5        (13) Violation of any provision of this Act or of the
6    Medical Practice Act prior to the repeal of that Act, or
7    violation of the rules, or a final administrative action
8    of the Secretary, after consideration of the
9    recommendation of the Disciplinary Board.
10        (14) Violation of the prohibition against fee
11    splitting in Section 22.2 of this Act.
12        (15) A finding by the Disciplinary Board that the
13    registrant after having his or her license placed on
14    probationary status or subjected to conditions or
15    restrictions violated the terms of the probation or failed
16    to comply with such terms or conditions.
17        (16) Abandonment of a patient.
18        (17) Prescribing, selling, administering,
19    distributing, giving, or self-administering any drug
20    classified as a controlled substance (designated product)
21    or narcotic for other than medically accepted therapeutic
22    purposes.
23        (18) Promotion of the sale of drugs, devices,
24    appliances, or goods provided for a patient in such manner
25    as to exploit the patient for financial gain of the
26    physician.

 

 

SB2435- 1181 -LRB102 04062 AMC 14078 b

1        (19) Offering, undertaking, or agreeing to cure or
2    treat disease by a secret method, procedure, treatment, or
3    medicine, or the treating, operating, or prescribing for
4    any human condition by a method, means, or procedure which
5    the licensee refuses to divulge upon demand of the
6    Department.
7        (20) Immoral conduct in the commission of any act
8    including, but not limited to, commission of an act of
9    sexual misconduct related to the licensee's practice.
10        (21) Willfully making or filing false records or
11    reports in his or her practice as a physician, including,
12    but not limited to, false records to support claims
13    against the medical assistance program of the Department
14    of Healthcare and Family Services (formerly Department of
15    Public Aid) under the Illinois Public Aid Code.
16        (22) Willful omission to file or record, or willfully
17    impeding the filing or recording, or inducing another
18    person to omit to file or record, medical reports as
19    required by law, or willfully failing to report an
20    instance of suspected abuse or neglect as required by law.
21        (23) Being named as a perpetrator in an indicated
22    report by the Department of Children and Family Services
23    under the Abused and Neglected Child Reporting Act, and
24    upon proof by clear and convincing evidence that the
25    licensee has caused a child to be an abused child or
26    neglected child as defined in the Abused and Neglected

 

 

SB2435- 1182 -LRB102 04062 AMC 14078 b

1    Child Reporting Act.
2        (24) Solicitation of professional patronage by any
3    corporation, agents or persons, or profiting from those
4    representing themselves to be agents of the licensee.
5        (25) Gross and willful and continued overcharging for
6    professional services, including filing false statements
7    for collection of fees for which services are not
8    rendered, including, but not limited to, filing such false
9    statements for collection of monies for services not
10    rendered from the medical assistance program of the
11    Department of Healthcare and Family Services (formerly
12    Department of Public Aid) under the Illinois Public Aid
13    Code.
14        (26) A pattern of practice or other behavior which
15    demonstrates incapacity or incompetence to practice under
16    this Act.
17        (27) Mental illness or disability which results in the
18    inability to practice under this Act with reasonable
19    judgment, skill, or safety.
20        (28) Physical illness, including, but not limited to,
21    deterioration through the aging process, or loss of motor
22    skill which results in a physician's inability to practice
23    under this Act with reasonable judgment, skill, or safety.
24        (29) Cheating on or attempt to subvert the licensing
25    examinations administered under this Act.
26        (30) Willfully or negligently violating the

 

 

SB2435- 1183 -LRB102 04062 AMC 14078 b

1    confidentiality between physician and patient except as
2    required by law.
3        (31) The use of any false, fraudulent, or deceptive
4    statement in any document connected with practice under
5    this Act.
6        (32) Aiding and abetting an individual not licensed
7    under this Act in the practice of a profession licensed
8    under this Act.
9        (33) Violating state or federal laws or regulations
10    relating to controlled substances, legend drugs, or
11    ephedra as defined in the Ephedra Prohibition Act.
12        (34) Failure to report to the Department any adverse
13    final action taken against them by another licensing
14    jurisdiction (any other state or any territory of the
15    United States or any foreign state or country), by any
16    peer review body, by any health care institution, by any
17    professional society or association related to practice
18    under this Act, by any governmental agency, by any law
19    enforcement agency, or by any court for acts or conduct
20    similar to acts or conduct which would constitute grounds
21    for action as defined in this Section.
22        (35) Failure to report to the Department surrender of
23    a license or authorization to practice as a medical
24    doctor, a doctor of osteopathy, a doctor of osteopathic
25    medicine, or doctor of chiropractic in another state or
26    jurisdiction, or surrender of membership on any medical

 

 

SB2435- 1184 -LRB102 04062 AMC 14078 b

1    staff or in any medical or professional association or
2    society, while under disciplinary investigation by any of
3    those authorities or bodies, for acts or conduct similar
4    to acts or conduct which would constitute grounds for
5    action as defined in this Section.
6        (36) Failure to report to the Department any adverse
7    judgment, settlement, or award arising from a liability
8    claim related to acts or conduct similar to acts or
9    conduct which would constitute grounds for action as
10    defined in this Section.
11        (37) Failure to provide copies of medical records as
12    required by law.
13        (38) Failure to furnish the Department, its
14    investigators or representatives, relevant information,
15    legally requested by the Department after consultation
16    with the Chief Medical Coordinator or the Deputy Medical
17    Coordinator.
18        (39) Violating the Health Care Worker Self-Referral
19    Act.
20        (40) Willful failure to provide notice when notice is
21    required under the Parental Notice of Abortion Act of
22    1995.
23        (41) Failure to establish and maintain records of
24    patient care and treatment as required by this law.
25        (42) Entering into an excessive number of written
26    collaborative agreements with licensed advanced practice

 

 

SB2435- 1185 -LRB102 04062 AMC 14078 b

1    registered nurses resulting in an inability to adequately
2    collaborate.
3        (43) Repeated failure to adequately collaborate with a
4    licensed advanced practice registered nurse.
5        (44) Violating the Compassionate Use of Medical
6    Cannabis Program Act.
7        (45) Entering into an excessive number of written
8    collaborative agreements with licensed prescribing
9    psychologists resulting in an inability to adequately
10    collaborate.
11        (46) Repeated failure to adequately collaborate with a
12    licensed prescribing psychologist.
13        (47) Willfully failing to report an instance of
14    suspected abuse, neglect, financial exploitation, or
15    self-neglect of an eligible adult as defined in and
16    required by the Adult Protective Services Act.
17        (48) Being named as an abuser in a verified report by
18    the Department on Aging under the Adult Protective
19    Services Act, and upon proof by clear and convincing
20    evidence that the licensee abused, neglected, or
21    financially exploited an eligible adult as defined in the
22    Adult Protective Services Act.
23        (49) Entering into an excessive number of written
24    collaborative agreements with licensed physician
25    assistants resulting in an inability to adequately
26    collaborate.

 

 

SB2435- 1186 -LRB102 04062 AMC 14078 b

1        (50) Repeated failure to adequately collaborate with a
2    physician assistant.
3    Except for actions involving the ground numbered (26), all
4proceedings to suspend, revoke, place on probationary status,
5or take any other disciplinary action as the Department may
6deem proper, with regard to a license on any of the foregoing
7grounds, must be commenced within 5 years next after receipt
8by the Department of a complaint alleging the commission of or
9notice of the conviction order for any of the acts described
10herein. Except for the grounds numbered (8), (9), (26), and
11(29), no action shall be commenced more than 10 years after the
12date of the incident or act alleged to have violated this
13Section. For actions involving the ground numbered (26), a
14pattern of practice or other behavior includes all incidents
15alleged to be part of the pattern of practice or other behavior
16that occurred, or a report pursuant to Section 23 of this Act
17received, within the 10-year period preceding the filing of
18the complaint. In the event of the settlement of any claim or
19cause of action in favor of the claimant or the reduction to
20final judgment of any civil action in favor of the plaintiff,
21such claim, cause of action, or civil action being grounded on
22the allegation that a person licensed under this Act was
23negligent in providing care, the Department shall have an
24additional period of 2 years from the date of notification to
25the Department under Section 23 of this Act of such settlement
26or final judgment in which to investigate and commence formal

 

 

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1disciplinary proceedings under Section 36 of this Act, except
2as otherwise provided by law. The time during which the holder
3of the license was outside the State of Illinois shall not be
4included within any period of time limiting the commencement
5of disciplinary action by the Department.
6    The entry of an order or judgment by any circuit court
7establishing that any person holding a license under this Act
8is a person in need of mental treatment operates as a
9suspension of that license. That person may resume his or her
10their practice only upon the entry of a Departmental order
11based upon a finding by the Disciplinary Board that the person
12has they have been determined to be recovered from mental
13illness by the court and upon the Disciplinary Board's
14recommendation that the person they be permitted to resume his
15or her their practice.
16    The Department may refuse to issue or take disciplinary
17action concerning the license of any person who fails to file a
18return, or to pay the tax, penalty, or interest shown in a
19filed return, or to pay any final assessment of tax, penalty,
20or interest, as required by any tax Act administered by the
21Illinois Department of Revenue, until such time as the
22requirements of any such tax Act are satisfied as determined
23by the Illinois Department of Revenue.
24    The Department, upon the recommendation of the
25Disciplinary Board, shall adopt rules which set forth
26standards to be used in determining:

 

 

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1        (a) when a person will be deemed sufficiently
2    rehabilitated to warrant the public trust;
3        (b) what constitutes dishonorable, unethical, or
4    unprofessional conduct of a character likely to deceive,
5    defraud, or harm the public;
6        (c) what constitutes immoral conduct in the commission
7    of any act, including, but not limited to, commission of
8    an act of sexual misconduct related to the licensee's
9    practice; and
10        (d) what constitutes gross negligence in the practice
11    of medicine.
12    However, no such rule shall be admissible into evidence in
13any civil action except for review of a licensing or other
14disciplinary action under this Act.
15    In enforcing this Section, the Disciplinary Board or the
16Licensing Board, upon a showing of a possible violation, may
17compel, in the case of the Disciplinary Board, any individual
18who is licensed to practice under this Act or holds a permit to
19practice under this Act, or, in the case of the Licensing
20Board, any individual who has applied for licensure or a
21permit pursuant to this Act, to submit to a mental or physical
22examination and evaluation, or both, which may include a
23substance abuse or sexual offender evaluation, as required by
24the Licensing Board or Disciplinary Board and at the expense
25of the Department. The Disciplinary Board or Licensing Board
26shall specifically designate the examining physician licensed

 

 

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1to practice medicine in all of its branches or, if applicable,
2the multidisciplinary team involved in providing the mental or
3physical examination and evaluation, or both. The
4multidisciplinary team shall be led by a physician licensed to
5practice medicine in all of its branches and may consist of one
6or more or a combination of physicians licensed to practice
7medicine in all of its branches, licensed chiropractic
8physicians, licensed clinical psychologists, licensed clinical
9social workers, licensed clinical professional counselors, and
10other professional and administrative staff. Any examining
11physician or member of the multidisciplinary team may require
12any person ordered to submit to an examination and evaluation
13pursuant to this Section to submit to any additional
14supplemental testing deemed necessary to complete any
15examination or evaluation process, including, but not limited
16to, blood testing, urinalysis, psychological testing, or
17neuropsychological testing. The Disciplinary Board, the
18Licensing Board, or the Department may order the examining
19physician or any member of the multidisciplinary team to
20provide to the Department, the Disciplinary Board, or the
21Licensing Board any and all records, including business
22records, that relate to the examination and evaluation,
23including any supplemental testing performed. The Disciplinary
24Board, the Licensing Board, or the Department may order the
25examining physician or any member of the multidisciplinary
26team to present testimony concerning this examination and

 

 

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1evaluation of the licensee, permit holder, or applicant,
2including testimony concerning any supplemental testing or
3documents relating to the examination and evaluation. No
4information, report, record, or other documents in any way
5related to the examination and evaluation shall be excluded by
6reason of any common law or statutory privilege relating to
7communication between the licensee, permit holder, or
8applicant and the examining physician or any member of the
9multidisciplinary team. No authorization is necessary from the
10licensee, permit holder, or applicant ordered to undergo an
11evaluation and examination for the examining physician or any
12member of the multidisciplinary team to provide information,
13reports, records, or other documents or to provide any
14testimony regarding the examination and evaluation. The
15individual to be examined may have, at his or her own expense,
16another physician of his or her choice present during all
17aspects of the examination. Failure of any individual to
18submit to mental or physical examination and evaluation, or
19both, when directed, shall result in an automatic suspension,
20without hearing, until such time as the individual submits to
21the examination. If the Disciplinary Board or Licensing Board
22finds a physician unable to practice following an examination
23and evaluation because of the reasons set forth in this
24Section, the Disciplinary Board or Licensing Board shall
25require such physician to submit to care, counseling, or
26treatment by physicians, or other health care professionals,

 

 

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1approved or designated by the Disciplinary Board, as a
2condition for issued, continued, reinstated, or renewed
3licensure to practice. Any physician, whose license was
4granted pursuant to Sections 9, 17, or 19 of this Act, or,
5continued, reinstated, renewed, disciplined or supervised,
6subject to such terms, conditions, or restrictions who shall
7fail to comply with such terms, conditions, or restrictions,
8or to complete a required program of care, counseling, or
9treatment, as determined by the Chief Medical Coordinator or
10Deputy Medical Coordinators, shall be referred to the
11Secretary for a determination as to whether the licensee shall
12have his or her their license suspended immediately, pending a
13hearing by the Disciplinary Board. In instances in which the
14Secretary immediately suspends a license under this Section, a
15hearing upon such person's license must be convened by the
16Disciplinary Board within 15 days after such suspension and
17completed without appreciable delay. The Disciplinary Board
18shall have the authority to review the subject physician's
19record of treatment and counseling regarding the impairment,
20to the extent permitted by applicable federal statutes and
21regulations safeguarding the confidentiality of medical
22records.
23    An individual licensed under this Act, affected under this
24Section, shall be afforded an opportunity to demonstrate to
25the Disciplinary Board that he or she they can resume practice
26in compliance with acceptable and prevailing standards under

 

 

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1the provisions of his or her their license.
2    The Department may promulgate rules for the imposition of
3fines in disciplinary cases, not to exceed $10,000 for each
4violation of this Act. Fines may be imposed in conjunction
5with other forms of disciplinary action, but shall not be the
6exclusive disposition of any disciplinary action arising out
7of conduct resulting in death or injury to a patient. Any funds
8collected from such fines shall be deposited in the Illinois
9State Medical Disciplinary Fund.
10    All fines imposed under this Section shall be paid within
1160 days after the effective date of the order imposing the fine
12or in accordance with the terms set forth in the order imposing
13the fine.
14    (B) The Department shall revoke the license or permit
15issued under this Act to practice medicine or a chiropractic
16physician who has been convicted a second time of committing
17any felony under the Illinois Controlled Substances Act or the
18Methamphetamine Control and Community Protection Act, or who
19has been convicted a second time of committing a Class 1 felony
20under Sections 8A-3 and 8A-6 of the Illinois Public Aid Code. A
21person whose license or permit is revoked under this
22subsection B shall be prohibited from practicing medicine or
23treating human ailments without the use of drugs and without
24operative surgery.
25    (C) The Department shall not revoke, suspend, place on
26probation, reprimand, refuse to issue or renew, or take any

 

 

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1other disciplinary or non-disciplinary action against the
2license or permit issued under this Act to practice medicine
3to a physician:
4        (1) based solely upon the recommendation of the
5    physician to an eligible patient regarding, or
6    prescription for, or treatment with, an investigational
7    drug, biological product, or device; or
8        (2) for experimental treatment for Lyme disease or
9    other tick-borne diseases, including, but not limited to,
10    the prescription of or treatment with long-term
11    antibiotics.
12    (D) The Disciplinary Board shall recommend to the
13Department civil penalties and any other appropriate
14discipline in disciplinary cases when the Board finds that a
15physician willfully performed an abortion with actual
16knowledge that the person upon whom the abortion has been
17performed is a minor or an incompetent person without notice
18as required under the Parental Notice of Abortion Act of 1995.
19Upon the Board's recommendation, the Department shall impose,
20for the first violation, a civil penalty of $1,000 and for a
21second or subsequent violation, a civil penalty of $5,000.
22(Source: P.A. 100-429, eff. 8-25-17; 100-513, eff. 1-1-18;
23100-605, eff. 1-1-19; 100-863, eff. 8-14-18; 100-1137, eff.
241-1-19; 101-13, eff. 6-12-19; 101-81, eff. 7-12-19; 101-363,
25eff. 8-9-19; revised 9-20-19.)
 

 

 

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1    (225 ILCS 60/36)  (from Ch. 111, par. 4400-36)
2    (Section scheduled to be repealed on January 1, 2022)
3    Sec. 36. Investigation; notice.
4    (a) Upon the motion of either the Department or the
5Disciplinary Board or upon the verified complaint in writing
6of any person setting forth facts which, if proven, would
7constitute grounds for suspension or revocation under Section
822 of this Act, the Department shall investigate the actions
9of any person, so accused, who holds or represents that he or
10she holds a license. Such person is hereinafter called the
11accused.
12    (b) The Department shall, before suspending, revoking,
13placing on probationary status, or taking any other
14disciplinary action as the Department may deem proper with
15regard to any license at least 30 days prior to the date set
16for the hearing, notify the accused in writing of any charges
17made and the time and place for a hearing of the charges before
18the Disciplinary Board, direct him or her to file his or her
19written answer thereto to the Disciplinary Board under oath
20within 20 days after the service on him or her of such notice
21and inform him or her that if he or she fails to file such
22answer default will be taken against him or her and his or her
23license may be suspended, revoked, placed on probationary
24status, or have other disciplinary action, including limiting
25the scope, nature or extent of his or her practice, as the
26Department may deem proper taken with regard thereto. The

 

 

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1Department shall, at least 14 days prior to the date set for
2the hearing, notify in writing any person who filed a
3complaint against the accused of the time and place for the
4hearing of the charges against the accused before the
5Disciplinary Board and inform such person whether he or she
6may provide testimony at the hearing.
7    (c) (Blank).
8    (d) Such written notice and any notice in such proceedings
9thereafter may be served by personal delivery, email to the
10respondent's email address of record, or mail to the
11respondent's address of record.
12    (e) All information gathered by the Department during its
13investigation including information subpoenaed under Section
1423 or 38 of this Act and the investigative file shall be kept
15for the confidential use of the Secretary, Disciplinary Board,
16the Medical Coordinators, persons employed by contract to
17advise the Medical Coordinator or the Department, the
18Disciplinary Board's attorneys, the medical investigative
19staff, and authorized clerical staff, as provided in this Act
20and shall be afforded the same status as is provided
21information concerning medical studies in Part 21 of Article
22VIII of the Code of Civil Procedure, except that the
23Department may disclose information and documents to a
24federal, State, or local law enforcement agency pursuant to a
25subpoena in an ongoing criminal investigation to a health care
26licensing body of this State or another state or jurisdiction

 

 

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1pursuant to an official request made by that licensing body.
2Furthermore, information and documents disclosed to a federal,
3State, or local law enforcement agency may be used by that
4agency only for the investigation and prosecution of a
5criminal offense or, in the case of disclosure to a health care
6licensing body, only for investigations and disciplinary
7action proceedings with regard to a license issued by that
8licensing body.
9(Source: P.A. 101-13, eff. 6-12-19; 101-316, eff. 8-9-19;
10revised 9-20-19.)
 
11    Section 535. The Nurse Practice Act is amended by changing
12Sections 65-5 and 70-5 as follows:
 
13    (225 ILCS 65/65-5)   (was 225 ILCS 65/15-10)
14    (Section scheduled to be repealed on January 1, 2028)
15    Sec. 65-5. Qualifications for APRN licensure.
16    (a) Each applicant who successfully meets the requirements
17of this Section is eligible for licensure as an advanced
18practice registered nurse.
19    (b) An applicant for licensure to practice as an advanced
20practice registered nurse is eligible for licensure when the
21following requirements are met:
22        (1) the applicant has submitted a completed
23    application and any fees as established by the Department;
24        (2) the applicant holds a current license to practice

 

 

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1    as a registered professional nurse under this Act;
2        (3) the applicant has successfully completed
3    requirements to practice as, and holds and maintains
4    current, national certification as, a nurse midwife,
5    clinical nurse specialist, nurse practitioner, or
6    certified registered nurse anesthetist from the
7    appropriate national certifying body as determined by rule
8    of the Department;
9        (4) the applicant has obtained a graduate degree
10    appropriate for national certification in a clinical
11    advanced practice registered nursing specialty or a
12    graduate degree or post-master's certificate from a
13    graduate level program in a clinical advanced practice
14    registered nursing specialty;
15        (5) (blank);
16        (6) the applicant has submitted to the criminal
17    history records check required under Section 50-35 of this
18    Act; and
19        (7) if applicable, the applicant has submitted
20    verification of licensure status in another jurisdiction,
21    as provided by rule.
22    (b-5) A registered professional nurse seeking licensure as
23an advanced practice registered nurse in the category of
24certified registered nurse anesthetist who does not have a
25graduate degree as described in subsection (b) of this Section
26shall be qualified for licensure if that person:

 

 

SB2435- 1198 -LRB102 04062 AMC 14078 b

1        (1) submits evidence of having successfully completed
2    a nurse anesthesia program described in item (4) of
3    subsection (b) of this Section prior to January 1, 1999;
4        (2) submits evidence of certification as a registered
5    nurse anesthetist by an appropriate national certifying
6    body; and
7        (3) has continually maintained active, up-to-date
8    recertification status as a certified registered nurse
9    anesthetist by an appropriate national recertifying body.
10    (b-10) The Department may issue a certified registered
11nurse anesthetist license to an APRN who (i) does not have a
12graduate degree, (ii) applies for licensure before July 1,
132023, and (iii) submits all of the following to the
14Department:
15        (1) His or her current State registered nurse license
16    number.
17        (2) Proof of current national certification, which
18    includes the completion of an examination from either of
19    the following:
20            (A) the Council on Certification of the American
21        Association of Nurse Anesthetists; or
22            (B) the Council on Recertification of the American
23        Association of Nurse Anesthetists.
24        (3) Proof of the successful completion of a post-basic
25    advanced practice formal education program in the area of
26    nurse anesthesia prior to January 1, 1999.

 

 

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1        (4) His or her complete work history for the 5-year
2    period immediately preceding the date of his or her
3    application.
4        (5) Verification of licensure as an advanced practice
5    registered nurse from the state in which he or she was
6    originally licensed, current state of licensure, and any
7    other state in which he or she has been actively
8    practicing as an advanced practice registered nurse within
9    the 5-year period immediately preceding the date of his or
10    her application. If applicable, this verification must
11    state:
12            (A) the time during which he or she was licensed in
13        each state, including the date of the original
14        issuance of each license; and
15            (B) any disciplinary action taken or pending
16        concerning any nursing license held, currently or in
17        the past, by the applicant.
18        (6) The required fee.
19    (c) Those applicants seeking licensure in more than one
20advanced practice registered nursing specialty need not
21possess multiple graduate degrees. Applicants may be eligible
22for licenses for multiple advanced practice registered nurse
23licensure specialties, provided that the applicant (i) has met
24the requirements for at least one advanced practice registered
25nursing specialty under paragraph paragraphs (3) and (5) of
26subsection (b) (a) of this Section, (ii) possesses an

 

 

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1additional graduate education that results in a certificate
2for another clinical advanced practice registered nurse
3specialty and that meets the requirements for the national
4certification from the appropriate nursing specialty, and
5(iii) holds a current national certification from the
6appropriate national certifying body for that additional
7advanced practice registered nursing specialty.
8(Source: P.A. 100-231, eff. 1-1-18; 100-513, eff. 1-1-18;
9revised 8-21-20.)
 
10    (225 ILCS 65/70-5)   (was 225 ILCS 65/10-45)
11    (Section scheduled to be repealed on January 1, 2028)
12    Sec. 70-5. Grounds for disciplinary action.
13    (a) The Department may refuse to issue or to renew, or may
14revoke, suspend, place on probation, reprimand, or take other
15disciplinary or non-disciplinary action as the Department may
16deem appropriate, including fines not to exceed $10,000 per
17violation, with regard to a license for any one or combination
18of the causes set forth in subsection (b) below. All fines
19collected under this Section shall be deposited in the Nursing
20Dedicated and Professional Fund.
21    (b) Grounds for disciplinary action include the following:
22        (1) Material deception in furnishing information to
23    the Department.
24        (2) Material violations of any provision of this Act
25    or violation of the rules of or final administrative

 

 

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1    action of the Secretary, after consideration of the
2    recommendation of the Board.
3        (3) Conviction by plea of guilty or nolo contendere,
4    finding of guilt, jury verdict, or entry of judgment or by
5    sentencing of any crime, including, but not limited to,
6    convictions, preceding sentences of supervision,
7    conditional discharge, or first offender probation, under
8    the laws of any jurisdiction of the United States: (i)
9    that is a felony; or (ii) that is a misdemeanor, an
10    essential element of which is dishonesty, or that is
11    directly related to the practice of the profession.
12        (4) A pattern of practice or other behavior which
13    demonstrates incapacity or incompetency to practice under
14    this Act.
15        (5) Knowingly aiding or assisting another person in
16    violating any provision of this Act or rules.
17        (6) Failing, within 90 days, to provide a response to
18    a request for information in response to a written request
19    made by the Department by certified or registered mail or
20    by email to the email address of record.
21        (7) Engaging in dishonorable, unethical or
22    unprofessional conduct of a character likely to deceive,
23    defraud or harm the public, as defined by rule.
24        (8) Unlawful taking, theft, selling, distributing, or
25    manufacturing of any drug, narcotic, or prescription
26    device.

 

 

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1        (9) Habitual or excessive use or addiction to alcohol,
2    narcotics, stimulants, or any other chemical agent or drug
3    that could result in a licensee's inability to practice
4    with reasonable judgment, skill or safety.
5        (10) Discipline by another U.S. jurisdiction or
6    foreign nation, if at least one of the grounds for the
7    discipline is the same or substantially equivalent to
8    those set forth in this Section.
9        (11) A finding that the licensee, after having her or
10    his license placed on probationary status or subject to
11    conditions or restrictions, has violated the terms of
12    probation or failed to comply with such terms or
13    conditions.
14        (12) Being named as a perpetrator in an indicated
15    report by the Department of Children and Family Services
16    and under the Abused and Neglected Child Reporting Act,
17    and upon proof by clear and convincing evidence that the
18    licensee has caused a child to be an abused child or
19    neglected child as defined in the Abused and Neglected
20    Child Reporting Act.
21        (13) Willful omission to file or record, or willfully
22    impeding the filing or recording or inducing another
23    person to omit to file or record medical reports as
24    required by law.
25        (13.5) Willfully failing to report an instance of
26    suspected child abuse or neglect as required by the Abused

 

 

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1    and Neglected Child Reporting Act.
2        (14) Gross negligence in the practice of practical,
3    professional, or advanced practice registered nursing.
4        (15) Holding oneself out to be practicing nursing
5    under any name other than one's own.
6        (16) Failure of a licensee to report to the Department
7    any adverse final action taken against him or her by
8    another licensing jurisdiction of the United States or any
9    foreign state or country, any peer review body, any health
10    care institution, any professional or nursing society or
11    association, any governmental agency, any law enforcement
12    agency, or any court or a nursing liability claim related
13    to acts or conduct similar to acts or conduct that would
14    constitute grounds for action as defined in this Section.
15        (17) Failure of a licensee to report to the Department
16    surrender by the licensee of a license or authorization to
17    practice nursing or advanced practice registered nursing
18    in another state or jurisdiction or current surrender by
19    the licensee of membership on any nursing staff or in any
20    nursing or advanced practice registered nursing or
21    professional association or society while under
22    disciplinary investigation by any of those authorities or
23    bodies for acts or conduct similar to acts or conduct that
24    would constitute grounds for action as defined by this
25    Section.
26        (18) Failing, within 60 days, to provide information

 

 

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1    in response to a written request made by the Department.
2        (19) Failure to establish and maintain records of
3    patient care and treatment as required by law.
4        (20) Fraud, deceit or misrepresentation in applying
5    for or procuring a license under this Act or in connection
6    with applying for renewal of a license under this Act.
7        (21) Allowing another person or organization to use
8    the licensee's licensees' license to deceive the public.
9        (22) Willfully making or filing false records or
10    reports in the licensee's practice, including but not
11    limited to false records to support claims against the
12    medical assistance program of the Department of Healthcare
13    and Family Services (formerly Department of Public Aid)
14    under the Illinois Public Aid Code.
15        (23) Attempting to subvert or cheat on a licensing
16    examination administered under this Act.
17        (24) Immoral conduct in the commission of an act,
18    including, but not limited to, sexual abuse, sexual
19    misconduct, or sexual exploitation, related to the
20    licensee's practice.
21        (25) Willfully or negligently violating the
22    confidentiality between nurse and patient except as
23    required by law.
24        (26) Practicing under a false or assumed name, except
25    as provided by law.
26        (27) The use of any false, fraudulent, or deceptive

 

 

SB2435- 1205 -LRB102 04062 AMC 14078 b

1    statement in any document connected with the licensee's
2    practice.
3        (28) Directly or indirectly giving to or receiving
4    from a person, firm, corporation, partnership, or
5    association a fee, commission, rebate, or other form of
6    compensation for professional services not actually or
7    personally rendered. Nothing in this paragraph (28)
8    affects any bona fide independent contractor or employment
9    arrangements among health care professionals, health
10    facilities, health care providers, or other entities,
11    except as otherwise prohibited by law. Any employment
12    arrangements may include provisions for compensation,
13    health insurance, pension, or other employment benefits
14    for the provision of services within the scope of the
15    licensee's practice under this Act. Nothing in this
16    paragraph (28) shall be construed to require an employment
17    arrangement to receive professional fees for services
18    rendered.
19        (29) A violation of the Health Care Worker
20    Self-Referral Act.
21        (30) Physical illness, mental illness, or disability
22    that results in the inability to practice the profession
23    with reasonable judgment, skill, or safety.
24        (31) Exceeding the terms of a collaborative agreement
25    or the prescriptive authority delegated to a licensee by
26    his or her collaborating physician or podiatric physician

 

 

SB2435- 1206 -LRB102 04062 AMC 14078 b

1    in guidelines established under a written collaborative
2    agreement.
3        (32) Making a false or misleading statement regarding
4    a licensee's skill or the efficacy or value of the
5    medicine, treatment, or remedy prescribed by him or her in
6    the course of treatment.
7        (33) Prescribing, selling, administering,
8    distributing, giving, or self-administering a drug
9    classified as a controlled substance (designated product)
10    or narcotic for other than medically accepted therapeutic
11    purposes.
12        (34) Promotion of the sale of drugs, devices,
13    appliances, or goods provided for a patient in a manner to
14    exploit the patient for financial gain.
15        (35) Violating State or federal laws, rules, or
16    regulations relating to controlled substances.
17        (36) Willfully or negligently violating the
18    confidentiality between an advanced practice registered
19    nurse, collaborating physician, dentist, or podiatric
20    physician and a patient, except as required by law.
21        (37) Willfully failing to report an instance of
22    suspected abuse, neglect, financial exploitation, or
23    self-neglect of an eligible adult as defined in and
24    required by the Adult Protective Services Act.
25        (38) Being named as an abuser in a verified report by
26    the Department on Aging and under the Adult Protective

 

 

SB2435- 1207 -LRB102 04062 AMC 14078 b

1    Services Act, and upon proof by clear and convincing
2    evidence that the licensee abused, neglected, or
3    financially exploited an eligible adult as defined in the
4    Adult Protective Services Act.
5        (39) A violation of any provision of this Act or any
6    rules adopted under this Act.
7        (40) Violating the Compassionate Use of Medical
8    Cannabis Program Act.
9    (c) The determination by a circuit court that a licensee
10is subject to involuntary admission or judicial admission as
11provided in the Mental Health and Developmental Disabilities
12Code, as amended, operates as an automatic suspension. The
13suspension will end only upon a finding by a court that the
14patient is no longer subject to involuntary admission or
15judicial admission and issues an order so finding and
16discharging the patient; and upon the recommendation of the
17Board to the Secretary that the licensee be allowed to resume
18his or her practice.
19    (d) The Department may refuse to issue or may suspend or
20otherwise discipline the license of any person who fails to
21file a return, or to pay the tax, penalty or interest shown in
22a filed return, or to pay any final assessment of the tax,
23penalty, or interest as required by any tax Act administered
24by the Department of Revenue, until such time as the
25requirements of any such tax Act are satisfied.
26    (e) In enforcing this Act, the Department, upon a showing

 

 

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1of a possible violation, may compel an individual licensed to
2practice under this Act or who has applied for licensure under
3this Act, to submit to a mental or physical examination, or
4both, as required by and at the expense of the Department. The
5Department may order the examining physician to present
6testimony concerning the mental or physical examination of the
7licensee or applicant. No information shall be excluded by
8reason of any common law or statutory privilege relating to
9communications between the licensee or applicant and the
10examining physician. The examining physicians shall be
11specifically designated by the Department. The individual to
12be examined may have, at his or her own expense, another
13physician of his or her choice present during all aspects of
14this examination. Failure of an individual to submit to a
15mental or physical examination, when directed, shall result in
16an automatic suspension without hearing.
17    All substance-related violations shall mandate an
18automatic substance abuse assessment. Failure to submit to an
19assessment by a licensed physician who is certified as an
20addictionist or an advanced practice registered nurse with
21specialty certification in addictions may be grounds for an
22automatic suspension, as defined by rule.
23    If the Department finds an individual unable to practice
24or unfit for duty because of the reasons set forth in this
25subsection (e), the Department may require that individual to
26submit to a substance abuse evaluation or treatment by

 

 

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1individuals or programs approved or designated by the
2Department, as a condition, term, or restriction for
3continued, restored, or renewed licensure to practice; or, in
4lieu of evaluation or treatment, the Department may file, or
5the Board may recommend to the Department to file, a complaint
6to immediately suspend, revoke, or otherwise discipline the
7license of the individual. An individual whose license was
8granted, continued, restored, renewed, disciplined or
9supervised subject to such terms, conditions, or restrictions,
10and who fails to comply with such terms, conditions, or
11restrictions, shall be referred to the Secretary for a
12determination as to whether the individual shall have his or
13her license suspended immediately, pending a hearing by the
14Department.
15    In instances in which the Secretary immediately suspends a
16person's license under this subsection (e), a hearing on that
17person's license must be convened by the Department within 15
18days after the suspension and completed without appreciable
19delay. The Department and Board shall have the authority to
20review the subject individual's record of treatment and
21counseling regarding the impairment to the extent permitted by
22applicable federal statutes and regulations safeguarding the
23confidentiality of medical records.
24    An individual licensed under this Act and affected under
25this subsection (e) shall be afforded an opportunity to
26demonstrate to the Department that he or she can resume

 

 

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1practice in compliance with nursing standards under the
2provisions of his or her license.
3(Source: P.A. 100-513, eff. 1-1-18; 101-363, eff. 8-9-19;
4revised 12-5-19.)
 
5    Section 540. The Pharmacy Practice Act is amended by
6changing Section 3 as follows:
 
7    (225 ILCS 85/3)
8    (Section scheduled to be repealed on January 1, 2023)
9    Sec. 3. Definitions. For the purpose of this Act, except
10where otherwise limited therein:
11    (a) "Pharmacy" or "drugstore" means and includes every
12store, shop, pharmacy department, or other place where
13pharmacist care is provided by a pharmacist (1) where drugs,
14medicines, or poisons are dispensed, sold or offered for sale
15at retail, or displayed for sale at retail; or (2) where
16prescriptions of physicians, dentists, advanced practice
17registered nurses, physician assistants, veterinarians,
18podiatric physicians, or optometrists, within the limits of
19their licenses, are compounded, filled, or dispensed; or (3)
20which has upon it or displayed within it, or affixed to or used
21in connection with it, a sign bearing the word or words
22"Pharmacist", "Druggist", "Pharmacy", "Pharmaceutical Care",
23"Apothecary", "Drugstore", "Medicine Store", "Prescriptions",
24"Drugs", "Dispensary", "Medicines", or any word or words of

 

 

SB2435- 1211 -LRB102 04062 AMC 14078 b

1similar or like import, either in the English language or any
2other language; or (4) where the characteristic prescription
3sign (Rx) or similar design is exhibited; or (5) any store, or
4shop, or other place with respect to which any of the above
5words, objects, signs or designs are used in any
6advertisement.
7    (b) "Drugs" means and includes (1) articles recognized in
8the official United States Pharmacopoeia/National Formulary
9(USP/NF), or any supplement thereto and being intended for and
10having for their main use the diagnosis, cure, mitigation,
11treatment or prevention of disease in man or other animals, as
12approved by the United States Food and Drug Administration,
13but does not include devices or their components, parts, or
14accessories; and (2) all other articles intended for and
15having for their main use the diagnosis, cure, mitigation,
16treatment or prevention of disease in man or other animals, as
17approved by the United States Food and Drug Administration,
18but does not include devices or their components, parts, or
19accessories; and (3) articles (other than food) having for
20their main use and intended to affect the structure or any
21function of the body of man or other animals; and (4) articles
22having for their main use and intended for use as a component
23or any articles specified in clause (1), (2) or (3); but does
24not include devices or their components, parts or accessories.
25    (c) "Medicines" means and includes all drugs intended for
26human or veterinary use approved by the United States Food and

 

 

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1Drug Administration.
2    (d) "Practice of pharmacy" means:
3        (1) the interpretation and the provision of assistance
4    in the monitoring, evaluation, and implementation of
5    prescription drug orders;
6        (2) the dispensing of prescription drug orders;
7        (3) participation in drug and device selection;
8        (4) drug administration limited to the administration
9    of oral, topical, injectable, and inhalation as follows:
10            (A) in the context of patient education on the
11        proper use or delivery of medications;
12            (B) vaccination of patients 14 years of age and
13        older pursuant to a valid prescription or standing
14        order, by a physician licensed to practice medicine in
15        all its branches, upon completion of appropriate
16        training, including how to address contraindications
17        and adverse reactions set forth by rule, with
18        notification to the patient's physician and
19        appropriate record retention, or pursuant to hospital
20        pharmacy and therapeutics committee policies and
21        procedures;
22            (B-5) following the initial administration of
23        long-acting or extended-release extended release form
24        opioid antagonists by a physician licensed to practice
25        medicine in all its branches, administration of
26        injections of long-acting or extended-release form

 

 

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1        opioid antagonists for the treatment of substance use
2        disorder, pursuant to a valid prescription by a
3        physician licensed to practice medicine in all its
4        branches, upon completion of appropriate training,
5        including how to address contraindications and adverse
6        reactions, including, but not limited to, respiratory
7        depression and the performance of cardiopulmonary
8        resuscitation, set forth by rule, with notification to
9        the patient's physician and appropriate record
10        retention, or pursuant to hospital pharmacy and
11        therapeutics committee policies and procedures;
12            (C) administration of injections of
13        alpha-hydroxyprogesterone caproate, pursuant to a
14        valid prescription, by a physician licensed to
15        practice medicine in all its branches, upon completion
16        of appropriate training, including how to address
17        contraindications and adverse reactions set forth by
18        rule, with notification to the patient's physician and
19        appropriate record retention, or pursuant to hospital
20        pharmacy and therapeutics committee policies and
21        procedures; and
22            (D) administration of injections of long-term
23        antipsychotic medications pursuant to a valid
24        prescription by a physician licensed to practice
25        medicine in all its branches, upon completion of
26        appropriate training conducted by an Accreditation

 

 

SB2435- 1214 -LRB102 04062 AMC 14078 b

1        Council of Pharmaceutical Education accredited
2        provider, including how to address contraindications
3        and adverse reactions set forth by rule, with
4        notification to the patient's physician and
5        appropriate record retention, or pursuant to hospital
6        pharmacy and therapeutics committee policies and
7        procedures.
8        (5) vaccination of patients ages 10 through 13 limited
9    to the Influenza (inactivated influenza vaccine and live
10    attenuated influenza intranasal vaccine) and Tdap (defined
11    as tetanus, diphtheria, acellular pertussis) vaccines,
12    pursuant to a valid prescription or standing order, by a
13    physician licensed to practice medicine in all its
14    branches, upon completion of appropriate training,
15    including how to address contraindications and adverse
16    reactions set forth by rule, with notification to the
17    patient's physician and appropriate record retention, or
18    pursuant to hospital pharmacy and therapeutics committee
19    policies and procedures;
20        (6) drug regimen review;
21        (7) drug or drug-related research;
22        (8) the provision of patient counseling;
23        (9) the practice of telepharmacy;
24        (10) the provision of those acts or services necessary
25    to provide pharmacist care;
26        (11) medication therapy management; and

 

 

SB2435- 1215 -LRB102 04062 AMC 14078 b

1        (12) the responsibility for compounding and labeling
2    of drugs and devices (except labeling by a manufacturer,
3    repackager, or distributor of non-prescription drugs and
4    commercially packaged legend drugs and devices), proper
5    and safe storage of drugs and devices, and maintenance of
6    required records.
7    A pharmacist who performs any of the acts defined as the
8practice of pharmacy in this State must be actively licensed
9as a pharmacist under this Act.
10    (e) "Prescription" means and includes any written, oral,
11facsimile, or electronically transmitted order for drugs or
12medical devices, issued by a physician licensed to practice
13medicine in all its branches, dentist, veterinarian, podiatric
14physician, or optometrist, within the limits of his or her
15license, by a physician assistant in accordance with
16subsection (f) of Section 4, or by an advanced practice
17registered nurse in accordance with subsection (g) of Section
184, containing the following: (1) name of the patient; (2) date
19when prescription was issued; (3) name and strength of drug or
20description of the medical device prescribed; and (4)
21quantity; (5) directions for use; (6) prescriber's name,
22address, and signature; and (7) DEA registration number where
23required, for controlled substances. The prescription may, but
24is not required to, list the illness, disease, or condition
25for which the drug or device is being prescribed. DEA
26registration numbers shall not be required on inpatient drug

 

 

SB2435- 1216 -LRB102 04062 AMC 14078 b

1orders. A prescription for medication other than controlled
2substances shall be valid for up to 15 months from the date
3issued for the purpose of refills, unless the prescription
4states otherwise.
5    (f) "Person" means and includes a natural person,
6partnership, association, corporation, government entity, or
7any other legal entity.
8    (g) "Department" means the Department of Financial and
9Professional Regulation.
10    (h) "Board of Pharmacy" or "Board" means the State Board
11of Pharmacy of the Department of Financial and Professional
12Regulation.
13    (i) "Secretary" means the Secretary of Financial and
14Professional Regulation.
15    (j) "Drug product selection" means the interchange for a
16prescribed pharmaceutical product in accordance with Section
1725 of this Act and Section 3.14 of the Illinois Food, Drug and
18Cosmetic Act.
19    (k) "Inpatient drug order" means an order issued by an
20authorized prescriber for a resident or patient of a facility
21licensed under the Nursing Home Care Act, the ID/DD Community
22Care Act, the MC/DD Act, the Specialized Mental Health
23Rehabilitation Act of 2013, the Hospital Licensing Act, or the
24University of Illinois Hospital Act, or a facility which is
25operated by the Department of Human Services (as successor to
26the Department of Mental Health and Developmental

 

 

SB2435- 1217 -LRB102 04062 AMC 14078 b

1Disabilities) or the Department of Corrections.
2    (k-5) "Pharmacist" means an individual health care
3professional and provider currently licensed by this State to
4engage in the practice of pharmacy.
5    (l) "Pharmacist in charge" means the licensed pharmacist
6whose name appears on a pharmacy license and who is
7responsible for all aspects of the operation related to the
8practice of pharmacy.
9    (m) "Dispense" or "dispensing" means the interpretation,
10evaluation, and implementation of a prescription drug order,
11including the preparation and delivery of a drug or device to a
12patient or patient's agent in a suitable container
13appropriately labeled for subsequent administration to or use
14by a patient in accordance with applicable State and federal
15laws and regulations. "Dispense" or "dispensing" does not mean
16the physical delivery to a patient or a patient's
17representative in a home or institution by a designee of a
18pharmacist or by common carrier. "Dispense" or "dispensing"
19also does not mean the physical delivery of a drug or medical
20device to a patient or patient's representative by a
21pharmacist's designee within a pharmacy or drugstore while the
22pharmacist is on duty and the pharmacy is open.
23    (n) "Nonresident pharmacy" means a pharmacy that is
24located in a state, commonwealth, or territory of the United
25States, other than Illinois, that delivers, dispenses, or
26distributes, through the United States Postal Service,

 

 

SB2435- 1218 -LRB102 04062 AMC 14078 b

1commercially acceptable parcel delivery service, or other
2common carrier, to Illinois residents, any substance which
3requires a prescription.
4    (o) "Compounding" means the preparation and mixing of
5components, excluding flavorings, (1) as the result of a
6prescriber's prescription drug order or initiative based on
7the prescriber-patient-pharmacist relationship in the course
8of professional practice or (2) for the purpose of, or
9incident to, research, teaching, or chemical analysis and not
10for sale or dispensing. "Compounding" includes the preparation
11of drugs or devices in anticipation of receiving prescription
12drug orders based on routine, regularly observed dispensing
13patterns. Commercially available products may be compounded
14for dispensing to individual patients only if all of the
15following conditions are met: (i) the commercial product is
16not reasonably available from normal distribution channels in
17a timely manner to meet the patient's needs and (ii) the
18prescribing practitioner has requested that the drug be
19compounded.
20    (p) (Blank).
21    (q) (Blank).
22    (r) "Patient counseling" means the communication between a
23pharmacist or a student pharmacist under the supervision of a
24pharmacist and a patient or the patient's representative about
25the patient's medication or device for the purpose of
26optimizing proper use of prescription medications or devices.

 

 

SB2435- 1219 -LRB102 04062 AMC 14078 b

1"Patient counseling" may include without limitation (1)
2obtaining a medication history; (2) acquiring a patient's
3allergies and health conditions; (3) facilitation of the
4patient's understanding of the intended use of the medication;
5(4) proper directions for use; (5) significant potential
6adverse events; (6) potential food-drug interactions; and (7)
7the need to be compliant with the medication therapy. A
8pharmacy technician may only participate in the following
9aspects of patient counseling under the supervision of a
10pharmacist: (1) obtaining medication history; (2) providing
11the offer for counseling by a pharmacist or student
12pharmacist; and (3) acquiring a patient's allergies and health
13conditions.
14    (s) "Patient profiles" or "patient drug therapy record"
15means the obtaining, recording, and maintenance of patient
16prescription information, including prescriptions for
17controlled substances, and personal information.
18    (t) (Blank).
19    (u) "Medical device" or "device" means an instrument,
20apparatus, implement, machine, contrivance, implant, in vitro
21reagent, or other similar or related article, including any
22component part or accessory, required under federal law to
23bear the label "Caution: Federal law requires dispensing by or
24on the order of a physician". A seller of goods and services
25who, only for the purpose of retail sales, compounds, sells,
26rents, or leases medical devices shall not, by reasons

 

 

SB2435- 1220 -LRB102 04062 AMC 14078 b

1thereof, be required to be a licensed pharmacy.
2    (v) "Unique identifier" means an electronic signature,
3handwritten signature or initials, thumb print, or other
4acceptable biometric or electronic identification process as
5approved by the Department.
6    (w) "Current usual and customary retail price" means the
7price that a pharmacy charges to a non-third-party payor.
8    (x) "Automated pharmacy system" means a mechanical system
9located within the confines of the pharmacy or remote location
10that performs operations or activities, other than compounding
11or administration, relative to storage, packaging, dispensing,
12or distribution of medication, and which collects, controls,
13and maintains all transaction information.
14    (y) "Drug regimen review" means and includes the
15evaluation of prescription drug orders and patient records for
16(1) known allergies; (2) drug or potential therapy
17contraindications; (3) reasonable dose, duration of use, and
18route of administration, taking into consideration factors
19such as age, gender, and contraindications; (4) reasonable
20directions for use; (5) potential or actual adverse drug
21reactions; (6) drug-drug interactions; (7) drug-food
22interactions; (8) drug-disease contraindications; (9)
23therapeutic duplication; (10) patient laboratory values when
24authorized and available; (11) proper utilization (including
25over or under utilization) and optimum therapeutic outcomes;
26and (12) abuse and misuse.

 

 

SB2435- 1221 -LRB102 04062 AMC 14078 b

1    (z) "Electronically transmitted prescription" means a
2prescription that is created, recorded, or stored by
3electronic means; issued and validated with an electronic
4signature; and transmitted by electronic means directly from
5the prescriber to a pharmacy. An electronic prescription is
6not an image of a physical prescription that is transferred by
7electronic means from computer to computer, facsimile to
8facsimile, or facsimile to computer.
9    (aa) "Medication therapy management services" means a
10distinct service or group of services offered by licensed
11pharmacists, physicians licensed to practice medicine in all
12its branches, advanced practice registered nurses authorized
13in a written agreement with a physician licensed to practice
14medicine in all its branches, or physician assistants
15authorized in guidelines by a supervising physician that
16optimize therapeutic outcomes for individual patients through
17improved medication use. In a retail or other non-hospital
18pharmacy, medication therapy management services shall consist
19of the evaluation of prescription drug orders and patient
20medication records to resolve conflicts with the following:
21        (1) known allergies;
22        (2) drug or potential therapy contraindications;
23        (3) reasonable dose, duration of use, and route of
24    administration, taking into consideration factors such as
25    age, gender, and contraindications;
26        (4) reasonable directions for use;

 

 

SB2435- 1222 -LRB102 04062 AMC 14078 b

1        (5) potential or actual adverse drug reactions;
2        (6) drug-drug interactions;
3        (7) drug-food interactions;
4        (8) drug-disease contraindications;
5        (9) identification of therapeutic duplication;
6        (10) patient laboratory values when authorized and
7    available;
8        (11) proper utilization (including over or under
9    utilization) and optimum therapeutic outcomes; and
10        (12) drug abuse and misuse.
11    "Medication therapy management services" includes the
12following:
13        (1) documenting the services delivered and
14    communicating the information provided to patients'
15    prescribers within an appropriate time frame, not to
16    exceed 48 hours;
17        (2) providing patient counseling designed to enhance a
18    patient's understanding and the appropriate use of his or
19    her medications; and
20        (3) providing information, support services, and
21    resources designed to enhance a patient's adherence with
22    his or her prescribed therapeutic regimens.
23    "Medication therapy management services" may also include
24patient care functions authorized by a physician licensed to
25practice medicine in all its branches for his or her
26identified patient or groups of patients under specified

 

 

SB2435- 1223 -LRB102 04062 AMC 14078 b

1conditions or limitations in a standing order from the
2physician.
3    "Medication therapy management services" in a licensed
4hospital may also include the following:
5        (1) reviewing assessments of the patient's health
6    status; and
7        (2) following protocols of a hospital pharmacy and
8    therapeutics committee with respect to the fulfillment of
9    medication orders.
10    (bb) "Pharmacist care" means the provision by a pharmacist
11of medication therapy management services, with or without the
12dispensing of drugs or devices, intended to achieve outcomes
13that improve patient health, quality of life, and comfort and
14enhance patient safety.
15    (cc) "Protected health information" means individually
16identifiable health information that, except as otherwise
17provided, is:
18        (1) transmitted by electronic media;
19        (2) maintained in any medium set forth in the
20    definition of "electronic media" in the federal Health
21    Insurance Portability and Accountability Act; or
22        (3) transmitted or maintained in any other form or
23    medium.
24    "Protected health information" does not include
25individually identifiable health information found in:
26        (1) education records covered by the federal Family

 

 

SB2435- 1224 -LRB102 04062 AMC 14078 b

1    Educational Right and Privacy Act; or
2        (2) employment records held by a licensee in its role
3    as an employer.
4    (dd) "Standing order" means a specific order for a patient
5or group of patients issued by a physician licensed to
6practice medicine in all its branches in Illinois.
7    (ee) "Address of record" means the designated address
8recorded by the Department in the applicant's application file
9or licensee's license file maintained by the Department's
10licensure maintenance unit.
11    (ff) "Home pharmacy" means the location of a pharmacy's
12primary operations.
13    (gg) "Email address of record" means the designated email
14address recorded by the Department in the applicant's
15application file or the licensee's license file, as maintained
16by the Department's licensure maintenance unit.
17(Source: P.A. 100-208, eff. 1-1-18; 100-497, eff. 9-8-17;
18100-513, eff. 1-1-18; 100-804, eff. 1-1-19; 100-863, eff.
198-14-18; 101-349, eff. 1-1-20; revised 8-21-20.)
 
20    Section 545. The Physician Assistant Practice Act of 1987
21is amended by changing Sections 7.5 and 21 as follows:
 
22    (225 ILCS 95/7.5)
23    (Section scheduled to be repealed on January 1, 2028)
24    Sec. 7.5. Written collaborative agreements; prescriptive

 

 

SB2435- 1225 -LRB102 04062 AMC 14078 b

1authority.
2    (a) A written collaborative agreement is required for all
3physician assistants to practice in the State, except as
4provided in Section 7.7 of this Act.
5        (1) A written collaborative agreement shall describe
6    the working relationship of the physician assistant with
7    the collaborating physician and shall describe the
8    categories of care, treatment, or procedures to be
9    provided by the physician assistant. The written
10    collaborative agreement shall promote the exercise of
11    professional judgment by the physician assistant
12    commensurate with his or her education and experience. The
13    services to be provided by the physician assistant shall
14    be services that the collaborating physician is authorized
15    to and generally provides to his or her patients in the
16    normal course of his or her clinical medical practice. The
17    written collaborative agreement need not describe the
18    exact steps that a physician assistant must take with
19    respect to each specific condition, disease, or symptom
20    but must specify which authorized procedures require the
21    presence of the collaborating physician as the procedures
22    are being performed. The relationship under a written
23    collaborative agreement shall not be construed to require
24    the personal presence of a physician at the place where
25    services are rendered. Methods of communication shall be
26    available for consultation with the collaborating

 

 

SB2435- 1226 -LRB102 04062 AMC 14078 b

1    physician in person or by telecommunications or electronic
2    communications as set forth in the written collaborative
3    agreement. For the purposes of this Act, "generally
4    provides to his or her patients in the normal course of his
5    or her clinical medical practice" means services, not
6    specific tasks or duties, the collaborating physician
7    routinely provides individually or through delegation to
8    other persons so that the physician has the experience and
9    ability to collaborate and provide consultation.
10        (2) The written collaborative agreement shall be
11    adequate if a physician does each of the following:
12            (A) Participates in the joint formulation and
13        joint approval of orders or guidelines with the
14        physician assistant and he or she periodically reviews
15        such orders and the services provided patients under
16        such orders in accordance with accepted standards of
17        medical practice and physician assistant practice.
18            (B) Provides consultation at least once a month.
19        (3) A copy of the signed, written collaborative
20    agreement must be available to the Department upon request
21    from both the physician assistant and the collaborating
22    physician.
23        (4) A physician assistant shall inform each
24    collaborating physician of all written collaborative
25    agreements he or she has signed and provide a copy of these
26    to any collaborating physician upon request.

 

 

SB2435- 1227 -LRB102 04062 AMC 14078 b

1    (b) A collaborating physician may, but is not required to,
2delegate prescriptive authority to a physician assistant as
3part of a written collaborative agreement. This authority may,
4but is not required to, include prescription of, selection of,
5orders for, administration of, storage of, acceptance of
6samples of, and dispensing medical devices, over the counter
7medications, legend drugs, medical gases, and controlled
8substances categorized as Schedule II through V controlled
9substances, as defined in Article II of the Illinois
10Controlled Substances Act, and other preparations, including,
11but not limited to, botanical and herbal remedies. The
12collaborating physician must have a valid, current Illinois
13controlled substance license and federal registration with the
14Drug Enforcement Administration Agency to delegate the
15authority to prescribe controlled substances.
16        (1) To prescribe Schedule II, III, IV, or V controlled
17    substances under this Section, a physician assistant must
18    obtain a mid-level practitioner controlled substances
19    license. Medication orders issued by a physician assistant
20    shall be reviewed periodically by the collaborating
21    physician.
22        (2) The collaborating physician shall file with the
23    Department notice of delegation of prescriptive authority
24    to a physician assistant and termination of delegation,
25    specifying the authority delegated or terminated. Upon
26    receipt of this notice delegating authority to prescribe

 

 

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1    controlled substances, the physician assistant shall be
2    eligible to register for a mid-level practitioner
3    controlled substances license under Section 303.05 of the
4    Illinois Controlled Substances Act. Nothing in this Act
5    shall be construed to limit the delegation of tasks or
6    duties by the collaborating physician to a nurse or other
7    appropriately trained persons in accordance with Section
8    54.2 of the Medical Practice Act of 1987.
9        (3) In addition to the requirements of this subsection
10    (b), a collaborating physician may, but is not required
11    to, delegate authority to a physician assistant to
12    prescribe Schedule II controlled substances, if all of the
13    following conditions apply:
14            (A) Specific Schedule II controlled substances by
15        oral dosage or topical or transdermal application may
16        be delegated, provided that the delegated Schedule II
17        controlled substances are routinely prescribed by the
18        collaborating physician. This delegation must identify
19        the specific Schedule II controlled substances by
20        either brand name or generic name. Schedule II
21        controlled substances to be delivered by injection or
22        other route of administration may not be delegated.
23            (B) (Blank).
24            (C) Any prescription must be limited to no more
25        than a 30-day supply, with any continuation authorized
26        only after prior approval of the collaborating

 

 

SB2435- 1229 -LRB102 04062 AMC 14078 b

1        physician.
2            (D) The physician assistant must discuss the
3        condition of any patients for whom a controlled
4        substance is prescribed monthly with the collaborating
5        physician.
6            (E) The physician assistant meets the education
7        requirements of Section 303.05 of the Illinois
8        Controlled Substances Act.
9    (c) Nothing in this Act shall be construed to limit the
10delegation of tasks or duties by a physician to a licensed
11practical nurse, a registered professional nurse, or other
12persons. Nothing in this Act shall be construed to limit the
13method of delegation that may be authorized by any means,
14including, but not limited to, oral, written, electronic,
15standing orders, protocols, guidelines, or verbal orders.
16Nothing in this Act shall be construed to authorize a
17physician assistant to provide health care services required
18by law or rule to be performed by a physician. Nothing in this
19Act shall be construed to authorize the delegation or
20performance of operative surgery. Nothing in this Section
21shall be construed to preclude a physician assistant from
22assisting in surgery.
23    (c-5) Nothing in this Section shall be construed to apply
24to any medication authority, including Schedule II controlled
25substances of a licensed physician assistant for care provided
26in a hospital, hospital affiliate, or ambulatory surgical

 

 

SB2435- 1230 -LRB102 04062 AMC 14078 b

1treatment center pursuant to Section 7.7 of this Act.
2    (d) (Blank).
3    (e) Nothing in this Section shall be construed to prohibit
4generic substitution.
5(Source: P.A. 100-453, eff. 8-25-17; 101-13, eff. 6-12-19;
6revised 8-24-20.)
 
7    (225 ILCS 95/21)  (from Ch. 111, par. 4621)
8    (Section scheduled to be repealed on January 1, 2028)
9    Sec. 21. Grounds for disciplinary action.
10    (a) The Department may refuse to issue or to renew, or may
11revoke, suspend, place on probation, reprimand, or take other
12disciplinary or non-disciplinary action with regard to any
13license issued under this Act as the Department may deem
14proper, including the issuance of fines not to exceed $10,000
15for each violation, for any one or combination of the
16following causes:
17        (1) Material misstatement in furnishing information to
18    the Department.
19        (2) Violations of this Act, or the rules adopted under
20    this Act.
21        (3) Conviction by plea of guilty or nolo contendere,
22    finding of guilt, jury verdict, or entry of judgment or
23    sentencing, including, but not limited to, convictions,
24    preceding sentences of supervision, conditional discharge,
25    or first offender probation, under the laws of any

 

 

SB2435- 1231 -LRB102 04062 AMC 14078 b

1    jurisdiction of the United States that is: (i) a felony;
2    or (ii) a misdemeanor, an essential element of which is
3    dishonesty, or that is directly related to the practice of
4    the profession.
5        (4) Making any misrepresentation for the purpose of
6    obtaining licenses.
7        (5) Professional incompetence.
8        (6) Aiding or assisting another person in violating
9    any provision of this Act or its rules.
10        (7) Failing, within 60 days, to provide information in
11    response to a written request made by the Department.
12        (8) Engaging in dishonorable, unethical, or
13    unprofessional conduct, as defined by rule, of a character
14    likely to deceive, defraud, or harm the public.
15        (9) Habitual or excessive use or addiction to alcohol,
16    narcotics, stimulants, or any other chemical agent or drug
17    that results in a physician assistant's inability to
18    practice with reasonable judgment, skill, or safety.
19        (10) Discipline by another U.S. jurisdiction or
20    foreign nation, if at least one of the grounds for
21    discipline is the same or substantially equivalent to
22    those set forth in this Section.
23        (11) Directly or indirectly giving to or receiving
24    from any person, firm, corporation, partnership, or
25    association any fee, commission, rebate or other form of
26    compensation for any professional services not actually or

 

 

SB2435- 1232 -LRB102 04062 AMC 14078 b

1    personally rendered. Nothing in this paragraph (11)
2    affects any bona fide independent contractor or employment
3    arrangements, which may include provisions for
4    compensation, health insurance, pension, or other
5    employment benefits, with persons or entities authorized
6    under this Act for the provision of services within the
7    scope of the licensee's practice under this Act.
8        (12) A finding by the Disciplinary Board that the
9    licensee, after having his or her license placed on
10    probationary status has violated the terms of probation.
11        (13) Abandonment of a patient.
12        (14) Willfully making or filing false records or
13    reports in his or her practice, including but not limited
14    to false records filed with state agencies or departments.
15        (15) Willfully failing to report an instance of
16    suspected child abuse or neglect as required by the Abused
17    and Neglected Child Reporting Act.
18        (16) Physical illness, or mental illness or impairment
19    that results in the inability to practice the profession
20    with reasonable judgment, skill, or safety, including, but
21    not limited to, deterioration through the aging process or
22    loss of motor skill.
23        (17) Being named as a perpetrator in an indicated
24    report by the Department of Children and Family Services
25    under the Abused and Neglected Child Reporting Act, and
26    upon proof by clear and convincing evidence that the

 

 

SB2435- 1233 -LRB102 04062 AMC 14078 b

1    licensee has caused a child to be an abused child or
2    neglected child as defined in the Abused and Neglected
3    Child Reporting Act.
4        (18) (Blank).
5        (19) Gross negligence resulting in permanent injury or
6    death of a patient.
7        (20) Employment of fraud, deception or any unlawful
8    means in applying for or securing a license as a physician
9    assistant.
10        (21) Exceeding the authority delegated to him or her
11    by his or her collaborating physician in a written
12    collaborative agreement.
13        (22) Immoral conduct in the commission of any act,
14    such as sexual abuse, sexual misconduct, or sexual
15    exploitation related to the licensee's practice.
16        (23) Violation of the Health Care Worker Self-Referral
17    Act.
18        (24) Practicing under a false or assumed name, except
19    as provided by law.
20        (25) Making a false or misleading statement regarding
21    his or her skill or the efficacy or value of the medicine,
22    treatment, or remedy prescribed by him or her in the
23    course of treatment.
24        (26) Allowing another person to use his or her license
25    to practice.
26        (27) Prescribing, selling, administering,

 

 

SB2435- 1234 -LRB102 04062 AMC 14078 b

1    distributing, giving, or self-administering a drug
2    classified as a controlled substance for other than
3    medically accepted medically-accepted therapeutic
4    purposes.
5        (28) Promotion of the sale of drugs, devices,
6    appliances, or goods provided for a patient in a manner to
7    exploit the patient for financial gain.
8        (29) A pattern of practice or other behavior that
9    demonstrates incapacity or incompetence to practice under
10    this Act.
11        (30) Violating State or federal laws or regulations
12    relating to controlled substances or other legend drugs or
13    ephedra as defined in the Ephedra Prohibition Act.
14        (31) Exceeding the prescriptive authority delegated by
15    the collaborating physician or violating the written
16    collaborative agreement delegating that authority.
17        (32) Practicing without providing to the Department a
18    notice of collaboration or delegation of prescriptive
19    authority.
20        (33) Failure to establish and maintain records of
21    patient care and treatment as required by law.
22        (34) Attempting to subvert or cheat on the examination
23    of the National Commission on Certification of Physician
24    Assistants or its successor agency.
25        (35) Willfully or negligently violating the
26    confidentiality between physician assistant and patient,

 

 

SB2435- 1235 -LRB102 04062 AMC 14078 b

1    except as required by law.
2        (36) Willfully failing to report an instance of
3    suspected abuse, neglect, financial exploitation, or
4    self-neglect of an eligible adult as defined in and
5    required by the Adult Protective Services Act.
6        (37) Being named as an abuser in a verified report by
7    the Department on Aging under the Adult Protective
8    Services Act and upon proof by clear and convincing
9    evidence that the licensee abused, neglected, or
10    financially exploited an eligible adult as defined in the
11    Adult Protective Services Act.
12        (38) Failure to report to the Department an adverse
13    final action taken against him or her by another licensing
14    jurisdiction of the United States or a foreign state or
15    country, a peer review body, a health care institution, a
16    professional society or association, a governmental
17    agency, a law enforcement agency, or a court acts or
18    conduct similar to acts or conduct that would constitute
19    grounds for action under this Section.
20        (39) Failure to provide copies of records of patient
21    care or treatment, except as required by law.
22        (40) Entering into an excessive number of written
23    collaborative agreements with licensed physicians
24    resulting in an inability to adequately collaborate.
25        (41) Repeated failure to adequately collaborate with a
26    collaborating physician.

 

 

SB2435- 1236 -LRB102 04062 AMC 14078 b

1        (42) Violating the Compassionate Use of Medical
2    Cannabis Program Act.
3    (b) The Department may, without a hearing, refuse to issue
4or renew or may suspend the license of any person who fails to
5file a return, or to pay the tax, penalty or interest shown in
6a filed return, or to pay any final assessment of the tax,
7penalty, or interest as required by any tax Act administered
8by the Illinois Department of Revenue, until such time as the
9requirements of any such tax Act are satisfied.
10    (c) The determination by a circuit court that a licensee
11is subject to involuntary admission or judicial admission as
12provided in the Mental Health and Developmental Disabilities
13Code operates as an automatic suspension. The suspension will
14end only upon a finding by a court that the patient is no
15longer subject to involuntary admission or judicial admission
16and issues an order so finding and discharging the patient,
17and upon the recommendation of the Disciplinary Board to the
18Secretary that the licensee be allowed to resume his or her
19practice.
20    (d) In enforcing this Section, the Department upon a
21showing of a possible violation may compel an individual
22licensed to practice under this Act, or who has applied for
23licensure under this Act, to submit to a mental or physical
24examination, or both, which may include a substance abuse or
25sexual offender evaluation, as required by and at the expense
26of the Department.

 

 

SB2435- 1237 -LRB102 04062 AMC 14078 b

1    The Department shall specifically designate the examining
2physician licensed to practice medicine in all of its branches
3or, if applicable, the multidisciplinary team involved in
4providing the mental or physical examination or both. The
5multidisciplinary team shall be led by a physician licensed to
6practice medicine in all of its branches and may consist of one
7or more or a combination of physicians licensed to practice
8medicine in all of its branches, licensed clinical
9psychologists, licensed clinical social workers, licensed
10clinical professional counselors, and other professional and
11administrative staff. Any examining physician or member of the
12multidisciplinary team may require any person ordered to
13submit to an examination pursuant to this Section to submit to
14any additional supplemental testing deemed necessary to
15complete any examination or evaluation process, including, but
16not limited to, blood testing, urinalysis, psychological
17testing, or neuropsychological testing.
18    The Department may order the examining physician or any
19member of the multidisciplinary team to provide to the
20Department any and all records, including business records,
21that relate to the examination and evaluation, including any
22supplemental testing performed.
23    The Department may order the examining physician or any
24member of the multidisciplinary team to present testimony
25concerning the mental or physical examination of the licensee
26or applicant. No information, report, record, or other

 

 

SB2435- 1238 -LRB102 04062 AMC 14078 b

1documents in any way related to the examination shall be
2excluded by reason of any common law or statutory privilege
3relating to communications between the licensee or applicant
4and the examining physician or any member of the
5multidisciplinary team. No authorization is necessary from the
6licensee or applicant ordered to undergo an examination for
7the examining physician or any member of the multidisciplinary
8team to provide information, reports, records, or other
9documents or to provide any testimony regarding the
10examination and evaluation.
11    The individual to be examined may have, at his or her own
12expense, another physician of his or her choice present during
13all aspects of this examination. However, that physician shall
14be present only to observe and may not interfere in any way
15with the examination.
16     Failure of an individual to submit to a mental or physical
17examination, when ordered, shall result in an automatic
18suspension of his or her license until the individual submits
19to the examination.
20    If the Department finds an individual unable to practice
21because of the reasons set forth in this Section, the
22Department may require that individual to submit to care,
23counseling, or treatment by physicians approved or designated
24by the Department, as a condition, term, or restriction for
25continued, reinstated, or renewed licensure to practice; or,
26in lieu of care, counseling, or treatment, the Department may

 

 

SB2435- 1239 -LRB102 04062 AMC 14078 b

1file a complaint to immediately suspend, revoke, or otherwise
2discipline the license of the individual. An individual whose
3license was granted, continued, reinstated, renewed,
4disciplined, or supervised subject to such terms, conditions,
5or restrictions, and who fails to comply with such terms,
6conditions, or restrictions, shall be referred to the
7Secretary for a determination as to whether the individual
8shall have his or her license suspended immediately, pending a
9hearing by the Department.
10    In instances in which the Secretary immediately suspends a
11person's license under this Section, a hearing on that
12person's license must be convened by the Department within 30
13days after the suspension and completed without appreciable
14delay. The Department shall have the authority to review the
15subject individual's record of treatment and counseling
16regarding the impairment to the extent permitted by applicable
17federal statutes and regulations safeguarding the
18confidentiality of medical records.
19    An individual licensed under this Act and affected under
20this Section shall be afforded an opportunity to demonstrate
21to the Department that he or she can resume practice in
22compliance with acceptable and prevailing standards under the
23provisions of his or her license.
24    (e) An individual or organization acting in good faith,
25and not in a willful and wanton manner, in complying with this
26Section by providing a report or other information to the

 

 

SB2435- 1240 -LRB102 04062 AMC 14078 b

1Board, by assisting in the investigation or preparation of a
2report or information, by participating in proceedings of the
3Board, or by serving as a member of the Board, shall not be
4subject to criminal prosecution or civil damages as a result
5of such actions.
6    (f) Members of the Board and the Disciplinary Board shall
7be indemnified by the State for any actions occurring within
8the scope of services on the Disciplinary Board or Board, done
9in good faith and not willful and wanton in nature. The
10Attorney General shall defend all such actions unless he or
11she determines either that there would be a conflict of
12interest in such representation or that the actions complained
13of were not in good faith or were willful and wanton.
14    If the Attorney General declines representation, the
15member has the right to employ counsel of his or her choice,
16whose fees shall be provided by the State, after approval by
17the Attorney General, unless there is a determination by a
18court that the member's actions were not in good faith or were
19willful and wanton.
20    The member must notify the Attorney General within 7 days
21after receipt of notice of the initiation of any action
22involving services of the Disciplinary Board. Failure to so
23notify the Attorney General constitutes an absolute waiver of
24the right to a defense and indemnification.
25    The Attorney General shall determine, within 7 days after
26receiving such notice, whether he or she will undertake to

 

 

SB2435- 1241 -LRB102 04062 AMC 14078 b

1represent the member.
2(Source: P.A. 100-453, eff. 8-25-17; 100-605, eff. 1-1-19;
3101-363, eff. 8-9-19; revised 12-5-19.)
 
4    Section 550. The Perfusionist Practice Act is amended by
5changing Sections 105 and 210 as follows:
 
6    (225 ILCS 125/105)
7    (Section scheduled to be repealed on January 1, 2030)
8    Sec. 105. Grounds for disciplinary action.
9    (a) The Department may refuse to issue, renew, or restore
10a license, or may revoke, suspend, place on probation,
11reprimand, or take any other disciplinary or non-disciplinary
12action as the Department may deem proper, including fines not
13to exceed $10,000 per violation with regard to any license
14issued under this Act, for any one or a combination of the
15following reasons:
16        (1) Making a material misstatement in furnishing
17    information to the Department.
18        (2) Negligence, incompetence, or misconduct in the
19    practice of perfusion.
20        (3) Failure to comply with any provisions of this Act
21    or any of its rules.
22        (4) Fraud or any misrepresentation in applying for or
23    procuring a license under this Act or in connection with
24    applying for renewal or restoration of a license under

 

 

SB2435- 1242 -LRB102 04062 AMC 14078 b

1    this Act.
2        (5) Purposefully making false statements or signing
3    false statements, certificates, or affidavits to induce
4    payment.
5        (6) Conviction of or entry of a plea of guilty or nolo
6    contendere, finding of guilt, jury verdict, or entry of
7    judgment or sentencing, including, but not limited to,
8    convictions, preceding sentences of supervision,
9    conditional discharge, or first offender probation under
10    the laws of any jurisdiction of the United States that is
11    (i) a felony or (ii) a misdemeanor, an essential element
12    of which is dishonesty, that is directly related to the
13    practice of the profession of perfusion.
14        (7) Aiding or assisting another in violating any
15    provision of this Act or its rules.
16        (8) Failing to provide information in response to a
17    written request made by the Department within 60 days
18    after receipt of such written request.
19        (9) Engaging in dishonorable, unethical, or
20    unprofessional conduct of a character likely to deceive,
21    defraud, or harm the public as defined by rule.
22        (10) Habitual or excessive use or abuse of drugs
23    defined in law as controlled substances, of alcohol,
24    narcotics, stimulants, or any other substances that
25    results in the inability to practice with reasonable
26    judgment, skill, or safety.

 

 

SB2435- 1243 -LRB102 04062 AMC 14078 b

1        (11) A finding by the Department that an applicant or
2    licensee has failed to pay a fine imposed by the
3    Department.
4        (12) A finding by the Department that the licensee,
5    after having his or her license placed on probationary
6    status, has violated the terms of probation, or failed to
7    comply with such terms.
8        (13) Inability to practice the profession with
9    reasonable judgment, skill, or safety as a result of
10    physical illness, including, but not limited to,
11    deterioration through the aging process, loss of motor
12    skill, mental illness, or disability.
13        (14) Discipline by another state, territory, foreign
14    country, the District of Columbia, the United States
15    government, or any other government agency if at least one
16    of the grounds for discipline is the same or substantially
17    equivalent to those set forth in this Act.
18        (15) The making of any willfully false oath or
19    affirmation in any matter or proceeding where an oath or
20    affirmation is required by this Act.
21        (16) Using or attempting to use an expired, inactive,
22    suspended, or revoked license, or the certificate or seal
23    of another, or impersonating another licensee.
24        (17) Directly or indirectly giving to or receiving
25    from any person or entity any fee, commission, rebate, or
26    other form of compensation for any professional service

 

 

SB2435- 1244 -LRB102 04062 AMC 14078 b

1    not actually or personally rendered.
2        (18) Willfully making or filing false records or
3    reports related to the licensee's practice, including, but
4    not limited to, false records filed with federal or State
5    agencies or departments.
6        (19) Willfully failing to report an instance of
7    suspected child abuse or neglect as required under the
8    Abused and Neglected Child Reporting Act.
9        (20) Being named as a perpetrator in an indicated
10    report by the Department of Children and Family Services
11    under the Abused and Neglected Child Reporting Act and
12    upon proof, by clear and convincing evidence, that the
13    licensee has caused a child to be an abused child or
14    neglected child as defined in the Abused and Neglected
15    Child Reporting Act.
16        (21) Immoral conduct in the commission of an act
17    related to the licensee's practice, including but not
18    limited to sexual abuse, sexual misconduct, or sexual
19    exploitation.
20        (22) Violation of the Health Care Worker Self-Referral
21    Act.
22        (23) Solicitation of business or professional
23    services, other than permitted advertising.
24        (24) Conviction of or cash compromise of a charge or
25    violation of the Illinois Controlled Substances Act.
26        (25) Gross, willful, or continued overcharging for

 

 

SB2435- 1245 -LRB102 04062 AMC 14078 b

1    professional services, including filing false statements
2    for collection of fees for which services are not
3    rendered.
4        (26) Practicing under a false name or, except as
5    allowed by law, an assumed name.
6    (b) In enforcing this Section, the Department or Board,
7upon a showing of a possible violation, may order a licensee or
8applicant to submit to a mental or physical examination, or
9both, at the expense of the Department. The Department or
10Board may order the examining physician to present testimony
11concerning his or her examination of the licensee or
12applicant. No information shall be excluded by reason of any
13common law or statutory privilege relating to communications
14between the licensee or applicant and the examining physician.
15The examining physicians shall be specifically designated by
16the Board or Department. The licensee or applicant may have,
17at his or her own expense, another physician of his or her
18choice present during all aspects of the examination. Failure
19of a licensee or applicant to submit to any such examination
20when directed, without reasonable cause as defined by rule,
21shall be grounds for either the immediate suspension of his or
22her license or immediate denial of his or her application.
23        (1) If the Secretary immediately suspends the license
24    of a licensee for his or her failure to submit to a mental
25    or physical examination when directed, a hearing must be
26    convened by the Department within 15 days after the

 

 

SB2435- 1246 -LRB102 04062 AMC 14078 b

1    suspension and completed without appreciable delay.
2        (2) If the Secretary otherwise suspends a license
3    pursuant to the results of the licensee's mental or
4    physical examination, a hearing must be convened by the
5    Department within 15 days after the suspension and
6    completed without appreciable delay. The Department and
7    Board shall have the authority to review the licensee's
8    record of treatment and counseling regarding the relevant
9    impairment or impairments to the extent permitted by
10    applicable federal statutes and regulations safeguarding
11    the confidentiality of medical records.
12        (3) Any licensee suspended or otherwise affected under
13    this subsection (b) shall be afforded an opportunity to
14    demonstrate to the Department or Board that he or she can
15    resume practice in compliance with the acceptable and
16    prevailing standards under the provisions of his or her
17    license.
18    (c) The determination by a circuit court that a licensee
19is subject to involuntary admission or judicial admission as
20provided in the Mental Health and Developmental Disabilities
21Code operates as an automatic suspension. The suspension will
22end only upon a finding by a court that the licensee is no
23longer subject to the involuntary admission or judicial
24admission and issues an order so finding and discharging the
25licensee; and upon the recommendation of the Board to the
26Secretary that the licensee be allowed to resume his or her

 

 

SB2435- 1247 -LRB102 04062 AMC 14078 b

1practice.
2    (d) In cases where the Department of Healthcare and Family
3Services (formerly the Department of Public Aid) has
4previously determined that a licensee or a potential licensee
5is more than 30 days delinquent in the payment of child support
6and has subsequently certified the delinquency to the
7Department, the Department shall refuse to issue or renew or
8shall revoke or suspend that person's license or shall take
9other disciplinary action against that person based solely
10upon the certification of delinquency made by the Department
11of Healthcare and Family Services in accordance with
12subdivision (a)(5) of Section 2105-15 of the Department of
13Professional Regulation Law of the Civil Administrative Code
14of Illinois.
15    (e) The Department shall deny a license or renewal
16authorized by this Act to a person who has failed to file a
17return, to pay the tax, penalty, or interest shown in a filed
18return, or to pay any final assessment of tax, penalty, or
19interest as required by any tax Act administered by the
20Department of Revenue, until the requirements of the tax Act
21are satisfied in accordance with subsection (g) of Section
222105-15 of the Department of Professional Regulation Law of
23the Civil Administrative Code of Illinois.
24(Source: P.A. 101-311, eff. 8-9-19; revised 12-5-19.)
 
25    (225 ILCS 125/210)

 

 

SB2435- 1248 -LRB102 04062 AMC 14078 b

1    (Section scheduled to be repealed on January 1, 2030)
2    Sec. 210. Administrative review.
3    (a) All final administrative decisions of the Department
4are subject to judicial review under the Administrative Review
5Law and its rules. The term "administrative decision" is
6defined as in Section 3-101 of the Code of Civil Procedure.
7    (b) Proceedings for judicial review shall be commenced in
8the circuit court of the county in which the party seeking
9review resides. If the party seeking review is not a resident
10of this State, venue shall be in Sangamon County.
11    (c) The Department shall not be required to certify any
12record to the court or file any answer in court, or to
13otherwise appear in any court in a judicial review proceeding,
14unless and until the Department has received from the
15plaintiff payment of the costs of furnishing and certifying
16the record, which costs shall be determined by the Department.
17    (d) Failure on the part of the plaintiff to file a receipt
18in court shall be grounds for dismissal of the action.
19    (e) During the pendency and hearing of any and all
20judicial proceedings incident to a disciplinary action, the
21sanctions imposed upon the applicant or licensee by the
22Department shall remain in full force and effect.
23(Source: P.A. 101-311, eff. 8-9-19; revised 12-5-19.)
 
24    Section 555. The Uniform Emergency Volunteer Health
25Practitioners Act is amended by changing Section 5 as follows:
 

 

 

SB2435- 1249 -LRB102 04062 AMC 14078 b

1    (225 ILCS 140/5)
2    Sec. 5. Volunteer Health Practitioner Registration
3Systems.
4    (a) To qualify as a volunteer health practitioner
5registration system, a system must:
6        (1) accept applications for the registration of
7    volunteer health practitioners before or during an
8    emergency;
9        (2) include information about the licensure and good
10    standing of health practitioners which is accessible by
11    authorized persons;
12        (3) be capable of confirming the accuracy of
13    information concerning whether a health practitioner is
14    licensed and in good standing before health services or
15    veterinary services are provided under this Act; and
16        (4) meet one of the following conditions:
17            (A) be an emergency system for advance
18        registration of volunteer health-care practitioners
19        established by a state and funded through the
20        Department of Health and Human Services under Section
21        319I of the Public Health Service Services Act, 42
22        U.S.C. Section 247d-7b (as amended);
23            (B) be a local unit consisting of trained and
24        equipped emergency response, public health, and
25        medical personnel formed pursuant to Section 2801 of

 

 

SB2435- 1250 -LRB102 04062 AMC 14078 b

1        the Public Health Service Services Act, 42 U.S.C.
2        Section 300hh (as amended);
3            (C) be operated by a:
4                (i) disaster relief organization;
5                (ii) licensing board;
6                (iii) national or regional association of
7            licensing boards or health practitioners;
8                (iv) health facility that provides
9            comprehensive inpatient and outpatient health-care
10            services, including a tertiary care, teaching
11            hospital, or ambulatory surgical treatment center;
12            or
13                (v) governmental entity; or
14            (D) be designated by the Illinois Department of
15        Public Health as a registration system for purposes of
16        this Act.
17    (b) While an emergency declaration is in effect, the
18Illinois Department of Public Health, a person authorized to
19act on behalf of the Illinois Department of Public Health, or a
20host entity or disaster relief organization, may confirm
21whether volunteer health practitioners utilized in this State
22are registered with a registration system that complies with
23subsection (a). Confirmation is limited to obtaining
24identities of the practitioners from the system and
25determining whether the system indicates that the
26practitioners are licensed and in good standing.

 

 

SB2435- 1251 -LRB102 04062 AMC 14078 b

1    (c) Upon request of a person in this State authorized
2under subsection (b), or a similarly authorized person in
3another state, a registration system located in this State
4shall notify the person of the identities of volunteer health
5practitioners and whether the practitioners are licensed and
6in good standing.
7    (d) A host entity or disaster relief organization is not
8required to use the services of a volunteer health
9practitioner even if the practitioner is registered with a
10registration system that indicates that the practitioner is
11licensed and in good standing.
12(Source: P.A. 96-983, eff. 1-1-11; revised 8-24-20.)
 
13    Section 560. The Solid Waste Site Operator Certification
14Law is amended by changing Section 1001 as follows:
 
15    (225 ILCS 230/1001)  (from Ch. 111, par. 7851)
16    Sec. 1001. Short title. This Article Act may be cited as
17the Solid Waste Site Operator Certification Law. References in
18this Article to this Act shall mean this Article.
19(Source: P.A. 86-1363; revised 8-23-19.)
 
20    Section 565. The Interpreter for the Deaf Licensure Act of
212007 is amended by changing Section 165 as follows:
 
22    (225 ILCS 443/165)

 

 

SB2435- 1252 -LRB102 04062 AMC 14078 b

1    (Section scheduled to be repealed on January 1, 2028)
2    Sec. 165. Secretary Director; rehearing. Whenever the
3Secretary believes justice has not been done in the revocation
4of, suspension of, or refusal to issue or renew a license or
5the discipline of a licensee, he or she may order a rehearing.
6(Source: P.A. 95-617, eff. 9-12-07; revised 8-23-19.)
 
7    Section 570. The Animal Welfare Act is amended by changing
8Sections 3.3, 7, 18, 18.2, and 21 as follows:
 
9    (225 ILCS 605/3.3)
10    Sec. 3.3. Adoption of dogs and cats.
11    (a) An animal shelter or animal control facility shall not
12adopt out any dog or adopt out or return to field any cat
13unless it has been sterilized and microchipped. However, an
14animal shelter or , animal control facility may adopt out a dog
15or cat that has not been sterilized and microchipped if: (1)
16Blank; or (2) the adopting owner has executed a written
17agreement to have sterilizing and microchipping procedures
18performed within 14 days after a licensed veterinarian
19certifies the dog or cat is healthy enough for sterilizing and
20microchipping procedures, and a licensed veterinarian has
21certified that the dog or cat is too sick or injured to be
22sterilized or it would be detrimental to the health of the dog
23or cat to be sterilized or microchipped at the time of the
24adoption.

 

 

SB2435- 1253 -LRB102 04062 AMC 14078 b

1    (b) An animal shelter or animal control facility may adopt
2out any dog or cat that is not free of disease, injury, or
3abnormality if the disease, injury, or abnormality is
4disclosed in writing to the adopter, and the animal shelter or
5animal control facility allows the adopter to return the
6animal to the animal shelter or animal control facility.
7    (c) The requirements of subsections (a) and (b) of this
8Section do not apply to adoptions subject to Section 11 of the
9Animal Control Act.
10(Source: P.A. 101-295, eff. 8-9-19; revised 8-24-20.)
 
11    (225 ILCS 605/7)  (from Ch. 8, par. 307)
12    Sec. 7. Applications for renewal licenses shall be made to
13the Department in a manner prescribed by the Department, shall
14contain such information as will enable the Department to
15determine if the applicant is qualified to continue to hold a
16license, shall report beginning inventory and intake and
17outcome statistics from the previous calendar year, and shall
18be accompanied by the required fee, which shall not be
19returnable. The report of intake and outcome statistics shall
20include the following:
21        (1) The total number of dogs, cats, and other animals,
22    divided into species, taken in by the animal shelter or
23    animal control facility, in the following categories:
24            (A) surrendered by owner;
25            (B) stray;

 

 

SB2435- 1254 -LRB102 04062 AMC 14078 b

1            (C) impounded other than stray;
2            (D) confiscated under the Humane Care for Animals
3        Act;
4            (E) transfer from other licensees within the
5        State;
6            (F) transferred into or imported from out of the
7        State;
8            (G) transferred into or imported from outside the
9        country; and
10            (H) born in shelter or animal control facility.
11        (2) The disposition of all dogs, cats, and other
12    animals taken in by the animal shelter or animal control
13    facility, divided into species. This data must include
14    dispositions by:
15            (A) reclamation by owner;
16            (B) adopted or sold;
17            (C) euthanized;
18            (D) euthanized per request of the owner;
19            (E) died in custody;
20            (F) transferred to another licensee;
21            (G) transferred to an out-of-state out-of-State
22        nonprofit agency;
23            (H) animals missing, stolen, or escaped;
24            (I) cats returned to in field; and
25            (J) ending inventory; shelter count at end of the
26        last day of the year.

 

 

SB2435- 1255 -LRB102 04062 AMC 14078 b

1    The Department shall not be required to audit or validate
2the intake and outcome statistics required to be submitted
3under this Section.
4(Source: P.A. 100-870, eff. 1-1-19; 101-295, eff. 8-9-19;
5revised 8-24-20.)
 
6    (225 ILCS 605/18)  (from Ch. 8, par. 318)
7    Sec. 18. The licensee shall:
8        (a) a. Maintain sanitary conditions.
9        (b) Ensure b. Insure proper ventilation.
10        (c) c. Provide adequate nutrition.
11        (d) d. Provide humane care and treatment of all
12    animals under his jurisdiction.
13        (e) e. Take reasonable care to release for sale,
14    trade, or adoption only those animals which are free of
15    disease, injuries, or abnormalities. A health certificate,
16    meeting the requirements of the Department and issued by a
17    licensed veterinarian for any such animal within 5 days
18    before such sale, trade, or adoption, is prima facie
19    evidence that the licensee has taken reasonable care, as
20    required by this paragraph.
21    f. Inspection of the premises of a licensee to determine
22compliance with this Act may be made only by the Department.
23(Source: P.A. 78-900; revised 8-24-20.)
 
24    (225 ILCS 605/18.2)

 

 

SB2435- 1256 -LRB102 04062 AMC 14078 b

1    Sec. 18.2. Fire alarm system.
2    (a) In this Section:
3    "Fire alarm system" means a system that automatically
4triggers notification to local emergency responders when
5activated.
6    "Staffing plan" means a plan to staff a kennel operator
7anytime dogs or cats are on the premises. At a minimum, a
8staffing plan must include the kennel operator's hours of
9operation, number of staff, names of staff, and the staff's
10contact information. The Department may adopt rules adding
11requirements to a staffing plan.
12    "Qualified fire inspector" means a local fire official or
13a building inspector working for a unit of local government or
14fire protection district who is qualified to inspect buildings
15for fire safety or building code compliance.
16    (b) A kennel operator that maintains dogs or cats for
17boarding and that is not staffed at all times dogs or cats are
18on the premises shall be equipped with at least one fire alarm
19system or fire sprinkler system in operating condition in
20every building of the kennel operator that is used for the
21housing of animals. The kennel operator shall certify in its
22license application and annually certify in its license
23renewal that either: (1) its facility has a fire alarm system
24or a fire sprinkler system, and shall include with the
25application or license renewal an attached description and
26picture of the make and model of the system used; or (2) the

 

 

SB2435- 1257 -LRB102 04062 AMC 14078 b

1kennel is staffed at all times dogs or cats are on the
2premises, and shall include with the application or license
3renewal an attached staffing plan. The Department shall
4include this certification on each application for license or
5license renewal.
6    (c) A qualified fire inspector may inspect a kennel
7operator that maintains dogs and cats for boarding during the
8course of performing routine inspections. If, during a routine
9inspection, a qualified fire inspector determines that the
10kennel operator does not have a fire alarm system or fire
11sprinkler system, the inspector may inform the Department.
12    (d) For the purposes of this Section, veterinary
13hospitals, practices, or offices are not kennel operators.
14(Source: P.A. 101-210, eff. 1-1-20; revised 9-19-19.)
 
15    (225 ILCS 605/21)  (from Ch. 8, par. 321)
16    Sec. 21. The following fees shall accompany each
17application for a license, which fees shall not be returnable:
18        a. for an original license to an individual .... $350
19        b. for an original license to a partnership,
20                animal shelter, or animal control
21                facility or corporation ................ $350
22        c. for an annual renewal license ............... $100
23        d. for each branch office license .............. $100
24        e. for the renewal of any license not renewed by
25                July 1 of the year ..................... $400

 

 

SB2435- 1258 -LRB102 04062 AMC 14078 b

1        f. (blank)
2        g. (blank)
3(Source: P.A. 101-295, eff. 8-9-19; revised 12-9-19.)
 
4    Section 575. The Fluorspar Mines Act is amended by
5changing Section 3 as follows:
 
6    (225 ILCS 710/3)  (from Ch. 96 1/2, par. 4204)
7    Sec. 3. Office of Inspector of Mines. The Office of
8Inspector of Mines as created by this Act shall be under the
9jurisdiction of the Department of Natural Resources to the
10same purport and effect as all other mining operations
11provided for by law, unless otherwise provided. The Inspector
12of Mines appointed hereunder shall keep an office within and
13as a part of the office of the Director of the Office of Mines
14and Minerals, and whose necessary employees shall be employed
15and paid in the same manner as is provided for the employment
16and pay of the necessary employees of the State departments
17under the Civil Administrative Code of Illinois, and as is
18provided in Section 5-645 of the Departments of State
19Government Law of the Civil Administrative Code of Illinois
20(20 ILCS 5/5-645.
21(Source: P.A. 91-239, eff. 1-1-00; revised 8-23-19.)
 
22    Section 580. The Illinois Horse Racing Act of 1975 is
23amended by changing Sections 26, 27, and 31 as follows:
 

 

 

SB2435- 1259 -LRB102 04062 AMC 14078 b

1    (230 ILCS 5/26)  (from Ch. 8, par. 37-26)
2    Sec. 26. Wagering.
3    (a) Any licensee may conduct and supervise the pari-mutuel
4system of wagering, as defined in Section 3.12 of this Act, on
5horse races conducted by an Illinois organization licensee or
6conducted at a racetrack located in another state or country
7in accordance with subsection (g) of Section 26 of this Act.
8Subject to the prior consent of the Board, licensees may
9supplement any pari-mutuel pool in order to guarantee a
10minimum distribution. Such pari-mutuel method of wagering
11shall not, under any circumstances if conducted under the
12provisions of this Act, be held or construed to be unlawful,
13other statutes of this State to the contrary notwithstanding.
14Subject to rules for advance wagering promulgated by the
15Board, any licensee may accept wagers in advance of the day of
16the race wagered upon occurs.
17    (b) Except for those gaming activities for which a license
18is obtained and authorized under the Illinois Lottery Law, the
19Charitable Games Act, the Raffles and Poker Runs Act, or the
20Illinois Gambling Act, no other method of betting, pool
21making, wagering or gambling shall be used or permitted by the
22licensee. Each licensee may retain, subject to the payment of
23all applicable taxes and purses, an amount not to exceed 17% of
24all money wagered under subsection (a) of this Section, except
25as may otherwise be permitted under this Act.

 

 

SB2435- 1260 -LRB102 04062 AMC 14078 b

1    (b-5) An individual may place a wager under the
2pari-mutuel system from any licensed location authorized under
3this Act provided that wager is electronically recorded in the
4manner described in Section 3.12 of this Act. Any wager made
5electronically by an individual while physically on the
6premises of a licensee shall be deemed to have been made at the
7premises of that licensee.
8    (c) (Blank).
9    (c-5) The sum held by any licensee for payment of
10outstanding pari-mutuel tickets, if unclaimed prior to
11December 31 of the next year, shall be retained by the licensee
12for payment of such tickets until that date. Within 10 days
13thereafter, the balance of such sum remaining unclaimed, less
14any uncashed supplements contributed by such licensee for the
15purpose of guaranteeing minimum distributions of any
16pari-mutuel pool, shall be evenly distributed to the purse
17account of the organization licensee and the organization
18licensee, except that the balance of the sum of all
19outstanding pari-mutuel tickets generated from simulcast
20wagering and inter-track wagering by an organization licensee
21located in a county with a population in excess of 230,000 and
22borders the Mississippi River or any licensee that derives its
23license from that organization licensee shall be evenly
24distributed to the purse account of the organization licensee
25and the organization licensee.
26    (d) A pari-mutuel ticket shall be honored until December

 

 

SB2435- 1261 -LRB102 04062 AMC 14078 b

131 of the next calendar year, and the licensee shall pay the
2same and may charge the amount thereof against unpaid money
3similarly accumulated on account of pari-mutuel tickets not
4presented for payment.
5    (e) No licensee shall knowingly permit any minor, other
6than an employee of such licensee or an owner, trainer,
7jockey, driver, or employee thereof, to be admitted during a
8racing program unless accompanied by a parent or guardian, or
9any minor to be a patron of the pari-mutuel system of wagering
10conducted or supervised by it. The admission of any
11unaccompanied minor, other than an employee of the licensee or
12an owner, trainer, jockey, driver, or employee thereof at a
13race track is a Class C misdemeanor.
14    (f) Notwithstanding the other provisions of this Act, an
15organization licensee may contract with an entity in another
16state or country to permit any legal wagering entity in
17another state or country to accept wagers solely within such
18other state or country on races conducted by the organization
19licensee in this State. Beginning January 1, 2000, these
20wagers shall not be subject to State taxation. Until January
211, 2000, when the out-of-State entity conducts a pari-mutuel
22pool separate from the organization licensee, a privilege tax
23equal to 7 1/2% of all monies received by the organization
24licensee from entities in other states or countries pursuant
25to such contracts is imposed on the organization licensee, and
26such privilege tax shall be remitted to the Department of

 

 

SB2435- 1262 -LRB102 04062 AMC 14078 b

1Revenue within 48 hours of receipt of the moneys from the
2simulcast. When the out-of-State entity conducts a combined
3pari-mutuel pool with the organization licensee, the tax shall
4be 10% of all monies received by the organization licensee
5with 25% of the receipts from this 10% tax to be distributed to
6the county in which the race was conducted.
7    An organization licensee may permit one or more of its
8races to be utilized for pari-mutuel wagering at one or more
9locations in other states and may transmit audio and visual
10signals of races the organization licensee conducts to one or
11more locations outside the State or country and may also
12permit pari-mutuel pools in other states or countries to be
13combined with its gross or net wagering pools or with wagering
14pools established by other states.
15    (g) A host track may accept interstate simulcast wagers on
16horse races conducted in other states or countries and shall
17control the number of signals and types of breeds of racing in
18its simulcast program, subject to the disapproval of the
19Board. The Board may prohibit a simulcast program only if it
20finds that the simulcast program is clearly adverse to the
21integrity of racing. The host track simulcast program shall
22include the signal of live racing of all organization
23licensees. All non-host licensees and advance deposit wagering
24licensees shall carry the signal of and accept wagers on live
25racing of all organization licensees. Advance deposit wagering
26licensees shall not be permitted to accept out-of-state wagers

 

 

SB2435- 1263 -LRB102 04062 AMC 14078 b

1on any Illinois signal provided pursuant to this Section
2without the approval and consent of the organization licensee
3providing the signal. For one year after August 15, 2014 (the
4effective date of Public Act 98-968), non-host licensees may
5carry the host track simulcast program and shall accept wagers
6on all races included as part of the simulcast program of horse
7races conducted at race tracks located within North America
8upon which wagering is permitted. For a period of one year
9after August 15, 2014 (the effective date of Public Act
1098-968), on horse races conducted at race tracks located
11outside of North America, non-host licensees may accept wagers
12on all races included as part of the simulcast program upon
13which wagering is permitted. Beginning August 15, 2015 (one
14year after the effective date of Public Act 98-968), non-host
15licensees may carry the host track simulcast program and shall
16accept wagers on all races included as part of the simulcast
17program upon which wagering is permitted. All organization
18licensees shall provide their live signal to all advance
19deposit wagering licensees for a simulcast commission fee not
20to exceed 6% of the advance deposit wagering licensee's
21Illinois handle on the organization licensee's signal without
22prior approval by the Board. The Board may adopt rules under
23which it may permit simulcast commission fees in excess of 6%.
24The Board shall adopt rules limiting the interstate commission
25fees charged to an advance deposit wagering licensee. The
26Board shall adopt rules regarding advance deposit wagering on

 

 

SB2435- 1264 -LRB102 04062 AMC 14078 b

1interstate simulcast races that shall reflect, among other
2things, the General Assembly's desire to maximize revenues to
3the State, horsemen purses, and organization licensees.
4However, organization licensees providing live signals
5pursuant to the requirements of this subsection (g) may
6petition the Board to withhold their live signals from an
7advance deposit wagering licensee if the organization licensee
8discovers and the Board finds reputable or credible
9information that the advance deposit wagering licensee is
10under investigation by another state or federal governmental
11agency, the advance deposit wagering licensee's license has
12been suspended in another state, or the advance deposit
13wagering licensee's license is in revocation proceedings in
14another state. The organization licensee's provision of their
15live signal to an advance deposit wagering licensee under this
16subsection (g) pertains to wagers placed from within Illinois.
17Advance deposit wagering licensees may place advance deposit
18wagering terminals at wagering facilities as a convenience to
19customers. The advance deposit wagering licensee shall not
20charge or collect any fee from purses for the placement of the
21advance deposit wagering terminals. The costs and expenses of
22the host track and non-host licensees associated with
23interstate simulcast wagering, other than the interstate
24commission fee, shall be borne by the host track and all
25non-host licensees incurring these costs. The interstate
26commission fee shall not exceed 5% of Illinois handle on the

 

 

SB2435- 1265 -LRB102 04062 AMC 14078 b

1interstate simulcast race or races without prior approval of
2the Board. The Board shall promulgate rules under which it may
3permit interstate commission fees in excess of 5%. The
4interstate commission fee and other fees charged by the
5sending racetrack, including, but not limited to, satellite
6decoder fees, shall be uniformly applied to the host track and
7all non-host licensees.
8    Notwithstanding any other provision of this Act, an
9organization licensee, with the consent of the horsemen
10association representing the largest number of owners,
11trainers, jockeys, or standardbred drivers who race horses at
12that organization licensee's racing meeting, may maintain a
13system whereby advance deposit wagering may take place or an
14organization licensee, with the consent of the horsemen
15association representing the largest number of owners,
16trainers, jockeys, or standardbred drivers who race horses at
17that organization licensee's racing meeting, may contract with
18another person to carry out a system of advance deposit
19wagering. Such consent may not be unreasonably withheld. Only
20with respect to an appeal to the Board that consent for an
21organization licensee that maintains its own advance deposit
22wagering system is being unreasonably withheld, the Board
23shall issue a final order within 30 days after initiation of
24the appeal, and the organization licensee's advance deposit
25wagering system may remain operational during that 30-day
26period. The actions of any organization licensee who conducts

 

 

SB2435- 1266 -LRB102 04062 AMC 14078 b

1advance deposit wagering or any person who has a contract with
2an organization licensee to conduct advance deposit wagering
3who conducts advance deposit wagering on or after January 1,
42013 and prior to June 7, 2013 (the effective date of Public
5Act 98-18) taken in reliance on the changes made to this
6subsection (g) by Public Act 98-18 are hereby validated,
7provided payment of all applicable pari-mutuel taxes are
8remitted to the Board. All advance deposit wagers placed from
9within Illinois must be placed through a Board-approved
10advance deposit wagering licensee; no other entity may accept
11an advance deposit wager from a person within Illinois. All
12advance deposit wagering is subject to any rules adopted by
13the Board. The Board may adopt rules necessary to regulate
14advance deposit wagering through the use of emergency
15rulemaking in accordance with Section 5-45 of the Illinois
16Administrative Procedure Act. The General Assembly finds that
17the adoption of rules to regulate advance deposit wagering is
18deemed an emergency and necessary for the public interest,
19safety, and welfare. An advance deposit wagering licensee may
20retain all moneys as agreed to by contract with an
21organization licensee. Any moneys retained by the organization
22licensee from advance deposit wagering, not including moneys
23retained by the advance deposit wagering licensee, shall be
24paid 50% to the organization licensee's purse account and 50%
25to the organization licensee. With the exception of any
26organization licensee that is owned by a publicly traded

 

 

SB2435- 1267 -LRB102 04062 AMC 14078 b

1company that is incorporated in a state other than Illinois
2and advance deposit wagering licensees under contract with
3such organization licensees, organization licensees that
4maintain advance deposit wagering systems and advance deposit
5wagering licensees that contract with organization licensees
6shall provide sufficiently detailed monthly accountings to the
7horsemen association representing the largest number of
8owners, trainers, jockeys, or standardbred drivers who race
9horses at that organization licensee's racing meeting so that
10the horsemen association, as an interested party, can confirm
11the accuracy of the amounts paid to the purse account at the
12horsemen association's affiliated organization licensee from
13advance deposit wagering. If more than one breed races at the
14same race track facility, then the 50% of the moneys to be paid
15to an organization licensee's purse account shall be allocated
16among all organization licensees' purse accounts operating at
17that race track facility proportionately based on the actual
18number of host days that the Board grants to that breed at that
19race track facility in the current calendar year. To the
20extent any fees from advance deposit wagering conducted in
21Illinois for wagers in Illinois or other states have been
22placed in escrow or otherwise withheld from wagers pending a
23determination of the legality of advance deposit wagering, no
24action shall be brought to declare such wagers or the
25disbursement of any fees previously escrowed illegal.
26        (1) Between the hours of 6:30 a.m. and 6:30 p.m. an

 

 

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1    inter-track wagering licensee other than the host track
2    may supplement the host track simulcast program with
3    additional simulcast races or race programs, provided that
4    between January 1 and the third Friday in February of any
5    year, inclusive, if no live thoroughbred racing is
6    occurring in Illinois during this period, only
7    thoroughbred races may be used for supplemental interstate
8    simulcast purposes. The Board shall withhold approval for
9    a supplemental interstate simulcast only if it finds that
10    the simulcast is clearly adverse to the integrity of
11    racing. A supplemental interstate simulcast may be
12    transmitted from an inter-track wagering licensee to its
13    affiliated non-host licensees. The interstate commission
14    fee for a supplemental interstate simulcast shall be paid
15    by the non-host licensee and its affiliated non-host
16    licensees receiving the simulcast.
17        (2) Between the hours of 6:30 p.m. and 6:30 a.m. an
18    inter-track wagering licensee other than the host track
19    may receive supplemental interstate simulcasts only with
20    the consent of the host track, except when the Board finds
21    that the simulcast is clearly adverse to the integrity of
22    racing. Consent granted under this paragraph (2) to any
23    inter-track wagering licensee shall be deemed consent to
24    all non-host licensees. The interstate commission fee for
25    the supplemental interstate simulcast shall be paid by all
26    participating non-host licensees.

 

 

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1        (3) Each licensee conducting interstate simulcast
2    wagering may retain, subject to the payment of all
3    applicable taxes and the purses, an amount not to exceed
4    17% of all money wagered. If any licensee conducts the
5    pari-mutuel system wagering on races conducted at
6    racetracks in another state or country, each such race or
7    race program shall be considered a separate racing day for
8    the purpose of determining the daily handle and computing
9    the privilege tax of that daily handle as provided in
10    subsection (a) of Section 27. Until January 1, 2000, from
11    the sums permitted to be retained pursuant to this
12    subsection, each inter-track wagering location licensee
13    shall pay 1% of the pari-mutuel handle wagered on
14    simulcast wagering to the Horse Racing Tax Allocation
15    Fund, subject to the provisions of subparagraph (B) of
16    paragraph (11) of subsection (h) of Section 26 of this
17    Act.
18        (4) A licensee who receives an interstate simulcast
19    may combine its gross or net pools with pools at the
20    sending racetracks pursuant to rules established by the
21    Board. All licensees combining their gross pools at a
22    sending racetrack shall adopt the takeout percentages of
23    the sending racetrack. A licensee may also establish a
24    separate pool and takeout structure for wagering purposes
25    on races conducted at race tracks outside of the State of
26    Illinois. The licensee may permit pari-mutuel wagers

 

 

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1    placed in other states or countries to be combined with
2    its gross or net wagering pools or other wagering pools.
3        (5) After the payment of the interstate commission fee
4    (except for the interstate commission fee on a
5    supplemental interstate simulcast, which shall be paid by
6    the host track and by each non-host licensee through the
7    host track) and all applicable State and local taxes,
8    except as provided in subsection (g) of Section 27 of this
9    Act, the remainder of moneys retained from simulcast
10    wagering pursuant to this subsection (g), and Section 26.2
11    shall be divided as follows:
12            (A) For interstate simulcast wagers made at a host
13        track, 50% to the host track and 50% to purses at the
14        host track.
15            (B) For wagers placed on interstate simulcast
16        races, supplemental simulcasts as defined in
17        subparagraphs (1) and (2), and separately pooled races
18        conducted outside of the State of Illinois made at a
19        non-host licensee, 25% to the host track, 25% to the
20        non-host licensee, and 50% to the purses at the host
21        track.
22        (6) Notwithstanding any provision in this Act to the
23    contrary, non-host licensees who derive their licenses
24    from a track located in a county with a population in
25    excess of 230,000 and that borders the Mississippi River
26    may receive supplemental interstate simulcast races at all

 

 

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1    times subject to Board approval, which shall be withheld
2    only upon a finding that a supplemental interstate
3    simulcast is clearly adverse to the integrity of racing.
4        (7) Effective January 1, 2017, notwithstanding any
5    provision of this Act to the contrary, after payment of
6    all applicable State and local taxes and interstate
7    commission fees, non-host licensees who derive their
8    licenses from a track located in a county with a
9    population in excess of 230,000 and that borders the
10    Mississippi River shall retain 50% of the retention from
11    interstate simulcast wagers and shall pay 50% to purses at
12    the track from which the non-host licensee derives its
13    license.
14        (7.1) Notwithstanding any other provision of this Act
15    to the contrary, if no standardbred racing is conducted at
16    a racetrack located in Madison County during any calendar
17    year beginning on or after January 1, 2002, all moneys
18    derived by that racetrack from simulcast wagering and
19    inter-track wagering that (1) are to be used for purses
20    and (2) are generated between the hours of 6:30 p.m. and
21    6:30 a.m. during that calendar year shall be paid as
22    follows:
23            (A) If the licensee that conducts horse racing at
24        that racetrack requests from the Board at least as
25        many racing dates as were conducted in calendar year
26        2000, 80% shall be paid to its thoroughbred purse

 

 

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1        account; and
2            (B) Twenty percent shall be deposited into the
3        Illinois Colt Stakes Purse Distribution Fund and shall
4        be paid to purses for standardbred races for Illinois
5        conceived and foaled horses conducted at any county
6        fairgrounds. The moneys deposited into the Fund
7        pursuant to this subparagraph (B) shall be deposited
8        within 2 weeks after the day they were generated,
9        shall be in addition to and not in lieu of any other
10        moneys paid to standardbred purses under this Act, and
11        shall not be commingled with other moneys paid into
12        that Fund. The moneys deposited pursuant to this
13        subparagraph (B) shall be allocated as provided by the
14        Department of Agriculture, with the advice and
15        assistance of the Illinois Standardbred Breeders Fund
16        Advisory Board.
17        (7.2) Notwithstanding any other provision of this Act
18    to the contrary, if no thoroughbred racing is conducted at
19    a racetrack located in Madison County during any calendar
20    year beginning on or after January 1, 2002, all moneys
21    derived by that racetrack from simulcast wagering and
22    inter-track wagering that (1) are to be used for purses
23    and (2) are generated between the hours of 6:30 a.m. and
24    6:30 p.m. during that calendar year shall be deposited as
25    follows:
26            (A) If the licensee that conducts horse racing at

 

 

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1        that racetrack requests from the Board at least as
2        many racing dates as were conducted in calendar year
3        2000, 80% shall be deposited into its standardbred
4        purse account; and
5            (B) Twenty percent shall be deposited into the
6        Illinois Colt Stakes Purse Distribution Fund. Moneys
7        deposited into the Illinois Colt Stakes Purse
8        Distribution Fund pursuant to this subparagraph (B)
9        shall be paid to Illinois conceived and foaled
10        thoroughbred breeders' programs and to thoroughbred
11        purses for races conducted at any county fairgrounds
12        for Illinois conceived and foaled horses at the
13        discretion of the Department of Agriculture, with the
14        advice and assistance of the Illinois Thoroughbred
15        Breeders Fund Advisory Board. The moneys deposited
16        into the Illinois Colt Stakes Purse Distribution Fund
17        pursuant to this subparagraph (B) shall be deposited
18        within 2 weeks after the day they were generated,
19        shall be in addition to and not in lieu of any other
20        moneys paid to thoroughbred purses under this Act, and
21        shall not be commingled with other moneys deposited
22        into that Fund.
23        (7.3) (Blank).
24        (7.4) (Blank).
25        (8) Notwithstanding any provision in this Act to the
26    contrary, an organization licensee from a track located in

 

 

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1    a county with a population in excess of 230,000 and that
2    borders the Mississippi River and its affiliated non-host
3    licensees shall not be entitled to share in any retention
4    generated on racing, inter-track wagering, or simulcast
5    wagering at any other Illinois wagering facility.
6        (8.1) Notwithstanding any provisions in this Act to
7    the contrary, if 2 organization licensees are conducting
8    standardbred race meetings concurrently between the hours
9    of 6:30 p.m. and 6:30 a.m., after payment of all
10    applicable State and local taxes and interstate commission
11    fees, the remainder of the amount retained from simulcast
12    wagering otherwise attributable to the host track and to
13    host track purses shall be split daily between the 2
14    organization licensees and the purses at the tracks of the
15    2 organization licensees, respectively, based on each
16    organization licensee's share of the total live handle for
17    that day, provided that this provision shall not apply to
18    any non-host licensee that derives its license from a
19    track located in a county with a population in excess of
20    230,000 and that borders the Mississippi River.
21        (9) (Blank).
22        (10) (Blank).
23        (11) (Blank).
24        (12) The Board shall have authority to compel all host
25    tracks to receive the simulcast of any or all races
26    conducted at the Springfield or DuQuoin State fairgrounds

 

 

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1    and include all such races as part of their simulcast
2    programs.
3        (13) Notwithstanding any other provision of this Act,
4    in the event that the total Illinois pari-mutuel handle on
5    Illinois horse races at all wagering facilities in any
6    calendar year is less than 75% of the total Illinois
7    pari-mutuel handle on Illinois horse races at all such
8    wagering facilities for calendar year 1994, then each
9    wagering facility that has an annual total Illinois
10    pari-mutuel handle on Illinois horse races that is less
11    than 75% of the total Illinois pari-mutuel handle on
12    Illinois horse races at such wagering facility for
13    calendar year 1994, shall be permitted to receive, from
14    any amount otherwise payable to the purse account at the
15    race track with which the wagering facility is affiliated
16    in the succeeding calendar year, an amount equal to 2% of
17    the differential in total Illinois pari-mutuel handle on
18    Illinois horse races at the wagering facility between that
19    calendar year in question and 1994 provided, however, that
20    a wagering facility shall not be entitled to any such
21    payment until the Board certifies in writing to the
22    wagering facility the amount to which the wagering
23    facility is entitled and a schedule for payment of the
24    amount to the wagering facility, based on: (i) the racing
25    dates awarded to the race track affiliated with the
26    wagering facility during the succeeding year; (ii) the

 

 

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1    sums available or anticipated to be available in the purse
2    account of the race track affiliated with the wagering
3    facility for purses during the succeeding year; and (iii)
4    the need to ensure reasonable purse levels during the
5    payment period. The Board's certification shall be
6    provided no later than January 31 of the succeeding year.
7    In the event a wagering facility entitled to a payment
8    under this paragraph (13) is affiliated with a race track
9    that maintains purse accounts for both standardbred and
10    thoroughbred racing, the amount to be paid to the wagering
11    facility shall be divided between each purse account pro
12    rata, based on the amount of Illinois handle on Illinois
13    standardbred and thoroughbred racing respectively at the
14    wagering facility during the previous calendar year.
15    Annually, the General Assembly shall appropriate
16    sufficient funds from the General Revenue Fund to the
17    Department of Agriculture for payment into the
18    thoroughbred and standardbred horse racing purse accounts
19    at Illinois pari-mutuel tracks. The amount paid to each
20    purse account shall be the amount certified by the
21    Illinois Racing Board in January to be transferred from
22    each account to each eligible racing facility in
23    accordance with the provisions of this Section. Beginning
24    in the calendar year in which an organization licensee
25    that is eligible to receive payment under this paragraph
26    (13) begins to receive funds from gaming pursuant to an

 

 

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1    organization gaming license issued under the Illinois
2    Gambling Act, the amount of the payment due to all
3    wagering facilities licensed under that organization
4    licensee under this paragraph (13) shall be the amount
5    certified by the Board in January of that year. An
6    organization licensee and its related wagering facilities
7    shall no longer be able to receive payments under this
8    paragraph (13) beginning in the year subsequent to the
9    first year in which the organization licensee begins to
10    receive funds from gaming pursuant to an organization
11    gaming license issued under the Illinois Gambling Act.
12    (h) The Board may approve and license the conduct of
13inter-track wagering and simulcast wagering by inter-track
14wagering licensees and inter-track wagering location licensees
15subject to the following terms and conditions:
16        (1) Any person licensed to conduct a race meeting (i)
17    at a track where 60 or more days of racing were conducted
18    during the immediately preceding calendar year or where
19    over the 5 immediately preceding calendar years an average
20    of 30 or more days of racing were conducted annually may be
21    issued an inter-track wagering license; (ii) at a track
22    located in a county that is bounded by the Mississippi
23    River, which has a population of less than 150,000
24    according to the 1990 decennial census, and an average of
25    at least 60 days of racing per year between 1985 and 1993
26    may be issued an inter-track wagering license; (iii) at a

 

 

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1    track awarded standardbred racing dates; or (iv) at a
2    track located in Madison County that conducted at least
3    100 days of live racing during the immediately preceding
4    calendar year may be issued an inter-track wagering
5    license, unless a lesser schedule of live racing is the
6    result of (A) weather, unsafe track conditions, or other
7    acts of God; (B) an agreement between the organization
8    licensee and the associations representing the largest
9    number of owners, trainers, jockeys, or standardbred
10    drivers who race horses at that organization licensee's
11    racing meeting; or (C) a finding by the Board of
12    extraordinary circumstances and that it was in the best
13    interest of the public and the sport to conduct fewer than
14    100 days of live racing. Any such person having operating
15    control of the racing facility may receive inter-track
16    wagering location licenses. An eligible race track located
17    in a county that has a population of more than 230,000 and
18    that is bounded by the Mississippi River may establish up
19    to 9 inter-track wagering locations, an eligible race
20    track located in Stickney Township in Cook County may
21    establish up to 16 inter-track wagering locations, and an
22    eligible race track located in Palatine Township in Cook
23    County may establish up to 18 inter-track wagering
24    locations. An eligible racetrack conducting standardbred
25    racing may have up to 16 inter-track wagering locations.
26    An application for said license shall be filed with the

 

 

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1    Board prior to such dates as may be fixed by the Board.
2    With an application for an inter-track wagering location
3    license there shall be delivered to the Board a certified
4    check or bank draft payable to the order of the Board for
5    an amount equal to $500. The application shall be on forms
6    prescribed and furnished by the Board. The application
7    shall comply with all other rules, regulations and
8    conditions imposed by the Board in connection therewith.
9        (2) The Board shall examine the applications with
10    respect to their conformity with this Act and the rules
11    and regulations imposed by the Board. If found to be in
12    compliance with the Act and rules and regulations of the
13    Board, the Board may then issue a license to conduct
14    inter-track wagering and simulcast wagering to such
15    applicant. All such applications shall be acted upon by
16    the Board at a meeting to be held on such date as may be
17    fixed by the Board.
18        (3) In granting licenses to conduct inter-track
19    wagering and simulcast wagering, the Board shall give due
20    consideration to the best interests of the public, of
21    horse racing, and of maximizing revenue to the State.
22        (4) Prior to the issuance of a license to conduct
23    inter-track wagering and simulcast wagering, the applicant
24    shall file with the Board a bond payable to the State of
25    Illinois in the sum of $50,000, executed by the applicant
26    and a surety company or companies authorized to do

 

 

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1    business in this State, and conditioned upon (i) the
2    payment by the licensee of all taxes due under Section 27
3    or 27.1 and any other monies due and payable under this
4    Act, and (ii) distribution by the licensee, upon
5    presentation of the winning ticket or tickets, of all sums
6    payable to the patrons of pari-mutuel pools.
7        (5) Each license to conduct inter-track wagering and
8    simulcast wagering shall specify the person to whom it is
9    issued, the dates on which such wagering is permitted, and
10    the track or location where the wagering is to be
11    conducted.
12        (6) All wagering under such license is subject to this
13    Act and to the rules and regulations from time to time
14    prescribed by the Board, and every such license issued by
15    the Board shall contain a recital to that effect.
16        (7) An inter-track wagering licensee or inter-track
17    wagering location licensee may accept wagers at the track
18    or location where it is licensed, or as otherwise provided
19    under this Act.
20        (8) Inter-track wagering or simulcast wagering shall
21    not be conducted at any track less than 4 miles from a
22    track at which a racing meeting is in progress.
23        (8.1) Inter-track wagering location licensees who
24    derive their licenses from a particular organization
25    licensee shall conduct inter-track wagering and simulcast
26    wagering only at locations that are within 160 miles of

 

 

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1    that race track where the particular organization licensee
2    is licensed to conduct racing. However, inter-track
3    wagering and simulcast wagering shall not be conducted by
4    those licensees at any location within 5 miles of any race
5    track at which a horse race meeting has been licensed in
6    the current year, unless the person having operating
7    control of such race track has given its written consent
8    to such inter-track wagering location licensees, which
9    consent must be filed with the Board at or prior to the
10    time application is made. In the case of any inter-track
11    wagering location licensee initially licensed after
12    December 31, 2013, inter-track wagering and simulcast
13    wagering shall not be conducted by those inter-track
14    wagering location licensees that are located outside the
15    City of Chicago at any location within 8 miles of any race
16    track at which a horse race meeting has been licensed in
17    the current year, unless the person having operating
18    control of such race track has given its written consent
19    to such inter-track wagering location licensees, which
20    consent must be filed with the Board at or prior to the
21    time application is made.
22        (8.2) Inter-track wagering or simulcast wagering shall
23    not be conducted by an inter-track wagering location
24    licensee at any location within 100 feet of an existing
25    church, an existing elementary or secondary public school,
26    or an existing elementary or secondary private school

 

 

SB2435- 1282 -LRB102 04062 AMC 14078 b

1    registered with or recognized by the State Board of
2    Education. The distance of 100 feet shall be measured to
3    the nearest part of any building used for worship
4    services, education programs, or conducting inter-track
5    wagering by an inter-track wagering location licensee, and
6    not to property boundaries. However, inter-track wagering
7    or simulcast wagering may be conducted at a site within
8    100 feet of a church or school if such church or school has
9    been erected or established after the Board issues the
10    original inter-track wagering location license at the site
11    in question. Inter-track wagering location licensees may
12    conduct inter-track wagering and simulcast wagering only
13    in areas that are zoned for commercial or manufacturing
14    purposes or in areas for which a special use has been
15    approved by the local zoning authority. However, no
16    license to conduct inter-track wagering and simulcast
17    wagering shall be granted by the Board with respect to any
18    inter-track wagering location within the jurisdiction of
19    any local zoning authority which has, by ordinance or by
20    resolution, prohibited the establishment of an inter-track
21    wagering location within its jurisdiction. However,
22    inter-track wagering and simulcast wagering may be
23    conducted at a site if such ordinance or resolution is
24    enacted after the Board licenses the original inter-track
25    wagering location licensee for the site in question.
26        (9) (Blank).

 

 

SB2435- 1283 -LRB102 04062 AMC 14078 b

1        (10) An inter-track wagering licensee or an
2    inter-track wagering location licensee may retain, subject
3    to the payment of the privilege taxes and the purses, an
4    amount not to exceed 17% of all money wagered. Each
5    program of racing conducted by each inter-track wagering
6    licensee or inter-track wagering location licensee shall
7    be considered a separate racing day for the purpose of
8    determining the daily handle and computing the privilege
9    tax or pari-mutuel tax on such daily handle as provided in
10    Section 27.
11        (10.1) Except as provided in subsection (g) of Section
12    27 of this Act, inter-track wagering location licensees
13    shall pay 1% of the pari-mutuel handle at each location to
14    the municipality in which such location is situated and 1%
15    of the pari-mutuel handle at each location to the county
16    in which such location is situated. In the event that an
17    inter-track wagering location licensee is situated in an
18    unincorporated area of a county, such licensee shall pay
19    2% of the pari-mutuel handle from such location to such
20    county. Inter-track wagering location licensees must pay
21    the handle percentage required under this paragraph to the
22    municipality and county no later than the 20th of the
23    month following the month such handle was generated.
24        (10.2) Notwithstanding any other provision of this
25    Act, with respect to inter-track wagering at a race track
26    located in a county that has a population of more than

 

 

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1    230,000 and that is bounded by the Mississippi River ("the
2    first race track"), or at a facility operated by an
3    inter-track wagering licensee or inter-track wagering
4    location licensee that derives its license from the
5    organization licensee that operates the first race track,
6    on races conducted at the first race track or on races
7    conducted at another Illinois race track and
8    simultaneously televised to the first race track or to a
9    facility operated by an inter-track wagering licensee or
10    inter-track wagering location licensee that derives its
11    license from the organization licensee that operates the
12    first race track, those moneys shall be allocated as
13    follows:
14            (A) That portion of all moneys wagered on
15        standardbred racing that is required under this Act to
16        be paid to purses shall be paid to purses for
17        standardbred races.
18            (B) That portion of all moneys wagered on
19        thoroughbred racing that is required under this Act to
20        be paid to purses shall be paid to purses for
21        thoroughbred races.
22        (11) (A) After payment of the privilege or pari-mutuel
23    tax, any other applicable taxes, and the costs and
24    expenses in connection with the gathering, transmission,
25    and dissemination of all data necessary to the conduct of
26    inter-track wagering, the remainder of the monies retained

 

 

SB2435- 1285 -LRB102 04062 AMC 14078 b

1    under either Section 26 or Section 26.2 of this Act by the
2    inter-track wagering licensee on inter-track wagering
3    shall be allocated with 50% to be split between the 2
4    participating licensees and 50% to purses, except that an
5    inter-track wagering licensee that derives its license
6    from a track located in a county with a population in
7    excess of 230,000 and that borders the Mississippi River
8    shall not divide any remaining retention with the Illinois
9    organization licensee that provides the race or races, and
10    an inter-track wagering licensee that accepts wagers on
11    races conducted by an organization licensee that conducts
12    a race meet in a county with a population in excess of
13    230,000 and that borders the Mississippi River shall not
14    divide any remaining retention with that organization
15    licensee.
16        (B) From the sums permitted to be retained pursuant to
17    this Act each inter-track wagering location licensee shall
18    pay (i) the privilege or pari-mutuel tax to the State;
19    (ii) 4.75% of the pari-mutuel handle on inter-track
20    wagering at such location on races as purses, except that
21    an inter-track wagering location licensee that derives its
22    license from a track located in a county with a population
23    in excess of 230,000 and that borders the Mississippi
24    River shall retain all purse moneys for its own purse
25    account consistent with distribution set forth in this
26    subsection (h), and inter-track wagering location

 

 

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1    licensees that accept wagers on races conducted by an
2    organization licensee located in a county with a
3    population in excess of 230,000 and that borders the
4    Mississippi River shall distribute all purse moneys to
5    purses at the operating host track; (iii) until January 1,
6    2000, except as provided in subsection (g) of Section 27
7    of this Act, 1% of the pari-mutuel handle wagered on
8    inter-track wagering and simulcast wagering at each
9    inter-track wagering location licensee facility to the
10    Horse Racing Tax Allocation Fund, provided that, to the
11    extent the total amount collected and distributed to the
12    Horse Racing Tax Allocation Fund under this subsection (h)
13    during any calendar year exceeds the amount collected and
14    distributed to the Horse Racing Tax Allocation Fund during
15    calendar year 1994, that excess amount shall be
16    redistributed (I) to all inter-track wagering location
17    licensees, based on each licensee's pro rata share of the
18    total handle from inter-track wagering and simulcast
19    wagering for all inter-track wagering location licensees
20    during the calendar year in which this provision is
21    applicable; then (II) the amounts redistributed to each
22    inter-track wagering location licensee as described in
23    subpart (I) shall be further redistributed as provided in
24    subparagraph (B) of paragraph (5) of subsection (g) of
25    this Section 26 provided first, that the shares of those
26    amounts, which are to be redistributed to the host track

 

 

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1    or to purses at the host track under subparagraph (B) of
2    paragraph (5) of subsection (g) of this Section 26 shall
3    be redistributed based on each host track's pro rata share
4    of the total inter-track wagering and simulcast wagering
5    handle at all host tracks during the calendar year in
6    question, and second, that any amounts redistributed as
7    described in part (I) to an inter-track wagering location
8    licensee that accepts wagers on races conducted by an
9    organization licensee that conducts a race meet in a
10    county with a population in excess of 230,000 and that
11    borders the Mississippi River shall be further
12    redistributed, effective January 1, 2017, as provided in
13    paragraph (7) of subsection (g) of this Section 26, with
14    the portion of that further redistribution allocated to
15    purses at that organization licensee to be divided between
16    standardbred purses and thoroughbred purses based on the
17    amounts otherwise allocated to purses at that organization
18    licensee during the calendar year in question; and (iv) 8%
19    of the pari-mutuel handle on inter-track wagering wagered
20    at such location to satisfy all costs and expenses of
21    conducting its wagering. The remainder of the monies
22    retained by the inter-track wagering location licensee
23    shall be allocated 40% to the location licensee and 60% to
24    the organization licensee which provides the Illinois
25    races to the location, except that an inter-track wagering
26    location licensee that derives its license from a track

 

 

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1    located in a county with a population in excess of 230,000
2    and that borders the Mississippi River shall not divide
3    any remaining retention with the organization licensee
4    that provides the race or races and an inter-track
5    wagering location licensee that accepts wagers on races
6    conducted by an organization licensee that conducts a race
7    meet in a county with a population in excess of 230,000 and
8    that borders the Mississippi River shall not divide any
9    remaining retention with the organization licensee.
10    Notwithstanding the provisions of clauses (ii) and (iv) of
11    this paragraph, in the case of the additional inter-track
12    wagering location licenses authorized under paragraph (1)
13    of this subsection (h) by Public Act 87-110, those
14    licensees shall pay the following amounts as purses:
15    during the first 12 months the licensee is in operation,
16    5.25% of the pari-mutuel handle wagered at the location on
17    races; during the second 12 months, 5.25%; during the
18    third 12 months, 5.75%; during the fourth 12 months,
19    6.25%; and during the fifth 12 months and thereafter,
20    6.75%. The following amounts shall be retained by the
21    licensee to satisfy all costs and expenses of conducting
22    its wagering: during the first 12 months the licensee is
23    in operation, 8.25% of the pari-mutuel handle wagered at
24    the location; during the second 12 months, 8.25%; during
25    the third 12 months, 7.75%; during the fourth 12 months,
26    7.25%; and during the fifth 12 months and thereafter,

 

 

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1    6.75%. For additional inter-track wagering location
2    licensees authorized under Public Act 89-16, purses for
3    the first 12 months the licensee is in operation shall be
4    5.75% of the pari-mutuel wagered at the location, purses
5    for the second 12 months the licensee is in operation
6    shall be 6.25%, and purses thereafter shall be 6.75%. For
7    additional inter-track location licensees authorized under
8    Public Act 89-16, the licensee shall be allowed to retain
9    to satisfy all costs and expenses: 7.75% of the
10    pari-mutuel handle wagered at the location during its
11    first 12 months of operation, 7.25% during its second 12
12    months of operation, and 6.75% thereafter.
13        (C) There is hereby created the Horse Racing Tax
14    Allocation Fund which shall remain in existence until
15    December 31, 1999. Moneys remaining in the Fund after
16    December 31, 1999 shall be paid into the General Revenue
17    Fund. Until January 1, 2000, all monies paid into the
18    Horse Racing Tax Allocation Fund pursuant to this
19    paragraph (11) by inter-track wagering location licensees
20    located in park districts of 500,000 population or less,
21    or in a municipality that is not included within any park
22    district but is included within a conservation district
23    and is the county seat of a county that (i) is contiguous
24    to the state of Indiana and (ii) has a 1990 population of
25    88,257 according to the United States Bureau of the
26    Census, and operating on May 1, 1994 shall be allocated by

 

 

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1    appropriation as follows:
2            Two-sevenths to the Department of Agriculture.
3        Fifty percent of this two-sevenths shall be used to
4        promote the Illinois horse racing and breeding
5        industry, and shall be distributed by the Department
6        of Agriculture upon the advice of a 9-member committee
7        appointed by the Governor consisting of the following
8        members: the Director of Agriculture, who shall serve
9        as chairman; 2 representatives of organization
10        licensees conducting thoroughbred race meetings in
11        this State, recommended by those licensees; 2
12        representatives of organization licensees conducting
13        standardbred race meetings in this State, recommended
14        by those licensees; a representative of the Illinois
15        Thoroughbred Breeders and Owners Foundation,
16        recommended by that Foundation; a representative of
17        the Illinois Standardbred Owners and Breeders
18        Association, recommended by that Association; a
19        representative of the Horsemen's Benevolent and
20        Protective Association or any successor organization
21        thereto established in Illinois comprised of the
22        largest number of owners and trainers, recommended by
23        that Association or that successor organization; and a
24        representative of the Illinois Harness Horsemen's
25        Association, recommended by that Association.
26        Committee members shall serve for terms of 2 years,

 

 

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1        commencing January 1 of each even-numbered year. If a
2        representative of any of the above-named entities has
3        not been recommended by January 1 of any even-numbered
4        year, the Governor shall appoint a committee member to
5        fill that position. Committee members shall receive no
6        compensation for their services as members but shall
7        be reimbursed for all actual and necessary expenses
8        and disbursements incurred in the performance of their
9        official duties. The remaining 50% of this
10        two-sevenths shall be distributed to county fairs for
11        premiums and rehabilitation as set forth in the
12        Agricultural Fair Act;
13            Four-sevenths to park districts or municipalities
14        that do not have a park district of 500,000 population
15        or less for museum purposes (if an inter-track
16        wagering location licensee is located in such a park
17        district) or to conservation districts for museum
18        purposes (if an inter-track wagering location licensee
19        is located in a municipality that is not included
20        within any park district but is included within a
21        conservation district and is the county seat of a
22        county that (i) is contiguous to the state of Indiana
23        and (ii) has a 1990 population of 88,257 according to
24        the United States Bureau of the Census, except that if
25        the conservation district does not maintain a museum,
26        the monies shall be allocated equally between the

 

 

SB2435- 1292 -LRB102 04062 AMC 14078 b

1        county and the municipality in which the inter-track
2        wagering location licensee is located for general
3        purposes) or to a municipal recreation board for park
4        purposes (if an inter-track wagering location licensee
5        is located in a municipality that is not included
6        within any park district and park maintenance is the
7        function of the municipal recreation board and the
8        municipality has a 1990 population of 9,302 according
9        to the United States Bureau of the Census); provided
10        that the monies are distributed to each park district
11        or conservation district or municipality that does not
12        have a park district in an amount equal to
13        four-sevenths of the amount collected by each
14        inter-track wagering location licensee within the park
15        district or conservation district or municipality for
16        the Fund. Monies that were paid into the Horse Racing
17        Tax Allocation Fund before August 9, 1991 (the
18        effective date of Public Act 87-110) by an inter-track
19        wagering location licensee located in a municipality
20        that is not included within any park district but is
21        included within a conservation district as provided in
22        this paragraph shall, as soon as practicable after
23        August 9, 1991 (the effective date of Public Act
24        87-110), be allocated and paid to that conservation
25        district as provided in this paragraph. Any park
26        district or municipality not maintaining a museum may

 

 

SB2435- 1293 -LRB102 04062 AMC 14078 b

1        deposit the monies in the corporate fund of the park
2        district or municipality where the inter-track
3        wagering location is located, to be used for general
4        purposes; and
5            One-seventh to the Agricultural Premium Fund to be
6        used for distribution to agricultural home economics
7        extension councils in accordance with "An Act in
8        relation to additional support and finances for the
9        Agricultural and Home Economic Extension Councils in
10        the several counties of this State and making an
11        appropriation therefor", approved July 24, 1967.
12        Until January 1, 2000, all other monies paid into the
13    Horse Racing Tax Allocation Fund pursuant to this
14    paragraph (11) shall be allocated by appropriation as
15    follows:
16            Two-sevenths to the Department of Agriculture.
17        Fifty percent of this two-sevenths shall be used to
18        promote the Illinois horse racing and breeding
19        industry, and shall be distributed by the Department
20        of Agriculture upon the advice of a 9-member committee
21        appointed by the Governor consisting of the following
22        members: the Director of Agriculture, who shall serve
23        as chairman; 2 representatives of organization
24        licensees conducting thoroughbred race meetings in
25        this State, recommended by those licensees; 2
26        representatives of organization licensees conducting

 

 

SB2435- 1294 -LRB102 04062 AMC 14078 b

1        standardbred race meetings in this State, recommended
2        by those licensees; a representative of the Illinois
3        Thoroughbred Breeders and Owners Foundation,
4        recommended by that Foundation; a representative of
5        the Illinois Standardbred Owners and Breeders
6        Association, recommended by that Association; a
7        representative of the Horsemen's Benevolent and
8        Protective Association or any successor organization
9        thereto established in Illinois comprised of the
10        largest number of owners and trainers, recommended by
11        that Association or that successor organization; and a
12        representative of the Illinois Harness Horsemen's
13        Association, recommended by that Association.
14        Committee members shall serve for terms of 2 years,
15        commencing January 1 of each even-numbered year. If a
16        representative of any of the above-named entities has
17        not been recommended by January 1 of any even-numbered
18        year, the Governor shall appoint a committee member to
19        fill that position. Committee members shall receive no
20        compensation for their services as members but shall
21        be reimbursed for all actual and necessary expenses
22        and disbursements incurred in the performance of their
23        official duties. The remaining 50% of this
24        two-sevenths shall be distributed to county fairs for
25        premiums and rehabilitation as set forth in the
26        Agricultural Fair Act;

 

 

SB2435- 1295 -LRB102 04062 AMC 14078 b

1            Four-sevenths to museums and aquariums located in
2        park districts of over 500,000 population; provided
3        that the monies are distributed in accordance with the
4        previous year's distribution of the maintenance tax
5        for such museums and aquariums as provided in Section
6        2 of the Park District Aquarium and Museum Act; and
7            One-seventh to the Agricultural Premium Fund to be
8        used for distribution to agricultural home economics
9        extension councils in accordance with "An Act in
10        relation to additional support and finances for the
11        Agricultural and Home Economic Extension Councils in
12        the several counties of this State and making an
13        appropriation therefor", approved July 24, 1967. This
14        subparagraph (C) shall be inoperative and of no force
15        and effect on and after January 1, 2000.
16            (D) Except as provided in paragraph (11) of this
17        subsection (h), with respect to purse allocation from
18        inter-track wagering, the monies so retained shall be
19        divided as follows:
20                (i) If the inter-track wagering licensee,
21            except an inter-track wagering licensee that
22            derives its license from an organization licensee
23            located in a county with a population in excess of
24            230,000 and bounded by the Mississippi River, is
25            not conducting its own race meeting during the
26            same dates, then the entire purse allocation shall

 

 

SB2435- 1296 -LRB102 04062 AMC 14078 b

1            be to purses at the track where the races wagered
2            on are being conducted.
3                (ii) If the inter-track wagering licensee,
4            except an inter-track wagering licensee that
5            derives its license from an organization licensee
6            located in a county with a population in excess of
7            230,000 and bounded by the Mississippi River, is
8            also conducting its own race meeting during the
9            same dates, then the purse allocation shall be as
10            follows: 50% to purses at the track where the
11            races wagered on are being conducted; 50% to
12            purses at the track where the inter-track wagering
13            licensee is accepting such wagers.
14                (iii) If the inter-track wagering is being
15            conducted by an inter-track wagering location
16            licensee, except an inter-track wagering location
17            licensee that derives its license from an
18            organization licensee located in a county with a
19            population in excess of 230,000 and bounded by the
20            Mississippi River, the entire purse allocation for
21            Illinois races shall be to purses at the track
22            where the race meeting being wagered on is being
23            held.
24        (12) The Board shall have all powers necessary and
25    proper to fully supervise and control the conduct of
26    inter-track wagering and simulcast wagering by inter-track

 

 

SB2435- 1297 -LRB102 04062 AMC 14078 b

1    wagering licensees and inter-track wagering location
2    licensees, including, but not limited to, the following:
3            (A) The Board is vested with power to promulgate
4        reasonable rules and regulations for the purpose of
5        administering the conduct of this wagering and to
6        prescribe reasonable rules, regulations and conditions
7        under which such wagering shall be held and conducted.
8        Such rules and regulations are to provide for the
9        prevention of practices detrimental to the public
10        interest and for the best interests of said wagering
11        and to impose penalties for violations thereof.
12            (B) The Board, and any person or persons to whom it
13        delegates this power, is vested with the power to
14        enter the facilities of any licensee to determine
15        whether there has been compliance with the provisions
16        of this Act and the rules and regulations relating to
17        the conduct of such wagering.
18            (C) The Board, and any person or persons to whom it
19        delegates this power, may eject or exclude from any
20        licensee's facilities, any person whose conduct or
21        reputation is such that his presence on such premises
22        may, in the opinion of the Board, call into the
23        question the honesty and integrity of, or interfere
24        with the orderly conduct of such wagering; provided,
25        however, that no person shall be excluded or ejected
26        from such premises solely on the grounds of race,

 

 

SB2435- 1298 -LRB102 04062 AMC 14078 b

1        color, creed, national origin, ancestry, or sex.
2            (D) (Blank).
3            (E) The Board is vested with the power to appoint
4        delegates to execute any of the powers granted to it
5        under this Section for the purpose of administering
6        this wagering and any rules and regulations
7        promulgated in accordance with this Act.
8            (F) The Board shall name and appoint a State
9        director of this wagering who shall be a
10        representative of the Board and whose duty it shall be
11        to supervise the conduct of inter-track wagering as
12        may be provided for by the rules and regulations of the
13        Board; such rules and regulation shall specify the
14        method of appointment and the Director's powers,
15        authority and duties.
16            (G) The Board is vested with the power to impose
17        civil penalties of up to $5,000 against individuals
18        and up to $10,000 against licensees for each violation
19        of any provision of this Act relating to the conduct of
20        this wagering, any rules adopted by the Board, any
21        order of the Board or any other action which in the
22        Board's discretion, is a detriment or impediment to
23        such wagering.
24        (13) The Department of Agriculture may enter into
25    agreements with licensees authorizing such licensees to
26    conduct inter-track wagering on races to be held at the

 

 

SB2435- 1299 -LRB102 04062 AMC 14078 b

1    licensed race meetings conducted by the Department of
2    Agriculture. Such agreement shall specify the races of the
3    Department of Agriculture's licensed race meeting upon
4    which the licensees will conduct wagering. In the event
5    that a licensee conducts inter-track pari-mutuel wagering
6    on races from the Illinois State Fair or DuQuoin State
7    Fair which are in addition to the licensee's previously
8    approved racing program, those races shall be considered a
9    separate racing day for the purpose of determining the
10    daily handle and computing the privilege or pari-mutuel
11    tax on that daily handle as provided in Sections 27 and
12    27.1. Such agreements shall be approved by the Board
13    before such wagering may be conducted. In determining
14    whether to grant approval, the Board shall give due
15    consideration to the best interests of the public and of
16    horse racing. The provisions of paragraphs (1), (8),
17    (8.1), and (8.2) of subsection (h) of this Section which
18    are not specified in this paragraph (13) shall not apply
19    to licensed race meetings conducted by the Department of
20    Agriculture at the Illinois State Fair in Sangamon County
21    or the DuQuoin State Fair in Perry County, or to any
22    wagering conducted on those race meetings.
23        (14) An inter-track wagering location license
24    authorized by the Board in 2016 that is owned and operated
25    by a race track in Rock Island County shall be transferred
26    to a commonly owned race track in Cook County on August 12,

 

 

SB2435- 1300 -LRB102 04062 AMC 14078 b

1    2016 (the effective date of Public Act 99-757). The
2    licensee shall retain its status in relation to purse
3    distribution under paragraph (11) of this subsection (h)
4    following the transfer to the new entity. The pari-mutuel
5    tax credit under Section 32.1 shall not be applied toward
6    any pari-mutuel tax obligation of the inter-track wagering
7    location licensee of the license that is transferred under
8    this paragraph (14).
9    (i) Notwithstanding the other provisions of this Act, the
10conduct of wagering at wagering facilities is authorized on
11all days, except as limited by subsection (b) of Section 19 of
12this Act.
13(Source: P.A. 100-201, eff. 8-18-17; 100-627, eff. 7-20-18;
14100-1152, eff. 12-14-18; 101-31, eff. 6-28-19; 101-52, eff.
157-12-19; 101-81, eff. 7-12-19; 101-109, eff. 7-19-19; revised
169-27-19.)
 
17    (230 ILCS 5/27)  (from Ch. 8, par. 37-27)
18    Sec. 27. (a) In addition to the organization license fee
19provided by this Act, until January 1, 2000, a graduated
20privilege tax is hereby imposed for conducting the pari-mutuel
21system of wagering permitted under this Act. Until January 1,
222000, except as provided in subsection (g) of Section 27 of
23this Act, all of the breakage of each racing day held by any
24licensee in the State shall be paid to the State. Until January
251, 2000, such daily graduated privilege tax shall be paid by

 

 

SB2435- 1301 -LRB102 04062 AMC 14078 b

1the licensee from the amount permitted to be retained under
2this Act. Until January 1, 2000, each day's graduated
3privilege tax, breakage, and Horse Racing Tax Allocation funds
4shall be remitted to the Department of Revenue within 48 hours
5after the close of the racing day upon which it is assessed or
6within such other time as the Board prescribes. The privilege
7tax hereby imposed, until January 1, 2000, shall be a flat tax
8at the rate of 2% of the daily pari-mutuel handle except as
9provided in Section 27.1.
10    In addition, every organization licensee, except as
11provided in Section 27.1 of this Act, which conducts multiple
12wagering shall pay, until January 1, 2000, as a privilege tax
13on multiple wagers an amount equal to 1.25% of all moneys
14wagered each day on such multiple wagers, plus an additional
15amount equal to 3.5% of the amount wagered each day on any
16other multiple wager which involves a single betting interest
17on 3 or more horses. The licensee shall remit the amount of
18such taxes to the Department of Revenue within 48 hours after
19the close of the racing day on which it is assessed or within
20such other time as the Board prescribes.
21    This subsection (a) shall be inoperative and of no force
22and effect on and after January 1, 2000.
23    (a-5) Beginning on January 1, 2000, a flat pari-mutuel tax
24at the rate of 1.5% of the daily pari-mutuel handle is imposed
25at all pari-mutuel wagering facilities and on advance deposit
26wagering from a location other than a wagering facility,

 

 

SB2435- 1302 -LRB102 04062 AMC 14078 b

1except as otherwise provided for in this subsection (a-5). In
2addition to the pari-mutuel tax imposed on advance deposit
3wagering pursuant to this subsection (a-5), beginning on
4August 24, 2012 (the effective date of Public Act 97-1060), an
5additional pari-mutuel tax at the rate of 0.25% shall be
6imposed on advance deposit wagering. Until August 25, 2012,
7the additional 0.25% pari-mutuel tax imposed on advance
8deposit wagering by Public Act 96-972 shall be deposited into
9the Quarter Horse Purse Fund, which shall be created as a
10non-appropriated trust fund administered by the Board for
11grants to thoroughbred organization licensees for payment of
12purses for quarter horse races conducted by the organization
13licensee. Beginning on August 26, 2012, the additional 0.25%
14pari-mutuel tax imposed on advance deposit wagering shall be
15deposited into the Standardbred Purse Fund, which shall be
16created as a non-appropriated trust fund administered by the
17Board, for grants to the standardbred organization licensees
18for payment of purses for standardbred horse races conducted
19by the organization licensee. Thoroughbred organization
20licensees may petition the Board to conduct quarter horse
21racing and receive purse grants from the Quarter Horse Purse
22Fund. The Board shall have complete discretion in distributing
23the Quarter Horse Purse Fund to the petitioning organization
24licensees. Beginning on July 26, 2010 (the effective date of
25Public Act 96-1287), a pari-mutuel tax at the rate of 0.75% of
26the daily pari-mutuel handle is imposed at a pari-mutuel

 

 

SB2435- 1303 -LRB102 04062 AMC 14078 b

1facility whose license is derived from a track located in a
2county that borders the Mississippi River and conducted live
3racing in the previous year. The pari-mutuel tax imposed by
4this subsection (a-5) shall be remitted to the Department of
5Revenue within 48 hours after the close of the racing day upon
6which it is assessed or within such other time as the Board
7prescribes.
8    (a-10) Beginning on the date when an organization licensee
9begins conducting gaming pursuant to an organization gaming
10license, the following pari-mutuel tax is imposed upon an
11organization licensee on Illinois races at the licensee's
12racetrack:
13        1.5% of the pari-mutuel handle at or below the average
14    daily pari-mutuel handle for 2011.
15        2% of the pari-mutuel handle above the average daily
16    pari-mutuel handle for 2011 up to 125% of the average
17    daily pari-mutuel handle for 2011.
18        2.5% of the pari-mutuel handle 125% or more above the
19    average daily pari-mutuel handle for 2011 up to 150% of
20    the average daily pari-mutuel handle for 2011.
21        3% of the pari-mutuel handle 150% or more above the
22    average daily pari-mutuel handle for 2011 up to 175% of
23    the average daily pari-mutuel handle for 2011.
24        3.5% of the pari-mutuel handle 175% or more above the
25    average daily pari-mutuel handle for 2011.
26    The pari-mutuel tax imposed by this subsection (a-10)

 

 

SB2435- 1304 -LRB102 04062 AMC 14078 b

1shall be remitted to the Board within 48 hours after the close
2of the racing day upon which it is assessed or within such
3other time as the Board prescribes.
4    (b) On or before December 31, 1999, in the event that any
5organization licensee conducts 2 separate programs of races on
6any day, each such program shall be considered a separate
7racing day for purposes of determining the daily handle and
8computing the privilege tax on such daily handle as provided
9in subsection (a) of this Section.
10    (c) Licensees shall at all times keep accurate books and
11records of all monies wagered on each day of a race meeting and
12of the taxes paid to the Department of Revenue under the
13provisions of this Section. The Board or its duly authorized
14representative or representatives shall at all reasonable
15times have access to such records for the purpose of examining
16and checking the same and ascertaining whether the proper
17amount of taxes is being paid as provided. The Board shall
18require verified reports and a statement of the total of all
19monies wagered daily at each wagering facility upon which the
20taxes are assessed and may prescribe forms upon which such
21reports and statement shall be made.
22    (d) Before a license is issued or re-issued, the licensee
23shall post a bond in the sum of $500,000 to the State of
24Illinois. The bond shall be used to guarantee that the
25licensee faithfully makes the payments, keeps the books and
26records, and makes reports, and conducts games of chance in

 

 

SB2435- 1305 -LRB102 04062 AMC 14078 b

1conformity with this Act and the rules adopted by the Board.
2The bond shall not be canceled by a surety on less than 30
3days' notice in writing to the Board. If a bond is canceled and
4the licensee fails to file a new bond with the Board in the
5required amount on or before the effective date of
6cancellation, the licensee's license shall be revoked. The
7total and aggregate liability of the surety on the bond is
8limited to the amount specified in the bond.
9    (e) No other license fee, privilege tax, excise tax, or
10racing fee, except as provided in this Act, shall be assessed
11or collected from any such licensee by the State.
12    (f) No other license fee, privilege tax, excise tax or
13racing fee shall be assessed or collected from any such
14licensee by units of local government except as provided in
15paragraph 10.1 of subsection (h) and subsection (f) of Section
1626 of this Act. However, any municipality that has a Board
17licensed horse race meeting at a race track wholly within its
18corporate boundaries or a township that has a Board licensed
19horse race meeting at a race track wholly within the
20unincorporated area of the township may charge a local
21amusement tax not to exceed 10¢ per admission to such horse
22race meeting by the enactment of an ordinance. However, any
23municipality or county that has a Board licensed inter-track
24wagering location facility wholly within its corporate
25boundaries may each impose an admission fee not to exceed
26$1.00 per admission to such inter-track wagering location

 

 

SB2435- 1306 -LRB102 04062 AMC 14078 b

1facility, so that a total of not more than $2.00 per admission
2may be imposed. Except as provided in subparagraph (g) of
3Section 27 of this Act, the inter-track wagering location
4licensee shall collect any and all such fees. Inter-track
5wagering location licensees must pay the admission fees
6required under this subsection (f) to the municipality and
7county no later than the 20th of the month following the month
8such admission fees were imposed. as the Board prescribes
9    (g) Notwithstanding any provision in this Act to the
10contrary, if in any calendar year the total taxes and fees from
11wagering on live racing and from inter-track wagering required
12to be collected from licensees and distributed under this Act
13to all State and local governmental authorities exceeds the
14amount of such taxes and fees distributed to each State and
15local governmental authority to which each State and local
16governmental authority was entitled under this Act for
17calendar year 1994, then the first $11 million of that excess
18amount shall be allocated at the earliest possible date for
19distribution as purse money for the succeeding calendar year.
20Upon reaching the 1994 level, and until the excess amount of
21taxes and fees exceeds $11 million, the Board shall direct all
22licensees to cease paying the subject taxes and fees and the
23Board shall direct all licensees to allocate any such excess
24amount for purses as follows:
25        (i) the excess amount shall be initially divided
26    between thoroughbred and standardbred purses based on the

 

 

SB2435- 1307 -LRB102 04062 AMC 14078 b

1    thoroughbred's and standardbred's respective percentages
2    of total Illinois live wagering in calendar year 1994;
3        (ii) each thoroughbred and standardbred organization
4    licensee issued an organization licensee in that
5    succeeding allocation year shall be allocated an amount
6    equal to the product of its percentage of total Illinois
7    live thoroughbred or standardbred wagering in calendar
8    year 1994 (the total to be determined based on the sum of
9    1994 on-track wagering for all organization licensees
10    issued organization licenses in both the allocation year
11    and the preceding year) multiplied by the total amount
12    allocated for standardbred or thoroughbred purses,
13    provided that the first $1,500,000 of the amount allocated
14    to standardbred purses under item (i) shall be allocated
15    to the Department of Agriculture to be expended with the
16    assistance and advice of the Illinois Standardbred
17    Breeders Funds Advisory Board for the purposes listed in
18    subsection (g) of Section 31 of this Act, before the
19    amount allocated to standardbred purses under item (i) is
20    allocated to standardbred organization licensees in the
21    succeeding allocation year.
22    To the extent the excess amount of taxes and fees to be
23collected and distributed to State and local governmental
24authorities exceeds $11 million, that excess amount shall be
25collected and distributed to State and local authorities as
26provided for under this Act.

 

 

SB2435- 1308 -LRB102 04062 AMC 14078 b

1(Source: P.A. 100-627, eff. 7-20-18; 101-31, eff. 6-28-19;
2101-52, eff. 7-12-19; revised 8-28-19.)
 
3    (230 ILCS 5/31)  (from Ch. 8, par. 37-31)
4    Sec. 31. (a) The General Assembly declares that it is the
5policy of this State to encourage the breeding of standardbred
6horses in this State and the ownership of such horses by
7residents of this State in order to provide for: sufficient
8numbers of high quality standardbred horses to participate in
9harness racing meetings in this State, and to establish and
10preserve the agricultural and commercial benefits of such
11breeding and racing industries to the State of Illinois. It is
12the intent of the General Assembly to further this policy by
13the provisions of this Section of this Act.
14    (b) Each organization licensee conducting a harness racing
15meeting pursuant to this Act shall provide for at least two
16races each race program limited to Illinois conceived and
17foaled horses. A minimum of 6 races shall be conducted each
18week limited to Illinois conceived and foaled horses. No
19horses shall be permitted to start in such races unless duly
20registered under the rules of the Department of Agriculture.
21    (b-5) Organization licensees, not including the Illinois
22State Fair or the DuQuoin State Fair, shall provide stake
23races and early closer races for Illinois conceived and foaled
24horses so that purses distributed for such races shall be no
25less than 17% of total purses distributed for harness racing

 

 

SB2435- 1309 -LRB102 04062 AMC 14078 b

1in that calendar year in addition to any stakes payments and
2starting fees contributed by horse owners.
3    (b-10) Each organization licensee conducting a harness
4racing meeting pursuant to this Act shall provide an owner
5award to be paid from the purse account equal to 12% of the
6amount earned by Illinois conceived and foaled horses
7finishing in the first 3 positions in races that are not
8restricted to Illinois conceived and foaled horses. The owner
9awards shall not be paid on races below the $10,000 claiming
10class.
11    (c) Conditions of races under subsection (b) shall be
12commensurate with past performance, quality and class of
13Illinois conceived and foaled horses available. If, however,
14sufficient competition cannot be had among horses of that
15class on any day, the races may, with consent of the Board, be
16eliminated for that day and substitute races provided.
17    (d) There is hereby created a special fund of the State
18Treasury to be known as the Illinois Standardbred Breeders
19Fund. Beginning on June 28, 2019 (the effective date of Public
20Act 101-31) this amendatory Act of the 101st General Assembly,
21the Illinois Standardbred Breeders Fund shall become a
22non-appropriated trust fund held separate and apart from State
23moneys. Expenditures from this Fund shall no longer be subject
24to appropriation.
25    During the calendar year 1981, and each year thereafter,
26except as provided in subsection (g) of Section 27 of this Act,

 

 

SB2435- 1310 -LRB102 04062 AMC 14078 b

1eight and one-half per cent of all the monies received by the
2State as privilege taxes on harness racing meetings shall be
3paid into the Illinois Standardbred Breeders Fund.
4    (e) Notwithstanding any provision of law to the contrary,
5amounts deposited into the Illinois Standardbred Breeders Fund
6from revenues generated by gaming pursuant to an organization
7gaming license issued under the Illinois Gambling Act after
8June 28, 2019 (the effective date of Public Act 101-31) this
9amendatory Act of the 101st General Assembly shall be in
10addition to tax and fee amounts paid under this Section for
11calendar year 2019 and thereafter. The Illinois Standardbred
12Breeders Fund shall be administered by the Department of
13Agriculture with the assistance and advice of the Advisory
14Board created in subsection (f) of this Section.
15    (f) The Illinois Standardbred Breeders Fund Advisory Board
16is hereby created. The Advisory Board shall consist of the
17Director of the Department of Agriculture, who shall serve as
18Chairman; the Superintendent of the Illinois State Fair; a
19member of the Illinois Racing Board, designated by it; a
20representative of the largest association of Illinois
21standardbred owners and breeders, recommended by it; a
22representative of a statewide association representing
23agricultural fairs in Illinois, recommended by it, such
24representative to be from a fair at which Illinois conceived
25and foaled racing is conducted; a representative of the
26organization licensees conducting harness racing meetings,

 

 

SB2435- 1311 -LRB102 04062 AMC 14078 b

1recommended by them; a representative of the Breeder's
2Committee of the association representing the largest number
3of standardbred owners, breeders, trainers, caretakers, and
4drivers, recommended by it; and a representative of the
5association representing the largest number of standardbred
6owners, breeders, trainers, caretakers, and drivers,
7recommended by it. Advisory Board members shall serve for 2
8years commencing January 1 of each odd numbered year. If
9representatives of the largest association of Illinois
10standardbred owners and breeders, a statewide association of
11agricultural fairs in Illinois, the association representing
12the largest number of standardbred owners, breeders, trainers,
13caretakers, and drivers, a member of the Breeder's Committee
14of the association representing the largest number of
15standardbred owners, breeders, trainers, caretakers, and
16drivers, and the organization licensees conducting harness
17racing meetings have not been recommended by January 1 of each
18odd numbered year, the Director of the Department of
19Agriculture shall make an appointment for the organization
20failing to so recommend a member of the Advisory Board.
21Advisory Board members shall receive no compensation for their
22services as members but shall be reimbursed for all actual and
23necessary expenses and disbursements incurred in the execution
24of their official duties.
25    (g) Monies expended from the Illinois Standardbred
26Breeders Fund shall be expended by the Department of

 

 

SB2435- 1312 -LRB102 04062 AMC 14078 b

1Agriculture, with the assistance and advice of the Illinois
2Standardbred Breeders Fund Advisory Board for the following
3purposes only:
4        1. To provide purses for races limited to Illinois
5    conceived and foaled horses at the State Fair and the
6    DuQuoin State Fair.
7        2. To provide purses for races limited to Illinois
8    conceived and foaled horses at county fairs.
9        3. To provide purse supplements for races limited to
10    Illinois conceived and foaled horses conducted by
11    associations conducting harness racing meetings.
12        4. No less than 75% of all monies in the Illinois
13    Standardbred Breeders Fund shall be expended for purses in
14    1, 2, and 3 as shown above.
15        5. In the discretion of the Department of Agriculture
16    to provide awards to harness breeders of Illinois
17    conceived and foaled horses which win races conducted by
18    organization licensees conducting harness racing meetings.
19    A breeder is the owner of a mare at the time of conception.
20    No more than 10% of all monies appropriated from the
21    Illinois Standardbred Breeders Fund shall be expended for
22    such harness breeders awards. No more than 25% of the
23    amount expended for harness breeders awards shall be
24    expended for expenses incurred in the administration of
25    such harness breeders awards.
26        6. To pay for the improvement of racing facilities

 

 

SB2435- 1313 -LRB102 04062 AMC 14078 b

1    located at the State Fair and County fairs.
2        7. To pay the expenses incurred in the administration
3    of the Illinois Standardbred Breeders Fund.
4        8. To promote the sport of harness racing, including
5    grants up to a maximum of $7,500 per fair per year for
6    conducting pari-mutuel wagering during the advertised
7    dates of a county fair.
8        9. To pay up to $50,000 annually for the Department of
9    Agriculture to conduct drug testing at county fairs racing
10    standardbred horses.
11    (h) The Illinois Standardbred Breeders Fund is not subject
12to administrative charges or chargebacks, including, but not
13limited to, those authorized under Section 8h of the State
14Finance Act.
15    (i) A sum equal to 13% of the first prize money of the
16gross purse won by an Illinois conceived and foaled horse
17shall be paid 50% by the organization licensee conducting the
18horse race meeting to the breeder of such winning horse from
19the organization licensee's account and 50% from the purse
20account of the licensee. Such payment shall not reduce any
21award to the owner of the horse or reduce the taxes payable
22under this Act. Such payment shall be delivered by the
23organization licensee at the end of each quarter.
24    (j) The Department of Agriculture shall, by rule, with the
25assistance and advice of the Illinois Standardbred Breeders
26Fund Advisory Board:

 

 

SB2435- 1314 -LRB102 04062 AMC 14078 b

1        1. Qualify stallions for Illinois Standardbred
2    Breeders Fund breeding; such stallion shall be owned by a
3    resident of the State of Illinois or by an Illinois
4    corporation all of whose shareholders, directors, officers
5    and incorporators are residents of the State of Illinois.
6    Such stallion shall stand for service at and within the
7    State of Illinois at the time of a foal's conception, and
8    such stallion must not stand for service at any place, nor
9    may semen from such stallion be transported, outside the
10    State of Illinois during that calendar year in which the
11    foal is conceived and that the owner of the stallion was
12    for the 12 months prior, a resident of Illinois. However,
13    from January 1, 2018 until January 1, 2022, semen from an
14    Illinois stallion may be transported outside the State of
15    Illinois. The articles of agreement of any partnership,
16    joint venture, limited partnership, syndicate, association
17    or corporation and any bylaws and stock certificates must
18    contain a restriction that provides that the ownership or
19    transfer of interest by any one of the persons a party to
20    the agreement can only be made to a person who qualifies as
21    an Illinois resident.
22        2. Provide for the registration of Illinois conceived
23    and foaled horses and no such horse shall compete in the
24    races limited to Illinois conceived and foaled horses
25    unless registered with the Department of Agriculture. The
26    Department of Agriculture may prescribe such forms as may

 

 

SB2435- 1315 -LRB102 04062 AMC 14078 b

1    be necessary to determine the eligibility of such horses.
2    No person shall knowingly prepare or cause preparation of
3    an application for registration of such foals containing
4    false information. A mare (dam) must be in the State at
5    least 30 days prior to foaling or remain in the State at
6    least 30 days at the time of foaling. However, the
7    requirement that a mare (dam) must be in the State at least
8    30 days before foaling or remain in the State at least 30
9    days at the time of foaling shall not be in effect from
10    January 1, 2018 until January 1, 2022. Beginning with the
11    1996 breeding season and for foals of 1997 and thereafter,
12    a foal conceived by transported semen may be eligible for
13    Illinois conceived and foaled registration provided all
14    breeding and foaling requirements are met. The stallion
15    must be qualified for Illinois Standardbred Breeders Fund
16    breeding at the time of conception and the mare must be
17    inseminated within the State of Illinois. The foal must be
18    dropped in Illinois and properly registered with the
19    Department of Agriculture in accordance with this Act.
20    However, from January 1, 2018 until January 1, 2022, the
21    requirement for a mare to be inseminated within the State
22    of Illinois and the requirement for a foal to be dropped in
23    Illinois are inapplicable.
24        3. Provide that at least a 5-day racing program shall
25    be conducted at the State Fair each year, unless an
26    alternate racing program is requested by the Illinois

 

 

SB2435- 1316 -LRB102 04062 AMC 14078 b

1    Standardbred Breeders Fund Advisory Board, which program
2    shall include at least the following races limited to
3    Illinois conceived and foaled horses: (a) a 2-year-old two
4    year old Trot and Pace, and Filly Division of each; (b) a
5    3-year-old three year old Trot and Pace, and Filly
6    Division of each; (c) an aged Trot and Pace, and Mare
7    Division of each.
8        4. Provide for the payment of nominating, sustaining
9    and starting fees for races promoting the sport of harness
10    racing and for the races to be conducted at the State Fair
11    as provided in subsection (j) 3 of this Section provided
12    that the nominating, sustaining and starting payment
13    required from an entrant shall not exceed 2% of the purse
14    of such race. All nominating, sustaining and starting
15    payments shall be held for the benefit of entrants and
16    shall be paid out as part of the respective purses for such
17    races. Nominating, sustaining and starting fees shall be
18    held in trust accounts for the purposes as set forth in
19    this Act and in accordance with Section 205-15 of the
20    Department of Agriculture Law.
21        5. Provide for the registration with the Department of
22    Agriculture of Colt Associations or county fairs desiring
23    to sponsor races at county fairs.
24        6. Provide for the promotion of producing standardbred
25    racehorses by providing a bonus award program for owners
26    of 2-year-old horses that win multiple major stakes races

 

 

SB2435- 1317 -LRB102 04062 AMC 14078 b

1    that are limited to Illinois conceived and foaled horses.
2    (k) The Department of Agriculture, with the advice and
3assistance of the Illinois Standardbred Breeders Fund Advisory
4Board, may allocate monies for purse supplements for such
5races. In determining whether to allocate money and the
6amount, the Department of Agriculture shall consider factors,
7including, but not limited to, the amount of money
8appropriated for the Illinois Standardbred Breeders Fund
9program, the number of races that may occur, and an
10organization licensee's purse structure. The organization
11licensee shall notify the Department of Agriculture of the
12conditions and minimum purses for races limited to Illinois
13conceived and foaled horses to be conducted by each
14organization licensee conducting a harness racing meeting for
15which purse supplements have been negotiated.
16    (l) All races held at county fairs and the State Fair which
17receive funds from the Illinois Standardbred Breeders Fund
18shall be conducted in accordance with the rules of the United
19States Trotting Association unless otherwise modified by the
20Department of Agriculture.
21    (m) At all standardbred race meetings held or conducted
22under authority of a license granted by the Board, and at all
23standardbred races held at county fairs which are approved by
24the Department of Agriculture or at the Illinois or DuQuoin
25State Fairs, no one shall jog, train, warm up or drive a
26standardbred horse unless he or she is wearing a protective

 

 

SB2435- 1318 -LRB102 04062 AMC 14078 b

1safety helmet, with the chin strap fastened and in place,
2which meets the standards and requirements as set forth in the
31984 Standard for Protective Headgear for Use in Harness
4Racing and Other Equestrian Sports published by the Snell
5Memorial Foundation, or any standards and requirements for
6headgear the Illinois Racing Board may approve. Any other
7standards and requirements so approved by the Board shall
8equal or exceed those published by the Snell Memorial
9Foundation. Any equestrian helmet bearing the Snell label
10shall be deemed to have met those standards and requirements.
11(Source: P.A. 100-777, eff. 8-10-18; 101-31, eff. 6-28-19;
12101-157, eff. 7-26-19; revised 9-27-19.)
 
13    Section 585. The Illinois Gambling Act is amended by
14changing Section 7 as follows:
 
15    (230 ILCS 10/7)  (from Ch. 120, par. 2407)
16    Sec. 7. Owners licenses.
17    (a) The Board shall issue owners licenses to persons or
18entities that apply for such licenses upon payment to the
19Board of the non-refundable license fee as provided in
20subsection (e) or (e-5) and upon a determination by the Board
21that the applicant is eligible for an owners license pursuant
22to this Act and the rules of the Board. From December 15, 2008
23(the effective date of Public Act 95-1008) this amendatory Act
24of the 95th General Assembly until (i) 3 years after December

 

 

SB2435- 1319 -LRB102 04062 AMC 14078 b

115, 2008 (the effective date of Public Act 95-1008) this
2amendatory Act of the 95th General Assembly, (ii) the date any
3organization licensee begins to operate a slot machine or
4video game of chance under the Illinois Horse Racing Act of
51975 or this Act, (iii) the date that payments begin under
6subsection (c-5) of Section 13 of this Act, (iv) the wagering
7tax imposed under Section 13 of this Act is increased by law to
8reflect a tax rate that is at least as stringent or more
9stringent than the tax rate contained in subsection (a-3) of
10Section 13, or (v) when an owners licensee holding a license
11issued pursuant to Section 7.1 of this Act begins conducting
12gaming, whichever occurs first, as a condition of licensure
13and as an alternative source of payment for those funds
14payable under subsection (c-5) of Section 13 of this Act, any
15owners licensee that holds or receives its owners license on
16or after May 26, 2006 (the effective date of Public Act 94-804)
17this amendatory Act of the 94th General Assembly, other than
18an owners licensee operating a riverboat with adjusted gross
19receipts in calendar year 2004 of less than $200,000,000, must
20pay into the Horse Racing Equity Trust Fund, in addition to any
21other payments required under this Act, an amount equal to 3%
22of the adjusted gross receipts received by the owners
23licensee. The payments required under this Section shall be
24made by the owners licensee to the State Treasurer no later
25than 3:00 o'clock p.m. of the day after the day when the
26adjusted gross receipts were received by the owners licensee.

 

 

SB2435- 1320 -LRB102 04062 AMC 14078 b

1A person or entity is ineligible to receive an owners license
2if:
3        (1) the person has been convicted of a felony under
4    the laws of this State, any other state, or the United
5    States;
6        (2) the person has been convicted of any violation of
7    Article 28 of the Criminal Code of 1961 or the Criminal
8    Code of 2012, or substantially similar laws of any other
9    jurisdiction;
10        (3) the person has submitted an application for a
11    license under this Act which contains false information;
12        (4) the person is a member of the Board;
13        (5) a person defined in (1), (2), (3), or (4) is an
14    officer, director, or managerial employee of the entity;
15        (6) the entity employs a person defined in (1), (2),
16    (3), or (4) who participates in the management or
17    operation of gambling operations authorized under this
18    Act;
19        (7) (blank); or
20        (8) a license of the person or entity issued under
21    this Act, or a license to own or operate gambling
22    facilities in any other jurisdiction, has been revoked.
23    The Board is expressly prohibited from making changes to
24the requirement that licensees make payment into the Horse
25Racing Equity Trust Fund without the express authority of the
26Illinois General Assembly and making any other rule to

 

 

SB2435- 1321 -LRB102 04062 AMC 14078 b

1implement or interpret Public Act 95-1008 this amendatory Act
2of the 95th General Assembly. For the purposes of this
3paragraph, "rules" is given the meaning given to that term in
4Section 1-70 of the Illinois Administrative Procedure Act.
5    (b) In determining whether to grant an owners license to
6an applicant, the Board shall consider:
7        (1) the character, reputation, experience, and
8    financial integrity of the applicants and of any other or
9    separate person that either:
10            (A) controls, directly or indirectly, such
11        applicant; , or
12            (B) is controlled, directly or indirectly, by such
13        applicant or by a person which controls, directly or
14        indirectly, such applicant;
15        (2) the facilities or proposed facilities for the
16    conduct of gambling;
17        (3) the highest prospective total revenue to be
18    derived by the State from the conduct of gambling;
19        (4) the extent to which the ownership of the applicant
20    reflects the diversity of the State by including minority
21    persons, women, and persons with a disability and the good
22    faith affirmative action plan of each applicant to
23    recruit, train and upgrade minority persons, women, and
24    persons with a disability in all employment
25    classifications; the Board shall further consider granting
26    an owners license and giving preference to an applicant

 

 

SB2435- 1322 -LRB102 04062 AMC 14078 b

1    under this Section to applicants in which minority persons
2    and women hold ownership interest of at least 16% and 4%,
3    respectively; .
4        (4.5) the extent to which the ownership of the
5    applicant includes veterans of service in the armed forces
6    of the United States, and the good faith affirmative
7    action plan of each applicant to recruit, train, and
8    upgrade veterans of service in the armed forces of the
9    United States in all employment classifications;
10        (5) the financial ability of the applicant to purchase
11    and maintain adequate liability and casualty insurance;
12        (6) whether the applicant has adequate capitalization
13    to provide and maintain, for the duration of a license, a
14    riverboat or casino;
15        (7) the extent to which the applicant exceeds or meets
16    other standards for the issuance of an owners license
17    which the Board may adopt by rule;
18        (8) the amount of the applicant's license bid;
19        (9) the extent to which the applicant or the proposed
20    host municipality plans to enter into revenue sharing
21    agreements with communities other than the host
22    municipality; and
23        (10) the extent to which the ownership of an applicant
24    includes the most qualified number of minority persons,
25    women, and persons with a disability.
26    (c) Each owners license shall specify the place where the

 

 

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1casino shall operate or the riverboat shall operate and dock.
2    (d) Each applicant shall submit with his or her
3application, on forms provided by the Board, 2 sets of his or
4her fingerprints.
5    (e) In addition to any licenses authorized under
6subsection (e-5) of this Section, the Board may issue up to 10
7licenses authorizing the holders of such licenses to own
8riverboats. In the application for an owners license, the
9applicant shall state the dock at which the riverboat is based
10and the water on which the riverboat will be located. The Board
11shall issue 5 licenses to become effective not earlier than
12January 1, 1991. Three of such licenses shall authorize
13riverboat gambling on the Mississippi River, or, with approval
14by the municipality in which the riverboat was docked on
15August 7, 2003 and with Board approval, be authorized to
16relocate to a new location, in a municipality that (1) borders
17on the Mississippi River or is within 5 miles of the city
18limits of a municipality that borders on the Mississippi River
19and (2) on August 7, 2003, had a riverboat conducting
20riverboat gambling operations pursuant to a license issued
21under this Act; one of which shall authorize riverboat
22gambling from a home dock in the city of East St. Louis; and
23one of which shall authorize riverboat gambling from a home
24dock in the City of Alton. One other license shall authorize
25riverboat gambling on the Illinois River in the City of East
26Peoria or, with Board approval, shall authorize land-based

 

 

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1gambling operations anywhere within the corporate limits of
2the City of Peoria. The Board shall issue one additional
3license to become effective not earlier than March 1, 1992,
4which shall authorize riverboat gambling on the Des Plaines
5River in Will County. The Board may issue 4 additional
6licenses to become effective not earlier than March 1, 1992.
7In determining the water upon which riverboats will operate,
8the Board shall consider the economic benefit which riverboat
9gambling confers on the State, and shall seek to assure that
10all regions of the State share in the economic benefits of
11riverboat gambling.
12    In granting all licenses, the Board may give favorable
13consideration to economically depressed areas of the State, to
14applicants presenting plans which provide for significant
15economic development over a large geographic area, and to
16applicants who currently operate non-gambling riverboats in
17Illinois. The Board shall review all applications for owners
18licenses, and shall inform each applicant of the Board's
19decision. The Board may grant an owners license to an
20applicant that has not submitted the highest license bid, but
21if it does not select the highest bidder, the Board shall issue
22a written decision explaining why another applicant was
23selected and identifying the factors set forth in this Section
24that favored the winning bidder. The fee for issuance or
25renewal of a license pursuant to this subsection (e) shall be
26$250,000.

 

 

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1    (e-5) In addition to licenses authorized under subsection
2(e) of this Section:
3        (1) the Board may issue one owners license authorizing
4    the conduct of casino gambling in the City of Chicago;
5        (2) the Board may issue one owners license authorizing
6    the conduct of riverboat gambling in the City of Danville;
7        (3) the Board may issue one owners license authorizing
8    the conduct of riverboat gambling in the City of Waukegan;
9        (4) the Board may issue one owners license authorizing
10    the conduct of riverboat gambling in the City of Rockford;
11        (5) the Board may issue one owners license authorizing
12    the conduct of riverboat gambling in a municipality that
13    is wholly or partially located in one of the following
14    townships of Cook County: Bloom, Bremen, Calumet, Rich,
15    Thornton, or Worth Township; and
16        (6) the Board may issue one owners license authorizing
17    the conduct of riverboat gambling in the unincorporated
18    area of Williamson County adjacent to the Big Muddy River.
19    Except for the license authorized under paragraph (1),
20each application for a license pursuant to this subsection
21(e-5) shall be submitted to the Board no later than 120 days
22after June 28, 2019 (the effective date of Public Act 101-31).
23All applications for a license under this subsection (e-5)
24shall include the nonrefundable application fee and the
25nonrefundable background investigation fee as provided in
26subsection (d) of Section 6 of this Act. In the event that an

 

 

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1applicant submits an application for a license pursuant to
2this subsection (e-5) prior to June 28, 2019 (the effective
3date of Public Act 101-31), such applicant shall submit the
4nonrefundable application fee and background investigation fee
5as provided in subsection (d) of Section 6 of this Act no later
6than 6 months after June 28, 2019 (the effective date of Public
7Act 101-31).
8    The Board shall consider issuing a license pursuant to
9paragraphs (1) through (6) of this subsection only after the
10corporate authority of the municipality or the county board of
11the county in which the riverboat or casino shall be located
12has certified to the Board the following:
13        (i) that the applicant has negotiated with the
14    corporate authority or county board in good faith;
15        (ii) that the applicant and the corporate authority or
16    county board have mutually agreed on the permanent
17    location of the riverboat or casino;
18        (iii) that the applicant and the corporate authority
19    or county board have mutually agreed on the temporary
20    location of the riverboat or casino;
21        (iv) that the applicant and the corporate authority or
22    the county board have mutually agreed on the percentage of
23    revenues that will be shared with the municipality or
24    county, if any;
25        (v) that the applicant and the corporate authority or
26    county board have mutually agreed on any zoning,

 

 

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1    licensing, public health, or other issues that are within
2    the jurisdiction of the municipality or county;
3        (vi) that the corporate authority or county board has
4    passed a resolution or ordinance in support of the
5    riverboat or casino in the municipality or county;
6        (vii) the applicant for a license under paragraph (1)
7    has made a public presentation concerning its casino
8    proposal; and
9        (viii) the applicant for a license under paragraph (1)
10    has prepared a summary of its casino proposal and such
11    summary has been posted on a public website of the
12    municipality or the county.
13    At least 7 days before the corporate authority of a
14municipality or county board of the county submits a
15certification to the Board concerning items (i) through (viii)
16of this subsection, it shall hold a public hearing to discuss
17items (i) through (viii), as well as any other details
18concerning the proposed riverboat or casino in the
19municipality or county. The corporate authority or county
20board must subsequently memorialize the details concerning the
21proposed riverboat or casino in a resolution that must be
22adopted by a majority of the corporate authority or county
23board before any certification is sent to the Board. The Board
24shall not alter, amend, change, or otherwise interfere with
25any agreement between the applicant and the corporate
26authority of the municipality or county board of the county

 

 

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1regarding the location of any temporary or permanent facility.
2    In addition, within 10 days after June 28, 2019 (the
3effective date of Public Act 101-31), the Board, with consent
4and at the expense of the City of Chicago, shall select and
5retain the services of a nationally recognized casino gaming
6feasibility consultant. Within 45 days after June 28, 2019
7(the effective date of Public Act 101-31), the consultant
8shall prepare and deliver to the Board a study concerning the
9feasibility of, and the ability to finance, a casino in the
10City of Chicago. The feasibility study shall be delivered to
11the Mayor of the City of Chicago, the Governor, the President
12of the Senate, and the Speaker of the House of
13Representatives. Ninety days after receipt of the feasibility
14study, the Board shall make a determination, based on the
15results of the feasibility study, whether to recommend to the
16General Assembly that the terms of the license under paragraph
17(1) of this subsection (e-5) should be modified. The Board may
18begin accepting applications for the owners license under
19paragraph (1) of this subsection (e-5) upon the determination
20to issue such an owners license.
21    In addition, prior to the Board issuing the owners license
22authorized under paragraph (4) of subsection (e-5), an impact
23study shall be completed to determine what location in the
24city will provide the greater impact to the region, including
25the creation of jobs and the generation of tax revenue.
26    (e-10) The licenses authorized under subsection (e-5) of

 

 

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1this Section shall be issued within 12 months after the date
2the license application is submitted. If the Board does not
3issue the licenses within that time period, then the Board
4shall give a written explanation to the applicant as to why it
5has not reached a determination and when it reasonably expects
6to make a determination. The fee for the issuance or renewal of
7a license issued pursuant to this subsection (e-10) shall be
8$250,000. Additionally, a licensee located outside of Cook
9County shall pay a minimum initial fee of $17,500 per gaming
10position, and a licensee located in Cook County shall pay a
11minimum initial fee of $30,000 per gaming position. The
12initial fees payable under this subsection (e-10) shall be
13deposited into the Rebuild Illinois Projects Fund. If at any
14point after June 1, 2020 there are no pending applications for
15a license under subsection (e-5) and not all licenses
16authorized under subsection (e-5) have been issued, then the
17Board shall reopen the license application process for those
18licenses authorized under subsection (e-5) that have not been
19issued. The Board shall follow the licensing process provided
20in subsection (e-5) with all time frames tied to the last date
21of a final order issued by the Board under subsection (e-5)
22rather than the effective date of the amendatory Act.
23    (e-15) Each licensee of a license authorized under
24subsection (e-5) of this Section shall make a reconciliation
25payment 3 years after the date the licensee begins operating
26in an amount equal to 75% of the adjusted gross receipts for

 

 

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1the most lucrative 12-month period of operations, minus an
2amount equal to the initial payment per gaming position paid
3by the specific licensee. Each licensee shall pay a
4$15,000,000 reconciliation fee upon issuance of an owners
5license. If this calculation results in a negative amount,
6then the licensee is not entitled to any reimbursement of fees
7previously paid. This reconciliation payment may be made in
8installments over a period of no more than 6 years.
9    All payments by licensees under this subsection (e-15)
10shall be deposited into the Rebuild Illinois Projects Fund.
11    (e-20) In addition to any other revocation powers granted
12to the Board under this Act, the Board may revoke the owners
13license of a licensee which fails to begin conducting gambling
14within 15 months of receipt of the Board's approval of the
15application if the Board determines that license revocation is
16in the best interests of the State.
17    (f) The first 10 owners licenses issued under this Act
18shall permit the holder to own up to 2 riverboats and equipment
19thereon for a period of 3 years after the effective date of the
20license. Holders of the first 10 owners licenses must pay the
21annual license fee for each of the 3 years during which they
22are authorized to own riverboats.
23    (g) Upon the termination, expiration, or revocation of
24each of the first 10 licenses, which shall be issued for a
253-year period, all licenses are renewable annually upon
26payment of the fee and a determination by the Board that the

 

 

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1licensee continues to meet all of the requirements of this Act
2and the Board's rules. However, for licenses renewed on or
3after May 1, 1998, renewal shall be for a period of 4 years,
4unless the Board sets a shorter period.
5    (h) An owners license, except for an owners license issued
6under subsection (e-5) of this Section, shall entitle the
7licensee to own up to 2 riverboats.
8    An owners licensee of a casino or riverboat that is
9located in the City of Chicago pursuant to paragraph (1) of
10subsection (e-5) of this Section shall limit the number of
11gaming positions to 4,000 for such owner. An owners licensee
12authorized under subsection (e) or paragraph (2), (3), (4), or
13(5) of subsection (e-5) of this Section shall limit the number
14of gaming positions to 2,000 for any such owners license. An
15owners licensee authorized under paragraph (6) of subsection
16(e-5) of this Section shall limit the number of gaming
17positions to 1,200 for such owner. The initial fee for each
18gaming position obtained on or after June 28, 2019 (the
19effective date of Public Act 101-31) shall be a minimum of
20$17,500 for licensees not located in Cook County and a minimum
21of $30,000 for licensees located in Cook County, in addition
22to the reconciliation payment, as set forth in subsection
23(e-15) of this Section. The fees under this subsection (h)
24shall be deposited into the Rebuild Illinois Projects Fund.
25The fees under this subsection (h) that are paid by an owners
26licensee authorized under subsection (e) shall be paid by July

 

 

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11, 2021.
2    Each owners licensee under subsection (e) of this Section
3shall reserve its gaming positions within 30 days after June
428, 2019 (the effective date of Public Act 101-31). The Board
5may grant an extension to this 30-day period, provided that
6the owners licensee submits a written request and explanation
7as to why it is unable to reserve its positions within the
830-day period.
9    Each owners licensee under subsection (e-5) of this
10Section shall reserve its gaming positions within 30 days
11after issuance of its owners license. The Board may grant an
12extension to this 30-day period, provided that the owners
13licensee submits a written request and explanation as to why
14it is unable to reserve its positions within the 30-day
15period.
16    A licensee may operate both of its riverboats
17concurrently, provided that the total number of gaming
18positions on both riverboats does not exceed the limit
19established pursuant to this subsection. Riverboats licensed
20to operate on the Mississippi River and the Illinois River
21south of Marshall County shall have an authorized capacity of
22at least 500 persons. Any other riverboat licensed under this
23Act shall have an authorized capacity of at least 400 persons.
24    (h-5) An owners licensee who conducted gambling operations
25prior to January 1, 2012 and obtains positions pursuant to
26Public Act 101-31 shall make a reconciliation payment 3 years

 

 

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1after any additional gaming positions begin operating in an
2amount equal to 75% of the owners licensee's average gross
3receipts for the most lucrative 12-month period of operations
4minus an amount equal to the initial fee that the owners
5licensee paid per additional gaming position. For purposes of
6this subsection (h-5), "average gross receipts" means (i) the
7increase in adjusted gross receipts for the most lucrative
812-month period of operations over the adjusted gross receipts
9for 2019, multiplied by (ii) the percentage derived by
10dividing the number of additional gaming positions that an
11owners licensee had obtained by the total number of gaming
12positions operated by the owners licensee. If this calculation
13results in a negative amount, then the owners licensee is not
14entitled to any reimbursement of fees previously paid. This
15reconciliation payment may be made in installments over a
16period of no more than 6 years. These reconciliation payments
17shall be deposited into the Rebuild Illinois Projects Fund.
18    (i) A licensed owner is authorized to apply to the Board
19for and, if approved therefor, to receive all licenses from
20the Board necessary for the operation of a riverboat or
21casino, including a liquor license, a license to prepare and
22serve food for human consumption, and other necessary
23licenses. All use, occupation, and excise taxes which apply to
24the sale of food and beverages in this State and all taxes
25imposed on the sale or use of tangible personal property apply
26to such sales aboard the riverboat or in the casino.

 

 

SB2435- 1334 -LRB102 04062 AMC 14078 b

1    (j) The Board may issue or re-issue a license authorizing
2a riverboat to dock in a municipality or approve a relocation
3under Section 11.2 only if, prior to the issuance or
4re-issuance of the license or approval, the governing body of
5the municipality in which the riverboat will dock has by a
6majority vote approved the docking of riverboats in the
7municipality. The Board may issue or re-issue a license
8authorizing a riverboat to dock in areas of a county outside
9any municipality or approve a relocation under Section 11.2
10only if, prior to the issuance or re-issuance of the license or
11approval, the governing body of the county has by a majority
12vote approved of the docking of riverboats within such areas.
13    (k) An owners licensee may conduct land-based gambling
14operations upon approval by the Board and payment of a fee of
15$250,000, which shall be deposited into the State Gaming Fund.
16    (l) An owners licensee may conduct gaming at a temporary
17facility pending the construction of a permanent facility or
18the remodeling or relocation of an existing facility to
19accommodate gaming participants for up to 24 months after the
20temporary facility begins to conduct gaming. Upon request by
21an owners licensee and upon a showing of good cause by the
22owners licensee, the Board shall extend the period during
23which the licensee may conduct gaming at a temporary facility
24by up to 12 months. The Board shall make rules concerning the
25conduct of gaming from temporary facilities.
26(Source: P.A. 100-391, eff. 8-25-17; 100-1152, eff. 12-14-18;

 

 

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1101-31, eff. 6-28-19; 101-648, eff. 6-30-20; revised 8-19-20.)
 
2    Section 590. The Raffles and Poker Runs Act is amended by
3changing Sections 1, 2, 3, and 8.1 as follows:
 
4    (230 ILCS 15/1)  (from Ch. 85, par. 2301)
5    Sec. 1. Definitions. For the purposes of this Act the
6terms defined in this Section have the meanings given them.
7    "Key location" means:
8        (1) For a poker run, the location where the poker run
9    concludes and the prizes are awarded.
10        (2) For a raffle, the location where the winning
11    chances in the raffle are determined.
12    "Law enforcement agency" means an agency of this State or
13a unit of local government in this State that is vested by law
14or ordinance with the duty to maintain public order and to
15enforce criminal laws or ordinances.
16    "Net proceeds" means the gross receipts from the conduct
17of raffles, less reasonable sums expended for prizes, local
18license fees and other operating expenses incurred as a result
19of operating a raffle or poker run.
20    "Poker run" means a prize-awarding event organized by an
21organization licensed under this Act in which participants
22travel to multiple predetermined locations, including a key
23location, to play a randomized game based on an element of
24chance. "Poker run" includes dice runs, marble runs, or other

 

 

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1events where the objective is to build the best hand or highest
2score by obtaining an item or playing a randomized game at each
3location.
4    "Raffle" means a form of lottery, as defined in subsection
5(b) of Section 28-2 of the Criminal Code of 2012, conducted by
6an organization licensed under this Act, in which:
7        (1) the player pays or agrees to pay something of
8    value for a chance, represented and differentiated by a
9    number or by a combination of numbers or by some other
10    medium, one or more of which chances is to be designated
11    the winning chance; and
12        (2) the winning chance is to be determined through a
13    drawing or by some other method based on an element of
14    chance by an act or set of acts on the part of persons
15    conducting or connected with the lottery, except that the
16    winning chance shall not be determined by the outcome of a
17    publicly exhibited sporting contest.
18    "Raffle" does not include any game designed to simulate:
19(1) gambling games as defined in the Illinois Riverboat
20Gambling Act, (2) any casino game approved for play by the
21Illinois Gaming Board, (3) any games provided by a video
22gaming terminal, as defined in the Video Gaming Act, or (4) a
23savings promotion raffle authorized under Section 5g of the
24Illinois Banking Act, Section 7008 of the Savings Bank Act,
25Section 42.7 of the Illinois Credit Union Act, Section 5136B
26of the National Bank Act, or Section 4 of the Home Owners' Loan

 

 

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1Act.
2(Source: P.A. 101-109, eff. 7-19-19; revised 12-9-19.)
 
3    (230 ILCS 15/2)  (from Ch. 85, par. 2302)
4    Sec. 2. Licensing.
5    (a) The governing body of any county or municipality
6within this State may establish a system for the licensing of
7organizations to operate raffles. The governing bodies of a
8county and one or more municipalities may, pursuant to a
9written contract, jointly establish a system for the licensing
10of organizations to operate raffles within any area of
11contiguous territory not contained within the corporate limits
12of a municipality which is not a party to such contract. The
13governing bodies of two or more adjacent counties or two or
14more adjacent municipalities located within a county may,
15pursuant to a written contract, jointly establish a system for
16the licensing of organizations to operate raffles within the
17corporate limits of such counties or municipalities. The
18licensing authority may establish special categories of
19licenses and promulgate rules relating to the various
20categories. The licensing system shall provide for limitations
21upon (1) the aggregate retail value of all prizes or
22merchandise awarded by a licensee in a single raffle, if any,
23(2) the maximum retail value of each prize awarded by a
24licensee in a single raffle, if any, (3) the maximum price
25which may be charged for each raffle chance issued or sold, if

 

 

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1any, and (4) the maximum number of days during which chances
2may be issued or sold, if any. The licensing system may include
3a fee for each license in an amount to be determined by the
4local governing body. Licenses issued pursuant to this Act
5shall be valid for one raffle or for a specified number of
6raffles to be conducted during a specified period not to
7exceed one year and may be suspended or revoked for any
8violation of this Act. A local governing body shall act on a
9license application within 30 days from the date of
10application. A county or municipality may adopt rules or
11ordinances for the operation of raffles that are consistent
12with this Act. Raffles shall be licensed by the governing body
13of the municipality with jurisdiction over the key location
14or, if no municipality has jurisdiction over the key location,
15then by the governing body of the county with jurisdiction
16over the key location. A license shall authorize the holder of
17such license to sell raffle chances throughout the State,
18including beyond the borders of the licensing municipality or
19county.
20    (a-5) The governing body of Cook County may and any other
21county within this State shall establish a system for the
22licensing of organizations to operate poker runs. The
23governing bodies of 2 or more adjacent counties may, pursuant
24to a written contract, jointly establish a system for the
25licensing of organizations to operate poker runs within the
26corporate limits of such counties. The licensing authority may

 

 

SB2435- 1339 -LRB102 04062 AMC 14078 b

1establish special categories of licenses and adopt rules
2relating to the various categories. The licensing system may
3include a fee not to exceed $25 for each license. Licenses
4issued pursuant to this Act shall be valid for one poker run or
5for a specified number of poker runs to be conducted during a
6specified period not to exceed one year and may be suspended or
7revoked for any violation of this Act. A local governing body
8shall act on a license application within 30 days after the
9date of application.
10    (b) Raffle licenses shall be issued only to bona fide
11religious, charitable, labor, business, fraternal,
12educational, veterans', or other bona fide not-for-profit
13organizations that operate without profit to their members and
14which have been in existence continuously for a period of 5
15years immediately before making application for a raffle
16license and which have during that entire 5-year period been
17engaged in carrying out their objects, or to a non-profit
18fundraising organization that the licensing authority
19determines is organized for the sole purpose of providing
20financial assistance to an identified individual or group of
21individuals suffering extreme financial hardship as the result
22of an illness, disability, accident, or disaster, or to any
23law enforcement agencies and associations that represent law
24enforcement officials. Poker run licenses shall be issued only
25to bona fide religious, charitable, labor, business,
26fraternal, educational, veterans', or other bona fide

 

 

SB2435- 1340 -LRB102 04062 AMC 14078 b

1not-for-profit organizations that operate without profit to
2their members and which have been in existence continuously
3for a period of 5 years immediately before making application
4for a poker run license and which have during that entire
55-year period been engaged in carrying out their objects.
6Licenses for poker runs shall be issued for the following
7purposes: (i) providing financial assistance to an identified
8individual or group of individuals suffering extreme financial
9hardship as the result of an illness, disability, accident, or
10disaster or (ii) to maintain the financial stability of the
11organization. A licensing authority may waive the 5-year
12requirement under this subsection (b) for a bona fide
13religious, charitable, labor, business, fraternal,
14educational, or veterans' organization that applies for a
15license to conduct a raffle or a poker run if the organization
16is a local organization that is affiliated with and chartered
17by a national or State organization that meets the 5-year
18requirement.
19    For purposes of this Act, the following definitions apply.
20Non-profit: An organization or institution organized and
21conducted on a not-for-profit basis with no personal profit
22inuring to any one as a result of the operation. Charitable: An
23organization or institution organized and operated to benefit
24an indefinite number of the public. The service rendered to
25those eligible for benefits must also confer some benefit on
26the public. Educational: An organization or institution

 

 

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1organized and operated to provide systematic instruction in
2useful branches of learning by methods common to schools and
3institutions of learning which compare favorably in their
4scope and intensity with the course of study presented in
5tax-supported schools. Religious: Any church, congregation,
6society, or organization founded for the purpose of religious
7worship. Fraternal: An organization of persons having a common
8interest, the primary interest of which is to both promote the
9welfare of its members and to provide assistance to the
10general public in such a way as to lessen the burdens of
11government by caring for those that otherwise would be cared
12for by the government. Veterans: An organization or
13association comprised of members of which substantially all
14are individuals who are veterans or spouses, widows, or
15widowers of veterans, the primary purpose of which is to
16promote the welfare of its members and to provide assistance
17to the general public in such a way as to confer a public
18benefit. Labor: An organization composed of workers organized
19with the objective of betterment of the conditions of those
20engaged in such pursuit and the development of a higher degree
21of efficiency in their respective occupations. Business: A
22voluntary organization composed of individuals and businesses
23who have joined together to advance the commercial, financial,
24industrial and civic interests of a community.
25(Source: P.A. 100-201, eff. 8-18-17; 101-109, eff. 7-19-19;
26101-360, eff. 1-1-20; revised 9-9-19.)
 

 

 

SB2435- 1342 -LRB102 04062 AMC 14078 b

1    (230 ILCS 15/3)  (from Ch. 85, par. 2303)
2    Sec. 3. License; application; issuance; restrictions;
3persons ineligible. Licenses issued by the governing body of
4any county or municipality are subject to the following
5restrictions:
6        (1) No person, firm, or corporation shall conduct
7    raffles or chances or poker runs without having first
8    obtained a license therefor pursuant to this Act.
9        (2) The license and application for license must
10    specify the location or locations at which winning chances
11    in the raffle will be determined, the time period during
12    which raffle chances will be sold or issued or a poker run
13    will be conducted, the time or times of determination of
14    winning chances, and the location or locations at which
15    winning chances will be determined.
16        (3) The license application must contain a sworn
17    statement attesting to the not-for-profit character of the
18    prospective licensee organization, signed by the presiding
19    officer and the secretary of that organization.
20        (4) The application for license shall be prepared in
21    accordance with the ordinance of the local governmental
22    unit.
23        (5) A license authorizes the licensee to conduct
24    raffles or poker runs as defined in this Act.
25    The following are ineligible for any license under this

 

 

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1Act:
2        (a) any person whose felony conviction will impair the
3    person's ability to engage in the licensed position;
4        (b) any person who is or has been a professional
5    gambler or professional gambling promoter;
6        (c) any person who is not of good moral character;
7        (d) any organization in which a person defined in item
8    (a), (b), or (c) has a proprietary, equitable, or credit
9    interest, or in which such a person is active or employed;
10        (e) any organization in which a person defined in item
11    (a), (b), or (c) is an officer, director, or employee,
12    whether compensated or not; and
13        (f) any organization in which a person defined in item
14    (a), (b), or (c) is to participate in the management or
15    operation of a raffle as defined in this Act.
16(Source: P.A. 100-286, eff. 1-1-18; 101-109, eff. 7-19-19;
17revised 9-20-19.)
 
18    (230 ILCS 15/8.1)  (from Ch. 85, par. 2308.1)
19    Sec. 8.1. Political committees.
20    (a) For the purposes of this Section, the terms defined in
21this subsection have the meanings given them.
22    "Net proceeds" means the gross receipts from the conduct
23of raffles, less reasonable sums expended for prizes, license
24fees, and other reasonable operating expenses incurred as a
25result of operating a raffle.

 

 

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1    "Raffle" means a form of lottery, as defined in Section
228-2(b) of the Criminal Code of 2012, conducted by a political
3committee licensed under this Section, in which:
4        (1) the player pays or agrees to pay something of
5    value for a chance, represented and differentiated by a
6    number or by a combination of numbers or by some other
7    medium, one or more of which chances are is to be
8    designated the winning chance; and
9        (2) the winning chance is to be determined through a
10    drawing or by some other method based on an element of
11    chance by an act or set of acts on the part of persons
12    conducting or connected with the lottery, except that the
13    winning chance shall not be determined by the outcome of a
14    publicly exhibited sporting contest.
15    "Unresolved claim" means a claim for a civil penalty under
16Sections 9-3, 9-10, and 9-23 of the Election Code which has
17been begun by the State Board of Elections, has been disputed
18by the political committee under the applicable rules of the
19State Board of Elections, and has not been finally decided
20either by the State Board of Elections, or, where application
21for review has been made to the courts of Illinois, remains
22finally undecided by the courts.
23    "Owes" means that a political committee has been finally
24determined under applicable rules of the State Board of
25Elections to be liable for a civil penalty under Sections 9-3,
269-10, and 9-23 of the Election Code.

 

 

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1    (b) Licenses issued pursuant to this Section shall be
2valid for one raffle or for a specified number of raffles to be
3conducted during a specified period not to exceed one year and
4may be suspended or revoked for any violation of this Section.
5The State Board of Elections shall act on a license
6application within 30 days from the date of application.
7    (c) Licenses issued by the State Board of Elections are
8subject to the following restrictions:
9        (1) No political committee shall conduct raffles or
10    chances without having first obtained a license therefor
11    pursuant to this Section.
12        (2) The application for license shall be prepared in
13    accordance with regulations of the State Board of
14    Elections and must specify the area or areas within the
15    State in which raffle chances will be sold or issued, the
16    time period during which raffle chances will be sold or
17    issued, the time of determination of winning chances, and
18    the location or locations at which winning chances will be
19    determined.
20        (3) A license authorizes the licensee to conduct
21    raffles as defined in this Section.
22    The following are ineligible for any license under this
23Section:
24            (i) any political committee which has an officer
25        who has been convicted of a felony;
26            (ii) any political committee which has an officer

 

 

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1        who is or has been a professional gambler or gambling
2        promoter;
3            (iii) any political committee which has an officer
4        who is not of good moral character;
5            (iv) any political committee which has an officer
6        who is also an officer of a firm or corporation in
7        which a person defined in item (i), (ii), or (iii) has
8        a proprietary, equitable, or credit interest, or in
9        which such a person is active or employed;
10            (v) any political committee in which a person
11        defined in item (i), (ii), or (iii) is an officer,
12        director, or employee, whether compensated or not;
13            (vi) any political committee in which a person
14        defined in item (i), (ii), or (iii) is to participate
15        in the management or operation of a raffle as defined
16        in this Section;
17            (vii) any committee which, at the time of its
18        application for a license to conduct a raffle, owes
19        the State Board of Elections any unpaid civil penalty
20        authorized by Sections 9-3, 9-10, and 9-23 of the
21        Election Code, or is the subject of an unresolved
22        claim for a civil penalty under Sections 9-3, 9-10,
23        and 9-23 of the Election Code;
24            (viii) any political committee which, at the time
25        of its application to conduct a raffle, has not
26        submitted any report or document required to be filed

 

 

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1        by Article 9 of the Election Code and such report or
2        document is more than 10 days overdue.
3    (d)(1) The conducting of raffles is subject to the
4following restrictions:
5        (i) The entire net proceeds of any raffle must be
6    exclusively devoted to the lawful purposes of the
7    political committee permitted to conduct that game.
8        (ii) No person except a bona fide member of the
9    political committee may participate in the management or
10    operation of the raffle.
11        (iii) No person may receive any remuneration or profit
12    for participating in the management or operation of the
13    raffle.
14        (iv) Raffle chances may be sold or issued only within
15    the area specified on the license and winning chances may
16    be determined only at those locations specified on the
17    license.
18        (v) A person under the age of 18 years may participate
19    in the conducting of raffles or chances only with the
20    permission of a parent or guardian. A person under the age
21    of 18 years may be within the area where winning chances
22    are being determined only when accompanied by his or her
23    parent or guardian.
24    (2) If a lessor rents a premises where a winning chance or
25chances on a raffle are determined, the lessor shall not be
26criminally liable if the person who uses the premises for the

 

 

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1determining of winning chances does not hold a license issued
2under the provisions of this Section.
3    (e)(1) Each political committee licensed to conduct
4raffles and chances shall keep records of its gross receipts,
5expenses, and net proceeds for each single gathering or
6occasion at which winning chances are determined. All
7deductions from gross receipts for each single gathering or
8occasion shall be documented with receipts or other records
9indicating the amount, a description of the purchased item or
10service or other reason for the deduction, and the recipient.
11The distribution of net proceeds shall be itemized as to
12payee, purpose, amount, and date of payment.
13    (2) Each political committee licensed to conduct raffles
14shall report on the next report due to be filed under Article 9
15of the Election Code its gross receipts, expenses, and net
16proceeds from raffles, and the distribution of net proceeds
17itemized as required in this subsection.
18    Such reports shall be included in the regular reports
19required of political committees by Article 9 of the Election
20Code.
21    (3) Records required by this subsection shall be preserved
22for 3 years, and political committees shall make available
23their records relating to the operation of raffles for public
24inspection at reasonable times and places.
25    (f) Violation of any provision of this Section is a Class C
26misdemeanor.

 

 

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1    (g) Nothing in this Section shall be construed to
2authorize the conducting or operating of any gambling scheme,
3enterprise, activity, or device other than raffles as provided
4for herein.
5(Source: P.A. 101-109, eff. 7-19-19; revised 9-20-19.)
 
6    Section 595. The Video Gaming Act is amended by changing
7Section 58 as follows:
 
8    (230 ILCS 40/58)
9    Sec. 58. Location of terminals. Video gaming terminals in
10a licensed establishment, licensed fraternal establishment, or
11licensed veterans establishment must be located in an area
12that is restricted to persons over 21 years of age and the
13entrance to the area must be within the view of at least one
14employee of the establishment who is over 21 years of age.
15    The placement of video gaming terminals in licensed
16establishments, licensed truck stop establishments, licensed
17large truck stop establishments, licensed fraternal
18establishments, and licensed veterans establishments shall be
19subject to the rules promulgated by the Board pursuant to the
20Illinois Administrative Procedure Act.
21(Source: P.A. 101-31, eff. 6-28-19; 101-318, eff. 8-9-19;
22revised 9-20-19.)
 
23    Section 600. The Liquor Control Act of 1934 is amended by

 

 

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1changing Sections 3-12, 5-3, 6-6, and 6-6.5 as follows:
 
2    (235 ILCS 5/3-12)
3    Sec. 3-12. Powers and duties of State Commission.
4    (a) The State Commission shall have the following powers,
5functions, and duties:
6        (1) To receive applications and to issue licenses to
7    manufacturers, foreign importers, importing distributors,
8    distributors, non-resident dealers, on premise consumption
9    retailers, off premise sale retailers, special event
10    retailer licensees, special use permit licenses, auction
11    liquor licenses, brew pubs, caterer retailers,
12    non-beverage users, railroads, including owners and
13    lessees of sleeping, dining and cafe cars, airplanes,
14    boats, brokers, and wine maker's premises licensees in
15    accordance with the provisions of this Act, and to suspend
16    or revoke such licenses upon the State Commission's
17    determination, upon notice after hearing, that a licensee
18    has violated any provision of this Act or any rule or
19    regulation issued pursuant thereto and in effect for 30
20    days prior to such violation. Except in the case of an
21    action taken pursuant to a violation of Section 6-3, 6-5,
22    or 6-9, any action by the State Commission to suspend or
23    revoke a licensee's license may be limited to the license
24    for the specific premises where the violation occurred. An
25    action for a violation of this Act shall be commenced by

 

 

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1    the State Commission within 2 years after the date the
2    State Commission becomes aware of the violation.
3        In lieu of suspending or revoking a license, the
4    commission may impose a fine, upon the State Commission's
5    determination and notice after hearing, that a licensee
6    has violated any provision of this Act or any rule or
7    regulation issued pursuant thereto and in effect for 30
8    days prior to such violation.
9        For the purpose of this paragraph (1), when
10    determining multiple violations for the sale of alcohol to
11    a person under the age of 21, a second or subsequent
12    violation for the sale of alcohol to a person under the age
13    of 21 shall only be considered if it was committed within 5
14    years after the date when a prior violation for the sale of
15    alcohol to a person under the age of 21 was committed.
16        The fine imposed under this paragraph may not exceed
17    $500 for each violation. Each day that the activity, which
18    gave rise to the original fine, continues is a separate
19    violation. The maximum fine that may be levied against any
20    licensee, for the period of the license, shall not exceed
21    $20,000. The maximum penalty that may be imposed on a
22    licensee for selling a bottle of alcoholic liquor with a
23    foreign object in it or serving from a bottle of alcoholic
24    liquor with a foreign object in it shall be the
25    destruction of that bottle of alcoholic liquor for the
26    first 10 bottles so sold or served from by the licensee.

 

 

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1    For the eleventh bottle of alcoholic liquor and for each
2    third bottle thereafter sold or served from by the
3    licensee with a foreign object in it, the maximum penalty
4    that may be imposed on the licensee is the destruction of
5    the bottle of alcoholic liquor and a fine of up to $50.
6        Any notice issued by the State Commission to a
7    licensee for a violation of this Act or any notice with
8    respect to settlement or offer in compromise shall include
9    the field report, photographs, and any other supporting
10    documentation necessary to reasonably inform the licensee
11    of the nature and extent of the violation or the conduct
12    alleged to have occurred. The failure to include such
13    required documentation shall result in the dismissal of
14    the action.
15        (2) To adopt such rules and regulations consistent
16    with the provisions of this Act which shall be necessary
17    to carry on its functions and duties to the end that the
18    health, safety and welfare of the People of the State of
19    Illinois shall be protected and temperance in the
20    consumption of alcoholic liquors shall be fostered and
21    promoted and to distribute copies of such rules and
22    regulations to all licensees affected thereby.
23        (3) To call upon other administrative departments of
24    the State, county and municipal governments, county and
25    city police departments and upon prosecuting officers for
26    such information and assistance as it deems necessary in

 

 

SB2435- 1353 -LRB102 04062 AMC 14078 b

1    the performance of its duties.
2        (4) To recommend to local commissioners rules and
3    regulations, not inconsistent with the law, for the
4    distribution and sale of alcoholic liquors throughout the
5    State.
6        (5) To inspect, or cause to be inspected, any premises
7    in this State where alcoholic liquors are manufactured,
8    distributed, warehoused, or sold. Nothing in this Act
9    authorizes an agent of the State Commission to inspect
10    private areas within the premises without reasonable
11    suspicion or a warrant during an inspection. "Private
12    areas" include, but are not limited to, safes, personal
13    property, and closed desks.
14        (5.1) Upon receipt of a complaint or upon having
15    knowledge that any person is engaged in business as a
16    manufacturer, importing distributor, distributor, or
17    retailer without a license or valid license, to conduct an
18    investigation. If, after conducting an investigation, the
19    State Commission is satisfied that the alleged conduct
20    occurred or is occurring, it may issue a cease and desist
21    notice as provided in this Act, impose civil penalties as
22    provided in this Act, notify the local liquor authority,
23    or file a complaint with the State's Attorney's Office of
24    the county where the incident occurred or the Attorney
25    General.
26        (5.2) Upon receipt of a complaint or upon having

 

 

SB2435- 1354 -LRB102 04062 AMC 14078 b

1    knowledge that any person is shipping alcoholic liquor
2    into this State from a point outside of this State if the
3    shipment is in violation of this Act, to conduct an
4    investigation. If, after conducting an investigation, the
5    State Commission is satisfied that the alleged conduct
6    occurred or is occurring, it may issue a cease and desist
7    notice as provided in this Act, impose civil penalties as
8    provided in this Act, notify the foreign jurisdiction, or
9    file a complaint with the State's Attorney's Office of the
10    county where the incident occurred or the Attorney
11    General.
12        (5.3) To receive complaints from licensees, local
13    officials, law enforcement agencies, organizations, and
14    persons stating that any licensee has been or is violating
15    any provision of this Act or the rules and regulations
16    issued pursuant to this Act. Such complaints shall be in
17    writing, signed and sworn to by the person making the
18    complaint, and shall state with specificity the facts in
19    relation to the alleged violation. If the State Commission
20    has reasonable grounds to believe that the complaint
21    substantially alleges a violation of this Act or rules and
22    regulations adopted pursuant to this Act, it shall conduct
23    an investigation. If, after conducting an investigation,
24    the State Commission is satisfied that the alleged
25    violation did occur, it shall proceed with disciplinary
26    action against the licensee as provided in this Act.

 

 

SB2435- 1355 -LRB102 04062 AMC 14078 b

1        (5.4) To make arrests and issue notices of civil
2    violations where necessary for the enforcement of this
3    Act.
4        (5.5) To investigate any and all unlicensed activity.
5        (5.6) To impose civil penalties or fines to any person
6    who, without holding a valid license, engages in conduct
7    that requires a license pursuant to this Act, in an amount
8    not to exceed $20,000 for each offense as determined by
9    the State Commission. A civil penalty shall be assessed by
10    the State Commission after a hearing is held in accordance
11    with the provisions set forth in this Act regarding the
12    provision of a hearing for the revocation or suspension of
13    a license.
14        (6) To hear and determine appeals from orders of a
15    local commission in accordance with the provisions of this
16    Act, as hereinafter set forth. Hearings under this
17    subsection shall be held in Springfield or Chicago, at
18    whichever location is the more convenient for the majority
19    of persons who are parties to the hearing.
20        (7) The State Commission shall establish uniform
21    systems of accounts to be kept by all retail licensees
22    having more than 4 employees, and for this purpose the
23    State Commission may classify all retail licensees having
24    more than 4 employees and establish a uniform system of
25    accounts for each class and prescribe the manner in which
26    such accounts shall be kept. The State Commission may also

 

 

SB2435- 1356 -LRB102 04062 AMC 14078 b

1    prescribe the forms of accounts to be kept by all retail
2    licensees having more than 4 employees, including, but not
3    limited to, accounts of earnings and expenses and any
4    distribution, payment, or other distribution of earnings
5    or assets, and any other forms, records, and memoranda
6    which in the judgment of the commission may be necessary
7    or appropriate to carry out any of the provisions of this
8    Act, including, but not limited to, such forms, records,
9    and memoranda as will readily and accurately disclose at
10    all times the beneficial ownership of such retail licensed
11    business. The accounts, forms, records, and memoranda
12    shall be available at all reasonable times for inspection
13    by authorized representatives of the State Commission or
14    by any local liquor control commissioner or his or her
15    authorized representative. The commission, may, from time
16    to time, alter, amend, or repeal, in whole or in part, any
17    uniform system of accounts, or the form and manner of
18    keeping accounts.
19        (8) In the conduct of any hearing authorized to be
20    held by the State Commission, to appoint, at the
21    commission's discretion, hearing officers to conduct
22    hearings involving complex issues or issues that will
23    require a protracted period of time to resolve, to
24    examine, or cause to be examined, under oath, any
25    licensee, and to examine or cause to be examined the books
26    and records of such licensee; to hear testimony and take

 

 

SB2435- 1357 -LRB102 04062 AMC 14078 b

1    proof material for its information in the discharge of its
2    duties hereunder; to administer or cause to be
3    administered oaths; for any such purpose to issue subpoena
4    or subpoenas to require the attendance of witnesses and
5    the production of books, which shall be effective in any
6    part of this State, and to adopt rules to implement its
7    powers under this paragraph (8).
8        Any circuit court may, by order duly entered, require
9    the attendance of witnesses and the production of relevant
10    books subpoenaed by the State Commission and the court may
11    compel obedience to its order by proceedings for contempt.
12        (9) To investigate the administration of laws in
13    relation to alcoholic liquors in this and other states and
14    any foreign countries, and to recommend from time to time
15    to the Governor and through him or her to the legislature
16    of this State, such amendments to this Act, if any, as it
17    may think desirable and as will serve to further the
18    general broad purposes contained in Section 1-2 hereof.
19        (10) To adopt such rules and regulations consistent
20    with the provisions of this Act which shall be necessary
21    for the control, sale, or disposition of alcoholic liquor
22    damaged as a result of an accident, wreck, flood, fire, or
23    other similar occurrence.
24        (11) To develop industry educational programs related
25    to responsible serving and selling, particularly in the
26    areas of overserving consumers and illegal underage

 

 

SB2435- 1358 -LRB102 04062 AMC 14078 b

1    purchasing and consumption of alcoholic beverages.
2        (11.1) To license persons providing education and
3    training to alcohol beverage sellers and servers for
4    mandatory and non-mandatory training under the Beverage
5    Alcohol Sellers and Servers Education and Training
6    (BASSET) programs and to develop and administer a public
7    awareness program in Illinois to reduce or eliminate the
8    illegal purchase and consumption of alcoholic beverage
9    products by persons under the age of 21. Application for a
10    license shall be made on forms provided by the State
11    Commission.
12        (12) To develop and maintain a repository of license
13    and regulatory information.
14        (13) (Blank).
15        (14) On or before April 30, 2008 and every 2 years
16    thereafter, the State Commission shall present a written
17    report to the Governor and the General Assembly that shall
18    be based on a study of the impact of Public Act 95-634 on
19    the business of soliciting, selling, and shipping wine
20    from inside and outside of this State directly to
21    residents of this State. As part of its report, the State
22    Commission shall provide all of the following information:
23            (A) The amount of State excise and sales tax
24        revenues generated.
25            (B) The amount of licensing fees received.
26            (C) The number of cases of wine shipped from

 

 

SB2435- 1359 -LRB102 04062 AMC 14078 b

1        inside and outside of this State directly to residents
2        of this State.
3            (D) The number of alcohol compliance operations
4        conducted.
5            (E) The number of winery shipper's licenses
6        issued.
7            (F) The number of each of the following: reported
8        violations; cease and desist notices issued by the
9        Commission; notices of violations issued by the
10        Commission and to the Department of Revenue; and
11        notices and complaints of violations to law
12        enforcement officials, including, without limitation,
13        the Illinois Attorney General and the U.S. Department
14        of Treasury's Alcohol and Tobacco Tax and Trade
15        Bureau.
16        (15) As a means to reduce the underage consumption of
17    alcoholic liquors, the State Commission shall conduct
18    alcohol compliance operations to investigate whether
19    businesses that are soliciting, selling, and shipping wine
20    from inside or outside of this State directly to residents
21    of this State are licensed by this State or are selling or
22    attempting to sell wine to persons under 21 years of age in
23    violation of this Act.
24        (16) The State Commission shall, in addition to
25    notifying any appropriate law enforcement agency, submit
26    notices of complaints or violations of Sections 6-29 and

 

 

SB2435- 1360 -LRB102 04062 AMC 14078 b

1    6-29.1 by persons who do not hold a winery shipper's
2    license under this Act to the Illinois Attorney General
3    and to the U.S. Department of Treasury's Alcohol and
4    Tobacco Tax and Trade Bureau.
5        (17)(A) A person licensed to make wine under the laws
6    of another state who has a winery shipper's license under
7    this Act and annually produces less than 25,000 gallons of
8    wine or a person who has a first-class or second-class
9    wine manufacturer's license, a first-class or second-class
10    wine-maker's license, or a limited wine manufacturer's
11    license under this Act and annually produces less than
12    25,000 gallons of wine may make application to the
13    Commission for a self-distribution exemption to allow the
14    sale of not more than 5,000 gallons of the exemption
15    holder's wine to retail licensees per year.
16        (B) In the application, which shall be sworn under
17    penalty of perjury, such person shall state (1) the date
18    it was established; (2) its volume of production and sales
19    for each year since its establishment; (3) its efforts to
20    establish distributor relationships; (4) that a
21    self-distribution exemption is necessary to facilitate the
22    marketing of its wine; and (5) that it will comply with the
23    liquor and revenue laws of the United States, this State,
24    and any other state where it is licensed.
25        (C) The State Commission shall approve the application
26    for a self-distribution exemption if such person: (1) is

 

 

SB2435- 1361 -LRB102 04062 AMC 14078 b

1    in compliance with State revenue and liquor laws; (2) is
2    not a member of any affiliated group that produces more
3    than 25,000 gallons of wine per annum or produces any
4    other alcoholic liquor; (3) will not annually produce for
5    sale more than 25,000 gallons of wine; and (4) will not
6    annually sell more than 5,000 gallons of its wine to
7    retail licensees.
8        (D) A self-distribution exemption holder shall
9    annually certify to the State Commission its production of
10    wine in the previous 12 months and its anticipated
11    production and sales for the next 12 months. The State
12    Commission may fine, suspend, or revoke a
13    self-distribution exemption after a hearing if it finds
14    that the exemption holder has made a material
15    misrepresentation in its application, violated a revenue
16    or liquor law of Illinois, exceeded production of 25,000
17    gallons of wine in any calendar year, or become part of an
18    affiliated group producing more than 25,000 gallons of
19    wine or any other alcoholic liquor.
20        (E) Except in hearings for violations of this Act or
21    Public Act 95-634 or a bona fide investigation by duly
22    sworn law enforcement officials, the State Commission, or
23    its agents, the State Commission shall maintain the
24    production and sales information of a self-distribution
25    exemption holder as confidential and shall not release
26    such information to any person.

 

 

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1        (F) The State Commission shall issue regulations
2    governing self-distribution exemptions consistent with
3    this Section and this Act.
4        (G) Nothing in this paragraph (17) shall prohibit a
5    self-distribution exemption holder from entering into or
6    simultaneously having a distribution agreement with a
7    licensed Illinois distributor.
8        (H) It is the intent of this paragraph (17) to promote
9    and continue orderly markets. The General Assembly finds
10    that, in order to preserve Illinois' regulatory
11    distribution system, it is necessary to create an
12    exception for smaller makers of wine as their wines are
13    frequently adjusted in varietals, mixes, vintages, and
14    taste to find and create market niches sometimes too small
15    for distributor or importing distributor business
16    strategies. Limited self-distribution rights will afford
17    and allow smaller makers of wine access to the marketplace
18    in order to develop a customer base without impairing the
19    integrity of the 3-tier system.
20        (18)(A) A class 1 brewer licensee, who must also be
21    either a licensed brewer or licensed non-resident dealer
22    and annually manufacture less than 930,000 gallons of
23    beer, may make application to the State Commission for a
24    self-distribution exemption to allow the sale of not more
25    than 232,500 gallons of the exemption holder's beer per
26    year to retail licensees and to brewers, class 1 brewers,

 

 

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1    and class 2 brewers that, pursuant to subsection (e) of
2    Section 6-4 of this Act, sell beer, cider, or both beer and
3    cider to non-licensees at their breweries.
4        (B) In the application, which shall be sworn under
5    penalty of perjury, the class 1 brewer licensee shall
6    state (1) the date it was established; (2) its volume of
7    beer manufactured and sold for each year since its
8    establishment; (3) its efforts to establish distributor
9    relationships; (4) that a self-distribution exemption is
10    necessary to facilitate the marketing of its beer; and (5)
11    that it will comply with the alcoholic beverage and
12    revenue laws of the United States, this State, and any
13    other state where it is licensed.
14        (C) Any application submitted shall be posted on the
15    State Commission's website at least 45 days prior to
16    action by the State Commission. The State Commission shall
17    approve the application for a self-distribution exemption
18    if the class 1 brewer licensee: (1) is in compliance with
19    the State, revenue, and alcoholic beverage laws; (2) is
20    not a member of any affiliated group that manufactures
21    more than 930,000 gallons of beer per annum or produces
22    any other alcoholic beverages; (3) shall not annually
23    manufacture for sale more than 930,000 gallons of beer;
24    (4) shall not annually sell more than 232,500 gallons of
25    its beer to retail licensees or to brewers, class 1
26    brewers, and class 2 brewers that, pursuant to subsection

 

 

SB2435- 1364 -LRB102 04062 AMC 14078 b

1    (e) of Section 6-4 of this Act, sell beer, cider, or both
2    beer and cider to non-licensees at their breweries; and
3    (5) has relinquished any brew pub license held by the
4    licensee, including any ownership interest it held in the
5    licensed brew pub.
6        (D) A self-distribution exemption holder shall
7    annually certify to the State Commission its manufacture
8    of beer during the previous 12 months and its anticipated
9    manufacture and sales of beer for the next 12 months. The
10    State Commission may fine, suspend, or revoke a
11    self-distribution exemption after a hearing if it finds
12    that the exemption holder has made a material
13    misrepresentation in its application, violated a revenue
14    or alcoholic beverage law of Illinois, exceeded the
15    manufacture of 930,000 gallons of beer in any calendar
16    year or became part of an affiliated group manufacturing
17    more than 930,000 gallons of beer or any other alcoholic
18    beverage.
19        (E) The State Commission shall issue rules and
20    regulations governing self-distribution exemptions
21    consistent with this Act.
22        (F) Nothing in this paragraph (18) shall prohibit a
23    self-distribution exemption holder from entering into or
24    simultaneously having a distribution agreement with a
25    licensed Illinois importing distributor or a distributor.
26    If a self-distribution exemption holder enters into a

 

 

SB2435- 1365 -LRB102 04062 AMC 14078 b

1    distribution agreement and has assigned distribution
2    rights to an importing distributor or distributor, then
3    the self-distribution exemption holder's distribution
4    rights in the assigned territories shall cease in a
5    reasonable time not to exceed 60 days.
6        (G) It is the intent of this paragraph (18) to promote
7    and continue orderly markets. The General Assembly finds
8    that in order to preserve Illinois' regulatory
9    distribution system, it is necessary to create an
10    exception for smaller manufacturers in order to afford and
11    allow such smaller manufacturers of beer access to the
12    marketplace in order to develop a customer base without
13    impairing the integrity of the 3-tier system.
14        (19)(A) A class 1 craft distiller licensee or a
15    non-resident dealer who manufactures less than 50,000
16    gallons of distilled spirits per year may make application
17    to the State Commission for a self-distribution exemption
18    to allow the sale of not more than 5,000 gallons of the
19    exemption holder's spirits to retail licensees per year.
20        (B) In the application, which shall be sworn under
21    penalty of perjury, the class 1 craft distiller licensee
22    or non-resident dealer shall state (1) the date it was
23    established; (2) its volume of spirits manufactured and
24    sold for each year since its establishment; (3) its
25    efforts to establish distributor relationships; (4) that a
26    self-distribution exemption is necessary to facilitate the

 

 

SB2435- 1366 -LRB102 04062 AMC 14078 b

1    marketing of its spirits; and (5) that it will comply with
2    the alcoholic beverage and revenue laws of the United
3    States, this State, and any other state where it is
4    licensed.
5        (C) Any application submitted shall be posted on the
6    State Commission's website at least 45 days prior to
7    action by the State Commission. The State Commission shall
8    approve the application for a self-distribution exemption
9    if the applicant: (1) is in compliance with State revenue
10    and alcoholic beverage laws; (2) is not a member of any
11    affiliated group that produces more than 50,000 gallons of
12    spirits per annum or produces any other alcoholic liquor;
13    (3) does not annually manufacture for sale more than
14    50,000 gallons of spirits; and (4) does not annually sell
15    more than 5,000 gallons of its spirits to retail
16    licensees.
17        (D) A self-distribution exemption holder shall
18    annually certify to the State Commission its manufacture
19    of spirits during the previous 12 months and its
20    anticipated manufacture and sales of spirits for the next
21    12 months. The State Commission may fine, suspend, or
22    revoke a self-distribution exemption after a hearing if it
23    finds that the exemption holder has made a material
24    misrepresentation in its application, violated a revenue
25    or alcoholic beverage law of Illinois, exceeded the
26    manufacture of 50,000 gallons of spirits in any calendar

 

 

SB2435- 1367 -LRB102 04062 AMC 14078 b

1    year, or has become part of an affiliated group
2    manufacturing more than 50,000 gallons of spirits or any
3    other alcoholic beverage.
4        (E) The State Commission shall adopt rules governing
5    self-distribution exemptions consistent with this Act.
6        (F) Nothing in this paragraph (19) shall prohibit a
7    self-distribution exemption holder from entering into or
8    simultaneously having a distribution agreement with a
9    licensed Illinois importing distributor or a distributor.
10        (G) It is the intent of this paragraph (19) to promote
11    and continue orderly markets. The General Assembly finds
12    that in order to preserve Illinois' regulatory
13    distribution system, it is necessary to create an
14    exception for smaller manufacturers in order to afford and
15    allow such smaller manufacturers of spirits access to the
16    marketplace in order to develop a customer base without
17    impairing the integrity of the 3-tier system.
18    (b) On or before April 30, 1999, the Commission shall
19present a written report to the Governor and the General
20Assembly that shall be based on a study of the impact of Public
21Act 90-739 on the business of soliciting, selling, and
22shipping alcoholic liquor from outside of this State directly
23to residents of this State.
24    As part of its report, the Commission shall provide the
25following information:
26        (i) the amount of State excise and sales tax revenues

 

 

SB2435- 1368 -LRB102 04062 AMC 14078 b

1    generated as a result of Public Act 90-739;
2        (ii) the amount of licensing fees received as a result
3    of Public Act 90-739;
4        (iii) the number of reported violations, the number of
5    cease and desist notices issued by the Commission, the
6    number of notices of violations issued to the Department
7    of Revenue, and the number of notices and complaints of
8    violations to law enforcement officials.
9(Source: P.A. 100-134, eff. 8-18-17; 100-201, eff. 8-18-17;
10100-816, eff. 8-13-18; 100-1012, eff. 8-21-18; 100-1050, eff.
118-23-18; 101-37, eff. 7-3-19; 101-81, eff. 7-12-19; 101-482,
12eff. 8-23-19; revised 9-20-19.)
 
13    (235 ILCS 5/5-3)  (from Ch. 43, par. 118)
14    Sec. 5-3. License fees. Except as otherwise provided
15herein, at the time application is made to the State
16Commission for a license of any class, the applicant shall pay
17to the State Commission the fee hereinafter provided for the
18kind of license applied for.
19    The fee for licenses issued by the State Commission shall
20be as follows:
21OnlineInitial
22renewallicense
23 or
24 non-online
25 renewal

 

 

SB2435- 1369 -LRB102 04062 AMC 14078 b

1    For a manufacturer's license:
2    Class 1. Distiller .................$4,000$5,000
3    Class 2. Rectifier .................4,000 5,000
4    Class 3. Brewer ....................1,200 1,500
5    Class 4. First-class Wine
6        Manufacturer ...................750900
7    Class 5. Second-class
8        Wine Manufacturer ..............1,500 1,750
9    Class 6. First-class wine-maker ....750 900
10    Class 7. Second-class wine-maker ...1,500 1,750
11    Class 8. Limited Wine
12        Manufacturer....................250 350
13    Class 9. Craft Distiller............ $2,000 $2,500
14    Class 10. Class 1 Craft Distiller... 50 75
15    Class 11. Class 2 Craft Distiller... 75 100
16    Class 12. Class 1 Brewer............50 75
17    Class 13. Class 2 Brewer............ 75 100
18    For a Brew Pub License..............1,2001,500
19    For a Distilling Pub License........ 1,200 1,500
20    For a caterer retailer's license....350 500
21    For a foreign importer's license ...25 25
22    For an importing distributor's
23        license.........................2525
24    For a distributor's license
25        (11,250,000 gallons
26        or over)........................1,4502,200

 

 

SB2435- 1370 -LRB102 04062 AMC 14078 b

1    For a distributor's license
2        (over 4,500,000 gallons, but
3        under 11,250,000 gallons)....... 9501,450
4    For a distributor's license
5        (4,500,000 gallons or under)....300450
6    For a non-resident dealer's license
7        (500,000 gallons or over) ......1,200 1,500
8    For a non-resident dealer's license
9        (under 500,000 gallons) ........250 350
10    For a wine-maker's premises
11        license ........................250500
12    For a winery shipper's license
13        (under 250,000 gallons).........200 350
14    For a winery shipper's license
15        (250,000 or over, but
16        under 500,000 gallons)..........7501,000
17    For a winery shipper's license
18        (500,000 gallons or over).......1,200 1,500
19    For a wine-maker's premises
20        license, second location .......500 1,000
21    For a wine-maker's premises
22        license, third location ........5001,000
23    For a retailer's license ...........600 750
24    For a special event retailer's
25        license, (not-for-profit) ......25 25
26    For a special use permit license,

 

 

SB2435- 1371 -LRB102 04062 AMC 14078 b

1        one day only ...................100 150
2        2 days or more .................150 250
3    For a railroad license .............100 150
4    For a boat license .................500 1,000
5    For an airplane license, times the
6        licensee's maximum number of
7        aircraft in flight, serving
8        liquor over the State at any
9        given time, which either
10        originate, terminate, or make
11        an intermediate stop in
12        the State.......................100150
13    For a non-beverage user's license:
14        Class 1 ........................2424
15        Class 2 ........................6060
16        Class 3 ........................120120
17        Class 4 ........................240240
18        Class 5 ........................600600
19    For a broker's license .............750 1,000
20    For an auction liquor license ......100 150
21    For a homebrewer special
22        event permit....................2525
23    For a craft distiller
24        tasting permit..................25 25
25    For a BASSET trainer license........ 300 350
26    For a tasting representative

 

 

SB2435- 1372 -LRB102 04062 AMC 14078 b

1        license.........................200300
2    For a brewer warehouse permit....... 2525
3    For a craft distiller
4        warehouse permit...............25 25
5    Fees collected under this Section shall be paid into the
6Dram Shop Fund. On and after July 1, 2003 and until June 30,
72016, of the funds received for a retailer's license, in
8addition to the first $175, an additional $75 shall be paid
9into the Dram Shop Fund, and $250 shall be paid into the
10General Revenue Fund. On and after June 30, 2016, one-half of
11the funds received for a retailer's license shall be paid into
12the Dram Shop Fund and one-half of the funds received for a
13retailer's license shall be paid into the General Revenue
14Fund. Beginning June 30, 1990 and on June 30 of each subsequent
15year through June 29, 2003, any balance over $5,000,000
16remaining in the Dram Shop Fund shall be credited to State
17liquor licensees and applied against their fees for State
18liquor licenses for the following year. The amount credited to
19each licensee shall be a proportion of the balance in the Dram
20Fund that is the same as the proportion of the license fee paid
21by the licensee under this Section for the period in which the
22balance was accumulated to the aggregate fees paid by all
23licensees during that period.
24    No fee shall be paid for licenses issued by the State
25Commission to the following non-beverage users:
26        (a) Hospitals, sanitariums, or clinics when their use

 

 

SB2435- 1373 -LRB102 04062 AMC 14078 b

1    of alcoholic liquor is exclusively medicinal, mechanical
2    or scientific.
3        (b) Universities, colleges of learning or schools when
4    their use of alcoholic liquor is exclusively medicinal,
5    mechanical or scientific.
6        (c) Laboratories when their use is exclusively for the
7    purpose of scientific research.
8(Source: P.A. 100-201, eff. 8-18-17; 100-816, eff. 8-13-18;
9101-482, eff. 8-23-19; 101-615, eff. 12-20-19; revised
108-19-20.)
 
11    (235 ILCS 5/6-6)  (from Ch. 43, par. 123)
12    Sec. 6-6. Except as otherwise provided in this Act no
13manufacturer or distributor or importing distributor shall,
14directly or indirectly, sell, supply, furnish, give or pay
15for, or loan or lease, any furnishing, fixture or equipment on
16the premises of a place of business of another licensee
17authorized under this Act to sell alcoholic liquor at retail,
18either for consumption on or off the premises, nor shall he or
19she, directly or indirectly, pay for any such license, or
20advance, furnish, lend or give money for payment of such
21license, or purchase or become the owner of any note,
22mortgage, or other evidence of indebtedness of such licensee
23or any form of security therefor, nor shall such manufacturer,
24or distributor, or importing distributor, directly or
25indirectly, be interested in the ownership, conduct or

 

 

SB2435- 1374 -LRB102 04062 AMC 14078 b

1operation of the business of any licensee authorized to sell
2alcoholic liquor at retail, nor shall any manufacturer, or
3distributor, or importing distributor be interested directly
4or indirectly or as owner or part owner of said premises or as
5lessee or lessor thereof, in any premises upon which alcoholic
6liquor is sold at retail.
7    No manufacturer or distributor or importing distributor
8shall, directly or indirectly or through a subsidiary or
9affiliate, or by any officer, director or firm of such
10manufacturer, distributor or importing distributor, furnish,
11give, lend or rent, install, repair or maintain, to or for any
12retail licensee in this State, any signs or inside advertising
13materials except as provided in this Section and Section 6-5.
14With respect to retail licensees, other than any government
15owned or operated auditorium, exhibition hall, recreation
16facility or other similar facility holding a retailer's
17license as described in Section 6-5, a manufacturer,
18distributor, or importing distributor may furnish, give, lend
19or rent and erect, install, repair and maintain to or for any
20retail licensee, for use at any one time in or about or in
21connection with a retail establishment on which the products
22of the manufacturer, distributor or importing distributor are
23sold, the following signs and inside advertising materials as
24authorized in subparts (i), (ii), (iii), and (iv):
25        (i) Permanent outside signs shall cost not more than
26    $3,000 per brand, exclusive of erection, installation,

 

 

SB2435- 1375 -LRB102 04062 AMC 14078 b

1    repair and maintenance costs, and permit fees and shall
2    bear only the manufacturer's name, brand name, trade name,
3    slogans, markings, trademark, or other symbols commonly
4    associated with and generally used in identifying the
5    product including, but not limited to, "cold beer", "on
6    tap", "carry out", and "packaged liquor".
7        (ii) Temporary outside signs shall include, but not be
8    limited to, banners, flags, pennants, streamers, and other
9    items of a temporary and non-permanent nature, and shall
10    cost not more than $1,000 per manufacturer. Each temporary
11    outside sign must include the manufacturer's name, brand
12    name, trade name, slogans, markings, trademark, or other
13    symbol commonly associated with and generally used in
14    identifying the product. Temporary outside signs may also
15    include, for example, the product, price, packaging, date
16    or dates of a promotion and an announcement of a retail
17    licensee's specific sponsored event, if the temporary
18    outside sign is intended to promote a product, and
19    provided that the announcement of the retail licensee's
20    event and the product promotion are held simultaneously.
21    However, temporary outside signs may not include names,
22    slogans, markings, or logos that relate to the retailer.
23    Nothing in this subpart (ii) shall prohibit a distributor
24    or importing distributor from bearing the cost of creating
25    or printing a temporary outside sign for the retail
26    licensee's specific sponsored event or from bearing the

 

 

SB2435- 1376 -LRB102 04062 AMC 14078 b

1    cost of creating or printing a temporary sign for a retail
2    licensee containing, for example, community goodwill
3    expressions, regional sporting event announcements, or
4    seasonal messages, provided that the primary purpose of
5    the temporary outside sign is to highlight, promote, or
6    advertise the product. In addition, temporary outside
7    signs provided by the manufacturer to the distributor or
8    importing distributor may also include, for example,
9    subject to the limitations of this Section, preprinted
10    community goodwill expressions, sporting event
11    announcements, seasonal messages, and manufacturer
12    promotional announcements. However, a distributor or
13    importing distributor shall not bear the cost of such
14    manufacturer preprinted signs.
15        (iii) Permanent inside signs, whether visible from the
16    outside or the inside of the premises, include, but are
17    not limited to: alcohol lists and menus that may include
18    names, slogans, markings, or logos that relate to the
19    retailer; neons; illuminated signs; clocks; table lamps;
20    mirrors; tap handles; decalcomanias; window painting; and
21    window trim. All neons, illuminated signs, clocks, table
22    lamps, mirrors, and tap handles are the property of the
23    manufacturer and shall be returned to the manufacturer or
24    its agent upon request. All permanent inside signs in
25    place and in use at any one time shall cost in the
26    aggregate not more than $6,000 per manufacturer. A

 

 

SB2435- 1377 -LRB102 04062 AMC 14078 b

1    permanent inside sign must include the manufacturer's
2    name, brand name, trade name, slogans, markings,
3    trademark, or other symbol commonly associated with and
4    generally used in identifying the product. However,
5    permanent inside signs may not include names, slogans,
6    markings, or logos that relate to the retailer. For the
7    purpose of this subpart (iii), all permanent inside signs
8    may be displayed in an adjacent courtyard or patio
9    commonly referred to as a "beer garden" that is a part of
10    the retailer's licensed premises.
11        (iv) Temporary inside signs shall include, but are not
12    limited to, lighted chalk boards, acrylic table tent
13    beverage or hors d'oeuvre list holders, banners, flags,
14    pennants, streamers, and inside advertising materials such
15    as posters, placards, bowling sheets, table tents, inserts
16    for acrylic table tent beverage or hors d'oeuvre list
17    holders, sports schedules, or similar printed or
18    illustrated materials and product displays, such as
19    display racks, bins, barrels, or similar items, the
20    primary function of which is to temporarily hold and
21    display alcoholic beverages; however, such items, for
22    example, as coasters, trays, napkins, glassware, growlers,
23    crowlers, and cups shall not be deemed to be inside signs
24    or advertising materials and may only be sold to retailers
25    at fair market value, which shall be no less than the cost
26    of the item to the manufacturer, distributor, or importing

 

 

SB2435- 1378 -LRB102 04062 AMC 14078 b

1    distributor. All temporary inside signs and inside
2    advertising materials in place and in use at any one time
3    shall cost in the aggregate not more than $1,000 per
4    manufacturer. Nothing in this subpart (iv) prohibits a
5    distributor or importing distributor from paying the cost
6    of printing or creating any temporary inside banner or
7    inserts for acrylic table tent beverage or hors d'oeuvre
8    list holders for a retail licensee, provided that the
9    primary purpose for the banner or insert is to highlight,
10    promote, or advertise the product. For the purpose of this
11    subpart (iv), all temporary inside signs and inside
12    advertising materials may be displayed in an adjacent
13    courtyard or patio commonly referred to as a "beer garden"
14    that is a part of the retailer's licensed premises.
15    The restrictions contained in this Section 6-6 do not
16apply to signs, or promotional or advertising materials
17furnished by manufacturers, distributors or importing
18distributors to a government owned or operated facility
19holding a retailer's license as described in Section 6-5.
20    No distributor or importing distributor shall directly or
21indirectly or through a subsidiary or affiliate, or by any
22officer, director or firm of such manufacturer, distributor or
23importing distributor, furnish, give, lend or rent, install,
24repair or maintain, to or for any retail licensee in this
25State, any signs or inside advertising materials described in
26subparts (i), (ii), (iii), or (iv) of this Section except as

 

 

SB2435- 1379 -LRB102 04062 AMC 14078 b

1the agent for or on behalf of a manufacturer, provided that the
2total cost of any signs and inside advertising materials
3including but not limited to labor, erection, installation and
4permit fees shall be paid by the manufacturer whose product or
5products said signs and inside advertising materials advertise
6and except as follows:
7    A distributor or importing distributor may purchase from
8or enter into a written agreement with a manufacturer or a
9manufacturer's designated supplier and such manufacturer or
10the manufacturer's designated supplier may sell or enter into
11an agreement to sell to a distributor or importing distributor
12permitted signs and advertising materials described in
13subparts (ii), (iii), or (iv) of this Section for the purpose
14of furnishing, giving, lending, renting, installing,
15repairing, or maintaining such signs or advertising materials
16to or for any retail licensee in this State. Any purchase by a
17distributor or importing distributor from a manufacturer or a
18manufacturer's designated supplier shall be voluntary and the
19manufacturer may not require the distributor or the importing
20distributor to purchase signs or advertising materials from
21the manufacturer or the manufacturer's designated supplier.
22    A distributor or importing distributor shall be deemed the
23owner of such signs or advertising materials purchased from a
24manufacturer or a manufacturer's designated supplier.
25    The provisions of Public Act 90-373 concerning signs or
26advertising materials delivered by a manufacturer to a

 

 

SB2435- 1380 -LRB102 04062 AMC 14078 b

1distributor or importing distributor shall apply only to signs
2or advertising materials delivered on or after August 14,
31997.
4    A manufacturer, distributor, or importing distributor may
5furnish free social media advertising to a retail licensee if
6the social media advertisement does not contain the retail
7price of any alcoholic liquor and the social media
8advertisement complies with any applicable rules or
9regulations issued by the Alcohol and Tobacco Tax and Trade
10Bureau of the United States Department of the Treasury. A
11manufacturer, distributor, or importing distributor may list
12the names of one or more unaffiliated retailers in the
13advertisement of alcoholic liquor through social media.
14Nothing in this Section shall prohibit a retailer from
15communicating with a manufacturer, distributor, or importing
16distributor on social media or sharing media on the social
17media of a manufacturer, distributor, or importing
18distributor. A retailer may request free social media
19advertising from a manufacturer, distributor, or importing
20distributor. Nothing in this Section shall prohibit a
21manufacturer, distributor, or importing distributor from
22sharing, reposting, or otherwise forwarding a social media
23post by a retail licensee, so long as the sharing, reposting,
24or forwarding of the social media post does not contain the
25retail price of any alcoholic liquor. No manufacturer,
26distributor, or importing distributor shall pay or reimburse a

 

 

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1retailer, directly or indirectly, for any social media
2advertising services, except as specifically permitted in this
3Act. No retailer shall accept any payment or reimbursement,
4directly or indirectly, for any social media advertising
5services offered by a manufacturer, distributor, or importing
6distributor, except as specifically permitted in this Act. For
7the purposes of this Section, "social media" means a service,
8platform, or site where users communicate with one another and
9share media, such as pictures, videos, music, and blogs, with
10other users free of charge.
11    No person engaged in the business of manufacturing,
12importing or distributing alcoholic liquors shall, directly or
13indirectly, pay for, or advance, furnish, or lend money for
14the payment of any license for another. Any licensee who shall
15permit or assent, or be a party in any way to any violation or
16infringement of the provisions of this Section shall be deemed
17guilty of a violation of this Act, and any money loaned
18contrary to a provision of this Act shall not be recovered
19back, or any note, mortgage or other evidence of indebtedness,
20or security, or any lease or contract obtained or made
21contrary to this Act shall be unenforceable and void.
22    This Section shall not apply to airplane licensees
23exercising powers provided in paragraph (i) of Section 5-1 of
24this Act.
25(Source: P.A. 100-885, eff. 8-14-18; 101-16, eff. 6-14-19;
26101-517, eff. 8-23-19; revised 9-18-19.)
 

 

 

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1    (235 ILCS 5/6-6.5)
2    Sec. 6-6.5. Sanitation and use of growlers and crowlers.
3    (a) A manufacturer, distributor, or importing distributor
4may not provide for free, but may sell coil cleaning services
5and installation services, including labor costs, to a retail
6licensee at fair market cost.
7    A manufacturer, distributor, or importing distributor may
8not provide for free, but may sell dispensing accessories to
9retail licensees at a price not less than the cost to the
10manufacturer, distributor, or importing distributor who
11initially purchased them. Dispensing accessories include, but
12are not limited to, items such as standards, faucets, cold
13plates, rods, vents, taps, tap standards, hoses, washers,
14couplings, gas gauges, vent tongues, shanks, glycol draught
15systems, pumps, and check valves. A manufacturer, distributor,
16or importing distributor may service, balance, or inspect
17draft beer, wine, or distilled spirits systems at regular
18intervals and may provide labor to replace or install
19dispensing accessories.
20    Coil cleaning supplies consisting of detergents, cleaning
21chemicals, brushes, or similar type cleaning devices may be
22sold at a price not less than the cost to the manufacturer,
23distributor, or importing distributor.
24    (a-5) A manufacturer of beer licensed under subsection (e)
25of Section 6-4 or a brew pub may transfer any beer manufactured

 

 

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1or sold on its licensed premises to a growler or crowler and
2sell those growlers or crowlers to non-licensees for
3consumption off the premises. A manufacturer of beer under
4subsection (e) of Section 6-4 or a brew pub is not subject to
5subsection (b) of this Section.
6    (b) An on-premises retail licensee may transfer beer to a
7growler or crowler, which is not an original manufacturer
8container, but is a reusable rigid container that holds up to
9128 fluid ounces of beer and is designed to be sealed on
10premises by the licensee for off-premises consumption, if the
11following requirements are met:
12        (1) the beer is transferred within the licensed
13    premises by an employee of the licensed premises at the
14    time of sale;
15        (2) the person transferring the alcohol to be sold to
16    the end consumer is 21 years of age or older;
17        (3) the growler or crowler holds no more than 128
18    fluid ounces;
19        (4) the growler or crowler bears a twist-type closure,
20    cork, stopper, or plug and includes a one-time use
21    tamper-proof seal;
22        (5) the growler or crowler is affixed with a label or
23    tag that contains the following information:
24            (A) the brand name of the product dispensed;
25            (B) the name of the brewer or bottler;
26            (C) the type of product, such as beer, ale, lager,

 

 

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1        bock, stout, or other brewed or fermented beverage;
2            (D) the net contents;
3            (E) the name and address of the business that
4        cleaned, sanitized, labeled, and filled or refilled
5        the growler or crowler; and
6            (F) the date the growler or crowler was filled or
7        refilled;
8        (5.5) the growler or crowler has been purged with CO2
9    prior to sealing the container;
10        (6) the on-premises retail licensee complies with the
11    sanitation requirements under subsections (a) through (c)
12    of 11 Ill. Adm. Code 100.160 when sanitizing the
13    dispensing equipment used to draw beer to fill the growler
14    or crowler or refill the growler;
15        (7) before filling the growler or crowler or refilling
16    the growler, the on-premises retail licensee or licensee's
17    employee shall clean and sanitize the growler or crowler
18    in one of the following manners:
19            (A) By manual washing in a 3-compartment sink.
20                (i) Before sanitizing the growler or crowler,
21            the sinks and work area shall be cleaned to remove
22            any chemicals, oils, or grease from other cleaning
23            activities.
24                (ii) Any residual liquid from the growler
25            shall be emptied into a drain. A growler shall not
26            be emptied into the cleaning water.

 

 

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1                (iii) The growler and cap shall be cleaned in
2            water and detergent. The water temperature shall
3            be, at a minimum, 110 degrees Fahrenheit or the
4            temperature specified on the cleaning agent
5            manufacturer's label instructions. The detergent
6            shall not be fat-based or oil-based.
7                (iv) Any residues on the interior and exterior
8            of the growler shall be removed.
9                (v) The growler and cap shall be rinsed with
10            water in the middle compartment. Rinsing may be
11            from the spigot with a spray arm, from a spigot, or
12            from a tub as long as the water for rinsing is not
13            stagnant but is continually refreshed.
14                (vi) The growler shall be sanitized in the
15            third compartment. Chemical sanitizer shall be
16            used in accordance with the United States
17            Environmental Protection Agency-registered label
18            use instructions and shall meet the minimum water
19            temperature requirements of that chemical.
20                (vii) A test kit or other device that
21            accurately measures the concentration in
22            milligrams per liter of chemical sanitizing
23            solutions shall be provided and be readily
24            accessible for use.
25            (B) By using a mechanical washing and sanitizing
26        machine.

 

 

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1                (i) Mechanical washing and sanitizing machines
2            shall be provided with an easily accessible and
3            readable data plate affixed to the machine by the
4            manufacturer and shall be used according to the
5            machine's design and operation specifications.
6                (ii) Mechanical washing and sanitizing
7            machines shall be equipped with chemical or hot
8            water sanitization.
9                (iii) The concentration of the sanitizing
10            solution or the water temperature shall be
11            accurately determined by using a test kit or other
12            device.
13                (iv) The machine shall be regularly serviced
14            based upon the manufacturer's or installer's
15            guidelines.
16            (C) By transferring beer to a growler or crowler
17        with a tube.
18                (i) Beer may be transferred to a growler or
19            crowler from the bottom of the growler or crowler
20            to the top with a tube that is attached to the tap
21            and extends to the bottom of the growler or
22            crowler or with a commercial filling machine.
23                (ii) Food grade sanitizer shall be used in
24            accordance with the United States Environmental
25            Protection Agency-registered label use
26            instructions.

 

 

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1                (iii) A container of liquid food grade
2            sanitizer shall be maintained for no more than 10
3            malt beverage taps that will be used for filling
4            growlers or crowlers and refilling growlers.
5                (iv) Each container shall contain no less than
6            5 tubes that will be used only for filling
7            growlers or crowlers and refilling growlers.
8                (v) The growler or crowler must be inspected
9            visually for contamination.
10                (vi) After each transfer of beer to a growler
11            or crowler, the tube shall be immersed in the
12            container with the liquid food grade sanitizer.
13                (vii) A different tube from the container must
14            be used for each fill of a growler or crowler or
15            refill of a growler.
16    (c) Growlers and crowlers that comply with items (4) and
17(5) of subsection (b) shall not be deemed an unsealed
18container for purposes of Section 11-502 of the Illinois
19Vehicle Code.
20    (d) Growlers and crowlers, as described and authorized
21under this Section, are not original packages for the purposes
22of this Act. Upon a consumer taking possession of a growler or
23crowler from an on-premises retail licensee, the growler or
24crowler and its contents are deemed to be in the sole custody,
25control, and care of the consumer.
26(Source: P.A. 101-16, eff. 6-14-19; 101-517, eff. 8-23-19;

 

 

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1revised 9-18-19.)
 
2    Section 605. The Illinois Public Aid Code is amended by
3changing Sections 5-2, 5-5, 5-5.07, 5-5.2, 5-5.12, 5H-1, 5H-5,
45H-6, and 11-5.4, by setting forth and renumbering multiple
5versions of Sections 5-30.11 and 12-4.13c, and by setting
6forth, renumbering, and changing multiple versions of Section
75-36 as follows:
 
8    (305 ILCS 5/5-2)  (from Ch. 23, par. 5-2)
9    Sec. 5-2. Classes of persons eligible. Medical assistance
10under this Article shall be available to any of the following
11classes of persons in respect to whom a plan for coverage has
12been submitted to the Governor by the Illinois Department and
13approved by him. If changes made in this Section 5-2 require
14federal approval, they shall not take effect until such
15approval has been received:
16        1. Recipients of basic maintenance grants under
17    Articles III and IV.
18        2. Beginning January 1, 2014, persons otherwise
19    eligible for basic maintenance under Article III,
20    excluding any eligibility requirements that are
21    inconsistent with any federal law or federal regulation,
22    as interpreted by the U.S. Department of Health and Human
23    Services, but who fail to qualify thereunder on the basis
24    of need, and who have insufficient income and resources to

 

 

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1    meet the costs of necessary medical care, including, but
2    not limited to, the following:
3            (a) All persons otherwise eligible for basic
4        maintenance under Article III but who fail to qualify
5        under that Article on the basis of need and who meet
6        either of the following requirements:
7                (i) their income, as determined by the
8            Illinois Department in accordance with any federal
9            requirements, is equal to or less than 100% of the
10            federal poverty level; or
11                (ii) their income, after the deduction of
12            costs incurred for medical care and for other
13            types of remedial care, is equal to or less than
14            100% of the federal poverty level.
15            (b) (Blank).
16        3. (Blank).
17        4. Persons not eligible under any of the preceding
18    paragraphs who fall sick, are injured, or die, not having
19    sufficient money, property or other resources to meet the
20    costs of necessary medical care or funeral and burial
21    expenses.
22        5.(a) Beginning January 1, 2020, women during
23    pregnancy and during the 12-month period beginning on the
24    last day of the pregnancy, together with their infants,
25    whose income is at or below 200% of the federal poverty
26    level. Until September 30, 2019, or sooner if the

 

 

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1    maintenance of effort requirements under the Patient
2    Protection and Affordable Care Act are eliminated or may
3    be waived before then, women during pregnancy and during
4    the 12-month period beginning on the last day of the
5    pregnancy, whose countable monthly income, after the
6    deduction of costs incurred for medical care and for other
7    types of remedial care as specified in administrative
8    rule, is equal to or less than the Medical Assistance-No
9    Grant(C) (MANG(C)) Income Standard in effect on April 1,
10    2013 as set forth in administrative rule.
11        (b) The plan for coverage shall provide ambulatory
12    prenatal care to pregnant women during a presumptive
13    eligibility period and establish an income eligibility
14    standard that is equal to 200% of the federal poverty
15    level, provided that costs incurred for medical care are
16    not taken into account in determining such income
17    eligibility.
18        (c) The Illinois Department may conduct a
19    demonstration in at least one county that will provide
20    medical assistance to pregnant women, together with their
21    infants and children up to one year of age, where the
22    income eligibility standard is set up to 185% of the
23    nonfarm income official poverty line, as defined by the
24    federal Office of Management and Budget. The Illinois
25    Department shall seek and obtain necessary authorization
26    provided under federal law to implement such a

 

 

SB2435- 1391 -LRB102 04062 AMC 14078 b

1    demonstration. Such demonstration may establish resource
2    standards that are not more restrictive than those
3    established under Article IV of this Code.
4        6. (a) Children younger than age 19 when countable
5    income is at or below 133% of the federal poverty level.
6    Until September 30, 2019, or sooner if the maintenance of
7    effort requirements under the Patient Protection and
8    Affordable Care Act are eliminated or may be waived before
9    then, children younger than age 19 whose countable monthly
10    income, after the deduction of costs incurred for medical
11    care and for other types of remedial care as specified in
12    administrative rule, is equal to or less than the Medical
13    Assistance-No Grant(C) (MANG(C)) Income Standard in effect
14    on April 1, 2013 as set forth in administrative rule.
15        (b) Children and youth who are under temporary custody
16    or guardianship of the Department of Children and Family
17    Services or who receive financial assistance in support of
18    an adoption or guardianship placement from the Department
19    of Children and Family Services.
20        7. (Blank).
21        8. As required under federal law, persons who are
22    eligible for Transitional Medical Assistance as a result
23    of an increase in earnings or child or spousal support
24    received. The plan for coverage for this class of persons
25    shall:
26            (a) extend the medical assistance coverage to the

 

 

SB2435- 1392 -LRB102 04062 AMC 14078 b

1        extent required by federal law; and
2            (b) offer persons who have initially received 6
3        months of the coverage provided in paragraph (a)
4        above, the option of receiving an additional 6 months
5        of coverage, subject to the following:
6                (i) such coverage shall be pursuant to
7            provisions of the federal Social Security Act;
8                (ii) such coverage shall include all services
9            covered under Illinois' State Medicaid Plan;
10                (iii) no premium shall be charged for such
11            coverage; and
12                (iv) such coverage shall be suspended in the
13            event of a person's failure without good cause to
14            file in a timely fashion reports required for this
15            coverage under the Social Security Act and
16            coverage shall be reinstated upon the filing of
17            such reports if the person remains otherwise
18            eligible.
19        9. Persons with acquired immunodeficiency syndrome
20    (AIDS) or with AIDS-related conditions with respect to
21    whom there has been a determination that but for home or
22    community-based services such individuals would require
23    the level of care provided in an inpatient hospital,
24    skilled nursing facility or intermediate care facility the
25    cost of which is reimbursed under this Article. Assistance
26    shall be provided to such persons to the maximum extent

 

 

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1    permitted under Title XIX of the Federal Social Security
2    Act.
3        10. Participants in the long-term care insurance
4    partnership program established under the Illinois
5    Long-Term Care Partnership Program Act who meet the
6    qualifications for protection of resources described in
7    Section 15 of that Act.
8        11. Persons with disabilities who are employed and
9    eligible for Medicaid, pursuant to Section
10    1902(a)(10)(A)(ii)(xv) of the Social Security Act, and,
11    subject to federal approval, persons with a medically
12    improved disability who are employed and eligible for
13    Medicaid pursuant to Section 1902(a)(10)(A)(ii)(xvi) of
14    the Social Security Act, as provided by the Illinois
15    Department by rule. In establishing eligibility standards
16    under this paragraph 11, the Department shall, subject to
17    federal approval:
18            (a) set the income eligibility standard at not
19        lower than 350% of the federal poverty level;
20            (b) exempt retirement accounts that the person
21        cannot access without penalty before the age of 59
22        1/2, and medical savings accounts established pursuant
23        to 26 U.S.C. 220;
24            (c) allow non-exempt assets up to $25,000 as to
25        those assets accumulated during periods of eligibility
26        under this paragraph 11; and

 

 

SB2435- 1394 -LRB102 04062 AMC 14078 b

1            (d) continue to apply subparagraphs (b) and (c) in
2        determining the eligibility of the person under this
3        Article even if the person loses eligibility under
4        this paragraph 11.
5        12. Subject to federal approval, persons who are
6    eligible for medical assistance coverage under applicable
7    provisions of the federal Social Security Act and the
8    federal Breast and Cervical Cancer Prevention and
9    Treatment Act of 2000. Those eligible persons are defined
10    to include, but not be limited to, the following persons:
11            (1) persons who have been screened for breast or
12        cervical cancer under the U.S. Centers for Disease
13        Control and Prevention Breast and Cervical Cancer
14        Program established under Title XV of the federal
15        Public Health Service Services Act in accordance with
16        the requirements of Section 1504 of that Act as
17        administered by the Illinois Department of Public
18        Health; and
19            (2) persons whose screenings under the above
20        program were funded in whole or in part by funds
21        appropriated to the Illinois Department of Public
22        Health for breast or cervical cancer screening.
23        "Medical assistance" under this paragraph 12 shall be
24    identical to the benefits provided under the State's
25    approved plan under Title XIX of the Social Security Act.
26    The Department must request federal approval of the

 

 

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1    coverage under this paragraph 12 within 30 days after July
2    3, 2001 (the effective date of Public Act 92-47) this
3    amendatory Act of the 92nd General Assembly.
4        In addition to the persons who are eligible for
5    medical assistance pursuant to subparagraphs (1) and (2)
6    of this paragraph 12, and to be paid from funds
7    appropriated to the Department for its medical programs,
8    any uninsured person as defined by the Department in rules
9    residing in Illinois who is younger than 65 years of age,
10    who has been screened for breast and cervical cancer in
11    accordance with standards and procedures adopted by the
12    Department of Public Health for screening, and who is
13    referred to the Department by the Department of Public
14    Health as being in need of treatment for breast or
15    cervical cancer is eligible for medical assistance
16    benefits that are consistent with the benefits provided to
17    those persons described in subparagraphs (1) and (2).
18    Medical assistance coverage for the persons who are
19    eligible under the preceding sentence is not dependent on
20    federal approval, but federal moneys may be used to pay
21    for services provided under that coverage upon federal
22    approval.
23        13. Subject to appropriation and to federal approval,
24    persons living with HIV/AIDS who are not otherwise
25    eligible under this Article and who qualify for services
26    covered under Section 5-5.04 as provided by the Illinois

 

 

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1    Department by rule.
2        14. Subject to the availability of funds for this
3    purpose, the Department may provide coverage under this
4    Article to persons who reside in Illinois who are not
5    eligible under any of the preceding paragraphs and who
6    meet the income guidelines of paragraph 2(a) of this
7    Section and (i) have an application for asylum pending
8    before the federal Department of Homeland Security or on
9    appeal before a court of competent jurisdiction and are
10    represented either by counsel or by an advocate accredited
11    by the federal Department of Homeland Security and
12    employed by a not-for-profit organization in regard to
13    that application or appeal, or (ii) are receiving services
14    through a federally funded torture treatment center.
15    Medical coverage under this paragraph 14 may be provided
16    for up to 24 continuous months from the initial
17    eligibility date so long as an individual continues to
18    satisfy the criteria of this paragraph 14. If an
19    individual has an appeal pending regarding an application
20    for asylum before the Department of Homeland Security,
21    eligibility under this paragraph 14 may be extended until
22    a final decision is rendered on the appeal. The Department
23    may adopt rules governing the implementation of this
24    paragraph 14.
25        15. Family Care Eligibility.
26            (a) On and after July 1, 2012, a parent or other

 

 

SB2435- 1397 -LRB102 04062 AMC 14078 b

1        caretaker relative who is 19 years of age or older when
2        countable income is at or below 133% of the federal
3        poverty level. A person may not spend down to become
4        eligible under this paragraph 15.
5            (b) Eligibility shall be reviewed annually.
6            (c) (Blank).
7            (d) (Blank).
8            (e) (Blank).
9            (f) (Blank).
10            (g) (Blank).
11            (h) (Blank).
12            (i) Following termination of an individual's
13        coverage under this paragraph 15, the individual must
14        be determined eligible before the person can be
15        re-enrolled.
16        16. Subject to appropriation, uninsured persons who
17    are not otherwise eligible under this Section who have
18    been certified and referred by the Department of Public
19    Health as having been screened and found to need
20    diagnostic evaluation or treatment, or both diagnostic
21    evaluation and treatment, for prostate or testicular
22    cancer. For the purposes of this paragraph 16, uninsured
23    persons are those who do not have creditable coverage, as
24    defined under the Health Insurance Portability and
25    Accountability Act, or have otherwise exhausted any
26    insurance benefits they may have had, for prostate or

 

 

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1    testicular cancer diagnostic evaluation or treatment, or
2    both diagnostic evaluation and treatment. To be eligible,
3    a person must furnish a Social Security number. A person's
4    assets are exempt from consideration in determining
5    eligibility under this paragraph 16. Such persons shall be
6    eligible for medical assistance under this paragraph 16
7    for so long as they need treatment for the cancer. A person
8    shall be considered to need treatment if, in the opinion
9    of the person's treating physician, the person requires
10    therapy directed toward cure or palliation of prostate or
11    testicular cancer, including recurrent metastatic cancer
12    that is a known or presumed complication of prostate or
13    testicular cancer and complications resulting from the
14    treatment modalities themselves. Persons who require only
15    routine monitoring services are not considered to need
16    treatment. "Medical assistance" under this paragraph 16
17    shall be identical to the benefits provided under the
18    State's approved plan under Title XIX of the Social
19    Security Act. Notwithstanding any other provision of law,
20    the Department (i) does not have a claim against the
21    estate of a deceased recipient of services under this
22    paragraph 16 and (ii) does not have a lien against any
23    homestead property or other legal or equitable real
24    property interest owned by a recipient of services under
25    this paragraph 16.
26        17. Persons who, pursuant to a waiver approved by the

 

 

SB2435- 1399 -LRB102 04062 AMC 14078 b

1    Secretary of the U.S. Department of Health and Human
2    Services, are eligible for medical assistance under Title
3    XIX or XXI of the federal Social Security Act.
4    Notwithstanding any other provision of this Code and
5    consistent with the terms of the approved waiver, the
6    Illinois Department, may by rule:
7            (a) Limit the geographic areas in which the waiver
8        program operates.
9            (b) Determine the scope, quantity, duration, and
10        quality, and the rate and method of reimbursement, of
11        the medical services to be provided, which may differ
12        from those for other classes of persons eligible for
13        assistance under this Article.
14            (c) Restrict the persons' freedom in choice of
15        providers.
16        18. Beginning January 1, 2014, persons aged 19 or
17    older, but younger than 65, who are not otherwise eligible
18    for medical assistance under this Section 5-2, who qualify
19    for medical assistance pursuant to 42 U.S.C.
20    1396a(a)(10)(A)(i)(VIII) and applicable federal
21    regulations, and who have income at or below 133% of the
22    federal poverty level plus 5% for the applicable family
23    size as determined pursuant to 42 U.S.C. 1396a(e)(14) and
24    applicable federal regulations. Persons eligible for
25    medical assistance under this paragraph 18 shall receive
26    coverage for the Health Benefits Service Package as that

 

 

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1    term is defined in subsection (m) of Section 5-1.1 of this
2    Code. If Illinois' federal medical assistance percentage
3    (FMAP) is reduced below 90% for persons eligible for
4    medical assistance under this paragraph 18, eligibility
5    under this paragraph 18 shall cease no later than the end
6    of the third month following the month in which the
7    reduction in FMAP takes effect.
8        19. Beginning January 1, 2014, as required under 42
9    U.S.C. 1396a(a)(10)(A)(i)(IX), persons older than age 18
10    and younger than age 26 who are not otherwise eligible for
11    medical assistance under paragraphs (1) through (17) of
12    this Section who (i) were in foster care under the
13    responsibility of the State on the date of attaining age
14    18 or on the date of attaining age 21 when a court has
15    continued wardship for good cause as provided in Section
16    2-31 of the Juvenile Court Act of 1987 and (ii) received
17    medical assistance under the Illinois Title XIX State Plan
18    or waiver of such plan while in foster care.
19        20. Beginning January 1, 2018, persons who are
20    foreign-born victims of human trafficking, torture, or
21    other serious crimes as defined in Section 2-19 of this
22    Code and their derivative family members if such persons:
23    (i) reside in Illinois; (ii) are not eligible under any of
24    the preceding paragraphs; (iii) meet the income guidelines
25    of subparagraph (a) of paragraph 2; and (iv) meet the
26    nonfinancial eligibility requirements of Sections 16-2,

 

 

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1    16-3, and 16-5 of this Code. The Department may extend
2    medical assistance for persons who are foreign-born
3    victims of human trafficking, torture, or other serious
4    crimes whose medical assistance would be terminated
5    pursuant to subsection (b) of Section 16-5 if the
6    Department determines that the person, during the year of
7    initial eligibility (1) experienced a health crisis, (2)
8    has been unable, after reasonable attempts, to obtain
9    necessary information from a third party, or (3) has other
10    extenuating circumstances that prevented the person from
11    completing his or her application for status. The
12    Department may adopt any rules necessary to implement the
13    provisions of this paragraph.
14        21. Persons who are not otherwise eligible for medical
15    assistance under this Section who may qualify for medical
16    assistance pursuant to 42 U.S.C.
17    1396a(a)(10)(A)(ii)(XXIII) and 42 U.S.C. 1396(ss) for the
18    duration of any federal or State declared emergency due to
19    COVID-19. Medical assistance to persons eligible for
20    medical assistance solely pursuant to this paragraph 21
21    shall be limited to any in vitro diagnostic product (and
22    the administration of such product) described in 42 U.S.C.
23    1396d(a)(3)(B) on or after March 18, 2020, any visit
24    described in 42 U.S.C. 1396o(a)(2)(G), or any other
25    medical assistance that may be federally authorized for
26    this class of persons. The Department may also cover

 

 

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1    treatment of COVID-19 for this class of persons, or any
2    similar category of uninsured individuals, to the extent
3    authorized under a federally approved 1115 Waiver or other
4    federal authority. Notwithstanding the provisions of
5    Section 1-11 of this Code, due to the nature of the
6    COVID-19 public health emergency, the Department may cover
7    and provide the medical assistance described in this
8    paragraph 21 to noncitizens who would otherwise meet the
9    eligibility requirements for the class of persons
10    described in this paragraph 21 for the duration of the
11    State emergency period.
12    In implementing the provisions of Public Act 96-20, the
13Department is authorized to adopt only those rules necessary,
14including emergency rules. Nothing in Public Act 96-20 permits
15the Department to adopt rules or issue a decision that expands
16eligibility for the FamilyCare Program to a person whose
17income exceeds 185% of the Federal Poverty Level as determined
18from time to time by the U.S. Department of Health and Human
19Services, unless the Department is provided with express
20statutory authority.
21    The eligibility of any such person for medical assistance
22under this Article is not affected by the payment of any grant
23under the Senior Citizens and Persons with Disabilities
24Property Tax Relief Act or any distributions or items of
25income described under subparagraph (X) of paragraph (2) of
26subsection (a) of Section 203 of the Illinois Income Tax Act.

 

 

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1    The Department shall by rule establish the amounts of
2assets to be disregarded in determining eligibility for
3medical assistance, which shall at a minimum equal the amounts
4to be disregarded under the Federal Supplemental Security
5Income Program. The amount of assets of a single person to be
6disregarded shall not be less than $2,000, and the amount of
7assets of a married couple to be disregarded shall not be less
8than $3,000.
9    To the extent permitted under federal law, any person
10found guilty of a second violation of Article VIIIA shall be
11ineligible for medical assistance under this Article, as
12provided in Section 8A-8.
13    The eligibility of any person for medical assistance under
14this Article shall not be affected by the receipt by the person
15of donations or benefits from fundraisers held for the person
16in cases of serious illness, as long as neither the person nor
17members of the person's family have actual control over the
18donations or benefits or the disbursement of the donations or
19benefits.
20    Notwithstanding any other provision of this Code, if the
21United States Supreme Court holds Title II, Subtitle A,
22Section 2001(a) of Public Law 111-148 to be unconstitutional,
23or if a holding of Public Law 111-148 makes Medicaid
24eligibility allowed under Section 2001(a) inoperable, the
25State or a unit of local government shall be prohibited from
26enrolling individuals in the Medical Assistance Program as the

 

 

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1result of federal approval of a State Medicaid waiver on or
2after June 14, 2012 (the effective date of Public Act 97-687)
3this amendatory Act of the 97th General Assembly, and any
4individuals enrolled in the Medical Assistance Program
5pursuant to eligibility permitted as a result of such a State
6Medicaid waiver shall become immediately ineligible.
7    Notwithstanding any other provision of this Code, if an
8Act of Congress that becomes a Public Law eliminates Section
92001(a) of Public Law 111-148, the State or a unit of local
10government shall be prohibited from enrolling individuals in
11the Medical Assistance Program as the result of federal
12approval of a State Medicaid waiver on or after June 14, 2012
13(the effective date of Public Act 97-687) this amendatory Act
14of the 97th General Assembly, and any individuals enrolled in
15the Medical Assistance Program pursuant to eligibility
16permitted as a result of such a State Medicaid waiver shall
17become immediately ineligible.
18    Effective October 1, 2013, the determination of
19eligibility of persons who qualify under paragraphs 5, 6, 8,
2015, 17, and 18 of this Section shall comply with the
21requirements of 42 U.S.C. 1396a(e)(14) and applicable federal
22regulations.
23    The Department of Healthcare and Family Services, the
24Department of Human Services, and the Illinois health
25insurance marketplace shall work cooperatively to assist
26persons who would otherwise lose health benefits as a result

 

 

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1of changes made under Public Act 98-104 this amendatory Act of
2the 98th General Assembly to transition to other health
3insurance coverage.
4(Source: P.A. 101-10, eff. 6-5-19; 101-649, eff. 7-7-20;
5revised 8-24-20.)
 
6    (305 ILCS 5/5-5)  (from Ch. 23, par. 5-5)
7    Sec. 5-5. Medical services. The Illinois Department, by
8rule, shall determine the quantity and quality of and the rate
9of reimbursement for the medical assistance for which payment
10will be authorized, and the medical services to be provided,
11which may include all or part of the following: (1) inpatient
12hospital services; (2) outpatient hospital services; (3) other
13laboratory and X-ray services; (4) skilled nursing home
14services; (5) physicians' services whether furnished in the
15office, the patient's home, a hospital, a skilled nursing
16home, or elsewhere; (6) medical care, or any other type of
17remedial care furnished by licensed practitioners; (7) home
18health care services; (8) private duty nursing service; (9)
19clinic services; (10) dental services, including prevention
20and treatment of periodontal disease and dental caries disease
21for pregnant women, provided by an individual licensed to
22practice dentistry or dental surgery; for purposes of this
23item (10), "dental services" means diagnostic, preventive, or
24corrective procedures provided by or under the supervision of
25a dentist in the practice of his or her profession; (11)

 

 

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1physical therapy and related services; (12) prescribed drugs,
2dentures, and prosthetic devices; and eyeglasses prescribed by
3a physician skilled in the diseases of the eye, or by an
4optometrist, whichever the person may select; (13) other
5diagnostic, screening, preventive, and rehabilitative
6services, including to ensure that the individual's need for
7intervention or treatment of mental disorders or substance use
8disorders or co-occurring mental health and substance use
9disorders is determined using a uniform screening, assessment,
10and evaluation process inclusive of criteria, for children and
11adults; for purposes of this item (13), a uniform screening,
12assessment, and evaluation process refers to a process that
13includes an appropriate evaluation and, as warranted, a
14referral; "uniform" does not mean the use of a singular
15instrument, tool, or process that all must utilize; (14)
16transportation and such other expenses as may be necessary;
17(15) medical treatment of sexual assault survivors, as defined
18in Section 1a of the Sexual Assault Survivors Emergency
19Treatment Act, for injuries sustained as a result of the
20sexual assault, including examinations and laboratory tests to
21discover evidence which may be used in criminal proceedings
22arising from the sexual assault; (16) the diagnosis and
23treatment of sickle cell anemia; and (17) any other medical
24care, and any other type of remedial care recognized under the
25laws of this State. The term "any other type of remedial care"
26shall include nursing care and nursing home service for

 

 

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1persons who rely on treatment by spiritual means alone through
2prayer for healing.
3    Notwithstanding any other provision of this Section, a
4comprehensive tobacco use cessation program that includes
5purchasing prescription drugs or prescription medical devices
6approved by the Food and Drug Administration shall be covered
7under the medical assistance program under this Article for
8persons who are otherwise eligible for assistance under this
9Article.
10    Notwithstanding any other provision of this Code,
11reproductive health care that is otherwise legal in Illinois
12shall be covered under the medical assistance program for
13persons who are otherwise eligible for medical assistance
14under this Article.
15    Notwithstanding any other provision of this Code, the
16Illinois Department may not require, as a condition of payment
17for any laboratory test authorized under this Article, that a
18physician's handwritten signature appear on the laboratory
19test order form. The Illinois Department may, however, impose
20other appropriate requirements regarding laboratory test order
21documentation.
22    Upon receipt of federal approval of an amendment to the
23Illinois Title XIX State Plan for this purpose, the Department
24shall authorize the Chicago Public Schools (CPS) to procure a
25vendor or vendors to manufacture eyeglasses for individuals
26enrolled in a school within the CPS system. CPS shall ensure

 

 

SB2435- 1408 -LRB102 04062 AMC 14078 b

1that its vendor or vendors are enrolled as providers in the
2medical assistance program and in any capitated Medicaid
3managed care entity (MCE) serving individuals enrolled in a
4school within the CPS system. Under any contract procured
5under this provision, the vendor or vendors must serve only
6individuals enrolled in a school within the CPS system. Claims
7for services provided by CPS's vendor or vendors to recipients
8of benefits in the medical assistance program under this Code,
9the Children's Health Insurance Program, or the Covering ALL
10KIDS Health Insurance Program shall be submitted to the
11Department or the MCE in which the individual is enrolled for
12payment and shall be reimbursed at the Department's or the
13MCE's established rates or rate methodologies for eyeglasses.
14    On and after July 1, 2012, the Department of Healthcare
15and Family Services may provide the following services to
16persons eligible for assistance under this Article who are
17participating in education, training or employment programs
18operated by the Department of Human Services as successor to
19the Department of Public Aid:
20        (1) dental services provided by or under the
21    supervision of a dentist; and
22        (2) eyeglasses prescribed by a physician skilled in
23    the diseases of the eye, or by an optometrist, whichever
24    the person may select.
25    On and after July 1, 2018, the Department of Healthcare
26and Family Services shall provide dental services to any adult

 

 

SB2435- 1409 -LRB102 04062 AMC 14078 b

1who is otherwise eligible for assistance under the medical
2assistance program. As used in this paragraph, "dental
3services" means diagnostic, preventative, restorative, or
4corrective procedures, including procedures and services for
5the prevention and treatment of periodontal disease and dental
6caries disease, provided by an individual who is licensed to
7practice dentistry or dental surgery or who is under the
8supervision of a dentist in the practice of his or her
9profession.
10    On and after July 1, 2018, targeted dental services, as
11set forth in Exhibit D of the Consent Decree entered by the
12United States District Court for the Northern District of
13Illinois, Eastern Division, in the matter of Memisovski v.
14Maram, Case No. 92 C 1982, that are provided to adults under
15the medical assistance program shall be established at no less
16than the rates set forth in the "New Rate" column in Exhibit D
17of the Consent Decree for targeted dental services that are
18provided to persons under the age of 18 under the medical
19assistance program.
20    Notwithstanding any other provision of this Code and
21subject to federal approval, the Department may adopt rules to
22allow a dentist who is volunteering his or her service at no
23cost to render dental services through an enrolled
24not-for-profit health clinic without the dentist personally
25enrolling as a participating provider in the medical
26assistance program. A not-for-profit health clinic shall

 

 

SB2435- 1410 -LRB102 04062 AMC 14078 b

1include a public health clinic or Federally Qualified Health
2Center or other enrolled provider, as determined by the
3Department, through which dental services covered under this
4Section are performed. The Department shall establish a
5process for payment of claims for reimbursement for covered
6dental services rendered under this provision.
7    The Illinois Department, by rule, may distinguish and
8classify the medical services to be provided only in
9accordance with the classes of persons designated in Section
105-2.
11    The Department of Healthcare and Family Services must
12provide coverage and reimbursement for amino acid-based
13elemental formulas, regardless of delivery method, for the
14diagnosis and treatment of (i) eosinophilic disorders and (ii)
15short bowel syndrome when the prescribing physician has issued
16a written order stating that the amino acid-based elemental
17formula is medically necessary.
18    The Illinois Department shall authorize the provision of,
19and shall authorize payment for, screening by low-dose
20mammography for the presence of occult breast cancer for women
2135 years of age or older who are eligible for medical
22assistance under this Article, as follows:
23        (A) A baseline mammogram for women 35 to 39 years of
24    age.
25        (B) An annual mammogram for women 40 years of age or
26    older.

 

 

SB2435- 1411 -LRB102 04062 AMC 14078 b

1        (C) A mammogram at the age and intervals considered
2    medically necessary by the woman's health care provider
3    for women under 40 years of age and having a family history
4    of breast cancer, prior personal history of breast cancer,
5    positive genetic testing, or other risk factors.
6        (D) A comprehensive ultrasound screening and MRI of an
7    entire breast or breasts if a mammogram demonstrates
8    heterogeneous or dense breast tissue or when medically
9    necessary as determined by a physician licensed to
10    practice medicine in all of its branches.
11        (E) A screening MRI when medically necessary, as
12    determined by a physician licensed to practice medicine in
13    all of its branches.
14        (F) A diagnostic mammogram when medically necessary,
15    as determined by a physician licensed to practice medicine
16    in all its branches, advanced practice registered nurse,
17    or physician assistant.
18    The Department shall not impose a deductible, coinsurance,
19copayment, or any other cost-sharing requirement on the
20coverage provided under this paragraph; except that this
21sentence does not apply to coverage of diagnostic mammograms
22to the extent such coverage would disqualify a high-deductible
23health plan from eligibility for a health savings account
24pursuant to Section 223 of the Internal Revenue Code (26
25U.S.C. 223).
26    All screenings shall include a physical breast exam,

 

 

SB2435- 1412 -LRB102 04062 AMC 14078 b

1instruction on self-examination and information regarding the
2frequency of self-examination and its value as a preventative
3tool.
4     For purposes of this Section:
5    "Diagnostic mammogram" means a mammogram obtained using
6diagnostic mammography.
7    "Diagnostic mammography" means a method of screening that
8is designed to evaluate an abnormality in a breast, including
9an abnormality seen or suspected on a screening mammogram or a
10subjective or objective abnormality otherwise detected in the
11breast.
12    "Low-dose mammography" means the x-ray examination of the
13breast using equipment dedicated specifically for mammography,
14including the x-ray tube, filter, compression device, and
15image receptor, with an average radiation exposure delivery of
16less than one rad per breast for 2 views of an average size
17breast. The term also includes digital mammography and
18includes breast tomosynthesis.
19    "Breast tomosynthesis" means a radiologic procedure that
20involves the acquisition of projection images over the
21stationary breast to produce cross-sectional digital
22three-dimensional images of the breast.
23    If, at any time, the Secretary of the United States
24Department of Health and Human Services, or its successor
25agency, promulgates rules or regulations to be published in
26the Federal Register or publishes a comment in the Federal

 

 

SB2435- 1413 -LRB102 04062 AMC 14078 b

1Register or issues an opinion, guidance, or other action that
2would require the State, pursuant to any provision of the
3Patient Protection and Affordable Care Act (Public Law
4111-148), including, but not limited to, 42 U.S.C.
518031(d)(3)(B) or any successor provision, to defray the cost
6of any coverage for breast tomosynthesis outlined in this
7paragraph, then the requirement that an insurer cover breast
8tomosynthesis is inoperative other than any such coverage
9authorized under Section 1902 of the Social Security Act, 42
10U.S.C. 1396a, and the State shall not assume any obligation
11for the cost of coverage for breast tomosynthesis set forth in
12this paragraph.
13    On and after January 1, 2016, the Department shall ensure
14that all networks of care for adult clients of the Department
15include access to at least one breast imaging Center of
16Imaging Excellence as certified by the American College of
17Radiology.
18    On and after January 1, 2012, providers participating in a
19quality improvement program approved by the Department shall
20be reimbursed for screening and diagnostic mammography at the
21same rate as the Medicare program's rates, including the
22increased reimbursement for digital mammography.
23    The Department shall convene an expert panel including
24representatives of hospitals, free-standing mammography
25facilities, and doctors, including radiologists, to establish
26quality standards for mammography.

 

 

SB2435- 1414 -LRB102 04062 AMC 14078 b

1    On and after January 1, 2017, providers participating in a
2breast cancer treatment quality improvement program approved
3by the Department shall be reimbursed for breast cancer
4treatment at a rate that is no lower than 95% of the Medicare
5program's rates for the data elements included in the breast
6cancer treatment quality program.
7    The Department shall convene an expert panel, including
8representatives of hospitals, free-standing breast cancer
9treatment centers, breast cancer quality organizations, and
10doctors, including breast surgeons, reconstructive breast
11surgeons, oncologists, and primary care providers to establish
12quality standards for breast cancer treatment.
13    Subject to federal approval, the Department shall
14establish a rate methodology for mammography at federally
15qualified health centers and other encounter-rate clinics.
16These clinics or centers may also collaborate with other
17hospital-based mammography facilities. By January 1, 2016, the
18Department shall report to the General Assembly on the status
19of the provision set forth in this paragraph.
20    The Department shall establish a methodology to remind
21women who are age-appropriate for screening mammography, but
22who have not received a mammogram within the previous 18
23months, of the importance and benefit of screening
24mammography. The Department shall work with experts in breast
25cancer outreach and patient navigation to optimize these
26reminders and shall establish a methodology for evaluating

 

 

SB2435- 1415 -LRB102 04062 AMC 14078 b

1their effectiveness and modifying the methodology based on the
2evaluation.
3    The Department shall establish a performance goal for
4primary care providers with respect to their female patients
5over age 40 receiving an annual mammogram. This performance
6goal shall be used to provide additional reimbursement in the
7form of a quality performance bonus to primary care providers
8who meet that goal.
9    The Department shall devise a means of case-managing or
10patient navigation for beneficiaries diagnosed with breast
11cancer. This program shall initially operate as a pilot
12program in areas of the State with the highest incidence of
13mortality related to breast cancer. At least one pilot program
14site shall be in the metropolitan Chicago area and at least one
15site shall be outside the metropolitan Chicago area. On or
16after July 1, 2016, the pilot program shall be expanded to
17include one site in western Illinois, one site in southern
18Illinois, one site in central Illinois, and 4 sites within
19metropolitan Chicago. An evaluation of the pilot program shall
20be carried out measuring health outcomes and cost of care for
21those served by the pilot program compared to similarly
22situated patients who are not served by the pilot program.
23    The Department shall require all networks of care to
24develop a means either internally or by contract with experts
25in navigation and community outreach to navigate cancer
26patients to comprehensive care in a timely fashion. The

 

 

SB2435- 1416 -LRB102 04062 AMC 14078 b

1Department shall require all networks of care to include
2access for patients diagnosed with cancer to at least one
3academic commission on cancer-accredited cancer program as an
4in-network covered benefit.
5    Any medical or health care provider shall immediately
6recommend, to any pregnant woman who is being provided
7prenatal services and is suspected of having a substance use
8disorder as defined in the Substance Use Disorder Act,
9referral to a local substance use disorder treatment program
10licensed by the Department of Human Services or to a licensed
11hospital which provides substance abuse treatment services.
12The Department of Healthcare and Family Services shall assure
13coverage for the cost of treatment of the drug abuse or
14addiction for pregnant recipients in accordance with the
15Illinois Medicaid Program in conjunction with the Department
16of Human Services.
17    All medical providers providing medical assistance to
18pregnant women under this Code shall receive information from
19the Department on the availability of services under any
20program providing case management services for addicted women,
21including information on appropriate referrals for other
22social services that may be needed by addicted women in
23addition to treatment for addiction.
24    The Illinois Department, in cooperation with the
25Departments of Human Services (as successor to the Department
26of Alcoholism and Substance Abuse) and Public Health, through

 

 

SB2435- 1417 -LRB102 04062 AMC 14078 b

1a public awareness campaign, may provide information
2concerning treatment for alcoholism and drug abuse and
3addiction, prenatal health care, and other pertinent programs
4directed at reducing the number of drug-affected infants born
5to recipients of medical assistance.
6    Neither the Department of Healthcare and Family Services
7nor the Department of Human Services shall sanction the
8recipient solely on the basis of her substance abuse.
9    The Illinois Department shall establish such regulations
10governing the dispensing of health services under this Article
11as it shall deem appropriate. The Department should seek the
12advice of formal professional advisory committees appointed by
13the Director of the Illinois Department for the purpose of
14providing regular advice on policy and administrative matters,
15information dissemination and educational activities for
16medical and health care providers, and consistency in
17procedures to the Illinois Department.
18    The Illinois Department may develop and contract with
19Partnerships of medical providers to arrange medical services
20for persons eligible under Section 5-2 of this Code.
21Implementation of this Section may be by demonstration
22projects in certain geographic areas. The Partnership shall be
23represented by a sponsor organization. The Department, by
24rule, shall develop qualifications for sponsors of
25Partnerships. Nothing in this Section shall be construed to
26require that the sponsor organization be a medical

 

 

SB2435- 1418 -LRB102 04062 AMC 14078 b

1organization.
2    The sponsor must negotiate formal written contracts with
3medical providers for physician services, inpatient and
4outpatient hospital care, home health services, treatment for
5alcoholism and substance abuse, and other services determined
6necessary by the Illinois Department by rule for delivery by
7Partnerships. Physician services must include prenatal and
8obstetrical care. The Illinois Department shall reimburse
9medical services delivered by Partnership providers to clients
10in target areas according to provisions of this Article and
11the Illinois Health Finance Reform Act, except that:
12        (1) Physicians participating in a Partnership and
13    providing certain services, which shall be determined by
14    the Illinois Department, to persons in areas covered by
15    the Partnership may receive an additional surcharge for
16    such services.
17        (2) The Department may elect to consider and negotiate
18    financial incentives to encourage the development of
19    Partnerships and the efficient delivery of medical care.
20        (3) Persons receiving medical services through
21    Partnerships may receive medical and case management
22    services above the level usually offered through the
23    medical assistance program.
24    Medical providers shall be required to meet certain
25qualifications to participate in Partnerships to ensure the
26delivery of high quality medical services. These

 

 

SB2435- 1419 -LRB102 04062 AMC 14078 b

1qualifications shall be determined by rule of the Illinois
2Department and may be higher than qualifications for
3participation in the medical assistance program. Partnership
4sponsors may prescribe reasonable additional qualifications
5for participation by medical providers, only with the prior
6written approval of the Illinois Department.
7    Nothing in this Section shall limit the free choice of
8practitioners, hospitals, and other providers of medical
9services by clients. In order to ensure patient freedom of
10choice, the Illinois Department shall immediately promulgate
11all rules and take all other necessary actions so that
12provided services may be accessed from therapeutically
13certified optometrists to the full extent of the Illinois
14Optometric Practice Act of 1987 without discriminating between
15service providers.
16    The Department shall apply for a waiver from the United
17States Health Care Financing Administration to allow for the
18implementation of Partnerships under this Section.
19    The Illinois Department shall require health care
20providers to maintain records that document the medical care
21and services provided to recipients of Medical Assistance
22under this Article. Such records must be retained for a period
23of not less than 6 years from the date of service or as
24provided by applicable State law, whichever period is longer,
25except that if an audit is initiated within the required
26retention period then the records must be retained until the

 

 

SB2435- 1420 -LRB102 04062 AMC 14078 b

1audit is completed and every exception is resolved. The
2Illinois Department shall require health care providers to
3make available, when authorized by the patient, in writing,
4the medical records in a timely fashion to other health care
5providers who are treating or serving persons eligible for
6Medical Assistance under this Article. All dispensers of
7medical services shall be required to maintain and retain
8business and professional records sufficient to fully and
9accurately document the nature, scope, details and receipt of
10the health care provided to persons eligible for medical
11assistance under this Code, in accordance with regulations
12promulgated by the Illinois Department. The rules and
13regulations shall require that proof of the receipt of
14prescription drugs, dentures, prosthetic devices and
15eyeglasses by eligible persons under this Section accompany
16each claim for reimbursement submitted by the dispenser of
17such medical services. No such claims for reimbursement shall
18be approved for payment by the Illinois Department without
19such proof of receipt, unless the Illinois Department shall
20have put into effect and shall be operating a system of
21post-payment audit and review which shall, on a sampling
22basis, be deemed adequate by the Illinois Department to assure
23that such drugs, dentures, prosthetic devices and eyeglasses
24for which payment is being made are actually being received by
25eligible recipients. Within 90 days after September 16, 1984
26(the effective date of Public Act 83-1439), the Illinois

 

 

SB2435- 1421 -LRB102 04062 AMC 14078 b

1Department shall establish a current list of acquisition costs
2for all prosthetic devices and any other items recognized as
3medical equipment and supplies reimbursable under this Article
4and shall update such list on a quarterly basis, except that
5the acquisition costs of all prescription drugs shall be
6updated no less frequently than every 30 days as required by
7Section 5-5.12.
8    Notwithstanding any other law to the contrary, the
9Illinois Department shall, within 365 days after July 22, 2013
10(the effective date of Public Act 98-104), establish
11procedures to permit skilled care facilities licensed under
12the Nursing Home Care Act to submit monthly billing claims for
13reimbursement purposes. Following development of these
14procedures, the Department shall, by July 1, 2016, test the
15viability of the new system and implement any necessary
16operational or structural changes to its information
17technology platforms in order to allow for the direct
18acceptance and payment of nursing home claims.
19    Notwithstanding any other law to the contrary, the
20Illinois Department shall, within 365 days after August 15,
212014 (the effective date of Public Act 98-963), establish
22procedures to permit ID/DD facilities licensed under the ID/DD
23Community Care Act and MC/DD facilities licensed under the
24MC/DD Act to submit monthly billing claims for reimbursement
25purposes. Following development of these procedures, the
26Department shall have an additional 365 days to test the

 

 

SB2435- 1422 -LRB102 04062 AMC 14078 b

1viability of the new system and to ensure that any necessary
2operational or structural changes to its information
3technology platforms are implemented.
4    The Illinois Department shall require all dispensers of
5medical services, other than an individual practitioner or
6group of practitioners, desiring to participate in the Medical
7Assistance program established under this Article to disclose
8all financial, beneficial, ownership, equity, surety or other
9interests in any and all firms, corporations, partnerships,
10associations, business enterprises, joint ventures, agencies,
11institutions or other legal entities providing any form of
12health care services in this State under this Article.
13    The Illinois Department may require that all dispensers of
14medical services desiring to participate in the medical
15assistance program established under this Article disclose,
16under such terms and conditions as the Illinois Department may
17by rule establish, all inquiries from clients and attorneys
18regarding medical bills paid by the Illinois Department, which
19inquiries could indicate potential existence of claims or
20liens for the Illinois Department.
21    Enrollment of a vendor shall be subject to a provisional
22period and shall be conditional for one year. During the
23period of conditional enrollment, the Department may terminate
24the vendor's eligibility to participate in, or may disenroll
25the vendor from, the medical assistance program without cause.
26Unless otherwise specified, such termination of eligibility or

 

 

SB2435- 1423 -LRB102 04062 AMC 14078 b

1disenrollment is not subject to the Department's hearing
2process. However, a disenrolled vendor may reapply without
3penalty.
4    The Department has the discretion to limit the conditional
5enrollment period for vendors based upon category of risk of
6the vendor.
7    Prior to enrollment and during the conditional enrollment
8period in the medical assistance program, all vendors shall be
9subject to enhanced oversight, screening, and review based on
10the risk of fraud, waste, and abuse that is posed by the
11category of risk of the vendor. The Illinois Department shall
12establish the procedures for oversight, screening, and review,
13which may include, but need not be limited to: criminal and
14financial background checks; fingerprinting; license,
15certification, and authorization verifications; unscheduled or
16unannounced site visits; database checks; prepayment audit
17reviews; audits; payment caps; payment suspensions; and other
18screening as required by federal or State law.
19    The Department shall define or specify the following: (i)
20by provider notice, the "category of risk of the vendor" for
21each type of vendor, which shall take into account the level of
22screening applicable to a particular category of vendor under
23federal law and regulations; (ii) by rule or provider notice,
24the maximum length of the conditional enrollment period for
25each category of risk of the vendor; and (iii) by rule, the
26hearing rights, if any, afforded to a vendor in each category

 

 

SB2435- 1424 -LRB102 04062 AMC 14078 b

1of risk of the vendor that is terminated or disenrolled during
2the conditional enrollment period.
3    To be eligible for payment consideration, a vendor's
4payment claim or bill, either as an initial claim or as a
5resubmitted claim following prior rejection, must be received
6by the Illinois Department, or its fiscal intermediary, no
7later than 180 days after the latest date on the claim on which
8medical goods or services were provided, with the following
9exceptions:
10        (1) In the case of a provider whose enrollment is in
11    process by the Illinois Department, the 180-day period
12    shall not begin until the date on the written notice from
13    the Illinois Department that the provider enrollment is
14    complete.
15        (2) In the case of errors attributable to the Illinois
16    Department or any of its claims processing intermediaries
17    which result in an inability to receive, process, or
18    adjudicate a claim, the 180-day period shall not begin
19    until the provider has been notified of the error.
20        (3) In the case of a provider for whom the Illinois
21    Department initiates the monthly billing process.
22        (4) In the case of a provider operated by a unit of
23    local government with a population exceeding 3,000,000
24    when local government funds finance federal participation
25    for claims payments.
26    For claims for services rendered during a period for which

 

 

SB2435- 1425 -LRB102 04062 AMC 14078 b

1a recipient received retroactive eligibility, claims must be
2filed within 180 days after the Department determines the
3applicant is eligible. For claims for which the Illinois
4Department is not the primary payer, claims must be submitted
5to the Illinois Department within 180 days after the final
6adjudication by the primary payer.
7    In the case of long term care facilities, within 45
8calendar days of receipt by the facility of required
9prescreening information, new admissions with associated
10admission documents shall be submitted through the Medical
11Electronic Data Interchange (MEDI) or the Recipient
12Eligibility Verification (REV) System or shall be submitted
13directly to the Department of Human Services using required
14admission forms. Effective September 1, 2014, admission
15documents, including all prescreening information, must be
16submitted through MEDI or REV. Confirmation numbers assigned
17to an accepted transaction shall be retained by a facility to
18verify timely submittal. Once an admission transaction has
19been completed, all resubmitted claims following prior
20rejection are subject to receipt no later than 180 days after
21the admission transaction has been completed.
22    Claims that are not submitted and received in compliance
23with the foregoing requirements shall not be eligible for
24payment under the medical assistance program, and the State
25shall have no liability for payment of those claims.
26    To the extent consistent with applicable information and

 

 

SB2435- 1426 -LRB102 04062 AMC 14078 b

1privacy, security, and disclosure laws, State and federal
2agencies and departments shall provide the Illinois Department
3access to confidential and other information and data
4necessary to perform eligibility and payment verifications and
5other Illinois Department functions. This includes, but is not
6limited to: information pertaining to licensure;
7certification; earnings; immigration status; citizenship; wage
8reporting; unearned and earned income; pension income;
9employment; supplemental security income; social security
10numbers; National Provider Identifier (NPI) numbers; the
11National Practitioner Data Bank (NPDB); program and agency
12exclusions; taxpayer identification numbers; tax delinquency;
13corporate information; and death records.
14    The Illinois Department shall enter into agreements with
15State agencies and departments, and is authorized to enter
16into agreements with federal agencies and departments, under
17which such agencies and departments shall share data necessary
18for medical assistance program integrity functions and
19oversight. The Illinois Department shall develop, in
20cooperation with other State departments and agencies, and in
21compliance with applicable federal laws and regulations,
22appropriate and effective methods to share such data. At a
23minimum, and to the extent necessary to provide data sharing,
24the Illinois Department shall enter into agreements with State
25agencies and departments, and is authorized to enter into
26agreements with federal agencies and departments, including,

 

 

SB2435- 1427 -LRB102 04062 AMC 14078 b

1but not limited to: the Secretary of State; the Department of
2Revenue; the Department of Public Health; the Department of
3Human Services; and the Department of Financial and
4Professional Regulation.
5    Beginning in fiscal year 2013, the Illinois Department
6shall set forth a request for information to identify the
7benefits of a pre-payment, post-adjudication, and post-edit
8claims system with the goals of streamlining claims processing
9and provider reimbursement, reducing the number of pending or
10rejected claims, and helping to ensure a more transparent
11adjudication process through the utilization of: (i) provider
12data verification and provider screening technology; and (ii)
13clinical code editing; and (iii) pre-pay, pre- or
14post-adjudicated predictive modeling with an integrated case
15management system with link analysis. Such a request for
16information shall not be considered as a request for proposal
17or as an obligation on the part of the Illinois Department to
18take any action or acquire any products or services.
19    The Illinois Department shall establish policies,
20procedures, standards and criteria by rule for the
21acquisition, repair and replacement of orthotic and prosthetic
22devices and durable medical equipment. Such rules shall
23provide, but not be limited to, the following services: (1)
24immediate repair or replacement of such devices by recipients;
25and (2) rental, lease, purchase or lease-purchase of durable
26medical equipment in a cost-effective manner, taking into

 

 

SB2435- 1428 -LRB102 04062 AMC 14078 b

1consideration the recipient's medical prognosis, the extent of
2the recipient's needs, and the requirements and costs for
3maintaining such equipment. Subject to prior approval, such
4rules shall enable a recipient to temporarily acquire and use
5alternative or substitute devices or equipment pending repairs
6or replacements of any device or equipment previously
7authorized for such recipient by the Department.
8Notwithstanding any provision of Section 5-5f to the contrary,
9the Department may, by rule, exempt certain replacement
10wheelchair parts from prior approval and, for wheelchairs,
11wheelchair parts, wheelchair accessories, and related seating
12and positioning items, determine the wholesale price by
13methods other than actual acquisition costs.
14    The Department shall require, by rule, all providers of
15durable medical equipment to be accredited by an accreditation
16organization approved by the federal Centers for Medicare and
17Medicaid Services and recognized by the Department in order to
18bill the Department for providing durable medical equipment to
19recipients. No later than 15 months after the effective date
20of the rule adopted pursuant to this paragraph, all providers
21must meet the accreditation requirement.
22    In order to promote environmental responsibility, meet the
23needs of recipients and enrollees, and achieve significant
24cost savings, the Department, or a managed care organization
25under contract with the Department, may provide recipients or
26managed care enrollees who have a prescription or Certificate

 

 

SB2435- 1429 -LRB102 04062 AMC 14078 b

1of Medical Necessity access to refurbished durable medical
2equipment under this Section (excluding prosthetic and
3orthotic devices as defined in the Orthotics, Prosthetics, and
4Pedorthics Practice Act and complex rehabilitation technology
5products and associated services) through the State's
6assistive technology program's reutilization program, using
7staff with the Assistive Technology Professional (ATP)
8Certification if the refurbished durable medical equipment:
9(i) is available; (ii) is less expensive, including shipping
10costs, than new durable medical equipment of the same type;
11(iii) is able to withstand at least 3 years of use; (iv) is
12cleaned, disinfected, sterilized, and safe in accordance with
13federal Food and Drug Administration regulations and guidance
14governing the reprocessing of medical devices in health care
15settings; and (v) equally meets the needs of the recipient or
16enrollee. The reutilization program shall confirm that the
17recipient or enrollee is not already in receipt of same or
18similar equipment from another service provider, and that the
19refurbished durable medical equipment equally meets the needs
20of the recipient or enrollee. Nothing in this paragraph shall
21be construed to limit recipient or enrollee choice to obtain
22new durable medical equipment or place any additional prior
23authorization conditions on enrollees of managed care
24organizations.
25    The Department shall execute, relative to the nursing home
26prescreening project, written inter-agency agreements with the

 

 

SB2435- 1430 -LRB102 04062 AMC 14078 b

1Department of Human Services and the Department on Aging, to
2effect the following: (i) intake procedures and common
3eligibility criteria for those persons who are receiving
4non-institutional services; and (ii) the establishment and
5development of non-institutional services in areas of the
6State where they are not currently available or are
7undeveloped; and (iii) notwithstanding any other provision of
8law, subject to federal approval, on and after July 1, 2012, an
9increase in the determination of need (DON) scores from 29 to
1037 for applicants for institutional and home and
11community-based long term care; if and only if federal
12approval is not granted, the Department may, in conjunction
13with other affected agencies, implement utilization controls
14or changes in benefit packages to effectuate a similar savings
15amount for this population; and (iv) no later than July 1,
162013, minimum level of care eligibility criteria for
17institutional and home and community-based long term care; and
18(v) no later than October 1, 2013, establish procedures to
19permit long term care providers access to eligibility scores
20for individuals with an admission date who are seeking or
21receiving services from the long term care provider. In order
22to select the minimum level of care eligibility criteria, the
23Governor shall establish a workgroup that includes affected
24agency representatives and stakeholders representing the
25institutional and home and community-based long term care
26interests. This Section shall not restrict the Department from

 

 

SB2435- 1431 -LRB102 04062 AMC 14078 b

1implementing lower level of care eligibility criteria for
2community-based services in circumstances where federal
3approval has been granted.
4    The Illinois Department shall develop and operate, in
5cooperation with other State Departments and agencies and in
6compliance with applicable federal laws and regulations,
7appropriate and effective systems of health care evaluation
8and programs for monitoring of utilization of health care
9services and facilities, as it affects persons eligible for
10medical assistance under this Code.
11    The Illinois Department shall report annually to the
12General Assembly, no later than the second Friday in April of
131979 and each year thereafter, in regard to:
14        (a) actual statistics and trends in utilization of
15    medical services by public aid recipients;
16        (b) actual statistics and trends in the provision of
17    the various medical services by medical vendors;
18        (c) current rate structures and proposed changes in
19    those rate structures for the various medical vendors; and
20        (d) efforts at utilization review and control by the
21    Illinois Department.
22    The period covered by each report shall be the 3 years
23ending on the June 30 prior to the report. The report shall
24include suggested legislation for consideration by the General
25Assembly. The requirement for reporting to the General
26Assembly shall be satisfied by filing copies of the report as

 

 

SB2435- 1432 -LRB102 04062 AMC 14078 b

1required by Section 3.1 of the General Assembly Organization
2Act, and filing such additional copies with the State
3Government Report Distribution Center for the General Assembly
4as is required under paragraph (t) of Section 7 of the State
5Library Act.
6    Rulemaking authority to implement Public Act 95-1045, if
7any, is conditioned on the rules being adopted in accordance
8with all provisions of the Illinois Administrative Procedure
9Act and all rules and procedures of the Joint Committee on
10Administrative Rules; any purported rule not so adopted, for
11whatever reason, is unauthorized.
12    On and after July 1, 2012, the Department shall reduce any
13rate of reimbursement for services or other payments or alter
14any methodologies authorized by this Code to reduce any rate
15of reimbursement for services or other payments in accordance
16with Section 5-5e.
17    Because kidney transplantation can be an appropriate,
18cost-effective alternative to renal dialysis when medically
19necessary and notwithstanding the provisions of Section 1-11
20of this Code, beginning October 1, 2014, the Department shall
21cover kidney transplantation for noncitizens with end-stage
22renal disease who are not eligible for comprehensive medical
23benefits, who meet the residency requirements of Section 5-3
24of this Code, and who would otherwise meet the financial
25requirements of the appropriate class of eligible persons
26under Section 5-2 of this Code. To qualify for coverage of

 

 

SB2435- 1433 -LRB102 04062 AMC 14078 b

1kidney transplantation, such person must be receiving
2emergency renal dialysis services covered by the Department.
3Providers under this Section shall be prior approved and
4certified by the Department to perform kidney transplantation
5and the services under this Section shall be limited to
6services associated with kidney transplantation.
7    Notwithstanding any other provision of this Code to the
8contrary, on or after July 1, 2015, all FDA approved forms of
9medication assisted treatment prescribed for the treatment of
10alcohol dependence or treatment of opioid dependence shall be
11covered under both fee for service and managed care medical
12assistance programs for persons who are otherwise eligible for
13medical assistance under this Article and shall not be subject
14to any (1) utilization control, other than those established
15under the American Society of Addiction Medicine patient
16placement criteria, (2) prior authorization mandate, or (3)
17lifetime restriction limit mandate.
18    On or after July 1, 2015, opioid antagonists prescribed
19for the treatment of an opioid overdose, including the
20medication product, administration devices, and any pharmacy
21fees related to the dispensing and administration of the
22opioid antagonist, shall be covered under the medical
23assistance program for persons who are otherwise eligible for
24medical assistance under this Article. As used in this
25Section, "opioid antagonist" means a drug that binds to opioid
26receptors and blocks or inhibits the effect of opioids acting

 

 

SB2435- 1434 -LRB102 04062 AMC 14078 b

1on those receptors, including, but not limited to, naloxone
2hydrochloride or any other similarly acting drug approved by
3the U.S. Food and Drug Administration.
4    Upon federal approval, the Department shall provide
5coverage and reimbursement for all drugs that are approved for
6marketing by the federal Food and Drug Administration and that
7are recommended by the federal Public Health Service or the
8United States Centers for Disease Control and Prevention for
9pre-exposure prophylaxis and related pre-exposure prophylaxis
10services, including, but not limited to, HIV and sexually
11transmitted infection screening, treatment for sexually
12transmitted infections, medical monitoring, assorted labs, and
13counseling to reduce the likelihood of HIV infection among
14individuals who are not infected with HIV but who are at high
15risk of HIV infection.
16    A federally qualified health center, as defined in Section
171905(l)(2)(B) of the federal Social Security Act, shall be
18reimbursed by the Department in accordance with the federally
19qualified health center's encounter rate for services provided
20to medical assistance recipients that are performed by a
21dental hygienist, as defined under the Illinois Dental
22Practice Act, working under the general supervision of a
23dentist and employed by a federally qualified health center.
24(Source: P.A. 100-201, eff. 8-18-17; 100-395, eff. 1-1-18;
25100-449, eff. 1-1-18; 100-538, eff. 1-1-18; 100-587, eff.
266-4-18; 100-759, eff. 1-1-19; 100-863, eff. 8-14-18; 100-974,

 

 

SB2435- 1435 -LRB102 04062 AMC 14078 b

1eff. 8-19-18; 100-1009, eff. 1-1-19; 100-1018, eff. 1-1-19;
2100-1148, eff. 12-10-18; 101-209, eff. 8-5-19; 101-580, eff.
31-1-20; revised 9-18-19.)
 
4    (305 ILCS 5/5-5.07)
5    Sec. 5-5.07. Inpatient psychiatric stay; DCFS per diem
6rate. The Department of Children and Family Services shall pay
7the DCFS per diem rate for inpatient psychiatric stay at a
8free-standing psychiatric hospital effective the 11th day when
9a child is in the hospital beyond medical necessity, and the
10parent or caregiver has denied the child access to the home and
11has refused or failed to make provisions for another living
12arrangement for the child or the child's discharge is being
13delayed due to a pending inquiry or investigation by the
14Department of Children and Family Services. If any portion of
15a hospital stay is reimbursed under this Section, the hospital
16stay shall not be eligible for payment under the provisions of
17Section 14-13 of this Code. This Section is inoperative on and
18after July 1, 2020 2019.
19(Source: P.A. 100-646, eff. 7-27-18; reenacted by P.A. 101-15,
20eff. 6-14-19; reenacted by P.A. 101-209, eff. 8-5-19; revised
219-24-19.)
 
22    (305 ILCS 5/5-5.2)  (from Ch. 23, par. 5-5.2)
23    Sec. 5-5.2. Payment.
24    (a) All nursing facilities that are grouped pursuant to

 

 

SB2435- 1436 -LRB102 04062 AMC 14078 b

1Section 5-5.1 of this Act shall receive the same rate of
2payment for similar services.
3    (b) It shall be a matter of State policy that the Illinois
4Department shall utilize a uniform billing cycle throughout
5the State for the long-term care providers.
6    (c) Notwithstanding any other provisions of this Code, the
7methodologies for reimbursement of nursing services as
8provided under this Article shall no longer be applicable for
9bills payable for nursing services rendered on or after a new
10reimbursement system based on the Resource Utilization Groups
11(RUGs) has been fully operationalized, which shall take effect
12for services provided on or after January 1, 2014.
13    (d) The new nursing services reimbursement methodology
14utilizing RUG-IV 48 grouper model, which shall be referred to
15as the RUGs reimbursement system, taking effect January 1,
162014, shall be based on the following:
17        (1) The methodology shall be resident-driven,
18    facility-specific, and cost-based.
19        (2) Costs shall be annually rebased and case mix index
20    quarterly updated. The nursing services methodology will
21    be assigned to the Medicaid enrolled residents on record
22    as of 30 days prior to the beginning of the rate period in
23    the Department's Medicaid Management Information System
24    (MMIS) as present on the last day of the second quarter
25    preceding the rate period based upon the Assessment
26    Reference Date of the Minimum Data Set (MDS).

 

 

SB2435- 1437 -LRB102 04062 AMC 14078 b

1        (3) Regional wage adjustors based on the Health
2    Service Areas (HSA) groupings and adjusters in effect on
3    April 30, 2012 shall be included.
4        (4) Case mix index shall be assigned to each resident
5    class based on the Centers for Medicare and Medicaid
6    Services staff time measurement study in effect on July 1,
7    2013, utilizing an index maximization approach.
8        (5) The pool of funds available for distribution by
9    case mix and the base facility rate shall be determined
10    using the formula contained in subsection (d-1).
11    (d-1) Calculation of base year Statewide RUG-IV nursing
12base per diem rate.
13        (1) Base rate spending pool shall be:
14            (A) The base year resident days which are
15        calculated by multiplying the number of Medicaid
16        residents in each nursing home as indicated in the MDS
17        data defined in paragraph (4) by 365.
18            (B) Each facility's nursing component per diem in
19        effect on July 1, 2012 shall be multiplied by
20        subsection (A).
21            (C) Thirteen million is added to the product of
22        subparagraph (A) and subparagraph (B) to adjust for
23        the exclusion of nursing homes defined in paragraph
24        (5).
25        (2) For each nursing home with Medicaid residents as
26    indicated by the MDS data defined in paragraph (4),

 

 

SB2435- 1438 -LRB102 04062 AMC 14078 b

1    weighted days adjusted for case mix and regional wage
2    adjustment shall be calculated. For each home this
3    calculation is the product of:
4            (A) Base year resident days as calculated in
5        subparagraph (A) of paragraph (1).
6            (B) The nursing home's regional wage adjustor
7        based on the Health Service Areas (HSA) groupings and
8        adjustors in effect on April 30, 2012.
9            (C) Facility weighted case mix which is the number
10        of Medicaid residents as indicated by the MDS data
11        defined in paragraph (4) multiplied by the associated
12        case weight for the RUG-IV 48 grouper model using
13        standard RUG-IV procedures for index maximization.
14            (D) The sum of the products calculated for each
15        nursing home in subparagraphs (A) through (C) above
16        shall be the base year case mix, rate adjusted
17        weighted days.
18        (3) The Statewide RUG-IV nursing base per diem rate:
19            (A) on January 1, 2014 shall be the quotient of the
20        paragraph (1) divided by the sum calculated under
21        subparagraph (D) of paragraph (2); and
22            (B) on and after July 1, 2014, shall be the amount
23        calculated under subparagraph (A) of this paragraph
24        (3) plus $1.76.
25        (4) Minimum Data Set (MDS) comprehensive assessments
26    for Medicaid residents on the last day of the quarter used

 

 

SB2435- 1439 -LRB102 04062 AMC 14078 b

1    to establish the base rate.
2        (5) Nursing facilities designated as of July 1, 2012
3    by the Department as "Institutions for Mental Disease"
4    shall be excluded from all calculations under this
5    subsection. The data from these facilities shall not be
6    used in the computations described in paragraphs (1)
7    through (4) above to establish the base rate.
8    (e) Beginning July 1, 2014, the Department shall allocate
9funding in the amount up to $10,000,000 for per diem add-ons to
10the RUGS methodology for dates of service on and after July 1,
112014:
12        (1) $0.63 for each resident who scores in I4200
13    Alzheimer's Disease or I4800 non-Alzheimer's Dementia.
14        (2) $2.67 for each resident who scores either a "1" or
15    "2" in any items S1200A through S1200I and also scores in
16    RUG groups PA1, PA2, BA1, or BA2.
17    (e-1) (Blank).
18    (e-2) For dates of services beginning January 1, 2014, the
19RUG-IV nursing component per diem for a nursing home shall be
20the product of the statewide RUG-IV nursing base per diem
21rate, the facility average case mix index, and the regional
22wage adjustor. Transition rates for services provided between
23January 1, 2014 and December 31, 2014 shall be as follows:
24        (1) The transition RUG-IV per diem nursing rate for
25    nursing homes whose rate calculated in this subsection
26    (e-2) is greater than the nursing component rate in effect

 

 

SB2435- 1440 -LRB102 04062 AMC 14078 b

1    July 1, 2012 shall be paid the sum of:
2            (A) The nursing component rate in effect July 1,
3        2012; plus
4            (B) The difference of the RUG-IV nursing component
5        per diem calculated for the current quarter minus the
6        nursing component rate in effect July 1, 2012
7        multiplied by 0.88.
8        (2) The transition RUG-IV per diem nursing rate for
9    nursing homes whose rate calculated in this subsection
10    (e-2) is less than the nursing component rate in effect
11    July 1, 2012 shall be paid the sum of:
12            (A) The nursing component rate in effect July 1,
13        2012; plus
14            (B) The difference of the RUG-IV nursing component
15        per diem calculated for the current quarter minus the
16        nursing component rate in effect July 1, 2012
17        multiplied by 0.13.
18    (f) Notwithstanding any other provision of this Code, on
19and after July 1, 2012, reimbursement rates associated with
20the nursing or support components of the current nursing
21facility rate methodology shall not increase beyond the level
22effective May 1, 2011 until a new reimbursement system based
23on the RUGs IV 48 grouper model has been fully
24operationalized.
25    (g) Notwithstanding any other provision of this Code, on
26and after July 1, 2012, for facilities not designated by the

 

 

SB2435- 1441 -LRB102 04062 AMC 14078 b

1Department of Healthcare and Family Services as "Institutions
2for Mental Disease", rates effective May 1, 2011 shall be
3adjusted as follows:
4        (1) Individual nursing rates for residents classified
5    in RUG IV groups PA1, PA2, BA1, and BA2 during the quarter
6    ending March 31, 2012 shall be reduced by 10%;
7        (2) Individual nursing rates for residents classified
8    in all other RUG IV groups shall be reduced by 1.0%;
9        (3) Facility rates for the capital and support
10    components shall be reduced by 1.7%.
11    (h) Notwithstanding any other provision of this Code, on
12and after July 1, 2012, nursing facilities designated by the
13Department of Healthcare and Family Services as "Institutions
14for Mental Disease" and "Institutions for Mental Disease" that
15are facilities licensed under the Specialized Mental Health
16Rehabilitation Act of 2013 shall have the nursing,
17socio-developmental, capital, and support components of their
18reimbursement rate effective May 1, 2011 reduced in total by
192.7%.
20    (i) On and after July 1, 2014, the reimbursement rates for
21the support component of the nursing facility rate for
22facilities licensed under the Nursing Home Care Act as skilled
23or intermediate care facilities shall be the rate in effect on
24June 30, 2014 increased by 8.17%.
25    (j) Notwithstanding any other provision of law, subject to
26federal approval, effective July 1, 2019, sufficient funds

 

 

SB2435- 1442 -LRB102 04062 AMC 14078 b

1shall be allocated for changes to rates for facilities
2licensed under the Nursing Home Care Act as skilled nursing
3facilities or intermediate care facilities for dates of
4services on and after July 1, 2019: (i) to establish a per diem
5add-on to the direct care per diem rate not to exceed
6$70,000,000 annually in the aggregate taking into account
7federal matching funds for the purpose of addressing the
8facility's unique staffing needs, adjusted quarterly and
9distributed by a weighted formula based on Medicaid bed days
10on the last day of the second quarter preceding the quarter for
11which the rate is being adjusted; and (ii) in an amount not to
12exceed $170,000,000 annually in the aggregate taking into
13account federal matching funds to permit the support component
14of the nursing facility rate to be updated as follows:
15        (1) 80%, or $136,000,000, of the funds shall be used
16    to update each facility's rate in effect on June 30, 2019
17    using the most recent cost reports on file, which have had
18    a limited review conducted by the Department of Healthcare
19    and Family Services and will not hold up enacting the rate
20    increase, with the Department of Healthcare and Family
21    Services and taking into account subsection (i).
22        (2) After completing the calculation in paragraph (1),
23    any facility whose rate is less than the rate in effect on
24    June 30, 2019 shall have its rate restored to the rate in
25    effect on June 30, 2019 from the 20% of the funds set
26    aside.

 

 

SB2435- 1443 -LRB102 04062 AMC 14078 b

1        (3) The remainder of the 20%, or $34,000,000, shall be
2    used to increase each facility's rate by an equal
3    percentage.
4    To implement item (i) in this subsection, facilities shall
5file quarterly reports documenting compliance with its
6annually approved staffing plan, which shall permit compliance
7with Section 3-202.05 of the Nursing Home Care Act. A facility
8that fails to meet the benchmarks and dates contained in the
9plan may have its add-on adjusted in the quarter following the
10quarterly review. Nothing in this Section shall limit the
11ability of the facility to appeal a ruling of non-compliance
12and a subsequent reduction to the add-on. Funds adjusted for
13noncompliance shall be maintained in the Long-Term Care
14Provider Fund and accounted for separately. At the end of each
15fiscal year, these funds shall be made available to facilities
16for special staffing projects.
17    In order to provide for the expeditious and timely
18implementation of the provisions of Public Act 101-10 this
19amendatory Act of the 101st General Assembly, emergency rules
20to implement any provision of Public Act 101-10 this
21amendatory Act of the 101st General Assembly may be adopted in
22accordance with this subsection by the agency charged with
23administering that provision or initiative. The agency shall
24simultaneously file emergency rules and permanent rules to
25ensure that there is no interruption in administrative
26guidance. The 150-day limitation of the effective period of

 

 

SB2435- 1444 -LRB102 04062 AMC 14078 b

1emergency rules does not apply to rules adopted under this
2subsection, and the effective period may continue through June
330, 2021. The 24-month limitation on the adoption of emergency
4rules does not apply to rules adopted under this subsection.
5The adoption of emergency rules authorized by this subsection
6is deemed to be necessary for the public interest, safety, and
7welfare.
8    (k) (j) During the first quarter of State Fiscal Year
92020, the Department of Healthcare of Family Services must
10convene a technical advisory group consisting of members of
11all trade associations representing Illinois skilled nursing
12providers to discuss changes necessary with federal
13implementation of Medicare's Patient-Driven Payment Model.
14Implementation of Medicare's Patient-Driven Payment Model
15shall, by September 1, 2020, end the collection of the MDS data
16that is necessary to maintain the current RUG-IV Medicaid
17payment methodology. The technical advisory group must
18consider a revised reimbursement methodology that takes into
19account transparency, accountability, actual staffing as
20reported under the federally required Payroll Based Journal
21system, changes to the minimum wage, adequacy in coverage of
22the cost of care, and a quality component that rewards quality
23improvements.
24(Source: P.A. 101-10, eff. 6-5-19; 101-348, eff. 8-9-19;
25revised 9-18-19.)
 

 

 

SB2435- 1445 -LRB102 04062 AMC 14078 b

1    (305 ILCS 5/5-5.12)  (from Ch. 23, par. 5-5.12)
2    Sec. 5-5.12. Pharmacy payments.
3    (a) Every request submitted by a pharmacy for
4reimbursement under this Article for prescription drugs
5provided to a recipient of aid under this Article shall
6include the name of the prescriber or an acceptable
7identification number as established by the Department.
8    (b) Pharmacies providing prescription drugs under this
9Article shall be reimbursed at a rate which shall include a
10professional dispensing fee as determined by the Illinois
11Department, plus the current acquisition cost of the
12prescription drug dispensed. The Illinois Department shall
13update its information on the acquisition costs of all
14prescription drugs no less frequently than every 30 days.
15However, the Illinois Department may set the rate of
16reimbursement for the acquisition cost, by rule, at a
17percentage of the current average wholesale acquisition cost.
18    (c) (Blank).
19    (d) The Department shall review utilization of narcotic
20medications in the medical assistance program and impose
21utilization controls that protect against abuse.
22    (e) When making determinations as to which drugs shall be
23on a prior approval list, the Department shall include as part
24of the analysis for this determination, the degree to which a
25drug may affect individuals in different ways based on factors
26including the gender of the person taking the medication.

 

 

SB2435- 1446 -LRB102 04062 AMC 14078 b

1    (f) The Department shall cooperate with the Department of
2Public Health and the Department of Human Services Division of
3Mental Health in identifying psychotropic medications that,
4when given in a particular form, manner, duration, or
5frequency (including "as needed") in a dosage, or in
6conjunction with other psychotropic medications to a nursing
7home resident or to a resident of a facility licensed under the
8ID/DD Community Care Act or the MC/DD Act, may constitute a
9chemical restraint or an "unnecessary drug" as defined by the
10Nursing Home Care Act or Titles XVIII and XIX of the Social
11Security Act and the implementing rules and regulations. The
12Department shall require prior approval for any such
13medication prescribed for a nursing home resident or to a
14resident of a facility licensed under the ID/DD Community Care
15Act or the MC/DD Act, that appears to be a chemical restraint
16or an unnecessary drug. The Department shall consult with the
17Department of Human Services Division of Mental Health in
18developing a protocol and criteria for deciding whether to
19grant such prior approval.
20    (g) The Department may by rule provide for reimbursement
21of the dispensing of a 90-day supply of a generic or brand
22name, non-narcotic maintenance medication in circumstances
23where it is cost effective.
24    (g-5) On and after July 1, 2012, the Department may
25require the dispensing of drugs to nursing home residents be
26in a 7-day supply or other amount less than a 31-day supply.

 

 

SB2435- 1447 -LRB102 04062 AMC 14078 b

1The Department shall pay only one dispensing fee per 31-day
2supply.
3    (h) Effective July 1, 2011, the Department shall
4discontinue coverage of select over-the-counter drugs,
5including analgesics and cough and cold and allergy
6medications.
7    (h-5) On and after July 1, 2012, the Department shall
8impose utilization controls, including, but not limited to,
9prior approval on specialty drugs, oncolytic drugs, drugs for
10the treatment of HIV or AIDS, immunosuppressant drugs, and
11biological products in order to maximize savings on these
12drugs. The Department may adjust payment methodologies for
13non-pharmacy billed drugs in order to incentivize the
14selection of lower-cost drugs. For drugs for the treatment of
15AIDS, the Department shall take into consideration the
16potential for non-adherence by certain populations, and shall
17develop protocols with organizations or providers primarily
18serving those with HIV/AIDS, as long as such measures intend
19to maintain cost neutrality with other utilization management
20controls such as prior approval. For hemophilia, the
21Department shall develop a program of utilization review and
22control which may include, in the discretion of the
23Department, prior approvals. The Department may impose special
24standards on providers that dispense blood factors which shall
25include, in the discretion of the Department, staff training
26and education; patient outreach and education; case

 

 

SB2435- 1448 -LRB102 04062 AMC 14078 b

1management; in-home patient assessments; assay management;
2maintenance of stock; emergency dispensing timeframes; data
3collection and reporting; dispensing of supplies related to
4blood factor infusions; cold chain management and packaging
5practices; care coordination; product recalls; and emergency
6clinical consultation. The Department may require patients to
7receive a comprehensive examination annually at an appropriate
8provider in order to be eligible to continue to receive blood
9factor.
10    (i) On and after July 1, 2012, the Department shall reduce
11any rate of reimbursement for services or other payments or
12alter any methodologies authorized by this Code to reduce any
13rate of reimbursement for services or other payments in
14accordance with Section 5-5e.
15    (j) On and after July 1, 2012, the Department shall impose
16limitations on prescription drugs such that the Department
17shall not provide reimbursement for more than 4 prescriptions,
18including 3 brand name prescriptions, for distinct drugs in a
1930-day period, unless prior approval is received for all
20prescriptions in excess of the 4-prescription limit. Drugs in
21the following therapeutic classes shall not be subject to
22prior approval as a result of the 4-prescription limit:
23immunosuppressant drugs, oncolytic drugs, anti-retroviral
24drugs, and, on or after July 1, 2014, antipsychotic drugs. On
25or after July 1, 2014, the Department may exempt children with
26complex medical needs enrolled in a care coordination entity

 

 

SB2435- 1449 -LRB102 04062 AMC 14078 b

1contracted with the Department to solely coordinate care for
2such children, if the Department determines that the entity
3has a comprehensive drug reconciliation program.
4    (k) No medication therapy management program implemented
5by the Department shall be contrary to the provisions of the
6Pharmacy Practice Act.
7    (l) Any provider enrolled with the Department that bills
8the Department for outpatient drugs and is eligible to enroll
9in the federal Drug Pricing Program under Section 340B of the
10federal Public Health Service Services Act shall enroll in
11that program. No entity participating in the federal Drug
12Pricing Program under Section 340B of the federal Public
13Health Service Services Act may exclude Medicaid from their
14participation in that program, although the Department may
15exclude entities defined in Section 1905(l)(2)(B) of the
16Social Security Act from this requirement.
17(Source: P.A. 98-463, eff. 8-16-13; 98-651, eff. 6-16-14;
1899-180, eff. 7-29-15; revised 9-2-20.)
 
19    (305 ILCS 5/5-30.11)
20    Sec. 5-30.11. Treatment of autism spectrum disorder.
21Treatment of autism spectrum disorder through applied behavior
22analysis shall be covered under the medical assistance program
23under this Article for children with a diagnosis of autism
24spectrum disorder when ordered by a physician licensed to
25practice medicine in all its branches and rendered by a

 

 

SB2435- 1450 -LRB102 04062 AMC 14078 b

1licensed or certified health care professional with expertise
2in applied behavior analysis. Such coverage may be limited to
3age ranges based on evidence-based best practices. Appropriate
4State plan amendments as well as rules regarding provision of
5services and providers will be submitted by September 1, 2019.
6(Source: P.A. 101-10, eff. 6-5-19.)
 
7    (305 ILCS 5/5-30.13)
8    Sec. 5-30.13 5-30.11. Managed care reports; minority-owned
9and women-owned businesses. Each Medicaid managed care health
10plan shall submit a report to the Department by March 1, 2020,
11and every March 1 thereafter, that includes the following
12information:
13        (1) The administrative expenses paid to the Medicaid
14    managed care health plan.
15        (2) The amount of money the Medicaid managed care
16    health plan has spent with Business Enterprise Program
17    certified businesses.
18        (3) The amount of money the Medicaid managed care
19    health plan has spent with minority-owned and women-owned
20    businesses that are certified by other agencies or private
21    organizations.
22        (4) The amount of money the Medicaid managed care
23    health plan has spent with not-for-profit community-based
24    organizations serving predominantly minority communities,
25    as defined by the Department.

 

 

SB2435- 1451 -LRB102 04062 AMC 14078 b

1        (5) The proportion of minorities, people with
2    disabilities, and women that make up the staff of the
3    Medicaid managed care health plan.
4        (6) Recommendations for increasing expenditures with
5    minority-owned and women-owned businesses.
6        (7) A list of the types of services to which the
7    Medicaid managed care health plan is contemplating adding
8    new vendors.
9        (8) The certifications the Medicaid managed care
10    health plan accepts for minority-owned and women-owned
11    businesses.
12        (9) The point of contact for potential vendors seeking
13    to do business with the Medicaid managed care health plan.
14    The Department shall publish the reports on its website
15and shall maintain each report on its website for 5 years. In
16May of 2020 and every May thereafter, the Department shall
17hold 2 annual public workshops, one in Chicago and one in
18Springfield. The workshops shall include each Medicaid managed
19care health plan and shall be open to vendor communities to
20discuss the submitted plans and to seek to connect vendors
21with the Medicaid managed care health plans.
22(Source: P.A. 101-209, eff. 8-5-19; revised 10-22-19.)
 
23    (305 ILCS 5/5-30.14)
24    Sec. 5-30.14 5-30.11. Medicaid managed care organizations;
25preferred drug lists.

 

 

SB2435- 1452 -LRB102 04062 AMC 14078 b

1    (a) No later than January 1, 2020, the Illinois Department
2shall develop a standardized format for all Medicaid managed
3care organization preferred drug lists in collaboration with
4Medicaid managed care organizations and other stakeholders,
5including, but not limited to, organizations that serve
6individuals impacted by HIV/AIDS or epilepsy, and
7community-based organizations, providers, and entities with
8expertise in drug formulary development.
9    (b) Following development of the standardized Preferred
10Drug List format, the Illinois Department shall allow Medicaid
11managed care organizations 6 months from the date of
12completion to comply with the new Preferred Drug List format.
13Each Medicaid managed care organization must post its
14preferred drug list on its website without restricting access
15and must update the preferred drug list posted on its website.
16Medicaid managed care organizations shall publish updates to
17their preferred drug lists no less than 30 days prior to the
18date upon which any update or change takes effect, including,
19but not limited to, any and all changes to requirements for
20prior approval requirements, step therapy, or other
21utilization controls.
22    (c)(1) No later than January 1, 2020, the Illinois
23Department shall establish and maintain the Illinois Drug and
24Therapeutics Advisory Board. The Board shall have the
25authority and responsibility to provide recommendations to the
26Illinois Department regarding which drug products to list on

 

 

SB2435- 1453 -LRB102 04062 AMC 14078 b

1the Illinois Department's preferred drug list. The Illinois
2Department shall provide administrative support to the Board
3and the Board shall:
4        (A) convene and meet no less than once per calendar
5    quarter;
6        (B) provide regular opportunities for public comment;
7    and
8        (C) comply with the provisions of the Open Meetings
9    Act.
10    All correspondence related to the Board, including
11correspondence to and from Board members, shall be subject to
12the Freedom of Information Act.
13    (2) The Board shall consist of the following voting
14members, all of whom shall be appointed by the Governor and
15shall serve terms of 3 years without compensation:
16        (A) one pharmacist licensed to practice pharmacy in
17    Illinois who is recommended by a statewide organization
18    representing pharmacists;
19        (B) 4 physicians, recommended by a statewide
20    organization representing physicians, who are licensed to
21    practice medicine in all its branches in Illinois, have
22    knowledge of and adhere to best practice standards, and
23    have experience treating Illinois Medicaid beneficiaries;
24        (C) at least one clinician who specializes in the
25    prevention and treatment of HIV, recommended by an HIV
26    healthcare advocacy organization;

 

 

SB2435- 1454 -LRB102 04062 AMC 14078 b

1        (D) at least one clinician recommended by a healthcare
2    advocacy organization that serves individuals who are
3    affected by chronic diseases that require significant
4    pharmaceutical treatments;
5        (E) one clinician representing the Illinois
6    Department; and
7        (F) one licensed psychiatrist, recommended by a
8    statewide organization representing psychiatrists, who has
9    experience treating Illinois Medicaid beneficiaries.
10    One non-voting clinician recommended by an association of
11Medicaid managed care health plans shall serve a term of 3
12years on the Board without compensation.
13    Organizations interested in nominating non-voting
14clinicians to advise the Board may submit requests to
15participate to the Illinois Department.
16    A licensed physician recommended by the Rare Disease
17Commission who is a rare disease specialist and possesses
18scientific knowledge and medical training with respect to rare
19diseases and is familiar with drug and biological products and
20treatment shall be notified in advance to attend an Illinois
21Drug and Therapeutics Advisory Board meeting when a drug or
22biological product is scheduled to be reviewed in order to
23advise and make recommendations on drugs or biological
24products.
25    (d) The Illinois Department shall adopt rules, to be in
26place no later than January 1, 2020, for the purpose of

 

 

SB2435- 1455 -LRB102 04062 AMC 14078 b

1establishing and maintaining the Board.
2(Source: P.A. 101-62, eff. 7-12-19; revised 10-22-19.)
 
3    (305 ILCS 5/5-36)
4    Sec. 5-36. Pharmacy benefits.
5    (a)(1) The Department may enter into a contract with a
6third party on a fee-for-service reimbursement model for the
7purpose of administering pharmacy benefits as provided in this
8Section for members not enrolled in a Medicaid managed care
9organization; however, these services shall be approved by the
10Department. The Department shall ensure coordination of care
11between the third-party administrator and managed care
12organizations as a consideration in any contracts established
13in accordance with this Section. Any managed care techniques,
14principles, or administration of benefits utilized in
15accordance with this subsection shall comply with State law.
16    (2) The following shall apply to contracts between
17entities contracting relating to the Department's third-party
18administrators and pharmacies:
19        (A) the Department shall approve any contract between
20    a third-party administrator and a pharmacy;
21        (B) the Department's third-party administrator shall
22    not change the terms of a contract between a third-party
23    administrator and a pharmacy without written approval by
24    the Department; and
25        (C) the Department's third-party administrator shall

 

 

SB2435- 1456 -LRB102 04062 AMC 14078 b

1    not create, modify, implement, or indirectly establish any
2    fee on a pharmacy, pharmacist, or a recipient of medical
3    assistance without written approval by the Department.
4    (b) The provisions of this Section shall not apply to
5outpatient pharmacy services provided by a health care
6facility registered as a covered entity pursuant to 42 U.S.C.
7256b or any pharmacy owned by or contracted with the covered
8entity. A Medicaid managed care organization shall, either
9directly or through a pharmacy benefit manager, administer and
10reimburse outpatient pharmacy claims submitted by a health
11care facility registered as a covered entity pursuant to 42
12U.S.C. 256b, its owned pharmacies, and contracted pharmacies
13in accordance with the contractual agreements the Medicaid
14managed care organization or its pharmacy benefit manager has
15with such facilities and pharmacies. Any pharmacy benefit
16manager that contracts with a Medicaid managed care
17organization to administer and reimburse pharmacy claims as
18provided in this Section must be registered with the Director
19of Insurance in accordance with Section 513b2 of the Illinois
20Insurance Code.
21    (c) On at least an annual basis, the Director of the
22Department of Healthcare and Family Services shall submit a
23report beginning no later than one year after January 1, 2020
24(the effective date of Public Act 101-452) this amendatory Act
25of the 101st General Assembly that provides an update on any
26contract, contract issues, formulary, dispensing fees, and

 

 

SB2435- 1457 -LRB102 04062 AMC 14078 b

1maximum allowable cost concerns regarding a third-party
2administrator and managed care. The requirement for reporting
3to the General Assembly shall be satisfied by filing copies of
4the report with the Speaker, the Minority Leader, and the
5Clerk of the House of Representatives and with the President,
6the Minority Leader, and the Secretary of the Senate. The
7Department shall take care that no proprietary information is
8included in the report required under this Section.
9    (d) A pharmacy benefit manager shall notify the Department
10in writing of any activity, policy, or practice of the
11pharmacy benefit manager that directly or indirectly presents
12a conflict of interest that interferes with the discharge of
13the pharmacy benefit manager's duty to a managed care
14organization to exercise its contractual duties. "Conflict of
15interest" shall be defined by rule by the Department.
16    (e) A pharmacy benefit manager shall, upon request,
17disclose to the Department the following information:
18        (1) whether the pharmacy benefit manager has a
19    contract, agreement, or other arrangement with a
20    pharmaceutical manufacturer to exclusively dispense or
21    provide a drug to a managed care organization's enrollees,
22    and the aggregate amounts of consideration of economic
23    benefits collected or received pursuant to that
24    arrangement;
25        (2) the percentage of claims payments made by the
26    pharmacy benefit manager to pharmacies owned, managed, or

 

 

SB2435- 1458 -LRB102 04062 AMC 14078 b

1    controlled by the pharmacy benefit manager or any of the
2    pharmacy benefit manager's management companies, parent
3    companies, subsidiary companies, or jointly held
4    companies;
5        (3) the aggregate amount of the fees or assessments
6    imposed on, or collected from, pharmacy providers; and
7        (4) the average annualized percentage of revenue
8    collected by the pharmacy benefit manager as a result of
9    each contract it has executed with a managed care
10    organization contracted by the Department to provide
11    medical assistance benefits which is not paid by the
12    pharmacy benefit manager to pharmacy providers and
13    pharmaceutical manufacturers or labelers or in order to
14    perform administrative functions pursuant to its contracts
15    with managed care organizations.
16    (f) The information disclosed under subsection (e) shall
17include all retail, mail order, specialty, and compounded
18prescription products. All information made available to the
19Department under subsection (e) is confidential and not
20subject to disclosure under the Freedom of Information Act.
21All information made available to the Department under
22subsection (e) shall not be reported or distributed in any way
23that compromises its competitive, proprietary, or financial
24value. The information shall only be used by the Department to
25assess the contract, agreement, or other arrangements made
26between a pharmacy benefit manager and a pharmacy provider,

 

 

SB2435- 1459 -LRB102 04062 AMC 14078 b

1pharmaceutical manufacturer or labeler, managed care
2organization, or other entity, as applicable.
3    (g) A pharmacy benefit manager shall disclose directly in
4writing to a pharmacy provider or pharmacy services
5administrative organization contracting with the pharmacy
6benefit manager of any material change to a contract provision
7that affects the terms of the reimbursement, the process for
8verifying benefits and eligibility, dispute resolution,
9procedures for verifying drugs included on the formulary, and
10contract termination at least 30 days prior to the date of the
11change to the provision. The terms of this subsection shall be
12deemed met if the pharmacy benefit manager posts the
13information on a website, viewable by the public. A pharmacy
14service administration organization shall notify all contract
15pharmacies of any material change, as described in this
16subsection, within 2 days of notification. As used in this
17Section, "pharmacy services administrative organization" means
18an entity operating within the State that contracts with
19independent pharmacies to conduct business on their behalf
20with third-party payers. A pharmacy services administrative
21organization may provide administrative services to pharmacies
22and negotiate and enter into contracts with third-party payers
23or pharmacy benefit managers on behalf of pharmacies.
24    (h) A pharmacy benefit manager shall not include the
25following in a contract with a pharmacy provider:
26        (1) a provision prohibiting the provider from

 

 

SB2435- 1460 -LRB102 04062 AMC 14078 b

1    informing a patient of a less costly alternative to a
2    prescribed medication; or
3        (2) a provision that prohibits the provider from
4    dispensing a particular amount of a prescribed medication,
5    if the pharmacy benefit manager allows that amount to be
6    dispensed through a pharmacy owned or controlled by the
7    pharmacy benefit manager, unless the prescription drug is
8    subject to restricted distribution by the United States
9    Food and Drug Administration or requires special handling,
10    provider coordination, or patient education that cannot be
11    provided by a retail pharmacy.
12    (i) Nothing in this Section shall be construed to prohibit
13a pharmacy benefit manager from requiring the same
14reimbursement and terms and conditions for a pharmacy provider
15as for a pharmacy owned, controlled, or otherwise associated
16with the pharmacy benefit manager.
17    (j) A pharmacy benefit manager shall establish and
18implement a process for the resolution of disputes arising out
19of this Section, which shall be approved by the Department.
20    (k) The Department shall adopt rules establishing
21reasonable dispensing fees for fee-for-service payments in
22accordance with guidance or guidelines from the federal
23Centers for Medicare and Medicaid Services.
24(Source: P.A. 101-452, eff. 1-1-20; revised 10-22-19.)
 
25    (305 ILCS 5/5-36.5)

 

 

SB2435- 1461 -LRB102 04062 AMC 14078 b

1    Sec. 5-36.5 5-36. Education on mental health and substance
2use treatment services for children and young adults. The
3Department of Healthcare and Family Services shall develop a
4layman's guide to the mental health and substance use
5treatment services available in Illinois through the Medical
6Assistance Program and through the Family Support Program, or
7other publicly funded programs, similar to what Massachusetts
8developed, to help families understand what services are
9available to them when they have a child in need of treatment
10or support. The guide shall be in easy-to-understand language,
11be prominently available on the Department of Healthcare and
12Family Services' website, and be part of a statewide
13communications campaign to ensure families are aware of Family
14Support Program services. It shall briefly explain the service
15and whether it is covered by the Medical Assistance Program,
16the Family Support Program, or any other public funding
17source. Within one year after January 1, 2020 (the effective
18date of Public Act 101-461) this amendatory Act of the 101st
19General Assembly, the Department of Healthcare and Family
20Services shall complete this guide, have it available on its
21website, and launch the communications campaign.
22(Source: P.A. 101-461, eff. 1-1-20; revised 10-22-19.)
 
23    (305 ILCS 5/5H-1)
24    Sec. 5H-1. Definitions. As used in this Article:
25    "Base year" means the 12-month period from January 1, 2018

 

 

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1to December 31, 2018.
2    "Department" means the Department of Healthcare and Family
3Services.
4    "Federal employee health benefit" means the program of
5health benefits plans, as defined in 5 U.S.C. 8901, available
6to federal employees under 5 U.S.C. 8901 to 8914.
7    "Fund" means the Healthcare Provider Relief Fund.
8    "Managed care organization" means an entity operating
9under a certificate of authority issued pursuant to the Health
10Maintenance Organization Act or as a Managed Care Community
11Network pursuant to Section 5-11 of this the Public Aid Code.
12    "Medicaid managed care organization" means a managed care
13organization under contract with the Department to provide
14services to recipients of benefits in the medical assistance
15program pursuant to Article V of this the Public Aid Code, the
16Children's Health Insurance Program Act, or the Covering ALL
17KIDS Health Insurance Act. It does not include contracts the
18same entity or an affiliated entity has for other business.
19    "Medicare" means the federal Medicare program established
20under Title XVIII of the federal Social Security Act.
21    "Member months" means the aggregate total number of months
22all individuals are enrolled for coverage in a Managed Care
23Organization during the base year. Member months are
24determined by the Department for Medicaid Managed Care
25Organizations based on enrollment data in its Medicaid
26Management Information System and by the Department of

 

 

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1Insurance for other Managed Care Organizations based on
2required filings with the Department of Insurance. Member
3months do not include months individuals are enrolled in a
4Limited Health Services Organization, including stand-alone
5dental or vision plans, a Medicare Advantage Plan, a Medicare
6Supplement Plan, a Medicaid Medicare Alignment Initiate Plan
7pursuant to a Memorandum of Understanding between the
8Department and the Federal Centers for Medicare and Medicaid
9Services or a Federal Employee Health Benefits Plan.
10(Source: P.A. 101-9, eff. 6-5-19; revised 7-12-19.)
 
11    (305 ILCS 5/5H-5)
12    Sec. 5H-5. Liability or resultant entities. In the event
13of a merger, acquisition, or any similar transaction involving
14entities subject to the assessment under this Article, the
15resultant entity shall be responsible for the full amount of
16the assessment for all entities involved in the transaction
17with the member months allotted to tiers as they were prior to
18the transaction and no member months shall change tiers as a
19result of any transaction. A managed care organization that
20ceases doing business in the State during any fiscal year
21shall be liable only for the monthly installments due in
22months that it they operated in the State. The Department
23shall by rule establish a methodology to set the assessment
24base member months for a managed care organization that begins
25operating in the State at any time after 2018. Nothing in this

 

 

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1Section shall be construed to limit authority granted in
2subsection (c) of Section 5H-3.
3(Source: P.A. 101-9, eff. 6-5-19; revised 7-12-19.)
 
4    (305 ILCS 5/5H-6)
5    Sec. 5H-6. Recordkeeping; penalties.
6    (a) A managed care organization that is liable for the
7assessment under this Article shall keep accurate and complete
8records and pertinent documents as may be required by the
9Department. Records required by the Department shall be
10retained for a period of 4 years after the assessment imposed
11under this Act to which the records apply is due or as
12otherwise provided by law. The Department or the Department of
13Insurance may audit all records necessary to ensure compliance
14with this Article and make adjustments to assessment amounts
15previously calculated based on the results of any such audit.
16    (b) If a managed care organization fails to make a payment
17due under this Article in a timely fashion, it they shall pay
18an additional penalty of 5% of the amount of the installment
19not paid on or before the due date, or any grace period
20granted, plus 5% of the portion thereof remaining unpaid on
21the last day of each 30-day period thereafter. The Department
22is authorized to grant grace periods of up to 30 days upon
23request of a managed care organization for good cause due to
24financial or other difficulties, as determined by the
25Department. If a managed care organization fails to make a

 

 

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1payment within 60 days after the due date the Department shall
2additionally impose a contractual sanction allowed against a
3Medicaid managed care organization and may terminate any such
4contract. The Department of Insurance shall take action
5against the certificate of authority of a non-Medicaid managed
6care organization that fails to pay an installment within 60
7days after the due date.
8(Source: P.A. 101-9, eff. 6-5-19; revised 7-12-19.)
 
9    (305 ILCS 5/11-5.4)
10    Sec. 11-5.4. Expedited long-term care eligibility
11determination and enrollment.
12    (a) Establishment of the expedited long-term care
13eligibility determination and enrollment system shall be a
14joint venture of the Departments of Human Services and
15Healthcare and Family Services and the Department on Aging.
16    (b) Streamlined application enrollment process; expedited
17eligibility process. The streamlined application and
18enrollment process must include, but need not be limited to,
19the following:
20        (1) On or before July 1, 2019, a streamlined
21    application and enrollment process shall be put in place
22    which must include, but need not be limited to, the
23    following:
24            (A) Minimize the burden on applicants by
25        collecting only the data necessary to determine

 

 

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1        eligibility for medical services, long-term care
2        services, and spousal impoverishment offset.
3            (B) Integrate online data sources to simplify the
4        application process by reducing the amount of
5        information needed to be entered and to expedite
6        eligibility verification.
7            (C) Provide online prompts to alert the applicant
8        that information is missing or not complete.
9            (D) Provide training and step-by-step written
10        instructions for caseworkers, applicants, and
11        providers.
12        (2) The State must expedite the eligibility process
13    for applicants meeting specified guidelines, regardless of
14    the age of the application. The guidelines, subject to
15    federal approval, must include, but need not be limited
16    to, the following individually or collectively:
17            (A) Full Medicaid benefits in the community for a
18        specified period of time.
19            (B) No transfer of assets or resources during the
20        federally prescribed look-back period, as specified in
21        federal law.
22            (C) Receives Supplemental Security Income payments
23        or was receiving such payments at the time of
24        admission to a nursing facility.
25            (D) For applicants or recipients with verified
26        income at or below 100% of the federal poverty level

 

 

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1        when the declared value of their countable resources
2        is no greater than the allowable amounts pursuant to
3        Section 5-2 of this Code for classes of eligible
4        persons for whom a resource limit applies. Such
5        simplified verification policies shall apply to
6        community cases as well as long-term care cases.
7        (3) Subject to federal approval, the Department of
8    Healthcare and Family Services must implement an ex parte
9    renewal process for Medicaid-eligible individuals residing
10    in long-term care facilities. "Renewal" has the same
11    meaning as "redetermination" in State policies,
12    administrative rule, and federal Medicaid law. The ex
13    parte renewal process must be fully operational on or
14    before January 1, 2019. If an individual has transferred
15    to another long-term care facility, any annual notice
16    concerning redetermination of eligibility must be sent to
17    the long-term care facility where the individual resides
18    as well as to the individual.
19        (4) The Department of Human Services must use the
20    standards and distribution requirements described in this
21    subsection and in Section 11-6 for notification of missing
22    supporting documents and information during all phases of
23    the application process: initial, renewal, and appeal.
24    (c) The Department of Human Services must adopt policies
25and procedures to improve communication between long-term care
26benefits central office personnel, applicants and their

 

 

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1representatives, and facilities in which the applicants
2reside. Such policies and procedures must at a minimum permit
3applicants and their representatives and the facility in which
4the applicants reside to speak directly to an individual
5trained to take telephone inquiries and provide appropriate
6responses.
7    (d) Effective 30 days after the completion of 3 regionally
8based trainings, nursing facilities shall submit all
9applications for medical assistance online via the Application
10for Benefits Eligibility (ABE) website. This requirement shall
11extend to scanning and uploading with the online application
12any required additional forms such as the Long Term Care
13Facility Notification and the Additional Financial Information
14for Long Term Care Applicants as well as scanned copies of any
15supporting documentation. Long-term care facility admission
16documents must be submitted as required in Section 5-5 of this
17Code. No local Department of Human Services office shall
18refuse to accept an electronically filed application. No
19Department of Human Services office shall request submission
20of any document in hard copy.
21    (e) Notwithstanding any other provision of this Code, the
22Department of Human Services and the Department of Healthcare
23and Family Services' Office of the Inspector General shall,
24upon request, allow an applicant additional time to submit
25information and documents needed as part of a review of
26available resources or resources transferred during the

 

 

SB2435- 1469 -LRB102 04062 AMC 14078 b

1look-back period. The initial extension shall not exceed 30
2days. A second extension of 30 days may be granted upon
3request. Any request for information issued by the State to an
4applicant shall include the following: an explanation of the
5information required and the date by which the information
6must be submitted; a statement that failure to respond in a
7timely manner can result in denial of the application; a
8statement that the applicant or the facility in the name of the
9applicant may seek an extension; and the name and contact
10information of a caseworker in case of questions. Any such
11request for information shall also be sent to the facility. In
12deciding whether to grant an extension, the Department of
13Human Services or the Department of Healthcare and Family
14Services' Office of the Inspector General shall take into
15account what is in the best interest of the applicant. The time
16limits for processing an application shall be tolled during
17the period of any extension granted under this subsection.
18    (f) The Department of Human Services and the Department of
19Healthcare and Family Services must jointly compile data on
20pending applications, denials, appeals, and redeterminations
21into a monthly report, which shall be posted on each
22Department's website for the purposes of monitoring long-term
23care eligibility processing. The report must specify the
24number of applications and redeterminations pending long-term
25care eligibility determination and admission and the number of
26appeals of denials in the following categories:

 

 

SB2435- 1470 -LRB102 04062 AMC 14078 b

1        (A) Length of time applications, redeterminations, and
2    appeals are pending - 0 to 45 days, 46 days to 90 days, 91
3    days to 180 days, 181 days to 12 months, over 12 months to
4    18 months, over 18 months to 24 months, and over 24 months.
5        (B) Percentage of applications and redeterminations
6    pending in the Department of Human Services' Family
7    Community Resource Centers, in the Department of Human
8    Services' long-term care hubs, with the Department of
9    Healthcare and Family Services' Office of Inspector
10    General, and those applications which are being tolled due
11    to requests for extension of time for additional
12    information.
13        (C) Status of pending applications, denials, appeals,
14    and redeterminations.
15    (g) Beginning on July 1, 2017, the Auditor General shall
16report every 3 years to the General Assembly on the
17performance and compliance of the Department of Healthcare and
18Family Services, the Department of Human Services, and the
19Department on Aging in meeting the requirements of this
20Section and the federal requirements concerning eligibility
21determinations for Medicaid long-term care services and
22supports, and shall report any issues or deficiencies and make
23recommendations. The Auditor General shall, at a minimum,
24review, consider, and evaluate the following:
25        (1) compliance with federal regulations on furnishing
26    services as related to Medicaid long-term care services

 

 

SB2435- 1471 -LRB102 04062 AMC 14078 b

1    and supports as provided under 42 CFR 435.930;
2        (2) compliance with federal regulations on the timely
3    determination of eligibility as provided under 42 CFR
4    435.912;
5        (3) the accuracy and completeness of the report
6    required under paragraph (9) of subsection (e);
7        (4) the efficacy and efficiency of the task-based
8    process used for making eligibility determinations in the
9    centralized offices of the Department of Human Services
10    for long-term care services, including the role of the
11    State's integrated eligibility system, as opposed to the
12    traditional caseworker-specific process from which these
13    central offices have converted; and
14        (5) any issues affecting eligibility determinations
15    related to the Department of Human Services' staff
16    completing Medicaid eligibility determinations instead of
17    the designated single-state Medicaid agency in Illinois,
18    the Department of Healthcare and Family Services.
19    The Auditor General's report shall include any and all
20other areas or issues which are identified through an annual
21review. Paragraphs (1) through (5) of this subsection shall
22not be construed to limit the scope of the annual review and
23the Auditor General's authority to thoroughly and completely
24evaluate any and all processes, policies, and procedures
25concerning compliance with federal and State law requirements
26on eligibility determinations for Medicaid long-term care

 

 

SB2435- 1472 -LRB102 04062 AMC 14078 b

1services and supports.
2    (h) The Department of Healthcare and Family Services shall
3adopt any rules necessary to administer and enforce any
4provision of this Section. Rulemaking shall not delay the full
5implementation of this Section.
6    (i) Beginning on June 29, 2018, provisional eligibility
7for medical assistance under Article V of this Code, in the
8form of a recipient identification number and any other
9necessary credentials to permit an applicant to receive
10covered services under Article V, must be issued to any
11applicant who has not received a determination on his or her
12application for Medicaid and Medicaid long-term care services
13filed simultaneously or, if already Medicaid enrolled,
14application for Medicaid long-term care services under Article
15V of this Code within the federally prescribed timeliness
16requirements for determinations on such applications. The
17Department of Healthcare and Family Services must maintain the
18applicant's provisional eligibility status until a
19determination is made on the individual's application for
20long-term care services. The Department of Healthcare and
21Family Services or the managed care organization, if
22applicable, must reimburse providers for services rendered
23during an applicant's provisional eligibility period.
24        (1) Claims for services rendered to an applicant with
25    provisional eligibility status must be submitted and
26    processed in the same manner as those submitted on behalf

 

 

SB2435- 1473 -LRB102 04062 AMC 14078 b

1    of beneficiaries determined to qualify for benefits.
2        (2) An applicant with provisional eligibility status
3    must have his or her long-term care benefits paid for
4    under the State's fee-for-service system during the period
5    of provisional eligibility. If an individual otherwise
6    eligible for medical assistance under Article V of this
7    Code is enrolled with a managed care organization for
8    community benefits at the time the individual's
9    provisional eligibility for long-term care services is
10    issued, the managed care organization is only responsible
11    for paying benefits covered under the capitation payment
12    received by the managed care organization for the
13    individual.
14        (3) The Department of Healthcare and Family Services,
15    within 10 business days of issuing provisional eligibility
16    to an applicant, must submit to the Office of the
17    Comptroller for payment a voucher for all retroactive
18    reimbursement due. The Department of Healthcare and Family
19    Services must clearly identify such vouchers as
20    provisional eligibility vouchers.
21(Source: P.A. 100-380, eff. 8-25-17; 100-665, eff. 8-2-18;
22100-1141, eff. 11-28-18; 101-101, eff. 1-1-20; 101-209, eff.
238-5-19; 101-265, eff. 8-9-19; 101-559, eff. 8-23-19; revised
249-19-19.)
 
25    (305 ILCS 5/12-4.13c)

 

 

SB2435- 1474 -LRB102 04062 AMC 14078 b

1    Sec. 12-4.13c. SNAP Restaurant Meals Program.
2    (a) Subject to federal approval of the plan for operating
3the Program, the Department of Human Services shall establish
4a Restaurant Meals Program as part of the federal Supplemental
5Nutrition Assistance Program (SNAP). Under the Restaurant
6Meals Program, households containing elderly or disabled
7members, and their spouses, as defined in 7 U.S.C. 2012(j), or
8homeless individuals, as defined in 7 U.S.C. 2012(l), shall
9have the option in accordance with 7 U.S.C. 2012(k) to redeem
10their SNAP benefits at private establishments that contract
11with the Department to offer meals for eligible individuals at
12concessional prices subject to 7 U.S.C. 2018(h). The
13Restaurant Meals Program shall be operational no later than
14July 1, 2021.
15    (b) The Department of Human Services shall adopt any rules
16necessary to implement the provisions of this Section.
17(Source: P.A. 101-10, eff. 6-5-19; 101-110, eff. 7-19-19.)
 
18    (305 ILCS 5/12-4.13d)
19    Sec. 12-4.13d 12-4.13c. SNAP eligibility notification;
20college students.
21    (a) To complement student financial assistance programs
22and to enhance their effectiveness for students with financial
23need, the Illinois Student Assistance Commission (ISAC) shall
24annually include information about the Supplemental Nutrition
25Assistance Program (SNAP) in the language that schools are

 

 

SB2435- 1475 -LRB102 04062 AMC 14078 b

1required to provide to students eligible for the Monetary
2Award Program grant. The language shall, at a minimum, direct
3students to information about college student eligibility
4criteria for SNAP, and it shall direct students to the
5Department of Human Services and to the Illinois Hunger
6Coalition's Hunger Hotline for additional information.
7    (b) Illinois institutions of higher education that
8participate in the Monetary Award Program (MAP) shall provide
9the notice described in subsection (a) to all students who are
10enrolled, or who are accepted for enrollment and intending to
11enroll, and who have been identified by ISAC as MAP-eligible
12at the institution. If possible, the institution may designate
13a public benefits liaison or single point person to assist
14students in taking the necessary steps to obtain public
15benefits if eligible.
16    (c) ISAC shall adopt any rules necessary to implement the
17provisions of this Section on or before October 1, 2020.
18(Source: P.A. 101-560, eff. 8-23-19; revised 10-22-19.)
 
19    Section 610. The Intergenerational Poverty Act is amended
20by changing Sections 95-102, 95-301, 95-304, and 95-502 as
21follows:
 
22    (305 ILCS 70/95-102)
23    Sec. 95-102. Definitions. As used in this Act:
24    "Antipoverty program" means a program with the primary

 

 

SB2435- 1476 -LRB102 04062 AMC 14078 b

1goal of lifting individuals out of poverty and improving
2economic opportunities for individuals that operates, in whole
3or in part, utilizing federal or State money.
4    "Asset poverty" means the inability of an individual to
5access wealth resources sufficient to provide for basic needs
6for a period of 3 months.
7    "Child" means an individual who is under 18 years of age.
8    "Commission" means the Commission on Poverty Elimination
9and Economic Security established under subsection (a) of
10Section 95-501 501.
11    "State poverty measure" means a uniform method for
12measuring poverty in this State that considers indicators and
13measures, other than traditional income-based measures of
14poverty, that provide a detailed picture of low-income and
15poverty populations and meaningfully account for other factors
16contributing to poverty and may include:
17        (1) access to health care, housing, proper nutrition,
18    and quality education;
19        (2) the number of individuals kept out of poverty by
20    government supports;
21        (3) the number of individuals who are impoverished due
22    to medical expenses, child care child-care expenses, or
23    work expenses;
24        (4) the rates of food insecurity;
25        (5) the number of individuals in asset poverty;
26        (6) the number of disconnected youth;

 

 

SB2435- 1477 -LRB102 04062 AMC 14078 b

1        (7) the teen birth rate;
2        (8) the participation rate in federal and State
3    antipoverty programs for all eligible populations;
4        (9) the number of individuals who do not use a bank or
5    similar financial institution;
6        (10) regional differences in costs of living;
7        (11) income necessary to achieve economic security and
8    a livable standard of living in different regions of this
9    State;
10        (12) the impact of rising income inequality;
11        (13) the impact of the digital divide; and
12        (14) the impact of trauma on intergenerational
13    poverty.
14    "Cycle of poverty" means the set of factors or events by
15which the long-term poverty of an individual is likely to
16continue and be experienced by each child of the individual
17when the child becomes an adult unless there is outside
18intervention.
19    "Deep poverty" means an economic condition where an
20individual or family has a total annual income that is less
21than 50% of the federal poverty level for the individual or
22family as provided in the annual report of the United States
23Census Bureau on Income, Poverty and Health Insurance Coverage
24in the United States.
25    "Department" means the Department of Human Services.
26    "Deprivation" means a lack of adequate nutrition, health

 

 

SB2435- 1478 -LRB102 04062 AMC 14078 b

1care, housing, or other resources to provide for basic needs.
2    "Digital divide" means the gap between individuals,
3households, businesses, and geographic areas at different
4socioeconomic levels related to access to information and
5communication technologies, including the imbalance in
6physical access to technology and the resources, education,
7and skills needed to effectively use computer technology and
8the Internet for a wide variety of activities.
9    "Disconnected youth" means individuals who are 16 years of
10age to 25 years of age who are unemployed and not enrolled in
11school.
12    "Disparate impact" means the historic and ongoing impacts
13of the pattern and practice of discrimination in employment,
14education, housing, banking, and other aspects of life in the
15economy, society, or culture that have an adverse impact on
16minorities, women, or other protected groups, regardless of
17whether those practices are motivated by discriminatory
18intent.
19    "Economic insecurity" means the inability to cope with
20routine adverse or costly life events and recover from the
21costly consequences of those events and the lack of economic
22means to maintain an adequate standard of living.
23    "Economic security" means having access to the economic
24means and support necessary to effectively cope with adverse
25or costly life events and recover from the consequences of
26such events while maintaining an adequate standard of living.

 

 

SB2435- 1479 -LRB102 04062 AMC 14078 b

1    "Intergenerational poverty" means poverty in which 2 or
2more successive generations of a family continue in the cycle
3of poverty and government dependence. The term does not
4include situational poverty.
5    "Outcome" means a change in the economic status, economic
6instability, or economic security of an individual, household,
7or other population that is attributable to a planned
8intervention, benefit, service, or series of interventions,
9benefits, and services, regardless of whether the
10intervention, benefit, or service was intended to change the
11economic status, economic stability, or economic security.
12    "Poverty" means an economic condition in which an
13individual or family has a total annual income that is less
14than the federal poverty level for the individual or family,
15as provided in the report of the United States Census Bureau on
16Income, Poverty and Health Insurance Coverage in the United
17States.
18    "Regional cost of living" means a measure of the costs of
19maintaining an adequate standard of living in differing
20regional, geographic, urban, or rural regions of this State.
21    "Situational poverty" means temporary poverty that meets
22all of the following:
23        (1) Is generally traceable to a specific incident or
24    time period within the lifetime of an individual.
25        (2) Is not continued to the next generation.
26    "Strategic plan" means the plan provided for under Section

 

 

SB2435- 1480 -LRB102 04062 AMC 14078 b

195-502 502.
2    "System" means the Intergenerational Poverty Tracking
3System established under subsection (a) of Section 95-301 301.
4    "Two-generation approach" means an approach to breaking
5the cycle of intergenerational poverty by improving family
6economic security through programs that create opportunities
7for and address the needs of parents and children together.
8    "Workgroup" means the Interagency Workgroup on Poverty and
9Economic Insecurity established under Section 95-302 302.
10(Source: P.A. 101-636, eff. 6-10-20; revised 8-26-20.)
 
11    (305 ILCS 70/95-301)
12    Sec. 95-301. Intergenerational poverty tracking system.
13    (a) Establishment. Subject to appropriations, the
14Department shall establish and maintain a data system to track
15intergenerational poverty.
16    (b) System requirements. The system shall have the ability
17to do all of the following:
18        (1) Identify groups that have a high risk of
19    experiencing intergenerational poverty.
20        (2) Identify incidents, patterns, and trends that
21    explain or contribute to intergenerational poverty.
22        (3) Gather and track available local, State, and
23    national data on all of the following:
24            (i) Official poverty rates.
25            (ii) Child poverty rates.

 

 

SB2435- 1481 -LRB102 04062 AMC 14078 b

1            (iii) Years spent by an individual in childhood
2        poverty.
3            (iv) Years spent by an individual in adult
4        poverty.
5            (v) Related poverty information.
6    (c) Duties of the Department. The Department shall do all
7of the following:
8        (1) Use available data in the system, including public
9    assistance data, census data, and other data made
10    available to the Department, to track intergenerational
11    poverty.
12        (2) Develop and implement methods to integrate,
13    compare, analyze, and validate the data for the purposes
14    described under subsection (b).
15        (3) Protect the privacy of an individual living in
16    poverty by using and distributing data within the system
17    in compliance with federal and State laws.
18        (4) Include, in the report required under Section
19    95-304 304, a summary of the data, findings, and potential
20    additional uses of the system.
21(Source: P.A. 101-636, eff. 6-10-20; revised 8-26-20.)
 
22    (305 ILCS 70/95-304)
23    Sec. 95-304. Report.
24    (a) Report. No later than September 1 of each year, the
25workgroup shall issue a report that includes the following:

 

 

SB2435- 1482 -LRB102 04062 AMC 14078 b

1        (1) A summary of actions taken and outcomes obtained
2    by the workgroup in fulfilling its duties under Section
3    95-303 303.
4        (2) Progress made on reducing poverty and economic
5    insecurity in this State, including policies or procedures
6    implemented to reduce or eliminate the cycle of poverty
7    and intergenerational poverty as a result of the data
8    collected by the workgroup.
9        (3) Relevant data assessing the scope and depth of
10    intergenerational poverty in this State.
11        (4) A 20-year history of poverty rates in this State
12    with focus on any reduction or increase in the rates
13    during the previous 10 years and since the inception of
14    the workgroup.
15        (5) Any recommendations for legislative or regulatory
16    action to adopt or repeal laws, policies, or procedures to
17    further the goal of eliminating poverty and economic
18    insecurity in this State.
19    (b) Distribution. The workgroup shall distribute the
20report created under subsection (a) as follows:
21        (1) To the Governor.
22        (2) To each member of the General Assembly.
23        (3) By prominently posting the report on each State
24    Department's and agency's publicly accessible Internet
25    website.
26(Source: P.A. 101-636, eff. 6-10-20; revised 8-26-20.)
 

 

 

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1    (305 ILCS 70/95-502)
2    Sec. 95-502. Strategic plan to address poverty and
3economic insecurity.
4    (a) Plan required. No later than November 30, 2021, the
5Commission shall develop and adopt a strategic plan to address
6poverty and economic insecurity in this State.
7    (b) Goals. The goals of the strategic plan shall be to:
8        (1) Ensure that State programs and services targeting
9    poverty and economic insecurity reflect the goal of
10    helping individuals and families rise above poverty and
11    achieve long-term economic stability rather than simply
12    providing relief from deprivation.
13        (2) Eliminate disparate rates of poverty, deep
14    poverty, child poverty, and intergenerational poverty
15    based on race, ethnicity, gender, age, sexual orientation
16    or identity, English language proficiency, ability, and
17    geographic location in a rural, urban, or suburban area.
18        (3) Reduce deep poverty in this State by 50% by 2026.
19        (4) Eliminate child poverty in this State by 2031.
20        (5) Eliminate all poverty in this State by 2036.
21    (c) Plan development. In developing the strategic plan,
22the Commission shall:
23        (1) Collaborate with the workgroup, including sharing
24    data and information identified under paragraphs (1) and
25    (3) of subsection (a) of Section 95-303 303 and analyses

 

 

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1    of that data and information.
2        (2) Review each program and service provided by the
3    State that targets poverty and economic insecurity for
4    purposes of:
5            (i) determining which programs and services are
6        the most effective and of the highest importance in
7        reducing poverty and economic insecurity in this
8        State; and
9            (ii) providing an analysis of unmet needs, if any,
10        among individuals, children, and families in deep
11        poverty and intergenerational poverty for each program
12        and service identified under subparagraph (i).
13        (3) Study the feasibility of using public or private
14    partnerships and social impact bonds, to improve
15    innovation and cost-effectiveness in the development of
16    programs and delivery of services that advance the goals
17    of the strategic plan.
18        (4) Hold at least 6 public hearings in different
19    geographic regions of this State, including areas that
20    have disparate rates of poverty and that have historically
21    experienced economic insecurity, to collect information,
22    take testimony, and solicit input and feedback from
23    interested parties, including members of the public who
24    have personal experiences with State programs and services
25    targeting economic insecurity, poverty, deep poverty,
26    child poverty, and intergenerational poverty and make the

 

 

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1    information publicly available.
2        (5) To request and receive from a State agency or
3    local governmental agency information relating to poverty
4    in this State, including all of the following:
5            (i) Reports.
6            (ii) Audits.
7            (iii) Data.
8            (iv) Projections.
9            (v) Statistics.
10    (d) Subject areas. The strategic plan shall address all of
11the following:
12        (1) Access to safe and affordable housing.
13        (2) Access to adequate food and nutrition.
14        (3) Access to affordable and quality health care.
15        (4) Equal access to quality education and training.
16        (5) Equal access to affordable, quality post-secondary
17    education options.
18        (6) Dependable and affordable transportation.
19        (7) Access to quality and affordable child care.
20        (8) Opportunities to engage in meaningful and
21    sustainable work that pays a living wage and barriers to
22    those opportunities experienced by low-income individuals
23    in poverty.
24        (9) Equal access to justice through a fair system of
25    criminal justice that does not, in effect, criminalize
26    poverty.

 

 

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1        (10) The availability of adequate income supports.
2        (11) Retirement security.
3    (e) Plan content. The strategic plan shall, at a minimum,
4contain policy and fiscal recommendations relating to all of
5the following:
6        (1) Developing fact-based measures to evaluate the
7    long-term effectiveness of existing and proposed programs
8    and services targeting poverty and economic insecurity.
9        (2) Increasing enrollment in programs and services
10    targeting poverty and economic insecurity by reducing the
11    complexity and difficulty of enrollment in order to
12    maximize program effectiveness and increase positive
13    outcomes.
14        (3) Increasing the reach of programs and services
15    targeting poverty and economic insecurity by ensuring that
16    State agencies have adequate resources to maximize the
17    public awareness of the programs and services, especially
18    in historically disenfranchised communities.
19        (4) Reducing the negative impacts of asset limits for
20    eligibility on the effectiveness of State programs
21    targeting poverty and economic insecurity by ensuring that
22    eligibility limits do not:
23            (i) create gaps in necessary service and benefit
24        delivery or restrict access to benefits as individuals
25        and families attempt to transition off assistance
26        programs; or

 

 

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1            (ii) prevent beneficiaries from improving
2        long-term outcomes and achieving long-term economic
3        independence from the program.
4        (5) Improving the ability of community-based
5    organizations to participate in the development and
6    implementation of State programs designed to address
7    economic insecurity and poverty.
8        (6) Improving the ability of individuals living in
9    poverty, low-income individuals, and unemployed
10    individuals to access critical job training and skills
11    upgrade programs and find quality jobs that help children
12    and families become economically secure and rise above
13    poverty.
14        (7) Improving communication and collaboration between
15    State agencies and local governments on programs targeting
16    poverty and economic insecurity.
17        (8) Creating efficiencies in the administration and
18    coordination of programs and services targeting poverty
19    and economic insecurity.
20        (9) Connecting low-income children, disconnected
21    youth, and families of those children and youth to
22    education, job training, and jobs in the communities in
23    which those children and youth live.
24        (10) Ensuring that the State's services and benefits
25    programs, emergency programs, discretionary economic
26    programs, and other policies are sufficiently funded to

 

 

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1    enable the State to mount effective responses to economic
2    downturns and increases in economic insecurity and poverty
3    rates.
4        (11) Creating one or more State poverty measures.
5        (12) Developing and implementing programs and policies
6    that use the two-generation approach.
7        (13) Using public or private partnerships and social
8    impact bonds to improve innovation and cost-effectiveness
9    in the development of programs and delivery of services
10    that advance the goals of the strategic plan.
11        (14) Identifying best practices for collecting data
12    relevant to all of the following:
13            (i) Reducing economic insecurity and poverty.
14            (ii) Reducing the racial, ethnic, age, gender,
15        sexual orientation, and sexual identity-based
16        disparities in the rates of economic insecurity and
17        poverty.
18            (iii) Adequately measuring the effectiveness,
19        efficiency, and impact of programs on the outcomes for
20        individuals, families, and communities who receive
21        benefits and services.
22            (iv) Streamlining enrollment and eligibility for
23        programs.
24            (v) Improving long-term outcomes for individuals
25        who are enrolled in service and benefit programs.
26            (vi) Reducing reliance on public programs.

 

 

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1            (vii) Improving connections to work.
2            (viii) Improving economic security.
3            (ix) Improving retirement security.
4            (x) Improving the State's understanding of the
5        impact of extreme weather and natural disasters on
6        economically vulnerable communities and improving
7        those communities' resilience to and recovery from
8        extreme weather and natural disasters.
9            (xi) Improving access to living-wage employment.
10            (xii) Improving access to employment-based
11        benefits.
12    (f) Other information. In addition to the plan content
13required under subsection (e), the strategic plan shall
14contain all of the following:
15        (1) A suggested timeline for the stages of
16    implementation of the recommendations in the plan.
17        (2) Short-term, intermediate-term, and long-term
18    benchmarks to measure the State's progress toward meeting
19    the goals of the strategic plan.
20        (3) A summary of the review and analysis conducted by
21    the Commission under paragraph (1) of subsection (c).
22    (g) Impact of recommendations. For each recommendation in
23the plan, the Commission shall identify in measurable terms
24the actual or potential impact the recommendation will have on
25poverty and economic insecurity in this State.
26(Source: P.A. 101-636, eff. 6-10-20; revised 9-2-20.)
 

 

 

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1    Section 615. The Abused and Neglected Child Reporting Act
2is amended by changing Section 7 as follows:
 
3    (325 ILCS 5/7)  (from Ch. 23, par. 2057)
4    Sec. 7. Time and manner of making reports. All reports of
5suspected child abuse or neglect made under this Act shall be
6made immediately by telephone to the central register
7established under Section 7.7 on the single, State-wide,
8toll-free telephone number established in Section 7.6, or in
9person or by telephone through the nearest Department office.
10The Department shall, in cooperation with school officials,
11distribute appropriate materials in school buildings listing
12the toll-free telephone number established in Section 7.6,
13including methods of making a report under this Act. The
14Department may, in cooperation with appropriate members of the
15clergy, distribute appropriate materials in churches,
16synagogues, temples, mosques, or other religious buildings
17listing the toll-free telephone number established in Section
187.6, including methods of making a report under this Act.
19    Wherever the Statewide number is posted, there shall also
20be posted the following notice:
21    "Any person who knowingly transmits a false report to the
22Department commits the offense of disorderly conduct under
23subsection (a)(7) of Section 26-1 of the Criminal Code of
242012. A violation of this subsection is a Class 4 felony."

 

 

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1    The report required by this Act shall include, if known,
2the name and address of the child and his parents or other
3persons having his custody; the child's age; the nature of the
4child's condition, including any evidence of previous injuries
5or disabilities; and any other information that the person
6filing the report believes might be helpful in establishing
7the cause of such abuse or neglect and the identity of the
8person believed to have caused such abuse or neglect. Reports
9made to the central register through the State-wide, toll-free
10telephone number shall be immediately transmitted by the
11Department to the appropriate Child Protective Service Unit.
12All such reports alleging the death of a child, serious injury
13to a child, including, but not limited to, brain damage, skull
14fractures, subdural hematomas, and internal injuries, torture
15of a child, malnutrition of a child, and sexual abuse to a
16child, including, but not limited to, sexual intercourse,
17sexual exploitation, sexual molestation, and sexually
18transmitted disease in a child age 12 and under, shall also be
19immediately transmitted by the Department to the appropriate
20local law enforcement agency. The Department shall within 24
21hours orally notify local law enforcement personnel and the
22office of the State's Attorney of the involved county of the
23receipt of any report alleging the death of a child, serious
24injury to a child, including, but not limited to, brain
25damage, skull fractures, subdural hematomas, and, internal
26injuries, torture of a child, malnutrition of a child, and

 

 

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1sexual abuse to a child, including, but not limited to, sexual
2intercourse, sexual exploitation, sexual molestation, and
3sexually transmitted disease in a child age 12 twelve and
4under. All oral reports made by the Department to local law
5enforcement personnel and the office of the State's Attorney
6of the involved county shall be confirmed in writing within 24
7hours of the oral report. All reports by persons mandated to
8report under this Act shall be confirmed in writing to the
9appropriate Child Protective Service Unit, which may be on
10forms supplied by the Department, within 48 hours of any
11initial report.
12    Any report received by the Department alleging the abuse
13or neglect of a child by a person who is not the child's
14parent, a member of the child's immediate family, a person
15responsible for the child's welfare, an individual residing in
16the same home as the child, or a paramour of the child's parent
17shall immediately be referred to the appropriate local law
18enforcement agency for consideration of criminal investigation
19or other action.
20    Written confirmation reports from persons not required to
21report by this Act may be made to the appropriate Child
22Protective Service Unit. Written reports from persons required
23by this Act to report shall be admissible in evidence in any
24judicial proceeding or administrative hearing relating to
25child abuse or neglect. Reports involving known or suspected
26child abuse or neglect in public or private residential

 

 

SB2435- 1493 -LRB102 04062 AMC 14078 b

1agencies or institutions shall be made and received in the
2same manner as all other reports made under this Act.
3    For purposes of this Section, "child" includes an adult
4resident as defined in this Act.
5(Source: P.A. 101-583, eff. 1-1-20; revised 11-21-19.)
 
6    Section 620. The Mental Health and Developmental
7Disabilities Code is amended by changing Sections 2-110.1 and
82-110.5 and by renumbering Section 3-5A-105 as follows:
 
9    (405 ILCS 5/2-110.1)
10    Sec. 2-110.1. Reports.
11    (a) A mental hospital or facility at which
12electroconvulsive electro-convulsive therapy is administered
13shall submit to the Department quarterly reports relating to
14the administration of the therapy for the purposes of reducing
15morbidity or mortality and improving patient care.
16    (b) A report shall state the following for each quarter:
17        (1) The number of persons who received the therapy,
18    including:
19            (A) the number of persons who gave informed
20        consent to the therapy;
21            (B) the number of persons confined as subject to
22        involuntary admission who gave informed consent to the
23        therapy;
24            (C) the number of persons who received the therapy

 

 

SB2435- 1494 -LRB102 04062 AMC 14078 b

1        without informed consent pursuant to Section 2-107.1;
2        and
3            (D) the number of persons who received the therapy
4        on an emergency basis pursuant to subsection (d) of
5        Section 2-107.1.
6        (2) The age, sex, and race of the recipients of the
7    therapy.
8        (3) The source of the treatment payment.
9        (4) The average number of electroconvulsive
10    electro-convulsive treatments administered for each
11    complete series of treatments, but not including
12    maintenance treatments.
13        (5) The average number of maintenance
14    electroconvulsive electro-convulsive treatments
15    administered per month.
16        (6) Any significant adverse reactions to the treatment
17    as defined by rule.
18        (7) Autopsy findings if death followed within 14 days
19    after the date of the administration of the therapy.
20        (8) Any other information required by the Department
21    by rule.
22    (c) The Department shall prepare and publish an annual
23written report summarizing the information received under this
24Section. The report shall not contain any information that
25identifies or tends to identify any facility, physician,
26health care provider, or patient.

 

 

SB2435- 1495 -LRB102 04062 AMC 14078 b

1(Source: P.A. 90-538, eff. 12-1-97; revised 7-18-19.)
 
2    (405 ILCS 5/2-110.5)
3    Sec. 2-110.5. Electroconvulsive Electro-convulsive
4therapy for minors. If a recipient is a minor, that
5recipient's parent or guardian is authorized, only with the
6approval of the court under the procedures set out in Section
72-107.1, to provide consent for participation of the minor in
8electroconvulsive electro-convulsive therapy if the parent or
9guardian deems it to be in the best interest of the minor. In
10addition to the requirements in Section 2-107.1, prior to the
11court entering an order approving treatment by
12electroconvulsive electro-convulsive therapy, 2 licensed
13psychiatrists, one of which may be the minor's treating
14psychiatrist, who have examined the patient must concur in the
15determination that the minor should participate in treatment
16by electroconvulsive electro-convulsive therapy.
17(Source: P.A. 91-74, eff. 7-9-99; revised 7-18-19.)
 
18    (405 ILCS 5/3-550)
19    Sec. 3-550 3-5A-105. Minors 12 years of age or older
20request to receive counseling services or psychotherapy on an
21outpatient basis.
22    (a) Any minor 12 years of age or older may request and
23receive counseling services or psychotherapy on an outpatient
24basis. The consent of the minor's parent, guardian, or person

 

 

SB2435- 1496 -LRB102 04062 AMC 14078 b

1in loco parentis shall not be necessary to authorize
2outpatient counseling services or psychotherapy. However,
3until the consent of the minor's parent, guardian, or person
4in loco parentis has been obtained, outpatient counseling
5services or psychotherapy provided to a minor under the age of
617 shall be initially limited to not more than 8 90-minute
7sessions. The service provider shall consider the factors
8contained in subsection (a-1) of this Section throughout the
9therapeutic process to determine, through consultation with
10the minor, whether attempting to obtain the consent of a
11parent, guardian, or person in loco parentis would be
12detrimental to the minor's well-being. No later than the
13eighth session, the service provider shall determine and share
14with the minor the service provider's decision as described
15below:
16        (1) If the service provider finds that attempting to
17    obtain consent would not be detrimental to the minor's
18    well-being, the provider shall notify the minor that the
19    consent of a parent, guardian, or person in loco parentis
20    is required to continue counseling services or
21    psychotherapy.
22        (2) If the minor does not permit the service provider
23    to notify the parent, guardian, or person in loco parentis
24    for the purpose of consent after the eighth session the
25    service provider shall discontinue counseling services or
26    psychotherapy and shall not notify the parent, guardian,

 

 

SB2435- 1497 -LRB102 04062 AMC 14078 b

1    or person in loco parentis about the counseling services
2    or psychotherapy.
3        (3) If the minor permits the service provider to
4    notify the parent, guardian, or person in loco parentis
5    for the purpose of consent, without discontinuing
6    counseling services or psychotherapy, the service provider
7    shall make reasonable attempts to obtain consent. The
8    service provider shall document each attempt to obtain
9    consent in the minor's clinical record. The service
10    provider may continue to provide counseling services or
11    psychotherapy without the consent of the minor's parent,
12    guardian, or person in loco parentis if:
13            (A) the service provider has made at least 2
14        unsuccessful attempts to contact the minor's parent,
15        guardian, or person in loco parentis to obtain
16        consent; and
17            (B) the service provider has obtained the minor's
18        written consent.
19        (4) If, after the eighth session, the service provider
20    of counseling services or psychotherapy determines that
21    obtaining consent would be detrimental to the minor's
22    well-being, the service provider shall consult with his or
23    her supervisor when possible to review and authorize the
24    determination under subsection (a) of this Section. The
25    service provider shall document the basis for the
26    determination in the minor's clinical record and may then

 

 

SB2435- 1498 -LRB102 04062 AMC 14078 b

1    accept the minor's written consent to continue to provide
2    counseling services or psychotherapy without also
3    obtaining the consent of a parent, guardian, or person in
4    loco parentis.
5        (5) If the minor continues to receive counseling
6    services or psychotherapy without the consent of a parent,
7    guardian, or person in loco parentis beyond 8 sessions,
8    the service provider shall evaluate, in consultation with
9    his or her supervisor when possible, his or her
10    determination under this subsection (a), and review the
11    determination every 60 days until counseling services or
12    psychotherapy ends or the minor reaches age 17. If it is
13    determined appropriate to notify the parent, guardian, or
14    person in loco parentis and the minor consents, the
15    service provider shall proceed under paragraph (3) of
16    subsection (a) of this Section.
17        (6) When counseling services or psychotherapy are
18    related to allegations of neglect, sexual abuse, or mental
19    or physical abuse by the minor's parent, guardian, or
20    person in loco parentis, obtaining consent of that parent,
21    guardian, or person in loco parentis shall be presumed to
22    be detrimental to the minor's well-being.
23    (a-1) Each of the following factors must be present in
24order for the service provider to find that obtaining the
25consent of a parent, guardian, or person in loco parentis
26would be detrimental to the minor's well-being:

 

 

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1        (1) requiring the consent or notification of a parent,
2    guardian, or person in loco parentis would cause the minor
3    to reject the counseling services or psychotherapy;
4        (2) the failure to provide the counseling services or
5    psychotherapy would be detrimental to the minor's
6    well-being;
7        (3) the minor has knowingly and voluntarily sought the
8    counseling services or psychotherapy; and
9        (4) in the opinion of the service provider, the minor
10    is mature enough to participate in counseling services or
11    psychotherapy productively.
12    (a-2) The minor's parent, guardian, or person in loco
13parentis shall not be informed of the counseling services or
14psychotherapy without the written consent of the minor unless
15the service provider believes the disclosure is necessary
16under subsection (a) of this Section. If the facility director
17or service provider intends to disclose the fact of counseling
18services or psychotherapy, the minor shall be so informed and
19if the minor chooses to discontinue counseling services or
20psychotherapy after being informed of the decision of the
21facility director or service provider to disclose the fact of
22counseling services or psychotherapy to the parent, guardian,
23or person in loco parentis, then the parent, guardian, or
24person in loco parentis shall not be notified. Under the
25Mental Health and Developmental Disabilities Confidentiality
26Act, the facility director, his or her designee, or the

 

 

SB2435- 1500 -LRB102 04062 AMC 14078 b

1service provider shall not allow the minor's parent, guardian,
2or person in loco parentis, upon request, to inspect or copy
3the minor's record or any part of the record if the service
4provider finds that there are compelling reasons for denying
5the access. Nothing in this Section shall be interpreted to
6limit a minor's privacy and confidentiality protections under
7State law.
8    (b) The minor's parent, guardian, or person in loco
9parentis shall not be liable for the costs of outpatient
10counseling services or psychotherapy which is received by the
11minor without the consent of the minor's parent, guardian, or
12person in loco parentis.
13    (c) Counseling services or psychotherapy provided under
14this Section shall be provided in compliance with the
15Professional Counselor and Clinical Professional Counselor
16Licensing and Practice Act, the Clinical Social Work and
17Social Work Practice Act, or the Clinical Psychologist
18Licensing Act.
19(Source: P.A. 100-614, eff. 7-20-18; revised 7-11-19.)
 
20    Section 625. The Maternal Mental Health Conditions
21Education, Early Diagnosis, and Treatment Act is amended by
22changing Section 1 as follows:
 
23    (405 ILCS 120/1)
24    Sec. 1. Short title. This Act may be cited as the the

 

 

SB2435- 1501 -LRB102 04062 AMC 14078 b

1Maternal Mental Health Conditions Education, Early Diagnosis,
2and Treatment Act.
3(Source: P.A. 101-512, eff. 1-1-20; revised 12-21-20.)
 
4    Section 630. The Compassionate Use of Medical Cannabis
5Program Act is amended by changing Sections 25, 35, 36, 75, and
6160 as follows:
 
7    (410 ILCS 130/25)
8    Sec. 25. Immunities and presumptions related to the
9medical use of cannabis.
10    (a) A registered qualifying patient is not subject to
11arrest, prosecution, or denial of any right or privilege,
12including, but not limited to, civil penalty or disciplinary
13action by an occupational or professional licensing board, for
14the medical use of cannabis in accordance with this Act, if the
15registered qualifying patient possesses an amount of cannabis
16that does not exceed an adequate supply as defined in
17subsection (a) of Section 10 of this Act of usable cannabis
18and, where the registered qualifying patient is a licensed
19professional, the use of cannabis does not impair that
20licensed professional when he or she is engaged in the
21practice of the profession for which he or she is licensed.
22    (b) A registered designated caregiver is not subject to
23arrest, prosecution, or denial of any right or privilege,
24including, but not limited to, civil penalty or disciplinary

 

 

SB2435- 1502 -LRB102 04062 AMC 14078 b

1action by an occupational or professional licensing board, for
2acting in accordance with this Act to assist a registered
3qualifying patient to whom he or she is connected through the
4Department's registration process with the medical use of
5cannabis if the designated caregiver possesses an amount of
6cannabis that does not exceed an adequate supply as defined in
7subsection (a) of Section 10 of this Act of usable cannabis. A
8school nurse or school administrator is not subject to arrest,
9prosecution, or denial of any right or privilege, including,
10but not limited to, a civil penalty, for acting in accordance
11with Section 22-33 of the School Code relating to
12administering or assisting a student in self-administering a
13medical cannabis infused product. The total amount possessed
14between the qualifying patient and caregiver shall not exceed
15the patient's adequate supply as defined in subsection (a) of
16Section 10 of this Act.
17    (c) A registered qualifying patient or registered
18designated caregiver is not subject to arrest, prosecution, or
19denial of any right or privilege, including, but not limited
20to, civil penalty or disciplinary action by an occupational or
21professional licensing board for possession of cannabis that
22is incidental to medical use, but is not usable cannabis as
23defined in this Act.
24    (d)(1) There is a rebuttable presumption that a registered
25qualifying patient is engaged in, or a designated caregiver is
26assisting with, the medical use of cannabis in accordance with

 

 

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1this Act if the qualifying patient or designated caregiver:
2        (A) is in possession of a valid registry
3    identification card; and
4        (B) is in possession of an amount of cannabis that
5    does not exceed the amount allowed under subsection (a) of
6    Section 10.
7    (2) The presumption may be rebutted by evidence that
8conduct related to cannabis was not for the purpose of
9treating or alleviating the qualifying patient's debilitating
10medical condition or symptoms associated with the debilitating
11medical condition in compliance with this Act.
12    (e) A certifying health care professional is not subject
13to arrest, prosecution, or penalty in any manner, or denial of
14denied any right or privilege, including, but not limited to,
15civil penalty or disciplinary action by the Medical
16Disciplinary Board or by any other occupational or
17professional licensing board, solely for providing written
18certifications or for otherwise stating that, in the
19certifying health care professional's professional opinion, a
20patient is likely to receive therapeutic or palliative benefit
21from the medical use of cannabis to treat or alleviate the
22patient's debilitating medical condition or symptoms
23associated with the debilitating medical condition, provided
24that nothing shall prevent a professional licensing or
25disciplinary board from sanctioning a certifying health care
26professional for: (1) issuing a written certification to a

 

 

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1patient who is not under the certifying health care
2professional's care for a debilitating medical condition; or
3(2) failing to properly evaluate a patient's medical condition
4or otherwise violating the standard of care for evaluating
5medical conditions.
6    (f) No person may be subject to arrest, prosecution, or
7denial of any right or privilege, including, but not limited
8to, civil penalty or disciplinary action by an occupational or
9professional licensing board, solely for: (1) selling cannabis
10paraphernalia to a cardholder upon presentation of an
11unexpired registry identification card in the recipient's
12name, if employed and registered as a dispensing agent by a
13registered dispensing organization; (2) being in the presence
14or vicinity of the medical use of cannabis as allowed under
15this Act; or (3) assisting a registered qualifying patient
16with the act of administering cannabis.
17    (g) A registered cultivation center is not subject to
18prosecution; search or inspection, except by the Department of
19Agriculture, Department of Public Health, or State or local
20law enforcement under Section 130; seizure; or penalty in any
21manner, or denial of be denied any right or privilege,
22including, but not limited to, civil penalty or disciplinary
23action by a business licensing board or entity, for acting
24under this Act and Department of Agriculture rules to:
25acquire, possess, cultivate, manufacture, deliver, transfer,
26transport, supply, or sell cannabis to registered dispensing

 

 

SB2435- 1505 -LRB102 04062 AMC 14078 b

1organizations.
2    (h) A registered cultivation center agent is not subject
3to prosecution, search, or penalty in any manner, or denial of
4be denied any right or privilege, including, but not limited
5to, civil penalty or disciplinary action by a business
6licensing board or entity, for working or volunteering for a
7registered cannabis cultivation center under this Act and
8Department of Agriculture rules, including to perform the
9actions listed under subsection (g).
10    (i) A registered dispensing organization is not subject to
11prosecution; search or inspection, except by the Department of
12Financial and Professional Regulation or State or local law
13enforcement pursuant to Section 130; seizure; or penalty in
14any manner, or denial of be denied any right or privilege,
15including, but not limited to, civil penalty or disciplinary
16action by a business licensing board or entity, for acting
17under this Act and Department of Financial and Professional
18Regulation rules to: acquire, possess, or dispense cannabis,
19or related supplies, and educational materials to registered
20qualifying patients or registered designated caregivers on
21behalf of registered qualifying patients.
22    (j) A registered dispensing organization agent is not
23subject to prosecution, search, or penalty in any manner, or
24denial of be denied any right or privilege, including, but not
25limited to, civil penalty or disciplinary action by a business
26licensing board or entity, for working or volunteering for a

 

 

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1dispensing organization under this Act and Department of
2Financial and Professional Regulation rules, including to
3perform the actions listed under subsection (i).
4    (k) Any cannabis, cannabis paraphernalia, illegal
5property, or interest in legal property that is possessed,
6owned, or used in connection with the medical use of cannabis
7as allowed under this Act, or acts incidental to that use, may
8not be seized or forfeited. This Act does not prevent the
9seizure or forfeiture of cannabis exceeding the amounts
10allowed under this Act, nor shall it prevent seizure or
11forfeiture if the basis for the action is unrelated to the
12cannabis that is possessed, manufactured, transferred, or used
13under this Act.
14    (l) Mere possession of, or application for, a registry
15identification card or registration certificate does not
16constitute probable cause or reasonable suspicion, nor shall
17it be used as the sole basis to support the search of the
18person, property, or home of the person possessing or applying
19for the registry identification card. The possession of, or
20application for, a registry identification card does not
21preclude the existence of probable cause if probable cause
22exists on other grounds.
23    (m) Nothing in this Act shall preclude local or State law
24enforcement agencies from searching a registered cultivation
25center where there is probable cause to believe that the
26criminal laws of this State have been violated and the search

 

 

SB2435- 1507 -LRB102 04062 AMC 14078 b

1is conducted in conformity with the Illinois Constitution, the
2Constitution of the United States, and all State statutes.
3    (n) Nothing in this Act shall preclude local or State
4state law enforcement agencies from searching a registered
5dispensing organization where there is probable cause to
6believe that the criminal laws of this State have been
7violated and the search is conducted in conformity with the
8Illinois Constitution, the Constitution of the United States,
9and all State statutes.
10    (o) No individual employed by the State of Illinois shall
11be subject to criminal or civil penalties for taking any
12action in accordance with the provisions of this Act, when the
13actions are within the scope of his or her employment.
14Representation and indemnification of State employees shall be
15provided to State employees as set forth in Section 2 of the
16State Employee Indemnification Act.
17    (p) No law enforcement or correctional agency, nor any
18individual employed by a law enforcement or correctional
19agency, shall be subject to criminal or civil liability,
20except for willful and wanton misconduct, as a result of
21taking any action within the scope of the official duties of
22the agency or individual to prohibit or prevent the possession
23or use of cannabis by a cardholder incarcerated at a
24correctional facility, jail, or municipal lockup facility, on
25parole or mandatory supervised release, or otherwise under the
26lawful jurisdiction of the agency or individual.

 

 

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1(Source: P.A. 101-363, eff. 8-19-19; 101-370, eff. 1-1-20;
2revised 9-24-19.)
 
3    (410 ILCS 130/35)
4    Sec. 35. Certifying health care professional requirements.
5    (a) A certifying health care professional who certifies a
6debilitating medical condition for a qualifying patient shall
7comply with all of the following requirements:
8        (1) The certifying health care professional shall be
9    currently licensed under the Medical Practice Act of 1987
10    to practice medicine in all its branches, the Nurse
11    Practice Act, or the Physician Assistant Practice Act of
12    1987, shall be in good standing, and must hold a
13    controlled substances license under Article III of the
14    Illinois Controlled Substances Act.
15        (2) A certifying health care professional certifying a
16    patient's condition shall comply with generally accepted
17    standards of medical practice, the provisions of the Act
18    under which he or she is licensed and all applicable
19    rules.
20        (3) The physical examination required by this Act may
21    not be performed by remote means, including telemedicine.
22        (4) The certifying health care professional shall
23    maintain a record-keeping system for all patients for whom
24    the certifying health care professional has certified the
25    patient's medical condition. These records shall be

 

 

SB2435- 1509 -LRB102 04062 AMC 14078 b

1    accessible to and subject to review by the Department of
2    Public Health and the Department of Financial and
3    Professional Regulation upon request.
4    (b) A certifying health care professional may not:
5        (1) accept, solicit, or offer any form of remuneration
6    from or to a qualifying patient, primary caregiver,
7    cultivation center, or dispensing organization, including
8    each principal officer, board member, agent, and employee,
9    to certify a patient, other than accepting payment from a
10    patient for the fee associated with the required
11    examination, except for the limited purpose of performing
12    a medical cannabis-related research study;
13        (1.5) accept, solicit, or offer any form of
14    remuneration from or to a medical cannabis cultivation
15    center or dispensary organization for the purposes of
16    referring a patient to a specific dispensary organization;
17        (1.10) engage in any activity that is prohibited under
18    Section 22.2 of the Medical Practice Act of 1987,
19    regardless of whether the certifying health care
20    professional is a physician, advanced practice registered
21    nurse, or physician assistant;
22        (2) offer a discount of any other item of value to a
23    qualifying patient who uses or agrees to use a particular
24    primary caregiver or dispensing organization to obtain
25    medical cannabis;
26        (3) conduct a personal physical examination of a

 

 

SB2435- 1510 -LRB102 04062 AMC 14078 b

1    patient for purposes of diagnosing a debilitating medical
2    condition at a location where medical cannabis is sold or
3    distributed or at the address of a principal officer,
4    agent, or employee or a medical cannabis organization;
5        (4) hold a direct or indirect economic interest in a
6    cultivation center or dispensing organization if he or she
7    recommends the use of medical cannabis to qualified
8    patients or is in a partnership or other fee or
9    profit-sharing relationship with a certifying health care
10    professional who recommends medical cannabis, except for
11    the limited purpose of performing a medical
12    cannabis-related cannabis related research study;
13        (5) serve on the board of directors or as an employee
14    of a cultivation center or dispensing organization;
15        (6) refer patients to a cultivation center, a
16    dispensing organization, or a registered designated
17    caregiver; or
18        (7) advertise in a cultivation center or a dispensing
19    organization.
20    (c) The Department of Public Health may with reasonable
21cause refer a certifying health care professional, who has
22certified a debilitating medical condition of a patient, to
23the Illinois Department of Financial and Professional
24Regulation for potential violations of this Section.
25    (d) Any violation of this Section or any other provision
26of this Act or rules adopted under this Act is a violation of

 

 

SB2435- 1511 -LRB102 04062 AMC 14078 b

1the certifying health care professional's licensure act.
2    (e) A certifying health care professional who certifies a
3debilitating medical condition for a qualifying patient may
4notify the Department of Public Health in writing: (1) if the
5certifying health care professional has reason to believe
6either that the registered qualifying patient has ceased to
7suffer from a debilitating medical condition; (2) that the
8bona fide health care professional-patient relationship has
9terminated; or (3) that continued use of medical cannabis
10would result in contraindication with the patient's other
11medication. The registered qualifying patient's registry
12identification card shall be revoked by the Department of
13Public Health after receiving the certifying health care
14professional's notification.
15    (f) Nothing in this Act shall preclude a certifying health
16care professional from referring a patient for health
17services, except when the referral is limited to certification
18purposes only, under this Act.
19(Source: P.A. 100-1114, eff. 8-28-18; 101-363, eff. 8-9-19;
20revised 12-9-19.)
 
21    (410 ILCS 130/36)
22    Sec. 36. Written certification.
23    (a) A certification confirming a patient's debilitating
24medical condition shall be written on a form provided by the
25Department of Public Health and shall include, at a minimum,

 

 

SB2435- 1512 -LRB102 04062 AMC 14078 b

1the following:
2        (1) the qualifying patient's name, date of birth, home
3    address, and primary telephone number;
4        (2) the certifying health care professional's name,
5    address, telephone number, email address, and medical,
6    advanced advance practice registered nurse, or physician
7    assistant license number, and the last 4 digits, only, of
8    his or her active controlled substances license under the
9    Illinois Controlled Substances Act and indication of
10    specialty or primary area of clinical practice, if any;
11        (3) the qualifying patient's debilitating medical
12    condition;
13        (4) a statement that the certifying health care
14    professional has confirmed a diagnosis of a debilitating
15    condition; is treating or managing treatment of the
16    patient's debilitating condition; has a bona fide health
17    care professional-patient relationship; has conducted an
18    in-person physical examination; and has conducted a review
19    of the patient's medical history, including reviewing
20    medical records from other treating health care
21    professionals, if any, from the previous 12 months;
22        (5) the certifying health care professional's
23    signature and date of certification; and
24        (6) a statement that a participant in possession of a
25    written certification indicating a debilitating medical
26    condition shall not be considered an unlawful user or

 

 

SB2435- 1513 -LRB102 04062 AMC 14078 b

1    addicted to narcotics solely as a result of his or her
2    pending application to or participation in the
3    Compassionate Use of Medical Cannabis Program.
4    (b) A written certification does not constitute a
5prescription for medical cannabis.
6    (c) Applications for qualifying patients under 18 years
7old shall require a written certification from a certifying
8health care professional and a reviewing certifying health
9care professional.
10    (d) A certification confirming the patient's eligibility
11to participate in the Opioid Alternative Pilot Program shall
12be written on a form provided by the Department of Public
13Health and shall include, at a minimum, the following:
14        (1) the participant's name, date of birth, home
15    address, and primary telephone number;
16        (2) the certifying health care professional's name,
17    address, telephone number, email address, and medical,
18    advanced advance practice registered nurse, or physician
19    assistant license number, and the last 4 digits, only, of
20    his or her active controlled substances license under the
21    Illinois Controlled Substances Act and indication of
22    specialty or primary area of clinical practice, if any;
23        (3) the certifying health care professional's
24    signature and date;
25        (4) the length of participation in the program, which
26    shall be limited to no more than 90 days;

 

 

SB2435- 1514 -LRB102 04062 AMC 14078 b

1        (5) a statement identifying the patient has been
2    diagnosed with and is currently undergoing treatment for a
3    medical condition where an opioid has been or could be
4    prescribed; and
5        (6) a statement that a participant in possession of a
6    written certification indicating eligibility to
7    participate in the Opioid Alternative Pilot Program shall
8    not be considered an unlawful user or addicted to
9    narcotics solely as a result of his or her eligibility or
10    participation in the program.
11    (e) The Department of Public Health may provide a single
12certification form for subsections (a) and (d) of this
13Section, provided that all requirements of those subsections
14are included on the form.
15    (f) The Department of Public Health shall not include the
16word "cannabis" on any application forms or written
17certification forms that it issues under this Section.
18    (g) A written certification does not constitute a
19prescription.
20    (h) It is unlawful for any person to knowingly submit a
21fraudulent certification to be a qualifying patient in the
22Compassionate Use of Medical Cannabis Program or an Opioid
23Alternative Pilot Program participant. A violation of this
24subsection shall result in the person who has knowingly
25submitted the fraudulent certification being permanently
26banned from participating in the Compassionate Use of Medical

 

 

SB2435- 1515 -LRB102 04062 AMC 14078 b

1Cannabis Program or the Opioid Alternative Pilot Program.
2(Source: P.A. 100-1114, eff. 8-28-18; 101-363, eff. 8-9-19;
3revised 12-9-19.)
 
4    (410 ILCS 130/75)
5    Sec. 75. Notifications to Department of Public Health and
6responses; civil penalty.
7    (a) The following notifications and Department of Public
8Health responses are required:
9        (1) A registered qualifying patient shall notify the
10    Department of Public Health of any change in his or her
11    name or address, or if the registered qualifying patient
12    ceases to have his or her debilitating medical condition,
13    within 10 days of the change.
14        (2) A registered designated caregiver shall notify the
15    Department of Public Health of any change in his or her
16    name or address, or if the designated caregiver becomes
17    aware the registered qualifying patient passed away,
18    within 10 days of the change.
19        (3) Before a registered qualifying patient changes his
20    or her designated caregiver, the qualifying patient must
21    notify the Department of Public Health.
22        (4) If a cardholder loses his or her registry
23    identification card, he or she shall notify the Department
24    within 10 days of becoming aware the card has been lost.
25    (b) When a cardholder notifies the Department of Public

 

 

SB2435- 1516 -LRB102 04062 AMC 14078 b

1Health of items listed in subsection (a), but remains eligible
2under this Act, the Department of Public Health shall issue
3the cardholder a new registry identification card with a new
4random alphanumeric identification number within 15 business
5days of receiving the updated information and a fee as
6specified in Department of Public Health rules. If the person
7notifying the Department of Public Health is a registered
8qualifying patient, the Department shall also issue his or her
9registered designated caregiver, if any, a new registry
10identification card within 15 business days of receiving the
11updated information.
12    (c) If a registered qualifying patient ceases to be a
13registered qualifying patient or changes his or her registered
14designated caregiver, the Department of Public Health shall
15promptly notify the designated caregiver. The registered
16designated caregiver's protections under this Act as to that
17qualifying patient shall expire 15 days after notification by
18the Department.
19    (d) A cardholder who fails to make a notification to the
20Department of Public Health that is required by this Section
21is subject to a civil infraction, punishable by a penalty of no
22more than $150.
23    (e) A registered qualifying patient shall notify the
24Department of Public Health of any change to his or her
25designated registered dispensing organization. The Department
26of Public Health shall provide for immediate changes of a

 

 

SB2435- 1517 -LRB102 04062 AMC 14078 b

1registered qualifying patient's designated registered
2dispensing organization. Registered dispensing organizations
3must comply with all requirements of this Act.
4    (f) If the registered qualifying patient's certifying
5certifying health care professional notifies the Department in
6writing that either the registered qualifying patient has
7ceased to suffer from a debilitating medical condition, that
8the bona fide health care professional-patient relationship
9has terminated, or that continued use of medical cannabis
10would result in contraindication with the patient's other
11medication, the card shall become null and void. However, the
12registered qualifying patient shall have 15 days to destroy
13his or her remaining medical cannabis and related
14paraphernalia.
15(Source: P.A. 100-1114, eff. 8-28-18; 101-363, eff. 8-9-19;
16revised 12-9-19.)
 
17    (410 ILCS 130/160)
18    Sec. 160. Annual reports. The Department of Public Health
19shall submit to the General Assembly a report, by September 30
20of each year, that does not disclose any identifying
21information about registered qualifying patients, registered
22caregivers, or certifying health care professionals, but does
23contain, at a minimum, all of the following information based
24on the fiscal year for reporting purposes:
25        (1) the number of applications and renewals filed for

 

 

SB2435- 1518 -LRB102 04062 AMC 14078 b

1    registry identification cards or registrations;
2        (2) the number of qualifying patients and designated
3    caregivers served by each dispensary during the report
4    year;
5        (3) the nature of the debilitating medical conditions
6    of the qualifying patients;
7        (4) the number of registry identification cards or
8    registrations revoked for misconduct;
9        (5) the number of certifying health care professionals
10    providing written certifications for qualifying patients;
11    and
12        (6) the number of registered medical cannabis
13    cultivation centers or registered dispensing
14    organizations; and
15        (7) the number of Opioid Alternative Pilot Program
16    participants.
17(Source: P.A. 100-863, eff. 8-14-18; 100-1114, eff. 8-28-18;
18101-363, eff. 8-9-19; revised 12-9-19.)
 
19    Section 635. The Infectious Disease Testing Act is amended
20by changing Section 5 as follows:
 
21    (410 ILCS 312/5)
22    Sec. 5. Definitions. Definitions. As used in this Act:
23    "Health care provider" has the meaning ascribed to it
24under HIPAA, as specified in 45 CFR 160.103.

 

 

SB2435- 1519 -LRB102 04062 AMC 14078 b

1    "Health facility" means a hospital, nursing home, blood
2bank, blood center, sperm bank, or other health care
3institution, including any "health facility" as that term is
4defined in the Illinois Finance Authority Act.
5    "HIPAA" means the Health Insurance Portability and
6Accountability Act of 1996, Public Law 104-191, as amended by
7the Health Information Technology for Economic and Clinical
8Health Act of 2009, Public Law 111-05, and any subsequent
9amendments thereto and any regulations promulgated thereunder.
10    "Law enforcement officer" means any person employed by the
11State, a county, or a municipality as a policeman, peace
12officer, auxiliary policeman, or correctional officer or in
13some like position involving the enforcement of the law and
14protection of the public interest at the risk of that person's
15life.
16(Source: P.A. 100-270, eff. 8-22-17; revised 7-23-19.)
 
17    Section 640. The Lupus Education and Awareness Act is
18amended by changing Section 15 as follows:
 
19    (410 ILCS 528/15)
20    Sec. 15. Establishment of the Lupus Education and
21Awareness Program.
22    (a) Subject to appropriation, there is created within the
23Department of Public Health the Lupus Education and Awareness
24Program (LEAP). The Program shall be composed of various

 

 

SB2435- 1520 -LRB102 04062 AMC 14078 b

1components, including, but not limited to, public awareness
2activities and professional education programs. Subject to
3appropriation, the Interagency and Partnership Advisory Panel
4on Lupus is created to oversee LEAP and advise the Department
5in implementing LEAP.
6    (b) The Department shall establish, promote, and maintain
7the Lupus Education and Awareness Program with an emphasis on
8minority populations and at-risk communities in order to raise
9public awareness, educate consumers, and educate and train
10health professionals, human service providers, and other
11audiences.
12    The Department shall work with a national organization
13that deals with lupus to implement programs to raise public
14awareness about the symptoms and nature of lupus, personal
15risk factors, and options for diagnosing and treating the
16disease, with a particular focus on populations at elevated
17risk for lupus, including women and communities of color.
18    The Program shall include initiatives to educate and train
19physicians, health care professionals, and other service
20providers on the most up-to-date and accurate scientific and
21medical information regarding lupus diagnosis, treatment,
22risks and benefits of medications, research advances, and
23therapeutic decision making, including medical best practices
24for detecting and treating the disease in special populations.
25These activities shall include, but not be limited to, all of
26the following:

 

 

SB2435- 1521 -LRB102 04062 AMC 14078 b

1        (1) Distribution of medically-sound health information
2    produced by a national organization that deals with lupus
3    and government agencies, including, but not limited to,
4    the National Institutes of Health, the Centers for Disease
5    Control and Prevention, and the Social Security
6    Administration, through local health departments, schools,
7    agencies on aging, employer wellness programs, physicians
8    and other health professionals, hospitals, health plans
9    and health maintenance organizations, women's health
10    programs, and nonprofit and community-based organizations.
11        (2) Development of educational materials for health
12    professionals that identify the latest scientific and
13    medical information and clinical applications.
14        (3) Working to increase knowledge among physicians,
15    nurses, and health and human services professionals about
16    the importance of lupus diagnosis, treatment, and
17    rehabilitation.
18        (4) Support of continuing medical education programs
19    presented by the leading State academic institutions by
20    providing them with the most up-to-date information.
21        (5) Providing statewide workshops and seminars for
22    in-depth professional development regarding the care and
23    management of patients with lupus in order to bring the
24    latest information on clinical advances to care providers.
25        (6) Development and maintenance of a directory of
26    lupus-related services and lupus health care providers

 

 

SB2435- 1522 -LRB102 04062 AMC 14078 b

1    with specialization in services to diagnose and treat
2    lupus. The Department shall disseminate this directory to
3    all stakeholders, including, but not limited to,
4    individuals with lupus, families, and representatives from
5    voluntary organizations, health care professionals, health
6    plans, and State and local health agencies.
7    (c) The Director shall do all of the following:
8        (1) Designate a person in the Department to oversee
9    the Program.
10        (2) Identify the appropriate entities to carry out the
11    Program, including, but not limited to, the following:
12    local health departments, schools, agencies on aging,
13    employer wellness programs, physicians and other health
14    professionals, hospitals, health plans and health
15    maintenance organizations, women's health organizations,
16    and nonprofit and community-based organizations.
17        (3) Base the Program on the most current scientific
18    information and findings.
19        (4) Work with governmental entities, community and
20    business leaders, community organizations, health care and
21    human service providers, and national, State, and local
22    organizations to coordinate efforts to maximize State
23    resources in the areas of lupus education and awareness.
24        (5) Use public health institutions for dissemination
25    of medically sound health materials.
26    (d) The Department shall establish and coordinate the

 

 

SB2435- 1523 -LRB102 04062 AMC 14078 b

1Interagency and Partnership Advisory Panel on Lupus consisting
2of 15 members, one of whom shall be appointed by the Director
3as the chair. The Panel shall be composed of:
4        (1) at least 3 individuals with lupus;
5        (2) three representatives from relevant State agencies
6    including the Department;
7        (3) three scientists with experience in lupus who
8    participate in various fields of scientific endeavor,
9    including, but not limited to, biomedical research,
10    social, translational, behavioral, and epidemiological
11    research, and public health;
12        (4) two medical clinicians with experience in treating
13    people with lupus; and
14        (5) four representatives from relevant nonprofit
15    women's and health organizations, including one
16    representative from a national organization that deals
17    with the treatment of lupus.
18    Individuals and organizations may submit nominations to
19the Director to be named to the Panel. Such nominations may
20include the following:
21        (i) representatives from appropriate State departments
22    and agencies, such as entities with responsibility for
23    health disparities, public health programs, education,
24    public welfare, and women's health programs;
25        (ii) health and medical professionals with expertise
26    in lupus; and

 

 

SB2435- 1524 -LRB102 04062 AMC 14078 b

1        (iii) individuals with lupus, and recognized experts
2    in the provision of health services to women, lupus
3    research, or health disparities.
4    All members of the panel shall serve terms of 2 years. A
5member may be appointed to serve not more than 2 terms, whether
6or not consecutive. A majority of the members of the panel
7shall constitute a quorum. A majority vote of a quorum shall be
8required for any official action of the Panel. The Panel shall
9meet at the call of the chair, but not less than 2 times per
10year. All members shall serve without compensation, but shall
11be entitled to actual, necessary expenses incurred in the
12performance of their business as members of the Panel in
13accordance with the reimbursement policies polices for the
14State.
15(Source: P.A. 96-1108, eff. 1-1-11; revised 7-23-19.)
 
16    Section 645. The Environmental Protection Act is amended
17by setting forth, renumbering, and changing multiple versions
18of Sections 9.16 and 22.59, by changing Sections 21, 21.7,
1922.23d, 39, and 40 as follows:
 
20    (415 ILCS 5/9.16)
21    Sec. 9.16. Control of ethylene oxide sterilization
22sources.
23    (a) As used in this Section:
24    "Ethylene oxide sterilization operations" means the

 

 

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1process of using ethylene oxide at an ethylene oxide
2sterilization source to make one or more items free from
3microorganisms, pathogens, or both microorganisms and
4pathogens.
5    "Ethylene oxide sterilization source" means any stationary
6source with ethylene oxide usage that would subject it to the
7emissions standards in 40 CFR 63.362. "Ethylene oxide
8sterilization source" does not include beehive fumigators,
9research or laboratory facilities, hospitals, doctors'
10offices, clinics, or other stationary sources for which the
11primary purpose is to provide medical services to humans or
12animals.
13    "Exhaust point" means any point through which ethylene
14oxide-laden air exits an ethylene oxide sterilization source.
15    "Stationary source" has the meaning set forth in
16subsection 1 of Section 39.5.
17    (b) Beginning 180 days after June 21, 2019 (the effective
18date of Public Act 101-22) this amendatory Act of the 101st
19General Assembly, no person shall conduct ethylene oxide
20sterilization operations, unless the ethylene oxide
21sterilization source captures, and demonstrates that it
22captures, 100% of all ethylene oxide emissions and reduces
23ethylene oxide emissions to the atmosphere from each exhaust
24point at the ethylene oxide sterilization source by at least
2599.9% or to 0.2 parts per million.
26        (1) Within 180 days after June 21, 2019 (the effective

 

 

SB2435- 1526 -LRB102 04062 AMC 14078 b

1    date of Public Act 101-22) this amendatory Act of the
2    101st General Assembly for any existing ethylene oxide
3    sterilization source, or prior to any ethylene oxide
4    sterilization operation for any source that first becomes
5    subject to regulation after June 21, 2019 (the effective
6    date of Public Act 101-22) this amendatory Act of the
7    101st General Assembly as an ethylene oxide sterilization
8    source under this Section, the owner or operator of the
9    ethylene oxide sterilization source shall conduct an
10    initial emissions test in accordance with all of the
11    requirements set forth in this paragraph (1) to verify
12    that ethylene oxide emissions to the atmosphere from each
13    exhaust point at the ethylene oxide sterilization source
14    have been reduced by at least 99.9% or to 0.2 parts per
15    million:
16            (A) At least 30 days prior to the scheduled
17        emissions test date, the owner or operator of the
18        ethylene oxide sterilization source shall submit a
19        notification of the scheduled emissions test date and
20        a copy of the proposed emissions test protocol to the
21        Agency for review and written approval. Emissions test
22        protocols submitted to the Agency shall address the
23        manner in which testing will be conducted, including,
24        but not limited to:
25                (i) the name of the independent third party
26            company that will be performing sampling and

 

 

SB2435- 1527 -LRB102 04062 AMC 14078 b

1            analysis and the company's experience with similar
2            emissions tests;
3                (ii) the methodologies to be used;
4                (iii) the conditions under which emissions
5            tests will be performed, including a discussion of
6            why these conditions will be representative of
7            maximum emissions from each of the 3 cycles of
8            operation (chamber evacuation, back vent, and
9            aeration) and the means by which the operating
10            parameters for the emission unit and any control
11            equipment will be determined;
12                (iv) the specific determinations of emissions
13            and operations that are intended to be made,
14            including sampling and monitoring locations; and
15                (v) any changes to the test method or methods
16            proposed to accommodate the specific circumstances
17            of testing, with justification.
18            (B) The owner or operator of the ethylene oxide
19        sterilization source shall perform emissions testing
20        in accordance with an Agency-approved test protocol
21        and at representative conditions to verify that
22        ethylene oxide emissions to the atmosphere from each
23        exhaust point at the ethylene oxide sterilization
24        source have been reduced by at least 99.9% or to 0.2
25        parts per million. The duration of the test must
26        incorporate all 3 cycles of operation for

 

 

SB2435- 1528 -LRB102 04062 AMC 14078 b

1        determination of the emission reduction efficiency.
2            (C) Upon Agency approval of the test protocol, any
3        source that first becomes subject to regulation after
4        June 21, 2019 (the effective date of Public Act
5        101-22) this amendatory Act of the 101st General
6        Assembly as an ethylene oxide sterilization source
7        under this Section may undertake ethylene oxide
8        sterilization operations in accordance with the
9        Agency-approved test protocol for the sole purpose of
10        demonstrating compliance with this subsection (b).
11            (D) The owner or operator of the ethylene oxide
12        sterilization source shall submit to the Agency the
13        results of any and all emissions testing conducted
14        after June 21, 2019 (the effective date of Public Act
15        101-22) this amendatory Act of the 101st General
16        Assembly, until the Agency accepts testing results
17        under subparagraph (E) of paragraph (1) of this
18        subsection (b), for any existing source or prior to
19        any ethylene oxide sterilization operation for any
20        source that first becomes subject to regulation after
21        June 21, 2019 (the effective date of Public Act
22        101-22) this amendatory Act of the 101st General
23        Assembly as an ethylene oxide sterilization source
24        under this Section. The results documentation shall
25        include at a minimum:
26                (i) a summary of results;

 

 

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1                (ii) a description of test method or methods,
2            including description of sample points, sampling
3            train, analysis equipment, and test schedule;
4                (iii) a detailed description of test
5            conditions, including process information and
6            control equipment information; and
7                (iv) data and calculations, including copies
8            of all raw data sheets, opacity observation
9            records and records of laboratory analyses, sample
10            calculations, and equipment calibration.
11            (E) Within 30 days of receipt, the Agency shall
12        accept, accept with conditions, or decline to accept a
13        stack testing protocol and the testing results
14        submitted to demonstrate compliance with paragraph (1)
15        of this subsection (b). If the Agency accepts with
16        conditions or declines to accept the results
17        submitted, the owner or operator of the ethylene oxide
18        sterilization source shall submit revised results of
19        the emissions testing or conduct emissions testing
20        again. If the owner or operator revises the results,
21        the revised results shall be submitted within 15 days
22        after the owner or operator of the ethylene oxide
23        sterilization source receives written notice of the
24        Agency's conditional acceptance or rejection of the
25        emissions testing results. If the owner or operator
26        conducts emissions testing again, such new emissions

 

 

SB2435- 1530 -LRB102 04062 AMC 14078 b

1        testing shall conform to the requirements of this
2        subsection (b).
3        (2) The owner or operator of the ethylene oxide
4    sterilization source shall conduct emissions testing on
5    all exhaust points at the ethylene oxide sterilization
6    source at least once each calendar year to demonstrate
7    compliance with the requirements of this Section and any
8    applicable requirements concerning ethylene oxide that are
9    set forth in either United States Environmental Protection
10    Agency rules or Board rules. Annual emissions tests
11    required under this paragraph (2) shall take place at
12    least 6 months apart. An initial emissions test conducted
13    under paragraph (1) of this subsection (b) satisfies the
14    testing requirement of this paragraph (2) for the calendar
15    year in which the initial emissions test is conducted.
16        (3) At least 30 days before conducting the annual
17    emissions test required under paragraph (2) of this
18    subsection (b), the owner or operator shall submit a
19    notification of the scheduled emissions test date and a
20    copy of the proposed emissions test protocol to the Agency
21    for review and written approval. Emissions test protocols
22    submitted to the Agency under this paragraph (3) must
23    address each item listed in subparagraph (A) of paragraph
24    (1) of this subsection (b). Emissions testing shall be
25    performed in accordance with an Agency-approved test
26    protocol and at representative conditions. In addition, as

 

 

SB2435- 1531 -LRB102 04062 AMC 14078 b

1    soon as practicable, but no later than 30 days after the
2    emissions test date, the owner or operator shall submit to
3    the Agency the results of the emissions testing required
4    under paragraph (2) of this subsection (b). Such results
5    must include each item listed in subparagraph (D) of
6    paragraph (1) of this subsection (b).
7        (4) If the owner or operator of an ethylene oxide
8    sterilization source conducts any emissions testing in
9    addition to tests required by Public Act 101-22 this
10    amendatory Act of the 101st General Assembly, the owner or
11    operator shall submit to the Agency the results of such
12    emissions testing within 30 days after the emissions test
13    date.
14        (5) The Agency shall accept, accept with conditions,
15    or decline to accept testing results submitted to
16    demonstrate compliance with paragraph (2) of this
17    subsection (b). If the Agency accepts with conditions or
18    declines to accept the results submitted, the owner or
19    operator of the ethylene oxide sterilization source shall
20    submit revised results of the emissions testing or conduct
21    emissions testing again. If the owner or operator revises
22    the results, the revised results shall be submitted within
23    15 days after the owner or operator of the ethylene oxide
24    sterilization source receives written notice of the
25    Agency's conditional acceptance or rejection of the
26    emissions testing results. If the owner or operator

 

 

SB2435- 1532 -LRB102 04062 AMC 14078 b

1    conducts emissions testing again, such new emissions
2    testing shall conform to the requirements of this
3    subsection (b).
4    (c) If any emissions test conducted more than 180 days
5after June 21, 2019 (the effective date of Public Act 101-22)
6this amendatory Act of the 101st General Assembly fails to
7demonstrate that ethylene oxide emissions to the atmosphere
8from each exhaust point at the ethylene oxide sterilization
9source have been reduced by at least 99.9% or to 0.2 parts per
10million, the owner or operator of the ethylene oxide
11sterilization source shall immediately cease ethylene oxide
12sterilization operations and notify the Agency within 24 hours
13of becoming aware of the failed emissions test. Within 60 days
14after the date of the test, the owner or operator of the
15ethylene oxide sterilization source shall:
16        (1) complete an analysis to determine the root cause
17    of the failed emissions test;
18        (2) take any actions necessary to address that root
19    cause;
20        (3) submit a report to the Agency describing the
21    findings of the root cause analysis, any work undertaken
22    to address findings of the root cause analysis, and
23    identifying any feasible best management practices to
24    enhance capture and further reduce ethylene oxide levels
25    within the ethylene oxide sterilization source, including
26    a schedule for implementing such practices; and

 

 

SB2435- 1533 -LRB102 04062 AMC 14078 b

1        (4) upon approval by the Agency of the report required
2    by paragraph (3) of this subsection, restart ethylene
3    oxide sterilization operations only to the extent
4    necessary to conduct additional emissions test or tests.
5    The ethylene oxide sterilization source shall conduct such
6    emissions test or tests under the same requirements as the
7    annual test described in paragraphs (2) and (3) of
8    subsection (b). The ethylene oxide sterilization source
9    may restart operations once an emissions test successfully
10    demonstrates that ethylene oxide emissions to the
11    atmosphere from each exhaust point at the ethylene oxide
12    sterilization source have been reduced by at least 99.9%
13    or to 0.2 parts per million, the source has submitted the
14    results of all emissions testing conducted under this
15    subsection to the Agency, and the Agency has approved the
16    results demonstrating compliance.
17    (d) Beginning 180 days after June 21, 2019 (the effective
18date of Public Act 101-22) this amendatory Act of the 101st
19General Assembly for any existing source or prior to any
20ethylene oxide sterilization operation for any source that
21first becomes subject to regulation after June 21, 2019 (the
22effective date of Public Act 101-22) this amendatory Act of
23the 101st General Assembly as an ethylene oxide sterilization
24source under this Section, no person shall conduct ethylene
25oxide sterilization operations unless the owner or operator of
26the ethylene oxide sterilization source submits for review and

 

 

SB2435- 1534 -LRB102 04062 AMC 14078 b

1approval by the Agency a plan describing how the owner or
2operator will continuously collect emissions information at
3the ethylene oxide sterilization source. This plan must also
4specify locations at the ethylene oxide sterilization source
5from which emissions will be collected and identify equipment
6used for collection and analysis, including the individual
7system components.
8        (1) The owner or operator of the ethylene oxide
9    sterilization source must provide a notice of acceptance
10    of any conditions added by the Agency to the plan, or
11    correct any deficiencies identified by the Agency in the
12    plan, within 3 business days after receiving the Agency's
13    conditional acceptance or denial of the plan.
14        (2) Upon the Agency's approval of the plan, the owner
15    or operator of the ethylene oxide sterilization source
16    shall implement the plan in accordance with its approved
17    terms.
18    (e) Beginning 180 days after June 21, 2019 (the effective
19date of Public Act 101-22) this amendatory Act of the 101st
20General Assembly for any existing source or prior to any
21ethylene oxide sterilization operation for any source that
22first becomes subject to regulation after June 21, 2019 (the
23effective date of Public Act 101-22) this amendatory Act of
24the 101st General Assembly as an ethylene oxide sterilization
25source under this Section, no person shall conduct ethylene
26oxide sterilization operations unless the owner or operator of

 

 

SB2435- 1535 -LRB102 04062 AMC 14078 b

1the ethylene oxide sterilization source submits for review and
2approval by the Agency an Ambient Air Monitoring Plan.
3        (1) The Ambient Air Monitoring Plan shall include, at
4    a minimum, the following:
5            (A) Detailed plans to collect and analyze air
6        samples for ethylene oxide on at least a quarterly
7        basis near the property boundaries of the ethylene
8        oxide sterilization source and at community locations
9        with the highest modeled impact pursuant to the
10        modeling conducted under subsection (f). Each
11        quarterly sampling under this subsection shall be
12        conducted over a multiple-day sampling period.
13            (B) A schedule for implementation.
14            (C) The name of the independent third party
15        company that will be performing sampling and analysis
16        and the company's experience with similar testing.
17        (2) The owner or operator of the ethylene oxide
18    sterilization source must provide a notice of acceptance
19    of any conditions added by the Agency to the Ambient Air
20    Monitoring Plan, or correct any deficiencies identified by
21    the Agency in the Ambient Air Monitoring Plan, within 3
22    business days after receiving the Agency's conditional
23    acceptance or denial of the plan.
24        (3) Upon the Agency's approval of the plan, the owner
25    or operator of the ethylene oxide sterilization source
26    shall implement the Ambient Air Monitoring Plan in

 

 

SB2435- 1536 -LRB102 04062 AMC 14078 b

1    accordance with its approved terms.
2    (f) Beginning 180 days after June 21, 2019 (the effective
3date of Public Act 101-22) this amendatory Act of the 101st
4General Assembly for any existing source or prior to any
5ethylene oxide sterilization operation for any source that
6first becomes subject to regulation after June 21, 2019 (the
7effective date of Public Act 101-22) this amendatory Act of
8the 101st General Assembly as an ethylene oxide sterilization
9source under this Section, no person shall conduct ethylene
10oxide sterilization operations unless the owner or operator of
11the ethylene oxide sterilization source has performed
12dispersion modeling and the Agency approves such modeling.
13        (1) Dispersion modeling must:
14            (A) be conducted using accepted United States
15        Environmental Protection Agency methodologies,
16        including 40 CFR Part 51, Appendix W, except that no
17        background ambient levels of ethylene oxide shall be
18        used;
19            (B) use emissions and stack parameter data from
20        the emissions test conducted in accordance with
21        paragraph (1) of subsection (b), and use 5 years of
22        hourly meteorological data that is representative of
23        the source's location; and
24            (C) use a receptor grid that extends to at least
25        one kilometer around the source and ensure the
26        modeling domain includes the area of maximum impact,

 

 

SB2435- 1537 -LRB102 04062 AMC 14078 b

1        with receptor spacing no greater than every 50 meters
2        starting from the building walls of the source
3        extending out to a distance of at least one-half
4        kilometer, then every 100 meters extending out to a
5        distance of at least one kilometer.
6        (2) The owner or operator of the ethylene oxide
7    sterilization source shall submit revised results of all
8    modeling if the Agency accepts with conditions or declines
9    to accept the results submitted.
10    (g) A facility permitted to emit ethylene oxide that has
11been subject to a seal order under Section 34 is prohibited
12from using ethylene oxide for sterilization or fumigation
13purposes, unless (i) the facility can provide a certification
14to the Agency by the supplier of a product to be sterilized or
15fumigated that ethylene oxide sterilization or fumigation is
16the only available method to completely sterilize or fumigate
17the product and (ii) the Agency has certified that the
18facility's emission control system uses technology that
19produces the greatest reduction in ethylene oxide emissions
20currently available. The certification shall be made by a
21company representative with knowledge of the sterilization
22requirements of the product. The certification requirements of
23this Section shall apply to any group of products packaged
24together and sterilized as a single product if sterilization
25or fumigation is the only available method to completely
26sterilize or fumigate more than half of the individual

 

 

SB2435- 1538 -LRB102 04062 AMC 14078 b

1products contained in the package.
2    A facility is not subject to the requirements of this
3subsection if the supporting findings of the seal order under
4Section 34 are found to be without merit by a court of
5competent jurisdiction.
6    (h) If an entity, or any parent or subsidiary of an entity,
7that owns or operates a facility permitted by the Agency to
8emit ethylene oxide acquires by purchase, license, or any
9other method of acquisition any intellectual property right in
10a sterilization technology that does not involve the use of
11ethylene oxide, or by purchase, merger, or any other method of
12acquisition of any entity that holds an intellectual property
13right in a sterilization technology that does not involve the
14use of ethylene oxide, that entity, parent, or subsidiary
15shall notify the Agency of the acquisition within 30 days of
16acquiring it. If that entity, parent, or subsidiary has not
17used the sterilization technology within 3 years of its
18acquisition, the entity shall notify the Agency within 30 days
19of the 3-year period elapsing.
20    An entity, or any parent or subsidiary of an entity, that
21owns or operates a facility permitted by the Agency to emit
22ethylene oxide that has any intellectual property right in any
23sterilization technology that does not involve the use of
24ethylene oxide shall notify the Agency of any offers that it
25makes to license or otherwise allow the technology to be used
26by third parties within 30 days of making the offer.

 

 

SB2435- 1539 -LRB102 04062 AMC 14078 b

1    An entity, or any parent or subsidiary of an entity, that
2owns or operates a facility permitted by the Agency to emit
3ethylene oxide shall provide the Agency with a list of all U.S.
4patent registrations for sterilization technology that the
5entity, parent, or subsidiary has any property right in. The
6list shall include the following:
7        (1) The patent number assigned by the United States
8    Patent and Trademark Office for each patent.
9        (2) The date each patent was filed.
10        (3) The names and addresses of all owners or assignees
11    of each patent.
12        (4) The names and addresses of all inventors of each
13    patent.
14    (i) If a CAAPP permit applicant applies to use ethylene
15oxide as a sterilant or fumigant at a facility not in existence
16prior to January 1, 2020, the Agency shall issue a CAAPP permit
17for emission of ethylene oxide only if:
18        (1) the nearest school or park is at least 10 miles
19    from the permit applicant in counties with populations
20    greater than 50,000;
21        (2) the nearest school or park is at least 15 miles
22    from the permit applicant in counties with populations
23    less than or equal to 50,000; and
24        (3) within 7 days after the application for a CAAPP
25    permit, the permit applicant has published its permit
26    request on its website, published notice in a local

 

 

SB2435- 1540 -LRB102 04062 AMC 14078 b

1    newspaper of general circulation, and provided notice to:
2            (A) the State Representative for the
3        representative district in which the facility is
4        located;
5            (B) the State Senator for the legislative district
6        in which the facility is located;
7            (C) the members of the county board for the county
8        in which the facility is located; and
9            (D) the local municipal board members and
10        executives.
11    (j) The owner or operator of an ethylene oxide
12sterilization source must apply for and obtain a construction
13permit from the Agency for any modifications made to the
14source to comply with the requirements of Public Act 101-22
15this amendatory Act of the 101st General Assembly, including,
16but not limited to, installation of a permanent total
17enclosure, modification of airflow to create negative pressure
18within the source, and addition of one or more control
19devices. Additionally, the owner or operator of the ethylene
20oxide sterilization source must apply for and obtain from the
21Agency a modification of the source's operating permit to
22incorporate such modifications made to the source. Both the
23construction permit and operating permit must include a limit
24on ethylene oxide usage at the source.
25    (k) Nothing in this Section shall be interpreted to excuse
26the ethylene oxide sterilization source from complying with

 

 

SB2435- 1541 -LRB102 04062 AMC 14078 b

1any applicable local requirements.
2    (l) The owner or operator of an ethylene oxide
3sterilization source must notify the Agency within 5 days
4after discovering any deviation from any of the requirements
5in this Section or deviations from any applicable requirements
6concerning ethylene oxide that are set forth in this Act,
7United States Environmental Protection Agency rules, or Board
8rules. As soon as practicable, but no later than 5 business
9days, after the Agency receives such notification, the Agency
10must post a notice on its website and notify the members of the
11General Assembly from the Legislative and Representative
12Districts in which the source in question is located, the
13county board members of the county in which the source in
14question is located, the corporate authorities of the
15municipality in which the source in question is located, and
16the Illinois Department of Public Health.
17    (m) The Agency must conduct at least one unannounced
18inspection of all ethylene oxide sterilization sources subject
19to this Section per year. Nothing in this Section shall limit
20the Agency's authority under other provisions of this Act to
21conduct inspections of ethylene oxide sterilization sources.
22    (n) The Agency shall conduct air testing to determine the
23ambient levels of ethylene oxide throughout the State. The
24Agency shall, within 180 days after June 21, 2019 (the
25effective date of Public Act 101-22) this amendatory Act of
26the 101st General Assembly, submit rules for ambient air

 

 

SB2435- 1542 -LRB102 04062 AMC 14078 b

1testing of ethylene oxide to the Board.
2(Source: P.A. 101-22, eff. 6-21-19; revised 8-9-19.)
 
3    (415 ILCS 5/9.17)
4    Sec. 9.17 9.16. Nonnegligible ethylene oxide emissions
5sources.
6    (a) In this Section, "nonnegligible ethylene oxide
7emissions source" means an ethylene oxide emissions source
8permitted by the Agency that currently emits more than 150
9pounds of ethylene oxide as reported on the source's 2017
10Toxic Release Inventory and is located in a county with a
11population of at least 700,000 based on 2010 census data.
12"Nonnegligible ethylene oxide emissions source" does not
13include facilities that are ethylene oxide sterilization
14sources or hospitals that are licensed under the Hospital
15Licensing Act or operated under the University of Illinois
16Hospital Act.
17    (b) Beginning 180 days after June 21, 2019 (the effective
18date of Public Act 101-23) this amendatory Act of the 101st
19General Assembly, no nonnegligible ethylene oxide emissions
20source shall conduct activities that cause ethylene oxide
21emissions unless the owner or operator of the nonnegligible
22ethylene oxide emissions source submits for review and
23approval of the Agency a plan describing how the owner or
24operator will continuously collect emissions information. The
25plan must specify locations at the nonnegligible ethylene

 

 

SB2435- 1543 -LRB102 04062 AMC 14078 b

1oxide emissions source from which emissions will be collected
2and identify equipment used for collection and analysis,
3including the individual system components.
4        (1) The owner or operator of the nonnegligible
5    ethylene oxide emissions source must provide a notice of
6    acceptance of any conditions added by the Agency to the
7    plan or correct any deficiencies identified by the Agency
8    in the plan within 3 business days after receiving the
9    Agency's conditional acceptance or denial of the plan.
10        (2) Upon the Agency's approval of the plan the owner
11    or operator of the nonnegligible ethylene oxide emissions
12    source shall implement the plan in accordance with its
13    approved terms.
14    (c) Beginning 180 days after June 21, 2019 (the effective
15date of Public Act 101-23) this amendatory Act of the 101st
16General Assembly, no nonnegligible ethylene oxide emissions
17source shall conduct activities that cause ethylene oxide
18emissions unless the owner or operator of the nonnegligible
19ethylene oxide emissions source has performed dispersion
20modeling and the Agency approves the dispersion modeling.
21        (1) Dispersion modeling must:
22            (A) be conducted using accepted United States
23        Environmental Protection Agency methodologies,
24        including Appendix W to 40 CFR 51, except that no
25        background ambient levels of ethylene oxide shall be
26        used;

 

 

SB2435- 1544 -LRB102 04062 AMC 14078 b

1            (B) use emissions and stack parameter data from
2        any emissions test conducted and 5 years of hourly
3        meteorological data that is representative of the
4        nonnegligible ethylene oxide emissions source's
5        location; and
6            (C) use a receptor grid that extends to at least
7        one kilometer around the nonnegligible ethylene oxide
8        emissions source and ensures the modeling domain
9        includes the area of maximum impact, with receptor
10        spacing no greater than every 50 meters starting from
11        the building walls of the nonnegligible ethylene oxide
12        emissions source extending out to a distance of at
13        least 1/2 kilometer, then every 100 meters extending
14        out to a distance of at least one kilometer.
15        (2) The owner or operator of the nonnegligible
16    ethylene oxide emissions source shall submit revised
17    results of all modeling if the Agency accepts with
18    conditions or declines to accept the results submitted.
19    (d) Beginning 180 days after June 21, 2019 (the effective
20date of Public Act 101-23) this amendatory Act of the 101st
21General Assembly, no nonnegligible ethylene oxide emissions
22source shall conduct activities that cause ethylene oxide
23emissions unless the owner or operator of the nonnegligible
24ethylene oxide emissions source obtains a permit consistent
25with the requirements in this Section from the Agency to
26conduct activities that may result in the emission of ethylene

 

 

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1oxide.
2    (e) The Agency in issuing the applicable permits to a
3nonnegligible ethylene oxide emissions source shall:
4        (1) impose a site-specific annual cap on ethylene
5    oxide emissions set to protect the public health; and
6        (2) include permit conditions granting the Agency the
7    authority to reopen the permit if the Agency determines
8    that the emissions of ethylene oxide from the permitted
9    nonnegligible ethylene oxide emissions source pose a risk
10    to the public health as defined by the Agency.
11(Source: P.A. 101-23, eff. 6-21-19; revised 8-9-19.)
 
12    (415 ILCS 5/21)  (from Ch. 111 1/2, par. 1021)
13    Sec. 21. Prohibited acts. No person shall:
14    (a) Cause or allow the open dumping of any waste.
15    (b) Abandon, dump, or deposit any waste upon the public
16highways or other public property, except in a sanitary
17landfill approved by the Agency pursuant to regulations
18adopted by the Board.
19    (c) Abandon any vehicle in violation of the "Abandoned
20Vehicles Amendment to the Illinois Vehicle Code", as enacted
21by the 76th General Assembly.
22    (d) Conduct any waste-storage, waste-treatment, or
23waste-disposal operation:
24        (1) without a permit granted by the Agency or in
25    violation of any conditions imposed by such permit,

 

 

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1    including periodic reports and full access to adequate
2    records and the inspection of facilities, as may be
3    necessary to assure compliance with this Act and with
4    regulations and standards adopted thereunder; provided,
5    however, that, except for municipal solid waste landfill
6    units that receive waste on or after October 9, 1993, and
7    CCR surface impoundments, no permit shall be required for
8    (i) any person conducting a waste-storage,
9    waste-treatment, or waste-disposal operation for wastes
10    generated by such person's own activities which are
11    stored, treated, or disposed within the site where such
12    wastes are generated, or (ii) a facility located in a
13    county with a population over 700,000 as of January 1,
14    2000, operated and located in accordance with Section
15    22.38 of this Act, and used exclusively for the transfer,
16    storage, or treatment of general construction or
17    demolition debris, provided that the facility was
18    receiving construction or demolition debris on August 24,
19    2009 (the effective date of Public Act 96-611) this
20    amendatory Act of the 96th General Assembly;
21        (2) in violation of any regulations or standards
22    adopted by the Board under this Act; or
23        (3) which receives waste after August 31, 1988, does
24    not have a permit issued by the Agency, and is (i) a
25    landfill used exclusively for the disposal of waste
26    generated at the site, (ii) a surface impoundment

 

 

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1    receiving special waste not listed in an NPDES permit,
2    (iii) a waste pile in which the total volume of waste is
3    greater than 100 cubic yards or the waste is stored for
4    over one year, or (iv) a land treatment facility receiving
5    special waste generated at the site; without giving notice
6    of the operation to the Agency by January 1, 1989, or 30
7    days after the date on which the operation commences,
8    whichever is later, and every 3 years thereafter. The form
9    for such notification shall be specified by the Agency,
10    and shall be limited to information regarding: the name
11    and address of the location of the operation; the type of
12    operation; the types and amounts of waste stored, treated
13    or disposed of on an annual basis; the remaining capacity
14    of the operation; and the remaining expected life of the
15    operation.
16    Item (3) of this subsection (d) shall not apply to any
17person engaged in agricultural activity who is disposing of a
18substance that constitutes solid waste, if the substance was
19acquired for use by that person on his own property, and the
20substance is disposed of on his own property in accordance
21with regulations or standards adopted by the Board.
22    This subsection (d) shall not apply to hazardous waste.
23    (e) Dispose, treat, store or abandon any waste, or
24transport any waste into this State for disposal, treatment,
25storage or abandonment, except at a site or facility which
26meets the requirements of this Act and of regulations and

 

 

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1standards thereunder.
2    (f) Conduct any hazardous waste-storage, hazardous
3waste-treatment or hazardous waste-disposal operation:
4        (1) without a RCRA permit for the site issued by the
5    Agency under subsection (d) of Section 39 of this Act, or
6    in violation of any condition imposed by such permit,
7    including periodic reports and full access to adequate
8    records and the inspection of facilities, as may be
9    necessary to assure compliance with this Act and with
10    regulations and standards adopted thereunder; or
11        (2) in violation of any regulations or standards
12    adopted by the Board under this Act; or
13        (3) in violation of any RCRA permit filing requirement
14    established under standards adopted by the Board under
15    this Act; or
16        (4) in violation of any order adopted by the Board
17    under this Act.
18    Notwithstanding the above, no RCRA permit shall be
19required under this subsection or subsection (d) of Section 39
20of this Act for any person engaged in agricultural activity
21who is disposing of a substance which has been identified as a
22hazardous waste, and which has been designated by Board
23regulations as being subject to this exception, if the
24substance was acquired for use by that person on his own
25property and the substance is disposed of on his own property
26in accordance with regulations or standards adopted by the

 

 

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1Board.
2    (g) Conduct any hazardous waste-transportation operation:
3        (1) without registering with and obtaining a special
4    waste hauling permit from the Agency in accordance with
5    the regulations adopted by the Board under this Act; or
6        (2) in violation of any regulations or standards
7    adopted by the Board under this Act.
8    (h) Conduct any hazardous waste-recycling or hazardous
9waste-reclamation or hazardous waste-reuse operation in
10violation of any regulations, standards or permit requirements
11adopted by the Board under this Act.
12    (i) Conduct any process or engage in any act which
13produces hazardous waste in violation of any regulations or
14standards adopted by the Board under subsections (a) and (c)
15of Section 22.4 of this Act.
16    (j) Conduct any special waste-transportation waste
17transportation operation in violation of any regulations,
18standards or permit requirements adopted by the Board under
19this Act. However, sludge from a water or sewage treatment
20plant owned and operated by a unit of local government which
21(1) is subject to a sludge management plan approved by the
22Agency or a permit granted by the Agency, and (2) has been
23tested and determined not to be a hazardous waste as required
24by applicable State and federal laws and regulations, may be
25transported in this State without a special waste hauling
26permit, and the preparation and carrying of a manifest shall

 

 

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1not be required for such sludge under the rules of the
2Pollution Control Board. The unit of local government which
3operates the treatment plant producing such sludge shall file
4an annual report with the Agency identifying the volume of
5such sludge transported during the reporting period, the
6hauler of the sludge, and the disposal sites to which it was
7transported. This subsection (j) shall not apply to hazardous
8waste.
9    (k) Fail or refuse to pay any fee imposed under this Act.
10    (l) Locate a hazardous waste disposal site above an active
11or inactive shaft or tunneled mine or within 2 miles of an
12active fault in the earth's crust. In counties of population
13less than 225,000 no hazardous waste disposal site shall be
14located (1) within 1 1/2 miles of the corporate limits as
15defined on June 30, 1978, of any municipality without the
16approval of the governing body of the municipality in an
17official action; or (2) within 1000 feet of an existing
18private well or the existing source of a public water supply
19measured from the boundary of the actual active permitted site
20and excluding existing private wells on the property of the
21permit applicant. The provisions of this subsection do not
22apply to publicly owned publicly-owned sewage works or the
23disposal or utilization of sludge from publicly owned
24publicly-owned sewage works.
25    (m) Transfer interest in any land which has been used as a
26hazardous waste disposal site without written notification to

 

 

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1the Agency of the transfer and to the transferee of the
2conditions imposed by the Agency upon its use under subsection
3(g) of Section 39.
4    (n) Use any land which has been used as a hazardous waste
5disposal site except in compliance with conditions imposed by
6the Agency under subsection (g) of Section 39.
7    (o) Conduct a sanitary landfill operation which is
8required to have a permit under subsection (d) of this
9Section, in a manner which results in any of the following
10conditions:
11        (1) refuse in standing or flowing waters;
12        (2) leachate flows entering waters of the State;
13        (3) leachate flows exiting the landfill confines (as
14    determined by the boundaries established for the landfill
15    by a permit issued by the Agency);
16        (4) open burning of refuse in violation of Section 9
17    of this Act;
18        (5) uncovered refuse remaining from any previous
19    operating day or at the conclusion of any operating day,
20    unless authorized by permit;
21        (6) failure to provide final cover within time limits
22    established by Board regulations;
23        (7) acceptance of wastes without necessary permits;
24        (8) scavenging as defined by Board regulations;
25        (9) deposition of refuse in any unpermitted portion of
26    the landfill;

 

 

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1        (10) acceptance of a special waste without a required
2    manifest;
3        (11) failure to submit reports required by permits or
4    Board regulations;
5        (12) failure to collect and contain litter from the
6    site by the end of each operating day;
7        (13) failure to submit any cost estimate for the site
8    or any performance bond or other security for the site as
9    required by this Act or Board rules.
10    The prohibitions specified in this subsection (o) shall be
11enforceable by the Agency either by administrative citation
12under Section 31.1 of this Act or as otherwise provided by this
13Act. The specific prohibitions in this subsection do not limit
14the power of the Board to establish regulations or standards
15applicable to sanitary landfills.
16    (p) In violation of subdivision (a) of this Section, cause
17or allow the open dumping of any waste in a manner which
18results in any of the following occurrences at the dump site:
19        (1) litter;
20        (2) scavenging;
21        (3) open burning;
22        (4) deposition of waste in standing or flowing waters;
23        (5) proliferation of disease vectors;
24        (6) standing or flowing liquid discharge from the dump
25    site;
26        (7) deposition of:

 

 

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1            (i) general construction or demolition debris as
2        defined in Section 3.160(a) of this Act; or
3            (ii) clean construction or demolition debris as
4        defined in Section 3.160(b) of this Act.
5    The prohibitions specified in this subsection (p) shall be
6enforceable by the Agency either by administrative citation
7under Section 31.1 of this Act or as otherwise provided by this
8Act. The specific prohibitions in this subsection do not limit
9the power of the Board to establish regulations or standards
10applicable to open dumping.
11    (q) Conduct a landscape waste composting operation without
12an Agency permit, provided, however, that no permit shall be
13required for any person:
14        (1) conducting a landscape waste composting operation
15    for landscape wastes generated by such person's own
16    activities which are stored, treated, or disposed of
17    within the site where such wastes are generated; or
18        (1.5) conducting a landscape waste composting
19    operation that (i) has no more than 25 cubic yards of
20    landscape waste, composting additives, composting
21    material, or end-product compost on-site at any one time
22    and (ii) is not engaging in commercial activity; or
23        (2) applying landscape waste or composted landscape
24    waste at agronomic rates; or
25        (2.5) operating a landscape waste composting facility
26    at a site having 10 or more occupied non-farm residences

 

 

SB2435- 1554 -LRB102 04062 AMC 14078 b

1    within 1/2 mile of its boundaries, if the facility meets
2    all of the following criteria:
3            (A) the composting facility is operated by the
4        farmer on property on which the composting material is
5        utilized, and the composting facility constitutes no
6        more than 2% of the site's total acreage;
7            (A-5) any composting additives that the composting
8        facility accepts and uses at the facility are
9        necessary to provide proper conditions for composting
10        and do not exceed 10% of the total composting material
11        at the facility at any one time;
12            (B) the property on which the composting facility
13        is located, and any associated property on which the
14        compost is used, is principally and diligently devoted
15        to the production of agricultural crops and is not
16        owned, leased, or otherwise controlled by any waste
17        hauler or generator of nonagricultural compost
18        materials, and the operator of the composting facility
19        is not an employee, partner, shareholder, or in any
20        way connected with or controlled by any such waste
21        hauler or generator;
22            (C) all compost generated by the composting
23        facility is applied at agronomic rates and used as
24        mulch, fertilizer, or soil conditioner on land
25        actually farmed by the person operating the composting
26        facility, and the finished compost is not stored at

 

 

SB2435- 1555 -LRB102 04062 AMC 14078 b

1        the composting site for a period longer than 18 months
2        prior to its application as mulch, fertilizer, or soil
3        conditioner;
4            (D) no fee is charged for the acceptance of
5        materials to be composted at the facility; and
6            (E) the owner or operator, by January 1, 2014 (or
7        the January 1 following commencement of operation,
8        whichever is later) and January 1 of each year
9        thereafter, registers the site with the Agency, (ii)
10        reports to the Agency on the volume of composting
11        material received and used at the site; (iii)
12        certifies to the Agency that the site complies with
13        the requirements set forth in subparagraphs (A),
14        (A-5), (B), (C), and (D) of this paragraph (2.5); and
15        (iv) certifies to the Agency that all composting
16        material was placed more than 200 feet from the
17        nearest potable water supply well, was placed outside
18        the boundary of the 10-year floodplain or on a part of
19        the site that is floodproofed, was placed at least 1/4
20        mile from the nearest residence (other than a
21        residence located on the same property as the
22        facility) or a lesser distance from the nearest
23        residence (other than a residence located on the same
24        property as the facility) if the municipality in which
25        the facility is located has by ordinance approved a
26        lesser distance than 1/4 mile, and was placed more

 

 

SB2435- 1556 -LRB102 04062 AMC 14078 b

1        than 5 feet above the water table; any ordinance
2        approving a residential setback of less than 1/4 mile
3        that is used to meet the requirements of this
4        subparagraph (E) of paragraph (2.5) of this subsection
5        must specifically reference this paragraph; or
6        (3) operating a landscape waste composting facility on
7    a farm, if the facility meets all of the following
8    criteria:
9            (A) the composting facility is operated by the
10        farmer on property on which the composting material is
11        utilized, and the composting facility constitutes no
12        more than 2% of the property's total acreage, except
13        that the Board may allow a higher percentage for
14        individual sites where the owner or operator has
15        demonstrated to the Board that the site's soil
16        characteristics or crop needs require a higher rate;
17            (A-1) the composting facility accepts from other
18        agricultural operations for composting with landscape
19        waste no materials other than uncontaminated and
20        source-separated (i) crop residue and other
21        agricultural plant residue generated from the
22        production and harvesting of crops and other customary
23        farm practices, including, but not limited to, stalks,
24        leaves, seed pods, husks, bagasse, and roots and (ii)
25        plant-derived animal bedding, such as straw or
26        sawdust, that is free of manure and was not made from

 

 

SB2435- 1557 -LRB102 04062 AMC 14078 b

1        painted or treated wood;
2            (A-2) any composting additives that the composting
3        facility accepts and uses at the facility are
4        necessary to provide proper conditions for composting
5        and do not exceed 10% of the total composting material
6        at the facility at any one time;
7            (B) the property on which the composting facility
8        is located, and any associated property on which the
9        compost is used, is principally and diligently devoted
10        to the production of agricultural crops and is not
11        owned, leased or otherwise controlled by any waste
12        hauler or generator of nonagricultural compost
13        materials, and the operator of the composting facility
14        is not an employee, partner, shareholder, or in any
15        way connected with or controlled by any such waste
16        hauler or generator;
17            (C) all compost generated by the composting
18        facility is applied at agronomic rates and used as
19        mulch, fertilizer or soil conditioner on land actually
20        farmed by the person operating the composting
21        facility, and the finished compost is not stored at
22        the composting site for a period longer than 18 months
23        prior to its application as mulch, fertilizer, or soil
24        conditioner;
25            (D) the owner or operator, by January 1 of each
26        year, (i) registers the site with the Agency, (ii)

 

 

SB2435- 1558 -LRB102 04062 AMC 14078 b

1        reports to the Agency on the volume of composting
2        material received and used at the site, (iii)
3        certifies to the Agency that the site complies with
4        the requirements set forth in subparagraphs (A),
5        (A-1), (A-2), (B), and (C) of this paragraph (q)(3),
6        and (iv) certifies to the Agency that all composting
7        material:
8                (I) was placed more than 200 feet from the
9            nearest potable water supply well;
10                (II) was placed outside the boundary of the
11            10-year floodplain or on a part of the site that is
12            floodproofed;
13                (III) was placed either (aa) at least 1/4 mile
14            from the nearest residence (other than a residence
15            located on the same property as the facility) and
16            there are not more than 10 occupied non-farm
17            residences within 1/2 mile of the boundaries of
18            the site on the date of application or (bb) a
19            lesser distance from the nearest residence (other
20            than a residence located on the same property as
21            the facility) provided that the municipality or
22            county in which the facility is located has by
23            ordinance approved a lesser distance than 1/4 mile
24            and there are not more than 10 occupied non-farm
25            residences within 1/2 mile of the boundaries of
26            the site on the date of application; and

 

 

SB2435- 1559 -LRB102 04062 AMC 14078 b

1                (IV) was placed more than 5 feet above the
2            water table.
3            Any ordinance approving a residential setback of
4        less than 1/4 mile that is used to meet the
5        requirements of this subparagraph (D) must
6        specifically reference this subparagraph.
7    For the purposes of this subsection (q), "agronomic rates"
8means the application of not more than 20 tons per acre per
9year, except that the Board may allow a higher rate for
10individual sites where the owner or operator has demonstrated
11to the Board that the site's soil characteristics or crop
12needs require a higher rate.
13    (r) Cause or allow the storage or disposal of coal
14combustion waste unless:
15        (1) such waste is stored or disposed of at a site or
16    facility for which a permit has been obtained or is not
17    otherwise required under subsection (d) of this Section;
18    or
19        (2) such waste is stored or disposed of as a part of
20    the design and reclamation of a site or facility which is
21    an abandoned mine site in accordance with the Abandoned
22    Mined Lands and Water Reclamation Act; or
23        (3) such waste is stored or disposed of at a site or
24    facility which is operating under NPDES and Subtitle D
25    permits issued by the Agency pursuant to regulations
26    adopted by the Board for mine-related water pollution and

 

 

SB2435- 1560 -LRB102 04062 AMC 14078 b

1    permits issued pursuant to the federal Federal Surface
2    Mining Control and Reclamation Act of 1977 (P.L. 95-87) or
3    the rules and regulations thereunder or any law or rule or
4    regulation adopted by the State of Illinois pursuant
5    thereto, and the owner or operator of the facility agrees
6    to accept the waste; and either:
7            (i) such waste is stored or disposed of in
8        accordance with requirements applicable to refuse
9        disposal under regulations adopted by the Board for
10        mine-related water pollution and pursuant to NPDES and
11        Subtitle D permits issued by the Agency under such
12        regulations; or
13            (ii) the owner or operator of the facility
14        demonstrates all of the following to the Agency, and
15        the facility is operated in accordance with the
16        demonstration as approved by the Agency: (1) the
17        disposal area will be covered in a manner that will
18        support continuous vegetation, (2) the facility will
19        be adequately protected from wind and water erosion,
20        (3) the pH will be maintained so as to prevent
21        excessive leaching of metal ions, and (4) adequate
22        containment or other measures will be provided to
23        protect surface water and groundwater from
24        contamination at levels prohibited by this Act, the
25        Illinois Groundwater Protection Act, or regulations
26        adopted pursuant thereto.

 

 

SB2435- 1561 -LRB102 04062 AMC 14078 b

1    Notwithstanding any other provision of this Title, the
2disposal of coal combustion waste pursuant to item (2) or (3)
3of this subdivision (r) shall be exempt from the other
4provisions of this Title V, and notwithstanding the provisions
5of Title X of this Act, the Agency is authorized to grant
6experimental permits which include provision for the disposal
7of wastes from the combustion of coal and other materials
8pursuant to items (2) and (3) of this subdivision (r).
9    (s) After April 1, 1989, offer for transportation,
10transport, deliver, receive or accept special waste for which
11a manifest is required, unless the manifest indicates that the
12fee required under Section 22.8 of this Act has been paid.
13    (t) Cause or allow a lateral expansion of a municipal
14solid waste landfill unit on or after October 9, 1993, without
15a permit modification, granted by the Agency, that authorizes
16the lateral expansion.
17    (u) Conduct any vegetable by-product treatment, storage,
18disposal or transportation operation in violation of any
19regulation, standards or permit requirements adopted by the
20Board under this Act. However, no permit shall be required
21under this Title V for the land application of vegetable
22by-products conducted pursuant to Agency permit issued under
23Title III of this Act to the generator of the vegetable
24by-products. In addition, vegetable by-products may be
25transported in this State without a special waste hauling
26permit, and without the preparation and carrying of a

 

 

SB2435- 1562 -LRB102 04062 AMC 14078 b

1manifest.
2    (v) (Blank).
3    (w) Conduct any generation, transportation, or recycling
4of construction or demolition debris, clean or general, or
5uncontaminated soil generated during construction, remodeling,
6repair, and demolition of utilities, structures, and roads
7that is not commingled with any waste, without the maintenance
8of documentation identifying the hauler, generator, place of
9origin of the debris or soil, the weight or volume of the
10debris or soil, and the location, owner, and operator of the
11facility where the debris or soil was transferred, disposed,
12recycled, or treated. This documentation must be maintained by
13the generator, transporter, or recycler for 3 years. This
14subsection (w) shall not apply to (1) a permitted pollution
15control facility that transfers or accepts construction or
16demolition debris, clean or general, or uncontaminated soil
17for final disposal, recycling, or treatment, (2) a public
18utility (as that term is defined in the Public Utilities Act)
19or a municipal utility, (3) the Illinois Department of
20Transportation, or (4) a municipality or a county highway
21department, with the exception of any municipality or county
22highway department located within a county having a population
23of over 3,000,000 inhabitants or located in a county that is
24contiguous to a county having a population of over 3,000,000
25inhabitants; but it shall apply to an entity that contracts
26with a public utility, a municipal utility, the Illinois

 

 

SB2435- 1563 -LRB102 04062 AMC 14078 b

1Department of Transportation, or a municipality or a county
2highway department. The terms "generation" and "recycling", as
3used in this subsection, do not apply to clean construction or
4demolition debris when (i) used as fill material below grade
5outside of a setback zone if covered by sufficient
6uncontaminated soil to support vegetation within 30 days of
7the completion of filling or if covered by a road or structure,
8(ii) solely broken concrete without protruding metal bars is
9used for erosion control, or (iii) milled asphalt or crushed
10concrete is used as aggregate in construction of the shoulder
11of a roadway. The terms "generation" and "recycling", as used
12in this subsection, do not apply to uncontaminated soil that
13is not commingled with any waste when (i) used as fill material
14below grade or contoured to grade, or (ii) used at the site of
15generation.
16(Source: P.A. 100-103, eff. 8-11-17; 101-171, eff. 7-30-19;
17revised 9-12-19.)
 
18    (415 ILCS 5/21.7)
19    Sec. 21.7. Landfills.
20    (a) The purpose of this Section is to enact legislative
21recommendations provided by the Mahomet Aquifer Protection
22Task Force, established under Public Act 100-403. The Task
23Force identified capped but unregulated or underregulated
24landfills that overlie the Mahomet Aquifer as potentially
25hazardous to valuable groundwater resources. These unregulated

 

 

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1or underregulated landfills generally began accepting waste
2for disposal sometime prior to 1973.
3    (b) The Agency shall prioritize unregulated or
4underregulated landfills that overlie the Mahomet Aquifer for
5inspection. The following factors shall be considered:
6        (1) the presence of, and depth to, any aquifer with
7    potential potable use;
8        (2) whether the landfill has an engineered liner
9    system;
10        (3) whether the landfill has an active groundwater
11    monitoring system;
12        (4) whether waste disposal occurred within the
13    100-year floodplain; and
14        (5) landfills within the setback zone of any potable
15    water supply well.
16    (c) Subject to appropriation, the Agency shall use
17existing information available from State and federal
18agencies, such as the Prairie Research Institute, the
19Department of Natural Resources, the Illinois Emergency
20Management Agency, the Federal Emergency Management Agency,
21and the Natural Resources Conservation Service, to identify
22unknown, unregulated, or underregulated waste disposal sites
23that overlie the Mahomet Aquifer that may pose a threat to
24surface water or groundwater resources.
25    (d) Subject to appropriation, for those landfills
26prioritized for response action following inspection and

 

 

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1investigation, the Agency shall use its own data, along with
2data from municipalities, counties, solid waste management
3associations, companies, corporations, and individuals, to
4archive information about the landfills, including their
5ownership, operational details, and waste disposal history.
6(Source: P.A. 101-573, eff. 1-1-20; revised 12-9-19.)
 
7    (415 ILCS 5/22.23d)
8    Sec. 22.23d. Rechargeable batteries.
9    (a) "Rechargeable battery" means one or more voltaic or
10galvanic cells, electrically connected to produce electric
11energy, that are is designed to be recharged for repeated
12uses. "Rechargeable battery" includes, but is not limited to,
13a battery containing lithium ion, lithium metal, or lithium
14polymer or that uses lithium as an anode or cathode, that is
15designed to be recharged for repeated uses. "Rechargeable
16battery" does not mean either of the following:
17        (1) Any dry cell battery that is used as the principal
18    power source for transportation, including, but not
19    limited to, automobiles, motorcycles, or boats.
20        (2) Any battery that is used only as a backup power
21    source for memory or program instruction storage,
22    timekeeping, or any similar purpose that requires
23    uninterrupted electrical power in order to function if the
24    primary energy supply fails or fluctuates momentarily.
25    (b) Unless expressly authorized by a recycling collection

 

 

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1program, beginning January 1, 2020, no person shall knowingly
2mix a rechargeable battery or any appliance, device, or other
3item that contains a rechargeable battery with any other
4material intended for collection by a hauler as a recyclable
5material.
6    Unless expressly authorized by a recycling collection
7program, beginning January 1, 2020, no person shall knowingly
8place a rechargeable battery or any appliance, device, or
9other item that contains a rechargeable battery into a
10container intended for collection by a hauler for processing
11at a recycling center.
12    (c) The Agency shall include on its website information
13regarding the recycling of rechargeable batteries.
14(Source: P.A. 101-137, eff. 7-26-19; revised 9-12-19.)
 
15    (415 ILCS 5/22.59)
16    Sec. 22.59. CCR surface impoundments.
17    (a) The General Assembly finds that:
18        (1) the State of Illinois has a long-standing policy
19    to restore, protect, and enhance the environment,
20    including the purity of the air, land, and waters,
21    including groundwaters, of this State;
22        (2) a clean environment is essential to the growth and
23    well-being of this State;
24        (3) CCR generated by the electric generating industry
25    has caused groundwater contamination and other forms of

 

 

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1    pollution at active and inactive plants throughout this
2    State;
3        (4) environmental laws should be supplemented to
4    ensure consistent, responsible regulation of all existing
5    CCR surface impoundments; and
6        (5) meaningful participation of State residents,
7    especially vulnerable populations who may be affected by
8    regulatory actions, is critical to ensure that
9    environmental justice considerations are incorporated in
10    the development of, decision-making related to, and
11    implementation of environmental laws and rulemaking that
12    protects and improves the well-being of communities in
13    this State that bear disproportionate burdens imposed by
14    environmental pollution.
15    Therefore, the purpose of this Section is to promote a
16healthful environment, including clean water, air, and land,
17meaningful public involvement, and the responsible disposal
18and storage of coal combustion residuals, so as to protect
19public health and to prevent pollution of the environment of
20this State.
21    The provisions of this Section shall be liberally
22construed to carry out the purposes of this Section.
23    (b) No person shall:
24        (1) cause or allow the discharge of any contaminants
25    from a CCR surface impoundment into the environment so as
26    to cause, directly or indirectly, a violation of this

 

 

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1    Section or any regulations or standards adopted by the
2    Board under this Section, either alone or in combination
3    with contaminants from other sources;
4        (2) construct, install, modify, operate, or close any
5    CCR surface impoundment without a permit granted by the
6    Agency, or so as to violate any conditions imposed by such
7    permit, any provision of this Section or any regulations
8    or standards adopted by the Board under this Section; or
9        (3) cause or allow, directly or indirectly, the
10    discharge, deposit, injection, dumping, spilling, leaking,
11    or placing of any CCR upon the land in a place and manner
12    so as to cause or tend to cause a violation this Section or
13    any regulations or standards adopted by the Board under
14    this Section.
15    (c) For purposes of this Section, a permit issued by the
16Administrator of the United States Environmental Protection
17Agency under Section 4005 of the federal Resource Conservation
18and Recovery Act, shall be deemed to be a permit under this
19Section and subsection (y) of Section 39.
20    (d) Before commencing closure of a CCR surface
21impoundment, in accordance with Board rules, the owner of a
22CCR surface impoundment must submit to the Agency for approval
23a closure alternatives analysis that analyzes all closure
24methods being considered and that otherwise satisfies all
25closure requirements adopted by the Board under this Act.
26Complete removal of CCR, as specified by the Board's rules,

 

 

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1from the CCR surface impoundment must be considered and
2analyzed. Section 3.405 does not apply to the Board's rules
3specifying complete removal of CCR. The selected closure
4method must ensure compliance with regulations adopted by the
5Board pursuant to this Section.
6    (e) Owners or operators of CCR surface impoundments who
7have submitted a closure plan to the Agency before May 1, 2019,
8and who have completed closure prior to 24 months after July
930, 2019 (the effective date of Public Act 101-171) this
10amendatory Act of the 101st General Assembly shall not be
11required to obtain a construction permit for the surface
12impoundment closure under this Section.
13    (f) Except for the State, its agencies and institutions, a
14unit of local government, or not-for-profit electric
15cooperative as defined in Section 3.4 of the Electric Supplier
16Act, any person who owns or operates a CCR surface impoundment
17in this State shall post with the Agency a performance bond or
18other security for the purpose of: (i) ensuring closure of the
19CCR surface impoundment and post-closure care in accordance
20with this Act and its rules; and (ii) insuring remediation of
21releases from the CCR surface impoundment. The only acceptable
22forms of financial assurance are: a trust fund, a surety bond
23guaranteeing payment, a surety bond guaranteeing performance,
24or an irrevocable letter of credit.
25        (1) The cost estimate for the post-closure care of a
26    CCR surface impoundment shall be calculated using a

 

 

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1    30-year post-closure care period or such longer period as
2    may be approved by the Agency under Board or federal
3    rules.
4        (2) The Agency is authorized to enter into such
5    contracts and agreements as it may deem necessary to carry
6    out the purposes of this Section. Neither the State, nor
7    the Director, nor any State employee shall be liable for
8    any damages or injuries arising out of or resulting from
9    any action taken under this Section.
10        (3) The Agency shall have the authority to approve or
11    disapprove any performance bond or other security posted
12    under this subsection. Any person whose performance bond
13    or other security is disapproved by the Agency may contest
14    the disapproval as a permit denial appeal pursuant to
15    Section 40.
16    (g) The Board shall adopt rules establishing construction
17permit requirements, operating permit requirements, design
18standards, reporting, financial assurance, and closure and
19post-closure care requirements for CCR surface impoundments.
20Not later than 8 months after July 30, 2019 (the effective date
21of Public Act 101-171) this amendatory Act of the 101st
22General Assembly the Agency shall propose, and not later than
23one year after receipt of the Agency's proposal the Board
24shall adopt, rules under this Section. The rules must, at a
25minimum:
26        (1) be at least as protective and comprehensive as the

 

 

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1    federal regulations or amendments thereto promulgated by
2    the Administrator of the United States Environmental
3    Protection Agency in Subpart D of 40 CFR 257 governing CCR
4    surface impoundments;
5        (2) specify the minimum contents of CCR surface
6    impoundment construction and operating permit
7    applications, including the closure alternatives analysis
8    required under subsection (d);
9        (3) specify which types of permits include
10    requirements for closure, post-closure, remediation and
11    all other requirements applicable to CCR surface
12    impoundments;
13        (4) specify when permit applications for existing CCR
14    surface impoundments must be submitted, taking into
15    consideration whether the CCR surface impoundment must
16    close under the RCRA;
17        (5) specify standards for review and approval by the
18    Agency of CCR surface impoundment permit applications;
19        (6) specify meaningful public participation procedures
20    for the issuance of CCR surface impoundment construction
21    and operating permits, including, but not limited to,
22    public notice of the submission of permit applications, an
23    opportunity for the submission of public comments, an
24    opportunity for a public hearing prior to permit issuance,
25    and a summary and response of the comments prepared by the
26    Agency;

 

 

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1        (7) prescribe the type and amount of the performance
2    bonds or other securities required under subsection (f),
3    and the conditions under which the State is entitled to
4    collect moneys from such performance bonds or other
5    securities;
6        (8) specify a procedure to identify areas of
7    environmental justice concern in relation to CCR surface
8    impoundments;
9        (9) specify a method to prioritize CCR surface
10    impoundments required to close under RCRA if not otherwise
11    specified by the United States Environmental Protection
12    Agency, so that the CCR surface impoundments with the
13    highest risk to public health and the environment, and
14    areas of environmental justice concern are given first
15    priority;
16        (10) define when complete removal of CCR is achieved
17    and specify the standards for responsible removal of CCR
18    from CCR surface impoundments, including, but not limited
19    to, dust controls and the protection of adjacent surface
20    water and groundwater; and
21        (11) describe the process and standards for
22    identifying a specific alternative source of groundwater
23    pollution when the owner or operator of the CCR surface
24    impoundment believes that groundwater contamination on the
25    site is not from the CCR surface impoundment.
26    (h) Any owner of a CCR surface impoundment that generates

 

 

SB2435- 1573 -LRB102 04062 AMC 14078 b

1CCR and sells or otherwise provides coal combustion byproducts
2pursuant to Section 3.135 shall, every 12 months, post on its
3publicly available website a report specifying the volume or
4weight of CCR, in cubic yards or tons, that it sold or provided
5during the past 12 months.
6    (i) The owner of a CCR surface impoundment shall post all
7closure plans, permit applications, and supporting
8documentation, as well as any Agency approval of the plans or
9applications on its publicly available website.
10    (j) The owner or operator of a CCR surface impoundment
11shall pay the following fees:
12        (1) An initial fee to the Agency within 6 months after
13    July 30, 2019 (the effective date of Public Act 101-171)
14    this amendatory Act of the 101st General Assembly of:
15            $50,000 for each closed CCR surface impoundment;
16        and
17            $75,000 for each CCR surface impoundment that have
18        not completed closure.
19        (2) Annual fees to the Agency, beginning on July 1,
20    2020, of:
21            $25,000 for each CCR surface impoundment that has
22        not completed closure; and
23            $15,000 for each CCR surface impoundment that has
24        completed closure, but has not completed post-closure
25        care.
26    (k) All fees collected by the Agency under subsection (j)

 

 

SB2435- 1574 -LRB102 04062 AMC 14078 b

1shall be deposited into the Environmental Protection Permit
2and Inspection Fund.
3    (l) The Coal Combustion Residual Surface Impoundment
4Financial Assurance Fund is created as a special fund in the
5State treasury. Any moneys forfeited to the State of Illinois
6from any performance bond or other security required under
7this Section shall be placed in the Coal Combustion Residual
8Surface Impoundment Financial Assurance Fund and shall, upon
9approval by the Governor and the Director, be used by the
10Agency for the purposes for which such performance bond or
11other security was issued. The Coal Combustion Residual
12Surface Impoundment Financial Assurance Fund is not subject to
13the provisions of subsection (c) of Section 5 of the State
14Finance Act.
15    (m) The provisions of this Section shall apply, without
16limitation, to all existing CCR surface impoundments and any
17CCR surface impoundments constructed after July 30, 2019 (the
18effective date of Public Act 101-171) this amendatory Act of
19the 101st General Assembly, except to the extent prohibited by
20the Illinois or United States Constitutions.
21(Source: P.A. 101-171, eff. 7-30-19; revised 10-22-19.)
 
22    (415 ILCS 5/22.60)
23    (For Section repeal see subsection (e))
24    Sec. 22.60 22.59. Pilot project for Will County and Grundy
25County pyrolysis or gasification facility.

 

 

SB2435- 1575 -LRB102 04062 AMC 14078 b

1    (a) As used in this Section:
2    "Plastics" means polystyrene or any other synthetic
3organic polymer that can be molded into shape under heat and
4pressure and then set into a rigid or slightly elastic form.
5    "Plastics gasification facility" means a manufacturing
6facility that:
7        (1) receives only uncontaminated plastics that have
8    been processed prior to receipt at the facility into a
9    feedstock meeting the facility's specifications for a
10    gasification feedstock; and
11        (2) uses heat in an oxygen-deficient atmosphere to
12    process the feedstock into fuels, chemicals, or chemical
13    feedstocks that are returned to the economic mainstream in
14    the form of raw materials or products.
15    "Plastics pyrolysis facility" means a manufacturing
16facility that:
17        (1) receives only uncontaminated plastics that have
18    been processed prior to receipt at the facility into a
19    feedstock meeting the facility's specifications for a
20    pyrolysis feedstock; and
21        (2) uses heat in the absence of oxygen to process the
22    uncontaminated plastics into fuels, chemicals, or chemical
23    feedstocks that are returned to the economic mainstream in
24    the form of raw materials or products.
25    (b) Provided that permitting and construction has
26commenced prior to July 1, 2025, a pilot project allowing for a

 

 

SB2435- 1576 -LRB102 04062 AMC 14078 b

1pyrolysis or gasification facility in accordance with this
2Section is permitted for a locally zoned and approved site in
3either Will County or Grundy County.
4    (c) To the extent allowed by federal law, uncontaminated
5plastics that have been processed into a feedstock meeting
6feedstock specifications for a plastics gasification facility
7or plastics pyrolysis facility, and that are further processed
8by such a facility and returned to the economic mainstream in
9the form of raw materials or products, are considered recycled
10and are not subject to regulation as waste.
11    (d) The Agency may propose to the Board for adoption, and
12the Board may adopt, rules establishing standards for
13materials accepted as feedstocks by plastics gasification
14facilities and plastics pyrolysis facilities, rules
15establishing standards for the management of feedstocks at
16plastics gasification facilities and plastics pyrolysis
17facilities, and any other rules, as may be necessary to
18implement and administer this Section.
19    (e) If permitting and construction for the pilot project
20under subsection (b) has not commenced by July 1, 2025, this
21Section is repealed.
22(Source: P.A. 101-141, eff. 7-1-20; revised 8-4-20.)
 
23    (415 ILCS 5/22.61)
24    Sec. 22.61 22.59. Regulation of bisphenol A in business
25transaction paper.

 

 

SB2435- 1577 -LRB102 04062 AMC 14078 b

1    (a) For purposes of this Section, "thermal paper" means
2paper with bisphenol A added to the coating.
3    (b) Beginning January 1, 2020, no person shall
4manufacture, for sale in this State, thermal paper.
5    (c) No person shall distribute or use any thermal paper
6for the making of business or banking records, including, but
7not limited to, records of receipts, credits, withdrawals,
8deposits, or credit or debit card transactions. This
9subsection shall not apply to thermal paper that was
10manufactured prior to January 1, 2020.
11    (d) The prohibition in subsections (a) and (b) shall not
12apply to paper containing recycled material.
13(Source: P.A. 101-457, eff. 8-23-19; revised 10-22-19.)
 
14    (415 ILCS 5/39)  (from Ch. 111 1/2, par. 1039)
15    Sec. 39. Issuance of permits; procedures.
16    (a) When the Board has by regulation required a permit for
17the construction, installation, or operation of any type of
18facility, equipment, vehicle, vessel, or aircraft, the
19applicant shall apply to the Agency for such permit and it
20shall be the duty of the Agency to issue such a permit upon
21proof by the applicant that the facility, equipment, vehicle,
22vessel, or aircraft will not cause a violation of this Act or
23of regulations hereunder. The Agency shall adopt such
24procedures as are necessary to carry out its duties under this
25Section. In making its determinations on permit applications

 

 

SB2435- 1578 -LRB102 04062 AMC 14078 b

1under this Section the Agency may consider prior adjudications
2of noncompliance with this Act by the applicant that involved
3a release of a contaminant into the environment. In granting
4permits, the Agency may impose reasonable conditions
5specifically related to the applicant's past compliance
6history with this Act as necessary to correct, detect, or
7prevent noncompliance. The Agency may impose such other
8conditions as may be necessary to accomplish the purposes of
9this Act, and as are not inconsistent with the regulations
10promulgated by the Board hereunder. Except as otherwise
11provided in this Act, a bond or other security shall not be
12required as a condition for the issuance of a permit. If the
13Agency denies any permit under this Section, the Agency shall
14transmit to the applicant within the time limitations of this
15Section specific, detailed statements as to the reasons the
16permit application was denied. Such statements shall include,
17but not be limited to the following:
18        (i) the Sections of this Act which may be violated if
19    the permit were granted;
20        (ii) the provision of the regulations, promulgated
21    under this Act, which may be violated if the permit were
22    granted;
23        (iii) the specific type of information, if any, which
24    the Agency deems the applicant did not provide the Agency;
25    and
26        (iv) a statement of specific reasons why the Act and

 

 

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1    the regulations might not be met if the permit were
2    granted.
3    If there is no final action by the Agency within 90 days
4after the filing of the application for permit, the applicant
5may deem the permit issued; except that this time period shall
6be extended to 180 days when (1) notice and opportunity for
7public hearing are required by State or federal law or
8regulation, (2) the application which was filed is for any
9permit to develop a landfill subject to issuance pursuant to
10this subsection, or (3) the application that was filed is for a
11MSWLF unit required to issue public notice under subsection
12(p) of Section 39. The 90-day and 180-day time periods for the
13Agency to take final action do not apply to NPDES permit
14applications under subsection (b) of this Section, to RCRA
15permit applications under subsection (d) of this Section, to
16UIC permit applications under subsection (e) of this Section,
17or to CCR surface impoundment applications under subsection
18(y) of this Section.
19    The Agency shall publish notice of all final permit
20determinations for development permits for MSWLF units and for
21significant permit modifications for lateral expansions for
22existing MSWLF units one time in a newspaper of general
23circulation in the county in which the unit is or is proposed
24to be located.
25    After January 1, 1994 and until July 1, 1998, operating
26permits issued under this Section by the Agency for sources of

 

 

SB2435- 1580 -LRB102 04062 AMC 14078 b

1air pollution permitted to emit less than 25 tons per year of
2any combination of regulated air pollutants, as defined in
3Section 39.5 of this Act, shall be required to be renewed only
4upon written request by the Agency consistent with applicable
5provisions of this Act and regulations promulgated hereunder.
6Such operating permits shall expire 180 days after the date of
7such a request. The Board shall revise its regulations for the
8existing State air pollution operating permit program
9consistent with this provision by January 1, 1994.
10    After June 30, 1998, operating permits issued under this
11Section by the Agency for sources of air pollution that are not
12subject to Section 39.5 of this Act and are not required to
13have a federally enforceable State operating permit shall be
14required to be renewed only upon written request by the Agency
15consistent with applicable provisions of this Act and its
16rules. Such operating permits shall expire 180 days after the
17date of such a request. Before July 1, 1998, the Board shall
18revise its rules for the existing State air pollution
19operating permit program consistent with this paragraph and
20shall adopt rules that require a source to demonstrate that it
21qualifies for a permit under this paragraph.
22    (b) The Agency may issue NPDES permits exclusively under
23this subsection for the discharge of contaminants from point
24sources into navigable waters, all as defined in the Federal
25Water Pollution Control Act, as now or hereafter amended,
26within the jurisdiction of the State, or into any well.

 

 

SB2435- 1581 -LRB102 04062 AMC 14078 b

1    All NPDES permits shall contain those terms and
2conditions, including, but not limited to, schedules of
3compliance, which may be required to accomplish the purposes
4and provisions of this Act.
5    The Agency may issue general NPDES permits for discharges
6from categories of point sources which are subject to the same
7permit limitations and conditions. Such general permits may be
8issued without individual applications and shall conform to
9regulations promulgated under Section 402 of the Federal Water
10Pollution Control Act, as now or hereafter amended.
11    The Agency may include, among such conditions, effluent
12limitations and other requirements established under this Act,
13Board regulations, the Federal Water Pollution Control Act, as
14now or hereafter amended, and regulations pursuant thereto,
15and schedules for achieving compliance therewith at the
16earliest reasonable date.
17    The Agency shall adopt filing requirements and procedures
18which are necessary and appropriate for the issuance of NPDES
19permits, and which are consistent with the Act or regulations
20adopted by the Board, and with the Federal Water Pollution
21Control Act, as now or hereafter amended, and regulations
22pursuant thereto.
23    The Agency, subject to any conditions which may be
24prescribed by Board regulations, may issue NPDES permits to
25allow discharges beyond deadlines established by this Act or
26by regulations of the Board without the requirement of a

 

 

SB2435- 1582 -LRB102 04062 AMC 14078 b

1variance, subject to the Federal Water Pollution Control Act,
2as now or hereafter amended, and regulations pursuant thereto.
3    (c) Except for those facilities owned or operated by
4sanitary districts organized under the Metropolitan Water
5Reclamation District Act, no permit for the development or
6construction of a new pollution control facility may be
7granted by the Agency unless the applicant submits proof to
8the Agency that the location of the facility has been approved
9by the county board County Board of the county if in an
10unincorporated area, or the governing body of the municipality
11when in an incorporated area, in which the facility is to be
12located in accordance with Section 39.2 of this Act. For
13purposes of this subsection (c), and for purposes of Section
1439.2 of this Act, the appropriate county board or governing
15body of the municipality shall be the county board of the
16county or the governing body of the municipality in which the
17facility is to be located as of the date when the application
18for siting approval is filed.
19    In the event that siting approval granted pursuant to
20Section 39.2 has been transferred to a subsequent owner or
21operator, that subsequent owner or operator may apply to the
22Agency for, and the Agency may grant, a development or
23construction permit for the facility for which local siting
24approval was granted. Upon application to the Agency for a
25development or construction permit by that subsequent owner or
26operator, the permit applicant shall cause written notice of

 

 

SB2435- 1583 -LRB102 04062 AMC 14078 b

1the permit application to be served upon the appropriate
2county board or governing body of the municipality that
3granted siting approval for that facility and upon any party
4to the siting proceeding pursuant to which siting approval was
5granted. In that event, the Agency shall conduct an evaluation
6of the subsequent owner or operator's prior experience in
7waste management operations in the manner conducted under
8subsection (i) of Section 39 of this Act.
9    Beginning August 20, 1993, if the pollution control
10facility consists of a hazardous or solid waste disposal
11facility for which the proposed site is located in an
12unincorporated area of a county with a population of less than
13100,000 and includes all or a portion of a parcel of land that
14was, on April 1, 1993, adjacent to a municipality having a
15population of less than 5,000, then the local siting review
16required under this subsection (c) in conjunction with any
17permit applied for after that date shall be performed by the
18governing body of that adjacent municipality rather than the
19county board of the county in which the proposed site is
20located; and for the purposes of that local siting review, any
21references in this Act to the county board shall be deemed to
22mean the governing body of that adjacent municipality;
23provided, however, that the provisions of this paragraph shall
24not apply to any proposed site which was, on April 1, 1993,
25owned in whole or in part by another municipality.
26    In the case of a pollution control facility for which a

 

 

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1development permit was issued before November 12, 1981, if an
2operating permit has not been issued by the Agency prior to
3August 31, 1989 for any portion of the facility, then the
4Agency may not issue or renew any development permit nor issue
5an original operating permit for any portion of such facility
6unless the applicant has submitted proof to the Agency that
7the location of the facility has been approved by the
8appropriate county board or municipal governing body pursuant
9to Section 39.2 of this Act.
10    After January 1, 1994, if a solid waste disposal facility,
11any portion for which an operating permit has been issued by
12the Agency, has not accepted waste disposal for 5 or more
13consecutive calendar calendars years, before that facility may
14accept any new or additional waste for disposal, the owner and
15operator must obtain a new operating permit under this Act for
16that facility unless the owner and operator have applied to
17the Agency for a permit authorizing the temporary suspension
18of waste acceptance. The Agency may not issue a new operation
19permit under this Act for the facility unless the applicant
20has submitted proof to the Agency that the location of the
21facility has been approved or re-approved by the appropriate
22county board or municipal governing body under Section 39.2 of
23this Act after the facility ceased accepting waste.
24    Except for those facilities owned or operated by sanitary
25districts organized under the Metropolitan Water Reclamation
26District Act, and except for new pollution control facilities

 

 

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1governed by Section 39.2, and except for fossil fuel mining
2facilities, the granting of a permit under this Act shall not
3relieve the applicant from meeting and securing all necessary
4zoning approvals from the unit of government having zoning
5jurisdiction over the proposed facility.
6    Before beginning construction on any new sewage treatment
7plant or sludge drying site to be owned or operated by a
8sanitary district organized under the Metropolitan Water
9Reclamation District Act for which a new permit (rather than
10the renewal or amendment of an existing permit) is required,
11such sanitary district shall hold a public hearing within the
12municipality within which the proposed facility is to be
13located, or within the nearest community if the proposed
14facility is to be located within an unincorporated area, at
15which information concerning the proposed facility shall be
16made available to the public, and members of the public shall
17be given the opportunity to express their views concerning the
18proposed facility.
19    The Agency may issue a permit for a municipal waste
20transfer station without requiring approval pursuant to
21Section 39.2 provided that the following demonstration is
22made:
23        (1) the municipal waste transfer station was in
24    existence on or before January 1, 1979 and was in
25    continuous operation from January 1, 1979 to January 1,
26    1993;

 

 

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1        (2) the operator submitted a permit application to the
2    Agency to develop and operate the municipal waste transfer
3    station during April of 1994;
4        (3) the operator can demonstrate that the county board
5    of the county, if the municipal waste transfer station is
6    in an unincorporated area, or the governing body of the
7    municipality, if the station is in an incorporated area,
8    does not object to resumption of the operation of the
9    station; and
10        (4) the site has local zoning approval.
11    (d) The Agency may issue RCRA permits exclusively under
12this subsection to persons owning or operating a facility for
13the treatment, storage, or disposal of hazardous waste as
14defined under this Act. Subsection (y) of this Section, rather
15than this subsection (d), shall apply to permits issued for
16CCR surface impoundments.
17    All RCRA permits shall contain those terms and conditions,
18including, but not limited to, schedules of compliance, which
19may be required to accomplish the purposes and provisions of
20this Act. The Agency may include among such conditions
21standards and other requirements established under this Act,
22Board regulations, the Resource Conservation and Recovery Act
23of 1976 (P.L. 94-580), as amended, and regulations pursuant
24thereto, and may include schedules for achieving compliance
25therewith as soon as possible. The Agency shall require that a
26performance bond or other security be provided as a condition

 

 

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1for the issuance of a RCRA permit.
2    In the case of a permit to operate a hazardous waste or PCB
3incinerator as defined in subsection (k) of Section 44, the
4Agency shall require, as a condition of the permit, that the
5operator of the facility perform such analyses of the waste to
6be incinerated as may be necessary and appropriate to ensure
7the safe operation of the incinerator.
8    The Agency shall adopt filing requirements and procedures
9which are necessary and appropriate for the issuance of RCRA
10permits, and which are consistent with the Act or regulations
11adopted by the Board, and with the Resource Conservation and
12Recovery Act of 1976 (P.L. 94-580), as amended, and
13regulations pursuant thereto.
14    The applicant shall make available to the public for
15inspection all documents submitted by the applicant to the
16Agency in furtherance of an application, with the exception of
17trade secrets, at the office of the county board or governing
18body of the municipality. Such documents may be copied upon
19payment of the actual cost of reproduction during regular
20business hours of the local office. The Agency shall issue a
21written statement concurrent with its grant or denial of the
22permit explaining the basis for its decision.
23    (e) The Agency may issue UIC permits exclusively under
24this subsection to persons owning or operating a facility for
25the underground injection of contaminants as defined under
26this Act.

 

 

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1    All UIC permits shall contain those terms and conditions,
2including, but not limited to, schedules of compliance, which
3may be required to accomplish the purposes and provisions of
4this Act. The Agency may include among such conditions
5standards and other requirements established under this Act,
6Board regulations, the Safe Drinking Water Act (P.L. 93-523),
7as amended, and regulations pursuant thereto, and may include
8schedules for achieving compliance therewith. The Agency shall
9require that a performance bond or other security be provided
10as a condition for the issuance of a UIC permit.
11    The Agency shall adopt filing requirements and procedures
12which are necessary and appropriate for the issuance of UIC
13permits, and which are consistent with the Act or regulations
14adopted by the Board, and with the Safe Drinking Water Act
15(P.L. 93-523), as amended, and regulations pursuant thereto.
16    The applicant shall make available to the public for
17inspection, all documents submitted by the applicant to the
18Agency in furtherance of an application, with the exception of
19trade secrets, at the office of the county board or governing
20body of the municipality. Such documents may be copied upon
21payment of the actual cost of reproduction during regular
22business hours of the local office. The Agency shall issue a
23written statement concurrent with its grant or denial of the
24permit explaining the basis for its decision.
25    (f) In making any determination pursuant to Section 9.1 of
26this Act:

 

 

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1        (1) The Agency shall have authority to make the
2    determination of any question required to be determined by
3    the Clean Air Act, as now or hereafter amended, this Act,
4    or the regulations of the Board, including the
5    determination of the Lowest Achievable Emission Rate,
6    Maximum Achievable Control Technology, or Best Available
7    Control Technology, consistent with the Board's
8    regulations, if any.
9        (2) The Agency shall adopt requirements as necessary
10    to implement public participation procedures, including,
11    but not limited to, public notice, comment, and an
12    opportunity for hearing, which must accompany the
13    processing of applications for PSD permits. The Agency
14    shall briefly describe and respond to all significant
15    comments on the draft permit raised during the public
16    comment period or during any hearing. The Agency may group
17    related comments together and provide one unified response
18    for each issue raised.
19        (3) Any complete permit application submitted to the
20    Agency under this subsection for a PSD permit shall be
21    granted or denied by the Agency not later than one year
22    after the filing of such completed application.
23        (4) The Agency shall, after conferring with the
24    applicant, give written notice to the applicant of its
25    proposed decision on the application, including the terms
26    and conditions of the permit to be issued and the facts,

 

 

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1    conduct, or other basis upon which the Agency will rely to
2    support its proposed action.
3    (g) The Agency shall include as conditions upon all
4permits issued for hazardous waste disposal sites such
5restrictions upon the future use of such sites as are
6reasonably necessary to protect public health and the
7environment, including permanent prohibition of the use of
8such sites for purposes which may create an unreasonable risk
9of injury to human health or to the environment. After
10administrative and judicial challenges to such restrictions
11have been exhausted, the Agency shall file such restrictions
12of record in the Office of the Recorder of the county in which
13the hazardous waste disposal site is located.
14    (h) A hazardous waste stream may not be deposited in a
15permitted hazardous waste site unless specific authorization
16is obtained from the Agency by the generator and disposal site
17owner and operator for the deposit of that specific hazardous
18waste stream. The Agency may grant specific authorization for
19disposal of hazardous waste streams only after the generator
20has reasonably demonstrated that, considering technological
21feasibility and economic reasonableness, the hazardous waste
22cannot be reasonably recycled for reuse, nor incinerated or
23chemically, physically or biologically treated so as to
24neutralize the hazardous waste and render it nonhazardous. In
25granting authorization under this Section, the Agency may
26impose such conditions as may be necessary to accomplish the

 

 

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1purposes of the Act and are consistent with this Act and
2regulations promulgated by the Board hereunder. If the Agency
3refuses to grant authorization under this Section, the
4applicant may appeal as if the Agency refused to grant a
5permit, pursuant to the provisions of subsection (a) of
6Section 40 of this Act. For purposes of this subsection (h),
7the term "generator" has the meaning given in Section 3.205 of
8this Act, unless: (1) the hazardous waste is treated,
9incinerated, or partially recycled for reuse prior to
10disposal, in which case the last person who treats,
11incinerates, or partially recycles the hazardous waste prior
12to disposal is the generator; or (2) the hazardous waste is
13from a response action, in which case the person performing
14the response action is the generator. This subsection (h) does
15not apply to any hazardous waste that is restricted from land
16disposal under 35 Ill. Adm. Code 728.
17    (i) Before issuing any RCRA permit, any permit for a waste
18storage site, sanitary landfill, waste disposal site, waste
19transfer station, waste treatment facility, waste incinerator,
20or any waste-transportation operation, any permit or interim
21authorization for a clean construction or demolition debris
22fill operation, or any permit required under subsection (d-5)
23of Section 55, the Agency shall conduct an evaluation of the
24prospective owner's or operator's prior experience in waste
25management operations, clean construction or demolition debris
26fill operations, and tire storage site management. The Agency

 

 

SB2435- 1592 -LRB102 04062 AMC 14078 b

1may deny such a permit, or deny or revoke interim
2authorization, if the prospective owner or operator or any
3employee or officer of the prospective owner or operator has a
4history of:
5        (1) repeated violations of federal, State, or local
6    laws, regulations, standards, or ordinances in the
7    operation of waste management facilities or sites, clean
8    construction or demolition debris fill operation
9    facilities or sites, or tire storage sites; or
10        (2) conviction in this or another State of any crime
11    which is a felony under the laws of this State, or
12    conviction of a felony in a federal court; or conviction
13    in this or another state or federal court of any of the
14    following crimes: forgery, official misconduct, bribery,
15    perjury, or knowingly submitting false information under
16    any environmental law, regulation, or permit term or
17    condition; or
18        (3) proof of gross carelessness or incompetence in
19    handling, storing, processing, transporting or disposing
20    of waste, clean construction or demolition debris, or used
21    or waste tires, or proof of gross carelessness or
22    incompetence in using clean construction or demolition
23    debris as fill.
24    (i-5) Before issuing any permit or approving any interim
25authorization for a clean construction or demolition debris
26fill operation in which any ownership interest is transferred

 

 

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1between January 1, 2005, and the effective date of the
2prohibition set forth in Section 22.52 of this Act, the Agency
3shall conduct an evaluation of the operation if any previous
4activities at the site or facility may have caused or allowed
5contamination of the site. It shall be the responsibility of
6the owner or operator seeking the permit or interim
7authorization to provide to the Agency all of the information
8necessary for the Agency to conduct its evaluation. The Agency
9may deny a permit or interim authorization if previous
10activities at the site may have caused or allowed
11contamination at the site, unless such contamination is
12authorized under any permit issued by the Agency.
13    (j) The issuance under this Act of a permit to engage in
14the surface mining of any resources other than fossil fuels
15shall not relieve the permittee from its duty to comply with
16any applicable local law regulating the commencement, location
17or operation of surface mining facilities.
18    (k) A development permit issued under subsection (a) of
19Section 39 for any facility or site which is required to have a
20permit under subsection (d) of Section 21 shall expire at the
21end of 2 calendar years from the date upon which it was issued,
22unless within that period the applicant has taken action to
23develop the facility or the site. In the event that review of
24the conditions of the development permit is sought pursuant to
25Section 40 or 41, or permittee is prevented from commencing
26development of the facility or site by any other litigation

 

 

SB2435- 1594 -LRB102 04062 AMC 14078 b

1beyond the permittee's control, such two-year period shall be
2deemed to begin on the date upon which such review process or
3litigation is concluded.
4    (l) No permit shall be issued by the Agency under this Act
5for construction or operation of any facility or site located
6within the boundaries of any setback zone established pursuant
7to this Act, where such construction or operation is
8prohibited.
9    (m) The Agency may issue permits to persons owning or
10operating a facility for composting landscape waste. In
11granting such permits, the Agency may impose such conditions
12as may be necessary to accomplish the purposes of this Act, and
13as are not inconsistent with applicable regulations
14promulgated by the Board. Except as otherwise provided in this
15Act, a bond or other security shall not be required as a
16condition for the issuance of a permit. If the Agency denies
17any permit pursuant to this subsection, the Agency shall
18transmit to the applicant within the time limitations of this
19subsection specific, detailed statements as to the reasons the
20permit application was denied. Such statements shall include
21but not be limited to the following:
22        (1) the Sections of this Act that may be violated if
23    the permit were granted;
24        (2) the specific regulations promulgated pursuant to
25    this Act that may be violated if the permit were granted;
26        (3) the specific information, if any, the Agency deems

 

 

SB2435- 1595 -LRB102 04062 AMC 14078 b

1    the applicant did not provide in its application to the
2    Agency; and
3        (4) a statement of specific reasons why the Act and
4    the regulations might be violated if the permit were
5    granted.
6    If no final action is taken by the Agency within 90 days
7after the filing of the application for permit, the applicant
8may deem the permit issued. Any applicant for a permit may
9waive the 90-day limitation by filing a written statement with
10the Agency.
11    The Agency shall issue permits for such facilities upon
12receipt of an application that includes a legal description of
13the site, a topographic map of the site drawn to the scale of
14200 feet to the inch or larger, a description of the operation,
15including the area served, an estimate of the volume of
16materials to be processed, and documentation that:
17        (1) the facility includes a setback of at least 200
18    feet from the nearest potable water supply well;
19        (2) the facility is located outside the boundary of
20    the 10-year floodplain or the site will be floodproofed;
21        (3) the facility is located so as to minimize
22    incompatibility with the character of the surrounding
23    area, including at least a 200 foot setback from any
24    residence, and in the case of a facility that is developed
25    or the permitted composting area of which is expanded
26    after November 17, 1991, the composting area is located at

 

 

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1    least 1/8 mile from the nearest residence (other than a
2    residence located on the same property as the facility);
3        (4) the design of the facility will prevent any
4    compost material from being placed within 5 feet of the
5    water table, will adequately control runoff from the site,
6    and will collect and manage any leachate that is generated
7    on the site;
8        (5) the operation of the facility will include
9    appropriate dust and odor control measures, limitations on
10    operating hours, appropriate noise control measures for
11    shredding, chipping and similar equipment, management
12    procedures for composting, containment and disposal of
13    non-compostable wastes, procedures to be used for
14    terminating operations at the site, and recordkeeping
15    sufficient to document the amount of materials received,
16    composted and otherwise disposed of; and
17        (6) the operation will be conducted in accordance with
18    any applicable rules adopted by the Board.
19    The Agency shall issue renewable permits of not longer
20than 10 years in duration for the composting of landscape
21wastes, as defined in Section 3.155 of this Act, based on the
22above requirements.
23    The operator of any facility permitted under this
24subsection (m) must submit a written annual statement to the
25Agency on or before April 1 of each year that includes an
26estimate of the amount of material, in tons, received for

 

 

SB2435- 1597 -LRB102 04062 AMC 14078 b

1composting.
2    (n) The Agency shall issue permits jointly with the
3Department of Transportation for the dredging or deposit of
4material in Lake Michigan in accordance with Section 18 of the
5Rivers, Lakes, and Streams Act.
6    (o) (Blank.)
7    (p) (1) Any person submitting an application for a permit
8for a new MSWLF unit or for a lateral expansion under
9subsection (t) of Section 21 of this Act for an existing MSWLF
10unit that has not received and is not subject to local siting
11approval under Section 39.2 of this Act shall publish notice
12of the application in a newspaper of general circulation in
13the county in which the MSWLF unit is or is proposed to be
14located. The notice must be published at least 15 days before
15submission of the permit application to the Agency. The notice
16shall state the name and address of the applicant, the
17location of the MSWLF unit or proposed MSWLF unit, the nature
18and size of the MSWLF unit or proposed MSWLF unit, the nature
19of the activity proposed, the probable life of the proposed
20activity, the date the permit application will be submitted,
21and a statement that persons may file written comments with
22the Agency concerning the permit application within 30 days
23after the filing of the permit application unless the time
24period to submit comments is extended by the Agency.
25    When a permit applicant submits information to the Agency
26to supplement a permit application being reviewed by the

 

 

SB2435- 1598 -LRB102 04062 AMC 14078 b

1Agency, the applicant shall not be required to reissue the
2notice under this subsection.
3    (2) The Agency shall accept written comments concerning
4the permit application that are postmarked no later than 30
5days after the filing of the permit application, unless the
6time period to accept comments is extended by the Agency.
7    (3) Each applicant for a permit described in part (1) of
8this subsection shall file a copy of the permit application
9with the county board or governing body of the municipality in
10which the MSWLF unit is or is proposed to be located at the
11same time the application is submitted to the Agency. The
12permit application filed with the county board or governing
13body of the municipality shall include all documents submitted
14to or to be submitted to the Agency, except trade secrets as
15determined under Section 7.1 of this Act. The permit
16application and other documents on file with the county board
17or governing body of the municipality shall be made available
18for public inspection during regular business hours at the
19office of the county board or the governing body of the
20municipality and may be copied upon payment of the actual cost
21of reproduction.
22    (q) Within 6 months after July 12, 2011 (the effective
23date of Public Act 97-95), the Agency, in consultation with
24the regulated community, shall develop a web portal to be
25posted on its website for the purpose of enhancing review and
26promoting timely issuance of permits required by this Act. At

 

 

SB2435- 1599 -LRB102 04062 AMC 14078 b

1a minimum, the Agency shall make the following information
2available on the web portal:
3        (1) Checklists and guidance relating to the completion
4    of permit applications, developed pursuant to subsection
5    (s) of this Section, which may include, but are not
6    limited to, existing instructions for completing the
7    applications and examples of complete applications. As the
8    Agency develops new checklists and develops guidance, it
9    shall supplement the web portal with those materials.
10        (2) Within 2 years after July 12, 2011 (the effective
11    date of Public Act 97-95), permit application forms or
12    portions of permit applications that can be completed and
13    saved electronically, and submitted to the Agency
14    electronically with digital signatures.
15        (3) Within 2 years after July 12, 2011 (the effective
16    date of Public Act 97-95), an online tracking system where
17    an applicant may review the status of its pending
18    application, including the name and contact information of
19    the permit analyst assigned to the application. Until the
20    online tracking system has been developed, the Agency
21    shall post on its website semi-annual permitting
22    efficiency tracking reports that include statistics on the
23    timeframes for Agency action on the following types of
24    permits received after July 12, 2011 (the effective date
25    of Public Act 97-95): air construction permits, new NPDES
26    permits and associated water construction permits, and

 

 

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1    modifications of major NPDES permits and associated water
2    construction permits. The reports must be posted by
3    February 1 and August 1 each year and shall include:
4            (A) the number of applications received for each
5        type of permit, the number of applications on which
6        the Agency has taken action, and the number of
7        applications still pending; and
8            (B) for those applications where the Agency has
9        not taken action in accordance with the timeframes set
10        forth in this Act, the date the application was
11        received and the reasons for any delays, which may
12        include, but shall not be limited to, (i) the
13        application being inadequate or incomplete, (ii)
14        scientific or technical disagreements with the
15        applicant, USEPA, or other local, state, or federal
16        agencies involved in the permitting approval process,
17        (iii) public opposition to the permit, or (iv) Agency
18        staffing shortages. To the extent practicable, the
19        tracking report shall provide approximate dates when
20        cause for delay was identified by the Agency, when the
21        Agency informed the applicant of the problem leading
22        to the delay, and when the applicant remedied the
23        reason for the delay.
24    (r) Upon the request of the applicant, the Agency shall
25notify the applicant of the permit analyst assigned to the
26application upon its receipt.

 

 

SB2435- 1601 -LRB102 04062 AMC 14078 b

1    (s) The Agency is authorized to prepare and distribute
2guidance documents relating to its administration of this
3Section and procedural rules implementing this Section.
4Guidance documents prepared under this subsection shall not be
5considered rules and shall not be subject to the Illinois
6Administrative Procedure Act. Such guidance shall not be
7binding on any party.
8    (t) Except as otherwise prohibited by federal law or
9regulation, any person submitting an application for a permit
10may include with the application suggested permit language for
11Agency consideration. The Agency is not obligated to use the
12suggested language or any portion thereof in its permitting
13decision. If requested by the permit applicant, the Agency
14shall meet with the applicant to discuss the suggested
15language.
16    (u) If requested by the permit applicant, the Agency shall
17provide the permit applicant with a copy of the draft permit
18prior to any public review period.
19    (v) If requested by the permit applicant, the Agency shall
20provide the permit applicant with a copy of the final permit
21prior to its issuance.
22    (w) An air pollution permit shall not be required due to
23emissions of greenhouse gases, as specified by Section 9.15 of
24this Act.
25    (x) If, before the expiration of a State operating permit
26that is issued pursuant to subsection (a) of this Section and

 

 

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1contains federally enforceable conditions limiting the
2potential to emit of the source to a level below the major
3source threshold for that source so as to exclude the source
4from the Clean Air Act Permit Program, the Agency receives a
5complete application for the renewal of that permit, then all
6of the terms and conditions of the permit shall remain in
7effect until final administrative action has been taken on the
8application for the renewal of the permit.
9    (y) The Agency may issue permits exclusively under this
10subsection to persons owning or operating a CCR surface
11impoundment subject to Section 22.59.
12    All CCR surface impoundment permits shall contain those
13terms and conditions, including, but not limited to, schedules
14of compliance, which may be required to accomplish the
15purposes and provisions of this Act, Board regulations, the
16Illinois Groundwater Protection Act and regulations pursuant
17thereto, and the Resource Conservation and Recovery Act and
18regulations pursuant thereto, and may include schedules for
19achieving compliance therewith as soon as possible.
20    The Board shall adopt filing requirements and procedures
21that are necessary and appropriate for the issuance of CCR
22surface impoundment permits and that are consistent with this
23Act or regulations adopted by the Board, and with the RCRA, as
24amended, and regulations pursuant thereto.
25    The applicant shall make available to the public for
26inspection all documents submitted by the applicant to the

 

 

SB2435- 1603 -LRB102 04062 AMC 14078 b

1Agency in furtherance of an application, with the exception of
2trade secrets, on its public internet website as well as at the
3office of the county board or governing body of the
4municipality where CCR from the CCR surface impoundment will
5be permanently disposed. Such documents may be copied upon
6payment of the actual cost of reproduction during regular
7business hours of the local office.
8    The Agency shall issue a written statement concurrent with
9its grant or denial of the permit explaining the basis for its
10decision.
11(Source: P.A. 101-171, eff. 7-30-19; revised 9-12-19.)
 
12    (415 ILCS 5/40)  (from Ch. 111 1/2, par. 1040)
13    Sec. 40. Appeal of permit denial.
14    (a)(1) If the Agency refuses to grant or grants with
15conditions a permit under Section 39 of this Act, the
16applicant may, within 35 days after the date on which the
17Agency served its decision on the applicant, petition for a
18hearing before the Board to contest the decision of the
19Agency. However, the 35-day period for petitioning for a
20hearing may be extended for an additional period of time not to
21exceed 90 days by written notice provided to the Board from the
22applicant and the Agency within the initial appeal period. The
23Board shall give 21 days' notice to any person in the county
24where is located the facility in issue who has requested
25notice of enforcement proceedings and to each member of the

 

 

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1General Assembly in whose legislative district that
2installation or property is located; and shall publish that
321-day notice in a newspaper of general circulation in that
4county. The Agency shall appear as respondent in such hearing.
5At such hearing the rules prescribed in Section 32 and
6subsection (a) of Section 33 of this Act shall apply, and the
7burden of proof shall be on the petitioner. If, however, the
8Agency issues an NPDES permit that imposes limits which are
9based upon a criterion or denies a permit based upon
10application of a criterion, then the Agency shall have the
11burden of going forward with the basis for the derivation of
12those limits or criterion which were derived under the Board's
13rules.
14    (2) Except as provided in paragraph (a)(3), if there is no
15final action by the Board within 120 days after the date on
16which it received the petition, the petitioner may deem the
17permit issued under this Act, provided, however, that that
18period of 120 days shall not run for any period of time, not to
19exceed 30 days, during which the Board is without sufficient
20membership to constitute the quorum required by subsection (a)
21of Section 5 of this Act, and provided further that such 120
22day period shall not be stayed for lack of quorum beyond 30
23days regardless of whether the lack of quorum exists at the
24beginning of such 120-day period or occurs during the running
25of such 120-day period.
26    (3) Paragraph (a)(2) shall not apply to any permit which

 

 

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1is subject to subsection (b), (d) or (e) of Section 39. If
2there is no final action by the Board within 120 days after the
3date on which it received the petition, the petitioner shall
4be entitled to an Appellate Court order pursuant to subsection
5(d) of Section 41 of this Act.
6    (b) If the Agency grants a RCRA permit for a hazardous
7waste disposal site, a third party, other than the permit
8applicant or Agency, may, within 35 days after the date on
9which the Agency issued its decision, petition the Board for a
10hearing to contest the issuance of the permit. Unless the
11Board determines that such petition is duplicative or
12frivolous, or that the petitioner is so located as to not be
13affected by the permitted facility, the Board shall hear the
14petition in accordance with the terms of subsection (a) of
15this Section and its procedural rules governing denial
16appeals, such hearing to be based exclusively on the record
17before the Agency. The burden of proof shall be on the
18petitioner. The Agency and the permit applicant shall be named
19co-respondents.
20    The provisions of this subsection do not apply to the
21granting of permits issued for the disposal or utilization of
22sludge from publicly owned publicly-owned sewage works.
23    (c) Any party to an Agency proceeding conducted pursuant
24to Section 39.3 of this Act may petition as of right to the
25Board for review of the Agency's decision within 35 days from
26the date of issuance of the Agency's decision, provided that

 

 

SB2435- 1606 -LRB102 04062 AMC 14078 b

1such appeal is not duplicative or frivolous. However, the
235-day period for petitioning for a hearing may be extended by
3the applicant for a period of time not to exceed 90 days by
4written notice provided to the Board from the applicant and
5the Agency within the initial appeal period. If another person
6with standing to appeal wishes to obtain an extension, there
7must be a written notice provided to the Board by that person,
8the Agency, and the applicant, within the initial appeal
9period. The decision of the Board shall be based exclusively
10on the record compiled in the Agency proceeding. In other
11respects the Board's review shall be conducted in accordance
12with subsection (a) of this Section and the Board's procedural
13rules governing permit denial appeals.
14    (d) In reviewing the denial or any condition of a NA NSR
15permit issued by the Agency pursuant to rules and regulations
16adopted under subsection (c) of Section 9.1 of this Act, the
17decision of the Board shall be based exclusively on the record
18before the Agency including the record of the hearing, if any,
19unless the parties agree to supplement the record. The Board
20shall, if it finds the Agency is in error, make a final
21determination as to the substantive limitations of the permit
22including a final determination of Lowest Achievable Emission
23Rate.
24    (e)(1) If the Agency grants or denies a permit under
25subsection (b) of Section 39 of this Act, a third party, other
26than the permit applicant or Agency, may petition the Board

 

 

SB2435- 1607 -LRB102 04062 AMC 14078 b

1within 35 days from the date of issuance of the Agency's
2decision, for a hearing to contest the decision of the Agency.
3    (2) A petitioner shall include the following within a
4petition submitted under subdivision (1) of this subsection:
5        (A) a demonstration that the petitioner raised the
6    issues contained within the petition during the public
7    notice period or during the public hearing on the NPDES
8    permit application, if a public hearing was held; and
9        (B) a demonstration that the petitioner is so situated
10    as to be affected by the permitted facility.
11    (3) If the Board determines that the petition is not
12duplicative or frivolous and contains a satisfactory
13demonstration under subdivision (2) of this subsection, the
14Board shall hear the petition (i) in accordance with the terms
15of subsection (a) of this Section and its procedural rules
16governing permit denial appeals and (ii) exclusively on the
17basis of the record before the Agency. The burden of proof
18shall be on the petitioner. The Agency and permit applicant
19shall be named co-respondents.
20    (f) Any person who files a petition to contest the
21issuance of a permit by the Agency shall pay a filing fee.
22    (g) If the Agency grants or denies a permit under
23subsection (y) of Section 39, a third party, other than the
24permit applicant or Agency, may appeal the Agency's decision
25as provided under federal law for CCR surface impoundment
26permits.

 

 

SB2435- 1608 -LRB102 04062 AMC 14078 b

1(Source: P.A. 100-201, eff. 8-18-17; 101-171, eff. 7-30-19;
2revised 9-12-19.)
 
3    Section 650. The Illinois Pesticide Act is amended by
4changing Sections 5 and 24.1 as follows:
 
5    (415 ILCS 60/5)  (from Ch. 5, par. 805)
6    Sec. 5. Misbranded. : The term misbranded shall apply:
7        1. To any pesticide or device designated as requiring
8    registration by the Director under authority of this Act: ;
9            A. If its labeling bears any statement or graphic
10        representation relating to labeling or to the
11        ingredients which is misleading or false in any
12        particular.
13            B. If it is an imitation of, or is distributed
14        under, the name of another pesticide.
15            C. If any word, statement, or other required
16        information is not prominently placed upon the label
17        or labeled with such conspicuousness and in such terms
18        as to render it readable and understandable by the
19        ordinary person under customary conditions of purchase
20        and use.
21        2. To any pesticide: ;
22            A. If the labeling does not contain a statement of
23        the federal Federal use classification under which the
24        product is registered.

 

 

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1            B. If the labeling accompanying it does not
2        contain directions for use which are necessary for
3        effecting the purpose for which the product is
4        intended and any precautions or requirements imposed
5        by FIFRA which, if complied with, are adequate to
6        protect health and the environment.
7            C. If the label does not bear: ;
8                i. Name, brand or trademark under which the
9            pesticide is distributed.
10                ii. An ingredient statement on that part of
11            the immediate container which is presented or
12            customarily displayed under usual conditions of
13            purchase.
14                iii. A warning or caution statement
15            commensurate with the toxicity categories levels
16            assigned by USEPA.
17                iv. The net weight or measure of contents.
18                v. The name and address of the manufacturer,
19            registrant, or person for whom manufactured.
20                vi. The USEPA registration number assigned to
21            the pesticide as well as the USEPA number assigned
22            to the producing or manufacturing establishment in
23            which the pesticide was produced.
24            D. If the pesticide contains any substance or
25        substances highly toxic to man (as defined in the
26        USEPA) unless the label bears, in addition to other

 

 

SB2435- 1610 -LRB102 04062 AMC 14078 b

1        label requirements: ;
2                i. The skull and crossbones.
3                ii. The word "POISON" in red prominently
4            displayed on a contrasting background.
5                iii. A statement of practical treatment in
6            case of poisoning by the pesticide.
7            E. If the pesticide container does not bear a
8        registered label, is not accompanied by registered
9        labeling instructions, does not bear a label
10        registered for "experimental use only", or does not
11        bear a label showing SLN registration.
12            F. If the pesticide container is not in compliance
13        with child resistant packaging requirements as set
14        forth by the USEPA.
15(Source: P.A. 85-177; revised 7-16-19.)
 
16    (415 ILCS 60/24.1)  (from Ch. 5, par. 824.1)
17    Sec. 24.1. Administrative actions and penalties.
18    (1) The Director is authorized after an opportunity for an
19administrative hearing to suspend, revoke, or modify any
20license, permit, special order, registration, or certification
21issued under this Act. This action may be taken in addition to
22or in lieu of monetary penalties assessed as set forth in this
23Section. When it is in the interest of the people of the State
24of Illinois, the Director may, upon good and sufficient
25evidence, suspend the registration, license, or permit until a

 

 

SB2435- 1611 -LRB102 04062 AMC 14078 b

1hearing has been held. In such cases, the Director shall issue
2an order in writing setting forth the reasons for the
3suspension. Such order shall be served personally on the
4person or by registered or certified mail sent to the person's
5business address as shown in the latest notification to the
6Department. When such an order has been issued by the
7Director, the person may request an immediate hearing.
8    (2) Before initiating hearing proceedings, the Director
9may issue an advisory letter to a violator of this Act or its
10rules and regulations when the violation points total 6 or
11less, as determined by the Department by the Use and Violation
12Criteria established in this Section. When the Department
13determines that the violation points total more than 6 but not
14more than 13, the Director shall issue a warning letter to the
15violator.
16    (3) The hearing officer upon determination of a violation
17or violations shall assess one or more of the following
18penalties:
19        (A) For any person applying pesticides without a
20    license or misrepresenting certification or failing to
21    comply with conditions of an agrichemical facility permit
22    or failing to comply with the conditions of a written
23    authorization for land application of agrichemical
24    contaminated soils or groundwater, a penalty of $500 shall
25    be assessed for the first offense and $1,000 for the
26    second and subsequent offenses.

 

 

SB2435- 1612 -LRB102 04062 AMC 14078 b

1        (B) For violations of a stop use order imposed by the
2    Director, the penalty shall be $2500.
3        (C) For violations of a stop sale order imposed by the
4    Director, the penalty shall be $1500 for each individual
5    item of the product found in violation of the order.
6        (D) For selling restricted use pesticides to a
7    non-certified applicator the penalty shall be $1000.
8        (E) For selling restricted use pesticides without a
9    dealer's license the penalty shall be $1,000.
10        (F) For constructing or operating without an
11    agrichemical facility permit after receiving written
12    notification, the penalty shall be $500 for the first
13    offense and $1,000 for the second and subsequent offenses.
14        (G) For violations of the Act and rules Rules and
15    regulations Regulations, administrative penalties will be
16    based upon the total violation points as determined by the
17    Use and Violation Criteria as set forth in paragraph (4)
18    of this Section. The monetary penalties shall be as
19    follows:
20Total Violation PointsMonetary Penalties
2114-16$750
2217-19 $1000
2320-21 $2500
2422-25 $5000
2526-29 $7500
2630 and above$10,000

 

 

SB2435- 1613 -LRB102 04062 AMC 14078 b

1    (4) The following Use and Violation Criteria establishes
2the point value which shall be compiled to determine the total
3violation points and administrative actions or monetary
4penalties to be imposed as set forth in paragraph (3)(G) of
5this Section:
6        (A) Point values shall be assessed upon the harm or
7    loss incurred.
8            (1) A point value of 1 shall be assessed for the
9        following:
10                (a) Exposure to a pesticide by plants, animals
11            or humans with no symptoms or damage noted.
12                (b) Fraudulent sales practices or
13            representations with no apparent monetary losses
14            involved.
15            (2) A point value of 2 shall be assessed for the
16        following:
17                (a) Exposure to a pesticide which resulted in:
18                    (1) Plants or property showing signs of
19                damage including but not limited to leaf curl,
20                burning, wilting, spotting, discoloration, or
21                dying.
22                    (2) Garden produce or an agricultural crop
23                not being harvested on schedule.
24                    (3) Fraudulent sales practices or
25                representations resulting in losses under
26                $500.

 

 

SB2435- 1614 -LRB102 04062 AMC 14078 b

1            (3) A point value of 4 shall be assessed for the
2        following:
3                (a) Exposure to a pesticide resulting in a
4            human experiencing headaches, nausea, eye
5            irritation and such other symptoms which persisted
6            less than 3 days.
7                (b) Plant or property damage resulting in a
8            loss below $1000.
9                (c) Animals exhibiting symptoms of pesticide
10            poisoning including but not limited to eye or skin
11            irritations or lack of coordination.
12                (d) Death to less than 5 animals.
13                (e) Fraudulent sales practices or
14            representations resulting in losses from $500 to
15            $2000.
16            (4) A point value of 6 shall be assessed for the
17        following:
18                (a) Exposure to a pesticide resulting in a
19            human experiencing headaches, nausea, eye
20            irritation and such other symptoms which persisted
21            3 or more days.
22                (b) Plant or property damage resulting in a
23            loss of $1000 or more.
24                (c) Death to 5 or more animals.
25                (d) Fraudulent sales practices or
26            representations resulting in losses over $2000.

 

 

SB2435- 1615 -LRB102 04062 AMC 14078 b

1        (B) Point values shall be assessed based upon the
2    signal word on the label of the chemical involved:
     
3Point ValueSignal Word
4 1  Caution
5 2  Warning
6 4  Danger/Poison
7        (C) Point values shall be assessed based upon the
8    degree of responsibility.
9Point ValueDegree of Responsibility
102Accidental (such as equipment malfunction)
114Negligence
1210Knowingly
13        (D) Point values shall be assessed based upon the
14    violator's history for the previous 3 years:
15Point ValueRecord
162Advisory letter
173Warning letter
185
19
20
21Previous criminal conviction of this Act or administrative violation resulting in a monetary penalty
227
23Certification, license or registration currently suspended or revoked
24        (E) Point values shall be assessed based upon the

 

 

SB2435- 1616 -LRB102 04062 AMC 14078 b

1    violation type:
2            (1) Application Oriented:
3Point ValueViolation
41Inadequate records
52Lack of supervision
62Faulty equipment
7            Use contrary to label directions:
82a. resulting in exposure to applicator or operator
93
10b. resulting in exposure to other persons or the environment
113
12c. precautionary statements, sites, rates, restricted use requirements
133Water contamination
143Storage or disposal contrary to label directions
153Pesticide drift
164Direct application to a non-target site
176Falsification of records
186
19Failure to secure a permit or violation of permit or special order
20            (2) Product Oriented:

 

 

SB2435- 1617 -LRB102 04062 AMC 14078 b

1Point ValueViolation
26Pesticide not registered
34Product label claims differ from approved label
44
5Product composition (active ingredients differs from that of approved label)
64Product not colored as required
74
8
9Misbranding as set forth in Section Sec. 5 of the Act (4 points will be assessed for each count)
10        (5) Any penalty not paid within 60 days of notice from
11    the Department shall be submitted to the Attorney
12    General's Office for collection. Failure to pay a penalty
13    shall also be grounds for suspension or revocation of
14    permits, licenses and registrations.
15        (6) Private applicators, except those private
16    applicators who have been found by the Department to have
17    committed a "use inconsistent with the label" as defined
18    in subsection 40 of Section 4 of this Act, are exempt from
19    the Use and Violation Criteria point values.
20(Source: P.A. 90-403, eff. 8-15-97; revised 8-19-20.)
 
21    Section 655. The Mercury Switch Removal Act is amended by
22changing Section 15 as follows:
 

 

 

SB2435- 1618 -LRB102 04062 AMC 14078 b

1    (415 ILCS 97/15)
2    (Section scheduled to be repealed on January 1, 2022)
3    Sec. 15. Mercury switch collection programs.
4    (a) Within 60 days of April 24, 2006 (the effective date of
5this Act), manufacturers of vehicles in Illinois that contain
6mercury switches must begin to implement a mercury switch
7collection program that facilitates the removal of mercury
8switches from end-of-life vehicles before the vehicles are
9flattened, crushed, shredded, or otherwise processed for
10recycling and to collect and properly manage mercury switches
11in accordance with the Environmental Protection Act and
12regulations adopted thereunder. In order to ensure that the
13mercury switches are removed and collected in a safe and
14consistent manner, manufacturers must, to the extent
15practicable, use the currently available end-of-life vehicle
16recycling infrastructure. The collection program must be
17designed to achieve capture rates of not less than (i) 35% for
18the period of July 1, 2006, through June 30, 2007; (ii) 50% for
19the period of July 1, 2007, through June 30, 2008; and (iii)
2070% for the period of July 1, 2008, through June 30, 2009 and
21for each subsequent period of July 1 through June 30. At a
22minimum, the collection program must:
23        (1) Develop and provide educational materials that
24    include guidance as to which vehicles may contain mercury
25    switches and procedures for locating and removing mercury

 

 

SB2435- 1619 -LRB102 04062 AMC 14078 b

1    switches. The materials may include, but are not limited
2    to, brochures, fact sheets, and videos.
3        (2) Conduct outreach activities to encourage vehicle
4    recyclers and vehicle crushers to participate in the
5    mercury switch collection program. The activities may
6    include, but are not limited to, direct mailings,
7    workshops, and site visits.
8        (3) Provide storage containers to participating
9    vehicle recyclers and vehicle crushers for mercury
10    switches removed under the program.
11        (4) Provide a collection and transportation system to
12    periodically collect and replace filled storage containers
13    from vehicle recyclers, vehicle crushers, and scrap metal
14    recyclers, either upon notification that a storage
15    container is full or on a schedule predetermined by the
16    manufacturers.
17        (5) Establish an entity that will serve as a point of
18    contact for the collection program and that will
19    establish, implement, and oversee the collection program
20    on behalf of the manufacturers.
21        (6) Track participation in the collection program and
22    the progress of mercury switch removals and collections.
23    (b) Within 90 days of April 24, 2006 (the effective date of
24this Act), manufacturers of vehicles in Illinois that contain
25mercury switches must submit to the Agency an implementation
26plan that describes how the collection program under

 

 

SB2435- 1620 -LRB102 04062 AMC 14078 b

1subsection (a) of this Section will be carried out for the
2duration of the program and how the program will achieve the
3capture rates set forth in subsection (a) of this Section. At a
4minimum, the implementation plan must:
5        (A) Identify the educational materials that will
6    assist vehicle recyclers, vehicle crushers, and scrap
7    metal processors in identifying, removing, and properly
8    managing mercury switches removed from end-of-life
9    vehicles.
10        (B) Describe the outreach program that will be
11    undertaken to encourage vehicle recyclers and vehicle
12    crushers to participate in the mercury switch collection
13    program.
14        (C) Describe how the manufacturers will ensure that
15    mercury switches removed from end-of-life vehicles are
16    managed in accordance with the Illinois Environmental
17    Protection Act and regulations adopted thereunder.
18        (D) Describe how the manufacturers will collect and
19    document the information required in the quarterly reports
20    submitted pursuant to subsection (e) of this Section.
21        (E) Describe how the collection program will be
22    financed and implemented.
23        (F) Identify the manufacturer's address to which the
24    Agency should send the notice required under subsection
25    (f) of this Section.
26    The Agency shall review the collection program plans it

 

 

SB2435- 1621 -LRB102 04062 AMC 14078 b

1receives for completeness and shall notify the manufacturer in
2writing if a plan is incomplete. Within 30 days after
3receiving a notification of incompleteness from the Agency,
4the manufacturer shall submit to the Agency a plan that
5contains all of the required information.
6    (c) The Agency must provide assistance to manufacturers in
7their implementation of the collection program required under
8this Section. The assistance shall include providing
9manufacturers with information about businesses likely to be
10engaged in vehicle recycling or vehicle crushing, conducting
11site visits to promote participation in the collection
12program, and assisting with the scheduling, locating, and
13staffing of workshops conducted to encourage vehicle recyclers
14and vehicle crushers to participate in the collection program.
15    (d) Manufacturers subject to the collection program
16requirements of this Section shall provide, to the extent
17practicable, the opportunity for trade associations of vehicle
18recyclers, vehicle crushers, and scrap metal recyclers to be
19involved in the delivery and dissemination of educational
20materials regarding the identification, removal, collection,
21and proper management of mercury switches in end-of-life
22vehicles.
23    (e) (Blank).
24    (f) If the reports required under this Act indicate that
25the capture rates set forth in subsection (a) of this Section
26for the period of July 1, 2007, through June 30, 2008, or for

 

 

SB2435- 1622 -LRB102 04062 AMC 14078 b

1any subsequent period have not been met, the Agency shall
2provide notice that the capture rate was not met; provided,
3however, that the Agency is not required to provide notice if
4it determines that the capture rate was not met due to a force
5majeure. The Agency shall provide the notice by posting a
6statement on its website and by sending a written notice via
7certified mail to the manufacturers subject to the collection
8program requirement of this Section at the addresses provided
9in the manufacturers' collection plans. Once the Agency
10provides notice pursuant to this subsection (f), it is not
11required to provide notice in subsequent periods in which the
12capture rate is not met.
13    (g) Beginning 30 days after the Agency first provides
14notice pursuant to subsection (f) of this Section, the
15following shall apply:
16        (1) Vehicle recyclers must remove all mercury switches
17    from each end-of-life vehicle before delivering the
18    vehicle to an on-site or off-site vehicle crusher or to a
19    scrap metal recycler, provided that a vehicle recycler is
20    not required to remove a mercury switch that is
21    inaccessible due to significant damage to the vehicle in
22    the area surrounding the mercury switch that occurred
23    before the vehicle recycler's receipt of the vehicle in
24    which case the damage must be noted in the records the
25    vehicle recycler is required to maintain under subsection
26    (c) of Section 10 of this Act.

 

 

SB2435- 1623 -LRB102 04062 AMC 14078 b

1        (2) No vehicle recycler, vehicle crusher, or scrap
2    metal recycler shall flatten, crush, or otherwise process
3    an end-of-life vehicle for recycling unless all mercury
4    switches have been removed from the vehicle, provided that
5    a mercury switch that is inaccessible due to significant
6    damage to the vehicle in the area surrounding the mercury
7    switch that occurred before the vehicle recycler's,
8    vehicle crusher's, or scrap metal recycler's receipt of
9    the vehicle is not required to be removed. The damage must
10    be noted in the records the vehicle recycler or vehicle
11    crusher is required to maintain under subsection (c) of
12    Section 10 of this Act.
13        (3) Notwithstanding paragraphs (1) through (2) of this
14    subsection (g), a scrap metal recycler may agree to accept
15    an end-of-life vehicle that contains one or more mercury
16    switches and that has not been flattened, crushed,
17    shredded, or otherwise processed for recycling provided
18    the scrap metal recycler removes all mercury switches from
19    the vehicle before the vehicle is flattened, crushed,
20    shredded, or otherwise processed for recycling. Scrap
21    metal recyclers are not required to remove a mercury
22    switch that is inaccessible due to significant damage to
23    the vehicle in the area surrounding the mercury switch
24    that occurred before the scrap metal recycler's receipt of
25    the vehicle. The damage must be noted in the records the
26    scrap metal recycler is required to maintain under

 

 

SB2435- 1624 -LRB102 04062 AMC 14078 b

1    subsection (c) of Section 10 of this Act.
2        (4) Manufacturers subject to the collection program
3    requirements of this Section must provide to vehicle
4    recyclers, vehicle crushers, and scrap metal recyclers the
5    following compensation for all mercury switches removed
6    from end-of-life vehicles on or after the date of the
7    notice: $2.00 for each mercury switch removed by the
8    vehicle recycler, vehicle crusher, or the scrap metal
9    recycler, the costs of the containers in which the mercury
10    switches are collected, and the costs of packaging and
11    transporting the mercury switches off-site. Payment of
12    this compensation must be provided in a prompt manner.
13    (h) In meeting the requirements of this Section,
14manufacturers may work individually or as part of a group of 2
15or more manufacturers.
16(Source: P.A. 101-81, eff. 7-12-19; revised 9-12-19.)
 
17    Section 660. The Drycleaner Environmental Response Trust
18Fund Act is amended by changing Section 65 as follows:
 
19    (415 ILCS 135/65)
20    (Section scheduled to be repealed on January 1, 2030)
21    Sec. 65. Drycleaning solvent tax.
22    (a) A tax is imposed upon the use of drycleaning solvent by
23a person engaged in the business of operating a drycleaning
24facility in this State at the rate of $10 per gallon of

 

 

SB2435- 1625 -LRB102 04062 AMC 14078 b

1perchloroethylene or other chlorinated drycleaning solvents
2used in drycleaning operations, $2 per gallon of
3petroleum-based drycleaning solvent, and $1.75 per gallon of
4green solvents, unless the green solvent is used at a virgin
5facility, in which case the rate is $0.35 per gallon. The Board
6may determine by rule which products are chlorine-based
7solvents, which products are petroleum-based solvents, and
8which products are green solvents. All drycleaning solvents
9shall be considered chlorinated solvents unless the Board
10determines that the solvents are petroleum-based drycleaning
11solvents or green solvents.
12    (b) The tax imposed by this Act shall be collected from the
13purchaser at the time of sale by a seller of drycleaning
14solvents maintaining a place of business in this State and
15shall be remitted to the Department of Revenue under the
16provisions of this Act.
17    (c) The tax imposed by this Act that is not collected by a
18seller of drycleaning solvents shall be paid directly to the
19Department of Revenue by the purchaser or end user who is
20subject to the tax imposed by this Act.
21    (d) No tax shall be imposed upon the use of drycleaning
22solvent if the drycleaning solvent will not be used in a
23drycleaning facility or if a floor stock tax has been imposed
24and paid on the drycleaning solvent. Prior to the purchase of
25the solvent, the purchaser shall provide a written and signed
26certificate to the drycleaning solvent seller stating:

 

 

SB2435- 1626 -LRB102 04062 AMC 14078 b

1        (1) the name and address of the purchaser;
2        (2) the purchaser's signature and date of signing; and
3        (3) one of the following:
4            (A) that the drycleaning solvent will not be used
5        in a drycleaning facility; or
6            (B) that a floor stock tax has been imposed and
7        paid on the drycleaning solvent.
8    (e) On January 1, 1998, there is imposed on each operator
9of a drycleaning facility a tax on drycleaning solvent held by
10the operator on that date for use in a drycleaning facility.
11The tax imposed shall be the tax that would have been imposed
12under subsection (a) if the drycleaning solvent held by the
13operator on that date had been purchased by the operator
14during the first year of this Act.
15    (f) On or before the 25th day of the 1st month following
16the end of the calendar quarter, a seller of drycleaning
17solvents who has collected a tax pursuant to this Section
18during the previous calendar quarter, or a purchaser or end
19user of drycleaning solvents required under subsection (c) to
20submit the tax directly to the Department, shall file a return
21with the Department of Revenue. The return shall be filed on a
22form prescribed by the Department of Revenue and shall contain
23information that the Department of Revenue reasonably
24requires, but at a minimum will require the reporting of the
25volume of drycleaning solvent sold to each licensed
26drycleaner. The Department of Revenue shall report quarterly

 

 

SB2435- 1627 -LRB102 04062 AMC 14078 b

1to the Agency the volume of drycleaning solvent purchased for
2the quarter by each licensed drycleaner. Each seller of
3drycleaning solvent maintaining a place of business in this
4State who is required or authorized to collect the tax imposed
5by this Act shall pay to the Department the amount of the tax
6at the time when he or she is required to file his or her
7return for the period during which the tax was collected.
8Purchasers or end users remitting the tax directly to the
9Department under subsection (c) shall file a return with the
10Department of Revenue and pay the tax so incurred by the
11purchaser or end user during the preceding calendar quarter.
12    Except as provided in this Section, the seller of
13drycleaning solvents filing the return under this Section
14shall, at the time of filing the return, pay to the Department
15the amount of tax imposed by this Act less a discount of 1.75%,
16or $5 per calendar year, whichever is greater. Failure to
17timely file the returns and provide to the Department the data
18requested under this Act will result in disallowance of the
19reimbursement discount.
20    (g) The tax on drycleaning solvents used in drycleaning
21facilities and the floor stock tax shall be administered by
22the Department of Revenue under rules adopted by that
23Department.
24    (h) No person shall knowingly sell or transfer drycleaning
25solvent to an operator of a drycleaning facility that is not
26licensed by the Agency under Section 60.

 

 

SB2435- 1628 -LRB102 04062 AMC 14078 b

1    (i) The Department of Revenue may adopt rules as necessary
2to implement this Section.
3    (j) If any payment provided for in this Section exceeds
4the seller's liabilities under this Act, as shown on an
5original return, the seller may credit such excess payment
6against liability subsequently to be remitted to the
7Department under this Act, in accordance with reasonable rules
8adopted by the Department. If the Department subsequently
9determines that all or any part of the credit taken was not
10actually due to the seller, the seller's discount shall be
11reduced by an amount equal to the difference between the
12discount as applied to the credit taken and that actually due,
13and the seller shall be liable for penalties and interest on
14such difference.
15(Source: P.A. 100-1171, eff. 1-4-19; 101-400, eff. 7-1-20;
16revised 8-19-20.)
 
17    Section 665. The Laser System Act of 1997 is amended by
18changing Section 15 as follows:
 
19    (420 ILCS 56/15)
20    Sec. 15. Definitions. For the purposes of this Act, unless
21the context requires otherwise:
22        (1) "Agency" means the Illinois Emergency Management
23    Agency.
24        (2) "Director" means the Director of the Illinois

 

 

SB2435- 1629 -LRB102 04062 AMC 14078 b

1    Emergency Management Agency.
2        (3) "FDA" means the Food and Drug Administration of
3    the United States Department of Health and Human Services.
4        (4) "Laser installation" means a location or facility
5    where laser systems are produced, stored, disposed of, or
6    used for any purpose.
7        (5) "Laser machine" means a device that is capable of
8    producing laser radiation when associated controlled
9    devices are operated.
10        (6) "Laser radiation" means an electromagnetic
11    radiation emitted from a laser system and includes all
12    reflected radiation, any secondary radiation, or other
13    forms of energy resulting from the primary laser beam.
14        (7) "Laser system" means a device, machine, equipment,
15    or other apparatus that applies a source of energy to a
16    gas, liquid, crystal, or other solid substances or
17    combination thereof in a manner that electromagnetic
18    radiations of a relatively uniform wavelength wave length
19    are amplified and emitted in a cohesive beam capable of
20    transmitting the energy developed in a manner that may be
21    harmful to living tissues, including, but not limited to,
22    electromagnetic waves in the range of visible, infrared,
23    or ultraviolet light. Such systems in schools, colleges,
24    occupational schools, and State colleges and other State
25    institutions are also included in the definition of "laser
26    systems".

 

 

SB2435- 1630 -LRB102 04062 AMC 14078 b

1        (8) "Operator" is an individual, group of individuals,
2    partnership, firm, corporation, association, or other
3    entity conducting the business or activities carried on
4    within a laser installation.
5(Source: P.A. 95-777, eff. 8-4-08; revised 8-19-20.)
 
6    Section 670. The Fire Investigation Act is amended by
7changing Section 13.1 as follows:
 
8    (425 ILCS 25/13.1)  (from Ch. 127 1/2, par. 17.1)
9    Sec. 13.1. Fire Prevention Fund.
10    (a) There shall be a special fund in the State Treasury
11known as the Fire Prevention Fund.
12    (b) The following moneys shall be deposited into the Fund:
13        (1) Moneys received by the Department of Insurance
14    under Section 12 of this Act.
15        (2) All fees and reimbursements received by the
16    Office.
17        (3) All receipts from boiler and pressure vessel
18    certification, as provided in Section 13 of the Boiler and
19    Pressure Vessel Safety Act.
20        (4) Such other moneys as may be provided by law.
21    (c) The moneys in the Fire Prevention Fund shall be used,
22subject to appropriation, for the following purposes:
23        (1) Of the moneys deposited into the fund under
24    Section 12 of this Act, 12.5% shall be available for the

 

 

SB2435- 1631 -LRB102 04062 AMC 14078 b

1    maintenance of the Illinois Fire Service Institute and the
2    expenses, facilities, and structures incident thereto, and
3    for making transfers into the General Obligation Bond
4    Retirement and Interest Fund for debt service requirements
5    on bonds issued by the State of Illinois after January 1,
6    1986 for the purpose of constructing a training facility
7    for use by the Institute. An additional 2.5% of the moneys
8    deposited into the Fire Prevention Fund shall be available
9    to the Illinois Fire Service Institute for support of the
10    Cornerstone Training Program.
11        (2) Of the moneys deposited into the Fund under
12    Section 12 of this Act, 10% shall be available for the
13    maintenance of the Chicago Fire Department Training
14    Program and the expenses, facilities, and structures
15    incident thereto, in addition to any moneys payable from
16    the Fund to the City of Chicago pursuant to the Illinois
17    Fire Protection Training Act.
18        (3) For making payments to local governmental agencies
19    and individuals pursuant to Section 10 of the Illinois
20    Fire Protection Training Act.
21        (4) For the maintenance and operation of the Office of
22    the State Fire Marshal, and the expenses incident thereto.
23        (4.5) For the maintenance, operation, and capital
24    expenses of the Mutual Aid Box Alarm System (MABAS).
25        (4.6) For grants awarded by the Small Fire-fighting
26    and Ambulance Service Equipment Grant Program established

 

 

SB2435- 1632 -LRB102 04062 AMC 14078 b

1    by Section 2.7 of the State Fire Marshal Act.
2        (5) For any other purpose authorized by law.
3    (c-5) As soon as possible after April 8, 2008 (the
4effective date of Public Act 95-717), the Comptroller shall
5order the transfer and the Treasurer shall transfer $2,000,000
6from the Fire Prevention Fund to the Fire Service and Small
7Equipment Fund, $9,000,000 from the Fire Prevention Fund to
8the Fire Truck Revolving Loan Fund, and $4,000,000 from the
9Fire Prevention Fund to the Ambulance Revolving Loan Fund.
10Beginning on July 1, 2008, each month, or as soon as practical
11thereafter, an amount equal to $2 from each fine received
12shall be transferred from the Fire Prevention Fund to the Fire
13Service and Small Equipment Fund, an amount equal to $1.50
14from each fine received shall be transferred from the Fire
15Prevention Fund to the Fire Truck Revolving Loan Fund, and an
16amount equal to $4 from each fine received shall be
17transferred from the Fire Prevention Fund to the Ambulance
18Revolving Loan Fund. These moneys shall be transferred from
19the moneys deposited into the Fire Prevention Fund pursuant to
20Public Act 95-154, together with not more than 25% of any
21unspent appropriations from the prior fiscal year. These
22moneys may be allocated to the Fire Truck Revolving Loan Fund,
23Ambulance Revolving Loan Fund, and Fire Service and Small
24Equipment Fund at the discretion of the Office for the purpose
25of implementation of this Act.
26    (d) Any portion of the Fire Prevention Fund remaining

 

 

SB2435- 1633 -LRB102 04062 AMC 14078 b

1unexpended at the end of any fiscal year which is not needed
2for the maintenance and expenses of the Office or the
3maintenance and expenses of the Illinois Fire Service
4Institute, shall remain in the Fire Prevention Fund for the
5exclusive and restricted uses provided in subsections (c) and
6(c-5) of this Section.
7    (e) The Office shall keep on file an itemized statement of
8all expenses incurred which are payable from the Fund, other
9than expenses incurred by the Illinois Fire Service Institute,
10and shall approve all vouchers issued therefor before they are
11submitted to the State Comptroller for payment. Such vouchers
12shall be allowed and paid in the same manner as other claims
13against the State.
14(Source: P.A. 101-82, eff. 1-1-20; revised 9-12-19.)
 
15    Section 675. The Smoke Detector Act is amended by changing
16Section 3 as follows:
 
17    (425 ILCS 60/3)  (from Ch. 127 1/2, par. 803)
18    (Text of Section before amendment by P.A. 100-200)
19    Sec. 3. (a) Every dwelling unit or hotel shall be equipped
20with at least one approved smoke detector in an operating
21condition within 15 feet of every room used for sleeping
22purposes. The detector shall be installed on the ceiling and
23at least 6 inches from any wall, or on a wall located between 4
24and 6 inches from the ceiling.

 

 

SB2435- 1634 -LRB102 04062 AMC 14078 b

1    (b) Every single family residence shall have at least one
2approved smoke detector installed on every story of the
3dwelling unit, including basements but not including
4unoccupied attics. In dwelling units with split levels, a
5smoke detector installed on the upper level shall suffice for
6the adjacent lower level if the lower level is less than one
7full story below the upper level; however, if there is an
8intervening door between the adjacent levels, a smoke detector
9shall be installed on each level.
10    (c) Every structure which (1) contains more than one
11dwelling unit, or (2) contains at least one dwelling unit and
12is a mixed-use structure, shall contain at least one approved
13smoke detector at the uppermost ceiling of each interior
14stairwell. The detector shall be installed on the ceiling, at
15least 6 inches from the wall, or on a wall located between 4
16and 6 inches from the ceiling.
17    (d) It shall be the responsibility of the owner of a
18structure to supply and install all required detectors. The
19owner shall be responsible for making reasonable efforts to
20test and maintain detectors in common stairwells and hallways.
21It shall be the responsibility of a tenant to test and to
22provide general maintenance for the detectors within the
23tenant's dwelling unit or rooming unit, and to notify the
24owner or the authorized agent of the owner in writing of any
25deficiencies which the tenant cannot correct. The owner shall
26be responsible for providing one tenant per dwelling unit with

 

 

SB2435- 1635 -LRB102 04062 AMC 14078 b

1written information regarding detector testing and
2maintenance.
3    The tenant shall be responsible for replacement of any
4required batteries in the smoke detectors in the tenant's
5dwelling unit, except that the owner shall ensure that such
6batteries are in operating condition at the time the tenant
7takes possession of the dwelling unit. The tenant shall
8provide the owner or the authorized agent of the owner with
9access to the dwelling unit to correct any deficiencies in the
10smoke detector which have been reported in writing to the
11owner or the authorized agent of the owner.
12    (e) The requirements of this Section shall apply to any
13dwelling unit in existence on July 1, 1988, beginning on that
14date. Except as provided in subsections (f) and (g), the smoke
15detectors required in such dwelling units may be either
16battery powered or wired into the structure's AC power line,
17and need not be interconnected.
18    (f) In the case of any dwelling unit that is newly
19constructed, reconstructed, or substantially remodelled after
20December 31, 1987, the requirements of this Section shall
21apply beginning on the first day of occupancy of the dwelling
22unit after such construction, reconstruction or substantial
23remodelling. The smoke detectors required in such dwelling
24unit shall be permanently wired into the structure's AC power
25line, and if more than one detector is required to be installed
26within the dwelling unit, the detectors shall be wired so that

 

 

SB2435- 1636 -LRB102 04062 AMC 14078 b

1the actuation of one detector will actuate all the detectors
2in the dwelling unit.
3    In the case of any dwelling unit that is newly
4constructed, reconstructed, or substantially remodeled on or
5after January 1, 2011, smoke detectors permanently wired into
6the structure's AC power line must also maintain an
7alternative back-up power source, which may be either a
8battery or batteries or an emergency generator.
9    (g) Every hotel shall be equipped with operational
10portable smoke-detecting alarm devices for the deaf and
11hearing impaired of audible and visual design, available for
12units of occupancy.
13    Specialized smoke detectors smoke-detectors for the deaf
14and hearing impaired shall be available upon request by guests
15in such hotels at a rate of at least one such smoke detector
16per 75 occupancy units or portions thereof, not to exceed 5
17such smoke detectors per hotel. Incorporation or connection
18into an existing interior alarm system, so as to be capable of
19being activated by the system, may be utilized in lieu of the
20portable alarms.
21    Operators of any hotel shall post conspicuously at the
22main desk a permanent notice, in letters at least 3 inches in
23height, stating that smoke detector alarm devices for the deaf
24and hearing impaired are available. The proprietor may require
25a refundable deposit for a portable smoke detector not to
26exceed the cost of the detector.

 

 

SB2435- 1637 -LRB102 04062 AMC 14078 b

1    (g-5) A hotel, as defined in this Act, shall be
2responsible for installing and maintaining smoke detecting
3equipment.
4    (h) Compliance with an applicable federal, State, or local
5law or building code which requires the installation and
6maintenance of smoke detectors in a manner different from this
7Section, but providing a level of safety for occupants which
8is equal to or greater than that provided by this Section,
9shall be deemed to be in compliance with this Section, and the
10requirements of such more stringent law shall govern over the
11requirements of this Section.
12(Source: P.A. 96-1292, eff. 1-1-11; 97-447, eff. 1-1-12;
13revised 8-19-20.)
 
14    (Text of Section after amendment by P.A. 100-200)
15    Sec. 3. (a) Every dwelling unit or hotel shall be equipped
16with at least one approved smoke detector in an operating
17condition within 15 feet of every room used for sleeping
18purposes. The detector shall be installed on the ceiling and
19at least 6 inches from any wall, or on a wall located between 4
20and 6 inches from the ceiling.
21    (b) Every single family residence shall have at least one
22approved smoke detector installed on every story of the
23dwelling unit, including basements but not including
24unoccupied attics. In dwelling units with split levels, a
25smoke detector installed on the upper level shall suffice for

 

 

SB2435- 1638 -LRB102 04062 AMC 14078 b

1the adjacent lower level if the lower level is less than one
2full story below the upper level; however, if there is an
3intervening door between the adjacent levels, a smoke detector
4shall be installed on each level.
5    (c) Every structure which (1) contains more than one
6dwelling unit, or (2) contains at least one dwelling unit and
7is a mixed-use structure, shall contain at least one approved
8smoke detector at the uppermost ceiling of each interior
9stairwell. The detector shall be installed on the ceiling, at
10least 6 inches from the wall, or on a wall located between 4
11and 6 inches from the ceiling.
12    (d) It shall be the responsibility of the owner of a
13structure to supply and install all required detectors. The
14owner shall be responsible for making reasonable efforts to
15test and maintain detectors in common stairwells and hallways.
16It shall be the responsibility of a tenant to test and to
17provide general maintenance for the detectors within the
18tenant's dwelling unit or rooming unit, and to notify the
19owner or the authorized agent of the owner in writing of any
20deficiencies which the tenant cannot correct. The owner shall
21be responsible for providing one tenant per dwelling unit with
22written information regarding detector testing and
23maintenance.
24    The tenant shall be responsible for replacement of any
25required batteries in the smoke detectors in the tenant's
26dwelling unit, except that the owner shall ensure that such

 

 

SB2435- 1639 -LRB102 04062 AMC 14078 b

1batteries are in operating condition at the time the tenant
2takes possession of the dwelling unit. The tenant shall
3provide the owner or the authorized agent of the owner with
4access to the dwelling unit to correct any deficiencies in the
5smoke detector which have been reported in writing to the
6owner or the authorized agent of the owner.
7    (e) The requirements of this Section shall apply to any
8dwelling unit in existence on July 1, 1988, beginning on that
9date. Except as provided in subsections (f) and (g), the smoke
10detectors required in such dwelling units may be either:
11battery powered provided the battery is a self-contained,
12non-removable, long-term long term battery, or wired into the
13structure's AC power line, and need not be interconnected.
14        (1) The battery requirements of this Section shall
15    apply to battery-powered battery powered smoke detectors
16    that: (A) are in existence and exceed 10 years from the
17    date of their being manufactured; (B) fail fails to
18    respond to operability tests or otherwise malfunction
19    malfunctions; or (C) are newly installed.
20        (2) The battery requirements of this Section do not
21    apply to: (A) a fire alarm, smoke detector, smoke alarm,
22    or ancillary component that is electronically connected as
23    a part of a centrally monitored or supervised alarm
24    system; (B) a fire alarm, smoke detector, smoke alarm, or
25    ancillary component that uses: (i) a low-power radio
26    frequency wireless communication signal, or (ii) Wi-Fi or

 

 

SB2435- 1640 -LRB102 04062 AMC 14078 b

1    other wireless Local Area Networking capability to send
2    and receive notifications to and from the Internet, such
3    as early low battery warnings before the device reaches a
4    critical low power level; or (C) such other devices as the
5    State Fire Marshal shall designate through its regulatory
6    process.
7    (f) In the case of any dwelling unit that is newly
8constructed, reconstructed, or substantially remodelled after
9December 31, 1987, the requirements of this Section shall
10apply beginning on the first day of occupancy of the dwelling
11unit after such construction, reconstruction or substantial
12remodelling. The smoke detectors required in such dwelling
13unit shall be permanently wired into the structure's AC power
14line, and if more than one detector is required to be installed
15within the dwelling unit, the detectors shall be wired so that
16the actuation of one detector will actuate all the detectors
17in the dwelling unit.
18    In the case of any dwelling unit that is newly
19constructed, reconstructed, or substantially remodeled on or
20after January 1, 2011, smoke detectors permanently wired into
21the structure's AC power line must also maintain an
22alternative back-up power source, which may be either a
23battery or batteries or an emergency generator.
24    (g) Every hotel shall be equipped with operational
25portable smoke-detecting alarm devices for the deaf and
26hearing impaired of audible and visual design, available for

 

 

SB2435- 1641 -LRB102 04062 AMC 14078 b

1units of occupancy.
2    Specialized smoke detectors smoke-detectors for the deaf
3and hearing impaired shall be available upon request by guests
4in such hotels at a rate of at least one such smoke detector
5per 75 occupancy units or portions thereof, not to exceed 5
6such smoke detectors per hotel. Incorporation or connection
7into an existing interior alarm system, so as to be capable of
8being activated by the system, may be utilized in lieu of the
9portable alarms.
10    Operators of any hotel shall post conspicuously at the
11main desk a permanent notice, in letters at least 3 inches in
12height, stating that smoke detector alarm devices for the deaf
13and hearing impaired are available. The proprietor may require
14a refundable deposit for a portable smoke detector not to
15exceed the cost of the detector.
16    (g-5) A hotel, as defined in this Act, shall be
17responsible for installing and maintaining smoke detecting
18equipment.
19    (h) Compliance with an applicable federal, State, or local
20law or building code which requires the installation and
21maintenance of smoke detectors in a manner different from this
22Section, but providing a level of safety for occupants which
23is equal to or greater than that provided by this Section,
24shall be deemed to be in compliance with this Section, and the
25requirements of such more stringent law shall govern over the
26requirements of this Section.

 

 

SB2435- 1642 -LRB102 04062 AMC 14078 b

1    (i) The requirements of this Section shall not apply to
2dwelling units and hotels within municipalities with a
3population over 1,000,000 inhabitants.
4(Source: P.A. 100-200, eff. 1-1-23; revised 8-19-20.)
 
5    Section 680. The Firearm Dealer License Certification Act
6is amended by changing Sections 5-1 and 5-5 as follows:
 
7    (430 ILCS 68/5-1)
8    Sec. 5-1. Short title. This Article 5 1 may be cited as
9the Firearm Dealer License Certification Act. References in
10this Article to "this Act" mean this Article.
11(Source: P.A. 100-1178, eff. 1-18-19; revised 7-16-19.)
 
12    (430 ILCS 68/5-5)
13    Sec. 5-5. Definitions. In this Act:
14    "Certified licensee" means a licensee that has previously
15certified its license with the Department under this Act.
16    "Department" means the Department of State Police.
17    "Director" means the Director of State Police.
18    "Entity" means any person, firm, corporation, group of
19individuals, or other legal entity.
20    "Inventory" means firearms in the possession of an
21individual or entity for the purpose of sale or transfer.
22    "License" means a Federal Firearms License authorizing a
23person or entity to engage in the business of dealing

 

 

SB2435- 1643 -LRB102 04062 AMC 14078 b

1firearms.
2    "Licensee" means a person, firm, corporation, or other
3entity who has been given, and is currently in possession of, a
4valid Federal Firearms License.
5    "Retail location" means a store open to the public from
6which a certified licensee engages in the business of selling,
7transferring, or facilitating a sale or transfer of a firearm.
8For purposes of this Act, the World Shooting and Recreational
9Complex, a gun show, or a similar event at which a certified
10licensee engages in business from time to time is not a retail
11location.
12(Source: P.A. 100-1178, eff. 1-18-19; 101-80, eff. 7-12-19;
13revised 9-12-19.)
 
14    Section 685. The Animal Control Act is amended by changing
15Section 11 as follows:
 
16    (510 ILCS 5/11)  (from Ch. 8, par. 361)
17    Sec. 11. Animal placement. When not redeemed by the owner,
18agent, or caretaker, a dog or cat must be scanned for a
19microchip. If a microchip is present, the registered owner or
20chip purchaser, if the purchaser was a nonprofit organization,
21animal shelter, animal control facility, pet store, breeder,
22or veterinary office, must be notified. After contact has been
23made or attempted, dogs deemed adoptable by the animal control
24facility shall be offered for adoption, or made available to a

 

 

SB2435- 1644 -LRB102 04062 AMC 14078 b

1licensed animal shelter, or rescue group. After contact has
2been made or attempted, the animal control facility may
3either: (1) offer the cat for adoption; (2) return to field or
4transfer the cat after sterilization; or (3) make the cat
5available to a licensed animal shelter or animal control
6facility. The animal may be humanely dispatched pursuant to
7the Humane Euthanasia in Animal Shelters Act. An animal
8control facility or animal shelter shall not adopt or release
9any dog or cat to anyone other than the owner or a foster home
10unless the animal has been rendered incapable of reproduction
11and microchipped. This Act shall not prevent humane societies
12or animal shelters from engaging in activities set forth by
13their charters; provided, they are not inconsistent with
14provisions of this Act and other existing laws. No animal
15shelter or animal control facility shall release dogs or cats
16to an individual representing a rescue group, unless the group
17has been licensed by the Department of Agriculture or is a
18representative of a not-for-profit out-of-state organization,
19animal shelter, or animal control facility. The Department may
20suspend or revoke the license of any animal shelter or animal
21control facility that fails to comply with the requirements
22set forth in this Section or that fails to report its intake
23and euthanasia statistics as required by law each year.
24(Source: P.A. 100-870, eff. 1-1-19; 101-295, eff. 8-9-19;
25revised 8-20-20.)
 

 

 

SB2435- 1645 -LRB102 04062 AMC 14078 b

1    Section 690. The Illinois Highway Code is amended by
2changing Sections 6-115 and 6-134 as follows:
 
3    (605 ILCS 5/6-115)  (from Ch. 121, par. 6-115)
4    Sec. 6-115. (a) Except as provided in Section 10-20 of the
5Township Code or subsection (b), no person shall be eligible
6to the office of highway commissioner unless he shall be a
7legal voter and has been one year a resident of the district.
8In road districts that elect a clerk, the same limitation
9shall apply to the district clerk.
10    (b) A board of trustees may (i) appoint a non-resident or a
11resident that has not resided in the district for one year to
12be a highway commissioner, or (ii) contract with a neighboring
13township to provide highway commissioner services if:
14        (1) the district is within a township with no
15    incorporated town;
16        (2) the township has is a population of less than 500;
17    and
18        (3) no qualified candidate who has resided in the
19    township for at least one year is willing to serve as
20    highway commissioner.
21(Source: P.A. 101-197, eff. 1-1-20; revised 9-12-19.)
 
22    (605 ILCS 5/6-134)
23    Sec. 6-134. Abolishing a road district.
24    (a) By resolution, the board of trustees of any township

 

 

 

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1located in a county with less than 3,000,000 inhabitants may
2submit a proposition to abolish the road district of that
3township to the electors of that township at a general
4election or consolidated election in accordance with the
5general election law. The ballot shall be in substantially the
6following form:
 
7---------
8    Shall the Road District of the Township of
9........... be abolished with all the rights,YES
10powers, duties, assets, property, liabilities,
11obligations, and responsibilities being assumed ---------
12by the Township of ........... ? NO
13---------
14    In the event that a majority of the electors voting on such
15proposition are in favor thereof, then the road district shall
16be abolished by operation of law effective 90 days after vote
17certification by the governing election authority or on the
18date the term of the highway commissioner in office at the time
19the proposition was approved by the electors expires,
20whichever is later.
21    On that date, all the rights, powers, duties, assets,
22property, liabilities, obligations, and responsibilities of
23the road district shall by operation of law vest in and be
24assumed by the township. On that date, the township board of

 

 

SB2435- 1647 -LRB102 04062 AMC 14078 b

1trustees shall assume all taxing authority of a road district
2abolished under this Section. On that date, any highway
3commissioner of the abolished road district shall cease to
4hold office, such term having been terminated. Thereafter, the
5township shall exercise all duties and responsibilities of the
6highway commissioner as provided in the Illinois Highway Code.
7The township board of trustees may enter into a contract with
8the county, a municipality, or a private contractor to
9administer the roads under its jurisdiction. The township
10board of trustees shall assume all taxing authority of a
11township road district abolished under this subsection. For
12purposes of distribution of revenue, the township shall assume
13the powers, duties, and obligations of the road district.
14Distribution of revenue by the township to the treasurer of a
15municipality under Section 6-507 shall be only paid from
16moneys levied for road purposes pursuant to Division 5 of
17Article 6 of this the Illinois Highway Code.
18    (b) If a referendum passed under subsection (a) at the
19November 6, 2018 election and a road district has not been
20abolished as provided in subsection (a) by August 23, 2019
21(the effective date of Public Act 101-519) this amendatory Act
22of the 101st General Assembly:
23        (1) the township board shall have the sole authority
24    relating to the following duties and powers of the road
25    district until the date of abolition:
26            (A) creating and approving the budget of the road

 

 

SB2435- 1648 -LRB102 04062 AMC 14078 b

1        district;
2            (B) levying taxes (the township board of trustees
3        assumes all taxing authority of the township road
4        district);
5            (C) entering into contracts for the road district;
6            (D) employing and fixing the compensation of road
7        district employees that the township board deems
8        necessary; and
9            (E) setting and adopting rules concerning all
10        benefits available to employees of the road district; .
11        (2) the road district or the highway commissioner may
12    not commence or maintain litigation against the township
13    to resolve any dispute related to the road district
14    regarding powers of the office of the highway
15    commissioner, the powers of the supervisor, or the powers
16    of the township board.
17    (c) If a township has approved a consolidated road
18district after a referendum under Section 6-109 and the
19consolidation is not yet effective and if the township
20subsequently approves a referendum under this Section, then
21the consolidation under Section 6-109 is void and shall not
22occur.
23(Source: P.A. 100-106, eff. 1-1-18; 101-519, eff. 8-23-19;
24revised 8-20-20.)
 
25    Section 695. The Illinois Vehicle Code is amended by

 

 

SB2435- 1649 -LRB102 04062 AMC 14078 b

1changing Sections 1-158.5, 2-111, 3-421, 3-609, 3-699.14,
23-704, 3-802, 3-806.3, 4-104, 4-105, 6-106, 6-206, 6-209.1,
36-306.5, 11-208.3, 11-501.9, 11-502.1, 11-704, 11-1006,
411-1412.3, and 12-610.2 and by setting forth and renumbering
5multiple versions of Section 3-699.17 as follows:
 
6    (625 ILCS 5/1-158.5)  (from Ch. 95 1/2, par. 1-300)
7    Sec. 1-158.5. Penalties and offenses; definitions
8offenses-definitions. The following words and phrases when
9used in this Act, shall, for the purposes of this Act, have the
10meanings ascribed to them in Chapter Article V of the "Unified
11Code of Corrections", as now or hereafter amended:
12    Business Offense;
13    Conviction;
14    Court;
15    Felony;
16    Class 1 Felony;
17    Class 2 Felony;
18    Class 3 Felony;
19    Class 4 Felony;
20    Imprisonment;
21    Judgment;
22    Misdemeanor;
23    Class A Misdemeanor;
24    Class B Misdemeanor;
25    Class C Misdemeanor;

 

 

SB2435- 1650 -LRB102 04062 AMC 14078 b

1    Offense;
2    Petty Offense;
3    Sentence.
4(Source: P.A. 90-89, eff. 1-1-98; revised 8-20-20.)
 
5    (625 ILCS 5/2-111)  (from Ch. 95 1/2, par. 2-111)
6    Sec. 2-111. Seizure or confiscation of documents and
7plates.
8    (a) The Secretary of State or any law enforcement entity
9is authorized to take possession of any certificate of title,
10registration card, permit, license, registration plate or
11digital registration plate, plates, disability license plate
12or parking decal or device, or registration sticker or digital
13registration sticker issued by the Secretary or her upon
14expiration, revocation, cancellation, or suspension thereof,
15or which is fictitious, or which has been unlawfully or
16erroneously issued. Police officers who have seized such items
17shall return the items to the Secretary of State in a manner
18and form set forth by the Secretary in administrative rule to
19take possession of such item or items.
20    (b) The Secretary of State is authorized to confiscate any
21suspected fraudulent, fictitious, or altered documents
22submitted by an applicant in support of an application for a
23driver's license or permit.
24(Source: P.A. 101-185, eff. 1-1-20; 101-395, eff. 8-16-19;
25revised 9-24-19.)
 

 

 

SB2435- 1651 -LRB102 04062 AMC 14078 b

1    (625 ILCS 5/3-421)  (from Ch. 95 1/2, par. 3-421)
2    Sec. 3-421. Right of reassignment.
3    (a) Every natural person shall have the right of
4reassignment of the license number issued to him during the
5current registration plate or digital registration plate term,
6for the ensuing registration plate or digital registration
7plate term, provided his or her application for reassignment
8is received in the Office of the Secretary of State on or
9before September 30 of the final year of the registration
10plate or digital registration plate term as to a vehicle
11registered on a calendar year, and on or before March 31 as to
12a vehicle registered on a fiscal year. The right of
13reassignment shall apply to every natural person under the
14staggered registration system provided the application for
15reassignment is received in the Office of the Secretary of
16State by the 1st day of the month immediately preceding the
17applicant's month of expiration.
18    In addition, every natural person shall have the right of
19reassignment of the license number issued to him for a
20two-year registration, for the ensuing two-year period. Where
21the two-year period is for two calendar years, the application
22for reassignment must be received by the Secretary of State on
23or before September 30th of the year preceding commencement of
24the two-year period. Where the two-year period is for two
25fiscal years commencing on July 1, the application for

 

 

SB2435- 1652 -LRB102 04062 AMC 14078 b

1reassignment must be received by the Secretary of State on or
2before April 30th immediately preceding commencement of the
3two-year period.
4    (b) Notwithstanding the above provision, the Secretary of
5State shall, subject to the existing right of reassignment,
6have the authority to designate new specific combinations of
7numerical, alpha-numerical, and numerical-alpha licenses for
8vehicles registered on a calendar year or on a fiscal year,
9whether the license be issued for one or more years. The new
10combinations so specified shall not be subject to the right of
11reassignment, and no right of reassignment thereto may at any
12future time be acquired.
13    (c) If a person has a registration plate in his or her name
14and seeks to reassign the registration plate to his or her
15spouse, the Secretary shall waive any transfer fee or vanity
16or personalized registration plate fee upon both spouses
17signing a form authorizing the reassignment of registration.
18    (c-1) If a person who that has a registration plate in his
19or her name seeks to reassign the registration plate to his or
20her child, the Secretary shall waive any transfer fee or
21vanity or personalized registration plate fee.
22(Source: P.A. 101-395, eff. 8-16-19; 101-611, eff. 6-1-20;
23revised 8-4-20.)
 
24    (625 ILCS 5/3-609)  (from Ch. 95 1/2, par. 3-609)
25    Sec. 3-609. Plates for veterans with disabilities.

 

 

SB2435- 1653 -LRB102 04062 AMC 14078 b

1    (a) Any veteran who holds proof of a service-connected
2disability from the United States Department of Veterans
3Affairs, and who has obtained certification from a licensed
4physician, physician assistant, or advanced practice
5registered nurse that the service-connected disability
6qualifies the veteran for issuance of registration plates or
7digital registration plates or decals to a person with
8disabilities in accordance with Section 3-616, may, without
9the payment of any registration fee, make application to the
10Secretary of State for license plates for veterans with
11disabilities displaying the international symbol of access,
12for the registration of one motor vehicle of the first
13division, one motorcycle, or one motor vehicle of the second
14division weighing not more than 8,000 pounds.
15    (b) Any veteran who holds proof of a service-connected
16disability from the United States Department of Veterans
17Affairs, and whose degree of disability has been declared to
18be 50% or more, but whose disability does not qualify the
19veteran for a plate or decal for persons with disabilities
20under Section 3-616, may, without the payment of any
21registration fee, make application to the Secretary for a
22special registration plate or digital registration plate
23without the international symbol of access for the
24registration of one motor vehicle of the first division, one
25motorcycle, or one motor vehicle of the second division
26weighing not more than 8,000 pounds.

 

 

SB2435- 1654 -LRB102 04062 AMC 14078 b

1    (c) Renewal of such registration must be accompanied with
2documentation for eligibility of registration without fee
3unless the applicant has a permanent qualifying disability,
4and such registration plates or digital registration plates
5may not be issued to any person not eligible therefor. The
6Illinois Department of Veterans' Affairs may assist in
7providing the documentation of disability.
8    (d) The design and color of the plates shall be within the
9discretion of the Secretary, except that the plates issued
10under subsection (b) of this Section shall not contain the
11international symbol of access. The Secretary may, in his or
12her discretion, allow the plates to be issued as vanity or
13personalized plates in accordance with Section 3-405.1 of this
14Code. Registration shall be for a multi-year period and may be
15issued staggered registration.
16    (e) Any person eligible to receive license plates under
17this Section who has been approved for benefits under the
18Senior Citizens and Persons with Disabilities Property Tax
19Relief Act, or who has claimed and received a grant under that
20Act, shall pay a fee of $24 instead of the fee otherwise
21provided in this Code for passenger cars displaying standard
22multi-year registration plates or digital registration plates
23issued under Section 3-414.1, for motor vehicles registered at
248,000 pounds or less under Section 3-815(a), or for
25recreational vehicles registered at 8,000 pounds or less under
26Section 3-815(b), for a second set of plates under this

 

 

SB2435- 1655 -LRB102 04062 AMC 14078 b

1Section.
2(Source: P.A. 100-513, eff. 1-1-18; 101-395, eff. 8-16-19;
3101-536, eff. 1-1-20; revised 9-24-19.)
 
4    (625 ILCS 5/3-699.14)
5    Sec. 3-699.14. Universal special license plates.
6    (a) In addition to any other special license plate, the
7Secretary, upon receipt of all applicable fees and
8applications made in the form prescribed by the Secretary, may
9issue Universal special license plates to residents of
10Illinois on behalf of organizations that have been authorized
11by the General Assembly to issue decals for Universal special
12license plates. Appropriate documentation, as determined by
13the Secretary, shall accompany each application. Authorized
14organizations shall be designated by amendment to this
15Section. When applying for a Universal special license plate
16the applicant shall inform the Secretary of the name of the
17authorized organization from which the applicant will obtain a
18decal to place on the plate. The Secretary shall make a record
19of that organization and that organization shall remain
20affiliated with that plate until the plate is surrendered,
21revoked, or otherwise cancelled. The authorized organization
22may charge a fee to offset the cost of producing and
23distributing the decal, but that fee shall be retained by the
24authorized organization and shall be separate and distinct
25from any registration fees charged by the Secretary. No decal,

 

 

SB2435- 1656 -LRB102 04062 AMC 14078 b

1sticker, or other material may be affixed to a Universal
2special license plate other than a decal authorized by the
3General Assembly in this Section or a registration renewal
4sticker. The special plates issued under this Section shall be
5affixed only to passenger vehicles of the first division,
6including motorcycles and autocycles, or motor vehicles of the
7second division weighing not more than 8,000 pounds. Plates
8issued under this Section shall expire according to the
9multi-year procedure under Section 3-414.1 of this Code.
10    (b) The design, color, and format of the Universal special
11license plate shall be wholly within the discretion of the
12Secretary. Universal special license plates are not required
13to designate "Land of Lincoln", as prescribed in subsection
14(b) of Section 3-412 of this Code. The design shall allow for
15the application of a decal to the plate. Organizations
16authorized by the General Assembly to issue decals for
17Universal special license plates shall comply with rules
18adopted by the Secretary governing the requirements for and
19approval of Universal special license plate decals. The
20Secretary may, in his or her discretion, allow Universal
21special license plates to be issued as vanity or personalized
22plates in accordance with Section 3-405.1 of this Code. The
23Secretary of State must make a version of the special
24registration plates authorized under this Section in a form
25appropriate for motorcycles and autocycles.
26    (c) When authorizing a Universal special license plate,

 

 

SB2435- 1657 -LRB102 04062 AMC 14078 b

1the General Assembly shall set forth whether an additional fee
2is to be charged for the plate and, if a fee is to be charged,
3the amount of the fee and how the fee is to be distributed.
4When necessary, the authorizing language shall create a
5special fund in the State treasury into which fees may be
6deposited for an authorized Universal special license plate.
7Additional fees may only be charged if the fee is to be paid
8over to a State agency or to a charitable entity that is in
9compliance with the registration and reporting requirements of
10the Charitable Trust Act and the Solicitation for Charity Act.
11Any charitable entity receiving fees for the sale of Universal
12special license plates shall annually provide the Secretary of
13State a letter of compliance issued by the Attorney General
14verifying that the entity is in compliance with the Charitable
15Trust Act and the Solicitation for Charity Act.
16    (d) Upon original issuance and for each registration
17renewal period, in addition to the appropriate registration
18fee, if applicable, the Secretary shall collect any additional
19fees, if required, for issuance of Universal special license
20plates. The fees shall be collected on behalf of the
21organization designated by the applicant when applying for the
22plate. All fees collected shall be transferred to the State
23agency on whose behalf the fees were collected, or paid into
24the special fund designated in the law authorizing the
25organization to issue decals for Universal special license
26plates. All money in the designated fund shall be distributed

 

 

SB2435- 1658 -LRB102 04062 AMC 14078 b

1by the Secretary subject to appropriation by the General
2Assembly.
3    (e) The following organizations may issue decals for
4Universal special license plates with the original and renewal
5fees and fee distribution as follows:
6        (1) The Illinois Department of Natural Resources.
7            (A) Original issuance: $25; with $10 to the
8        Roadside Monarch Habitat Fund and $15 to the Secretary
9        of State Special License Plate Fund.
10            (B) Renewal: $25; with $23 to the Roadside Monarch
11        Habitat Fund and $2 to the Secretary of State Special
12        License Plate Fund.
13        (2) Illinois Veterans' Homes.
14            (A) Original issuance: $26, which shall be
15        deposited into the Illinois Veterans' Homes Fund.
16            (B) Renewal: $26, which shall be deposited into
17        the Illinois Veterans' Homes Fund.
18        (3) The Illinois Department of Human Services for
19    volunteerism decals.
20            (A) Original issuance: $25, which shall be
21        deposited into the Secretary of State Special License
22        Plate Fund.
23            (B) Renewal: $25, which shall be deposited into
24        the Secretary of State Special License Plate Fund.
25        (4) The Illinois Department of Public Health.
26            (A) Original issuance: $25; with $10 to the

 

 

SB2435- 1659 -LRB102 04062 AMC 14078 b

1        Prostate Cancer Awareness Fund and $15 to the
2        Secretary of State Special License Plate Fund.
3            (B) Renewal: $25; with $23 to the Prostate Cancer
4        Awareness Fund and $2 to the Secretary of State
5        Special License Plate Fund.
6        (5) Horsemen's Council of Illinois.
7            (A) Original issuance: $25; with $10 to the
8        Horsemen's Council of Illinois Fund and $15 to the
9        Secretary of State Special License Plate Fund.
10            (B) Renewal: $25; with $23 to the Horsemen's
11        Council of Illinois Fund and $2 to the Secretary of
12        State Special License Plate Fund.
13        (6) K9s for Veterans, NFP.
14            (A) Original issuance: $25; with $10 to the
15        Post-Traumatic Stress Disorder Awareness Fund and $15
16        to the Secretary of State Special License Plate Fund.
17            (B) Renewal: $25; with $23 to the Post-Traumatic
18        Stress Disorder Awareness Fund and $2 to the Secretary
19        of State Special License Plate Fund.
20        (7) (6) The International Association of Machinists
21    and Aerospace Workers.
22            (A) Original issuance: $35; with $20 to the Guide
23        Dogs of America Fund and $15 to the Secretary of State
24        Special License Plate Fund.
25            (B) Renewal: $25; with $23 going to the Guide Dogs
26        of America Fund and $2 to the Secretary of State

 

 

SB2435- 1660 -LRB102 04062 AMC 14078 b

1        Special License Plate Fund.
2        (8) (7) Local Lodge 701 of the International
3    Association of Machinists and Aerospace Workers.
4            (A) Original issuance: $35; with $10 to the Guide
5        Dogs of America Fund, $10 to the Mechanics Training
6        Fund, and $15 to the Secretary of State Special
7        License Plate Fund.
8            (B) Renewal: $30; with $13 to the Guide Dogs of
9        America Fund, $15 to the Mechanics Training Fund, and
10        $2 to the Secretary of State Special License Plate
11        Fund.
12        (9) (6) Illinois Department of Human Services.
13            (A) Original issuance: $25; with $10 to the
14        Theresa Tracy Trot - Illinois CancerCare Foundation
15        Fund and $15 to the Secretary of State Special License
16        Plate Fund.
17            (B) Renewal: $25; with $23 to the Theresa Tracy
18        Trot - Illinois CancerCare Foundation Fund and $2 to
19        the Secretary of State Special License Plate Fund.
20        (10) (6) The Illinois Department of Human Services for
21    developmental disabilities awareness decals.
22            (A) Original issuance: $25; with $10 to the
23        Developmental Disabilities Awareness Fund and $15 to
24        the Secretary of State Special License Plate Fund.
25            (B) Renewal: $25; with $23 to the Developmental
26        Disabilities Awareness Fund and $2 to the Secretary of

 

 

SB2435- 1661 -LRB102 04062 AMC 14078 b

1        State Special License Plate Fund.
2        (11) (6) The Illinois Department of Human Services for
3    pediatric cancer awareness decals.
4            (A) Original issuance: $25; with $10 to the
5        Pediatric Cancer Awareness Fund and $15 to the
6        Secretary of State Special License Plate Fund.
7            (B) Renewal: $25; with $23 to the Pediatric Cancer
8        Awareness Fund and $2 to the Secretary of State
9        Special License Plate Fund.
10    (f) The following funds are created as special funds in
11the State treasury:
12        (1) The Roadside Monarch Habitat Fund. All moneys to
13    be paid as grants to the Illinois Department of Natural
14    Resources to fund roadside monarch and other pollinator
15    habitat development, enhancement, and restoration projects
16    in this State.
17        (2) The Prostate Cancer Awareness Fund. All moneys to
18    be paid as grants to the Prostate Cancer Foundation of
19    Chicago.
20        (3) The Horsemen's Council of Illinois Fund. All
21    moneys shall be paid as grants to the Horsemen's Council
22    of Illinois.
23        (4) The Post-Traumatic Stress Disorder Awareness Fund.
24    All money in the Post-Traumatic Stress Disorder Awareness
25    Fund shall be paid as grants to K9s for Veterans, NFP for
26    support, education, and awareness of veterans with

 

 

SB2435- 1662 -LRB102 04062 AMC 14078 b

1    post-traumatic stress disorder.
2        (5) (4) The Guide Dogs of America Fund. All moneys
3    shall be paid as grants to the International Guiding Eyes,
4    Inc., doing business as Guide Dogs of America.
5        (6) (5) The Mechanics Training Fund. All moneys shall
6    be paid as grants to the Mechanics Local 701 Training
7    Fund.
8        (7) (4) The Theresa Tracy Trot - Illinois CancerCare
9    Foundation Fund. All money in the Theresa Tracy Trot -
10    Illinois CancerCare Foundation Fund shall be paid to the
11    Illinois CancerCare Foundation for the purpose of
12    furthering pancreatic cancer research.
13        (8) (4) The Developmental Disabilities Awareness Fund.
14    All moneys to be paid as grants to the Illinois Department
15    of Human Services to fund legal aid groups to assist with
16    guardianship fees for private citizens willing to become
17    guardians for individuals with developmental disabilities
18    but who are unable to pay the legal fees associated with
19    becoming a guardian.
20        (9) (4) The Pediatric Cancer Awareness Fund. All
21    moneys to be paid as grants to the Cancer Center at
22    Illinois for pediatric cancer treatment and research.
23(Source: P.A. 100-57, eff. 1-1-18; 100-60, eff. 1-1-18;
24100-78, eff. 1-1-18; 100-201, eff. 8-18-17; 100-863, eff.
258-14-18; 101-248, eff. 1-1-20; 101-256, eff. 1-1-20; 101-276,
26eff. 8-9-19; 101-282, eff. 1-1-20; 101-372, eff. 1-1-20;

 

 

SB2435- 1663 -LRB102 04062 AMC 14078 b

1revised 9-24-19.)
 
2    (625 ILCS 5/3-699.17)
3    Sec. 3-699.17. Global War on Terrorism license plates.
4    (a) In addition to any other special license plate, the
5Secretary, upon receipt of all applicable fees and
6applications made in the form prescribed by the Secretary, may
7issue Global War on Terrorism license plates to residents of
8this State who have earned the Global War on Terrorism
9Expeditionary Medal from the United States Armed Forces. The
10special Global War on Terrorism plates issued under this
11Section shall be affixed only to passenger vehicles of the
12first division, including motorcycles, or motor vehicles of
13the second division weighing not more than 8,000 pounds.
14Plates issued under this Section shall expire according to the
15multi-year procedure under Section 3-414.1 of this Code.
16    (b) The design, color, and format of the Global War on
17Terrorism license plate shall be wholly within the discretion
18of the Secretary. The Secretary may, in his or her discretion,
19allow the Global War on Terrorism license plates to be issued
20as vanity or personalized plates in accordance with Section
213-405.1 of this Code. Global War on Terrorism license plates
22are not required to designate "Land of Lincoln", as prescribed
23in subsection (b) of Section 3-412 of this Code. The Secretary
24shall, in his or her discretion, approve and prescribe
25stickers or decals as provided under Section 3-412.

 

 

SB2435- 1664 -LRB102 04062 AMC 14078 b

1(Source: P.A. 101-51, eff. 7-12-19.)
 
2    (625 ILCS 5/3-699.18)
3    Sec. 3-699.18 3-699.17. Cold War license plates.
4    (a) In addition to any other special license plate, the
5Secretary, upon receipt of all applicable fees and
6applications made in the form prescribed by the Secretary of
7State, may issue Cold War license plates to residents of
8Illinois who served in the United States Armed Forces between
9August 15, 1945 and January 1, 1992. The special Cold War
10plates issued under this Section shall be affixed only to
11passenger vehicles of the first division, motorcycles, and
12motor vehicles of the second division weighing not more than
138,000 pounds. Plates issued under this Section shall expire
14according to the staggered multi-year procedure established by
15Section 3-414.1 of this Code.
16    (b) The design, color, and format of the plates shall be
17wholly within the discretion of the Secretary of State. The
18Secretary may, in his or her discretion, allow the plates to be
19issued as vanity plates or personalized in accordance with
20Section 3-405.1 of this Code. The plates are not required to
21designate "Land of Lincoln", as prescribed in subsection (b)
22of Section 3-412 of this Code. The Secretary shall, in his or
23her discretion, approve and prescribe stickers or decals as
24provided under Section 3-412.
25(Source: P.A. 101-245, eff. 1-1-20; revised 10-23-19.)
 

 

 

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1    (625 ILCS 5/3-699.21)
2    Sec. 3-699.21 3-699.17. United Nations Protection Force
3license plates.
4    (a) In addition to any other special license plate, the
5Secretary, upon receipt of all applicable fees and
6applications made in the form prescribed by the Secretary of
7State, may issue United Nations Protection Force license
8plates to residents of this State who served in the United
9Nations Protection Force in Yugoslavia. The special United
10Nations Protection Force plate issued under this Section shall
11be affixed only to passenger vehicles of the first division
12and motor vehicles of the second division weighing not more
13than 8,000 pounds. Plates issued under this Section shall
14expire according to the staggered multi-year procedure
15established by Section 3-414.1 of this Code.
16    (b) The design, color, and format of the plates shall be
17wholly within the discretion of the Secretary of State. The
18Secretary may, in his or her discretion, allow the plates to be
19issued as vanity plates or personalized in accordance with
20Section 3-405.1 of this Code. The plates are not required to
21designate "Land of Lincoln", as prescribed in subsection (b)
22of Section 3-412 of this Code. The Secretary shall approve and
23prescribe stickers or decals as provided under Section 3-412.
24    (c) An applicant shall be charged a $15 fee for original
25issuance in addition to the applicable registration fee. This

 

 

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1additional fee shall be deposited into the Secretary of State
2Special License Plate Fund. For each registration renewal
3period, a $2 fee, in addition to the appropriate registration
4fee, shall be charged and shall be deposited into the
5Secretary of State Special License Plate Fund.
6(Source: P.A. 101-247, eff. 1-1-20; revised 10-23-19.)
 
7    (625 ILCS 5/3-704)  (from Ch. 95 1/2, par. 3-704)
8    Sec. 3-704. Authority of Secretary of State to suspend or
9revoke a registration or certificate of title; authority to
10suspend or revoke the registration of a vehicle.
11    (a) The Secretary of State may suspend or revoke the
12registration of a vehicle or a certificate of title,
13registration card, registration sticker or digital
14registration sticker, registration plate or digital
15registration plate, disability parking decal or device, or any
16nonresident or other permit in any of the following events:
17        1. When the Secretary of State is satisfied that such
18    registration or that such certificate, card, plate or
19    digital plate, registration sticker or digital
20    registration sticker, or permit was fraudulently or
21    erroneously issued;
22        2. When a registered vehicle has been dismantled or
23    wrecked or is not properly equipped;
24        3. When the Secretary of State determines that any
25    required fees have not been paid to the Secretary of

 

 

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1    State, to the Illinois Commerce Commission, or to the
2    Illinois Department of Revenue under the Motor Fuel Tax
3    Law, and the same are not paid upon reasonable notice and
4    demand;
5        4. When a registration card, registration plate or
6    digital registration plate, registration sticker or
7    digital registration sticker, or permit is knowingly
8    displayed upon a vehicle other than the one for which
9    issued;
10        5. When the Secretary of State determines that the
11    owner has committed any offense under this Chapter
12    involving the registration or the certificate, card, plate
13    or digital plate, registration sticker or digital
14    registration sticker, or permit to be suspended or
15    revoked;
16        6. When the Secretary of State determines that a
17    vehicle registered not-for-hire is used or operated
18    for-hire unlawfully, or used or operated for purposes
19    other than those authorized;
20        7. When the Secretary of State determines that an
21    owner of a for-hire motor vehicle has failed to give proof
22    of financial responsibility as required by this Act;
23        8. When the Secretary determines that the vehicle is
24    not subject to or eligible for a registration;
25        9. When the Secretary determines that the owner of a
26    vehicle registered under the mileage weight tax option

 

 

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1    fails to maintain the records specified by law, or fails
2    to file the reports required by law, or that such vehicle
3    is not equipped with an operable and operating speedometer
4    or odometer;
5        10. When the Secretary of State is so authorized under
6    any other provision of law;
7        11. When the Secretary of State determines that the
8    holder of a disability parking decal or device has
9    committed any offense under Chapter 11 of this Code
10    involving the use of a disability parking decal or device.
11    (a-5) The Secretary of State may revoke a certificate of
12title and registration card and issue a corrected certificate
13of title and registration card, at no fee to the vehicle owner
14or lienholder, if there is proof that the vehicle
15identification number is erroneously shown on the original
16certificate of title.
17    (b) The Secretary of State may suspend or revoke the
18registration of a vehicle as follows:
19        1. When the Secretary of State determines that the
20    owner of a vehicle has not paid a civil penalty or a
21    settlement agreement arising from the violation of rules
22    adopted under the Illinois Motor Carrier Safety Law or the
23    Illinois Hazardous Materials Transportation Act or that a
24    vehicle, regardless of ownership, was the subject of
25    violations of these rules that resulted in a civil penalty
26    or settlement agreement which remains unpaid.

 

 

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1        2. When the Secretary of State determines that a
2    vehicle registered for a gross weight of more than 16,000
3    pounds within an affected area is not in compliance with
4    the provisions of Section 13-109.1 of this the Illinois
5    Vehicle Code.
6        3. When the Secretary of State is notified by the
7    United States Department of Transportation that a vehicle
8    is in violation of the Federal Motor Carrier Safety
9    Regulations, as they are now or hereafter amended, and is
10    prohibited from operating.
11    (c) The Secretary of State may suspend the registration of
12a vehicle when a court finds that the vehicle was used in a
13violation of Section 24-3A of the Criminal Code of 1961 or the
14Criminal Code of 2012 relating to gunrunning. A suspension of
15registration under this subsection (c) may be for a period of
16up to 90 days.
17    (d) The Secretary shall deny, suspend, or revoke
18registration if the applicant fails to disclose material
19information required, if the applicant has made a materially
20false statement on the application, if the applicant has
21applied as a subterfuge for the real party in interest who has
22been issued a federal out-of-service order, or if the
23applicant's business is operated by, managed by, or otherwise
24controlled by or affiliated with a person who is ineligible
25for registration, including the applicant entity, a relative,
26family member, corporate officer, or shareholder. The

 

 

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1Secretary shall deny, suspend, or revoke registration for
2either (i) a vehicle if the motor carrier responsible for the
3safety of the vehicle has been prohibited from operating by
4the Federal Motor Carrier Safety Administration; or (ii) a
5carrier whose business is operated by, managed by, or
6otherwise controlled by or affiliated with a person who is
7ineligible for registration, which may include the owner, a
8relative, family member, corporate officer, or shareholder of
9the carrier.
10(Source: P.A. 101-185, eff. 1-1-20; 101-395, eff. 8-16-19;
11revised 9-24-19.)
 
12    (625 ILCS 5/3-802)  (from Ch. 95 1/2, par. 3-802)
13    Sec. 3-802. Reclassifications and upgrades.
14    (a) Definitions. For the purposes of this Section, the
15following words shall have the meanings ascribed to them as
16follows:
17        "Reclassification" means changing the registration of
18    a vehicle from one plate category to another.
19        "Upgrade" means increasing the registered weight of a
20    vehicle within the same plate category.
21    (b) When reclassing the registration of a vehicle from one
22plate category to another, the owner shall receive credit for
23the unused portion of the present plate and be charged the
24current portion fees for the new plate. In addition, the
25appropriate replacement plate and replacement sticker fees

 

 

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1shall be assessed.
2    (b-5) Beginning with the 2019 registration year, any
3individual who has a registration issued under either Section
43-405 or 3-405.1 that qualifies for a special license plate
5under Section 3-609, 3-609.1, 3-620, 3-621, 3-622, 3-623,
63-624, 3-625, 3-626, 3-628, 3-638, 3-642, 3-645, 3-647, 3-650,
73-651, 3-664, 3-666, 3-667, 3-668, 3-669, 3-676, 3-677, 3-680,
83-681, 3-683, 3-686, 3-688, 3-693, 3-698, 3-699.12, or
93-699.17 may reclass his or her registration upon acquiring a
10special license plate listed in this subsection (b-5) without
11a replacement plate or digital plate fee or registration
12sticker or digital registration sticker cost.
13    (b-10) Beginning with the 2019 registration year, any
14individual who has a special license plate issued under
15Section 3-609, 3-609.1, 3-620, 3-621, 3-622, 3-623, 3-624,
163-625, 3-626, 3-628, 3-638, 3-642, 3-645, 3-647, 3-650, 3-651,
173-664, 3-666, 3-667, 3-668, 3-669, 3-676, 3-677, 3-680, 3-681,
183-683, 3-686, 3-688, 3-693, 3-698, 3-699.12, or 3-699.17 may
19reclass his or her special license plate upon acquiring a new
20registration under Section 3-405 or 3-405.1 without a
21replacement plate or digital plate fee or registration sticker
22or digital registration sticker cost.
23    (c) When upgrading the weight of a registration within the
24same plate category, the owner shall pay the difference in
25current period fees between the 2 two plates. In addition, the
26appropriate replacement plate and replacement sticker fees

 

 

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1shall be assessed. In the event new plates are not required,
2the corrected registration card fee shall be assessed.
3    (d) In the event the owner of the vehicle desires to change
4the registered weight and change the plate category, the owner
5shall receive credit for the unused portion of the
6registration fee of the current plate and pay the current
7portion of the registration fee for the new plate, and in
8addition, pay the appropriate replacement plate and
9replacement sticker fees.
10    (e) Reclassing from one plate category to another plate
11category can be done only once within any registration period.
12    (f) No refunds shall be made in any of the circumstances
13found in subsection (b), subsection (c), or subsection (d);
14however, when reclassing from a flat weight plate to an
15apportioned plate, a refund may be issued if the credit
16amounts to an overpayment.
17    (g) In the event the registration of a vehicle registered
18under the mileage tax option is revoked, the owner shall be
19required to pay the annual registration fee in the new plate
20category and shall not receive any credit for the mileage
21plate fees.
22    (h) Certain special interest plates may be displayed on
23first division vehicles, second division vehicles weighing
248,000 pounds or less, and recreational vehicles. Those plates
25can be transferred within those vehicle groups.
26    (i) Plates displayed on second division vehicles weighing

 

 

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18,000 pounds or less and passenger vehicle plates may be
2reclassed from one division to the other.
3    (j) Other than in subsection (i), reclassing from one
4division to the other division is prohibited. In addition, a
5reclass from a motor vehicle to a trailer or a trailer to a
6motor vehicle is prohibited.
7(Source: P.A. 100-246, eff. 1-1-18; 100-450, eff. 1-1-18;
8100-863, eff. 8-14-18; 101-51, eff. 7-12-19; 101-395, eff.
98-16-19; revised 9-24-19.)
 
10    (625 ILCS 5/3-806.3)  (from Ch. 95 1/2, par. 3-806.3)
11    Sec. 3-806.3. Senior citizens. Commencing with the 2009
12registration year, the registration fee paid by any vehicle
13owner who has been approved for benefits under the Senior
14Citizens and Persons with Disabilities Property Tax Relief Act
15or who is the spouse of such a person shall be $24 instead of
16the fee otherwise provided in this Code for passenger cars
17displaying standard multi-year registration plates or digital
18registration plates issued under Section 3-414.1, motor
19vehicles displaying special registration plates or digital
20registration plates issued under Section 3-609, 3-616, 3-621,
213-622, 3-623, 3-624, 3-625, 3-626, 3-628, 3-638, 3-642, 3-645,
223-647, 3-650, 3-651, 3-663, or 3-699.17, motor vehicles
23registered at 8,000 pounds or less under Section 3-815(a), and
24recreational vehicles registered at 8,000 pounds or less under
25Section 3-815(b). Widows and widowers of claimants shall also

 

 

SB2435- 1674 -LRB102 04062 AMC 14078 b

1be entitled to this reduced registration fee for the
2registration year in which the claimant was eligible.
3    Commencing with the 2009 registration year, the
4registration fee paid by any vehicle owner who has claimed and
5received a grant under the Senior Citizens and Persons with
6Disabilities Property Tax Relief Act or who is the spouse of
7such a person shall be $24 instead of the fee otherwise
8provided in this Code for passenger cars displaying standard
9multi-year registration plates or digital registration plates
10issued under Section 3-414.1, motor vehicles displaying
11special registration plates or digital registration plates
12issued under Section 3-607, 3-609, 3-616, 3-621, 3-622, 3-623,
133-624, 3-625, 3-626, 3-628, 3-638, 3-642, 3-645, 3-647, 3-650,
143-651, 3-663, 3-664, or 3-699.17, motor vehicles registered at
158,000 pounds or less under Section 3-815(a), and recreational
16vehicles registered at 8,000 pounds or less under Section
173-815(b). Widows and widowers of claimants shall also be
18entitled to this reduced registration fee for the registration
19year in which the claimant was eligible.
20    Commencing with the 2017 registration year, the reduced
21fee under this Section shall apply to any special registration
22plate or digital registration plate authorized in Article VI
23of Chapter 3 of this Code for which the applicant would
24otherwise be eligible.
25    Surcharges for vehicle registrations under Section 3-806
26of this Code shall not be collected from any vehicle owner who

 

 

SB2435- 1675 -LRB102 04062 AMC 14078 b

1has been approved for benefits under the Senior Citizens and
2Disabled Persons Property Tax Relief Act or a person who is the
3spouse of such a person.
4    No more than one reduced registration fee under this
5Section shall be allowed during any 12-month period based on
6the primary eligibility of any individual, whether such
7reduced registration fee is allowed to the individual or to
8the spouse, widow or widower of such individual. This Section
9does not apply to the fee paid in addition to the registration
10fee for motor vehicles displaying vanity, personalized, or
11special license plates.
12(Source: P.A. 101-51, eff. 7-12-19; 101-395, eff. 8-16-19;
13revised 9-24-19.)
 
14    (625 ILCS 5/4-104)  (from Ch. 95 1/2, par. 4-104)
15    Sec. 4-104. Offenses relating to possession of titles and
16registration.
17    (a) It is a violation of this Chapter for:
18        1. A person to possess without authority any
19    manufacturer's manufacturers statement of origin,
20    certificate of title, salvage certificate, junking
21    certificate, display certificate of title, registration
22    card, license plate or digital license plate, registration
23    sticker or digital registration sticker, or temporary
24    registration permit, whether blank or otherwise;
25        2. A person to possess any manufacturer's

 

 

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1    manufacturers certificate of origin, salvage certificate,
2    junking certificate, certificate of title, or display
3    certificate without complete assignment;
4        3. A person to possess any manufacturer's
5    manufacturers statement of origin, salvage certificate,
6    junking certificate, display certificate or certificate of
7    title, temporary registration permit, registration card,
8    license plate or digital license plate, or registration
9    sticker or digital registration sticker knowing it to have
10    been stolen, converted, altered, forged, or counterfeited;
11        4. A person to display or affix to a vehicle any
12    certificate of title, manufacturer's manufacturers
13    statement of origin, salvage certificate, junking
14    certificate, display certificate, temporary registration
15    permit, registration card, license plate or digital
16    license plate, or registration sticker or digital
17    registration sticker not authorized by law for use on such
18    vehicle;
19        5. A person to permit another, not entitled thereto,
20    to use or have possession of any manufacturer's
21    manufacturers statement of origin, salvage certificate,
22    junking certificate, display certificate or certificate of
23    title, registration card, license plate or digital license
24    plate, temporary registration permit, or registration
25    sticker or digital registration sticker;
26        6. A person to fail to mail or deliver to the proper

 

 

SB2435- 1677 -LRB102 04062 AMC 14078 b

1    person, within a reasonable period of time after receipt
2    from the Secretary of State, any certificate of title,
3    salvage certificate, junking certificate, display
4    certificate, registration card, temporary registration
5    permit, license plate or digital license plate, or
6    registration sticker or digital registration sticker. If a
7    person mails or delivers reasonable notice to the proper
8    person after receipt from the Secretary of State, a
9    presumption of delivery within a reasonable period of time
10    shall exist; provided, however, the delivery is made,
11    either by mail or otherwise, within 20 days from the date
12    of receipt from the Secretary of State.
13    (b) Sentence:
14        1. A person convicted of a violation of subsection 1
15    or 2 of paragraph (a) of this Section is guilty of a Class
16    4 felony.
17        2. A person convicted of a violation of subsection 3
18    of paragraph (a) of this Section is guilty of a Class 2
19    felony.
20        3. A person convicted of a violation of either
21    subsection 4 or 5 of paragraph (a) of this Section is
22    guilty of a Class A misdemeanor and upon a second or
23    subsequent conviction of such a violation is guilty of a
24    Class 4 felony.
25        4. A person convicted of a violation of subsection 6
26    of paragraph (a) of this Section is guilty of a petty

 

 

SB2435- 1678 -LRB102 04062 AMC 14078 b

1    offense.
2(Source: P.A. 101-395, eff. 8-16-19; revised 8-18-20.)
 
3    (625 ILCS 5/4-105)  (from Ch. 95 1/2, par. 4-105)
4    Sec. 4-105. Offenses relating to disposition of titles and
5registration.
6    (a) It is a violation of this Chapter for:
7        1. a person to alter, forge, or counterfeit any
8    manufacturer's manufacturers statement of origin,
9    certificate of title, salvage certificate, junking
10    certificate, display certificate, registration sticker or
11    digital registration sticker, registration card, or
12    temporary registration permit;
13        2. a person to alter, forge, or counterfeit an
14    assignment of any manufacturer's manufacturers statement
15    of origin, certificate of title, salvage certificate or
16    junking certificate;
17        3. a person to alter, forge, or counterfeit a release
18    of a security interest on any manufacturer's manufacturers
19    statement of origin, certificate of title, salvage
20    certificate or junking certificate;
21        4. a person to alter, forge, or counterfeit an
22    application for any certificate of title, salvage
23    certificate, junking certificate, display certificate,
24    registration sticker or digital registration sticker,
25    registration card, temporary registration permit or

 

 

SB2435- 1679 -LRB102 04062 AMC 14078 b

1    license plate;
2        5. a person to use a false or fictitious name or
3    address or altered, forged, counterfeited or stolen
4    manufacturer's identification number, or make a material
5    false statement, or fail to disclose a security interest,
6    or conceal any other material fact on any application for
7    any manufacturer's manufacturers statement of origin,
8    certificate of title, junking certificate, salvage
9    certificate, registration card, license plate or digital
10    license plate, temporary registration permit, or
11    registration sticker or digital registration sticker, or
12    commit a fraud in connection with any application under
13    this Act;
14        6. an unauthorized person to have in his possession a
15    blank Illinois certificate of title paper;
16        7. a person to surrender or cause to be surrendered
17    any certificate of title, salvage or junking certificate
18    in exchange for a certificate of title or other title
19    document from any other state or foreign jurisdiction for
20    the purpose of changing or deleting an "S.V." or "REBUILT"
21    notation, odometer reading, or any other information
22    contained on such Illinois certificate.
23    (b) Sentence. : A person convicted of a violation of this
24Section shall be guilty of a Class 2 felony.
25(Source: P.A. 101-395, eff. 8-16-19; revised 8-18-20.)
 

 

 

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1    (625 ILCS 5/6-106)  (from Ch. 95 1/2, par. 6-106)
2    Sec. 6-106. Application for license or instruction permit.
3    (a) Every application for any permit or license authorized
4to be issued under this Code shall be made upon a form
5furnished by the Secretary of State. Every application shall
6be accompanied by the proper fee and payment of such fee shall
7entitle the applicant to not more than 3 attempts to pass the
8examination within a period of one year after the date of
9application.
10    (b) Every application shall state the legal name, social
11security number, zip code, date of birth, sex, and residence
12address of the applicant; briefly describe the applicant;
13state whether the applicant has theretofore been licensed as a
14driver, and, if so, when and by what state or country, and
15whether any such license has ever been cancelled, suspended,
16revoked or refused, and, if so, the date and reason for such
17cancellation, suspension, revocation or refusal; shall include
18an affirmation by the applicant that all information set forth
19is true and correct; and shall bear the applicant's signature.
20In addition to the residence address, the Secretary may allow
21the applicant to provide a mailing address. In the case of an
22applicant who is a judicial officer or peace officer, the
23Secretary may allow the applicant to provide an office or work
24address in lieu of a residence or mailing address. The
25application form may also require the statement of such
26additional relevant information as the Secretary of State

 

 

SB2435- 1681 -LRB102 04062 AMC 14078 b

1shall deem necessary to determine the applicant's competency
2and eligibility. The Secretary of State may, in his
3discretion, by rule or regulation, provide that an application
4for a drivers license or permit may include a suitable
5photograph of the applicant in the form prescribed by the
6Secretary, and he may further provide that each drivers
7license shall include a photograph of the driver. The
8Secretary of State may utilize a photograph process or system
9most suitable to deter alteration or improper reproduction of
10a drivers license and to prevent substitution of another photo
11thereon. For the purposes of this subsection (b), "peace
12officer" means any person who by virtue of his or her office or
13public employment is vested by law with a duty to maintain
14public order or to make arrests for a violation of any penal
15statute of this State, whether that duty extends to all
16violations or is limited to specific violations.
17    (b-3) Upon the first issuance of a request for proposals
18for a digital driver's license and identification card
19issuance and facial recognition system issued after January 1,
202020 (the effective date of Public Act 101-513) this
21amendatory Act of the 101st General Assembly, and upon
22implementation of a new or revised system procured pursuant to
23that request for proposals, the Secretary shall permit
24applicants to choose between "male", "female" or "non-binary"
25when designating the applicant's sex on the driver's license
26application form. The sex designated by the applicant shall be

 

 

SB2435- 1682 -LRB102 04062 AMC 14078 b

1displayed on the driver's license issued to the applicant.
2    (b-5) Every applicant for a REAL ID compliant driver's
3license or permit shall provide proof of lawful status in the
4United States as defined in 6 CFR 37.3, as amended. Applicants
5who are unable to provide the Secretary with proof of lawful
6status may apply for a driver's license or permit under
7Section 6-105.1 of this Code.
8    (c) The application form shall include a notice to the
9applicant of the registration obligations of sex offenders
10under the Sex Offender Registration Act. The notice shall be
11provided in a form and manner prescribed by the Secretary of
12State. For purposes of this subsection (c), "sex offender" has
13the meaning ascribed to it in Section 2 of the Sex Offender
14Registration Act.
15    (d) Any male United States citizen or immigrant who
16applies for any permit or license authorized to be issued
17under this Code or for a renewal of any permit or license, and
18who is at least 18 years of age but less than 26 years of age,
19must be registered in compliance with the requirements of the
20federal Military Selective Service Act. The Secretary of State
21must forward in an electronic format the necessary personal
22information regarding the applicants identified in this
23subsection (d) to the Selective Service System. The
24applicant's signature on the application serves as an
25indication that the applicant either has already registered
26with the Selective Service System or that he is authorizing

 

 

SB2435- 1683 -LRB102 04062 AMC 14078 b

1the Secretary to forward to the Selective Service System the
2necessary information for registration. The Secretary must
3notify the applicant at the time of application that his
4signature constitutes consent to registration with the
5Selective Service System, if he is not already registered.
6    (e) Beginning on or before July 1, 2015, for each original
7or renewal driver's license application under this Code, the
8Secretary shall inquire as to whether the applicant is a
9veteran for purposes of issuing a driver's license with a
10veteran designation under subsection (e-5) of Section 6-110 of
11this Code. The acceptable forms of proof shall include, but
12are not limited to, Department of Defense form DD-214,
13Department of Defense form DD-256 for applicants who did not
14receive a form DD-214 upon the completion of initial basic
15training, Department of Defense form DD-2 (Retired), an
16identification card issued under the federal Veterans
17Identification Card Act of 2015, or a United States Department
18of Veterans Affairs summary of benefits letter. If the
19document cannot be stamped, the Illinois Department of
20Veterans' Affairs shall provide a certificate to the veteran
21to provide to the Secretary of State. The Illinois Department
22of Veterans' Affairs shall advise the Secretary as to what
23other forms of proof of a person's status as a veteran are
24acceptable.
25    For each applicant who is issued a driver's license with a
26veteran designation, the Secretary shall provide the

 

 

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1Department of Veterans' Affairs with the applicant's name,
2address, date of birth, gender and such other demographic
3information as agreed to by the Secretary and the Department.
4The Department may take steps necessary to confirm the
5applicant is a veteran. If after due diligence, including
6writing to the applicant at the address provided by the
7Secretary, the Department is unable to verify the applicant's
8veteran status, the Department shall inform the Secretary, who
9shall notify the applicant that the he or she must confirm
10status as a veteran, or the driver's license will be
11cancelled.
12    For purposes of this subsection (e):
13    "Armed forces" means any of the Armed Forces of the United
14States, including a member of any reserve component or
15National Guard unit.
16    "Veteran" means a person who has served in the armed
17forces and was discharged or separated under honorable
18conditions.
19(Source: P.A. 100-201, eff. 8-18-17; 100-248, eff. 8-22-17;
20100-811, eff. 1-1-19; 101-106, eff. 1-1-20; 101-287, eff.
218-9-19; 101-513, eff. 1-1-20; revised 8-24-20.)
 
22    (625 ILCS 5/6-206)
23    Sec. 6-206. Discretionary authority to suspend or revoke
24license or permit; right to a hearing.
25    (a) The Secretary of State is authorized to suspend or

 

 

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1revoke the driving privileges of any person without
2preliminary hearing upon a showing of the person's records or
3other sufficient evidence that the person:
4        1. Has committed an offense for which mandatory
5    revocation of a driver's license or permit is required
6    upon conviction;
7        2. Has been convicted of not less than 3 offenses
8    against traffic regulations governing the movement of
9    vehicles committed within any 12-month 12 month period. No
10    revocation or suspension shall be entered more than 6
11    months after the date of last conviction;
12        3. Has been repeatedly involved as a driver in motor
13    vehicle collisions or has been repeatedly convicted of
14    offenses against laws and ordinances regulating the
15    movement of traffic, to a degree that indicates lack of
16    ability to exercise ordinary and reasonable care in the
17    safe operation of a motor vehicle or disrespect for the
18    traffic laws and the safety of other persons upon the
19    highway;
20        4. Has by the unlawful operation of a motor vehicle
21    caused or contributed to an accident resulting in injury
22    requiring immediate professional treatment in a medical
23    facility or doctor's office to any person, except that any
24    suspension or revocation imposed by the Secretary of State
25    under the provisions of this subsection shall start no
26    later than 6 months after being convicted of violating a

 

 

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1    law or ordinance regulating the movement of traffic, which
2    violation is related to the accident, or shall start not
3    more than one year after the date of the accident,
4    whichever date occurs later;
5        5. Has permitted an unlawful or fraudulent use of a
6    driver's license, identification card, or permit;
7        6. Has been lawfully convicted of an offense or
8    offenses in another state, including the authorization
9    contained in Section 6-203.1, which if committed within
10    this State would be grounds for suspension or revocation;
11        7. Has refused or failed to submit to an examination
12    provided for by Section 6-207 or has failed to pass the
13    examination;
14        8. Is ineligible for a driver's license or permit
15    under the provisions of Section 6-103;
16        9. Has made a false statement or knowingly concealed a
17    material fact or has used false information or
18    identification in any application for a license,
19    identification card, or permit;
20        10. Has possessed, displayed, or attempted to
21    fraudulently use any license, identification card, or
22    permit not issued to the person;
23        11. Has operated a motor vehicle upon a highway of
24    this State when the person's driving privilege or
25    privilege to obtain a driver's license or permit was
26    revoked or suspended unless the operation was authorized

 

 

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1    by a monitoring device driving permit, judicial driving
2    permit issued prior to January 1, 2009, probationary
3    license to drive, or a restricted driving permit issued
4    under this Code;
5        12. Has submitted to any portion of the application
6    process for another person or has obtained the services of
7    another person to submit to any portion of the application
8    process for the purpose of obtaining a license,
9    identification card, or permit for some other person;
10        13. Has operated a motor vehicle upon a highway of
11    this State when the person's driver's license or permit
12    was invalid under the provisions of Sections 6-107.1 and
13    6-110;
14        14. Has committed a violation of Section 6-301,
15    6-301.1, or 6-301.2 of this Code, or Section 14, 14A, or
16    14B of the Illinois Identification Card Act;
17        15. Has been convicted of violating Section 21-2 of
18    the Criminal Code of 1961 or the Criminal Code of 2012
19    relating to criminal trespass to vehicles if the person
20    exercised actual physical control over the vehicle during
21    the commission of the offense, in which case the
22    suspension shall be for one year;
23        16. Has been convicted of violating Section 11-204 of
24    this Code relating to fleeing from a peace officer;
25        17. Has refused to submit to a test, or tests, as
26    required under Section 11-501.1 of this Code and the

 

 

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1    person has not sought a hearing as provided for in Section
2    11-501.1;
3        18. (Blank);
4        19. Has committed a violation of paragraph (a) or (b)
5    of Section 6-101 relating to driving without a driver's
6    license;
7        20. Has been convicted of violating Section 6-104
8    relating to classification of driver's license;
9        21. Has been convicted of violating Section 11-402 of
10    this Code relating to leaving the scene of an accident
11    resulting in damage to a vehicle in excess of $1,000, in
12    which case the suspension shall be for one year;
13        22. Has used a motor vehicle in violating paragraph
14    (3), (4), (7), or (9) of subsection (a) of Section 24-1 of
15    the Criminal Code of 1961 or the Criminal Code of 2012
16    relating to unlawful use of weapons, in which case the
17    suspension shall be for one year;
18        23. Has, as a driver, been convicted of committing a
19    violation of paragraph (a) of Section 11-502 of this Code
20    for a second or subsequent time within one year of a
21    similar violation;
22        24. Has been convicted by a court-martial or punished
23    by non-judicial punishment by military authorities of the
24    United States at a military installation in Illinois or in
25    another state of or for a traffic-related traffic related
26    offense that is the same as or similar to an offense

 

 

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1    specified under Section 6-205 or 6-206 of this Code;
2        25. Has permitted any form of identification to be
3    used by another in the application process in order to
4    obtain or attempt to obtain a license, identification
5    card, or permit;
6        26. Has altered or attempted to alter a license or has
7    possessed an altered license, identification card, or
8    permit;
9        27. (Blank);
10        28. Has been convicted for a first time of the illegal
11    possession, while operating or in actual physical control,
12    as a driver, of a motor vehicle, of any controlled
13    substance prohibited under the Illinois Controlled
14    Substances Act, any cannabis prohibited under the Cannabis
15    Control Act, or any methamphetamine prohibited under the
16    Methamphetamine Control and Community Protection Act, in
17    which case the person's driving privileges shall be
18    suspended for one year. Any defendant found guilty of this
19    offense while operating a motor vehicle, shall have an
20    entry made in the court record by the presiding judge that
21    this offense did occur while the defendant was operating a
22    motor vehicle and order the clerk of the court to report
23    the violation to the Secretary of State;
24        29. Has been convicted of the following offenses that
25    were committed while the person was operating or in actual
26    physical control, as a driver, of a motor vehicle:

 

 

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1    criminal sexual assault, predatory criminal sexual assault
2    of a child, aggravated criminal sexual assault, criminal
3    sexual abuse, aggravated criminal sexual abuse, juvenile
4    pimping, soliciting for a juvenile prostitute, promoting
5    juvenile prostitution as described in subdivision (a)(1),
6    (a)(2), or (a)(3) of Section 11-14.4 of the Criminal Code
7    of 1961 or the Criminal Code of 2012, and the manufacture,
8    sale or delivery of controlled substances or instruments
9    used for illegal drug use or abuse in which case the
10    driver's driving privileges shall be suspended for one
11    year;
12        30. Has been convicted a second or subsequent time for
13    any combination of the offenses named in paragraph 29 of
14    this subsection, in which case the person's driving
15    privileges shall be suspended for 5 years;
16        31. Has refused to submit to a test as required by
17    Section 11-501.6 of this Code or Section 5-16c of the Boat
18    Registration and Safety Act or has submitted to a test
19    resulting in an alcohol concentration of 0.08 or more or
20    any amount of a drug, substance, or compound resulting
21    from the unlawful use or consumption of cannabis as listed
22    in the Cannabis Control Act, a controlled substance as
23    listed in the Illinois Controlled Substances Act, an
24    intoxicating compound as listed in the Use of Intoxicating
25    Compounds Act, or methamphetamine as listed in the
26    Methamphetamine Control and Community Protection Act, in

 

 

SB2435- 1691 -LRB102 04062 AMC 14078 b

1    which case the penalty shall be as prescribed in Section
2    6-208.1;
3        32. Has been convicted of Section 24-1.2 of the
4    Criminal Code of 1961 or the Criminal Code of 2012
5    relating to the aggravated discharge of a firearm if the
6    offender was located in a motor vehicle at the time the
7    firearm was discharged, in which case the suspension shall
8    be for 3 years;
9        33. Has as a driver, who was less than 21 years of age
10    on the date of the offense, been convicted a first time of
11    a violation of paragraph (a) of Section 11-502 of this
12    Code or a similar provision of a local ordinance;
13        34. Has committed a violation of Section 11-1301.5 of
14    this Code or a similar provision of a local ordinance;
15        35. Has committed a violation of Section 11-1301.6 of
16    this Code or a similar provision of a local ordinance;
17        36. Is under the age of 21 years at the time of arrest
18    and has been convicted of not less than 2 offenses against
19    traffic regulations governing the movement of vehicles
20    committed within any 24-month 24 month period. No
21    revocation or suspension shall be entered more than 6
22    months after the date of last conviction;
23        37. Has committed a violation of subsection (c) of
24    Section 11-907 of this Code that resulted in damage to the
25    property of another or the death or injury of another;
26        38. Has been convicted of a violation of Section 6-20

 

 

SB2435- 1692 -LRB102 04062 AMC 14078 b

1    of the Liquor Control Act of 1934 or a similar provision of
2    a local ordinance and the person was an occupant of a motor
3    vehicle at the time of the violation;
4        39. Has committed a second or subsequent violation of
5    Section 11-1201 of this Code;
6        40. Has committed a violation of subsection (a-1) of
7    Section 11-908 of this Code;
8        41. Has committed a second or subsequent violation of
9    Section 11-605.1 of this Code, a similar provision of a
10    local ordinance, or a similar violation in any other state
11    within 2 years of the date of the previous violation, in
12    which case the suspension shall be for 90 days;
13        42. Has committed a violation of subsection (a-1) of
14    Section 11-1301.3 of this Code or a similar provision of a
15    local ordinance;
16        43. Has received a disposition of court supervision
17    for a violation of subsection (a), (d), or (e) of Section
18    6-20 of the Liquor Control Act of 1934 or a similar
19    provision of a local ordinance and the person was an
20    occupant of a motor vehicle at the time of the violation,
21    in which case the suspension shall be for a period of 3
22    months;
23        44. Is under the age of 21 years at the time of arrest
24    and has been convicted of an offense against traffic
25    regulations governing the movement of vehicles after
26    having previously had his or her driving privileges

 

 

SB2435- 1693 -LRB102 04062 AMC 14078 b

1    suspended or revoked pursuant to subparagraph 36 of this
2    Section;
3        45. Has, in connection with or during the course of a
4    formal hearing conducted under Section 2-118 of this Code:
5    (i) committed perjury; (ii) submitted fraudulent or
6    falsified documents; (iii) submitted documents that have
7    been materially altered; or (iv) submitted, as his or her
8    own, documents that were in fact prepared or composed for
9    another person;
10        46. Has committed a violation of subsection (j) of
11    Section 3-413 of this Code;
12        47. Has committed a violation of subsection (a) of
13    Section 11-502.1 of this Code;
14        48. Has submitted a falsified or altered medical
15    examiner's certificate to the Secretary of State or
16    provided false information to obtain a medical examiner's
17    certificate; or
18        49. Has committed a violation of subsection (b-5) of
19    Section 12-610.2 that resulted in great bodily harm,
20    permanent disability, or disfigurement, in which case the
21    driving privileges shall be suspended for 12 months; or .
22        50. 49. Has been convicted of a violation of Section
23    11-1002 or 11-1002.5 that resulted in a Type A injury to
24    another, in which case the person's driving privileges
25    shall be suspended for 12 months.
26    For purposes of paragraphs 5, 9, 10, 12, 14, 19, 25, 26,

 

 

SB2435- 1694 -LRB102 04062 AMC 14078 b

1and 27 of this subsection, license means any driver's license,
2any traffic ticket issued when the person's driver's license
3is deposited in lieu of bail, a suspension notice issued by the
4Secretary of State, a duplicate or corrected driver's license,
5a probationary driver's license, or a temporary driver's
6license.
7    (b) If any conviction forming the basis of a suspension or
8revocation authorized under this Section is appealed, the
9Secretary of State may rescind or withhold the entry of the
10order of suspension or revocation, as the case may be,
11provided that a certified copy of a stay order of a court is
12filed with the Secretary of State. If the conviction is
13affirmed on appeal, the date of the conviction shall relate
14back to the time the original judgment of conviction was
15entered and the 6-month 6 month limitation prescribed shall
16not apply.
17    (c) 1. Upon suspending or revoking the driver's license or
18permit of any person as authorized in this Section, the
19Secretary of State shall immediately notify the person in
20writing of the revocation or suspension. The notice to be
21deposited in the United States mail, postage prepaid, to the
22last known address of the person.
23    2. If the Secretary of State suspends the driver's license
24of a person under subsection 2 of paragraph (a) of this
25Section, a person's privilege to operate a vehicle as an
26occupation shall not be suspended, provided an affidavit is

 

 

SB2435- 1695 -LRB102 04062 AMC 14078 b

1properly completed, the appropriate fee received, and a permit
2issued prior to the effective date of the suspension, unless 5
3offenses were committed, at least 2 of which occurred while
4operating a commercial vehicle in connection with the driver's
5regular occupation. All other driving privileges shall be
6suspended by the Secretary of State. Any driver prior to
7operating a vehicle for occupational purposes only must submit
8the affidavit on forms to be provided by the Secretary of State
9setting forth the facts of the person's occupation. The
10affidavit shall also state the number of offenses committed
11while operating a vehicle in connection with the driver's
12regular occupation. The affidavit shall be accompanied by the
13driver's license. Upon receipt of a properly completed
14affidavit, the Secretary of State shall issue the driver a
15permit to operate a vehicle in connection with the driver's
16regular occupation only. Unless the permit is issued by the
17Secretary of State prior to the date of suspension, the
18privilege to drive any motor vehicle shall be suspended as set
19forth in the notice that was mailed under this Section. If an
20affidavit is received subsequent to the effective date of this
21suspension, a permit may be issued for the remainder of the
22suspension period.
23    The provisions of this subparagraph shall not apply to any
24driver required to possess a CDL for the purpose of operating a
25commercial motor vehicle.
26    Any person who falsely states any fact in the affidavit

 

 

SB2435- 1696 -LRB102 04062 AMC 14078 b

1required herein shall be guilty of perjury under Section 6-302
2and upon conviction thereof shall have all driving privileges
3revoked without further rights.
4    3. At the conclusion of a hearing under Section 2-118 of
5this Code, the Secretary of State shall either rescind or
6continue an order of revocation or shall substitute an order
7of suspension; or, good cause appearing therefor, rescind,
8continue, change, or extend the order of suspension. If the
9Secretary of State does not rescind the order, the Secretary
10may upon application, to relieve undue hardship (as defined by
11the rules of the Secretary of State), issue a restricted
12driving permit granting the privilege of driving a motor
13vehicle between the petitioner's residence and petitioner's
14place of employment or within the scope of the petitioner's
15employment-related employment related duties, or to allow the
16petitioner to transport himself or herself, or a family member
17of the petitioner's household to a medical facility, to
18receive necessary medical care, to allow the petitioner to
19transport himself or herself to and from alcohol or drug
20remedial or rehabilitative activity recommended by a licensed
21service provider, or to allow the petitioner to transport
22himself or herself or a family member of the petitioner's
23household to classes, as a student, at an accredited
24educational institution, or to allow the petitioner to
25transport children, elderly persons, or persons with
26disabilities who do not hold driving privileges and are living

 

 

SB2435- 1697 -LRB102 04062 AMC 14078 b

1in the petitioner's household to and from daycare. The
2petitioner must demonstrate that no alternative means of
3transportation is reasonably available and that the petitioner
4will not endanger the public safety or welfare.
5        (A) If a person's license or permit is revoked or
6    suspended due to 2 or more convictions of violating
7    Section 11-501 of this Code or a similar provision of a
8    local ordinance or a similar out-of-state offense, or
9    Section 9-3 of the Criminal Code of 1961 or the Criminal
10    Code of 2012, where the use of alcohol or other drugs is
11    recited as an element of the offense, or a similar
12    out-of-state offense, or a combination of these offenses,
13    arising out of separate occurrences, that person, if
14    issued a restricted driving permit, may not operate a
15    vehicle unless it has been equipped with an ignition
16    interlock device as defined in Section 1-129.1.
17        (B) If a person's license or permit is revoked or
18    suspended 2 or more times due to any combination of:
19            (i) a single conviction of violating Section
20        11-501 of this Code or a similar provision of a local
21        ordinance or a similar out-of-state offense or Section
22        9-3 of the Criminal Code of 1961 or the Criminal Code
23        of 2012, where the use of alcohol or other drugs is
24        recited as an element of the offense, or a similar
25        out-of-state offense; or
26            (ii) a statutory summary suspension or revocation

 

 

SB2435- 1698 -LRB102 04062 AMC 14078 b

1        under Section 11-501.1; or
2            (iii) a suspension under Section 6-203.1;
3    arising out of separate occurrences; that person, if
4    issued a restricted driving permit, may not operate a
5    vehicle unless it has been equipped with an ignition
6    interlock device as defined in Section 1-129.1.
7        (B-5) If a person's license or permit is revoked or
8    suspended due to a conviction for a violation of
9    subparagraph (C) or (F) of paragraph (1) of subsection (d)
10    of Section 11-501 of this Code, or a similar provision of a
11    local ordinance or similar out-of-state offense, that
12    person, if issued a restricted driving permit, may not
13    operate a vehicle unless it has been equipped with an
14    ignition interlock device as defined in Section 1-129.1.
15        (C) The person issued a permit conditioned upon the
16    use of an ignition interlock device must pay to the
17    Secretary of State DUI Administration Fund an amount not
18    to exceed $30 per month. The Secretary shall establish by
19    rule the amount and the procedures, terms, and conditions
20    relating to these fees.
21        (D) If the restricted driving permit is issued for
22    employment purposes, then the prohibition against
23    operating a motor vehicle that is not equipped with an
24    ignition interlock device does not apply to the operation
25    of an occupational vehicle owned or leased by that
26    person's employer when used solely for employment

 

 

SB2435- 1699 -LRB102 04062 AMC 14078 b

1    purposes. For any person who, within a 5-year period, is
2    convicted of a second or subsequent offense under Section
3    11-501 of this Code, or a similar provision of a local
4    ordinance or similar out-of-state offense, this employment
5    exemption does not apply until either a one-year period
6    has elapsed during which that person had his or her
7    driving privileges revoked or a one-year period has
8    elapsed during which that person had a restricted driving
9    permit which required the use of an ignition interlock
10    device on every motor vehicle owned or operated by that
11    person.
12        (E) In each case the Secretary may issue a restricted
13    driving permit for a period deemed appropriate, except
14    that all permits shall expire no later than 2 years from
15    the date of issuance. A restricted driving permit issued
16    under this Section shall be subject to cancellation,
17    revocation, and suspension by the Secretary of State in
18    like manner and for like cause as a driver's license
19    issued under this Code may be cancelled, revoked, or
20    suspended; except that a conviction upon one or more
21    offenses against laws or ordinances regulating the
22    movement of traffic shall be deemed sufficient cause for
23    the revocation, suspension, or cancellation of a
24    restricted driving permit. The Secretary of State may, as
25    a condition to the issuance of a restricted driving
26    permit, require the applicant to participate in a

 

 

SB2435- 1700 -LRB102 04062 AMC 14078 b

1    designated driver remedial or rehabilitative program. The
2    Secretary of State is authorized to cancel a restricted
3    driving permit if the permit holder does not successfully
4    complete the program.
5        (F) A person subject to the provisions of paragraph 4
6    of subsection (b) of Section 6-208 of this Code may make
7    application for a restricted driving permit at a hearing
8    conducted under Section 2-118 of this Code after the
9    expiration of 5 years from the effective date of the most
10    recent revocation or after 5 years from the date of
11    release from a period of imprisonment resulting from a
12    conviction of the most recent offense, whichever is later,
13    provided the person, in addition to all other requirements
14    of the Secretary, shows by clear and convincing evidence:
15            (i) a minimum of 3 years of uninterrupted
16        abstinence from alcohol and the unlawful use or
17        consumption of cannabis under the Cannabis Control
18        Act, a controlled substance under the Illinois
19        Controlled Substances Act, an intoxicating compound
20        under the Use of Intoxicating Compounds Act, or
21        methamphetamine under the Methamphetamine Control and
22        Community Protection Act; and
23            (ii) the successful completion of any
24        rehabilitative treatment and involvement in any
25        ongoing rehabilitative activity that may be
26        recommended by a properly licensed service provider

 

 

SB2435- 1701 -LRB102 04062 AMC 14078 b

1        according to an assessment of the person's alcohol or
2        drug use under Section 11-501.01 of this Code.
3        In determining whether an applicant is eligible for a
4    restricted driving permit under this subparagraph (F), the
5    Secretary may consider any relevant evidence, including,
6    but not limited to, testimony, affidavits, records, and
7    the results of regular alcohol or drug tests. Persons
8    subject to the provisions of paragraph 4 of subsection (b)
9    of Section 6-208 of this Code and who have been convicted
10    of more than one violation of paragraph (3), paragraph
11    (4), or paragraph (5) of subsection (a) of Section 11-501
12    of this Code shall not be eligible to apply for a
13    restricted driving permit under this subparagraph (F).
14        A restricted driving permit issued under this
15    subparagraph (F) shall provide that the holder may only
16    operate motor vehicles equipped with an ignition interlock
17    device as required under paragraph (2) of subsection (c)
18    of Section 6-205 of this Code and subparagraph (A) of
19    paragraph 3 of subsection (c) of this Section. The
20    Secretary may revoke a restricted driving permit or amend
21    the conditions of a restricted driving permit issued under
22    this subparagraph (F) if the holder operates a vehicle
23    that is not equipped with an ignition interlock device, or
24    for any other reason authorized under this Code.
25        A restricted driving permit issued under this
26    subparagraph (F) shall be revoked, and the holder barred

 

 

SB2435- 1702 -LRB102 04062 AMC 14078 b

1    from applying for or being issued a restricted driving
2    permit in the future, if the holder is convicted of a
3    violation of Section 11-501 of this Code, a similar
4    provision of a local ordinance, or a similar offense in
5    another state.
6    (c-3) In the case of a suspension under paragraph 43 of
7subsection (a), reports received by the Secretary of State
8under this Section shall, except during the actual time the
9suspension is in effect, be privileged information and for use
10only by the courts, police officers, prosecuting authorities,
11the driver licensing administrator of any other state, the
12Secretary of State, or the parent or legal guardian of a driver
13under the age of 18. However, beginning January 1, 2008, if the
14person is a CDL holder, the suspension shall also be made
15available to the driver licensing administrator of any other
16state, the U.S. Department of Transportation, and the affected
17driver or motor carrier or prospective motor carrier upon
18request.
19    (c-4) In the case of a suspension under paragraph 43 of
20subsection (a), the Secretary of State shall notify the person
21by mail that his or her driving privileges and driver's
22license will be suspended one month after the date of the
23mailing of the notice.
24    (c-5) The Secretary of State may, as a condition of the
25reissuance of a driver's license or permit to an applicant
26whose driver's license or permit has been suspended before he

 

 

SB2435- 1703 -LRB102 04062 AMC 14078 b

1or she reached the age of 21 years pursuant to any of the
2provisions of this Section, require the applicant to
3participate in a driver remedial education course and be
4retested under Section 6-109 of this Code.
5    (d) This Section is subject to the provisions of the
6Driver Drivers License Compact.
7    (e) The Secretary of State shall not issue a restricted
8driving permit to a person under the age of 16 years whose
9driving privileges have been suspended or revoked under any
10provisions of this Code.
11    (f) In accordance with 49 C.F.R. 384, the Secretary of
12State may not issue a restricted driving permit for the
13operation of a commercial motor vehicle to a person holding a
14CDL whose driving privileges have been suspended, revoked,
15cancelled, or disqualified under any provisions of this Code.
16(Source: P.A. 100-803, eff. 1-1-19; 101-90, eff. 7-1-20;
17101-470, eff. 7-1-20; 101-623, eff. 7-1-20; revised 1-4-21.)
 
18    (625 ILCS 5/6-209.1)
19    Sec. 6-209.1. Restoration of driving privileges;
20revocation; suspension; cancellation. The Secretary shall
21rescind the suspension or cancellation of a person's driver's
22license that has been suspended or canceled before July 1,
232020 (the effective date of Public Act 101-623) this
24amendatory Act of the 101st General Assembly due to:
25        (1) the person being convicted of theft of motor fuel

 

 

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1    under Section Sections 16-25 or 16K-15 of the Criminal
2    Code of 1961 or the Criminal Code of 2012;
3        (2) the person, since the issuance of the driver's
4    license, being adjudged to be afflicted with or suffering
5    from any mental disability or disease;
6        (3) a violation of Section 6-16 of the Liquor Control
7    Act of 1934 or a similar provision of a local ordinance;
8        (4) the person being convicted of a violation of
9    Section 6-20 of the Liquor Control Act of 1934 or a similar
10    provision of a local ordinance, if the person presents a
11    certified copy of a court order that includes a finding
12    that the person was not an occupant of a motor vehicle at
13    the time of the violation;
14        (5) the person receiving a disposition of court
15    supervision for a violation of subsection subsections (a),
16    (d), or (e) of Section 6-20 of the Liquor Control Act of
17    1934 or a similar provision of a local ordinance, if the
18    person presents a certified copy of a court order that
19    includes a finding that the person was not an occupant of a
20    motor vehicle at the time of the violation;
21        (6) the person failing to pay any fine or penalty due
22    or owing as a result of 10 or more violations of a
23    municipality's or county's vehicular standing, parking, or
24    compliance regulations established by ordinance under
25    Section 11-208.3 of this Code;
26        (7) the person failing to satisfy any fine or penalty

 

 

SB2435- 1705 -LRB102 04062 AMC 14078 b

1    resulting from a final order issued by the Illinois State
2    Toll Highway Authority relating directly or indirectly to
3    5 or more toll violations, toll evasions, or both;
4        (8) the person being convicted of a violation of
5    Section 4-102 of this Code, if the person presents a
6    certified copy of a court order that includes a finding
7    that the person did not exercise actual physical control
8    of the vehicle at the time of the violation; or
9        (9) the person being convicted of criminal trespass to
10    vehicles under Section 21-2 of the Criminal Code of 2012,
11    if the person presents a certified copy of a court order
12    that includes a finding that the person did not exercise
13    actual physical control of the vehicle at the time of the
14    violation.
15(Source: P.A. 101-623, eff. 7-1-20; revised 8-18-20.)
 
16    (625 ILCS 5/6-306.5)  (from Ch. 95 1/2, par. 6-306.5)
17    Sec. 6-306.5. Failure to pay fine or penalty for standing,
18parking, compliance, automated speed enforcement system, or
19automated traffic law violations; suspension of driving
20privileges.
21    (a) Upon receipt of a certified report, as prescribed by
22subsection (c) of this Section, from any municipality or
23county stating that the owner of a registered vehicle has
24failed to pay any fine or penalty due and owing as a result of
255 offenses for automated speed enforcement system violations

 

 

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1or automated traffic violations as defined in Sections
211-208.6, 11-208.8, 11-208.9, or 11-1201.1, or combination
3thereof, or (3) is more than 14 days in default of a payment
4plan pursuant to which a suspension had been terminated under
5subsection (c) of this Section, the Secretary of State shall
6suspend the driving privileges of such person in accordance
7with the procedures set forth in this Section. The Secretary
8shall also suspend the driving privileges of an owner of a
9registered vehicle upon receipt of a certified report, as
10prescribed by subsection (f) of this Section, from any
11municipality or county stating that such person has failed to
12satisfy any fines or penalties imposed by final judgments for
135 or more automated speed enforcement system or automated
14traffic law violations, or combination thereof, after
15exhaustion of judicial review procedures.
16    (b) Following receipt of the certified report of the
17municipality or county as specified in this Section, the
18Secretary of State shall notify the person whose name appears
19on the certified report that the person's driver's drivers
20license will be suspended at the end of a specified period of
21time unless the Secretary of State is presented with a notice
22from the municipality or county certifying that the fine or
23penalty due and owing the municipality or county has been paid
24or that inclusion of that person's name on the certified
25report was in error. The Secretary's notice shall state in
26substance the information contained in the municipality's or

 

 

SB2435- 1707 -LRB102 04062 AMC 14078 b

1county's certified report to the Secretary, and shall be
2effective as specified by subsection (c) of Section 6-211 of
3this Code.
4    (c) The report of the appropriate municipal or county
5official notifying the Secretary of State of unpaid fines or
6penalties pursuant to this Section shall be certified and
7shall contain the following:
8        (1) The name, last known address as recorded with the
9    Secretary of State, as provided by the lessor of the cited
10    vehicle at the time of lease, or as recorded in a United
11    States Post Office approved database if any notice sent
12    under Section 11-208.3 of this Code is returned as
13    undeliverable, and driver's drivers license number of the
14    person who failed to pay the fine or penalty or who has
15    defaulted in a payment plan and the registration number of
16    any vehicle known to be registered to such person in this
17    State.
18        (2) The name of the municipality or county making the
19    report pursuant to this Section.
20        (3) A statement that the municipality or county sent a
21    notice of impending driver's drivers license suspension as
22    prescribed by ordinance enacted pursuant to Section
23    11-208.3 of this Code or a notice of default in a payment
24    plan, to the person named in the report at the address
25    recorded with the Secretary of State or at the last
26    address known to the lessor of the cited vehicle at the

 

 

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1    time of lease or, if any notice sent under Section
2    11-208.3 of this Code is returned as undeliverable, at the
3    last known address recorded in a United States Post Office
4    approved database; the date on which such notice was sent;
5    and the address to which such notice was sent. In a
6    municipality or county with a population of 1,000,000 or
7    more, the report shall also include a statement that the
8    alleged violator's State vehicle registration number and
9    vehicle make, if specified on the automated speed
10    enforcement system violation or automated traffic law
11    violation notice, are correct as they appear on the
12    citations.
13        (4) A unique identifying reference number for each
14    request of suspension sent whenever a person has failed to
15    pay the fine or penalty or has defaulted on a payment plan.
16    (d) Any municipality or county making a certified report
17to the Secretary of State pursuant to this Section shall
18notify the Secretary of State, in a form prescribed by the
19Secretary, whenever a person named in the certified report has
20paid the previously reported fine or penalty, whenever a
21person named in the certified report has entered into a
22payment plan pursuant to which the municipality or county has
23agreed to terminate the suspension, or whenever the
24municipality or county determines that the original report was
25in error. A certified copy of such notification shall also be
26given upon request and at no additional charge to the person

 

 

SB2435- 1709 -LRB102 04062 AMC 14078 b

1named therein. Upon receipt of the municipality's or county's
2notification or presentation of a certified copy of such
3notification, the Secretary of State shall terminate the
4suspension.
5    (e) Any municipality or county making a certified report
6to the Secretary of State pursuant to this Section shall also
7by ordinance establish procedures for persons to challenge the
8accuracy of the certified report. The ordinance shall also
9state the grounds for such a challenge, which may be limited to
10(1) the person not having been the owner or lessee of the
11vehicle or vehicles receiving a combination of 5 or more
12automated speed enforcement system or automated traffic law
13violations on the date or dates such notices were issued; and
14(2) the person having already paid the fine or penalty for the
15combination of 5 or more automated speed enforcement system or
16automated traffic law violations indicated on the certified
17report.
18    (f) Any municipality or county, other than a municipality
19or county establishing automated speed enforcement system
20regulations under Section 11-208.8, or automated traffic law
21regulations under Section 11-208.6, 11-208.9, or 11-1201.1,
22may also cause a suspension of a person's driver's drivers
23license pursuant to this Section. Such municipality or county
24may invoke this sanction by making a certified report to the
25Secretary of State upon a person's failure to satisfy any fine
26or penalty imposed by final judgment for a combination of 5 or

 

 

SB2435- 1710 -LRB102 04062 AMC 14078 b

1more automated speed enforcement system or automated traffic
2law violations after exhaustion of judicial review procedures,
3but only if:
4        (1) the municipality or county complies with the
5    provisions of this Section in all respects except in
6    regard to enacting an ordinance pursuant to Section
7    11-208.3;
8        (2) the municipality or county has sent a notice of
9    impending driver's drivers license suspension as
10    prescribed by an ordinance enacted pursuant to subsection
11    (g) of this Section; and
12        (3) in municipalities or counties with a population of
13    1,000,000 or more, the municipality or county has verified
14    that the alleged violator's State vehicle registration
15    number and vehicle make are correct as they appear on the
16    citations.
17    (g) Any municipality or county, other than a municipality
18or county establishing automated speed enforcement system
19regulations under Section 11-208.8, or automated traffic law
20regulations under Section 11-208.6, 11-208.9, or 11-1201.1,
21may provide by ordinance for the sending of a notice of
22impending driver's drivers license suspension to the person
23who has failed to satisfy any fine or penalty imposed by final
24judgment for a combination of 5 or more automated speed
25enforcement system or automated traffic law violations after
26exhaustion of judicial review procedures. An ordinance so

 

 

SB2435- 1711 -LRB102 04062 AMC 14078 b

1providing shall specify that the notice sent to the person
2liable for any fine or penalty shall state that failure to pay
3the fine or penalty owing within 45 days of the notice's date
4will result in the municipality or county notifying the
5Secretary of State that the person's driver's drivers license
6is eligible for suspension pursuant to this Section. The
7notice of impending driver's drivers license suspension shall
8be sent by first class United States mail, postage prepaid, to
9the address recorded with the Secretary of State or at the last
10address known to the lessor of the cited vehicle at the time of
11lease or, if any notice sent under Section 11-208.3 of this
12Code is returned as undeliverable, to the last known address
13recorded in a United States Post Office approved database.
14    (h) An administrative hearing to contest an impending
15suspension or a suspension made pursuant to this Section may
16be had upon filing a written request with the Secretary of
17State. The filing fee for this hearing shall be $20, to be paid
18at the time the request is made. A municipality or county which
19files a certified report with the Secretary of State pursuant
20to this Section shall reimburse the Secretary for all
21reasonable costs incurred by the Secretary as a result of the
22filing of the report, including, but not limited to, the costs
23of providing the notice required pursuant to subsection (b)
24and the costs incurred by the Secretary in any hearing
25conducted with respect to the report pursuant to this
26subsection and any appeal from such a hearing.

 

 

SB2435- 1712 -LRB102 04062 AMC 14078 b

1    (i) The provisions of this Section shall apply on and
2after January 1, 1988.
3    (j) For purposes of this Section, the term "compliance
4violation" is defined as in Section 11-208.3.
5(Source: P.A. 101-623, eff. 7-1-20; revised 8-18-20.)
 
6    (625 ILCS 5/11-208.3)  (from Ch. 95 1/2, par. 11-208.3)
7    Sec. 11-208.3. Administrative adjudication of violations
8of traffic regulations concerning the standing, parking, or
9condition of vehicles, automated traffic law violations, and
10automated speed enforcement system violations.
11    (a) Any municipality or county may provide by ordinance
12for a system of administrative adjudication of vehicular
13standing and parking violations and vehicle compliance
14violations as described in this subsection, automated traffic
15law violations as defined in Section 11-208.6, 11-208.9, or
1611-1201.1, and automated speed enforcement system violations
17as defined in Section 11-208.8. The administrative system
18shall have as its purpose the fair and efficient enforcement
19of municipal or county regulations through the administrative
20adjudication of automated speed enforcement system or
21automated traffic law violations and violations of municipal
22or county ordinances regulating the standing and parking of
23vehicles, the condition and use of vehicle equipment, and the
24display of municipal or county wheel tax licenses within the
25municipality's or county's borders. The administrative system

 

 

SB2435- 1713 -LRB102 04062 AMC 14078 b

1shall only have authority to adjudicate civil offenses
2carrying fines not in excess of $500 or requiring the
3completion of a traffic education program, or both, that occur
4after the effective date of the ordinance adopting such a
5system under this Section. For purposes of this Section,
6"compliance violation" means a violation of a municipal or
7county regulation governing the condition or use of equipment
8on a vehicle or governing the display of a municipal or county
9wheel tax license.
10    (b) Any ordinance establishing a system of administrative
11adjudication under this Section shall provide for:
12        (1) A traffic compliance administrator authorized to
13    adopt, distribute, and process parking, compliance, and
14    automated speed enforcement system or automated traffic
15    law violation notices and other notices required by this
16    Section, collect money paid as fines and penalties for
17    violation of parking and compliance ordinances and
18    automated speed enforcement system or automated traffic
19    law violations, and operate an administrative adjudication
20    system. The traffic compliance administrator also may make
21    a certified report to the Secretary of State under Section
22    6-306.5.
23        (2) A parking, standing, compliance, automated speed
24    enforcement system, or automated traffic law violation
25    notice that shall specify or include the date, time, and
26    place of violation of a parking, standing, compliance,

 

 

SB2435- 1714 -LRB102 04062 AMC 14078 b

1    automated speed enforcement system, or automated traffic
2    law regulation; the particular regulation violated; any
3    requirement to complete a traffic education program; the
4    fine and any penalty that may be assessed for late payment
5    or failure to complete a required traffic education
6    program, or both, when so provided by ordinance; the
7    vehicle make or a photograph of the vehicle; the state
8    registration number of the vehicle; and the identification
9    number of the person issuing the notice. With regard to
10    automated speed enforcement system or automated traffic
11    law violations, vehicle make shall be specified on the
12    automated speed enforcement system or automated traffic
13    law violation notice if the notice does not include a
14    photograph of the vehicle and the make is available and
15    readily discernible. With regard to municipalities or
16    counties with a population of 1 million or more, it shall
17    be grounds for dismissal of a parking violation if the
18    state registration number or vehicle make specified is
19    incorrect. The violation notice shall state that the
20    completion of any required traffic education program, the
21    payment of any indicated fine, and the payment of any
22    applicable penalty for late payment or failure to complete
23    a required traffic education program, or both, shall
24    operate as a final disposition of the violation. The
25    notice also shall contain information as to the
26    availability of a hearing in which the violation may be

 

 

SB2435- 1715 -LRB102 04062 AMC 14078 b

1    contested on its merits. The violation notice shall
2    specify the time and manner in which a hearing may be had.
3        (3) Service of a parking, standing, or compliance
4    violation notice by: (i) affixing the original or a
5    facsimile of the notice to an unlawfully parked or
6    standing vehicle; (ii) handing the notice to the operator
7    of a vehicle if he or she is present; or (iii) mailing the
8    notice to the address of the registered owner or lessee of
9    the cited vehicle as recorded with the Secretary of State
10    or the lessor of the motor vehicle within 30 days after the
11    Secretary of State or the lessor of the motor vehicle
12    notifies the municipality or county of the identity of the
13    owner or lessee of the vehicle, but not later than 90 days
14    after the date of the violation, except that in the case of
15    a lessee of a motor vehicle, service of a parking,
16    standing, or compliance violation notice may occur no
17    later than 210 days after the violation; and service of an
18    automated speed enforcement system or automated traffic
19    law violation notice by mail to the address of the
20    registered owner or lessee of the cited vehicle as
21    recorded with the Secretary of State or the lessor of the
22    motor vehicle within 30 days after the Secretary of State
23    or the lessor of the motor vehicle notifies the
24    municipality or county of the identity of the owner or
25    lessee of the vehicle, but not later than 90 days after the
26    violation, except that in the case of a lessee of a motor

 

 

SB2435- 1716 -LRB102 04062 AMC 14078 b

1    vehicle, service of an automated traffic law violation
2    notice may occur no later than 210 days after the
3    violation. A person authorized by ordinance to issue and
4    serve parking, standing, and compliance violation notices
5    shall certify as to the correctness of the facts entered
6    on the violation notice by signing his or her name to the
7    notice at the time of service or, in the case of a notice
8    produced by a computerized device, by signing a single
9    certificate to be kept by the traffic compliance
10    administrator attesting to the correctness of all notices
11    produced by the device while it was under his or her
12    control. In the case of an automated traffic law
13    violation, the ordinance shall require a determination by
14    a technician employed or contracted by the municipality or
15    county that, based on inspection of recorded images, the
16    motor vehicle was being operated in violation of Section
17    11-208.6, 11-208.9, or 11-1201.1 or a local ordinance. If
18    the technician determines that the vehicle entered the
19    intersection as part of a funeral procession or in order
20    to yield the right-of-way to an emergency vehicle, a
21    citation shall not be issued. In municipalities with a
22    population of less than 1,000,000 inhabitants and counties
23    with a population of less than 3,000,000 inhabitants, the
24    automated traffic law ordinance shall require that all
25    determinations by a technician that a motor vehicle was
26    being operated in violation of Section 11-208.6, 11-208.9,

 

 

SB2435- 1717 -LRB102 04062 AMC 14078 b

1    or 11-1201.1 or a local ordinance must be reviewed and
2    approved by a law enforcement officer or retired law
3    enforcement officer of the municipality or county issuing
4    the violation. In municipalities with a population of
5    1,000,000 or more inhabitants and counties with a
6    population of 3,000,000 or more inhabitants, the automated
7    traffic law ordinance shall require that all
8    determinations by a technician that a motor vehicle was
9    being operated in violation of Section 11-208.6, 11-208.9,
10    or 11-1201.1 or a local ordinance must be reviewed and
11    approved by a law enforcement officer or retired law
12    enforcement officer of the municipality or county issuing
13    the violation or by an additional fully trained
14    fully-trained reviewing technician who is not employed by
15    the contractor who employs the technician who made the
16    initial determination. In the case of an automated speed
17    enforcement system violation, the ordinance shall require
18    a determination by a technician employed by the
19    municipality, based upon an inspection of recorded images,
20    video or other documentation, including documentation of
21    the speed limit and automated speed enforcement signage,
22    and documentation of the inspection, calibration, and
23    certification of the speed equipment, that the vehicle was
24    being operated in violation of Article VI of Chapter 11 of
25    this Code or a similar local ordinance. If the technician
26    determines that the vehicle speed was not determined by a

 

 

SB2435- 1718 -LRB102 04062 AMC 14078 b

1    calibrated, certified speed equipment device based upon
2    the speed equipment documentation, or if the vehicle was
3    an emergency vehicle, a citation may not be issued. The
4    automated speed enforcement ordinance shall require that
5    all determinations by a technician that a violation
6    occurred be reviewed and approved by a law enforcement
7    officer or retired law enforcement officer of the
8    municipality issuing the violation or by an additional
9    fully trained reviewing technician who is not employed by
10    the contractor who employs the technician who made the
11    initial determination. Routine and independent calibration
12    of the speeds produced by automated speed enforcement
13    systems and equipment shall be conducted annually by a
14    qualified technician. Speeds produced by an automated
15    speed enforcement system shall be compared with speeds
16    produced by lidar or other independent equipment. Radar or
17    lidar equipment shall undergo an internal validation test
18    no less frequently than once each week. Qualified
19    technicians shall test loop-based loop based equipment no
20    less frequently than once a year. Radar equipment shall be
21    checked for accuracy by a qualified technician when the
22    unit is serviced, when unusual or suspect readings
23    persist, or when deemed necessary by a reviewing
24    technician. Radar equipment shall be checked with the
25    internal frequency generator and the internal circuit test
26    whenever the radar is turned on. Technicians must be alert

 

 

SB2435- 1719 -LRB102 04062 AMC 14078 b

1    for any unusual or suspect readings, and if unusual or
2    suspect readings of a radar unit persist, that unit shall
3    immediately be removed from service and not returned to
4    service until it has been checked by a qualified
5    technician and determined to be functioning properly.
6    Documentation of the annual calibration results, including
7    the equipment tested, test date, technician performing the
8    test, and test results, shall be maintained and available
9    for use in the determination of an automated speed
10    enforcement system violation and issuance of a citation.
11    The technician performing the calibration and testing of
12    the automated speed enforcement equipment shall be trained
13    and certified in the use of equipment for speed
14    enforcement purposes. Training on the speed enforcement
15    equipment may be conducted by law enforcement, civilian,
16    or manufacturer's personnel and if applicable may be
17    equivalent to the equipment use and operations training
18    included in the Speed Measuring Device Operator Program
19    developed by the National Highway Traffic Safety
20    Administration (NHTSA). The vendor or technician who
21    performs the work shall keep accurate records on each
22    piece of equipment the technician calibrates and tests. As
23    used in this paragraph, "fully trained fully-trained
24    reviewing technician" means a person who has received at
25    least 40 hours of supervised training in subjects which
26    shall include image inspection and interpretation, the

 

 

SB2435- 1720 -LRB102 04062 AMC 14078 b

1    elements necessary to prove a violation, license plate
2    identification, and traffic safety and management. In all
3    municipalities and counties, the automated speed
4    enforcement system or automated traffic law ordinance
5    shall require that no additional fee shall be charged to
6    the alleged violator for exercising his or her right to an
7    administrative hearing, and persons shall be given at
8    least 25 days following an administrative hearing to pay
9    any civil penalty imposed by a finding that Section
10    11-208.6, 11-208.8, 11-208.9, or 11-1201.1 or a similar
11    local ordinance has been violated. The original or a
12    facsimile of the violation notice or, in the case of a
13    notice produced by a computerized device, a printed record
14    generated by the device showing the facts entered on the
15    notice, shall be retained by the traffic compliance
16    administrator, and shall be a record kept in the ordinary
17    course of business. A parking, standing, compliance,
18    automated speed enforcement system, or automated traffic
19    law violation notice issued, signed, and served in
20    accordance with this Section, a copy of the notice, or the
21    computer-generated computer generated record shall be
22    prima facie correct and shall be prima facie evidence of
23    the correctness of the facts shown on the notice. The
24    notice, copy, or computer-generated computer generated
25    record shall be admissible in any subsequent
26    administrative or legal proceedings.

 

 

SB2435- 1721 -LRB102 04062 AMC 14078 b

1        (4) An opportunity for a hearing for the registered
2    owner of the vehicle cited in the parking, standing,
3    compliance, automated speed enforcement system, or
4    automated traffic law violation notice in which the owner
5    may contest the merits of the alleged violation, and
6    during which formal or technical rules of evidence shall
7    not apply; provided, however, that under Section 11-1306
8    of this Code the lessee of a vehicle cited in the violation
9    notice likewise shall be provided an opportunity for a
10    hearing of the same kind afforded the registered owner.
11    The hearings shall be recorded, and the person conducting
12    the hearing on behalf of the traffic compliance
13    administrator shall be empowered to administer oaths and
14    to secure by subpoena both the attendance and testimony of
15    witnesses and the production of relevant books and papers.
16    Persons appearing at a hearing under this Section may be
17    represented by counsel at their expense. The ordinance may
18    also provide for internal administrative review following
19    the decision of the hearing officer.
20        (5) Service of additional notices, sent by first class
21    United States mail, postage prepaid, to the address of the
22    registered owner of the cited vehicle as recorded with the
23    Secretary of State or, if any notice to that address is
24    returned as undeliverable, to the last known address
25    recorded in a United States Post Office approved database,
26    or, under Section 11-1306 or subsection (p) of Section

 

 

SB2435- 1722 -LRB102 04062 AMC 14078 b

1    11-208.6 or 11-208.9, or subsection (p) of Section
2    11-208.8 of this Code, to the lessee of the cited vehicle
3    at the last address known to the lessor of the cited
4    vehicle at the time of lease or, if any notice to that
5    address is returned as undeliverable, to the last known
6    address recorded in a United States Post Office approved
7    database. The service shall be deemed complete as of the
8    date of deposit in the United States mail. The notices
9    shall be in the following sequence and shall include, but
10    not be limited to, the information specified herein:
11            (i) A second notice of parking, standing, or
12        compliance violation if the first notice of the
13        violation was issued by affixing the original or a
14        facsimile of the notice to the unlawfully parked
15        vehicle or by handing the notice to the operator. This
16        notice shall specify or include the date and location
17        of the violation cited in the parking, standing, or
18        compliance violation notice, the particular regulation
19        violated, the vehicle make or a photograph of the
20        vehicle, the state registration number of the vehicle,
21        any requirement to complete a traffic education
22        program, the fine and any penalty that may be assessed
23        for late payment or failure to complete a traffic
24        education program, or both, when so provided by
25        ordinance, the availability of a hearing in which the
26        violation may be contested on its merits, and the time

 

 

SB2435- 1723 -LRB102 04062 AMC 14078 b

1        and manner in which the hearing may be had. The notice
2        of violation shall also state that failure to complete
3        a required traffic education program, to pay the
4        indicated fine and any applicable penalty, or to
5        appear at a hearing on the merits in the time and
6        manner specified, will result in a final determination
7        of violation liability for the cited violation in the
8        amount of the fine or penalty indicated, and that,
9        upon the occurrence of a final determination of
10        violation liability for the failure, and the
11        exhaustion of, or failure to exhaust, available
12        administrative or judicial procedures for review, any
13        incomplete traffic education program or any unpaid
14        fine or penalty, or both, will constitute a debt due
15        and owing the municipality or county.
16            (ii) A notice of final determination of parking,
17        standing, compliance, automated speed enforcement
18        system, or automated traffic law violation liability.
19        This notice shall be sent following a final
20        determination of parking, standing, compliance,
21        automated speed enforcement system, or automated
22        traffic law violation liability and the conclusion of
23        judicial review procedures taken under this Section.
24        The notice shall state that the incomplete traffic
25        education program or the unpaid fine or penalty, or
26        both, is a debt due and owing the municipality or

 

 

SB2435- 1724 -LRB102 04062 AMC 14078 b

1        county. The notice shall contain warnings that failure
2        to complete any required traffic education program or
3        to pay any fine or penalty due and owing the
4        municipality or county, or both, within the time
5        specified may result in the municipality's or county's
6        filing of a petition in the Circuit Court to have the
7        incomplete traffic education program or unpaid fine or
8        penalty, or both, rendered a judgment as provided by
9        this Section, or, where applicable, may result in
10        suspension of the person's driver's drivers license
11        for failure to complete a traffic education program or
12        to pay fines or penalties, or both, for 5 or more
13        automated traffic law violations under Section
14        11-208.6 or 11-208.9 or automated speed enforcement
15        system violations under Section 11-208.8.
16        (6) A notice of impending driver's drivers license
17    suspension. This notice shall be sent to the person liable
18    for failure to complete a required traffic education
19    program or to pay any fine or penalty that remains due and
20    owing, or both, on 5 or more unpaid automated speed
21    enforcement system or automated traffic law violations.
22    The notice shall state that failure to complete a required
23    traffic education program or to pay the fine or penalty
24    owing, or both, within 45 days of the notice's date will
25    result in the municipality or county notifying the
26    Secretary of State that the person is eligible for

 

 

SB2435- 1725 -LRB102 04062 AMC 14078 b

1    initiation of suspension proceedings under Section 6-306.5
2    of this Code. The notice shall also state that the person
3    may obtain a photostatic copy of an original ticket
4    imposing a fine or penalty by sending a self-addressed
5    self addressed, stamped envelope to the municipality or
6    county along with a request for the photostatic copy. The
7    notice of impending driver's drivers license suspension
8    shall be sent by first class United States mail, postage
9    prepaid, to the address recorded with the Secretary of
10    State or, if any notice to that address is returned as
11    undeliverable, to the last known address recorded in a
12    United States Post Office approved database.
13        (7) Final determinations of violation liability. A
14    final determination of violation liability shall occur
15    following failure to complete the required traffic
16    education program or to pay the fine or penalty, or both,
17    after a hearing officer's determination of violation
18    liability and the exhaustion of or failure to exhaust any
19    administrative review procedures provided by ordinance.
20    Where a person fails to appear at a hearing to contest the
21    alleged violation in the time and manner specified in a
22    prior mailed notice, the hearing officer's determination
23    of violation liability shall become final: (A) upon denial
24    of a timely petition to set aside that determination, or
25    (B) upon expiration of the period for filing the petition
26    without a filing having been made.

 

 

SB2435- 1726 -LRB102 04062 AMC 14078 b

1        (8) A petition to set aside a determination of
2    parking, standing, compliance, automated speed enforcement
3    system, or automated traffic law violation liability that
4    may be filed by a person owing an unpaid fine or penalty. A
5    petition to set aside a determination of liability may
6    also be filed by a person required to complete a traffic
7    education program. The petition shall be filed with and
8    ruled upon by the traffic compliance administrator in the
9    manner and within the time specified by ordinance. The
10    grounds for the petition may be limited to: (A) the person
11    not having been the owner or lessee of the cited vehicle on
12    the date the violation notice was issued, (B) the person
13    having already completed the required traffic education
14    program or paid the fine or penalty, or both, for the
15    violation in question, and (C) excusable failure to appear
16    at or request a new date for a hearing. With regard to
17    municipalities or counties with a population of 1 million
18    or more, it shall be grounds for dismissal of a parking
19    violation if the state registration number or vehicle
20    make, only if specified in the violation notice, is
21    incorrect. After the determination of parking, standing,
22    compliance, automated speed enforcement system, or
23    automated traffic law violation liability has been set
24    aside upon a showing of just cause, the registered owner
25    shall be provided with a hearing on the merits for that
26    violation.

 

 

SB2435- 1727 -LRB102 04062 AMC 14078 b

1        (9) Procedures for non-residents. Procedures by which
2    persons who are not residents of the municipality or
3    county may contest the merits of the alleged violation
4    without attending a hearing.
5        (10) A schedule of civil fines for violations of
6    vehicular standing, parking, compliance, automated speed
7    enforcement system, or automated traffic law regulations
8    enacted by ordinance pursuant to this Section, and a
9    schedule of penalties for late payment of the fines or
10    failure to complete required traffic education programs,
11    provided, however, that the total amount of the fine and
12    penalty for any one violation shall not exceed $250,
13    except as provided in subsection (c) of Section 11-1301.3
14    of this Code.
15        (11) Other provisions as are necessary and proper to
16    carry into effect the powers granted and purposes stated
17    in this Section.
18    (c) Any municipality or county establishing vehicular
19standing, parking, compliance, automated speed enforcement
20system, or automated traffic law regulations under this
21Section may also provide by ordinance for a program of vehicle
22immobilization for the purpose of facilitating enforcement of
23those regulations. The program of vehicle immobilization shall
24provide for immobilizing any eligible vehicle upon the public
25way by presence of a restraint in a manner to prevent operation
26of the vehicle. Any ordinance establishing a program of

 

 

SB2435- 1728 -LRB102 04062 AMC 14078 b

1vehicle immobilization under this Section shall provide:
2        (1) Criteria for the designation of vehicles eligible
3    for immobilization. A vehicle shall be eligible for
4    immobilization when the registered owner of the vehicle
5    has accumulated the number of incomplete traffic education
6    programs or unpaid final determinations of parking,
7    standing, compliance, automated speed enforcement system,
8    or automated traffic law violation liability, or both, as
9    determined by ordinance.
10        (2) A notice of impending vehicle immobilization and a
11    right to a hearing to challenge the validity of the notice
12    by disproving liability for the incomplete traffic
13    education programs or unpaid final determinations of
14    parking, standing, compliance, automated speed enforcement
15    system, or automated traffic law violation liability, or
16    both, listed on the notice.
17        (3) The right to a prompt hearing after a vehicle has
18    been immobilized or subsequently towed without the
19    completion of the required traffic education program or
20    payment of the outstanding fines and penalties on parking,
21    standing, compliance, automated speed enforcement system,
22    or automated traffic law violations, or both, for which
23    final determinations have been issued. An order issued
24    after the hearing is a final administrative decision
25    within the meaning of Section 3-101 of the Code of Civil
26    Procedure.

 

 

SB2435- 1729 -LRB102 04062 AMC 14078 b

1        (4) A post immobilization and post-towing notice
2    advising the registered owner of the vehicle of the right
3    to a hearing to challenge the validity of the impoundment.
4    (d) Judicial review of final determinations of parking,
5standing, compliance, automated speed enforcement system, or
6automated traffic law violations and final administrative
7decisions issued after hearings regarding vehicle
8immobilization and impoundment made under this Section shall
9be subject to the provisions of the Administrative Review Law.
10    (e) Any fine, penalty, incomplete traffic education
11program, or part of any fine or any penalty remaining unpaid
12after the exhaustion of, or the failure to exhaust,
13administrative remedies created under this Section and the
14conclusion of any judicial review procedures shall be a debt
15due and owing the municipality or county and, as such, may be
16collected in accordance with applicable law. Completion of any
17required traffic education program and payment in full of any
18fine or penalty resulting from a standing, parking,
19compliance, automated speed enforcement system, or automated
20traffic law violation shall constitute a final disposition of
21that violation.
22    (f) After the expiration of the period within which
23judicial review may be sought for a final determination of
24parking, standing, compliance, automated speed enforcement
25system, or automated traffic law violation, the municipality
26or county may commence a proceeding in the Circuit Court for

 

 

SB2435- 1730 -LRB102 04062 AMC 14078 b

1purposes of obtaining a judgment on the final determination of
2violation. Nothing in this Section shall prevent a
3municipality or county from consolidating multiple final
4determinations of parking, standing, compliance, automated
5speed enforcement system, or automated traffic law violations
6against a person in a proceeding. Upon commencement of the
7action, the municipality or county shall file a certified copy
8or record of the final determination of parking, standing,
9compliance, automated speed enforcement system, or automated
10traffic law violation, which shall be accompanied by a
11certification that recites facts sufficient to show that the
12final determination of violation was issued in accordance with
13this Section and the applicable municipal or county ordinance.
14Service of the summons and a copy of the petition may be by any
15method provided by Section 2-203 of the Code of Civil
16Procedure or by certified mail, return receipt requested,
17provided that the total amount of fines and penalties for
18final determinations of parking, standing, compliance,
19automated speed enforcement system, or automated traffic law
20violations does not exceed $2500. If the court is satisfied
21that the final determination of parking, standing, compliance,
22automated speed enforcement system, or automated traffic law
23violation was entered in accordance with the requirements of
24this Section and the applicable municipal or county ordinance,
25and that the registered owner or the lessee, as the case may
26be, had an opportunity for an administrative hearing and for

 

 

SB2435- 1731 -LRB102 04062 AMC 14078 b

1judicial review as provided in this Section, the court shall
2render judgment in favor of the municipality or county and
3against the registered owner or the lessee for the amount
4indicated in the final determination of parking, standing,
5compliance, automated speed enforcement system, or automated
6traffic law violation, plus costs. The judgment shall have the
7same effect and may be enforced in the same manner as other
8judgments for the recovery of money.
9    (g) The fee for participating in a traffic education
10program under this Section shall not exceed $25.
11    A low-income individual required to complete a traffic
12education program under this Section who provides proof of
13eligibility for the federal earned income tax credit under
14Section 32 of the Internal Revenue Code or the Illinois earned
15income tax credit under Section 212 of the Illinois Income Tax
16Act shall not be required to pay any fee for participating in a
17required traffic education program.
18(Source: P.A. 101-32, eff. 6-28-19; 101-623, eff. 7-1-20;
19revised 12-21-20.)
 
20    (625 ILCS 5/11-501.9)
21    Sec. 11-501.9. Suspension of driver's license; failure or
22refusal of validated roadside chemical tests; failure or
23refusal of field sobriety tests; implied consent.
24    (a) A person who drives or is in actual physical control of
25a motor vehicle upon the public highways of this State shall be

 

 

SB2435- 1732 -LRB102 04062 AMC 14078 b

1deemed to have given consent to (i) validated roadside
2chemical tests or (ii) standardized field sobriety tests
3approved by the National Highway Traffic Safety
4Administration, under subsection (a-5) of Section 11-501.2 of
5this Code, if detained by a law enforcement officer who has a
6reasonable suspicion that the person is driving or is in
7actual physical control of a motor vehicle while impaired by
8the use of cannabis. The law enforcement officer must have an
9independent, cannabis-related factual basis giving reasonable
10suspicion that the person is driving or in actual physical
11control of a motor vehicle while impaired by the use of
12cannabis for conducting validated roadside chemical tests or
13standardized field sobriety tests, which shall be included
14with the results of the validated roadside chemical tests and
15field sobriety tests in any report made by the law enforcement
16officer who requests the test. The person's possession of a
17registry identification card issued under the Compassionate
18Use of Medical Cannabis Program Act alone is not a sufficient
19basis for reasonable suspicion.
20    For purposes of this Section, a law enforcement officer of
21this State who is investigating a person for an offense under
22Section 11-501 of this Code may travel into an adjoining state
23where the person has been transported for medical care to
24complete an investigation and to request that the person
25submit to field sobriety tests under this Section.
26    (b) A person who is unconscious, or otherwise in a

 

 

SB2435- 1733 -LRB102 04062 AMC 14078 b

1condition rendering the person incapable of refusal, shall be
2deemed to have withdrawn the consent provided by subsection
3(a) of this Section.
4    (c) A person requested to submit to validated roadside
5chemical tests or field sobriety tests, as provided in this
6Section, shall be warned by the law enforcement officer
7requesting the field sobriety tests that a refusal to submit
8to the validated roadside chemical tests or field sobriety
9tests will result in the suspension of the person's privilege
10to operate a motor vehicle, as provided in subsection (f) of
11this Section. The person shall also be warned by the law
12enforcement officer that if the person submits to validated
13roadside chemical tests or field sobriety tests as provided in
14this Section which disclose the person is impaired by the use
15of cannabis, a suspension of the person's privilege to operate
16a motor vehicle, as provided in subsection (f) of this
17Section, will be imposed.
18    (d) The results of validated roadside chemical tests or
19field sobriety tests administered under this Section shall be
20admissible in a civil or criminal action or proceeding arising
21from an arrest for an offense as defined in Section 11-501 of
22this Code or a similar provision of a local ordinance. These
23test results shall be admissible only in actions or
24proceedings directly related to the incident upon which the
25test request was made.
26    (e) If the person refuses validated roadside chemical

 

 

SB2435- 1734 -LRB102 04062 AMC 14078 b

1tests or field sobriety tests or submits to validated roadside
2chemical tests or field sobriety tests that disclose the
3person is impaired by the use of cannabis, the law enforcement
4officer shall immediately submit a sworn report to the circuit
5court of venue and the Secretary of State certifying that
6testing was requested under this Section and that the person
7refused to submit to validated roadside chemical tests or
8field sobriety tests or submitted to validated roadside
9chemical tests or field sobriety tests that disclosed the
10person was impaired by the use of cannabis. The sworn report
11must include the law enforcement officer's factual basis for
12reasonable suspicion that the person was impaired by the use
13of cannabis.
14    (f) Upon receipt of the sworn report of a law enforcement
15officer submitted under subsection (e) of this Section, the
16Secretary of State shall enter the suspension to the driving
17record as follows:
18        (1) for refusal or failure to complete validated
19    roadside chemical tests or field sobriety tests, a
20    12-month 12 month suspension shall be entered; or
21        (2) for submitting to validated roadside chemical
22    tests or field sobriety tests that disclosed the driver
23    was impaired by the use of cannabis, a 6-month 6 month
24    suspension shall be entered.
25    The Secretary of State shall confirm the suspension by
26mailing a notice of the effective date of the suspension to the

 

 

SB2435- 1735 -LRB102 04062 AMC 14078 b

1person and the court of venue. However, should the sworn
2report be defective for insufficient information or be
3completed in error, the confirmation of the suspension shall
4not be mailed to the person or entered to the record; instead,
5the sworn report shall be forwarded to the court of venue with
6a copy returned to the issuing agency identifying the defect.
7    (g) The law enforcement officer submitting the sworn
8report under subsection (e) of this Section shall serve
9immediate notice of the suspension on the person and the
10suspension shall be effective as provided in subsection (h) of
11this Section. If immediate notice of the suspension cannot be
12given, the arresting officer or arresting agency shall give
13notice by deposit in the United States mail of the notice in an
14envelope with postage prepaid and addressed to the person at
15his or her address as shown on the Uniform Traffic Ticket and
16the suspension shall begin as provided in subsection (h) of
17this Section. The officer shall confiscate any Illinois
18driver's license or permit on the person at the time of arrest.
19If the person has a valid driver's license or permit, the
20officer shall issue the person a receipt, in a form prescribed
21by the Secretary of State, that will allow the person to drive
22during the period provided for in subsection (h) of this
23Section. The officer shall immediately forward the driver's
24license or permit to the circuit court of venue along with the
25sworn report under subsection (e) of this Section.
26    (h) The suspension under subsection (f) of this Section

 

 

SB2435- 1736 -LRB102 04062 AMC 14078 b

1shall take effect on the 46th day following the date the notice
2of the suspension was given to the person.
3    (i) When a driving privilege has been suspended under this
4Section and the person is subsequently convicted of violating
5Section 11-501 of this Code, or a similar provision of a local
6ordinance, for the same incident, any period served on
7suspension under this Section shall be credited toward the
8minimum period of revocation of driving privileges imposed
9under Section 6-205 of this Code.
10(Source: P.A. 101-27, eff. 6-25-19; 101-363, eff. 8-9-19;
11revised 9-20-19.)
 
12    (625 ILCS 5/11-502.1)
13    Sec. 11-502.1. Possession of medical cannabis in a motor
14vehicle.
15    (a) No driver, who is a medical cannabis cardholder, may
16use medical cannabis within the passenger area of any motor
17vehicle upon a highway in this State.
18    (b) No driver, who is a medical cannabis cardholder, a
19medical cannabis designated caregiver, medical cannabis
20cultivation center agent, or dispensing organization agent may
21possess medical cannabis within any area of any motor vehicle
22upon a highway in this State except in a sealed, odor-proof,
23and child-resistant medical cannabis container.
24    (c) No passenger, who is a medical cannabis card holder, a
25medical cannabis designated caregiver, or medical cannabis

 

 

SB2435- 1737 -LRB102 04062 AMC 14078 b

1dispensing organization agent may possess medical cannabis
2within any passenger area of any motor vehicle upon a highway
3in this State except in a sealed, odor-proof, and
4child-resistant medical cannabis container.
5    (d) Any person who violates subsections (a) through (c) of
6this Section:
7        (1) commits a Class A misdemeanor;
8        (2) shall be subject to revocation of his or her
9    medical cannabis card for a period of 2 years from the end
10    of the sentence imposed;
11        (3) (4) shall be subject to revocation of his or her
12    status as a medical cannabis caregiver, medical cannabis
13    cultivation center agent, or medical cannabis dispensing
14    organization agent for a period of 2 years from the end of
15    the sentence imposed.
16(Source: P.A. 101-27, eff. 6-25-19; revised 8-6-19.)
 
17    (625 ILCS 5/11-704)  (from Ch. 95 1/2, par. 11-704)
18    Sec. 11-704. When overtaking on the right is permitted.
19    (a) The driver of a vehicle with 3 or more wheels may
20overtake and pass upon the right of another vehicle only under
21the following conditions:
22        1. When the vehicle overtaken is making or about to
23    make a left turn. ;
24        2. Upon a roadway with unobstructed pavement of
25    sufficient width for 2 two or more lines of vehicles

 

 

SB2435- 1738 -LRB102 04062 AMC 14078 b

1    moving lawfully in the direction being traveled by the
2    overtaking vehicle.
3        3. Upon a one-way street, or upon any roadway on which
4    traffic is restricted to one direction of movement, where
5    the roadway is free from obstructions and of sufficient
6    width for 2 or more lines of moving vehicles.
7    (b) The driver of a 2-wheeled 2 wheeled vehicle may not
8pass upon the right of any other vehicle proceeding in the same
9direction unless the unobstructed pavement to the right of the
10vehicle being passed is of a width of not less than 8 feet.
11This subsection does not apply to devices propelled by human
12power.
13    (c) The driver of a vehicle may overtake and pass another
14vehicle upon the right only under conditions permitting such
15movement in safety. Such movement shall not be made by driving
16off the roadway.
17(Source: P.A. 98-485, eff. 1-1-14; revised 8-18-20.)
 
18    (625 ILCS 5/11-1006)  (from Ch. 95 1/2, par. 11-1006)
19    Sec. 11-1006. Pedestrians soliciting rides or business.
20    (a) No person shall stand in a roadway for the purpose of
21soliciting a ride from the driver of any vehicle.
22    (b) No person shall stand on a highway for the purpose of
23soliciting employment or business from the occupant of any
24vehicle.
25    (c) No person shall stand on a highway for the purpose of

 

 

SB2435- 1739 -LRB102 04062 AMC 14078 b

1soliciting contributions from the occupant of any vehicle
2except within a municipality when expressly permitted by
3municipal ordinance. The local municipality, city, village, or
4other local governmental entity in which the solicitation
5takes place shall determine by ordinance where and when
6solicitations may take place based on the safety of the
7solicitors and the safety of motorists. The decision shall
8also take into account the orderly flow of traffic and may not
9allow interference with the operation of official traffic
10control devices. The soliciting agency shall be:
11        1. registered with the Attorney General as a
12    charitable organization as provided by the Solicitation
13    for Charity Act "An Act to regulate solicitation and
14    collection of funds for charitable purposes, providing for
15    violations thereof, and making an appropriation therefor",
16    approved July 26, 1963, as amended;
17        2. engaged in a Statewide fundraising fund raising
18    activity; and
19        3. liable for any injuries to any person or property
20    during the solicitation which is causally related to an
21    act of ordinary negligence of the soliciting agent.
22    Any person engaged in the act of solicitation shall be 16
23years of age or more and shall be wearing a high-visibility
24high visibility vest.
25    (d) No person shall stand on or in the proximity of a
26highway for the purpose of soliciting the watching or guarding

 

 

SB2435- 1740 -LRB102 04062 AMC 14078 b

1of any vehicle while parked or about to be parked on a highway.
2    (e) Every person who is convicted of a violation of this
3Section shall be guilty of a Class A misdemeanor.
4(Source: P.A. 88-589, eff. 8-14-94; revised 8-18-20.)
 
5    (625 ILCS 5/11-1412.3)
6    Sec. 11-1412.3. Ownership and operation of a mobile
7carrying device.
8    (a) A mobile carrying device may be operated on a sidewalk
9or crosswalk so long as all of the following requirements are
10met:
11        (1) the mobile carrying device is operated in
12    accordance with the local ordinances, if any, established
13    by the local authority governing where the mobile carrying
14    device is operated;
15        (2) a personal property owner is actively monitoring
16    the operation and navigation of the mobile carrying
17    device; and
18        (3) the mobile carrying device is equipped with a
19    braking system that enables the mobile carrying device to
20    perform a controlled stop.
21    (b) A mobile carrying device operator may not do any of the
22following:
23        (1) fail to comply with traffic or pedestrian control
24    devices and signals;
25        (2) unreasonably interfere with pedestrians or

 

 

SB2435- 1741 -LRB102 04062 AMC 14078 b

1    traffic;
2        (3) transport a person; or
3        (4) operate on a street or highway, except when
4    crossing the street or highway within a crosswalk.
5    (c) A mobile carrying device operator has the rights and
6obligations applicable to a pedestrian under the same
7circumstances, and shall ensure that a mobile carrying device
8shall yield the right-of-way to a pedestrian on a sidewalk or
9within a crosswalk.
10    (d) A personal property owner may not utilize a mobile
11carrying device to transport hazardous materials.
12    (e) A personal property owner may not utilize a mobile
13carrying device unless the person complies with this Section.
14    (f) A mobile carrying device operator that who is not a
15natural person shall register with the Secretary of State.
16    (g) No contract seeking to exempt a mobile carrying device
17operator from liability for injury, loss, or death caused by a
18mobile carrying device shall be valid, and contractual
19provisions limiting the choice of venue or forum, shortening
20the statute of limitations, shifting the risk to the user,
21limiting the availability of class actions, or obtaining
22judicial remedies shall be invalid and unenforceable.
23    (h) A violation of this Section is a petty offense.
24(Source: P.A. 101-123, eff. 7-26-19; revised 9-24-19.)
 
25    (625 ILCS 5/12-610.2)

 

 

SB2435- 1742 -LRB102 04062 AMC 14078 b

1    Sec. 12-610.2. Electronic communication devices.
2    (a) As used in this Section:
3    "Electronic communication device" means an electronic
4device, including, but not limited to, a hand-held wireless
5telephone, hand-held personal digital assistant, or a portable
6or mobile computer, but does not include a global positioning
7system or navigation system or a device that is physically or
8electronically integrated into the motor vehicle.
9    (b) A person may not operate a motor vehicle on a roadway
10while using an electronic communication device, including
11using an electronic communication device to watch or stream
12video.
13    (b-5) A person commits aggravated use of an electronic
14communication device when he or she violates subsection (b)
15and in committing the violation he or she is involved in a
16motor vehicle accident that results in great bodily harm,
17permanent disability, disfigurement, or death to another and
18the violation is a proximate cause of the injury or death.
19    (c) A violation of this Section is an offense against
20traffic regulations governing the movement of vehicles. A
21person who violates this Section shall be fined a maximum of
22$75 for a first offense, $100 for a second offense, $125 for a
23third offense, and $150 for a fourth or subsequent offense,
24except that a person who violates subsection (b-5) shall be
25assessed a minimum fine of $1,000.
26    (d) This Section does not apply to:

 

 

SB2435- 1743 -LRB102 04062 AMC 14078 b

1        (1) a law enforcement officer or operator of an
2    emergency vehicle while performing his or her official
3    duties;
4        (1.5) a first responder, including a volunteer first
5    responder, while operating his or her own personal motor
6    vehicle using an electronic communication device for the
7    sole purpose of receiving information about an emergency
8    situation while en route to performing his or her official
9    duties;
10        (2) a driver using an electronic communication device
11    for the sole purpose of reporting an emergency situation
12    and continued communication with emergency personnel
13    during the emergency situation;
14        (3) a driver using an electronic communication device
15    in hands-free or voice-operated mode, which may include
16    the use of a headset;
17        (4) a driver of a commercial motor vehicle reading a
18    message displayed on a permanently installed communication
19    device designed for a commercial motor vehicle with a
20    screen that does not exceed 10 inches tall by 10 inches
21    wide in size;
22        (5) a driver using an electronic communication device
23    while parked on the shoulder of a roadway;
24        (6) a driver using an electronic communication device
25    when the vehicle is stopped due to normal traffic being
26    obstructed and the driver has the motor vehicle

 

 

SB2435- 1744 -LRB102 04062 AMC 14078 b

1    transmission in neutral or park;
2        (7) a driver using two-way or citizens band radio
3    services;
4        (8) a driver using two-way mobile radio transmitters
5    or receivers for licensees of the Federal Communications
6    Commission in the amateur radio service;
7        (9) a driver using an electronic communication device
8    by pressing a single button to initiate or terminate a
9    voice communication; or
10        (10) a driver using an electronic communication device
11    capable of performing multiple functions, other than a
12    hand-held wireless telephone or hand-held personal digital
13    assistant (for example, a fleet management system,
14    dispatching device, citizens band radio, or music player)
15    for a purpose that is not otherwise prohibited by this
16    Section.
17    (e) A person convicted of violating subsection (b-5)
18commits a Class A misdemeanor if the violation resulted in
19great bodily harm, permanent disability, or disfigurement to
20another. A person convicted of violating subsection (b-5)
21commits a Class 4 felony if the violation resulted in the death
22of another person.
23(Source: P.A. 100-727, eff. 8-3-18; 100-858, eff. 7-1-19;
24101-81, eff. 7-12-19; 101-90, eff. 7-1-20; 101-297, eff.
251-1-20; revised 8-4-20.)
 

 

 

SB2435- 1745 -LRB102 04062 AMC 14078 b

1    Section 700. The Clerks of Courts Act is amended by
2changing Section 27.1b as follows:
 
3    (705 ILCS 105/27.1b)
4    (Section scheduled to be repealed on January 1, 2022)
5    Sec. 27.1b. Circuit court clerk fees. Notwithstanding any
6other provision of law, all fees charged by the clerks of the
7circuit court for the services described in this Section shall
8be established, collected, and disbursed in accordance with
9this Section. Except as otherwise specified in this Section,
10all fees under this Section shall be paid in advance and
11disbursed by each clerk on a monthly basis. In a county with a
12population of over 3,000,000, units of local government and
13school districts shall not be required to pay fees under this
14Section in advance and the clerk shall instead send an
15itemized bill to the unit of local government or school
16district, within 30 days of the fee being incurred, and the
17unit of local government or school district shall be allowed
18at least 30 days from the date of the itemized bill to pay;
19these payments shall be disbursed by each clerk on a monthly
20basis. Unless otherwise specified in this Section, the amount
21of a fee shall be determined by ordinance or resolution of the
22county board and remitted to the county treasurer to be used
23for purposes related to the operation of the court system in
24the county. In a county with a population of over 3,000,000,
25any amount retained by the clerk of the circuit court or

 

 

SB2435- 1746 -LRB102 04062 AMC 14078 b

1remitted to the county treasurer shall be subject to
2appropriation by the county board.
3    (a) Civil cases. The fee for filing a complaint, petition,
4or other pleading initiating a civil action shall be as set
5forth in the applicable schedule under this subsection in
6accordance with case categories established by the Supreme
7Court in schedules.
8        (1) SCHEDULE 1: not to exceed a total of $366 in a
9    county with a population of 3,000,000 or more and not to
10    exceed $316 in any other county, except as applied to
11    units of local government and school districts in counties
12    with more than 3,000,000 inhabitants an amount not to
13    exceed $190 through December 31, 2021 and $184 on and
14    after January 1, 2022. The fees collected under this
15    schedule shall be disbursed as follows:
16            (A) The clerk shall retain a sum, in an amount not
17        to exceed $55 in a county with a population of
18        3,000,000 or more and in an amount not to exceed $45 in
19        any other county determined by the clerk with the
20        approval of the Supreme Court, to be used for court
21        automation, court document storage, and administrative
22        purposes.
23            (B) The clerk shall remit up to $21 to the State
24        Treasurer. The State Treasurer shall deposit the
25        appropriate amounts, in accordance with the clerk's
26        instructions, as follows:

 

 

SB2435- 1747 -LRB102 04062 AMC 14078 b

1                (i) up to $10, as specified by the Supreme
2            Court in accordance with Part 10A of Article II of
3            the Code of Civil Procedure, into the Mandatory
4            Arbitration Fund;
5                (ii) $2 into the Access to Justice Fund; and
6                (iii) $9 into the Supreme Court Special
7            Purposes Fund.
8            (C) The clerk shall remit a sum to the County
9        Treasurer, in an amount not to exceed $290 in a county
10        with a population of 3,000,000 or more and in an amount
11        not to exceed $250 in any other county, as specified by
12        ordinance or resolution passed by the county board,
13        for purposes related to the operation of the court
14        system in the county.
15        (2) SCHEDULE 2: not to exceed a total of $357 in a
16    county with a population of 3,000,000 or more and not to
17    exceed $266 in any other county, except as applied to
18    units of local government and school districts in counties
19    with more than 3,000,000 inhabitants an amount not to
20    exceed $190 through December 31, 2021 and $184 on and
21    after January 1, 2022. The fees collected under this
22    schedule shall be disbursed as follows:
23            (A) The clerk shall retain a sum, in an amount not
24        to exceed $55 in a county with a population of
25        3,000,000 or more and in an amount not to exceed $45 in
26        any other county determined by the clerk with the

 

 

SB2435- 1748 -LRB102 04062 AMC 14078 b

1        approval of the Supreme Court, to be used for court
2        automation, court document storage, and administrative
3        purposes.
4            (B) The clerk shall remit up to $21 to the State
5        Treasurer. The State Treasurer shall deposit the
6        appropriate amounts, in accordance with the clerk's
7        instructions, as follows:
8                (i) up to $10, as specified by the Supreme
9            Court in accordance with Part 10A of Article II of
10            the Code of Civil Procedure, into the Mandatory
11            Arbitration Fund;
12                (ii) $2 into the Access to Justice Fund: and
13                (iii) $9 into the Supreme Court Special
14            Purposes Fund.
15            (C) The clerk shall remit a sum to the County
16        Treasurer, in an amount not to exceed $281 in a county
17        with a population of 3,000,000 or more and in an amount
18        not to exceed $200 in any other county, as specified by
19        ordinance or resolution passed by the county board,
20        for purposes related to the operation of the court
21        system in the county.
22        (3) SCHEDULE 3: not to exceed a total of $265 in a
23    county with a population of 3,000,000 or more and not to
24    exceed $89 in any other county, except as applied to units
25    of local government and school districts in counties with
26    more than 3,000,000 inhabitants an amount not to exceed

 

 

SB2435- 1749 -LRB102 04062 AMC 14078 b

1    $190 through December 31, 2021 and $184 on and after
2    January 1, 2022. The fees collected under this schedule
3    shall be disbursed as follows:
4            (A) The clerk shall retain a sum, in an amount not
5        to exceed $55 in a county with a population of
6        3,000,000 or more and in an amount not to exceed $22 in
7        any other county determined by the clerk with the
8        approval of the Supreme Court, to be used for court
9        automation, court document storage, and administrative
10        purposes.
11            (B) The clerk shall remit $11 to the State
12        Treasurer. The State Treasurer shall deposit the
13        appropriate amounts in accordance with the clerk's
14        instructions, as follows:
15                (i) $2 into the Access to Justice Fund; and
16                (ii) $9 into the Supreme Court Special
17            Purposes Fund.
18            (C) The clerk shall remit a sum to the County
19        Treasurer, in an amount not to exceed $199 in a county
20        with a population of 3,000,000 or more and in an amount
21        not to exceed $56 in any other county, as specified by
22        ordinance or resolution passed by the county board,
23        for purposes related to the operation of the court
24        system in the county.
25        (4) SCHEDULE 4: $0.
26    (b) Appearance. The fee for filing an appearance in a

 

 

SB2435- 1750 -LRB102 04062 AMC 14078 b

1civil action, including a cannabis civil law action under the
2Cannabis Control Act, shall be as set forth in the applicable
3schedule under this subsection in accordance with case
4categories established by the Supreme Court in schedules.
5        (1) SCHEDULE 1: not to exceed a total of $230 in a
6    county with a population of 3,000,000 or more and not to
7    exceed $191 in any other county, except as applied to
8    units of local government and school districts in counties
9    with more than 3,000,000 inhabitants an amount not to
10    exceed $75. The fees collected under this schedule shall
11    be disbursed as follows:
12            (A) The clerk shall retain a sum, in an amount not
13        to exceed $50 in a county with a population of
14        3,000,000 or more and in an amount not to exceed $45 in
15        any other county determined by the clerk with the
16        approval of the Supreme Court, to be used for court
17        automation, court document storage, and administrative
18        purposes.
19            (B) The clerk shall remit up to $21 to the State
20        Treasurer. The State Treasurer shall deposit the
21        appropriate amounts, in accordance with the clerk's
22        instructions, as follows:
23                (i) up to $10, as specified by the Supreme
24            Court in accordance with Part 10A of Article II of
25            the Code of Civil Procedure, into the Mandatory
26            Arbitration Fund;

 

 

SB2435- 1751 -LRB102 04062 AMC 14078 b

1                (ii) $2 into the Access to Justice Fund; and
2                (iii) $9 into the Supreme Court Special
3            Purposes Fund.
4            (C) The clerk shall remit a sum to the County
5        Treasurer, in an amount not to exceed $159 in a county
6        with a population of 3,000,000 or more and in an amount
7        not to exceed $125 in any other county, as specified by
8        ordinance or resolution passed by the county board,
9        for purposes related to the operation of the court
10        system in the county.
11        (2) SCHEDULE 2: not to exceed a total of $130 in a
12    county with a population of 3,000,000 or more and not to
13    exceed $109 in any other county, except as applied to
14    units of local government and school districts in counties
15    with more than 3,000,000 inhabitants an amount not to
16    exceed $75. The fees collected under this schedule shall
17    be disbursed as follows:
18            (A) The clerk shall retain a sum, in an amount not
19        to exceed $50 in a county with a population of
20        3,000,000 or more and in an amount not to exceed $10 in
21        any other county determined by the clerk with the
22        approval of the Supreme Court, to be used for court
23        automation, court document storage, and administrative
24        purposes.
25            (B) The clerk shall remit $9 to the State
26        Treasurer, which the State Treasurer shall deposit

 

 

SB2435- 1752 -LRB102 04062 AMC 14078 b

1        into the Supreme Court Special Purpose Fund.
2            (C) The clerk shall remit a sum to the County
3        Treasurer, in an amount not to exceed $71 in a county
4        with a population of 3,000,000 or more and in an amount
5        not to exceed $90 in any other county, as specified by
6        ordinance or resolution passed by the county board,
7        for purposes related to the operation of the court
8        system in the county.
9        (3) SCHEDULE 3: $0.
10    (b-5) Kane County and Will County. In Kane County and Will
11County civil cases, there is an additional fee of up to $30 as
12set by the county board under Section 5-1101.3 of the Counties
13Code to be paid by each party at the time of filing the first
14pleading, paper, or other appearance; provided that no
15additional fee shall be required if more than one party is
16represented in a single pleading, paper, or other appearance.
17Distribution of fees collected under this subsection (b-5)
18shall be as provided in Section 5-1101.3 of the Counties Code.
19    (c) Counterclaim or third party complaint. When any
20defendant files a counterclaim or third party complaint, as
21part of the defendant's answer or otherwise, the defendant
22shall pay a filing fee for each counterclaim or third party
23complaint in an amount equal to the filing fee the defendant
24would have had to pay had the defendant brought a separate
25action for the relief sought in the counterclaim or third
26party complaint, less the amount of the appearance fee, if

 

 

SB2435- 1753 -LRB102 04062 AMC 14078 b

1any, that the defendant has already paid in the action in which
2the counterclaim or third party complaint is filed.
3    (d) Alias summons. The clerk shall collect a fee not to
4exceed $6 in a county with a population of 3,000,000 or more
5and not to exceed $5 in any other county for each alias summons
6or citation issued by the clerk, except as applied to units of
7local government and school districts in counties with more
8than 3,000,000 inhabitants an amount not to exceed $5 for each
9alias summons or citation issued by the clerk.
10    (e) Jury services. The clerk shall collect, in addition to
11other fees allowed by law, a sum not to exceed $212.50, as a
12fee for the services of a jury in every civil action not
13quasi-criminal in its nature and not a proceeding for the
14exercise of the right of eminent domain and in every other
15action wherein the right of trial by jury is or may be given by
16law. The jury fee shall be paid by the party demanding a jury
17at the time of filing the jury demand. If the fee is not paid
18by either party, no jury shall be called in the action or
19proceeding, and the action or proceeding shall be tried by the
20court without a jury.
21    (f) Change of venue. In connection with a change of venue:
22        (1) The clerk of the jurisdiction from which the case
23    is transferred may charge a fee, not to exceed $40, for the
24    preparation and certification of the record; and
25        (2) The clerk of the jurisdiction to which the case is
26    transferred may charge the same filing fee as if it were

 

 

SB2435- 1754 -LRB102 04062 AMC 14078 b

1    the commencement of a new suit.
2    (g) Petition to vacate or modify.
3        (1) In a proceeding involving a petition to vacate or
4    modify any final judgment or order filed within 30 days
5    after the judgment or order was entered, except for an
6    eviction case, small claims case, petition to reopen an
7    estate, petition to modify, terminate, or enforce a
8    judgment or order for child or spousal support, or
9    petition to modify, suspend, or terminate an order for
10    withholding, the fee shall not exceed $60 in a county with
11    a population of 3,000,000 or more and shall not exceed $50
12    in any other county, except as applied to units of local
13    government and school districts in counties with more than
14    3,000,000 inhabitants an amount not to exceed $50.
15        (2) In a proceeding involving a petition to vacate or
16    modify any final judgment or order filed more than 30 days
17    after the judgment or order was entered, except for a
18    petition to modify, terminate, or enforce a judgment or
19    order for child or spousal support, or petition to modify,
20    suspend, or terminate an order for withholding, the fee
21    shall not exceed $75.
22        (3) In a proceeding involving a motion to vacate or
23    amend a final order, motion to vacate an ex parte
24    judgment, judgment of forfeiture, or "failure to appear"
25    or "failure to comply" notices sent to the Secretary of
26    State, the fee shall equal $40.

 

 

SB2435- 1755 -LRB102 04062 AMC 14078 b

1    (h) Appeals preparation. The fee for preparation of a
2record on appeal shall be based on the number of pages, as
3follows:
4        (1) if the record contains no more than 100 pages, the
5    fee shall not exceed $70 in a county with a population of
6    3,000,000 or more and shall not exceed $50 in any other
7    county;
8        (2) if the record contains between 100 and 200 pages,
9    the fee shall not exceed $100; and
10        (3) if the record contains 200 or more pages, the
11    clerk may collect an additional fee not to exceed 25 cents
12    per page.
13    (i) Remands. In any cases remanded to the circuit court
14from the Supreme Court or the appellate court for a new trial,
15the clerk shall reinstate the case with either its original
16number or a new number. The clerk shall not charge any new or
17additional fee for the reinstatement. Upon reinstatement, the
18clerk shall advise the parties of the reinstatement. Parties
19shall have the same right to a jury trial on remand and
20reinstatement that they had before the appeal, and no
21additional or new fee or charge shall be made for a jury trial
22after remand.
23    (j) Garnishment, wage deduction, and citation. In
24garnishment affidavit, wage deduction affidavit, and citation
25petition proceedings:
26        (1) if the amount in controversy in the proceeding is

 

 

SB2435- 1756 -LRB102 04062 AMC 14078 b

1    not more than $1,000, the fee may not exceed $35 in a
2    county with a population of 3,000,000 or more and may not
3    exceed $15 in any other county, except as applied to units
4    of local government and school districts in counties with
5    more than 3,000,000 inhabitants an amount not to exceed
6    $15;
7        (2) if the amount in controversy in the proceeding is
8    greater than $1,000 and not more than $5,000, the fee may
9    not exceed $45 in a county with a population of 3,000,000
10    or more and may not exceed $30 in any other county, except
11    as applied to units of local government and school
12    districts in counties with more than 3,000,000 inhabitants
13    an amount not to exceed $30; and
14        (3) if the amount in controversy in the proceeding is
15    greater than $5,000, the fee may not exceed $65 in a county
16    with a population of 3,000,000 or more and may not exceed
17    $50 in any other county, except as applied to units of
18    local government and school districts in counties with
19    more than 3,000,000 inhabitants an amount not to exceed
20    $50.
21    (j-5) Debt collection. In any proceeding to collect a debt
22subject to the exception in item (ii) of subparagraph (A-5) of
23paragraph (1) of subsection (z) of this Section, the circuit
24court shall order and the clerk shall collect from each
25judgment debtor a fee of:
26        (1) $35 if the amount in controversy in the proceeding

 

 

SB2435- 1757 -LRB102 04062 AMC 14078 b

1    is not more than $1,000;
2        (2) $45 if the amount in controversy in the proceeding
3    is greater than $1,000 and not more than $5,000; and
4        (3) $65 if the amount in controversy in the proceeding
5    is greater than $5,000.
6    (k) Collections.
7        (1) For all collections made of others, except the
8    State and county and except in maintenance or child
9    support cases, the clerk may collect a fee of up to 2.5% of
10    the amount collected and turned over.
11        (2) In child support and maintenance cases, the clerk
12    may collect an annual fee of up to $36 from the person
13    making payment for maintaining child support records and
14    the processing of support orders to the State of Illinois
15    KIDS system and the recording of payments issued by the
16    State Disbursement Unit for the official record of the
17    Court. This fee is in addition to and separate from
18    amounts ordered to be paid as maintenance or child support
19    and shall be deposited into a Separate Maintenance and
20    Child Support Collection Fund, of which the clerk shall be
21    the custodian, ex officio, to be used by the clerk to
22    maintain child support orders and record all payments
23    issued by the State Disbursement Unit for the official
24    record of the Court. The clerk may recover from the person
25    making the maintenance or child support payment any
26    additional cost incurred in the collection of this annual

 

 

SB2435- 1758 -LRB102 04062 AMC 14078 b

1    fee.
2        (3) The clerk may collect a fee of $5 for
3    certifications made to the Secretary of State as provided
4    in Section 7-703 of the Illinois Vehicle Code, and this
5    fee shall be deposited into the Separate Maintenance and
6    Child Support Collection Fund.
7        (4) In proceedings to foreclose the lien of delinquent
8    real estate taxes, State's Attorneys shall receive a fee
9    of 10% of the total amount realized from the sale of real
10    estate sold in the proceedings. The clerk shall collect
11    the fee from the total amount realized from the sale of the
12    real estate sold in the proceedings and remit to the
13    County Treasurer to be credited to the earnings of the
14    Office of the State's Attorney.
15    (l) Mailing. The fee for the clerk mailing documents shall
16not exceed $10 plus the cost of postage.
17    (m) Certified copies. The fee for each certified copy of a
18judgment, after the first copy, shall not exceed $10.
19    (n) Certification, authentication, and reproduction.
20        (1) The fee for each certification or authentication
21    for taking the acknowledgment of a deed or other
22    instrument in writing with the seal of office shall not
23    exceed $6.
24        (2) The fee for reproduction of any document contained
25    in the clerk's files shall not exceed:
26            (A) $2 for the first page;

 

 

SB2435- 1759 -LRB102 04062 AMC 14078 b

1            (B) 50 cents per page for the next 19 pages; and
2            (C) 25 cents per page for all additional pages.
3    (o) Record search. For each record search, within a
4division or municipal district, the clerk may collect a search
5fee not to exceed $6 for each year searched.
6    (p) Hard copy. For each page of hard copy print output,
7when case records are maintained on an automated medium, the
8clerk may collect a fee not to exceed $10 in a county with a
9population of 3,000,000 or more and not to exceed $6 in any
10other county, except as applied to units of local government
11and school districts in counties with more than 3,000,000
12inhabitants an amount not to exceed $6.
13    (q) Index inquiry and other records. No fee shall be
14charged for a single plaintiff and defendant index inquiry or
15single case record inquiry when this request is made in person
16and the records are maintained in a current automated medium,
17and when no hard copy print output is requested. The fees to be
18charged for management records, multiple case records, and
19multiple journal records may be specified by the Chief Judge
20pursuant to the guidelines for access and dissemination of
21information approved by the Supreme Court.
22    (r) Performing a marriage. There shall be a $10 fee for
23performing a marriage in court.
24    (s) Voluntary assignment. For filing each deed of
25voluntary assignment, the clerk shall collect a fee not to
26exceed $20. For recording a deed of voluntary assignment, the

 

 

SB2435- 1760 -LRB102 04062 AMC 14078 b

1clerk shall collect a fee not to exceed 50 cents for each 100
2words. Exceptions filed to claims presented to an assignee of
3a debtor who has made a voluntary assignment for the benefit of
4creditors shall be considered and treated, for the purpose of
5taxing costs therein, as actions in which the party or parties
6filing the exceptions shall be considered as party or parties
7plaintiff, and the claimant or claimants as party or parties
8defendant, and those parties respectively shall pay to the
9clerk the same fees as provided by this Section to be paid in
10other actions.
11    (t) Expungement petition. The clerk may collect a fee not
12to exceed $60 for each expungement petition filed and an
13additional fee not to exceed $4 for each certified copy of an
14order to expunge arrest records.
15    (u) Transcripts of judgment. For the filing of a
16transcript of judgment, the clerk may collect the same fee as
17if it were the commencement of a new suit.
18    (v) Probate filings.
19        (1) For each account (other than one final account)
20    filed in the estate of a decedent, or ward, the fee shall
21    not exceed $25.
22        (2) For filing a claim in an estate when the amount
23    claimed is greater than $150 and not more than $500, the
24    fee shall not exceed $40 in a county with a population of
25    3,000,000 or more and shall not exceed $25 in any other
26    county; when the amount claimed is greater than $500 and

 

 

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1    not more than $10,000, the fee shall not exceed $55 in a
2    county with a population of 3,000,000 or more and shall
3    not exceed $40 in any other county; and when the amount
4    claimed is more than $10,000, the fee shall not exceed $75
5    in a county with a population of 3,000,000 or more and
6    shall not exceed $60 in any other county; except the court
7    in allowing a claim may add to the amount allowed the
8    filing fee paid by the claimant.
9        (3) For filing in an estate a claim, petition, or
10    supplemental proceeding based upon an action seeking
11    equitable relief including the construction or contest of
12    a will, enforcement of a contract to make a will, and
13    proceedings involving testamentary trusts or the
14    appointment of testamentary trustees, the fee shall not
15    exceed $60.
16        (4) There shall be no fee for filing in an estate: (i)
17    the appearance of any person for the purpose of consent;
18    or (ii) the appearance of an executor, administrator,
19    administrator to collect, guardian, guardian ad litem, or
20    special administrator.
21        (5) For each jury demand, the fee shall not exceed
22    $137.50.
23        (6) For each certified copy of letters of office, of
24    court order, or other certification, the fee shall not
25    exceed $2 per page.
26        (7) For each exemplification, the fee shall not exceed

 

 

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1    $2, plus the fee for certification.
2        (8) The executor, administrator, guardian, petitioner,
3    or other interested person or his or her attorney shall
4    pay the cost of publication by the clerk directly to the
5    newspaper.
6        (9) The person on whose behalf a charge is incurred
7    for witness, court reporter, appraiser, or other
8    miscellaneous fees shall pay the same directly to the
9    person entitled thereto.
10        (10) The executor, administrator, guardian,
11    petitioner, or other interested person or his or her
12    attorney shall pay to the clerk all postage charges
13    incurred by the clerk in mailing petitions, orders,
14    notices, or other documents pursuant to the provisions of
15    the Probate Act of 1975.
16    (w) Corrections of numbers. For correction of the case
17number, case title, or attorney computer identification
18number, if required by rule of court, on any document filed in
19the clerk's office, to be charged against the party that filed
20the document, the fee shall not exceed $25.
21    (x) Miscellaneous.
22        (1) Interest earned on any fees collected by the clerk
23    shall be turned over to the county general fund as an
24    earning of the office.
25        (2) For any check, draft, or other bank instrument
26    returned to the clerk for non-sufficient funds, account

 

 

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1    closed, or payment stopped, the clerk shall collect a fee
2    of $25.
3    (y) Other fees. Any fees not covered in this Section shall
4be set by rule or administrative order of the circuit court
5with the approval of the Administrative Office of the Illinois
6Courts. The clerk of the circuit court may provide services in
7connection with the operation of the clerk's office, other
8than those services mentioned in this Section, as may be
9requested by the public and agreed to by the clerk and approved
10by the Chief Judge. Any charges for additional services shall
11be as agreed to between the clerk and the party making the
12request and approved by the Chief Judge. Nothing in this
13subsection shall be construed to require any clerk to provide
14any service not otherwise required by law.
15    (y-5) Unpaid fees. Unless a court ordered payment schedule
16is implemented or the fee requirements of this Section are
17waived under a court order, the clerk of the circuit court may
18add to any unpaid fees and costs under this Section a
19delinquency amount equal to 5% of the unpaid fees that remain
20unpaid after 30 days, 10% of the unpaid fees that remain unpaid
21after 60 days, and 15% of the unpaid fees that remain unpaid
22after 90 days. Notice to those parties may be made by signage
23posting or publication. The additional delinquency amounts
24collected under this Section shall be deposited into the
25Circuit Court Clerk Operations and Administration Fund and
26used to defray additional administrative costs incurred by the

 

 

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1clerk of the circuit court in collecting unpaid fees and
2costs.
3    (z) Exceptions.
4        (1) No fee authorized by this Section shall apply to:
5            (A) police departments or other law enforcement
6        agencies. In this Section, "law enforcement agency"
7        means: an agency of the State or agency of a unit of
8        local government which is vested by law or ordinance
9        with the duty to maintain public order and to enforce
10        criminal laws or ordinances; the Attorney General; or
11        any State's Attorney;
12            (A-5) any unit of local government or school
13        district, except in counties having a population of
14        500,000 or more the county board may by resolution set
15        fees for units of local government or school districts
16        no greater than the minimum fees applicable in
17        counties with a population less than 3,000,000;
18        provided however, no fee may be charged to any unit of
19        local government or school district in connection with
20        any action which, in whole or in part, is: (i) to
21        enforce an ordinance; (ii) to collect a debt; or (iii)
22        under the Administrative Review Law;
23            (B) any action instituted by the corporate
24        authority of a municipality with more than 1,000,000
25        inhabitants under Section 11-31-1 of the Illinois
26        Municipal Code and any action instituted under

 

 

SB2435- 1765 -LRB102 04062 AMC 14078 b

1        subsection (b) of Section 11-31-1 of the Illinois
2        Municipal Code by a private owner or tenant of real
3        property within 1,200 feet of a dangerous or unsafe
4        building seeking an order compelling the owner or
5        owners of the building to take any of the actions
6        authorized under that subsection;
7            (C) any commitment petition or petition for an
8        order authorizing the administration of psychotropic
9        medication or electroconvulsive therapy under the
10        Mental Health and Developmental Disabilities Code;
11            (D) a petitioner in any order of protection
12        proceeding, including, but not limited to, fees for
13        filing, modifying, withdrawing, certifying, or
14        photocopying petitions for orders of protection,
15        issuing alias summons, any related filing service, or
16        certifying, modifying, vacating, or photocopying any
17        orders of protection; or
18            (E) proceedings for the appointment of a
19        confidential intermediary under the Adoption Act.
20        (2) No fee other than the filing fee contained in the
21    applicable schedule in subsection (a) shall be charged to
22    any person in connection with an adoption proceeding.
23        (3) Upon good cause shown, the court may waive any
24    fees associated with a special needs adoption. The term
25    "special needs adoption" has the meaning provided by the
26    Illinois Department of Children and Family Services.

 

 

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1    (aa) This Section is repealed on January 1, 2022.
2(Source: P.A. 100-987, eff. 7-1-19; 100-994, eff. 7-1-19;
3100-1161, eff. 7-1-19; 101-645, eff. 6-26-20; revised
48-18-20.)
 
5    Section 705. The Juvenile Court Act of 1987 is amended by
6changing Sections 2-4a, 2-31, 5-710, and 5-915 as follows:
 
7    (705 ILCS 405/2-4a)
8    Sec. 2-4a. Special immigrant minor.
9    (a) The court has jurisdiction to make the findings
10necessary to enable a minor who has been adjudicated a ward of
11the court to petition the United States Citizenship and
12Immigration Services for classification as a special immigrant
13juvenile under 8 U.S.C. 1101(a)(27)(J). A minor for whom the
14court finds under subsection (b) shall remain under the
15jurisdiction of the court until his or her special immigrant
16juvenile petition is filed with the United States Citizenship
17and Immigration Services, or its successor agency.
18    (b) If a motion requests findings regarding Special
19Immigrant Juvenile Status under 8 U.S.C. 1101(a)(27)(J) and
20the evidence, which may consist solely of, but is not limited
21to, a declaration of the minor, supports the findings, the
22court shall issue an order that includes the following
23findings:
24        (1) (A) the minor is declared a dependent of the

 

 

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1    court; or (B) the minor is legally committed to, or placed
2    under the custody of, a State agency or department, or an
3    individual or entity appointed by the court; and
4        (2) that reunification of the minor with one or both
5    of the minor's parents is not viable due to abuse,
6    neglect, abandonment, or other similar basis; and
7        (3) that it is not in the best interest of the minor to
8    be returned to the minor's or parent's previous country of
9    nationality or last habitual residence.
10    (c) In this Section, : (1) The term "abandonment" means,
11but is not limited to, the failure of a parent or legal
12guardian to maintain a reasonable degree of interest, concern,
13or responsibility for the welfare of his or her minor child or
14ward. (2) (Blank).
15    (d) (Blank).
16(Source: P.A. 101-121, eff. 11-25-19 (see P.A. 101-592 for the
17effective date of changes made by P.A. 101-121); revised
189-8-20.)
 
19    (705 ILCS 405/2-31)  (from Ch. 37, par. 802-31)
20    Sec. 2-31. Duration of wardship and discharge of
21proceedings.
22    (1) All proceedings under Article II of this Act in
23respect of any minor automatically terminate upon his or her
24attaining the age of 21 years.
25    (2) Whenever the court determines, and makes written

 

 

SB2435- 1768 -LRB102 04062 AMC 14078 b

1factual findings, that health, safety, and the best interests
2of the minor and the public no longer require the wardship of
3the court, the court shall order the wardship terminated and
4all proceedings under this Act respecting that minor finally
5closed and discharged. The court may at the same time continue
6or terminate any custodianship or guardianship theretofore
7ordered but the termination must be made in compliance with
8Section 2-28. When terminating wardship under this Section, if
9the minor is over 18, or if wardship is terminated in
10conjunction with an order partially or completely emancipating
11the minor in accordance with the Emancipation of Minors Act,
12the court shall also consider the following factors, in
13addition to the health, safety, and best interest of the minor
14and the public: (A) the minor's wishes regarding case closure;
15(B) the manner in which the minor will maintain independence
16without services from the Department; (C) the minor's
17engagement in services including placement offered by the
18Department; (D) if the minor is not engaged, the Department's
19efforts to engage the minor; (E) the nature of communication
20between the minor and the Department; (F) the minor's
21involvement in other State systems or services; (G) the
22minor's connections with family and other community support;
23and (H) any other factor the court deems relevant. The minor's
24lack of cooperation with services provided by the Department
25of Children and Family Services shall not by itself be
26considered sufficient evidence that the minor is prepared to

 

 

SB2435- 1769 -LRB102 04062 AMC 14078 b

1live independently and that it is in the best interest of the
2minor to terminate wardship. It shall not be in the minor's
3best interest to terminate wardship of a minor over the age of
418 who is in the guardianship of the Department of Children and
5Family Services if the Department has not made reasonable
6efforts to ensure that the minor has documents necessary for
7adult living as provided in Section 35.10 of the Children and
8Family Services Act.
9    (3) The wardship of the minor and any custodianship or
10guardianship respecting the minor for whom a petition was
11filed after July 24, 1991 (the effective date of Public Act
1287-14) this amendatory Act of 1991 automatically terminates
13when he attains the age of 19 years, except as set forth in
14subsection (1) of this Section. The clerk of the court shall at
15that time record all proceedings under this Act as finally
16closed and discharged for that reason. The provisions of this
17subsection (3) become inoperative on and after July 12, 2019
18(the effective date of Public Act 101-78) this amendatory Act
19of the 101st General Assembly.
20    (4) Notwithstanding any provision of law to the contrary,
21the changes made by Public Act 101-78 this amendatory Act of
22the 101st General Assembly apply to all cases that are pending
23on or after July 12, 2019 (the effective date of Public Act
24101-78) this amendatory Act of the 101st General Assembly.
25(Source: P.A. 100-680, eff. 1-1-19; 101-78, eff. 7-12-19;
26revised 9-12-19.)
 

 

 

SB2435- 1770 -LRB102 04062 AMC 14078 b

1    (705 ILCS 405/5-710)
2    Sec. 5-710. Kinds of sentencing orders.
3    (1) The following kinds of sentencing orders may be made
4in respect of wards of the court:
5        (a) Except as provided in Sections 5-805, 5-810, and
6    5-815, a minor who is found guilty under Section 5-620 may
7    be:
8            (i) put on probation or conditional discharge and
9        released to his or her parents, guardian or legal
10        custodian, provided, however, that any such minor who
11        is not committed to the Department of Juvenile Justice
12        under this subsection and who is found to be a
13        delinquent for an offense which is first degree
14        murder, a Class X felony, or a forcible felony shall be
15        placed on probation;
16            (ii) placed in accordance with Section 5-740, with
17        or without also being put on probation or conditional
18        discharge;
19            (iii) required to undergo a substance abuse
20        assessment conducted by a licensed provider and
21        participate in the indicated clinical level of care;
22            (iv) on and after January 1, 2015 (the effective
23        date of Public Act 98-803) this amendatory Act of the
24        98th General Assembly and before January 1, 2017,
25        placed in the guardianship of the Department of

 

 

SB2435- 1771 -LRB102 04062 AMC 14078 b

1        Children and Family Services, but only if the
2        delinquent minor is under 16 years of age or, pursuant
3        to Article II of this Act, a minor under the age of 18
4        for whom an independent basis of abuse, neglect, or
5        dependency exists. On and after January 1, 2017,
6        placed in the guardianship of the Department of
7        Children and Family Services, but only if the
8        delinquent minor is under 15 years of age or, pursuant
9        to Article II of this Act, a minor for whom an
10        independent basis of abuse, neglect, or dependency
11        exists. An independent basis exists when the
12        allegations or adjudication of abuse, neglect, or
13        dependency do not arise from the same facts, incident,
14        or circumstances which give rise to a charge or
15        adjudication of delinquency;
16            (v) placed in detention for a period not to exceed
17        30 days, either as the exclusive order of disposition
18        or, where appropriate, in conjunction with any other
19        order of disposition issued under this paragraph,
20        provided that any such detention shall be in a
21        juvenile detention home and the minor so detained
22        shall be 10 years of age or older. However, the 30-day
23        limitation may be extended by further order of the
24        court for a minor under age 15 committed to the
25        Department of Children and Family Services if the
26        court finds that the minor is a danger to himself or

 

 

SB2435- 1772 -LRB102 04062 AMC 14078 b

1        others. The minor shall be given credit on the
2        sentencing order of detention for time spent in
3        detention under Sections 5-501, 5-601, 5-710, or 5-720
4        of this Article as a result of the offense for which
5        the sentencing order was imposed. The court may grant
6        credit on a sentencing order of detention entered
7        under a violation of probation or violation of
8        conditional discharge under Section 5-720 of this
9        Article for time spent in detention before the filing
10        of the petition alleging the violation. A minor shall
11        not be deprived of credit for time spent in detention
12        before the filing of a violation of probation or
13        conditional discharge alleging the same or related act
14        or acts. The limitation that the minor shall only be
15        placed in a juvenile detention home does not apply as
16        follows:
17            Persons 18 years of age and older who have a
18        petition of delinquency filed against them may be
19        confined in an adult detention facility. In making a
20        determination whether to confine a person 18 years of
21        age or older who has a petition of delinquency filed
22        against the person, these factors, among other
23        matters, shall be considered:
24                (A) the age of the person;
25                (B) any previous delinquent or criminal
26            history of the person;

 

 

SB2435- 1773 -LRB102 04062 AMC 14078 b

1                (C) any previous abuse or neglect history of
2            the person;
3                (D) any mental health history of the person;
4            and
5                (E) any educational history of the person;
6            (vi) ordered partially or completely emancipated
7        in accordance with the provisions of the Emancipation
8        of Minors Act;
9            (vii) subject to having his or her driver's
10        license or driving privileges suspended for such time
11        as determined by the court but only until he or she
12        attains 18 years of age;
13            (viii) put on probation or conditional discharge
14        and placed in detention under Section 3-6039 of the
15        Counties Code for a period not to exceed the period of
16        incarceration permitted by law for adults found guilty
17        of the same offense or offenses for which the minor was
18        adjudicated delinquent, and in any event no longer
19        than upon attainment of age 21; this subdivision
20        (viii) notwithstanding any contrary provision of the
21        law;
22            (ix) ordered to undergo a medical or other
23        procedure to have a tattoo symbolizing allegiance to a
24        street gang removed from his or her body; or
25            (x) placed in electronic monitoring or home
26        detention under Part 7A of this Article.

 

 

SB2435- 1774 -LRB102 04062 AMC 14078 b

1        (b) A minor found to be guilty may be committed to the
2    Department of Juvenile Justice under Section 5-750 if the
3    minor is at least 13 years and under 20 years of age,
4    provided that the commitment to the Department of Juvenile
5    Justice shall be made only if the minor was found guilty of
6    a felony offense or first degree murder. The court shall
7    include in the sentencing order any pre-custody credits
8    the minor is entitled to under Section 5-4.5-100 of the
9    Unified Code of Corrections. The time during which a minor
10    is in custody before being released upon the request of a
11    parent, guardian or legal custodian shall also be
12    considered as time spent in custody.
13        (c) When a minor is found to be guilty for an offense
14    which is a violation of the Illinois Controlled Substances
15    Act, the Cannabis Control Act, or the Methamphetamine
16    Control and Community Protection Act and made a ward of
17    the court, the court may enter a disposition order
18    requiring the minor to undergo assessment, counseling or
19    treatment in a substance use disorder treatment program
20    approved by the Department of Human Services.
21    (2) Any sentencing order other than commitment to the
22Department of Juvenile Justice may provide for protective
23supervision under Section 5-725 and may include an order of
24protection under Section 5-730.
25    (3) Unless the sentencing order expressly so provides, it
26does not operate to close proceedings on the pending petition,

 

 

SB2435- 1775 -LRB102 04062 AMC 14078 b

1but is subject to modification until final closing and
2discharge of the proceedings under Section 5-750.
3    (4) In addition to any other sentence, the court may order
4any minor found to be delinquent to make restitution, in
5monetary or non-monetary form, under the terms and conditions
6of Section 5-5-6 of the Unified Code of Corrections, except
7that the "presentencing hearing" referred to in that Section
8shall be the sentencing hearing for purposes of this Section.
9The parent, guardian or legal custodian of the minor may be
10ordered by the court to pay some or all of the restitution on
11the minor's behalf, pursuant to the Parental Responsibility
12Law. The State's Attorney is authorized to act on behalf of any
13victim in seeking restitution in proceedings under this
14Section, up to the maximum amount allowed in Section 5 of the
15Parental Responsibility Law.
16    (5) Any sentencing order where the minor is committed or
17placed in accordance with Section 5-740 shall provide for the
18parents or guardian of the estate of the minor to pay to the
19legal custodian or guardian of the person of the minor such
20sums as are determined by the custodian or guardian of the
21person of the minor as necessary for the minor's needs. The
22payments may not exceed the maximum amounts provided for by
23Section 9.1 of the Children and Family Services Act.
24    (6) Whenever the sentencing order requires the minor to
25attend school or participate in a program of training, the
26truant officer or designated school official shall regularly

 

 

SB2435- 1776 -LRB102 04062 AMC 14078 b

1report to the court if the minor is a chronic or habitual
2truant under Section 26-2a of the School Code. Notwithstanding
3any other provision of this Act, in instances in which
4educational services are to be provided to a minor in a
5residential facility where the minor has been placed by the
6court, costs incurred in the provision of those educational
7services must be allocated based on the requirements of the
8School Code.
9    (7) In no event shall a guilty minor be committed to the
10Department of Juvenile Justice for a period of time in excess
11of that period for which an adult could be committed for the
12same act. The court shall include in the sentencing order a
13limitation on the period of confinement not to exceed the
14maximum period of imprisonment the court could impose under
15Chapter V 5 of the Unified Code of Corrections.
16    (7.5) In no event shall a guilty minor be committed to the
17Department of Juvenile Justice or placed in detention when the
18act for which the minor was adjudicated delinquent would not
19be illegal if committed by an adult.
20    (7.6) In no event shall a guilty minor be committed to the
21Department of Juvenile Justice for an offense which is a Class
224 felony under Section 19-4 (criminal trespass to a
23residence), 21-1 (criminal damage to property), 21-1.01
24(criminal damage to government supported property), 21-1.3
25(criminal defacement of property), 26-1 (disorderly conduct),
26or 31-4 (obstructing justice) of the Criminal Code of 2012.

 

 

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1    (7.75) In no event shall a guilty minor be committed to the
2Department of Juvenile Justice for an offense that is a Class 3
3or Class 4 felony violation of the Illinois Controlled
4Substances Act unless the commitment occurs upon a third or
5subsequent judicial finding of a violation of probation for
6substantial noncompliance with court-ordered treatment or
7programming.
8    (8) A minor found to be guilty for reasons that include a
9violation of Section 21-1.3 of the Criminal Code of 1961 or the
10Criminal Code of 2012 shall be ordered to perform community
11service for not less than 30 and not more than 120 hours, if
12community service is available in the jurisdiction. The
13community service shall include, but need not be limited to,
14the cleanup and repair of the damage that was caused by the
15violation or similar damage to property located in the
16municipality or county in which the violation occurred. The
17order may be in addition to any other order authorized by this
18Section.
19    (8.5) A minor found to be guilty for reasons that include a
20violation of Section 3.02 or Section 3.03 of the Humane Care
21for Animals Act or paragraph (d) of subsection (1) of Section
2221-1 of the Criminal Code of 1961 or paragraph (4) of
23subsection (a) of Section 21-1 of the Criminal Code of 2012
24shall be ordered to undergo medical or psychiatric treatment
25rendered by a psychiatrist or psychological treatment rendered
26by a clinical psychologist. The order may be in addition to any

 

 

SB2435- 1778 -LRB102 04062 AMC 14078 b

1other order authorized by this Section.
2    (9) In addition to any other sentencing order, the court
3shall order any minor found to be guilty for an act which would
4constitute, predatory criminal sexual assault of a child,
5aggravated criminal sexual assault, criminal sexual assault,
6aggravated criminal sexual abuse, or criminal sexual abuse if
7committed by an adult to undergo medical testing to determine
8whether the defendant has any sexually transmissible disease
9including a test for infection with human immunodeficiency
10virus (HIV) or any other identified causative agency of
11acquired immunodeficiency syndrome (AIDS). Any medical test
12shall be performed only by appropriately licensed medical
13practitioners and may include an analysis of any bodily fluids
14as well as an examination of the minor's person. Except as
15otherwise provided by law, the results of the test shall be
16kept strictly confidential by all medical personnel involved
17in the testing and must be personally delivered in a sealed
18envelope to the judge of the court in which the sentencing
19order was entered for the judge's inspection in camera. Acting
20in accordance with the best interests of the victim and the
21public, the judge shall have the discretion to determine to
22whom the results of the testing may be revealed. The court
23shall notify the minor of the results of the test for infection
24with the human immunodeficiency virus (HIV). The court shall
25also notify the victim if requested by the victim, and if the
26victim is under the age of 15 and if requested by the victim's

 

 

SB2435- 1779 -LRB102 04062 AMC 14078 b

1parents or legal guardian, the court shall notify the victim's
2parents or the legal guardian, of the results of the test for
3infection with the human immunodeficiency virus (HIV). The
4court shall provide information on the availability of HIV
5testing and counseling at the Department of Public Health
6facilities to all parties to whom the results of the testing
7are revealed. The court shall order that the cost of any test
8shall be paid by the county and may be taxed as costs against
9the minor.
10    (10) When a court finds a minor to be guilty the court
11shall, before entering a sentencing order under this Section,
12make a finding whether the offense committed either: (a) was
13related to or in furtherance of the criminal activities of an
14organized gang or was motivated by the minor's membership in
15or allegiance to an organized gang, or (b) involved a
16violation of subsection (a) of Section 12-7.1 of the Criminal
17Code of 1961 or the Criminal Code of 2012, a violation of any
18Section of Article 24 of the Criminal Code of 1961 or the
19Criminal Code of 2012, or a violation of any statute that
20involved the wrongful use of a firearm. If the court
21determines the question in the affirmative, and the court does
22not commit the minor to the Department of Juvenile Justice,
23the court shall order the minor to perform community service
24for not less than 30 hours nor more than 120 hours, provided
25that community service is available in the jurisdiction and is
26funded and approved by the county board of the county where the

 

 

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1offense was committed. The community service shall include,
2but need not be limited to, the cleanup and repair of any
3damage caused by a violation of Section 21-1.3 of the Criminal
4Code of 1961 or the Criminal Code of 2012 and similar damage to
5property located in the municipality or county in which the
6violation occurred. When possible and reasonable, the
7community service shall be performed in the minor's
8neighborhood. This order shall be in addition to any other
9order authorized by this Section except for an order to place
10the minor in the custody of the Department of Juvenile
11Justice. For the purposes of this Section, "organized gang"
12has the meaning ascribed to it in Section 10 of the Illinois
13Streetgang Terrorism Omnibus Prevention Act.
14    (11) If the court determines that the offense was
15committed in furtherance of the criminal activities of an
16organized gang, as provided in subsection (10), and that the
17offense involved the operation or use of a motor vehicle or the
18use of a driver's license or permit, the court shall notify the
19Secretary of State of that determination and of the period for
20which the minor shall be denied driving privileges. If, at the
21time of the determination, the minor does not hold a driver's
22license or permit, the court shall provide that the minor
23shall not be issued a driver's license or permit until his or
24her 18th birthday. If the minor holds a driver's license or
25permit at the time of the determination, the court shall
26provide that the minor's driver's license or permit shall be

 

 

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1revoked until his or her 21st birthday, or until a later date
2or occurrence determined by the court. If the minor holds a
3driver's license at the time of the determination, the court
4may direct the Secretary of State to issue the minor a judicial
5driving permit, also known as a JDP. The JDP shall be subject
6to the same terms as a JDP issued under Section 6-206.1 of the
7Illinois Vehicle Code, except that the court may direct that
8the JDP be effective immediately.
9    (12) (Blank).
10(Source: P.A. 100-201, eff. 8-18-17; 100-431, eff. 8-25-17;
11100-759, eff. 1-1-19; 101-2, eff. 7-1-19; 101-79, eff.
127-12-19; 101-159, eff. 1-1-20; revised 8-8-19.)
 
13    (705 ILCS 405/5-915)
14    Sec. 5-915. Expungement of juvenile law enforcement and
15juvenile court records.
16    (0.05) (Blank).
17    (0.1) (a) The Department of State Police and all law
18enforcement agencies within the State shall automatically
19expunge, on or before January 1 of each year, all juvenile law
20enforcement records relating to events occurring before an
21individual's 18th birthday if:
22        (1) one year or more has elapsed since the date of the
23    arrest or law enforcement interaction documented in the
24    records;
25        (2) no petition for delinquency or criminal charges

 

 

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1    were filed with the clerk of the circuit court relating to
2    the arrest or law enforcement interaction documented in
3    the records; and
4        (3) 6 months have elapsed since the date of the arrest
5    without an additional subsequent arrest or filing of a
6    petition for delinquency or criminal charges whether
7    related or not to the arrest or law enforcement
8    interaction documented in the records.
9    (b) If the law enforcement agency is unable to verify
10satisfaction of conditions (2) and (3) of this subsection
11(0.1), records that satisfy condition (1) of this subsection
12(0.1) shall be automatically expunged if the records relate to
13an offense that if committed by an adult would not be an
14offense classified as Class 2 felony or higher, an offense
15under Article 11 of the Criminal Code of 1961 or Criminal Code
16of 2012, or an offense under Section 12-13, 12-14, 12-14.1,
1712-15, or 12-16 of the Criminal Code of 1961.
18    (0.15) If a juvenile law enforcement record meets
19paragraph (a) of subsection (0.1) of this Section, a juvenile
20law enforcement record created:
21        (1) prior to January 1, 2018, but on or after January
22    1, 2013 shall be automatically expunged prior to January
23    1, 2020;
24        (2) prior to January 1, 2013, but on or after January
25    1, 2000, shall be automatically expunged prior to January
26    1, 2023; and

 

 

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1        (3) prior to January 1, 2000 shall not be subject to
2    the automatic expungement provisions of this Act.
3Nothing in this subsection (0.15) shall be construed to
4restrict or modify an individual's right to have his or her
5juvenile law enforcement records expunged except as otherwise
6may be provided in this Act.
7    (0.2) (a) Upon dismissal of a petition alleging
8delinquency or upon a finding of not delinquent, the
9successful termination of an order of supervision, or the
10successful termination of an adjudication for an offense which
11would be a Class B misdemeanor, Class C misdemeanor, or a petty
12or business offense if committed by an adult, the court shall
13automatically order the expungement of the juvenile court
14records and juvenile law enforcement records. The clerk shall
15deliver a certified copy of the expungement order to the
16Department of State Police and the arresting agency. Upon
17request, the State's Attorney shall furnish the name of the
18arresting agency. The expungement shall be completed within 60
19business days after the receipt of the expungement order.
20    (b) If the chief law enforcement officer of the agency, or
21his or her designee, certifies in writing that certain
22information is needed for a pending investigation involving
23the commission of a felony, that information, and information
24identifying the juvenile, may be retained until the statute of
25limitations for the felony has run. If the chief law
26enforcement officer of the agency, or his or her designee,

 

 

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1certifies in writing that certain information is needed with
2respect to an internal investigation of any law enforcement
3office, that information and information identifying the
4juvenile may be retained within an intelligence file until the
5investigation is terminated or the disciplinary action,
6including appeals, has been completed, whichever is later.
7Retention of a portion of a juvenile's law enforcement record
8does not disqualify the remainder of his or her record from
9immediate automatic expungement.
10    (0.3) (a) Upon an adjudication of delinquency based on any
11offense except a disqualified offense, the juvenile court
12shall automatically order the expungement of the juvenile
13court and law enforcement records 2 years after the juvenile's
14case was closed if no delinquency or criminal proceeding is
15pending and the person has had no subsequent delinquency
16adjudication or criminal conviction. The clerk shall deliver a
17certified copy of the expungement order to the Department of
18State Police and the arresting agency. Upon request, the
19State's Attorney shall furnish the name of the arresting
20agency. The expungement shall be completed within 60 business
21days after the receipt of the expungement order. In this
22subsection (0.3), "disqualified offense" means any of the
23following offenses: Section 8-1.2, 9-1, 9-1.2, 9-2, 9-2.1,
249-3, 9-3.2, 10-1, 10-2, 10-3, 10-3.1, 10-4, 10-5, 10-9,
2511-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-6.5,
2612-2, 12-3.05, 12-3.3, 12-4.4a, 12-5.02, 12-6.2, 12-6.5,

 

 

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112-7.1, 12-7.5, 12-20.5, 12-32, 12-33, 12-34, 12-34.5, 18-1,
218-2, 18-3, 18-4, 18-6, 19-3, 19-6, 20-1, 20-1.1, 24-1.2,
324-1.2-5, 24-1.5, 24-3A, 24-3B, 24-3.2, 24-3.8, 24-3.9,
429D-14.9, 29D-20, 30-1, 31-1a, 32-4a, or 33A-2 of the Criminal
5Code of 2012, or subsection (b) of Section 8-1, paragraph (4)
6of subsection (a) of Section 11-14.4, subsection (a-5) of
7Section 12-3.1, paragraph (1), (2), or (3) of subsection (a)
8of Section 12-6, subsection (a-3) or (a-5) of Section 12-7.3,
9paragraph (1) or (2) of subsection (a) of Section 12-7.4,
10subparagraph (i) of paragraph (1) of subsection (a) of Section
1112-9, subparagraph (H) of paragraph (3) of subsection (a) of
12Section 24-1.6, paragraph (1) of subsection (a) of Section
1325-1, or subsection (a-7) of Section 31-1 of the Criminal Code
14of 2012.
15    (b) If the chief law enforcement officer of the agency, or
16his or her designee, certifies in writing that certain
17information is needed for a pending investigation involving
18the commission of a felony, that information, and information
19identifying the juvenile, may be retained in an intelligence
20file until the investigation is terminated or for one
21additional year, whichever is sooner. Retention of a portion
22of a juvenile's juvenile law enforcement record does not
23disqualify the remainder of his or her record from immediate
24automatic expungement.
25    (0.4) Automatic expungement for the purposes of this
26Section shall not require law enforcement agencies to

 

 

SB2435- 1786 -LRB102 04062 AMC 14078 b

1obliterate or otherwise destroy juvenile law enforcement
2records that would otherwise need to be automatically expunged
3under this Act, except after 2 years following the subject
4arrest for purposes of use in civil litigation against a
5governmental entity or its law enforcement agency or personnel
6which created, maintained, or used the records. However, these
7juvenile law enforcement records shall be considered expunged
8for all other purposes during this period and the offense,
9which the records or files concern, shall be treated as if it
10never occurred as required under Section 5-923.
11    (0.5) Subsection (0.1) or (0.2) of this Section does not
12apply to violations of traffic, boating, fish and game laws,
13or county or municipal ordinances.
14    (0.6) Juvenile law enforcement records of a plaintiff who
15has filed civil litigation against the governmental entity or
16its law enforcement agency or personnel that created,
17maintained, or used the records, or juvenile law enforcement
18records that contain information related to the allegations
19set forth in the civil litigation may not be expunged until
20after 2 years have elapsed after the conclusion of the
21lawsuit, including any appeal.
22    (0.7) Officer-worn body camera recordings shall not be
23automatically expunged except as otherwise authorized by the
24Law Enforcement Officer-Worn Body Camera Act.
25    (1) Whenever a person has been arrested, charged, or
26adjudicated delinquent for an incident occurring before his or

 

 

SB2435- 1787 -LRB102 04062 AMC 14078 b

1her 18th birthday that if committed by an adult would be an
2offense, and that person's juvenile law enforcement and
3juvenile court records are not eligible for automatic
4expungement under subsection (0.1), (0.2), or (0.3), the
5person may petition the court at any time for expungement of
6juvenile law enforcement records and juvenile court records
7relating to the incident and, upon termination of all juvenile
8court proceedings relating to that incident, the court shall
9order the expungement of all records in the possession of the
10Department of State Police, the clerk of the circuit court,
11and law enforcement agencies relating to the incident, but
12only in any of the following circumstances:
13        (a) the minor was arrested and no petition for
14    delinquency was filed with the clerk of the circuit court;
15        (a-5) the minor was charged with an offense and the
16    petition or petitions were dismissed without a finding of
17    delinquency;
18        (b) the minor was charged with an offense and was
19    found not delinquent of that offense;
20        (c) the minor was placed under supervision under
21    Section 5-615, and the order of supervision has since been
22    successfully terminated; or
23        (d) the minor was adjudicated for an offense which
24    would be a Class B misdemeanor, Class C misdemeanor, or a
25    petty or business offense if committed by an adult.
26    (1.5) The Department of State Police shall allow a person

 

 

SB2435- 1788 -LRB102 04062 AMC 14078 b

1to use the Access and Review process, established in the
2Department of State Police, for verifying that his or her
3juvenile law enforcement records relating to incidents
4occurring before his or her 18th birthday eligible under this
5Act have been expunged.
6    (1.6) (Blank).
7    (1.7) (Blank).
8    (1.8) (Blank).
9    (2) Any person whose delinquency adjudications are not
10eligible for automatic expungement under subsection (0.3) of
11this Section may petition the court to expunge all juvenile
12law enforcement records relating to any incidents occurring
13before his or her 18th birthday which did not result in
14proceedings in criminal court and all juvenile court records
15with respect to any adjudications except those based upon
16first degree murder or an offense under Article 11 of the
17Criminal Code of 2012 if the person is required to register
18under the Sex Offender Registration Act at the time he or she
19petitions the court for expungement; provided that: (a)
20(blank); or (b) 2 years have elapsed since all juvenile court
21proceedings relating to him or her have been terminated and
22his or her commitment to the Department of Juvenile Justice
23under this Act has been terminated.
24    (2.5) If a minor is arrested and no petition for
25delinquency is filed with the clerk of the circuit court at the
26time the minor is released from custody, the youth officer, if

 

 

SB2435- 1789 -LRB102 04062 AMC 14078 b

1applicable, or other designated person from the arresting
2agency, shall notify verbally and in writing to the minor or
3the minor's parents or guardians that the minor shall have an
4arrest record and shall provide the minor and the minor's
5parents or guardians with an expungement information packet,
6information regarding this State's expungement laws including
7a petition to expunge juvenile law enforcement and juvenile
8court records obtained from the clerk of the circuit court.
9    (2.6) If a minor is referred to court, then, at the time of
10sentencing, or dismissal of the case, or successful completion
11of supervision, the judge shall inform the delinquent minor of
12his or her rights regarding expungement and the clerk of the
13circuit court shall provide an expungement information packet
14to the minor, written in plain language, including information
15regarding this State's expungement laws and a petition for
16expungement, a sample of a completed petition, expungement
17instructions that shall include information informing the
18minor that (i) once the case is expunged, it shall be treated
19as if it never occurred, (ii) he or she may apply to have
20petition fees waived, (iii) once he or she obtains an
21expungement, he or she may not be required to disclose that he
22or she had a juvenile law enforcement or juvenile court
23record, and (iv) if petitioning he or she may file the petition
24on his or her own or with the assistance of an attorney. The
25failure of the judge to inform the delinquent minor of his or
26her right to petition for expungement as provided by law does

 

 

SB2435- 1790 -LRB102 04062 AMC 14078 b

1not create a substantive right, nor is that failure grounds
2for: (i) a reversal of an adjudication of delinquency; , (ii) a
3new trial; or (iii) an appeal.
4    (2.7) (Blank).
5    (2.8) (Blank).
6    (3) (Blank).
7    (3.1) (Blank).
8    (3.2) (Blank).
9    (3.3) (Blank).
10    (4) (Blank).
11    (5) (Blank).
12    (5.5) Whether or not expunged, records eligible for
13automatic expungement under subdivision (0.1)(a), (0.2)(a), or
14(0.3)(a) may be treated as expunged by the individual subject
15to the records.
16    (6) (Blank).
17    (6.5) The Department of State Police or any employee of
18the Department shall be immune from civil or criminal
19liability for failure to expunge any records of arrest that
20are subject to expungement under this Section because of
21inability to verify a record. Nothing in this Section shall
22create Department of State Police liability or responsibility
23for the expungement of juvenile law enforcement records it
24does not possess.
25    (7) (Blank).
26    (7.5) (Blank).

 

 

SB2435- 1791 -LRB102 04062 AMC 14078 b

1    (8)(a) (Blank). (b) (Blank). (c) The expungement of
2juvenile law enforcement or juvenile court records under
3subsection (0.1), (0.2), or (0.3) of this Section shall be
4funded by appropriation by the General Assembly for that
5purpose.
6    (9) (Blank).
7    (10) (Blank).
8(Source: P.A. 99-835, eff. 1-1-17; 99-881, eff. 1-1-17;
9100-201, eff. 8-18-17; 100-285, eff. 1-1-18; 100-720, eff.
108-3-18; 100-863, eff. 8-14-18; 100-987, eff. 7-1-19; 100-1162,
11eff. 12-20-18; revised 7-16-19.)
 
12    Section 710. The Court of Claims Act is amended by
13changing Section 22 as follows:
 
14    (705 ILCS 505/22)  (from Ch. 37, par. 439.22)
15    Sec. 22. Every claim cognizable by the court Court and not
16otherwise sooner barred by law shall be forever barred from
17prosecution therein unless it is filed with the clerk of the
18court Clerk of the Court within the time set forth as follows:
19        (a) All claims arising out of a contract must be filed
20    within 5 years after it first accrues, saving to minors,
21    and persons under legal disability at the time the claim
22    accrues, in which cases the claim must be filed within 5
23    years from the time the disability ceases.
24        (b) All claims cognizable against the State by vendors

 

 

SB2435- 1792 -LRB102 04062 AMC 14078 b

1    of goods or services under the "The Illinois Public Aid
2    Code", approved April 11, 1967, as amended, must file
3    within one year after the accrual of the cause of action,
4    as provided in Section 11-13 of that Code.
5        (c) All claims arising under paragraph (c) of Section
6    8 of this Act must be automatically heard by the court
7    within 120 days after the person asserting such claim is
8    either issued a certificate of innocence from the circuit
9    court Circuit Court as provided in Section 2-702 of the
10    Code of Civil Procedure, or is granted a pardon by the
11    Governor, whichever occurs later, without the person
12    asserting the claim being required to file a petition
13    under Section 11 of this Act, except as otherwise provided
14    by the Crime Victims Compensation Act. Any claims filed by
15    the claimant under paragraph (c) of Section 8 of this Act
16    must be filed within 2 years after the person asserting
17    such claim is either issued a certificate of innocence as
18    provided in Section 2-702 of the Code of Civil Procedure,
19    or is granted a pardon by the Governor, whichever occurs
20    later.
21        (d) All claims arising under paragraph (f) of Section
22    8 of this Act must be filed within the time set forth in
23    Section 3 of the Line of Duty Compensation Act.
24        (e) All claims arising under paragraph (h) of Section
25    8 of this Act must be filed within one year of the date of
26    the death of the guardsman or militiaman as provided in

 

 

SB2435- 1793 -LRB102 04062 AMC 14078 b

1    Section 3 of the "Illinois National Guardsman's and Naval
2    Militiaman's Compensation Act", approved August 12, 1971,
3    as amended.
4        (f) All claims arising under paragraph (g) of Section
5    8 of this Act must be filed within one year of the crime on
6    which a claim is based as provided in Section 6.1 of the
7    "Crime Victims Compensation Act", approved August 23,
8    1973, as amended.
9        (g) All claims arising from the Comptroller's refusal
10    to issue a replacement warrant pursuant to Section 10.10
11    of the State Comptroller Act must be filed within 5 years
12    after the date of the Comptroller's refusal.
13        (h) All other claims must be filed within 2 years
14    after it first accrues, saving to minors, and persons
15    under legal disability at the time the claim accrues, in
16    which case the claim must be filed within 2 years from the
17    time the disability ceases.
18        (i) The changes made by Public Act 86-458 apply to all
19    warrants issued within the 5-year 5 year period preceding
20    August 31, 1989 (the effective date of Public Act 86-458).
21    The changes made to this Section by Public Act 100-1124
22    this amendatory Act of the 100th General Assembly apply to
23    claims pending on November 27, 2018 (the effective date of
24    Public Act 100-1124) this amendatory Act of the 100th
25    General Assembly and to claims filed thereafter.
26        (j) All time limitations established under this Act

 

 

SB2435- 1794 -LRB102 04062 AMC 14078 b

1    and the rules promulgated under this Act shall be binding
2    and jurisdictional, except upon extension authorized by
3    law or rule and granted pursuant to a motion timely filed.
4(Source: P.A. 100-1124, eff. 11-27-18; revised 7-16-19.)
 
5    Section 715. The Criminal Code of 2012 is amended by
6changing Sections 2-13, 3-6, 9-3.2, 12-2, 28-1, 28-2, 28-3,
728-5, and 29B-21 as follows:
 
8    (720 ILCS 5/2-13)  (from Ch. 38, par. 2-13)
9    Sec. 2-13. "Peace officer". "Peace officer" means (i) any
10person who by virtue of his office or public employment is
11vested by law with a duty to maintain public order or to make
12arrests for offenses, whether that duty extends to all
13offenses or is limited to specific offenses, or (ii) any
14person who, by statute, is granted and authorized to exercise
15powers similar to those conferred upon any peace officer
16employed by a law enforcement agency of this State.
17    For purposes of Sections concerning unlawful use of
18weapons, for the purposes of assisting an Illinois peace
19officer in an arrest, or when the commission of any offense
20under Illinois law is directly observed by the person, and
21statutes involving the false personation of a peace officer,
22false personation of a peace officer while carrying a deadly
23weapon, false personation of a peace officer in attempting or
24committing a felony, and false personation of a peace officer

 

 

SB2435- 1795 -LRB102 04062 AMC 14078 b

1in attempting or committing a forcible felony, then officers,
2agents, or employees of the federal government commissioned by
3federal statute to make arrests for violations of federal
4criminal laws shall be considered "peace officers" under this
5Code, including, but not limited to, all criminal
6investigators of:
7        (1) the United States Department of Justice, the
8    Federal Bureau of Investigation, and the Drug Enforcement
9    Administration Agency and all United States Marshals or
10    Deputy United States Marshals whose duties involve the
11    enforcement of federal criminal laws;
12        (1.5) the United States Department of Homeland
13    Security, United States Citizenship and Immigration
14    Services, United States Coast Guard, United States Customs
15    and Border Protection, and United States Immigration and
16    Customs Enforcement;
17        (2) the United States Department of the Treasury, the
18    Alcohol and Tobacco Tax and Trade Bureau, and the United
19    States Secret Service;
20        (3) the United States Internal Revenue Service;
21        (4) the United States General Services Administration;
22        (5) the United States Postal Service;
23        (6) (blank); and
24        (7) the United States Department of Defense.
25(Source: P.A. 99-651, eff. 1-1-17; revised 8-28-20.)
 

 

 

SB2435- 1796 -LRB102 04062 AMC 14078 b

1    (720 ILCS 5/3-6)  (from Ch. 38, par. 3-6)
2    Sec. 3-6. Extended limitations. The period within which a
3prosecution must be commenced under the provisions of Section
43-5 or other applicable statute is extended under the
5following conditions:
6    (a) A prosecution for theft involving a breach of a
7fiduciary obligation to the aggrieved person may be commenced
8as follows:
9        (1) If the aggrieved person is a minor or a person
10    under legal disability, then during the minority or legal
11    disability or within one year after the termination
12    thereof.
13        (2) In any other instance, within one year after the
14    discovery of the offense by an aggrieved person, or by a
15    person who has legal capacity to represent an aggrieved
16    person or has a legal duty to report the offense, and is
17    not himself or herself a party to the offense; or in the
18    absence of such discovery, within one year after the
19    proper prosecuting officer becomes aware of the offense.
20    However, in no such case is the period of limitation so
21    extended more than 3 years beyond the expiration of the
22    period otherwise applicable.
23    (b) A prosecution for any offense based upon misconduct in
24office by a public officer or employee may be commenced within
25one year after discovery of the offense by a person having a
26legal duty to report such offense, or in the absence of such

 

 

SB2435- 1797 -LRB102 04062 AMC 14078 b

1discovery, within one year after the proper prosecuting
2officer becomes aware of the offense. However, in no such case
3is the period of limitation so extended more than 3 years
4beyond the expiration of the period otherwise applicable.
5    (b-5) When the victim is under 18 years of age at the time
6of the offense, a prosecution for involuntary servitude,
7involuntary sexual servitude of a minor, or trafficking in
8persons and related offenses under Section 10-9 of this Code
9may be commenced within 25 years of the victim attaining the
10age of 18 years.
11    (b-6) When the victim is 18 years of age or over at the
12time of the offense, a prosecution for involuntary servitude,
13involuntary sexual servitude of a minor, or trafficking in
14persons and related offenses under Section 10-9 of this Code
15may be commenced within 25 years after the commission of the
16offense.
17    (b-7) (b-6) When the victim is under 18 years of age at the
18time of the offense, a prosecution for female genital
19mutilation may be commenced at any time.
20    (c) (Blank).
21    (d) A prosecution for child pornography, aggravated child
22pornography, indecent solicitation of a child, soliciting for
23a juvenile prostitute, juvenile pimping, exploitation of a
24child, or promoting juvenile prostitution except for keeping a
25place of juvenile prostitution may be commenced within one
26year of the victim attaining the age of 18 years. However, in

 

 

SB2435- 1798 -LRB102 04062 AMC 14078 b

1no such case shall the time period for prosecution expire
2sooner than 3 years after the commission of the offense.
3    (e) Except as otherwise provided in subdivision (j), a
4prosecution for any offense involving sexual conduct or sexual
5penetration, as defined in Section 11-0.1 of this Code, where
6the defendant was within a professional or fiduciary
7relationship or a purported professional or fiduciary
8relationship with the victim at the time of the commission of
9the offense may be commenced within one year after the
10discovery of the offense by the victim.
11    (f) A prosecution for any offense set forth in Section 44
12of the Environmental Protection Act may be commenced within 5
13years after the discovery of such an offense by a person or
14agency having the legal duty to report the offense or in the
15absence of such discovery, within 5 years after the proper
16prosecuting officer becomes aware of the offense.
17    (f-5) A prosecution for any offense set forth in Section
1816-30 of this Code may be commenced within 5 years after the
19discovery of the offense by the victim of that offense.
20    (g) (Blank).
21    (h) (Blank).
22    (i) Except as otherwise provided in subdivision (j), a
23prosecution for criminal sexual assault, aggravated criminal
24sexual assault, or aggravated criminal sexual abuse may be
25commenced at any time. If the victim consented to the
26collection of evidence using an Illinois State Police Sexual

 

 

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1Assault Evidence Collection Kit under the Sexual Assault
2Survivors Emergency Treatment Act, it shall constitute
3reporting for purposes of this Section.
4    Nothing in this subdivision (i) shall be construed to
5shorten a period within which a prosecution must be commenced
6under any other provision of this Section.
7    (i-5) A prosecution for armed robbery, home invasion,
8kidnapping, or aggravated kidnaping may be commenced within 10
9years of the commission of the offense if it arises out of the
10same course of conduct and meets the criteria under one of the
11offenses in subsection (i) of this Section.
12    (j) (1) When the victim is under 18 years of age at the
13time of the offense, a prosecution for criminal sexual
14assault, aggravated criminal sexual assault, predatory
15criminal sexual assault of a child, aggravated criminal sexual
16abuse, felony criminal sexual abuse, or female genital
17mutilation may be commenced at any time.
18    (2) When in circumstances other than as described in
19paragraph (1) of this subsection (j), when the victim is under
2018 years of age at the time of the offense, a prosecution for
21failure of a person who is required to report an alleged or
22suspected commission of criminal sexual assault, aggravated
23criminal sexual assault, predatory criminal sexual assault of
24a child, aggravated criminal sexual abuse, or felony criminal
25sexual abuse under the Abused and Neglected Child Reporting
26Act may be commenced within 20 years after the child victim

 

 

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1attains 18 years of age.
2    (3) When the victim is under 18 years of age at the time of
3the offense, a prosecution for misdemeanor criminal sexual
4abuse may be commenced within 10 years after the child victim
5attains 18 years of age.
6    (4) Nothing in this subdivision (j) shall be construed to
7shorten a period within which a prosecution must be commenced
8under any other provision of this Section.
9    (j-5) A prosecution for armed robbery, home invasion,
10kidnapping, or aggravated kidnaping may be commenced at any
11time if it arises out of the same course of conduct and meets
12the criteria under one of the offenses in subsection (j) of
13this Section.
14    (k) (Blank).
15    (l) A prosecution for any offense set forth in Section
1626-4 of this Code may be commenced within one year after the
17discovery of the offense by the victim of that offense.
18    (l-5) A prosecution for any offense involving sexual
19conduct or sexual penetration, as defined in Section 11-0.1 of
20this Code, in which the victim was 18 years of age or older at
21the time of the offense, may be commenced within one year after
22the discovery of the offense by the victim when corroborating
23physical evidence is available. The charging document shall
24state that the statute of limitations is extended under this
25subsection (l-5) and shall state the circumstances justifying
26the extension. Nothing in this subsection (l-5) shall be

 

 

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1construed to shorten a period within which a prosecution must
2be commenced under any other provision of this Section or
3Section 3-5 of this Code.
4    (m) The prosecution shall not be required to prove at
5trial facts which extend the general limitations in Section
63-5 of this Code when the facts supporting extension of the
7period of general limitations are properly pled in the
8charging document. Any challenge relating to the extension of
9the general limitations period as defined in this Section
10shall be exclusively conducted under Section 114-1 of the Code
11of Criminal Procedure of 1963.
12    (n) A prosecution for any offense set forth in subsection
13(a), (b), or (c) of Section 8A-3 or Section 8A-13 of the
14Illinois Public Aid Code, in which the total amount of money
15involved is $5,000 or more, including the monetary value of
16food stamps and the value of commodities under Section 16-1 of
17this Code may be commenced within 5 years of the last act
18committed in furtherance of the offense.
19(Source: P.A. 100-80, eff. 8-11-17; 100-318, eff. 8-24-17;
20100-434, eff. 1-1-18; 100-863, eff. 8-14-18; 100-998, eff.
211-1-19; 100-1010, eff. 1-1-19; 100-1087, eff. 1-1-19; 101-18,
22eff. 1-1-20; 101-81, eff. 7-12-19; 101-130, eff. 1-1-20;
23101-285, eff. 1-1-20; revised 9-23-19.)
 
24    (720 ILCS 5/9-3.2)  (from Ch. 38, par. 9-3.2)
25    Sec. 9-3.2. Involuntary manslaughter and reckless homicide

 

 

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1of an unborn child.
2    (a) A person who unintentionally kills an unborn child
3without lawful justification commits involuntary manslaughter
4of an unborn child if his acts whether lawful or unlawful which
5cause the death are such as are likely to cause death or great
6bodily harm to some individual, and he performs them
7recklessly, except in cases in which the cause of death
8consists of the driving of a motor vehicle, in which case the
9person commits reckless homicide of an unborn child.
10    (b) Sentence.
11        (1) Involuntary manslaughter of an unborn child is a
12    Class 3 felony.
13        (2) Reckless homicide of an unborn child is a Class 3
14    felony.
15    (c) For purposes of this Section, (1) "unborn child" shall
16mean any individual of the human species from the implantation
17of an embryo until birth, and (2) "person" shall not include
18the pregnant individual whose unborn child is killed.
19    (d) This Section shall not apply to acts which cause the
20death of an unborn child if those acts were committed during
21any abortion, as defined in Section 1-10 of the Reproductive
22Health Act,, to which the pregnant individual has consented.
23This Section shall not apply to acts which were committed
24pursuant to usual and customary standards of medical practice
25during diagnostic testing or therapeutic treatment.
26    (e) The provisions of this Section shall not be construed

 

 

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1to prohibit the prosecution of any person under any other
2provision of law, nor shall it be construed to preclude any
3civil cause of action.
4(Source: P.A. 101-13, eff. 6-12-19; revised 7-23-19.)
 
5    (720 ILCS 5/12-2)  (from Ch. 38, par. 12-2)
6    Sec. 12-2. Aggravated assault.
7    (a) Offense based on location of conduct. A person commits
8aggravated assault when he or she commits an assault against
9an individual who is on or about a public way, public property,
10a public place of accommodation or amusement, or a sports
11venue, or in a church, synagogue, mosque, or other building,
12structure, or place used for religious worship.
13    (b) Offense based on status of victim. A person commits
14aggravated assault when, in committing an assault, he or she
15knows the individual assaulted to be any of the following:
16        (1) A person with a physical disability or a person 60
17    years of age or older and the assault is without legal
18    justification.
19        (2) A teacher or school employee upon school grounds
20    or grounds adjacent to a school or in any part of a
21    building used for school purposes.
22        (3) A park district employee upon park grounds or
23    grounds adjacent to a park or in any part of a building
24    used for park purposes.
25        (4) A community policing volunteer, private security

 

 

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1    officer, or utility worker:
2            (i) performing his or her official duties;
3            (ii) assaulted to prevent performance of his or
4        her official duties; or
5            (iii) assaulted in retaliation for performing his
6        or her official duties.
7        (4.1) A peace officer, fireman, emergency management
8    worker, or emergency medical services personnel:
9            (i) performing his or her official duties;
10            (ii) assaulted to prevent performance of his or
11        her official duties; or
12            (iii) assaulted in retaliation for performing his
13        or her official duties.
14        (5) A correctional officer or probation officer:
15            (i) performing his or her official duties;
16            (ii) assaulted to prevent performance of his or
17        her official duties; or
18            (iii) assaulted in retaliation for performing his
19        or her official duties.
20        (6) A correctional institution employee, a county
21    juvenile detention center employee who provides direct and
22    continuous supervision of residents of a juvenile
23    detention center, including a county juvenile detention
24    center employee who supervises recreational activity for
25    residents of a juvenile detention center, or a Department
26    of Human Services employee, Department of Human Services

 

 

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1    officer, or employee of a subcontractor of the Department
2    of Human Services supervising or controlling sexually
3    dangerous persons or sexually violent persons:
4            (i) performing his or her official duties;
5            (ii) assaulted to prevent performance of his or
6        her official duties; or
7            (iii) assaulted in retaliation for performing his
8        or her official duties.
9        (7) An employee of the State of Illinois, a municipal
10    corporation therein, or a political subdivision thereof,
11    performing his or her official duties.
12        (8) A transit employee performing his or her official
13    duties, or a transit passenger.
14        (9) A sports official or coach actively participating
15    in any level of athletic competition within a sports
16    venue, on an indoor playing field or outdoor playing
17    field, or within the immediate vicinity of such a facility
18    or field.
19        (10) A person authorized to serve process under
20    Section 2-202 of the Code of Civil Procedure or a special
21    process server appointed by the circuit court, while that
22    individual is in the performance of his or her duties as a
23    process server.
24    (c) Offense based on use of firearm, device, or motor
25vehicle. A person commits aggravated assault when, in
26committing an assault, he or she does any of the following:

 

 

SB2435- 1806 -LRB102 04062 AMC 14078 b

1        (1) Uses a deadly weapon, an air rifle as defined in
2    Section 24.8-0.1 of this Act, or any device manufactured
3    and designed to be substantially similar in appearance to
4    a firearm, other than by discharging a firearm.
5        (2) Discharges a firearm, other than from a motor
6    vehicle.
7        (3) Discharges a firearm from a motor vehicle.
8        (4) Wears a hood, robe, or mask to conceal his or her
9    identity.
10        (5) Knowingly and without lawful justification shines
11    or flashes a laser gun sight or other laser device
12    attached to a firearm, or used in concert with a firearm,
13    so that the laser beam strikes near or in the immediate
14    vicinity of any person.
15        (6) Uses a firearm, other than by discharging the
16    firearm, against a peace officer, community policing
17    volunteer, fireman, private security officer, emergency
18    management worker, emergency medical services personnel,
19    employee of a police department, employee of a sheriff's
20    department, or traffic control municipal employee:
21            (i) performing his or her official duties;
22            (ii) assaulted to prevent performance of his or
23        her official duties; or
24            (iii) assaulted in retaliation for performing his
25        or her official duties.
26        (7) Without justification operates a motor vehicle in

 

 

SB2435- 1807 -LRB102 04062 AMC 14078 b

1    a manner which places a person, other than a person listed
2    in subdivision (b)(4), in reasonable apprehension of being
3    struck by the moving motor vehicle.
4        (8) Without justification operates a motor vehicle in
5    a manner which places a person listed in subdivision
6    (b)(4), in reasonable apprehension of being struck by the
7    moving motor vehicle.
8        (9) Knowingly video or audio records the offense with
9    the intent to disseminate the recording.
10    (d) Sentence. Aggravated assault as defined in subdivision
11(a), (b)(1), (b)(2), (b)(3), (b)(4), (b)(7), (b)(8), (b)(9),
12(c)(1), (c)(4), or (c)(9) is a Class A misdemeanor, except
13that aggravated assault as defined in subdivision (b)(4) and
14(b)(7) is a Class 4 felony if a Category I, Category II, or
15Category III weapon is used in the commission of the assault.
16Aggravated assault as defined in subdivision (b)(4.1), (b)(5),
17(b)(6), (b)(10), (c)(2), (c)(5), (c)(6), or (c)(7) is a Class
184 felony. Aggravated assault as defined in subdivision (c)(3)
19or (c)(8) is a Class 3 felony.
20    (e) For the purposes of this Section, "Category I weapon",
21"Category II weapon", and "Category III weapon" have the
22meanings ascribed to those terms in Section 33A-1 of this
23Code.
24(Source: P.A. 101-223, eff. 1-1-20; revised 9-24-19.)
 
25    (720 ILCS 5/28-1)  (from Ch. 38, par. 28-1)

 

 

SB2435- 1808 -LRB102 04062 AMC 14078 b

1    Sec. 28-1. Gambling.
2    (a) A person commits gambling when he or she:
3        (1) knowingly plays a game of chance or skill for
4    money or other thing of value, unless excepted in
5    subsection (b) of this Section;
6        (2) knowingly makes a wager upon the result of any
7    game, contest, or any political nomination, appointment or
8    election;
9        (3) knowingly operates, keeps, owns, uses, purchases,
10    exhibits, rents, sells, bargains for the sale or lease of,
11    manufactures or distributes any gambling device;
12        (4) contracts to have or give himself or herself or
13    another the option to buy or sell, or contracts to buy or
14    sell, at a future time, any grain or other commodity
15    whatsoever, or any stock or security of any company, where
16    it is at the time of making such contract intended by both
17    parties thereto that the contract to buy or sell, or the
18    option, whenever exercised, or the contract resulting
19    therefrom, shall be settled, not by the receipt or
20    delivery of such property, but by the payment only of
21    differences in prices thereof; however, the issuance,
22    purchase, sale, exercise, endorsement or guarantee, by or
23    through a person registered with the Secretary of State
24    pursuant to Section 8 of the Illinois Securities Law of
25    1953, or by or through a person exempt from such
26    registration under said Section 8, of a put, call, or

 

 

SB2435- 1809 -LRB102 04062 AMC 14078 b

1    other option to buy or sell securities which have been
2    registered with the Secretary of State or which are exempt
3    from such registration under Section 3 of the Illinois
4    Securities Law of 1953 is not gambling within the meaning
5    of this paragraph (4);
6        (5) knowingly owns or possesses any book, instrument
7    or apparatus by means of which bets or wagers have been, or
8    are, recorded or registered, or knowingly possesses any
9    money which he has received in the course of a bet or
10    wager;
11        (6) knowingly sells pools upon the result of any game
12    or contest of skill or chance, political nomination,
13    appointment or election;
14        (7) knowingly sets up or promotes any lottery or
15    sells, offers to sell or transfers any ticket or share for
16    any lottery;
17        (8) knowingly sets up or promotes any policy game or
18    sells, offers to sell or knowingly possesses or transfers
19    any policy ticket, slip, record, document or other similar
20    device;
21        (9) knowingly drafts, prints or publishes any lottery
22    ticket or share, or any policy ticket, slip, record,
23    document or similar device, except for such activity
24    related to lotteries, bingo games and raffles authorized
25    by and conducted in accordance with the laws of Illinois
26    or any other state or foreign government;

 

 

SB2435- 1810 -LRB102 04062 AMC 14078 b

1        (10) knowingly advertises any lottery or policy game,
2    except for such activity related to lotteries, bingo games
3    and raffles authorized by and conducted in accordance with
4    the laws of Illinois or any other state;
5        (11) knowingly transmits information as to wagers,
6    betting odds, or changes in betting odds by telephone,
7    telegraph, radio, semaphore or similar means; or knowingly
8    installs or maintains equipment for the transmission or
9    receipt of such information; except that nothing in this
10    subdivision (11) prohibits transmission or receipt of such
11    information for use in news reporting of sporting events
12    or contests; or
13        (12) knowingly establishes, maintains, or operates an
14    Internet site that permits a person to play a game of
15    chance or skill for money or other thing of value by means
16    of the Internet or to make a wager upon the result of any
17    game, contest, political nomination, appointment, or
18    election by means of the Internet. This item (12) does not
19    apply to activities referenced in items (6), (6.1), (8),
20    and (8.1), and (15) of subsection (b) of this Section.
21    (b) Participants in any of the following activities shall
22not be convicted of gambling:
23        (1) Agreements to compensate for loss caused by the
24    happening of chance including without limitation contracts
25    of indemnity or guaranty and life or health or accident
26    insurance.

 

 

SB2435- 1811 -LRB102 04062 AMC 14078 b

1        (2) Offers of prizes, award or compensation to the
2    actual contestants in any bona fide contest for the
3    determination of skill, speed, strength or endurance or to
4    the owners of animals or vehicles entered in such contest.
5        (3) Pari-mutuel betting as authorized by the law of
6    this State.
7        (4) Manufacture of gambling devices, including the
8    acquisition of essential parts therefor and the assembly
9    thereof, for transportation in interstate or foreign
10    commerce to any place outside this State when such
11    transportation is not prohibited by any applicable Federal
12    law; or the manufacture, distribution, or possession of
13    video gaming terminals, as defined in the Video Gaming
14    Act, by manufacturers, distributors, and terminal
15    operators licensed to do so under the Video Gaming Act.
16        (5) The game commonly known as "bingo", when conducted
17    in accordance with the Bingo License and Tax Act.
18        (6) Lotteries when conducted by the State of Illinois
19    in accordance with the Illinois Lottery Law. This
20    exemption includes any activity conducted by the
21    Department of Revenue to sell lottery tickets pursuant to
22    the provisions of the Illinois Lottery Law and its rules.
23        (6.1) The purchase of lottery tickets through the
24    Internet for a lottery conducted by the State of Illinois
25    under the program established in Section 7.12 of the
26    Illinois Lottery Law.

 

 

SB2435- 1812 -LRB102 04062 AMC 14078 b

1        (7) Possession of an antique slot machine that is
2    neither used nor intended to be used in the operation or
3    promotion of any unlawful gambling activity or enterprise.
4    For the purpose of this subparagraph (b)(7), an antique
5    slot machine is one manufactured 25 years ago or earlier.
6        (8) Raffles and poker runs when conducted in
7    accordance with the Raffles and Poker Runs Act.
8        (8.1) The purchase of raffle chances for a raffle
9    conducted in accordance with the Raffles and Poker Runs
10    Act.
11        (9) Charitable games when conducted in accordance with
12    the Charitable Games Act.
13        (10) Pull tabs and jar games when conducted under the
14    Illinois Pull Tabs and Jar Games Act.
15        (11) Gambling games when authorized by the Illinois
16    Gambling Act.
17        (12) Video gaming terminal games at a licensed
18    establishment, licensed truck stop establishment, licensed
19    large truck stop establishment, licensed fraternal
20    establishment, or licensed veterans establishment when
21    conducted in accordance with the Video Gaming Act.
22        (13) Games of skill or chance where money or other
23    things of value can be won but no payment or purchase is
24    required to participate.
25        (14) Savings promotion raffles authorized under
26    Section 5g of the Illinois Banking Act, Section 7008 of

 

 

SB2435- 1813 -LRB102 04062 AMC 14078 b

1    the Savings Bank Act, Section 42.7 of the Illinois Credit
2    Union Act, Section 5136B of the National Bank Act (12
3    U.S.C. 25a), or Section 4 of the Home Owners' Loan Act (12
4    U.S.C. 1463).
5        (15) Sports wagering when conducted in accordance with
6    the Sports Wagering Act.
7    (c) Sentence.
8    Gambling is a Class A misdemeanor. A second or subsequent
9conviction under subsections (a)(3) through (a)(12), is a
10Class 4 felony.
11    (d) Circumstantial evidence.
12    In prosecutions under this Section circumstantial evidence
13shall have the same validity and weight as in any criminal
14prosecution.
15(Source: P.A. 101-31, Article 25, Section 25-915, eff.
166-28-19; 101-31, Article 35, Section 35-80, eff. 6-28-19;
17101-109, eff. 7-19-19; revised 8-6-19.)
 
18    (720 ILCS 5/28-2)  (from Ch. 38, par. 28-2)
19    Sec. 28-2. Definitions.
20    (a) A "gambling device" is any clock, tape machine, slot
21machine or other machines or device for the reception of money
22or other thing of value on chance or skill or upon the action
23of which money or other thing of value is staked, hazarded,
24bet, won, or lost; or any mechanism, furniture, fixture,
25equipment, or other device designed primarily for use in a

 

 

SB2435- 1814 -LRB102 04062 AMC 14078 b

1gambling place. A "gambling device" does not include:
2        (1) A coin-in-the-slot operated mechanical device
3    played for amusement which rewards the player with the
4    right to replay such mechanical device, which device is so
5    constructed or devised as to make such result of the
6    operation thereof depend in part upon the skill of the
7    player and which returns to the player thereof no money,
8    property, or right to receive money or property.
9        (2) Vending machines by which full and adequate return
10    is made for the money invested and in which there is no
11    element of chance or hazard.
12        (3) A crane game. For the purposes of this paragraph
13    (3), a "crane game" is an amusement device involving
14    skill, if it rewards the player exclusively with
15    merchandise contained within the amusement device proper
16    and limited to toys, novelties, and prizes other than
17    currency, each having a wholesale value which is not more
18    than $25.
19        (4) A redemption machine. For the purposes of this
20    paragraph (4), a "redemption machine" is a single-player
21    or multi-player amusement device involving a game, the
22    object of which is throwing, rolling, bowling, shooting,
23    placing, or propelling a ball or other object that is
24    either physical or computer generated on a display or with
25    lights into, upon, or against a hole or other target that
26    is either physical or computer generated on a display or

 

 

SB2435- 1815 -LRB102 04062 AMC 14078 b

1    with lights, or stopping, by physical, mechanical, or
2    electronic means, a moving object that is either physical
3    or computer generated on a display or with lights into,
4    upon, or against a hole or other target that is either
5    physical or computer generated on a display or with
6    lights, provided that all of the following conditions are
7    met:
8            (A) The outcome of the game is predominantly
9        determined by the skill of the player.
10            (B) The award of the prize is based solely upon the
11        player's achieving the object of the game or otherwise
12        upon the player's score.
13            (C) Only merchandise prizes are awarded.
14            (D) The wholesale value of prizes awarded in lieu
15        of tickets or tokens for single play of the device does
16        not exceed $25.
17            (E) The redemption value of tickets, tokens, and
18        other representations of value, which may be
19        accumulated by players to redeem prizes of greater
20        value, for a single play of the device does not exceed
21        $25.
22        (5) Video gaming terminals at a licensed
23    establishment, licensed truck stop establishment, licensed
24    large truck stop establishment, licensed fraternal
25    establishment, or licensed veterans establishment licensed
26    in accordance with the Video Gaming Act.

 

 

SB2435- 1816 -LRB102 04062 AMC 14078 b

1    (a-5) "Internet" means an interactive computer service or
2system or an information service, system, or access software
3provider that provides or enables computer access by multiple
4users to a computer server, and includes, but is not limited
5to, an information service, system, or access software
6provider that provides access to a network system commonly
7known as the Internet, or any comparable system or service and
8also includes, but is not limited to, a World Wide Web page,
9newsgroup, message board, mailing list, or chat area on any
10interactive computer service or system or other online
11service.
12    (a-6) "Access" has the meaning ascribed to the term in
13Section 17-55.
14    (a-7) "Computer" has the meaning ascribed to the term in
15Section 17-0.5.
16    (b) A "lottery" is any scheme or procedure whereby one or
17more prizes are distributed by chance among persons who have
18paid or promised consideration for a chance to win such
19prizes, whether such scheme or procedure is called a lottery,
20raffle, gift, sale, or some other name, excluding savings
21promotion raffles authorized under Section 5g of the Illinois
22Banking Act, Section 7008 of the Savings Bank Act, Section
2342.7 of the Illinois Credit Union Act, Section 5136B of the
24National Bank Act (12 U.S.C. 25a), or Section 4 of the Home
25Owners' Loan Act (12 U.S.C. 1463).
26    (c) A "policy game" is any scheme or procedure whereby a

 

 

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1person promises or guarantees by any instrument, bill,
2certificate, writing, token, or other device that any
3particular number, character, ticket, or certificate shall in
4the event of any contingency in the nature of a lottery entitle
5the purchaser or holder to receive money, property, or
6evidence of debt.
7(Source: P.A. 101-31, eff. 6-28-19; 101-87, eff. 1-1-20;
8revised 8-6-19.)
 
9    (720 ILCS 5/28-3)   (from Ch. 38, par. 28-3)
10    Sec. 28-3. Keeping a gambling place. A "gambling place" is
11any real estate, vehicle, boat, or any other property
12whatsoever used for the purposes of gambling other than
13gambling conducted in the manner authorized by the Illinois
14Gambling Act, the Sports Wagering Act, or the Video Gaming
15Act. Any person who knowingly permits any premises or property
16owned or occupied by him or under his control to be used as a
17gambling place commits a Class A misdemeanor. Each subsequent
18offense is a Class 4 felony. When any premises is determined by
19the circuit court to be a gambling place:
20        (a) Such premises is a public nuisance and may be
21    proceeded against as such, and
22        (b) All licenses, permits or certificates issued by
23    the State of Illinois or any subdivision or public agency
24    thereof authorizing the serving of food or liquor on such
25    premises shall be void; and no license, permit or

 

 

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1    certificate so cancelled shall be reissued for such
2    premises for a period of 60 days thereafter; nor shall any
3    person convicted of keeping a gambling place be reissued
4    such license for one year from his conviction and, after a
5    second conviction of keeping a gambling place, any such
6    person shall not be reissued such license, and
7        (c) Such premises of any person who knowingly permits
8    thereon a violation of any Section of this Article shall
9    be held liable for, and may be sold to pay any unsatisfied
10    judgment that may be recovered and any unsatisfied fine
11    that may be levied under any Section of this Article.
12(Source: P.A. 101-31, Article 25, Section 25-915, eff.
136-28-19; 101-31, Article 35, Section 35-80, eff. 6-28-19;
14revised 7-12-19.)
 
15    (720 ILCS 5/28-5)  (from Ch. 38, par. 28-5)
16    Sec. 28-5. Seizure of gambling devices and gambling funds.
17    (a) Every device designed for gambling which is incapable
18of lawful use or every device used unlawfully for gambling
19shall be considered a "gambling device", and shall be subject
20to seizure, confiscation and destruction by the Department of
21State Police or by any municipal, or other local authority,
22within whose jurisdiction the same may be found. As used in
23this Section, a "gambling device" includes any slot machine,
24and includes any machine or device constructed for the
25reception of money or other thing of value and so constructed

 

 

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1as to return, or to cause someone to return, on chance to the
2player thereof money, property or a right to receive money or
3property. With the exception of any device designed for
4gambling which is incapable of lawful use, no gambling device
5shall be forfeited or destroyed unless an individual with a
6property interest in said device knows of the unlawful use of
7the device.
8    (b) Every gambling device shall be seized and forfeited to
9the county wherein such seizure occurs. Any money or other
10thing of value integrally related to acts of gambling shall be
11seized and forfeited to the county wherein such seizure
12occurs.
13    (c) If, within 60 days after any seizure pursuant to
14subparagraph (b) of this Section, a person having any property
15interest in the seized property is charged with an offense,
16the court which renders judgment upon such charge shall,
17within 30 days after such judgment, conduct a forfeiture
18hearing to determine whether such property was a gambling
19device at the time of seizure. Such hearing shall be commenced
20by a written petition by the State, including material
21allegations of fact, the name and address of every person
22determined by the State to have any property interest in the
23seized property, a representation that written notice of the
24date, time and place of such hearing has been mailed to every
25such person by certified mail at least 10 days before such
26date, and a request for forfeiture. Every such person may

 

 

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1appear as a party and present evidence at such hearing. The
2quantum of proof required shall be a preponderance of the
3evidence, and the burden of proof shall be on the State. If the
4court determines that the seized property was a gambling
5device at the time of seizure, an order of forfeiture and
6disposition of the seized property shall be entered: a
7gambling device shall be received by the State's Attorney, who
8shall effect its destruction, except that valuable parts
9thereof may be liquidated and the resultant money shall be
10deposited in the general fund of the county wherein such
11seizure occurred; money and other things of value shall be
12received by the State's Attorney and, upon liquidation, shall
13be deposited in the general fund of the county wherein such
14seizure occurred. However, in the event that a defendant
15raises the defense that the seized slot machine is an antique
16slot machine described in subparagraph (b) (7) of Section 28-1
17of this Code and therefore he is exempt from the charge of a
18gambling activity participant, the seized antique slot machine
19shall not be destroyed or otherwise altered until a final
20determination is made by the Court as to whether it is such an
21antique slot machine. Upon a final determination by the Court
22of this question in favor of the defendant, such slot machine
23shall be immediately returned to the defendant. Such order of
24forfeiture and disposition shall, for the purposes of appeal,
25be a final order and judgment in a civil proceeding.
26    (d) If a seizure pursuant to subparagraph (b) of this

 

 

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1Section is not followed by a charge pursuant to subparagraph
2(c) of this Section, or if the prosecution of such charge is
3permanently terminated or indefinitely discontinued without
4any judgment of conviction or acquittal (1) the State's
5Attorney shall commence an in rem proceeding for the
6forfeiture and destruction of a gambling device, or for the
7forfeiture and deposit in the general fund of the county of any
8seized money or other things of value, or both, in the circuit
9court and (2) any person having any property interest in such
10seized gambling device, money or other thing of value may
11commence separate civil proceedings in the manner provided by
12law.
13    (e) Any gambling device displayed for sale to a riverboat
14gambling operation, casino gambling operation, or organization
15gaming facility or used to train occupational licensees of a
16riverboat gambling operation, casino gambling operation, or
17organization gaming facility as authorized under the Illinois
18Gambling Act is exempt from seizure under this Section.
19    (f) Any gambling equipment, devices, and supplies provided
20by a licensed supplier in accordance with the Illinois
21Gambling Act which are removed from a riverboat, casino, or
22organization gaming facility for repair are exempt from
23seizure under this Section.
24    (g) The following video gaming terminals are exempt from
25seizure under this Section:
26        (1) Video gaming terminals for sale to a licensed

 

 

SB2435- 1822 -LRB102 04062 AMC 14078 b

1    distributor or operator under the Video Gaming Act.
2        (2) Video gaming terminals used to train licensed
3    technicians or licensed terminal handlers.
4        (3) Video gaming terminals that are removed from a
5    licensed establishment, licensed truck stop establishment,
6    licensed large truck stop establishment, licensed
7    fraternal establishment, or licensed veterans
8    establishment for repair.
9    (h) Property seized or forfeited under this Section is
10subject to reporting under the Seizure and Forfeiture
11Reporting Act.
12    (i) Any sports lottery terminals provided by a central
13system provider that are removed from a lottery retailer for
14repair under the Sports Wagering Act are exempt from seizure
15under this Section.
16(Source: P.A. 100-512, eff. 7-1-18; 101-31, Article 25,
17Section 25-915, eff. 6-28-19; 101-31, Article 35, Section
1835-80, eff. 6-28-19; revised 7-12-19.)
 
19    (720 ILCS 5/29B-21)
20    Sec. 29B-21. Attorney's fees. Nothing in this Article
21applies to property that constitutes reasonable bona fide
22attorney's fees paid to an attorney for services rendered or
23to be rendered in the forfeiture proceeding or criminal
24proceeding relating directly thereto if the property was paid
25before its seizure and before the issuance of any seizure

 

 

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1warrant or court order prohibiting transfer of the property
2and if the attorney, at the time he or she received the
3property, did not know that it was property subject to
4forfeiture under this Article.
5(Source: P.A. 100-699, eff. 8-3-18; 100-1163, eff. 12-20-18;
6revised 7-12-19.)
 
7    Section 720. The Cannabis Control Act is amended by
8changing Sections 5.2 and 5.3 as follows:
 
9    (720 ILCS 550/5.2)  (from Ch. 56 1/2, par. 705.2)
10    Sec. 5.2. Delivery of cannabis on school grounds.
11    (a) Any person who violates subsection (e) of Section 5 in
12any school, on the real property comprising any school, or any
13conveyance owned, leased or contracted by a school to
14transport students to or from school or a school related
15activity, or on any public way within 500 feet of the real
16property comprising any school, or in any conveyance owned,
17leased or contracted by a school to transport students to or
18from school or a school related activity, and at the time of
19the violation persons under the age of 18 are present, the
20offense is committed during school hours, or the offense is
21committed at times when persons under the age of 18 are
22reasonably expected to be present in the school, in the
23conveyance, on the real property, or on the public way, such as
24when after-school activities are occurring, is guilty of a

 

 

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1Class 1 felony, the fine for which shall not exceed $200,000. ;
2    (b) Any person who violates subsection (d) of Section 5 in
3any school, on the real property comprising any school, or any
4conveyance owned, leased or contracted by a school to
5transport students to or from school or a school related
6activity, or on any public way within 500 feet of the real
7property comprising any school, or in any conveyance owned,
8leased or contracted by a school to transport students to or
9from school or a school related activity, and at the time of
10the violation persons under the age of 18 are present, the
11offense is committed during school hours, or the offense is
12committed at times when persons under the age of 18 are
13reasonably expected to be present in the school, in the
14conveyance, on the real property, or on the public way, such as
15when after-school activities are occurring, is guilty of a
16Class 2 felony, the fine for which shall not exceed $100,000. ;
17    (c) Any person who violates subsection (c) of Section 5 in
18any school, on the real property comprising any school, or any
19conveyance owned, leased or contracted by a school to
20transport students to or from school or a school related
21activity, or on any public way within 500 feet of the real
22property comprising any school, or in any conveyance owned,
23leased or contracted by a school to transport students to or
24from school or a school related activity, and at the time of
25the violation persons under the age of 18 are present, the
26offense is committed during school hours, or the offense is

 

 

SB2435- 1825 -LRB102 04062 AMC 14078 b

1committed at times when persons under the age of 18 are
2reasonably expected to be present in the school, in the
3conveyance, on the real property, or on the public way, such as
4when after-school activities are occurring, is guilty of a
5Class 3 felony, the fine for which shall not exceed $50,000. ;
6    (d) Any person who violates subsection (b) of Section 5 in
7any school, on the real property comprising any school, or any
8conveyance owned, leased or contracted by a school to
9transport students to or from school or a school related
10activity, or on any public way within 500 feet of the real
11property comprising any school, or in any conveyance owned,
12leased or contracted by a school to transport students to or
13from school or a school related activity, and at the time of
14the violation persons under the age of 18 are present, the
15offense is committed during school hours, or the offense is
16committed at times when persons under the age of 18 are
17reasonably expected to be present in the school, in the
18conveyance, on the real property, or on the public way, such as
19when after-school activities are occurring, is guilty of a
20Class 4 felony, the fine for which shall not exceed $25,000. ;
21    (e) Any person who violates subsection (a) of Section 5 in
22any school, on the real property comprising any school, or in
23any conveyance owned, leased or contracted by a school to
24transport students to or from school or a school related
25activity, on any public way within 500 feet of the real
26property comprising any school, or any conveyance owned,

 

 

SB2435- 1826 -LRB102 04062 AMC 14078 b

1leased or contracted by a school to transport students to or
2from school or a school related activity, and at the time of
3the violation persons under the age of 18 are present, the
4offense is committed during school hours, or the offense is
5committed at times when persons under the age of 18 are
6reasonably expected to be present in the school, in the
7conveyance, on the real property, or on the public way, such as
8when after-school activities are occurring, is guilty of a
9Class A misdemeanor.
10    (f) This Section does not apply to a violation that occurs
11in or on the grounds of a building that is designated as a
12school but is no longer operational or active as a school,
13including a building that is temporarily or permanently closed
14by a unit of local government.
15(Source: P.A. 100-3, eff. 1-1-18; 101-429, eff. 8-20-19;
16revised 8-28-20.)
 
17    (720 ILCS 550/5.3)
18    Sec. 5.3. Unlawful use of cannabis-based product
19manufacturing equipment.
20    (a) A person commits unlawful use of cannabis-based
21product manufacturing equipment when he or she knowingly
22engages in the possession, procurement, transportation,
23storage, or delivery of any equipment used in the
24manufacturing of any cannabis-based product using volatile or
25explosive gas, including, but not limited to, canisters of

 

 

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1butane gas, with the intent to manufacture, compound, covert,
2produce, derive, process, or prepare either directly or
3indirectly any cannabis-based product.
4    (b) This Section does not apply to a cultivation center or
5cultivation center agent that prepares medical cannabis or
6cannabis-infused products in compliance with the Compassionate
7Use of Medical Cannabis Program Act and Department of Public
8Health and Department of Agriculture rules.
9    (c) Sentence. A person who violates this Section is guilty
10of a Class 2 felony.
11    (d) This Section does not apply to craft growers,
12cultivation centers, and infuser organizations licensed under
13the Cannabis Regulation and Tax Act.
14    (e) This Section does not apply to manufacturers of
15cannabis-based product manufacturing equipment or transporting
16organizations with documentation identifying the seller and
17purchaser of the equipment if the seller or purchaser is a
18craft grower, cultivation center, or infuser organization
19licensed under the Cannabis Regulation and Tax Act.
20(Source: P.A. 101-27, eff. 6-25-19; 101-363, eff. 8-9-19;
21revised 9-23-19.)
 
22    Section 725. The Prevention of Tobacco Use by Persons
23under 21 Years of Age and Sale and Distribution of Tobacco
24Products Act is amended by changing Section 2 as follows:
 

 

 

SB2435- 1828 -LRB102 04062 AMC 14078 b

1    (720 ILCS 675/2)  (from Ch. 23, par. 2358)
2    Sec. 2. Penalties.
3    (a) Any person who violates subsection (a), (a-5),
4(a-5.1), (a-8), (b), or (d) of Section 1 of this Act is guilty
5of a petty offense. For the first offense in a 24-month period,
6the person shall be fined $200 if his or her employer has a
7training program that facilitates compliance with minimum-age
8tobacco laws. For the second offense in a 24-month period, the
9person shall be fined $400 if his or her employer has a
10training program that facilitates compliance with minimum-age
11tobacco laws. For the third offense in a 24-month period, the
12person shall be fined $600 if his or her employer has a
13training program that facilitates compliance with minimum-age
14tobacco laws. For the fourth or subsequent offense in a
1524-month period, the person shall be fined $800 if his or her
16employer has a training program that facilitates compliance
17with minimum-age tobacco laws. For the purposes of this
18subsection, the 24-month period shall begin with the person's
19first violation of the Act. The penalties in this subsection
20are in addition to any other penalties prescribed under the
21Cigarette Tax Act and the Tobacco Products Tax Act of 1995.
22    (a-5) Any retailer who violates subsection (a), (a-5),
23(a-5.1), (a-8), (b), or (d) of Section 1 of this Act is guilty
24of a petty offense. For the first offense in a 24-month period,
25the retailer shall be fined $200 if it does not have a training
26program that facilitates compliance with minimum-age tobacco

 

 

SB2435- 1829 -LRB102 04062 AMC 14078 b

1laws. For the second offense in a 24-month period, the
2retailer shall be fined $400 if it does not have a training
3program that facilitates compliance with minimum-age tobacco
4laws. For the third offense within a 24-month period, the
5retailer shall be fined $600 if it does not have a training
6program that facilitates compliance with minimum-age tobacco
7laws. For the fourth or subsequent offense in a 24-month
8period, the retailer shall be fined $800 if it does not have a
9training program that facilitates compliance with minimum-age
10tobacco laws. For the purposes of this subsection, the
1124-month period shall begin with the person's first violation
12of the Act. The penalties in this subsection are in addition to
13any other penalties prescribed under the Cigarette Tax Act and
14the Tobacco Products Tax Act of 1995.
15    (a-6) For the purpose of this Act, a training program that
16facilitates compliance with minimum-age tobacco laws must
17include at least the following elements: (i) it must explain
18that only individuals displaying valid identification
19demonstrating that they are 21 years of age or older shall be
20eligible to purchase tobacco products, electronic cigarettes,
21or alternative nicotine products and (ii) it must explain
22where a clerk can check identification for a date of birth. The
23training may be conducted electronically. Each retailer that
24has a training program shall require each employee who
25completes the training program to sign a form attesting that
26the employee has received and completed tobacco training. The

 

 

SB2435- 1830 -LRB102 04062 AMC 14078 b

1form shall be kept in the employee's file and may be used to
2provide proof of training.
3    (b) (Blank). I If a person under 21 years of age violates
4subsection (a-6) of Section 1, he or she is guilty of a Class A
5misdemeanor.
6    (c) (Blank).
7    (d) (Blank).
8    (e) (Blank).
9    (f) (Blank).
10    (g) (Blank).
11    (h) All moneys collected as fines for violations of
12subsection (a), (a-5), (a-5.1), (a-6), (a-8), (b), or (d) or
13(a-7) of Section 1 shall be distributed in the following
14manner:
15        (1) one-half of each fine shall be distributed to the
16    unit of local government or other entity that successfully
17    prosecuted the offender; and
18        (2) one-half shall be remitted to the State to be used
19    for enforcing this Act.
20    Any violation of subsection (a) or (a-5) of Section 1
21shall be reported to the Department of Revenue within 7
22business days.
23(Source: P.A. 100-201, eff. 8-18-17; 101-2, eff. 7-1-19;
24revised 4-29-19.)
 
25    Section 730. The Prevention of Cigarette Sales to Persons

 

 

SB2435- 1831 -LRB102 04062 AMC 14078 b

1under 21 Years of Age Act is amended by changing Section 7 as
2follows:
 
3    (720 ILCS 678/7)
4    Sec. 7. Age verification and shipping requirements to
5prevent delivery sales to persons under 21 years of age.
6    (a) No person, other than a delivery service, shall mail,
7ship, or otherwise cause to be delivered a shipping package in
8connection with a delivery sale unless the person:
9        (1) prior to the first delivery sale to the
10    prospective consumer, obtains from the prospective
11    consumer a written certification which includes a
12    statement signed by the prospective consumer that
13    certifies:
14            (A) the prospective consumer's current address;
15        and
16            (B) that the prospective consumer is at least the
17        legal minimum age;
18        (2) informs, in writing, such prospective consumer
19    that:
20            (A) the signing of another person's name to the
21        certification described in this Section is illegal;
22            (B) sales of cigarettes to individuals under 21
23        years of age are illegal;
24            (C) the purchase of cigarettes by individuals
25        under 21 years of age is illegal; and

 

 

SB2435- 1832 -LRB102 04062 AMC 14078 b

1            (D) the name and identity of the prospective
2        consumer may be reported to the state of the
3        consumer's current address under the Act of October
4        19, 1949 (15 U.S.C. § 375, et seq.), commonly known as
5        the Jenkins Act;
6        (3) makes a good faith effort to verify the date of
7    birth of the prospective consumer provided pursuant to
8    this Section by:
9            (A) comparing the date of birth against a
10        commercially available database; or
11            (B) obtaining a photocopy or other image of a
12        valid, government-issued identification stating the
13        date of birth or age of the prospective consumer;
14        (4) provides to the prospective consumer a notice that
15    meets the requirements of subsection (b);
16        (5) receives payment for the delivery sale from the
17    prospective consumer by a credit or debit card that has
18    been issued in such consumer's name, or by a check or other
19    written instrument in such consumer's name; and
20        (6) ensures that the shipping package is delivered to
21    the same address as is shown on the government-issued
22    identification or contained in the commercially available
23    database.
24    (b) The notice required under this Section shall include:
25        (1) a statement that cigarette sales to consumers
26    below 21 years of age are illegal;

 

 

SB2435- 1833 -LRB102 04062 AMC 14078 b

1        (2) a statement that sales of cigarettes are
2    restricted to those consumers who provide verifiable proof
3    of age in accordance with subsection (a);
4        (3) a statement that cigarette sales are subject to
5    tax under Section 2 of the Cigarette Tax Act (35 ILCS
6    130/2), Section 2 of the Cigarette Use Tax Act, and
7    Section 3 of the Use Tax Act and an explanation of how the
8    correct tax has been, or is to be, paid with respect to
9    such delivery sale.
10    (c) A statement meets the requirement of this Section if:
11        (1) the statement is clear and conspicuous;
12        (2) the statement is contained in a printed box set
13    apart from the other contents of the communication;
14        (3) the statement is printed in bold, capital letters;
15        (4) the statement is printed with a degree of color
16    contrast between the background and the printed statement
17    that is no less than the color contrast between the
18    background and the largest text used in the communication;
19    and
20        (5) for any printed material delivered by electronic
21    means, the statement appears at both the top and the
22    bottom of the electronic mail message or both the top and
23    the bottom of the Internet website homepage.
24    (d) Each person, other than a delivery service, who mails,
25ships, or otherwise causes to be delivered a shipping package
26in connection with a delivery sale shall:

 

 

SB2435- 1834 -LRB102 04062 AMC 14078 b

1        (1) include as part of the shipping documents a clear
2    and conspicuous statement stating: "Cigarettes: Illinois
3    Law Prohibits Shipping to Individuals Under 21 and
4    Requires the Payment of All Applicable Taxes";
5        (2) use a method of mailing, shipping, or delivery
6    that requires a signature before the shipping package is
7    released to the consumer; and
8        (3) ensure that the shipping package is not delivered
9    to any post office box.
10(Source: P.A. 101-2, eff. 7-1-19; revised 4-29-19.)
 
11    Section 735. The Code of Criminal Procedure of 1963 is
12amended by changing Sections 110-5, 111-1, 112A-23, and
13124A-20 as follows:
 
14    (725 ILCS 5/110-5)  (from Ch. 38, par. 110-5)
15    Sec. 110-5. Determining the amount of bail and conditions
16of release.
17    (a) In determining the amount of monetary bail or
18conditions of release, if any, which will reasonably assure
19the appearance of a defendant as required or the safety of any
20other person or the community and the likelihood of compliance
21by the defendant with all the conditions of bail, the court
22shall, on the basis of available information, take into
23account such matters as the nature and circumstances of the
24offense charged, whether the evidence shows that as part of

 

 

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1the offense there was a use of violence or threatened use of
2violence, whether the offense involved corruption of public
3officials or employees, whether there was physical harm or
4threats of physical harm to any public official, public
5employee, judge, prosecutor, juror or witness, senior citizen,
6child, or person with a disability, whether evidence shows
7that during the offense or during the arrest the defendant
8possessed or used a firearm, machine gun, explosive or metal
9piercing ammunition or explosive bomb device or any military
10or paramilitary armament, whether the evidence shows that the
11offense committed was related to or in furtherance of the
12criminal activities of an organized gang or was motivated by
13the defendant's membership in or allegiance to an organized
14gang, the condition of the victim, any written statement
15submitted by the victim or proffer or representation by the
16State regarding the impact which the alleged criminal conduct
17has had on the victim and the victim's concern, if any, with
18further contact with the defendant if released on bail,
19whether the offense was based on racial, religious, sexual
20orientation or ethnic hatred, the likelihood of the filing of
21a greater charge, the likelihood of conviction, the sentence
22applicable upon conviction, the weight of the evidence against
23such defendant, whether there exists motivation or ability to
24flee, whether there is any verification as to prior residence,
25education, or family ties in the local jurisdiction, in
26another county, state or foreign country, the defendant's

 

 

SB2435- 1836 -LRB102 04062 AMC 14078 b

1employment, financial resources, character and mental
2condition, past conduct, prior use of alias names or dates of
3birth, and length of residence in the community, the consent
4of the defendant to periodic drug testing in accordance with
5Section 110-6.5, whether a foreign national defendant is
6lawfully admitted in the United States of America, whether the
7government of the foreign national maintains an extradition
8treaty with the United States by which the foreign government
9will extradite to the United States its national for a trial
10for a crime allegedly committed in the United States, whether
11the defendant is currently subject to deportation or exclusion
12under the immigration laws of the United States, whether the
13defendant, although a United States citizen, is considered
14under the law of any foreign state a national of that state for
15the purposes of extradition or non-extradition to the United
16States, the amount of unrecovered proceeds lost as a result of
17the alleged offense, the source of bail funds tendered or
18sought to be tendered for bail, whether from the totality of
19the court's consideration, the loss of funds posted or sought
20to be posted for bail will not deter the defendant from flight,
21whether the evidence shows that the defendant is engaged in
22significant possession, manufacture, or delivery of a
23controlled substance or cannabis, either individually or in
24consort with others, whether at the time of the offense
25charged he or she was on bond or pre-trial release pending
26trial, probation, periodic imprisonment or conditional

 

 

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1discharge pursuant to this Code or the comparable Code of any
2other state or federal jurisdiction, whether the defendant is
3on bond or pre-trial release pending the imposition or
4execution of sentence or appeal of sentence for any offense
5under the laws of Illinois or any other state or federal
6jurisdiction, whether the defendant is under parole, aftercare
7release, mandatory supervised release, or work release from
8the Illinois Department of Corrections or Illinois Department
9of Juvenile Justice or any penal institution or corrections
10department of any state or federal jurisdiction, the
11defendant's record of convictions, whether the defendant has
12been convicted of a misdemeanor or ordinance offense in
13Illinois or similar offense in other state or federal
14jurisdiction within the 10 years preceding the current charge
15or convicted of a felony in Illinois, whether the defendant
16was convicted of an offense in another state or federal
17jurisdiction that would be a felony if committed in Illinois
18within the 20 years preceding the current charge or has been
19convicted of such felony and released from the penitentiary
20within 20 years preceding the current charge if a penitentiary
21sentence was imposed in Illinois or other state or federal
22jurisdiction, the defendant's records of juvenile adjudication
23of delinquency in any jurisdiction, any record of appearance
24or failure to appear by the defendant at court proceedings,
25whether there was flight to avoid arrest or prosecution,
26whether the defendant escaped or attempted to escape to avoid

 

 

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1arrest, whether the defendant refused to identify himself or
2herself, or whether there was a refusal by the defendant to be
3fingerprinted as required by law. Information used by the
4court in its findings or stated in or offered in connection
5with this Section may be by way of proffer based upon reliable
6information offered by the State or defendant. All evidence
7shall be admissible if it is relevant and reliable regardless
8of whether it would be admissible under the rules of evidence
9applicable at criminal trials. If the State presents evidence
10that the offense committed by the defendant was related to or
11in furtherance of the criminal activities of an organized gang
12or was motivated by the defendant's membership in or
13allegiance to an organized gang, and if the court determines
14that the evidence may be substantiated, the court shall
15prohibit the defendant from associating with other members of
16the organized gang as a condition of bail or release. For the
17purposes of this Section, "organized gang" has the meaning
18ascribed to it in Section 10 of the Illinois Streetgang
19Terrorism Omnibus Prevention Act.
20    (a-5) There shall be a presumption that any conditions of
21release imposed shall be non-monetary in nature and the court
22shall impose the least restrictive conditions or combination
23of conditions necessary to reasonably assure the appearance of
24the defendant for further court proceedings and protect the
25integrity of the judicial proceedings from a specific threat
26to a witness or participant. Conditions of release may

 

 

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1include, but not be limited to, electronic home monitoring,
2curfews, drug counseling, stay-away orders, and in-person
3reporting. The court shall consider the defendant's
4socio-economic circumstance when setting conditions of release
5or imposing monetary bail.
6    (b) The amount of bail shall be:
7        (1) Sufficient to assure compliance with the
8    conditions set forth in the bail bond, which shall include
9    the defendant's current address with a written
10    admonishment to the defendant that he or she must comply
11    with the provisions of Section 110-12 regarding any change
12    in his or her address. The defendant's address shall at
13    all times remain a matter of public record with the clerk
14    of the court.
15        (2) Not oppressive.
16        (3) Considerate of the financial ability of the
17    accused.
18        (4) When a person is charged with a drug related
19    offense involving possession or delivery of cannabis or
20    possession or delivery of a controlled substance as
21    defined in the Cannabis Control Act, the Illinois
22    Controlled Substances Act, or the Methamphetamine Control
23    and Community Protection Act, the full street value of the
24    drugs seized shall be considered. "Street value" shall be
25    determined by the court on the basis of a proffer by the
26    State based upon reliable information of a law enforcement

 

 

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1    official contained in a written report as to the amount
2    seized and such proffer may be used by the court as to the
3    current street value of the smallest unit of the drug
4    seized.
5    (b-5) Upon the filing of a written request demonstrating
6reasonable cause, the State's Attorney may request a source of
7bail hearing either before or after the posting of any funds.
8If the hearing is granted, before the posting of any bail, the
9accused must file a written notice requesting that the court
10conduct a source of bail hearing. The notice must be
11accompanied by justifying affidavits stating the legitimate
12and lawful source of funds for bail. At the hearing, the court
13shall inquire into any matters stated in any justifying
14affidavits, and may also inquire into matters appropriate to
15the determination which shall include, but are not limited to,
16the following:
17        (1) the background, character, reputation, and
18    relationship to the accused of any surety; and
19        (2) the source of any money or property deposited by
20    any surety, and whether any such money or property
21    constitutes the fruits of criminal or unlawful conduct;
22    and
23        (3) the source of any money posted as cash bail, and
24    whether any such money constitutes the fruits of criminal
25    or unlawful conduct; and
26        (4) the background, character, reputation, and

 

 

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1    relationship to the accused of the person posting cash
2    bail.
3    Upon setting the hearing, the court shall examine, under
4oath, any persons who may possess material information.
5    The State's Attorney has a right to attend the hearing, to
6call witnesses and to examine any witness in the proceeding.
7The court shall, upon request of the State's Attorney,
8continue the proceedings for a reasonable period to allow the
9State's Attorney to investigate the matter raised in any
10testimony or affidavit. If the hearing is granted after the
11accused has posted bail, the court shall conduct a hearing
12consistent with this subsection (b-5). At the conclusion of
13the hearing, the court must issue an order either approving or
14of disapproving the bail.
15    (c) When a person is charged with an offense punishable by
16fine only the amount of the bail shall not exceed double the
17amount of the maximum penalty.
18    (d) When a person has been convicted of an offense and only
19a fine has been imposed the amount of the bail shall not exceed
20double the amount of the fine.
21    (e) The State may appeal any order granting bail or
22setting a given amount for bail.
23    (f) When a person is charged with a violation of an order
24of protection under Section 12-3.4 or 12-30 of the Criminal
25Code of 1961 or the Criminal Code of 2012 or when a person is
26charged with domestic battery, aggravated domestic battery,

 

 

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1kidnapping, aggravated kidnaping, unlawful restraint,
2aggravated unlawful restraint, stalking, aggravated stalking,
3cyberstalking, harassment by telephone, harassment through
4electronic communications, or an attempt to commit first
5degree murder committed against an intimate partner regardless
6whether an order of protection has been issued against the
7person,
8        (1) whether the alleged incident involved harassment
9    or abuse, as defined in the Illinois Domestic Violence Act
10    of 1986;
11        (2) whether the person has a history of domestic
12    violence, as defined in the Illinois Domestic Violence
13    Act, or a history of other criminal acts;
14        (3) based on the mental health of the person;
15        (4) whether the person has a history of violating the
16    orders of any court or governmental entity;
17        (5) whether the person has been, or is, potentially a
18    threat to any other person;
19        (6) whether the person has access to deadly weapons or
20    a history of using deadly weapons;
21        (7) whether the person has a history of abusing
22    alcohol or any controlled substance;
23        (8) based on the severity of the alleged incident that
24    is the basis of the alleged offense, including, but not
25    limited to, the duration of the current incident, and
26    whether the alleged incident involved the use of a weapon,

 

 

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1    physical injury, sexual assault, strangulation, abuse
2    during the alleged victim's pregnancy, abuse of pets, or
3    forcible entry to gain access to the alleged victim;
4        (9) whether a separation of the person from the
5    alleged victim or a termination of the relationship
6    between the person and the alleged victim has recently
7    occurred or is pending;
8        (10) whether the person has exhibited obsessive or
9    controlling behaviors toward the alleged victim,
10    including, but not limited to, stalking, surveillance, or
11    isolation of the alleged victim or victim's family member
12    or members;
13        (11) whether the person has expressed suicidal or
14    homicidal ideations;
15        (12) based on any information contained in the
16    complaint and any police reports, affidavits, or other
17    documents accompanying the complaint,
18the court may, in its discretion, order the respondent to
19undergo a risk assessment evaluation using a recognized,
20evidence-based instrument conducted by an Illinois Department
21of Human Services approved partner abuse intervention program
22provider, pretrial service, probation, or parole agency. These
23agencies shall have access to summaries of the defendant's
24criminal history, which shall not include victim interviews or
25information, for the risk evaluation. Based on the information
26collected from the 12 points to be considered at a bail hearing

 

 

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1under this subsection (f), the results of any risk evaluation
2conducted and the other circumstances of the violation, the
3court may order that the person, as a condition of bail, be
4placed under electronic surveillance as provided in Section
55-8A-7 of the Unified Code of Corrections. Upon making a
6determination whether or not to order the respondent to
7undergo a risk assessment evaluation or to be placed under
8electronic surveillance and risk assessment, the court shall
9document in the record the court's reasons for making those
10determinations. The cost of the electronic surveillance and
11risk assessment shall be paid by, or on behalf, of the
12defendant. As used in this subsection (f), "intimate partner"
13means a spouse or a current or former partner in a cohabitation
14or dating relationship.
15(Source: P.A. 99-143, eff. 7-27-15; 100-1, eff. 1-1-18;
16revised 7-12-19.)
 
17    (725 ILCS 5/111-1)  (from Ch. 38, par. 111-1)
18    Sec. 111-1. Methods of prosecution.
19    (a) When authorized by law a prosecution may be commenced
20by:
21        (1) (a) A complaint;
22        (2) (b) An information;
23        (3) (c) An indictment.
24    (b) (d) Upon commencement of a prosecution for a violation
25of Section 11-501 of the Illinois Vehicle Code, or a similar

 

 

SB2435- 1845 -LRB102 04062 AMC 14078 b

1provision of a local ordinance, or Section 9-3 of the Criminal
2Code of 1961 or the Criminal Code of 2012 relating to the
3offense of reckless homicide, the victims of these offenses
4shall have all the rights under this Section as they do in
5Section 4 of the Bill of Rights of Crime for Victims and
6Witnesses of Violent Crime Act.
7    For the purposes of this Section "victim" shall mean an
8individual who has suffered personal injury as a result of the
9commission of a violation of Section 11-501 of the Illinois
10Vehicle Code, or a similar provision of a local ordinance, or
11Section 9-3 of the Criminal Code of 1961 or the Criminal Code
12of 2012 relating to the offense of reckless homicide. In
13regard to a violation of Section 9-3 of the Criminal Code of
141961 or the Criminal Code of 2012 relating to the offense of
15reckless homicide, "victim" shall also include, but not be
16limited to, spouse, guardian, parent, or other family member.
17    (c) (e) Upon arrest after commencement of a prosecution
18for a sex offense against a person known to be an employee, the
19State's Attorney shall immediately provide the superintendent
20of schools or school administrator that employs the employee
21with a copy of the complaint, information, or indictment.
22    For the purposes of this subsection: "employee" has the
23meaning provided in subsection (a) of Section 24-5 of the
24School Code; and "sex offense" has the meaning provided in
25Section 2 of the Sex Offender Registration Act.
26    This subsection shall not be construed to diminish the

 

 

SB2435- 1846 -LRB102 04062 AMC 14078 b

1rights, privileges, or remedies of an employee under a
2collective bargaining agreement or employment contract.
3(Source: P.A. 101-521, eff. 8-23-19; revised 9-8-20.)
 
4    (725 ILCS 5/112A-23)  (from Ch. 38, par. 112A-23)
5    Sec. 112A-23. Enforcement of protective orders.
6    (a) When violation is crime. A violation of any protective
7order, whether issued in a civil, quasi-criminal proceeding,
8shall be enforced by a criminal court when:
9        (1) The respondent commits the crime of violation of a
10    domestic violence order of protection pursuant to Section
11    12-3.4 or 12-30 of the Criminal Code of 1961 or the
12    Criminal Code of 2012, by having knowingly violated:
13            (i) remedies described in paragraphs (1), (2),
14        (3), (14), or (14.5) of subsection (b) of Section
15        112A-14 of this Code,
16            (ii) a remedy, which is substantially similar to
17        the remedies authorized under paragraphs (1), (2),
18        (3), (14), or (14.5) of subsection (b) of Section 214
19        of the Illinois Domestic Violence Act of 1986, in a
20        valid order of protection, which is authorized under
21        the laws of another state, tribe or United States
22        territory, or
23            (iii) or any other remedy when the act constitutes
24        a crime against the protected parties as defined by
25        the Criminal Code of 1961 or the Criminal Code of 2012.

 

 

SB2435- 1847 -LRB102 04062 AMC 14078 b

1        Prosecution for a violation of a domestic violence
2    order of protection shall not bar concurrent prosecution
3    for any other crime, including any crime that may have
4    been committed at the time of the violation of the
5    domestic violence order of protection; or
6        (2) The respondent commits the crime of child
7    abduction pursuant to Section 10-5 of the Criminal Code of
8    1961 or the Criminal Code of 2012, by having knowingly
9    violated:
10            (i) remedies described in paragraphs (5), (6), or
11        (8) of subsection (b) of Section 112A-14 of this Code,
12        or
13            (ii) a remedy, which is substantially similar to
14        the remedies authorized under paragraphs (1), (5),
15        (6), or (8) of subsection (b) of Section 214 of the
16        Illinois Domestic Violence Act of 1986, in a valid
17        domestic violence order of protection, which is
18        authorized under the laws of another state, tribe or
19        United States territory.
20        (3) The respondent commits the crime of violation of a
21    civil no contact order when the respondent violates
22    Section 12-3.8 of the Criminal Code of 2012. Prosecution
23    for a violation of a civil no contact order shall not bar
24    concurrent prosecution for any other crime, including any
25    crime that may have been committed at the time of the
26    violation of the civil no contact order.

 

 

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1        (4) The respondent commits the crime of violation of a
2    stalking no contact order when the respondent violates
3    Section 12-3.9 of the Criminal Code of 2012. Prosecution
4    for a violation of a stalking no contact order shall not
5    bar concurrent prosecution for any other crime, including
6    any crime that may have been committed at the time of the
7    violation of the stalking no contact order.
8    (b) When violation is contempt of court. A violation of
9any valid protective order, whether issued in a civil or
10criminal proceeding, may be enforced through civil or criminal
11contempt procedures, as appropriate, by any court with
12jurisdiction, regardless where the act or acts which violated
13the protective order were committed, to the extent consistent
14with the venue provisions of this Article. Nothing in this
15Article shall preclude any Illinois court from enforcing any
16valid protective order issued in another state. Illinois
17courts may enforce protective orders through both criminal
18prosecution and contempt proceedings, unless the action which
19is second in time is barred by collateral estoppel or the
20constitutional prohibition against double jeopardy.
21        (1) In a contempt proceeding where the petition for a
22    rule to show cause sets forth facts evidencing an
23    immediate danger that the respondent will flee the
24    jurisdiction, conceal a child, or inflict physical abuse
25    on the petitioner or minor children or on dependent adults
26    in petitioner's care, the court may order the attachment

 

 

SB2435- 1849 -LRB102 04062 AMC 14078 b

1    of the respondent without prior service of the rule to
2    show cause or the petition for a rule to show cause. Bond
3    shall be set unless specifically denied in writing.
4        (2) A petition for a rule to show cause for violation
5    of a protective order shall be treated as an expedited
6    proceeding.
7    (c) Violation of custody, allocation of parental
8responsibility, or support orders. A violation of remedies
9described in paragraphs (5), (6), (8), or (9) of subsection
10(b) of Section 112A-14 of this Code may be enforced by any
11remedy provided by Section 607.5 of the Illinois Marriage and
12Dissolution of Marriage Act. The court may enforce any order
13for support issued under paragraph (12) of subsection (b) of
14Section 112A-14 of this Code in the manner provided for under
15Parts V and VII of the Illinois Marriage and Dissolution of
16Marriage Act.
17    (d) Actual knowledge. A protective order may be enforced
18pursuant to this Section if the respondent violates the order
19after respondent has actual knowledge of its contents as shown
20through one of the following means:
21        (1) (Blank).
22        (2) (Blank).
23        (3) By service of a protective order under subsection
24    (f) of Section 112A-17.5 or Section 112A-22 of this Code.
25        (4) By other means demonstrating actual knowledge of
26    the contents of the order.

 

 

SB2435- 1850 -LRB102 04062 AMC 14078 b

1    (e) The enforcement of a protective order in civil or
2criminal court shall not be affected by either of the
3following:
4        (1) The existence of a separate, correlative order
5    entered under Section 112A-15 of this Code.
6        (2) Any finding or order entered in a conjoined
7    criminal proceeding.
8    (f) Circumstances. The court, when determining whether or
9not a violation of a protective order has occurred, shall not
10require physical manifestations of abuse on the person of the
11victim.
12    (g) Penalties.
13        (1) Except as provided in paragraph (3) of this
14    subsection (g), where the court finds the commission of a
15    crime or contempt of court under subsections (a) or (b) of
16    this Section, the penalty shall be the penalty that
17    generally applies in such criminal or contempt
18    proceedings, and may include one or more of the following:
19    incarceration, payment of restitution, a fine, payment of
20    attorneys' fees and costs, or community service.
21        (2) The court shall hear and take into account
22    evidence of any factors in aggravation or mitigation
23    before deciding an appropriate penalty under paragraph (1)
24    of this subsection (g).
25        (3) To the extent permitted by law, the court is
26    encouraged to:

 

 

SB2435- 1851 -LRB102 04062 AMC 14078 b

1            (i) increase the penalty for the knowing violation
2        of any protective order over any penalty previously
3        imposed by any court for respondent's violation of any
4        protective order or penal statute involving petitioner
5        as victim and respondent as defendant;
6            (ii) impose a minimum penalty of 24 hours
7        imprisonment for respondent's first violation of any
8        protective order; and
9            (iii) impose a minimum penalty of 48 hours
10        imprisonment for respondent's second or subsequent
11        violation of a protective order
12    unless the court explicitly finds that an increased
13    penalty or that period of imprisonment would be manifestly
14    unjust.
15        (4) In addition to any other penalties imposed for a
16    violation of a protective order, a criminal court may
17    consider evidence of any violations of a protective order:
18            (i) to increase, revoke, or modify the bail bond
19        on an underlying criminal charge pursuant to Section
20        110-6 of this Code;
21            (ii) to revoke or modify an order of probation,
22        conditional discharge, or supervision, pursuant to
23        Section 5-6-4 of the Unified Code of Corrections;
24            (iii) to revoke or modify a sentence of periodic
25        imprisonment, pursuant to Section 5-7-2 of the Unified
26        Code of Corrections.

 

 

SB2435- 1852 -LRB102 04062 AMC 14078 b

1(Source: P.A. 99-90, eff. 1-1-16; 100-199, eff. 1-1-18;
2100-597, eff. 6-29-18; revised 7-12-19.)
 
3    (725 ILCS 5/124A-20)
4    Sec. 124A-20. Assessment waiver.
5    (a) As used in this Section:
6    "Assessments" means any costs imposed on a criminal
7defendant under Article 15 of the Criminal and Traffic
8Assessment Act, but does not include violation of the Illinois
9Vehicle Code assessments.
10    "Indigent person" means any person who meets one or more
11of the following criteria:
12        (1) He or she is receiving assistance under one or
13    more of the following means-based governmental public
14    benefits programs: Supplemental Security Income; Aid to
15    the Aged, Blind and Disabled; Temporary Assistance for
16    Needy Families; Supplemental Nutrition Assistance Program;
17    General Assistance; Transitional Assistance; or State
18    Children and Family Assistance.
19        (2) His or her available personal income is 200% or
20    less of the current poverty level, unless the applicant's
21    assets that are not exempt under Part 9 or 10 of Article
22    XII of the Code of Civil Procedure are of a nature and
23    value that the court determines that the applicant is able
24    to pay the assessments.
25        (3) He or she is, in the discretion of the court,

 

 

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1    unable to proceed in an action with payment of assessments
2    and whose payment of those assessments would result in
3    substantial hardship to the person or his or her family.
4    "Poverty level" means the current poverty level as
5established by the United States Department of Health and
6Human Services.
7    (b) Upon the application of any defendant, after the
8commencement of an action, but no later than 30 days after
9sentencing:
10        (1) If the court finds that the applicant is an
11    indigent person, the court shall grant the applicant a
12    full assessment waiver exempting him or her from the
13    payment of any assessments.
14        (2) The court shall grant the applicant a partial
15    assessment as follows:
16            (A) 75% of all assessments shall be waived if the
17        applicant's available income is greater than 200% but
18        no more than 250% of the poverty level, unless the
19        applicant's assets that are not exempt under Part 9 or
20        10 of Article XII of the Code of Civil Procedure are
21        such that the applicant is able, without undue
22        hardship, to pay the total assessments.
23            (B) 50% of all assessments shall be waived if the
24        applicant's available income is greater than 250% but
25        no more than 300% of the poverty level, unless the
26        applicant's assets that are not exempt under Part 9 or

 

 

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1        10 of Article XII of the Code of Civil Procedure are
2        such that the court determines that the applicant is
3        able, without undue hardship, to pay a greater portion
4        of the assessments.
5            (C) 25% of all assessments shall be waived if the
6        applicant's available income is greater than 300% but
7        no more than 400% of the poverty level, unless the
8        applicant's assets that are not exempt under Part 9 or
9        10 of Article XII of the Code of Civil Procedure are
10        such that the court determines that the applicant is
11        able, without undue hardship, to pay a greater portion
12        of the assessments.
13    (c) An application for a waiver of assessments shall be in
14writing, signed by the defendant or, if the defendant is a
15minor, by another person having knowledge of the facts, and
16filed no later than 30 days after sentencing. The contents of
17the application for a waiver of assessments, and the procedure
18for deciding the applications, shall be established by Supreme
19Court Rule. Factors to consider in evaluating an application
20shall include:
21        (1) the applicant's receipt of needs based
22    governmental public benefits, including Supplemental
23    Security Income (SSI); Aid to the Aged, Blind and Disabled
24    (AABD ADBD); Temporary Assistance for Needy Families
25    (TANF); Supplemental Nutrition Assistance Program (SNAP or
26    "food stamps"); General Assistance; Transitional

 

 

SB2435- 1855 -LRB102 04062 AMC 14078 b

1    Assistance; or State Children and Family Assistance;
2        (2) the employment status of the applicant and amount
3    of monthly income, if any;
4        (3) income received from the applicant's pension,
5    Social Security benefits, unemployment benefits, and other
6    sources;
7        (4) income received by the applicant from other
8    household members;
9        (5) the applicant's monthly expenses, including rent,
10    home mortgage, other mortgage, utilities, food, medical,
11    vehicle, childcare, debts, child support, and other
12    expenses; and
13        (6) financial affidavits or other similar supporting
14    documentation provided by the applicant showing that
15    payment of the imposed assessments would result in
16    substantial hardship to the applicant or the applicant's
17    family.
18    (d) The clerk of court shall provide the application for a
19waiver of assessments to any defendant who indicates an
20inability to pay the assessments. The clerk of the court shall
21post in a conspicuous place in the courthouse a notice, no
22smaller than 8.5 x 11 inches and using no smaller than 30-point
23typeface printed in English and in Spanish, advising criminal
24defendants they may ask the court for a waiver of any court
25ordered assessments. The notice shall be substantially as
26follows:

 

 

SB2435- 1856 -LRB102 04062 AMC 14078 b

1        "If you are unable to pay the required assessments,
2    you may ask the court to waive payment of them. Ask the
3    clerk of the court for forms."
4    (e) For good cause shown, the court may allow an applicant
5whose application is denied or who receives a partial
6assessment waiver to defer payment of the assessments, make
7installment payments, or make payment upon reasonable terms
8and conditions stated in the order.
9    (f) Nothing in this Section shall be construed to affect
10the right of a party to court-appointed counsel, as authorized
11by any other provision of law or by the rules of the Illinois
12Supreme Court.
13    (g) The provisions of this Section are severable under
14Section 1.31 of the Statute on Statutes.
15(Source: P.A. 100-987, eff. 7-1-19; revised 8-28-20.)
 
16    Section 740. The Rights of Crime Victims and Witnesses Act
17is amended by changing Section 4.5 as follows:
 
18    (725 ILCS 120/4.5)
19    Sec. 4.5. Procedures to implement the rights of crime
20victims. To afford crime victims their rights, law
21enforcement, prosecutors, judges, and corrections will provide
22information, as appropriate, of the following procedures:
23    (a) At the request of the crime victim, law enforcement
24authorities investigating the case shall provide notice of the

 

 

SB2435- 1857 -LRB102 04062 AMC 14078 b

1status of the investigation, except where the State's Attorney
2determines that disclosure of such information would
3unreasonably interfere with the investigation, until such time
4as the alleged assailant is apprehended or the investigation
5is closed.
6    (a-5) When law enforcement authorities reopen a closed
7case to resume investigating, they shall provide notice of the
8reopening of the case, except where the State's Attorney
9determines that disclosure of such information would
10unreasonably interfere with the investigation.
11    (b) The office of the State's Attorney:
12        (1) shall provide notice of the filing of an
13    information, the return of an indictment, or the filing of
14    a petition to adjudicate a minor as a delinquent for a
15    violent crime;
16        (2) shall provide timely notice of the date, time, and
17    place of court proceedings; of any change in the date,
18    time, and place of court proceedings; and of any
19    cancellation of court proceedings. Notice shall be
20    provided in sufficient time, wherever possible, for the
21    victim to make arrangements to attend or to prevent an
22    unnecessary appearance at court proceedings;
23        (3) or victim advocate personnel shall provide
24    information of social services and financial assistance
25    available for victims of crime, including information of
26    how to apply for these services and assistance;

 

 

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1        (3.5) or victim advocate personnel shall provide
2    information about available victim services, including
3    referrals to programs, counselors, and agencies that
4    assist a victim to deal with trauma, loss, and grief;
5        (4) shall assist in having any stolen or other
6    personal property held by law enforcement authorities for
7    evidentiary or other purposes returned as expeditiously as
8    possible, pursuant to the procedures set out in Section
9    115-9 of the Code of Criminal Procedure of 1963;
10        (5) or victim advocate personnel shall provide
11    appropriate employer intercession services to ensure that
12    employers of victims will cooperate with the criminal
13    justice system in order to minimize an employee's loss of
14    pay and other benefits resulting from court appearances;
15        (6) shall provide, whenever possible, a secure waiting
16    area during court proceedings that does not require
17    victims to be in close proximity to defendants or
18    juveniles accused of a violent crime, and their families
19    and friends;
20        (7) shall provide notice to the crime victim of the
21    right to have a translator present at all court
22    proceedings and, in compliance with the federal Americans
23    with Disabilities Act of 1990, the right to communications
24    access through a sign language interpreter or by other
25    means;
26        (8) (blank);

 

 

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1        (8.5) shall inform the victim of the right to be
2    present at all court proceedings, unless the victim is to
3    testify and the court determines that the victim's
4    testimony would be materially affected if the victim hears
5    other testimony at trial;
6        (9) shall inform the victim of the right to have
7    present at all court proceedings, subject to the rules of
8    evidence and confidentiality, an advocate and other
9    support person of the victim's choice;
10        (9.3) shall inform the victim of the right to retain
11    an attorney, at the victim's own expense, who, upon
12    written notice filed with the clerk of the court and
13    State's Attorney, is to receive copies of all notices,
14    motions, and court orders filed thereafter in the case, in
15    the same manner as if the victim were a named party in the
16    case;
17        (9.5) shall inform the victim of (A) the victim's
18    right under Section 6 of this Act to make a statement at
19    the sentencing hearing; (B) the right of the victim's
20    spouse, guardian, parent, grandparent, and other immediate
21    family and household members under Section 6 of this Act
22    to present a statement at sentencing; and (C) if a
23    presentence report is to be prepared, the right of the
24    victim's spouse, guardian, parent, grandparent, and other
25    immediate family and household members to submit
26    information to the preparer of the presentence report

 

 

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1    about the effect the offense has had on the victim and the
2    person;
3        (10) at the sentencing shall make a good faith attempt
4    to explain the minimum amount of time during which the
5    defendant may actually be physically imprisoned. The
6    Office of the State's Attorney shall further notify the
7    crime victim of the right to request from the Prisoner
8    Review Board or Department of Juvenile Justice information
9    concerning the release of the defendant;
10        (11) shall request restitution at sentencing and as
11    part of a plea agreement if the victim requests
12    restitution;
13        (12) shall, upon the court entering a verdict of not
14    guilty by reason of insanity, inform the victim of the
15    notification services available from the Department of
16    Human Services, including the statewide telephone number,
17    under subparagraph (d)(2) of this Section;
18        (13) shall provide notice within a reasonable time
19    after receipt of notice from the custodian, of the release
20    of the defendant on bail or personal recognizance or the
21    release from detention of a minor who has been detained;
22        (14) shall explain in nontechnical language the
23    details of any plea or verdict of a defendant, or any
24    adjudication of a juvenile as a delinquent;
25        (15) shall make all reasonable efforts to consult with
26    the crime victim before the Office of the State's Attorney

 

 

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1    makes an offer of a plea bargain to the defendant or enters
2    into negotiations with the defendant concerning a possible
3    plea agreement, and shall consider the written statement,
4    if prepared prior to entering into a plea agreement. The
5    right to consult with the prosecutor does not include the
6    right to veto a plea agreement or to insist the case go to
7    trial. If the State's Attorney has not consulted with the
8    victim prior to making an offer or entering into plea
9    negotiations with the defendant, the Office of the State's
10    Attorney shall notify the victim of the offer or the
11    negotiations within 2 business days and confer with the
12    victim;
13        (16) shall provide notice of the ultimate disposition
14    of the cases arising from an indictment or an information,
15    or a petition to have a juvenile adjudicated as a
16    delinquent for a violent crime;
17        (17) shall provide notice of any appeal taken by the
18    defendant and information on how to contact the
19    appropriate agency handling the appeal, and how to request
20    notice of any hearing, oral argument, or decision of an
21    appellate court;
22        (18) shall provide timely notice of any request for
23    post-conviction review filed by the defendant under
24    Article 122 of the Code of Criminal Procedure of 1963, and
25    of the date, time and place of any hearing concerning the
26    petition. Whenever possible, notice of the hearing shall

 

 

SB2435- 1862 -LRB102 04062 AMC 14078 b

1    be given within 48 hours of the court's scheduling of the
2    hearing; and
3        (19) shall forward a copy of any statement presented
4    under Section 6 to the Prisoner Review Board or Department
5    of Juvenile Justice to be considered in making a
6    determination under Section 3-2.5-85 or subsection (b) of
7    Section 3-3-8 of the Unified Code of Corrections.
8    (c) The court shall ensure that the rights of the victim
9are afforded.
10    (c-5) The following procedures shall be followed to afford
11victims the rights guaranteed by Article I, Section 8.1 of the
12Illinois Constitution:
13        (1) Written notice. A victim may complete a written
14    notice of intent to assert rights on a form prepared by the
15    Office of the Attorney General and provided to the victim
16    by the State's Attorney. The victim may at any time
17    provide a revised written notice to the State's Attorney.
18    The State's Attorney shall file the written notice with
19    the court. At the beginning of any court proceeding in
20    which the right of a victim may be at issue, the court and
21    prosecutor shall review the written notice to determine
22    whether the victim has asserted the right that may be at
23    issue.
24        (2) Victim's retained attorney. A victim's attorney
25    shall file an entry of appearance limited to assertion of
26    the victim's rights. Upon the filing of the entry of

 

 

SB2435- 1863 -LRB102 04062 AMC 14078 b

1    appearance and service on the State's Attorney and the
2    defendant, the attorney is to receive copies of all
3    notices, motions and court orders filed thereafter in the
4    case.
5        (3) Standing. The victim has standing to assert the
6    rights enumerated in subsection (a) of Article I, Section
7    8.1 of the Illinois Constitution and the statutory rights
8    under Section 4 of this Act in any court exercising
9    jurisdiction over the criminal case. The prosecuting
10    attorney, a victim, or the victim's retained attorney may
11    assert the victim's rights. The defendant in the criminal
12    case has no standing to assert a right of the victim in any
13    court proceeding, including on appeal.
14        (4) Assertion of and enforcement of rights.
15            (A) The prosecuting attorney shall assert a
16        victim's right or request enforcement of a right by
17        filing a motion or by orally asserting the right or
18        requesting enforcement in open court in the criminal
19        case outside the presence of the jury. The prosecuting
20        attorney shall consult with the victim and the
21        victim's attorney regarding the assertion or
22        enforcement of a right. If the prosecuting attorney
23        decides not to assert or enforce a victim's right, the
24        prosecuting attorney shall notify the victim or the
25        victim's attorney in sufficient time to allow the
26        victim or the victim's attorney to assert the right or

 

 

SB2435- 1864 -LRB102 04062 AMC 14078 b

1        to seek enforcement of a right.
2            (B) If the prosecuting attorney elects not to
3        assert a victim's right or to seek enforcement of a
4        right, the victim or the victim's attorney may assert
5        the victim's right or request enforcement of a right
6        by filing a motion or by orally asserting the right or
7        requesting enforcement in open court in the criminal
8        case outside the presence of the jury.
9            (C) If the prosecuting attorney asserts a victim's
10        right or seeks enforcement of a right, and the court
11        denies the assertion of the right or denies the
12        request for enforcement of a right, the victim or
13        victim's attorney may file a motion to assert the
14        victim's right or to request enforcement of the right
15        within 10 days of the court's ruling. The motion need
16        not demonstrate the grounds for a motion for
17        reconsideration. The court shall rule on the merits of
18        the motion.
19            (D) The court shall take up and decide any motion
20        or request asserting or seeking enforcement of a
21        victim's right without delay, unless a specific time
22        period is specified by law or court rule. The reasons
23        for any decision denying the motion or request shall
24        be clearly stated on the record.
25        (5) Violation of rights and remedies.
26            (A) If the court determines that a victim's right

 

 

SB2435- 1865 -LRB102 04062 AMC 14078 b

1        has been violated, the court shall determine the
2        appropriate remedy for the violation of the victim's
3        right by hearing from the victim and the parties,
4        considering all factors relevant to the issue, and
5        then awarding appropriate relief to the victim.
6            (A-5) Consideration of an issue of a substantive
7        nature or an issue that implicates the constitutional
8        or statutory right of a victim at a court proceeding
9        labeled as a status hearing shall constitute a per se
10        violation of a victim's right.
11            (B) The appropriate remedy shall include only
12        actions necessary to provide the victim the right to
13        which the victim was entitled and may include
14        reopening previously held proceedings; however, in no
15        event shall the court vacate a conviction. Any remedy
16        shall be tailored to provide the victim an appropriate
17        remedy without violating any constitutional right of
18        the defendant. In no event shall the appropriate
19        remedy be a new trial, damages, or costs.
20        (6) Right to be heard. Whenever a victim has the right
21    to be heard, the court shall allow the victim to exercise
22    the right in any reasonable manner the victim chooses.
23        (7) Right to attend trial. A party must file a written
24    motion to exclude a victim from trial at least 60 days
25    prior to the date set for trial. The motion must state with
26    specificity the reason exclusion is necessary to protect a

 

 

SB2435- 1866 -LRB102 04062 AMC 14078 b

1    constitutional right of the party, and must contain an
2    offer of proof. The court shall rule on the motion within
3    30 days. If the motion is granted, the court shall set
4    forth on the record the facts that support its finding
5    that the victim's testimony will be materially affected if
6    the victim hears other testimony at trial.
7        (8) Right to have advocate and support person present
8    at court proceedings.
9            (A) A party who intends to call an advocate as a
10        witness at trial must seek permission of the court
11        before the subpoena is issued. The party must file a
12        written motion at least 90 days before trial that sets
13        forth specifically the issues on which the advocate's
14        testimony is sought and an offer of proof regarding
15        (i) the content of the anticipated testimony of the
16        advocate; and (ii) the relevance, admissibility, and
17        materiality of the anticipated testimony. The court
18        shall consider the motion and make findings within 30
19        days of the filing of the motion. If the court finds by
20        a preponderance of the evidence that: (i) the
21        anticipated testimony is not protected by an absolute
22        privilege; and (ii) the anticipated testimony contains
23        relevant, admissible, and material evidence that is
24        not available through other witnesses or evidence, the
25        court shall issue a subpoena requiring the advocate to
26        appear to testify at an in camera hearing. The

 

 

SB2435- 1867 -LRB102 04062 AMC 14078 b

1        prosecuting attorney and the victim shall have 15 days
2        to seek appellate review before the advocate is
3        required to testify at an ex parte in camera
4        proceeding.
5            The prosecuting attorney, the victim, and the
6        advocate's attorney shall be allowed to be present at
7        the ex parte in camera proceeding. If, after
8        conducting the ex parte in camera hearing, the court
9        determines that due process requires any testimony
10        regarding confidential or privileged information or
11        communications, the court shall provide to the
12        prosecuting attorney, the victim, and the advocate's
13        attorney a written memorandum on the substance of the
14        advocate's testimony. The prosecuting attorney, the
15        victim, and the advocate's attorney shall have 15 days
16        to seek appellate review before a subpoena may be
17        issued for the advocate to testify at trial. The
18        presence of the prosecuting attorney at the ex parte
19        in camera proceeding does not make the substance of
20        the advocate's testimony that the court has ruled
21        inadmissible subject to discovery.
22            (B) If a victim has asserted the right to have a
23        support person present at the court proceedings, the
24        victim shall provide the name of the person the victim
25        has chosen to be the victim's support person to the
26        prosecuting attorney, within 60 days of trial. The

 

 

SB2435- 1868 -LRB102 04062 AMC 14078 b

1        prosecuting attorney shall provide the name to the
2        defendant. If the defendant intends to call the
3        support person as a witness at trial, the defendant
4        must seek permission of the court before a subpoena is
5        issued. The defendant must file a written motion at
6        least 45 days prior to trial that sets forth
7        specifically the issues on which the support person
8        will testify and an offer of proof regarding: (i) the
9        content of the anticipated testimony of the support
10        person; and (ii) the relevance, admissibility, and
11        materiality of the anticipated testimony.
12            If the prosecuting attorney intends to call the
13        support person as a witness during the State's
14        case-in-chief, the prosecuting attorney shall inform
15        the court of this intent in the response to the
16        defendant's written motion. The victim may choose a
17        different person to be the victim's support person.
18        The court may allow the defendant to inquire about
19        matters outside the scope of the direct examination
20        during cross-examination. If the court allows the
21        defendant to do so, the support person shall be
22        allowed to remain in the courtroom after the support
23        person has testified. A defendant who fails to
24        question the support person about matters outside the
25        scope of direct examination during the State's
26        case-in-chief waives the right to challenge the

 

 

SB2435- 1869 -LRB102 04062 AMC 14078 b

1        presence of the support person on appeal. The court
2        shall allow the support person to testify if called as
3        a witness in the defendant's case-in-chief or the
4        State's rebuttal.
5            If the court does not allow the defendant to
6        inquire about matters outside the scope of the direct
7        examination, the support person shall be allowed to
8        remain in the courtroom after the support person has
9        been called by the defendant or the defendant has
10        rested. The court shall allow the support person to
11        testify in the State's rebuttal.
12            If the prosecuting attorney does not intend to
13        call the support person in the State's case-in-chief,
14        the court shall verify with the support person whether
15        the support person, if called as a witness, would
16        testify as set forth in the offer of proof. If the
17        court finds that the support person would testify as
18        set forth in the offer of proof, the court shall rule
19        on the relevance, materiality, and admissibility of
20        the anticipated testimony. If the court rules the
21        anticipated testimony is admissible, the court shall
22        issue the subpoena. The support person may remain in
23        the courtroom after the support person testifies and
24        shall be allowed to testify in rebuttal.
25            If the court excludes the victim's support person
26        during the State's case-in-chief, the victim shall be

 

 

SB2435- 1870 -LRB102 04062 AMC 14078 b

1        allowed to choose another support person to be present
2        in court.
3            If the victim fails to designate a support person
4        within 60 days of trial and the defendant has
5        subpoenaed the support person to testify at trial, the
6        court may exclude the support person from the trial
7        until the support person testifies. If the court
8        excludes the support person the victim may choose
9        another person as a support person.
10        (9) Right to notice and hearing before disclosure of
11    confidential or privileged information or records. A
12    defendant who seeks to subpoena records of or concerning
13    the victim that are confidential or privileged by law must
14    seek permission of the court before the subpoena is
15    issued. The defendant must file a written motion and an
16    offer of proof regarding the relevance, admissibility and
17    materiality of the records. If the court finds by a
18    preponderance of the evidence that: (A) the records are
19    not protected by an absolute privilege and (B) the records
20    contain relevant, admissible, and material evidence that
21    is not available through other witnesses or evidence, the
22    court shall issue a subpoena requiring a sealed copy of
23    the records be delivered to the court to be reviewed in
24    camera. If, after conducting an in camera review of the
25    records, the court determines that due process requires
26    disclosure of any portion of the records, the court shall

 

 

SB2435- 1871 -LRB102 04062 AMC 14078 b

1    provide copies of what it intends to disclose to the
2    prosecuting attorney and the victim. The prosecuting
3    attorney and the victim shall have 30 days to seek
4    appellate review before the records are disclosed to the
5    defendant. The disclosure of copies of any portion of the
6    records to the prosecuting attorney does not make the
7    records subject to discovery.
8        (10) Right to notice of court proceedings. If the
9    victim is not present at a court proceeding in which a
10    right of the victim is at issue, the court shall ask the
11    prosecuting attorney whether the victim was notified of
12    the time, place, and purpose of the court proceeding and
13    that the victim had a right to be heard at the court
14    proceeding. If the court determines that timely notice was
15    not given or that the victim was not adequately informed
16    of the nature of the court proceeding, the court shall not
17    rule on any substantive issues, accept a plea, or impose a
18    sentence and shall continue the hearing for the time
19    necessary to notify the victim of the time, place and
20    nature of the court proceeding. The time between court
21    proceedings shall not be attributable to the State under
22    Section 103-5 of the Code of Criminal Procedure of 1963.
23        (11) Right to timely disposition of the case. A victim
24    has the right to timely disposition of the case so as to
25    minimize the stress, cost, and inconvenience resulting
26    from the victim's involvement in the case. Before ruling

 

 

SB2435- 1872 -LRB102 04062 AMC 14078 b

1    on a motion to continue trial or other court proceeding,
2    the court shall inquire into the circumstances for the
3    request for the delay and, if the victim has provided
4    written notice of the assertion of the right to a timely
5    disposition, and whether the victim objects to the delay.
6    If the victim objects, the prosecutor shall inform the
7    court of the victim's objections. If the prosecutor has
8    not conferred with the victim about the continuance, the
9    prosecutor shall inform the court of the attempts to
10    confer. If the court finds the attempts of the prosecutor
11    to confer with the victim were inadequate to protect the
12    victim's right to be heard, the court shall give the
13    prosecutor at least 3 but not more than 5 business days to
14    confer with the victim. In ruling on a motion to continue,
15    the court shall consider the reasons for the requested
16    continuance, the number and length of continuances that
17    have been granted, the victim's objections and procedures
18    to avoid further delays. If a continuance is granted over
19    the victim's objection, the court shall specify on the
20    record the reasons for the continuance and the procedures
21    that have been or will be taken to avoid further delays.
22        (12) Right to Restitution.
23            (A) If the victim has asserted the right to
24        restitution and the amount of restitution is known at
25        the time of sentencing, the court shall enter the
26        judgment of restitution at the time of sentencing.

 

 

SB2435- 1873 -LRB102 04062 AMC 14078 b

1            (B) If the victim has asserted the right to
2        restitution and the amount of restitution is not known
3        at the time of sentencing, the prosecutor shall,
4        within 5 days after sentencing, notify the victim what
5        information and documentation related to restitution
6        is needed and that the information and documentation
7        must be provided to the prosecutor within 45 days
8        after sentencing. Failure to timely provide
9        information and documentation related to restitution
10        shall be deemed a waiver of the right to restitution.
11        The prosecutor shall file and serve within 60 days
12        after sentencing a proposed judgment for restitution
13        and a notice that includes information concerning the
14        identity of any victims or other persons seeking
15        restitution, whether any victim or other person
16        expressly declines restitution, the nature and amount
17        of any damages together with any supporting
18        documentation, a restitution amount recommendation,
19        and the names of any co-defendants and their case
20        numbers. Within 30 days after receipt of the proposed
21        judgment for restitution, the defendant shall file any
22        objection to the proposed judgment, a statement of
23        grounds for the objection, and a financial statement.
24        If the defendant does not file an objection, the court
25        may enter the judgment for restitution without further
26        proceedings. If the defendant files an objection and

 

 

SB2435- 1874 -LRB102 04062 AMC 14078 b

1        either party requests a hearing, the court shall
2        schedule a hearing.
3        (13) Access to presentence reports.
4            (A) The victim may request a copy of the
5        presentence report prepared under the Unified Code of
6        Corrections from the State's Attorney. The State's
7        Attorney shall redact the following information before
8        providing a copy of the report:
9                (i) the defendant's mental history and
10            condition;
11                (ii) any evaluation prepared under subsection
12            (b) or (b-5) of Section 5-3-2; and
13                (iii) the name, address, phone number, and
14            other personal information about any other victim.
15            (B) The State's Attorney or the defendant may
16        request the court redact other information in the
17        report that may endanger the safety of any person.
18            (C) The State's Attorney may orally disclose to
19        the victim any of the information that has been
20        redacted if there is a reasonable likelihood that the
21        information will be stated in court at the sentencing.
22            (D) The State's Attorney must advise the victim
23        that the victim must maintain the confidentiality of
24        the report and other information. Any dissemination of
25        the report or information that was not stated at a
26        court proceeding constitutes indirect criminal

 

 

SB2435- 1875 -LRB102 04062 AMC 14078 b

1        contempt of court.
2        (14) Appellate relief. If the trial court denies the
3    relief requested, the victim, the victim's attorney, or
4    the prosecuting attorney may file an appeal within 30 days
5    of the trial court's ruling. The trial or appellate court
6    may stay the court proceedings if the court finds that a
7    stay would not violate a constitutional right of the
8    defendant. If the appellate court denies the relief
9    sought, the reasons for the denial shall be clearly stated
10    in a written opinion. In any appeal in a criminal case, the
11    State may assert as error the court's denial of any crime
12    victim's right in the proceeding to which the appeal
13    relates.
14        (15) Limitation on appellate relief. In no case shall
15    an appellate court provide a new trial to remedy the
16    violation of a victim's right.
17        (16) The right to be reasonably protected from the
18    accused throughout the criminal justice process and the
19    right to have the safety of the victim and the victim's
20    family considered in denying or fixing the amount of bail,
21    determining whether to release the defendant, and setting
22    conditions of release after arrest and conviction. A
23    victim of domestic violence, a sexual offense, or stalking
24    may request the entry of a protective order under Article
25    112A of the Code of Criminal Procedure of 1963.
26    (d) Procedures after the imposition of sentence.

 

 

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1        (1) The Prisoner Review Board shall inform a victim or
2    any other concerned citizen, upon written request, of the
3    prisoner's release on parole, mandatory supervised
4    release, electronic detention, work release, international
5    transfer or exchange, or by the custodian, other than the
6    Department of Juvenile Justice, of the discharge of any
7    individual who was adjudicated a delinquent for a crime
8    from State custody and by the sheriff of the appropriate
9    county of any such person's final discharge from county
10    custody. The Prisoner Review Board, upon written request,
11    shall provide to a victim or any other concerned citizen a
12    recent photograph of any person convicted of a felony,
13    upon his or her release from custody. The Prisoner Review
14    Board, upon written request, shall inform a victim or any
15    other concerned citizen when feasible at least 7 days
16    prior to the prisoner's release on furlough of the times
17    and dates of such furlough. Upon written request by the
18    victim or any other concerned citizen, the State's
19    Attorney shall notify the person once of the times and
20    dates of release of a prisoner sentenced to periodic
21    imprisonment. Notification shall be based on the most
22    recent information as to victim's or other concerned
23    citizen's residence or other location available to the
24    notifying authority.
25        (2) When the defendant has been committed to the
26    Department of Human Services pursuant to Section 5-2-4 or

 

 

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1    any other provision of the Unified Code of Corrections,
2    the victim may request to be notified by the releasing
3    authority of the approval by the court of an on-grounds
4    pass, a supervised off-grounds pass, an unsupervised
5    off-grounds pass, or conditional release; the release on
6    an off-grounds pass; the return from an off-grounds pass;
7    transfer to another facility; conditional release; escape;
8    death; or final discharge from State custody. The
9    Department of Human Services shall establish and maintain
10    a statewide telephone number to be used by victims to make
11    notification requests under these provisions and shall
12    publicize this telephone number on its website and to the
13    State's Attorney of each county.
14        (3) In the event of an escape from State custody, the
15    Department of Corrections or the Department of Juvenile
16    Justice immediately shall notify the Prisoner Review Board
17    of the escape and the Prisoner Review Board shall notify
18    the victim. The notification shall be based upon the most
19    recent information as to the victim's residence or other
20    location available to the Board. When no such information
21    is available, the Board shall make all reasonable efforts
22    to obtain the information and make the notification. When
23    the escapee is apprehended, the Department of Corrections
24    or the Department of Juvenile Justice immediately shall
25    notify the Prisoner Review Board and the Board shall
26    notify the victim.

 

 

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1        (4) The victim of the crime for which the prisoner has
2    been sentenced has the right to register with the Prisoner
3    Review Board's victim registry. Victims registered with
4    the Board shall receive reasonable written notice not less
5    than 30 days prior to the parole hearing or target
6    aftercare release date. The victim has the right to submit
7    a victim statement for consideration by the Prisoner
8    Review Board or the Department of Juvenile Justice in
9    writing, on film, videotape, or other electronic means, or
10    in the form of a recording prior to the parole hearing or
11    target aftercare release date, or in person at the parole
12    hearing or aftercare release protest hearing, or by
13    calling the toll-free number established in subsection (f)
14    of this Section., The victim shall be notified within 7
15    days after the prisoner has been granted parole or
16    aftercare release and shall be informed of the right to
17    inspect the registry of parole decisions, established
18    under subsection (g) of Section 3-3-5 of the Unified Code
19    of Corrections. The provisions of this paragraph (4) are
20    subject to the Open Parole Hearings Act. Victim statements
21    provided to the Board shall be confidential and
22    privileged, including any statements received prior to
23    January 1, 2020 (the effective date of Public Act 101-288)
24    this amendatory Act of the 101st General Assembly, except
25    if the statement was an oral statement made by the victim
26    at a hearing open to the public.

 

 

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1        (4-1) The crime victim has the right to submit a
2    victim statement for consideration by the Prisoner Review
3    Board or the Department of Juvenile Justice prior to or at
4    a hearing to determine the conditions of mandatory
5    supervised release of a person sentenced to a determinate
6    sentence or at a hearing on revocation of mandatory
7    supervised release of a person sentenced to a determinate
8    sentence. A victim statement may be submitted in writing,
9    on film, videotape, or other electronic means, or in the
10    form of a recording, or orally at a hearing, or by calling
11    the toll-free number established in subsection (f) of this
12    Section. Victim statements provided to the Board shall be
13    confidential and privileged, including any statements
14    received prior to January 1, 2020 (the effective date of
15    Public Act 101-288) this amendatory Act of the 101st
16    General Assembly, except if the statement was an oral
17    statement made by the victim at a hearing open to the
18    public.
19        (4-2) The crime victim has the right to submit a
20    victim statement to the Prisoner Review Board for
21    consideration at an executive clemency hearing as provided
22    in Section 3-3-13 of the Unified Code of Corrections. A
23    victim statement may be submitted in writing, on film,
24    videotape, or other electronic means, or in the form of a
25    recording prior to a hearing, or orally at a hearing, or by
26    calling the toll-free number established in subsection (f)

 

 

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1    of this Section. Victim statements provided to the Board
2    shall be confidential and privileged, including any
3    statements received prior to January 1, 2020 (the
4    effective date of Public Act 101-288) this amendatory Act
5    of the 101st General Assembly, except if the statement was
6    an oral statement made by the victim at a hearing open to
7    the public.
8        (5) If a statement is presented under Section 6, the
9    Prisoner Review Board or Department of Juvenile Justice
10    shall inform the victim of any order of discharge pursuant
11    to Section 3-2.5-85 or 3-3-8 of the Unified Code of
12    Corrections.
13        (6) At the written or oral request of the victim of the
14    crime for which the prisoner was sentenced or the State's
15    Attorney of the county where the person seeking parole or
16    aftercare release was prosecuted, the Prisoner Review
17    Board or Department of Juvenile Justice shall notify the
18    victim and the State's Attorney of the county where the
19    person seeking parole or aftercare release was prosecuted
20    of the death of the prisoner if the prisoner died while on
21    parole or aftercare release or mandatory supervised
22    release.
23        (7) When a defendant who has been committed to the
24    Department of Corrections, the Department of Juvenile
25    Justice, or the Department of Human Services is released
26    or discharged and subsequently committed to the Department

 

 

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1    of Human Services as a sexually violent person and the
2    victim had requested to be notified by the releasing
3    authority of the defendant's discharge, conditional
4    release, death, or escape from State custody, the
5    releasing authority shall provide to the Department of
6    Human Services such information that would allow the
7    Department of Human Services to contact the victim.
8        (8) When a defendant has been convicted of a sex
9    offense as defined in Section 2 of the Sex Offender
10    Registration Act and has been sentenced to the Department
11    of Corrections or the Department of Juvenile Justice, the
12    Prisoner Review Board or the Department of Juvenile
13    Justice shall notify the victim of the sex offense of the
14    prisoner's eligibility for release on parole, aftercare
15    release, mandatory supervised release, electronic
16    detention, work release, international transfer or
17    exchange, or by the custodian of the discharge of any
18    individual who was adjudicated a delinquent for a sex
19    offense from State custody and by the sheriff of the
20    appropriate county of any such person's final discharge
21    from county custody. The notification shall be made to the
22    victim at least 30 days, whenever possible, before release
23    of the sex offender.
24    (e) The officials named in this Section may satisfy some
25or all of their obligations to provide notices and other
26information through participation in a statewide victim and

 

 

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1witness notification system established by the Attorney
2General under Section 8.5 of this Act.
3    (f) The Prisoner Review Board shall establish a toll-free
4number that may be accessed by the crime victim to present a
5victim statement to the Board in accordance with paragraphs
6(4), (4-1), and (4-2) of subsection (d).
7(Source: P.A. 100-199, eff. 1-1-18; 100-961, eff. 1-1-19;
8101-81, eff. 7-12-19; 101-288, eff. 1-1-20; revised 9-23-19.)
 
9    Section 745. The Unified Code of Corrections is amended by
10changing Sections 3-1-2, 3-2.5-20, 3-3-2, 3-6-3, 3-8-5,
113-14-1, 5-2-4, 5-3-2, 5-5-3.2, and 5-6-3 and by setting forth
12and renumbering multiple versions of Section 3-2-2.3 as
13follows:
 
14    (730 ILCS 5/3-1-2)  (from Ch. 38, par. 1003-1-2)
15    Sec. 3-1-2. Definitions.
16    (a) "Chief Administrative Officer" means the person
17designated by the Director to exercise the powers and duties
18of the Department of Corrections in regard to committed
19persons within a correctional institution or facility, and
20includes the superintendent of any juvenile institution or
21facility.
22    (a-3) "Aftercare release" means the conditional and
23revocable release of a person committed to the Department of
24Juvenile Justice under the Juvenile Court Act of 1987, under

 

 

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1the supervision of the Department of Juvenile Justice.
2    (a-5) "Sex offense" for the purposes of paragraph (16) of
3subsection (a) of Section 3-3-7, paragraph (10) of subsection
4(a) of Section 5-6-3, and paragraph (18) of subsection (c) of
5Section 5-6-3.1 only means:
6        (i) A violation of any of the following Sections of
7    the Criminal Code of 1961 or the Criminal Code of 2012:
8    10-7 (aiding or abetting child abduction under Section
9    10-5(b)(10)), 10-5(b)(10) (child luring), 11-6 (indecent
10    solicitation of a child), 11-6.5 (indecent solicitation of
11    an adult), 11-14.4 (promoting juvenile prostitution),
12    11-15.1 (soliciting for a juvenile prostitute), 11-17.1
13    (keeping a place of juvenile prostitution), 11-18.1
14    (patronizing a juvenile prostitute), 11-19.1 (juvenile
15    pimping), 11-19.2 (exploitation of a child), 11-20.1
16    (child pornography), 11-20.1B or 11-20.3 (aggravated child
17    pornography), 11-1.40 or 12-14.1 (predatory criminal
18    sexual assault of a child), or 12-33 (ritualized abuse of
19    a child). An attempt to commit any of these offenses.
20        (ii) A violation of any of the following Sections of
21    the Criminal Code of 1961 or the Criminal Code of 2012:
22    11-1.20 or 12-13 (criminal sexual assault), 11-1.30 or
23    12-14 (aggravated criminal sexual assault), 11-1.60 or
24    12-16 (aggravated criminal sexual abuse), and subsection
25    (a) of Section 11-1.50 or subsection (a) of Section 12-15
26    (criminal sexual abuse). An attempt to commit any of these

 

 

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1    offenses.
2        (iii) A violation of any of the following Sections of
3    the Criminal Code of 1961 or the Criminal Code of 2012 when
4    the defendant is not a parent of the victim:
5            10-1 (kidnapping),
6            10-2 (aggravated kidnapping),
7            10-3 (unlawful restraint),
8            10-3.1 (aggravated unlawful restraint).
9            An attempt to commit any of these offenses.
10        (iv) A violation of any former law of this State
11    substantially equivalent to any offense listed in this
12    subsection (a-5).
13    An offense violating federal law or the law of another
14state that is substantially equivalent to any offense listed
15in this subsection (a-5) shall constitute a sex offense for
16the purpose of this subsection (a-5). A finding or
17adjudication as a sexually dangerous person under any federal
18law or law of another state that is substantially equivalent
19to the Sexually Dangerous Persons Act shall constitute an
20adjudication for a sex offense for the purposes of this
21subsection (a-5).
22    (b) "Commitment" means a judicially determined placement
23in the custody of the Department of Corrections on the basis of
24delinquency or conviction.
25    (c) "Committed person" is a person committed to the
26Department, however a committed person shall not be considered

 

 

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1to be an employee of the Department of Corrections for any
2purpose, including eligibility for a pension, benefits, or any
3other compensation or rights or privileges which may be
4provided to employees of the Department.
5    (c-5) "Computer scrub software" means any third-party
6added software, designed to delete information from the
7computer unit, the hard drive, or other software, which would
8eliminate and prevent discovery of browser activity,
9including, but not limited to, Internet history, address bar
10or bars, cache or caches, and/or cookies, and which would
11over-write files in a way so as to make previous computer
12activity, including, but not limited to, website access, more
13difficult to discover.
14    (c-10) "Content-controlled tablet" means any device that
15can only access visitation applications or content relating to
16educational or personal development.
17    (d) "Correctional institution or facility" means any
18building or part of a building where committed persons are
19kept in a secured manner.
20    (e) "Department" means both the Department of Corrections
21and the Department of Juvenile Justice of this State, unless
22the context is specific to either the Department of
23Corrections or the Department of Juvenile Justice.
24    (f) "Director" means both the Director of Corrections and
25the Director of Juvenile Justice, unless the context is
26specific to either the Director of Corrections or the Director

 

 

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1of Juvenile Justice.
2    (f-5) (Blank).
3    (g) "Discharge" means the final termination of a
4commitment to the Department of Corrections.
5    (h) "Discipline" means the rules and regulations for the
6maintenance of order and the protection of persons and
7property within the institutions and facilities of the
8Department and their enforcement.
9    (i) "Escape" means the intentional and unauthorized
10absence of a committed person from the custody of the
11Department.
12    (j) "Furlough" means an authorized leave of absence from
13the Department of Corrections for a designated purpose and
14period of time.
15    (k) "Parole" means the conditional and revocable release
16of a person committed to the Department of Corrections under
17the supervision of a parole officer.
18    (l) "Prisoner Review Board" means the Board established in
19Section 3-3-1(a), independent of the Department, to review
20rules and regulations with respect to good time credits, to
21hear charges brought by the Department against certain
22prisoners alleged to have violated Department rules with
23respect to good time credits, to set release dates for certain
24prisoners sentenced under the law in effect prior to February
251, 1978 (the effective date of Public Act 80-1099) this
26Amendatory Act of 1977, to hear and decide the time of

 

 

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1aftercare release for persons committed to the Department of
2Juvenile Justice under the Juvenile Court Act of 1987 to hear
3requests and make recommendations to the Governor with respect
4to pardon, reprieve or commutation, to set conditions for
5parole, aftercare release, and mandatory supervised release
6and determine whether violations of those conditions justify
7revocation of parole or release, and to assume all other
8functions previously exercised by the Illinois Parole and
9Pardon Board.
10    (m) Whenever medical treatment, service, counseling, or
11care is referred to in this Unified Code of Corrections, such
12term may be construed by the Department or Court, within its
13discretion, to include treatment, service, or counseling by a
14Christian Science practitioner or nursing care appropriate
15therewith whenever request therefor is made by a person
16subject to the provisions of this Code Act.
17    (n) "Victim" shall have the meaning ascribed to it in
18subsection (a) of Section 3 of the Bill of Rights of Crime for
19Victims and Witnesses of Violent Crime Act.
20    (o) "Wrongfully imprisoned person" means a person who has
21been discharged from a prison of this State and has received:
22        (1) a pardon from the Governor stating that such
23    pardon is issued on the ground of innocence of the crime
24    for which he or she was imprisoned; or
25        (2) a certificate of innocence from the Circuit Court
26    as provided in Section 2-702 of the Code of Civil

 

 

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1    Procedure.
2(Source: P.A. 100-198, eff. 1-1-18; revised 9-21-20.)
 
3    (730 ILCS 5/3-2-2.3)
4    Sec. 3-2-2.3. Voting rights information.
5    (a) The Department shall make available to a person in its
6custody current resource materials, maintained by the Illinois
7State Board of Elections, containing detailed information
8regarding the voting rights of a person with a criminal
9conviction in the following formats:
10        (1) in print;
11        (2) on the Department's website; and
12        (3) in a visible location on the premises of each
13    Department facility where notices are customarily posted.
14    (b) The current resource materials described under
15subsection (a) shall be provided upon release of a person on
16parole, mandatory supervised release, final discharge, or
17pardon from the Department.
18(Source: P.A. 101-442, eff. 1-1-20.)
 
19    (730 ILCS 5/3-2-2.4)
20    (Section scheduled to be repealed on January 1, 2022)
21    Sec. 3-2-2.4 3-2-2.3. Tamms Minimum Security Unit Task
22Force.
23    (a) The Tamms Minimum Security Unit Task Force is created
24to study using the Tamms Minimum Security Unit as a vocational

 

 

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1training facility for the Department of Corrections. The
2membership of the Task Force shall include:
3        (1) one member to serve as chair, appointed by the
4    Lieutenant Governor;
5        (2) one member of the House of Representatives
6    appointed by the Speaker of the House of Representatives;
7        (3) one member of the House of Representatives
8    appointed by the Minority Leader of the House of
9    Representatives;
10        (4) one member of the Senate appointed by the Senate
11    President;
12        (5) one member of the Senate appointed by the Senate
13    Minority Leader;
14        (6) the Director of Corrections or his or her
15    designee;
16        (7) one member of a labor organization representing a
17    plurality of Department of Corrections employees;
18        (8) one member representing Shawnee Community College,
19    appointed by the President of Shawnee Community College;
20        (9) one member representing Southern Illinois
21    University, appointed by the President of Southern
22    Illinois University;
23        (10) the mayor of Tamms, Illinois; and
24        (11) one member representing Alexander County,
25    appointed by the Chairman of the Alexander County Board.
26    (b) Each member of the Task Force shall serve without

 

 

SB2435- 1890 -LRB102 04062 AMC 14078 b

1compensation. The members of the Task Force shall select a
2Chairperson. The Task Force shall meet 2 times per year or at
3the call of the Chairperson. The Department of Corrections
4shall provide administrative support to the Task Force.
5    (c) The Task Force shall submit a report to the Governor
6and the General Assembly on or before December 31, 2020 with
7its recommendations. The Task Force is dissolved on January 1,
82021.
9    (d) This Section is repealed on January 1, 2022.
10(Source: P.A. 101-449, eff. 1-1-20; revised 10-23-19.)
 
11    (730 ILCS 5/3-2.5-20)
12    Sec. 3-2.5-20. General powers and duties.
13    (a) In addition to the powers, duties, and
14responsibilities which are otherwise provided by law or
15transferred to the Department as a result of this Article, the
16Department, as determined by the Director, shall have, but is
17are not limited to, the following rights, powers, functions,
18and duties:
19        (1) To accept juveniles committed to it by the courts
20    of this State for care, custody, treatment, and
21    rehabilitation.
22        (2) To maintain and administer all State juvenile
23    correctional institutions previously under the control of
24    the Juvenile and Women's & Children Divisions of the
25    Department of Corrections, and to establish and maintain

 

 

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1    institutions as needed to meet the needs of the youth
2    committed to its care.
3        (3) To identify the need for and recommend the funding
4    and implementation of an appropriate mix of programs and
5    services within the juvenile justice continuum, including,
6    but not limited to, prevention, nonresidential and
7    residential commitment programs, day treatment, and
8    conditional release programs and services, with the
9    support of educational, vocational, alcohol, drug abuse,
10    and mental health services where appropriate.
11        (3.5) To assist youth committed to the Department of
12    Juvenile Justice under the Juvenile Court Act of 1987 with
13    successful reintegration into society, the Department
14    shall retain custody and control of all adjudicated
15    delinquent juveniles released under Section 3-2.5-85 or
16    3-3-10 of this Code, shall provide a continuum of
17    post-release treatment and services to those youth, and
18    shall supervise those youth during their release period in
19    accordance with the conditions set by the Department or
20    the Prisoner Review Board.
21        (4) To establish and provide transitional and
22    post-release treatment programs for juveniles committed to
23    the Department. Services shall include, but are not
24    limited to:
25            (i) family and individual counseling and treatment
26        placement;

 

 

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1            (ii) referral services to any other State or local
2        agencies;
3            (iii) mental health services;
4            (iv) educational services;
5            (v) family counseling services; and
6            (vi) substance abuse services.
7        (5) To access vital records of juveniles for the
8    purposes of providing necessary documentation for
9    transitional services such as obtaining identification,
10    educational enrollment, employment, and housing.
11        (6) To develop staffing and workload standards and
12    coordinate staff development and training appropriate for
13    juvenile populations.
14        (6.5) To develop policies and procedures promoting
15    family engagement and visitation appropriate for juvenile
16    populations.
17        (7) To develop, with the approval of the Office of the
18    Governor and the Governor's Office of Management and
19    Budget, annual budget requests.
20        (8) To administer the Interstate Compact for
21    Juveniles, with respect to all juveniles under its
22    jurisdiction, and to cooperate with the Department of
23    Human Services with regard to all non-offender juveniles
24    subject to the Interstate Compact for Juveniles.
25        (9) To decide the date of release on aftercare for
26    youth committed to the Department under Section 5-750 of

 

 

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1    the Juvenile Court Act of 1987.
2        (10) To set conditions of aftercare release for all
3    youth committed to the Department under the Juvenile Court
4    Act of 1987.
5    (b) The Department may employ personnel in accordance with
6the Personnel Code and Section 3-2.5-15 of this Code, provide
7facilities, contract for goods and services, and adopt rules
8as necessary to carry out its functions and purposes, all in
9accordance with applicable State and federal law.
10    (c) On and after the date 6 months after August 16, 2013
11(the effective date of Public Act 98-488), as provided in the
12Executive Order 1 (2012) Implementation Act, all of the
13powers, duties, rights, and responsibilities related to State
14healthcare purchasing under this Code that were transferred
15from the Department of Corrections to the Department of
16Healthcare and Family Services by Executive Order 3 (2005) are
17transferred back to the Department of Corrections; however,
18powers, duties, rights, and responsibilities related to State
19healthcare purchasing under this Code that were exercised by
20the Department of Corrections before the effective date of
21Executive Order 3 (2005) but that pertain to individuals
22resident in facilities operated by the Department of Juvenile
23Justice are transferred to the Department of Juvenile Justice.
24(Source: P.A. 101-219, eff. 1-1-20; revised 9-24-19.)
 
25    (730 ILCS 5/3-3-2)  (from Ch. 38, par. 1003-3-2)

 

 

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1    Sec. 3-3-2. Powers and duties.
2    (a) The Parole and Pardon Board is abolished and the term
3"Parole and Pardon Board" as used in any law of Illinois, shall
4read "Prisoner Review Board." After February 1, 1978 (the
5effective date of Public Act 81-1099) this amendatory Act of
61977, the Prisoner Review Board shall provide by rule for the
7orderly transition of all files, records, and documents of the
8Parole and Pardon Board and for such other steps as may be
9necessary to effect an orderly transition and shall:
10        (1) hear by at least one member and through a panel of
11    at least 3 members decide, cases of prisoners who were
12    sentenced under the law in effect prior to February 1,
13    1978 (the effective date of Public Act 81-1099) this
14    amendatory Act of 1977, and who are eligible for parole;
15        (2) hear by at least one member and through a panel of
16    at least 3 members decide, the conditions of parole and
17    the time of discharge from parole, impose sanctions for
18    violations of parole, and revoke parole for those
19    sentenced under the law in effect prior to February 1,
20    1978 (the effective date of Public Act 81-1099) this
21    amendatory Act of 1977; provided that the decision to
22    parole and the conditions of parole for all prisoners who
23    were sentenced for first degree murder or who received a
24    minimum sentence of 20 years or more under the law in
25    effect prior to February 1, 1978 shall be determined by a
26    majority vote of the Prisoner Review Board. One

 

 

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1    representative supporting parole and one representative
2    opposing parole will be allowed to speak. Their comments
3    shall be limited to making corrections and filling in
4    omissions to the Board's presentation and discussion;
5        (3) hear by at least one member and through a panel of
6    at least 3 members decide, the conditions of mandatory
7    supervised release and the time of discharge from
8    mandatory supervised release, impose sanctions for
9    violations of mandatory supervised release, and revoke
10    mandatory supervised release for those sentenced under the
11    law in effect after February 1, 1978 (the effective date
12    of Public Act 81-1099) this amendatory Act of 1977;
13        (3.5) hear by at least one member and through a panel
14    of at least 3 members decide, the conditions of mandatory
15    supervised release and the time of discharge from
16    mandatory supervised release, to impose sanctions for
17    violations of mandatory supervised release and revoke
18    mandatory supervised release for those serving extended
19    supervised release terms pursuant to paragraph (4) of
20    subsection (d) of Section 5-8-1;
21        (3.6) hear by at least one member and through a panel
22    of at least 3 members decide whether to revoke aftercare
23    release for those committed to the Department of Juvenile
24    Justice under the Juvenile Court Act of 1987;
25        (4) hear by at least one member and through a panel of
26    at least 3 members, decide cases brought by the Department

 

 

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1    of Corrections against a prisoner in the custody of the
2    Department for alleged violation of Department rules with
3    respect to sentence credits under Section 3-6-3 of this
4    Code in which the Department seeks to revoke sentence
5    credits, if the amount of time at issue exceeds 30 days or
6    when, during any 12-month 12 month period, the cumulative
7    amount of credit revoked exceeds 30 days except where the
8    infraction is committed or discovered within 60 days of
9    scheduled release. In such cases, the Department of
10    Corrections may revoke up to 30 days of sentence credit.
11    The Board may subsequently approve the revocation of
12    additional sentence credit, if the Department seeks to
13    revoke sentence credit in excess of 30 thirty days.
14    However, the Board shall not be empowered to review the
15    Department's decision with respect to the loss of 30 days
16    of sentence credit for any prisoner or to increase any
17    penalty beyond the length requested by the Department;
18        (5) hear by at least one member and through a panel of
19    at least 3 members decide, the release dates for certain
20    prisoners sentenced under the law in existence prior to
21    February 1, 1978 (the effective date of Public Act
22    81-1099) this amendatory Act of 1977, in accordance with
23    Section 3-3-2.1 of this Code;
24        (6) hear by at least one member and through a panel of
25    at least 3 members decide, all requests for pardon,
26    reprieve or commutation, and make confidential

 

 

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1    recommendations to the Governor;
2        (6.5) hear by at least one member who is qualified in
3    the field of juvenile matters and through a panel of at
4    least 3 members, 2 of whom are qualified in the field of
5    juvenile matters, decide parole review cases in accordance
6    with Section 5-4.5-115 of this Code and make release
7    determinations of persons under the age of 21 at the time
8    of the commission of an offense or offenses, other than
9    those persons serving sentences for first degree murder or
10    aggravated criminal sexual assault;
11        (6.6) hear by at least a quorum of the Prisoner Review
12    Board and decide by a majority of members present at the
13    hearing, in accordance with Section 5-4.5-115 of this
14    Code, release determinations of persons under the age of
15    21 at the time of the commission of an offense or offenses
16    of those persons serving sentences for first degree murder
17    or aggravated criminal sexual assault;
18        (7) comply with the requirements of the Open Parole
19    Hearings Act;
20        (8) hear by at least one member and, through a panel of
21    at least 3 members, decide cases brought by the Department
22    of Corrections against a prisoner in the custody of the
23    Department for court dismissal of a frivolous lawsuit
24    pursuant to Section 3-6-3(d) of this Code in which the
25    Department seeks to revoke up to 180 days of sentence
26    credit, and if the prisoner has not accumulated 180 days

 

 

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1    of sentence credit at the time of the dismissal, then all
2    sentence credit accumulated by the prisoner shall be
3    revoked;
4        (9) hear by at least 3 members, and, through a panel of
5    at least 3 members, decide whether to grant certificates
6    of relief from disabilities or certificates of good
7    conduct as provided in Article 5.5 of Chapter V;
8        (10) upon a petition by a person who has been
9    convicted of a Class 3 or Class 4 felony and who meets the
10    requirements of this paragraph, hear by at least 3 members
11    and, with the unanimous vote of a panel of 3 members, issue
12    a certificate of eligibility for sealing recommending that
13    the court order the sealing of all official records of the
14    arresting authority, the circuit court clerk, and the
15    Department of State Police concerning the arrest and
16    conviction for the Class 3 or 4 felony. A person may not
17    apply to the Board for a certificate of eligibility for
18    sealing:
19            (A) until 5 years have elapsed since the
20        expiration of his or her sentence;
21            (B) until 5 years have elapsed since any arrests
22        or detentions by a law enforcement officer for an
23        alleged violation of law, other than a petty offense,
24        traffic offense, conservation offense, or local
25        ordinance offense;
26            (C) if convicted of a violation of the Cannabis

 

 

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1        Control Act, Illinois Controlled Substances Act, the
2        Methamphetamine Control and Community Protection Act,
3        the Methamphetamine Precursor Control Act, or the
4        Methamphetamine Precursor Tracking Act unless the
5        petitioner has completed a drug abuse program for the
6        offense on which sealing is sought and provides proof
7        that he or she has completed the program successfully;
8            (D) if convicted of:
9                (i) a sex offense described in Article 11 or
10            Sections 12-13, 12-14, 12-14.1, 12-15, or 12-16 of
11            the Criminal Code of 1961 or the Criminal Code of
12            2012;
13                (ii) aggravated assault;
14                (iii) aggravated battery;
15                (iv) domestic battery;
16                (v) aggravated domestic battery;
17                (vi) violation of an order of protection;
18                (vii) an offense under the Criminal Code of
19            1961 or the Criminal Code of 2012 involving a
20            firearm;
21                (viii) driving while under the influence of
22            alcohol, other drug or drugs, intoxicating
23            compound or compounds, or any combination thereof;
24                (ix) aggravated driving while under the
25            influence of alcohol, other drug or drugs,
26            intoxicating compound or compounds, or any

 

 

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1            combination thereof; or
2                (x) any crime defined as a crime of violence
3            under Section 2 of the Crime Victims Compensation
4            Act.
5        If a person has applied to the Board for a certificate
6    of eligibility for sealing and the Board denies the
7    certificate, the person must wait at least 4 years before
8    filing again or filing for pardon from the Governor unless
9    the Chairman of the Prisoner Review Board grants a waiver.
10        The decision to issue or refrain from issuing a
11    certificate of eligibility for sealing shall be at the
12    Board's sole discretion, and shall not give rise to any
13    cause of action against either the Board or its members.
14        The Board may only authorize the sealing of Class 3
15    and 4 felony convictions of the petitioner from one
16    information or indictment under this paragraph (10). A
17    petitioner may only receive one certificate of eligibility
18    for sealing under this provision for life; and
19        (11) upon a petition by a person who after having been
20    convicted of a Class 3 or Class 4 felony thereafter served
21    in the United States Armed Forces or National Guard of
22    this or any other state and had received an honorable
23    discharge from the United States Armed Forces or National
24    Guard or who at the time of filing the petition is enlisted
25    in the United States Armed Forces or National Guard of
26    this or any other state and served one tour of duty and who

 

 

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1    meets the requirements of this paragraph, hear by at least
2    3 members and, with the unanimous vote of a panel of 3
3    members, issue a certificate of eligibility for
4    expungement recommending that the court order the
5    expungement of all official records of the arresting
6    authority, the circuit court clerk, and the Department of
7    State Police concerning the arrest and conviction for the
8    Class 3 or 4 felony. A person may not apply to the Board
9    for a certificate of eligibility for expungement:
10            (A) if convicted of:
11                (i) a sex offense described in Article 11 or
12            Sections 12-13, 12-14, 12-14.1, 12-15, or 12-16 of
13            the Criminal Code of 1961 or Criminal Code of
14            2012;
15                (ii) an offense under the Criminal Code of
16            1961 or Criminal Code of 2012 involving a firearm;
17            or
18                (iii) a crime of violence as defined in
19            Section 2 of the Crime Victims Compensation Act;
20            or
21            (B) if the person has not served in the United
22        States Armed Forces or National Guard of this or any
23        other state or has not received an honorable discharge
24        from the United States Armed Forces or National Guard
25        of this or any other state or who at the time of the
26        filing of the petition is serving in the United States

 

 

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1        Armed Forces or National Guard of this or any other
2        state and has not completed one tour of duty.
3        If a person has applied to the Board for a certificate
4    of eligibility for expungement and the Board denies the
5    certificate, the person must wait at least 4 years before
6    filing again or filing for a pardon with authorization for
7    expungement from the Governor unless the Governor or
8    Chairman of the Prisoner Review Board grants a waiver.
9    (a-5) The Prisoner Review Board, with the cooperation of
10and in coordination with the Department of Corrections and the
11Department of Central Management Services, shall implement a
12pilot project in 3 correctional institutions providing for the
13conduct of hearings under paragraphs (1) and (4) of subsection
14(a) of this Section through interactive video conferences. The
15project shall be implemented within 6 months after January 1,
161997 (the effective date of Public Act 89-490) this amendatory
17Act of 1996. Within 6 months after the implementation of the
18pilot project, the Prisoner Review Board, with the cooperation
19of and in coordination with the Department of Corrections and
20the Department of Central Management Services, shall report to
21the Governor and the General Assembly regarding the use,
22costs, effectiveness, and future viability of interactive
23video conferences for Prisoner Review Board hearings.
24    (b) Upon recommendation of the Department the Board may
25restore sentence credit previously revoked.
26    (c) The Board shall cooperate with the Department in

 

 

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1promoting an effective system of parole and mandatory
2supervised release.
3    (d) The Board shall promulgate rules for the conduct of
4its work, and the Chairman shall file a copy of such rules and
5any amendments thereto with the Director and with the
6Secretary of State.
7    (e) The Board shall keep records of all of its official
8actions and shall make them accessible in accordance with law
9and the rules of the Board.
10    (f) The Board or one who has allegedly violated the
11conditions of his or her parole, aftercare release, or
12mandatory supervised release may require by subpoena the
13attendance and testimony of witnesses and the production of
14documentary evidence relating to any matter under
15investigation or hearing. The Chairman of the Board may sign
16subpoenas which shall be served by any agent or public
17official authorized by the Chairman of the Board, or by any
18person lawfully authorized to serve a subpoena under the laws
19of the State of Illinois. The attendance of witnesses, and the
20production of documentary evidence, may be required from any
21place in the State to a hearing location in the State before
22the Chairman of the Board or his or her designated agent or
23agents or any duly constituted Committee or Subcommittee of
24the Board. Witnesses so summoned shall be paid the same fees
25and mileage that are paid witnesses in the circuit courts of
26the State, and witnesses whose depositions are taken and the

 

 

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1persons taking those depositions are each entitled to the same
2fees as are paid for like services in actions in the circuit
3courts of the State. Fees and mileage shall be vouchered for
4payment when the witness is discharged from further
5attendance.
6    In case of disobedience to a subpoena, the Board may
7petition any circuit court of the State for an order requiring
8the attendance and testimony of witnesses or the production of
9documentary evidence or both. A copy of such petition shall be
10served by personal service or by registered or certified mail
11upon the person who has failed to obey the subpoena, and such
12person shall be advised in writing that a hearing upon the
13petition will be requested in a court room to be designated in
14such notice before the judge hearing motions or extraordinary
15remedies at a specified time, on a specified date, not less
16than 10 nor more than 15 days after the deposit of the copy of
17the written notice and petition in the U.S. mail mails
18addressed to the person at his or her last known address or
19after the personal service of the copy of the notice and
20petition upon such person. The court upon the filing of such a
21petition, may order the person refusing to obey the subpoena
22to appear at an investigation or hearing, or to there produce
23documentary evidence, if so ordered, or to give evidence
24relative to the subject matter of that investigation or
25hearing. Any failure to obey such order of the circuit court
26may be punished by that court as a contempt of court.

 

 

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1    Each member of the Board and any hearing officer
2designated by the Board shall have the power to administer
3oaths and to take the testimony of persons under oath.
4    (g) Except under subsection (a) of this Section, a
5majority of the members then appointed to the Prisoner Review
6Board shall constitute a quorum for the transaction of all
7business of the Board.
8    (h) The Prisoner Review Board shall annually transmit to
9the Director a detailed report of its work for the preceding
10calendar year. The annual report shall also be transmitted to
11the Governor for submission to the Legislature.
12(Source: P.A. 100-1182, eff. 6-1-19; 101-288, eff. 1-1-20;
13revised 8-19-20.)
 
14    (730 ILCS 5/3-6-3)  (from Ch. 38, par. 1003-6-3)
15    Sec. 3-6-3. Rules and regulations for sentence credit.
16    (a)(1) The Department of Corrections shall prescribe rules
17and regulations for awarding and revoking sentence credit for
18persons committed to the Department which shall be subject to
19review by the Prisoner Review Board.
20    (1.5) As otherwise provided by law, sentence credit may be
21awarded for the following:
22        (A) successful completion of programming while in
23    custody of the Department or while in custody prior to
24    sentencing;
25        (B) compliance with the rules and regulations of the

 

 

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1    Department; or
2        (C) service to the institution, service to a
3    community, or service to the State.
4    (2) Except as provided in paragraph (4.7) of this
5subsection (a), the rules and regulations on sentence credit
6shall provide, with respect to offenses listed in clause (i),
7(ii), or (iii) of this paragraph (2) committed on or after June
819, 1998 or with respect to the offense listed in clause (iv)
9of this paragraph (2) committed on or after June 23, 2005 (the
10effective date of Public Act 94-71) or with respect to offense
11listed in clause (vi) committed on or after June 1, 2008 (the
12effective date of Public Act 95-625) or with respect to the
13offense of being an armed habitual criminal committed on or
14after August 2, 2005 (the effective date of Public Act 94-398)
15or with respect to the offenses listed in clause (v) of this
16paragraph (2) committed on or after August 13, 2007 (the
17effective date of Public Act 95-134) or with respect to the
18offense of aggravated domestic battery committed on or after
19July 23, 2010 (the effective date of Public Act 96-1224) or
20with respect to the offense of attempt to commit terrorism
21committed on or after January 1, 2013 (the effective date of
22Public Act 97-990), the following:
23        (i) that a prisoner who is serving a term of
24    imprisonment for first degree murder or for the offense of
25    terrorism shall receive no sentence credit and shall serve
26    the entire sentence imposed by the court;

 

 

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1        (ii) that a prisoner serving a sentence for attempt to
2    commit terrorism, attempt to commit first degree murder,
3    solicitation of murder, solicitation of murder for hire,
4    intentional homicide of an unborn child, predatory
5    criminal sexual assault of a child, aggravated criminal
6    sexual assault, criminal sexual assault, aggravated
7    kidnapping, aggravated battery with a firearm as described
8    in Section 12-4.2 or subdivision (e)(1), (e)(2), (e)(3),
9    or (e)(4) of Section 12-3.05, heinous battery as described
10    in Section 12-4.1 or subdivision (a)(2) of Section
11    12-3.05, being an armed habitual criminal, aggravated
12    battery of a senior citizen as described in Section 12-4.6
13    or subdivision (a)(4) of Section 12-3.05, or aggravated
14    battery of a child as described in Section 12-4.3 or
15    subdivision (b)(1) of Section 12-3.05 shall receive no
16    more than 4.5 days of sentence credit for each month of his
17    or her sentence of imprisonment;
18        (iii) that a prisoner serving a sentence for home
19    invasion, armed robbery, aggravated vehicular hijacking,
20    aggravated discharge of a firearm, or armed violence with
21    a category I weapon or category II weapon, when the court
22    has made and entered a finding, pursuant to subsection
23    (c-1) of Section 5-4-1 of this Code, that the conduct
24    leading to conviction for the enumerated offense resulted
25    in great bodily harm to a victim, shall receive no more
26    than 4.5 days of sentence credit for each month of his or

 

 

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1    her sentence of imprisonment;
2        (iv) that a prisoner serving a sentence for aggravated
3    discharge of a firearm, whether or not the conduct leading
4    to conviction for the offense resulted in great bodily
5    harm to the victim, shall receive no more than 4.5 days of
6    sentence credit for each month of his or her sentence of
7    imprisonment;
8        (v) that a person serving a sentence for gunrunning,
9    narcotics racketeering, controlled substance trafficking,
10    methamphetamine trafficking, drug-induced homicide,
11    aggravated methamphetamine-related child endangerment,
12    money laundering pursuant to clause (c) (4) or (5) of
13    Section 29B-1 of the Criminal Code of 1961 or the Criminal
14    Code of 2012, or a Class X felony conviction for delivery
15    of a controlled substance, possession of a controlled
16    substance with intent to manufacture or deliver,
17    calculated criminal drug conspiracy, criminal drug
18    conspiracy, street gang criminal drug conspiracy,
19    participation in methamphetamine manufacturing,
20    aggravated participation in methamphetamine
21    manufacturing, delivery of methamphetamine, possession
22    with intent to deliver methamphetamine, aggravated
23    delivery of methamphetamine, aggravated possession with
24    intent to deliver methamphetamine, methamphetamine
25    conspiracy when the substance containing the controlled
26    substance or methamphetamine is 100 grams or more shall

 

 

SB2435- 1909 -LRB102 04062 AMC 14078 b

1    receive no more than 7.5 days sentence credit for each
2    month of his or her sentence of imprisonment;
3        (vi) that a prisoner serving a sentence for a second
4    or subsequent offense of luring a minor shall receive no
5    more than 4.5 days of sentence credit for each month of his
6    or her sentence of imprisonment; and
7        (vii) that a prisoner serving a sentence for
8    aggravated domestic battery shall receive no more than 4.5
9    days of sentence credit for each month of his or her
10    sentence of imprisonment.
11    (2.1) For all offenses, other than those enumerated in
12subdivision (a)(2)(i), (ii), or (iii) committed on or after
13June 19, 1998 or subdivision (a)(2)(iv) committed on or after
14June 23, 2005 (the effective date of Public Act 94-71) or
15subdivision (a)(2)(v) committed on or after August 13, 2007
16(the effective date of Public Act 95-134) or subdivision
17(a)(2)(vi) committed on or after June 1, 2008 (the effective
18date of Public Act 95-625) or subdivision (a)(2)(vii)
19committed on or after July 23, 2010 (the effective date of
20Public Act 96-1224), and other than the offense of aggravated
21driving under the influence of alcohol, other drug or drugs,
22or intoxicating compound or compounds, or any combination
23thereof as defined in subparagraph (F) of paragraph (1) of
24subsection (d) of Section 11-501 of the Illinois Vehicle Code,
25and other than the offense of aggravated driving under the
26influence of alcohol, other drug or drugs, or intoxicating

 

 

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1compound or compounds, or any combination thereof as defined
2in subparagraph (C) of paragraph (1) of subsection (d) of
3Section 11-501 of the Illinois Vehicle Code committed on or
4after January 1, 2011 (the effective date of Public Act
596-1230), the rules and regulations shall provide that a
6prisoner who is serving a term of imprisonment shall receive
7one day of sentence credit for each day of his or her sentence
8of imprisonment or recommitment under Section 3-3-9. Each day
9of sentence credit shall reduce by one day the prisoner's
10period of imprisonment or recommitment under Section 3-3-9.
11    (2.2) A prisoner serving a term of natural life
12imprisonment or a prisoner who has been sentenced to death
13shall receive no sentence credit.
14    (2.3) Except as provided in paragraph (4.7) of this
15subsection (a), the rules and regulations on sentence credit
16shall provide that a prisoner who is serving a sentence for
17aggravated driving under the influence of alcohol, other drug
18or drugs, or intoxicating compound or compounds, or any
19combination thereof as defined in subparagraph (F) of
20paragraph (1) of subsection (d) of Section 11-501 of the
21Illinois Vehicle Code, shall receive no more than 4.5 days of
22sentence credit for each month of his or her sentence of
23imprisonment.
24    (2.4) Except as provided in paragraph (4.7) of this
25subsection (a), the rules and regulations on sentence credit
26shall provide with respect to the offenses of aggravated

 

 

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1battery with a machine gun or a firearm equipped with any
2device or attachment designed or used for silencing the report
3of a firearm or aggravated discharge of a machine gun or a
4firearm equipped with any device or attachment designed or
5used for silencing the report of a firearm, committed on or
6after July 15, 1999 (the effective date of Public Act 91-121),
7that a prisoner serving a sentence for any of these offenses
8shall receive no more than 4.5 days of sentence credit for each
9month of his or her sentence of imprisonment.
10    (2.5) Except as provided in paragraph (4.7) of this
11subsection (a), the rules and regulations on sentence credit
12shall provide that a prisoner who is serving a sentence for
13aggravated arson committed on or after July 27, 2001 (the
14effective date of Public Act 92-176) shall receive no more
15than 4.5 days of sentence credit for each month of his or her
16sentence of imprisonment.
17    (2.6) Except as provided in paragraph (4.7) of this
18subsection (a), the rules and regulations on sentence credit
19shall provide that a prisoner who is serving a sentence for
20aggravated driving under the influence of alcohol, other drug
21or drugs, or intoxicating compound or compounds or any
22combination thereof as defined in subparagraph (C) of
23paragraph (1) of subsection (d) of Section 11-501 of the
24Illinois Vehicle Code committed on or after January 1, 2011
25(the effective date of Public Act 96-1230) shall receive no
26more than 4.5 days of sentence credit for each month of his or

 

 

SB2435- 1912 -LRB102 04062 AMC 14078 b

1her sentence of imprisonment.
2    (3) In addition to the sentence credits earned under
3paragraphs (2.1), (4), (4.1), and (4.7) of this subsection
4(a), the rules and regulations shall also provide that the
5Director may award up to 180 days of earned sentence credit for
6good conduct in specific instances as the Director deems
7proper. The good conduct may include, but is not limited to,
8compliance with the rules and regulations of the Department,
9service to the Department, service to a community, or service
10to the State.
11    Eligible inmates for an award of earned sentence credit
12under this paragraph (3) may be selected to receive the credit
13at the Director's or his or her designee's sole discretion.
14Eligibility for the additional earned sentence credit under
15this paragraph (3) shall be based on, but is not limited to,
16the results of any available risk/needs assessment or other
17relevant assessments or evaluations administered by the
18Department using a validated instrument, the circumstances of
19the crime, any history of conviction for a forcible felony
20enumerated in Section 2-8 of the Criminal Code of 2012, the
21inmate's behavior and disciplinary history while incarcerated,
22and the inmate's commitment to rehabilitation, including
23participation in programming offered by the Department.
24    The Director shall not award sentence credit under this
25paragraph (3) to an inmate unless the inmate has served a
26minimum of 60 days of the sentence; except nothing in this

 

 

SB2435- 1913 -LRB102 04062 AMC 14078 b

1paragraph shall be construed to permit the Director to extend
2an inmate's sentence beyond that which was imposed by the
3court. Prior to awarding credit under this paragraph (3), the
4Director shall make a written determination that the inmate:
5        (A) is eligible for the earned sentence credit;
6        (B) has served a minimum of 60 days, or as close to 60
7    days as the sentence will allow;
8        (B-1) has received a risk/needs assessment or other
9    relevant evaluation or assessment administered by the
10    Department using a validated instrument; and
11        (C) has met the eligibility criteria established by
12    rule for earned sentence credit.
13    The Director shall determine the form and content of the
14written determination required in this subsection.
15    (3.5) The Department shall provide annual written reports
16to the Governor and the General Assembly on the award of earned
17sentence credit no later than February 1 of each year. The
18Department must publish both reports on its website within 48
19hours of transmitting the reports to the Governor and the
20General Assembly. The reports must include:
21        (A) the number of inmates awarded earned sentence
22    credit;
23        (B) the average amount of earned sentence credit
24    awarded;
25        (C) the holding offenses of inmates awarded earned
26    sentence credit; and

 

 

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1        (D) the number of earned sentence credit revocations.
2    (4)(A) Except as provided in paragraph (4.7) of this
3subsection (a), the rules and regulations shall also provide
4that the sentence credit accumulated and retained under
5paragraph (2.1) of subsection (a) of this Section by any
6inmate during specific periods of time in which such inmate is
7engaged full-time in substance abuse programs, correctional
8industry assignments, educational programs, behavior
9modification programs, life skills courses, or re-entry
10planning provided by the Department under this paragraph (4)
11and satisfactorily completes the assigned program as
12determined by the standards of the Department, shall be
13multiplied by a factor of 1.25 for program participation
14before August 11, 1993 and 1.50 for program participation on
15or after that date. The rules and regulations shall also
16provide that sentence credit, subject to the same offense
17limits and multiplier provided in this paragraph, may be
18provided to an inmate who was held in pre-trial detention
19prior to his or her current commitment to the Department of
20Corrections and successfully completed a full-time, 60-day or
21longer substance abuse program, educational program, behavior
22modification program, life skills course, or re-entry planning
23provided by the county department of corrections or county
24jail. Calculation of this county program credit shall be done
25at sentencing as provided in Section 5-4.5-100 of this Code
26and shall be included in the sentencing order. However, no

 

 

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1inmate shall be eligible for the additional sentence credit
2under this paragraph (4) or (4.1) of this subsection (a) while
3assigned to a boot camp or electronic detention.
4    (B) The Department shall award sentence credit under this
5paragraph (4) accumulated prior to January 1, 2020 (the
6effective date of Public Act 101-440) this amendatory Act of
7the 101st General Assembly in an amount specified in
8subparagraph (C) of this paragraph (4) to an inmate serving a
9sentence for an offense committed prior to June 19, 1998, if
10the Department determines that the inmate is entitled to this
11sentence credit, based upon:
12        (i) documentation provided by the Department that the
13    inmate engaged in any full-time substance abuse programs,
14    correctional industry assignments, educational programs,
15    behavior modification programs, life skills courses, or
16    re-entry planning provided by the Department under this
17    paragraph (4) and satisfactorily completed the assigned
18    program as determined by the standards of the Department
19    during the inmate's current term of incarceration; or
20        (ii) the inmate's own testimony in the form of an
21    affidavit or documentation, or a third party's
22    documentation or testimony in the form of an affidavit
23    that the inmate likely engaged in any full-time substance
24    abuse programs, correctional industry assignments,
25    educational programs, behavior modification programs, life
26    skills courses, or re-entry planning provided by the

 

 

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1    Department under paragraph (4) and satisfactorily
2    completed the assigned program as determined by the
3    standards of the Department during the inmate's current
4    term of incarceration.
5    (C) If the inmate can provide documentation that he or she
6is entitled to sentence credit under subparagraph (B) in
7excess of 45 days of participation in those programs, the
8inmate shall receive 90 days of sentence credit. If the inmate
9cannot provide documentation of more than 45 days of
10participation in those programs, the inmate shall receive 45
11days of sentence credit. In the event of a disagreement
12between the Department and the inmate as to the amount of
13credit accumulated under subparagraph (B), if the Department
14provides documented proof of a lesser amount of days of
15participation in those programs, that proof shall control. If
16the Department provides no documentary proof, the inmate's
17proof as set forth in clause (ii) of subparagraph (B) shall
18control as to the amount of sentence credit provided.
19    (D) If the inmate has been convicted of a sex offense as
20defined in Section 2 of the Sex Offender Registration Act,
21sentencing credits under subparagraph (B) of this paragraph
22(4) shall be awarded by the Department only if the conditions
23set forth in paragraph (4.6) of subsection (a) are satisfied.
24No inmate serving a term of natural life imprisonment shall
25receive sentence credit under subparagraph (B) of this
26paragraph (4).

 

 

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1    Educational, vocational, substance abuse, behavior
2modification programs, life skills courses, re-entry planning,
3and correctional industry programs under which sentence credit
4may be increased under this paragraph (4) and paragraph (4.1)
5of this subsection (a) shall be evaluated by the Department on
6the basis of documented standards. The Department shall report
7the results of these evaluations to the Governor and the
8General Assembly by September 30th of each year. The reports
9shall include data relating to the recidivism rate among
10program participants.
11    Availability of these programs shall be subject to the
12limits of fiscal resources appropriated by the General
13Assembly for these purposes. Eligible inmates who are denied
14immediate admission shall be placed on a waiting list under
15criteria established by the Department. The inability of any
16inmate to become engaged in any such programs by reason of
17insufficient program resources or for any other reason
18established under the rules and regulations of the Department
19shall not be deemed a cause of action under which the
20Department or any employee or agent of the Department shall be
21liable for damages to the inmate.
22    (4.1) Except as provided in paragraph (4.7) of this
23subsection (a), the rules and regulations shall also provide
24that an additional 90 days of sentence credit shall be awarded
25to any prisoner who passes high school equivalency testing
26while the prisoner is committed to the Department of

 

 

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1Corrections. The sentence credit awarded under this paragraph
2(4.1) shall be in addition to, and shall not affect, the award
3of sentence credit under any other paragraph of this Section,
4but shall also be pursuant to the guidelines and restrictions
5set forth in paragraph (4) of subsection (a) of this Section.
6The sentence credit provided for in this paragraph shall be
7available only to those prisoners who have not previously
8earned a high school diploma or a high school equivalency
9certificate. If, after an award of the high school equivalency
10testing sentence credit has been made, the Department
11determines that the prisoner was not eligible, then the award
12shall be revoked. The Department may also award 90 days of
13sentence credit to any committed person who passed high school
14equivalency testing while he or she was held in pre-trial
15detention prior to the current commitment to the Department of
16Corrections.
17    Except as provided in paragraph (4.7) of this subsection
18(a), the rules and regulations shall provide that an
19additional 180 days of sentence credit shall be awarded to any
20prisoner who obtains a bachelor's degree while the prisoner is
21committed to the Department of Corrections. The sentence
22credit awarded under this paragraph (4.1) shall be in addition
23to, and shall not affect, the award of sentence credit under
24any other paragraph of this Section, but shall also be under
25the guidelines and restrictions set forth in paragraph (4) of
26this subsection (a). The sentence credit provided for in this

 

 

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1paragraph shall be available only to those prisoners who have
2not earned a bachelor's degree prior to the current commitment
3to the Department of Corrections. If, after an award of the
4bachelor's degree sentence credit has been made, the
5Department determines that the prisoner was not eligible, then
6the award shall be revoked. The Department may also award 180
7days of sentence credit to any committed person who earned a
8bachelor's degree while he or she was held in pre-trial
9detention prior to the current commitment to the Department of
10Corrections.
11    Except as provided in paragraph (4.7) of this subsection
12(a), the rules and regulations shall provide that an
13additional 180 days of sentence credit shall be awarded to any
14prisoner who obtains a master's or professional degree while
15the prisoner is committed to the Department of Corrections.
16The sentence credit awarded under this paragraph (4.1) shall
17be in addition to, and shall not affect, the award of sentence
18credit under any other paragraph of this Section, but shall
19also be under the guidelines and restrictions set forth in
20paragraph (4) of this subsection (a). The sentence credit
21provided for in this paragraph shall be available only to
22those prisoners who have not previously earned a master's or
23professional degree prior to the current commitment to the
24Department of Corrections. If, after an award of the master's
25or professional degree sentence credit has been made, the
26Department determines that the prisoner was not eligible, then

 

 

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1the award shall be revoked. The Department may also award 180
2days of sentence credit to any committed person who earned a
3master's or professional degree while he or she was held in
4pre-trial detention prior to the current commitment to the
5Department of Corrections.
6    (4.5) The rules and regulations on sentence credit shall
7also provide that when the court's sentencing order recommends
8a prisoner for substance abuse treatment and the crime was
9committed on or after September 1, 2003 (the effective date of
10Public Act 93-354), the prisoner shall receive no sentence
11credit awarded under clause (3) of this subsection (a) unless
12he or she participates in and completes a substance abuse
13treatment program. The Director may waive the requirement to
14participate in or complete a substance abuse treatment program
15in specific instances if the prisoner is not a good candidate
16for a substance abuse treatment program for medical,
17programming, or operational reasons. Availability of substance
18abuse treatment shall be subject to the limits of fiscal
19resources appropriated by the General Assembly for these
20purposes. If treatment is not available and the requirement to
21participate and complete the treatment has not been waived by
22the Director, the prisoner shall be placed on a waiting list
23under criteria established by the Department. The Director may
24allow a prisoner placed on a waiting list to participate in and
25complete a substance abuse education class or attend substance
26abuse self-help meetings in lieu of a substance abuse

 

 

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1treatment program. A prisoner on a waiting list who is not
2placed in a substance abuse program prior to release may be
3eligible for a waiver and receive sentence credit under clause
4(3) of this subsection (a) at the discretion of the Director.
5    (4.6) The rules and regulations on sentence credit shall
6also provide that a prisoner who has been convicted of a sex
7offense as defined in Section 2 of the Sex Offender
8Registration Act shall receive no sentence credit unless he or
9she either has successfully completed or is participating in
10sex offender treatment as defined by the Sex Offender
11Management Board. However, prisoners who are waiting to
12receive treatment, but who are unable to do so due solely to
13the lack of resources on the part of the Department, may, at
14the Director's sole discretion, be awarded sentence credit at
15a rate as the Director shall determine.
16    (4.7) On or after January 1, 2018 (the effective date of
17Public Act 100-3) this amendatory Act of the 100th General
18Assembly, sentence credit under paragraph (3), (4), or (4.1)
19of this subsection (a) may be awarded to a prisoner who is
20serving a sentence for an offense described in paragraph (2),
21(2.3), (2.4), (2.5), or (2.6) for credit earned on or after
22January 1, 2018 (the effective date of Public Act 100-3) this
23amendatory Act of the 100th General Assembly; provided, the
24award of the credits under this paragraph (4.7) shall not
25reduce the sentence of the prisoner to less than the following
26amounts:

 

 

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1        (i) 85% of his or her sentence if the prisoner is
2    required to serve 85% of his or her sentence; or
3        (ii) 60% of his or her sentence if the prisoner is
4    required to serve 75% of his or her sentence, except if the
5    prisoner is serving a sentence for gunrunning his or her
6    sentence shall not be reduced to less than 75%.
7        (iii) 100% of his or her sentence if the prisoner is
8    required to serve 100% of his or her sentence.
9    (5) Whenever the Department is to release any inmate
10earlier than it otherwise would because of a grant of earned
11sentence credit under paragraph (3) of subsection (a) of this
12Section given at any time during the term, the Department
13shall give reasonable notice of the impending release not less
14than 14 days prior to the date of the release to the State's
15Attorney of the county where the prosecution of the inmate
16took place, and if applicable, the State's Attorney of the
17county into which the inmate will be released. The Department
18must also make identification information and a recent photo
19of the inmate being released accessible on the Internet by
20means of a hyperlink labeled "Community Notification of Inmate
21Early Release" on the Department's World Wide Web homepage.
22The identification information shall include the inmate's:
23name, any known alias, date of birth, physical
24characteristics, commitment offense, and county where
25conviction was imposed. The identification information shall
26be placed on the website within 3 days of the inmate's release

 

 

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1and the information may not be removed until either:
2completion of the first year of mandatory supervised release
3or return of the inmate to custody of the Department.
4    (b) Whenever a person is or has been committed under
5several convictions, with separate sentences, the sentences
6shall be construed under Section 5-8-4 in granting and
7forfeiting of sentence credit.
8    (c) The Department shall prescribe rules and regulations
9for revoking sentence credit, including revoking sentence
10credit awarded under paragraph (3) of subsection (a) of this
11Section. The Department shall prescribe rules and regulations
12for suspending or reducing the rate of accumulation of
13sentence credit for specific rule violations, during
14imprisonment. These rules and regulations shall provide that
15no inmate may be penalized more than one year of sentence
16credit for any one infraction.
17    When the Department seeks to revoke, suspend, or reduce
18the rate of accumulation of any sentence credits for an
19alleged infraction of its rules, it shall bring charges
20therefor against the prisoner sought to be so deprived of
21sentence credits before the Prisoner Review Board as provided
22in subparagraph (a)(4) of Section 3-3-2 of this Code, if the
23amount of credit at issue exceeds 30 days or when, during any
2412-month 12 month period, the cumulative amount of credit
25revoked exceeds 30 days except where the infraction is
26committed or discovered within 60 days of scheduled release.

 

 

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1In those cases, the Department of Corrections may revoke up to
230 days of sentence credit. The Board may subsequently approve
3the revocation of additional sentence credit, if the
4Department seeks to revoke sentence credit in excess of 30
5days. However, the Board shall not be empowered to review the
6Department's decision with respect to the loss of 30 days of
7sentence credit within any calendar year for any prisoner or
8to increase any penalty beyond the length requested by the
9Department.
10    The Director of the Department of Corrections, in
11appropriate cases, may restore up to 30 days of sentence
12credits which have been revoked, suspended, or reduced. Any
13restoration of sentence credits in excess of 30 days shall be
14subject to review by the Prisoner Review Board. However, the
15Board may not restore sentence credit in excess of the amount
16requested by the Director.
17    Nothing contained in this Section shall prohibit the
18Prisoner Review Board from ordering, pursuant to Section
193-3-9(a)(3)(i)(B), that a prisoner serve up to one year of the
20sentence imposed by the court that was not served due to the
21accumulation of sentence credit.
22    (d) If a lawsuit is filed by a prisoner in an Illinois or
23federal court against the State, the Department of
24Corrections, or the Prisoner Review Board, or against any of
25their officers or employees, and the court makes a specific
26finding that a pleading, motion, or other paper filed by the

 

 

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1prisoner is frivolous, the Department of Corrections shall
2conduct a hearing to revoke up to 180 days of sentence credit
3by bringing charges against the prisoner sought to be deprived
4of the sentence credits before the Prisoner Review Board as
5provided in subparagraph (a)(8) of Section 3-3-2 of this Code.
6If the prisoner has not accumulated 180 days of sentence
7credit at the time of the finding, then the Prisoner Review
8Board may revoke all sentence credit accumulated by the
9prisoner.
10    For purposes of this subsection (d):
11        (1) "Frivolous" means that a pleading, motion, or
12    other filing which purports to be a legal document filed
13    by a prisoner in his or her lawsuit meets any or all of the
14    following criteria:
15            (A) it lacks an arguable basis either in law or in
16        fact;
17            (B) it is being presented for any improper
18        purpose, such as to harass or to cause unnecessary
19        delay or needless increase in the cost of litigation;
20            (C) the claims, defenses, and other legal
21        contentions therein are not warranted by existing law
22        or by a nonfrivolous argument for the extension,
23        modification, or reversal of existing law or the
24        establishment of new law;
25            (D) the allegations and other factual contentions
26        do not have evidentiary support or, if specifically so

 

 

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1        identified, are not likely to have evidentiary support
2        after a reasonable opportunity for further
3        investigation or discovery; or
4            (E) the denials of factual contentions are not
5        warranted on the evidence, or if specifically so
6        identified, are not reasonably based on a lack of
7        information or belief.
8        (2) "Lawsuit" means a motion pursuant to Section 116-3
9    of the Code of Criminal Procedure of 1963, a habeas corpus
10    action under Article X of the Code of Civil Procedure or
11    under federal law (28 U.S.C. 2254), a petition for claim
12    under the Court of Claims Act, an action under the federal
13    Civil Rights Act (42 U.S.C. 1983), or a second or
14    subsequent petition for post-conviction relief under
15    Article 122 of the Code of Criminal Procedure of 1963
16    whether filed with or without leave of court or a second or
17    subsequent petition for relief from judgment under Section
18    2-1401 of the Code of Civil Procedure.
19    (e) Nothing in Public Act 90-592 or 90-593 affects the
20validity of Public Act 89-404.
21    (f) Whenever the Department is to release any inmate who
22has been convicted of a violation of an order of protection
23under Section 12-3.4 or 12-30 of the Criminal Code of 1961 or
24the Criminal Code of 2012, earlier than it otherwise would
25because of a grant of sentence credit, the Department, as a
26condition of release, shall require that the person, upon

 

 

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1release, be placed under electronic surveillance as provided
2in Section 5-8A-7 of this Code.
3(Source: P.A. 100-3, eff. 1-1-18; 100-575, eff. 1-8-18;
4101-440, eff. 1-1-20; revised 8-19-20.)
 
5    (730 ILCS 5/3-8-5)  (from Ch. 38, par. 1003-8-5)
6    Sec. 3-8-5. Transfer to Department of Human Services.
7    (a) The Department shall cause inquiry and examination at
8periodic intervals to ascertain whether any person committed
9to it may be subject to involuntary admission, as defined in
10Section 1-119 of the Mental Health and Developmental
11Disabilities Code, or meets the standard for judicial
12admission as defined in Section 4-500 of the Mental Health and
13Developmental Disabilities Code, or is an intoxicated person
14or a person with a substance use disorder as defined in the
15Substance Use Disorder Act. The Department may provide special
16psychiatric or psychological or other counseling or treatment
17to such persons in a separate institution within the
18Department, or the Director of the Department of Corrections
19may transfer such persons other than intoxicated persons or
20persons with substance use disorders to the Department of
21Human Services for observation, diagnosis and treatment,
22subject to the approval of the Secretary Director of the
23Department of Human Services, for a period of not more than 6
24months, if the person consents in writing to the transfer. The
25person shall be advised of his right not to consent, and if he

 

 

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1does not consent, such transfer may be effected only by
2commitment under paragraphs (c) and (d) of this Section.
3    (b) The person's spouse, guardian, or nearest relative and
4his attorney of record shall be advised of their right to
5object, and if objection is made, such transfer may be
6effected only by commitment under paragraph (c) of this
7Section. Notices of such transfer shall be mailed to such
8person's spouse, guardian, or nearest relative and to the
9attorney of record marked for delivery to addressee only at
10his last known address by certified mail with return receipt
11requested together with written notification of the manner and
12time within which he may object thereto.
13    (c) If a committed person does not consent to his transfer
14to the Department of Human Services or if a person objects
15under paragraph (b) of this Section, or if the Department of
16Human Services determines that a transferred person requires
17commitment to the Department of Human Services for more than 6
18months, or if the person's sentence will expire within 6
19months, the Director of the Department of Corrections shall
20file a petition in the circuit court of the county in which the
21correctional institution or facility is located requesting the
22transfer of such person to the Department of Human Services. A
23certificate of a psychiatrist, a clinical psychologist, or, if
24admission to a developmental disability facility is sought, of
25a physician that the person is in need of commitment to the
26Department of Human Services for treatment or habilitation

 

 

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1shall be attached to the petition. Copies of the petition
2shall be furnished to the named person and to the state's
3attorneys of the county in which the correctional institution
4or facility is located and the county in which the named person
5was committed to the Department of Corrections.
6    (d) The court shall set a date for a hearing on the
7petition within the time limit set forth in the Mental Health
8and Developmental Disabilities Code. The hearing shall be
9conducted in the manner prescribed by the Mental Health and
10Developmental Disabilities Code. If the person is found to be
11in need of commitment to the Department of Human Services for
12treatment or habilitation, the court may commit him to that
13Department.
14    (e) Nothing in this Section shall limit the right of the
15Director or the chief administrative officer of any
16institution or facility to utilize the emergency admission
17provisions of the Mental Health and Developmental Disabilities
18Code with respect to any person in his custody or care. The
19transfer of a person to an institution or facility of the
20Department of Human Services under paragraph (a) of this
21Section does not discharge the person from the control of the
22Department.
23(Source: P.A. 100-759, eff. 1-1-19; revised 7-12-19.)
 
24    (730 ILCS 5/3-14-1)  (from Ch. 38, par. 1003-14-1)
25    Sec. 3-14-1. Release from the institution.

 

 

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1    (a) Upon release of a person on parole, mandatory release,
2final discharge or pardon the Department shall return all
3property held for him, provide him with suitable clothing and
4procure necessary transportation for him to his designated
5place of residence and employment. It may provide such person
6with a grant of money for travel and expenses which may be paid
7in installments. The amount of the money grant shall be
8determined by the Department.
9    (a-1) The Department shall, before a wrongfully imprisoned
10person, as defined in Section 3-1-2 of this Code, is
11discharged from the Department, provide him or her with any
12documents necessary after discharge.
13    (a-2) The Department of Corrections may establish and
14maintain, in any institution it administers, revolving funds
15to be known as "Travel and Allowances Revolving Funds". These
16revolving funds shall be used for advancing travel and expense
17allowances to committed, paroled, and discharged prisoners.
18The moneys paid into such revolving funds shall be from
19appropriations to the Department for Committed, Paroled, and
20Discharged Prisoners.
21    (a-3) Upon release of a person who is eligible to vote on
22parole, mandatory release, final discharge, or pardon, the
23Department shall provide the person with a form that informs
24him or her that his or her voting rights have been restored and
25a voter registration application. The Department shall have
26available voter registration applications in the languages

 

 

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1provided by the Illinois State Board of Elections. The form
2that informs the person that his or her rights have been
3restored shall include the following information:
4        (1) All voting rights are restored upon release from
5    the Department's custody.
6        (2) A person who is eligible to vote must register in
7    order to be able to vote.
8    The Department of Corrections shall confirm that the
9person received the voter registration application and has
10been informed that his or her voting rights have been
11restored.
12    (a-4) (a-3) Prior to release of a person on parole,
13mandatory supervised release, final discharge, or pardon, the
14Department shall screen every person for Medicaid eligibility.
15Officials of the correctional institution or facility where
16the committed person is assigned shall assist an eligible
17person to complete a Medicaid application to ensure that the
18person begins receiving benefits as soon as possible after his
19or her release. The application must include the eligible
20person's address associated with his or her residence upon
21release from the facility. If the residence is temporary, the
22eligible person must notify the Department of Human Services
23of his or her change in address upon transition to permanent
24housing.
25    (b) (Blank).
26    (c) Except as otherwise provided in this Code, the

 

 

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1Department shall establish procedures to provide written
2notification of any release of any person who has been
3convicted of a felony to the State's Attorney and sheriff of
4the county from which the offender was committed, and the
5State's Attorney and sheriff of the county into which the
6offender is to be paroled or released. Except as otherwise
7provided in this Code, the Department shall establish
8procedures to provide written notification to the proper law
9enforcement agency for any municipality of any release of any
10person who has been convicted of a felony if the arrest of the
11offender or the commission of the offense took place in the
12municipality, if the offender is to be paroled or released
13into the municipality, or if the offender resided in the
14municipality at the time of the commission of the offense. If a
15person convicted of a felony who is in the custody of the
16Department of Corrections or on parole or mandatory supervised
17release informs the Department that he or she has resided,
18resides, or will reside at an address that is a housing
19facility owned, managed, operated, or leased by a public
20housing agency, the Department must send written notification
21of that information to the public housing agency that owns,
22manages, operates, or leases the housing facility. The written
23notification shall, when possible, be given at least 14 days
24before release of the person from custody, or as soon
25thereafter as possible. The written notification shall be
26provided electronically if the State's Attorney, sheriff,

 

 

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1proper law enforcement agency, or public housing agency has
2provided the Department with an accurate and up to date email
3address.
4    (c-1) (Blank).
5    (c-2) The Department shall establish procedures to provide
6notice to the Department of State Police of the release or
7discharge of persons convicted of violations of the
8Methamphetamine Control and Community Protection Act or a
9violation of the Methamphetamine Precursor Control Act. The
10Department of State Police shall make this information
11available to local, State, or federal law enforcement agencies
12upon request.
13    (c-5) If a person on parole or mandatory supervised
14release becomes a resident of a facility licensed or regulated
15by the Department of Public Health, the Illinois Department of
16Public Aid, or the Illinois Department of Human Services, the
17Department of Corrections shall provide copies of the
18following information to the appropriate licensing or
19regulating Department and the licensed or regulated facility
20where the person becomes a resident:
21        (1) The mittimus and any pre-sentence investigation
22    reports.
23        (2) The social evaluation prepared pursuant to Section
24    3-8-2.
25        (3) Any pre-release evaluation conducted pursuant to
26    subsection (j) of Section 3-6-2.

 

 

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1        (4) Reports of disciplinary infractions and
2    dispositions.
3        (5) Any parole plan, including orders issued by the
4    Prisoner Review Board, and any violation reports and
5    dispositions.
6        (6) The name and contact information for the assigned
7    parole agent and parole supervisor.
8    This information shall be provided within 3 days of the
9person becoming a resident of the facility.
10    (c-10) If a person on parole or mandatory supervised
11release becomes a resident of a facility licensed or regulated
12by the Department of Public Health, the Illinois Department of
13Public Aid, or the Illinois Department of Human Services, the
14Department of Corrections shall provide written notification
15of such residence to the following:
16        (1) The Prisoner Review Board.
17        (2) The chief of police and sheriff in the
18    municipality and county in which the licensed facility is
19    located.
20    The notification shall be provided within 3 days of the
21person becoming a resident of the facility.
22    (d) Upon the release of a committed person on parole,
23mandatory supervised release, final discharge or pardon, the
24Department shall provide such person with information
25concerning programs and services of the Illinois Department of
26Public Health to ascertain whether such person has been

 

 

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1exposed to the human immunodeficiency virus (HIV) or any
2identified causative agent of Acquired Immunodeficiency
3Syndrome (AIDS).
4    (e) Upon the release of a committed person on parole,
5mandatory supervised release, final discharge, pardon, or who
6has been wrongfully imprisoned, the Department shall verify
7the released person's full name, date of birth, and social
8security number. If verification is made by the Department by
9obtaining a certified copy of the released person's birth
10certificate and the released person's social security card or
11other documents authorized by the Secretary, the Department
12shall provide the birth certificate and social security card
13or other documents authorized by the Secretary to the released
14person. If verification by the Department is done by means
15other than obtaining a certified copy of the released person's
16birth certificate and the released person's social security
17card or other documents authorized by the Secretary, the
18Department shall complete a verification form, prescribed by
19the Secretary of State, and shall provide that verification
20form to the released person.
21    (f) Forty-five days prior to the scheduled discharge of a
22person committed to the custody of the Department of
23Corrections, the Department shall give the person who is
24otherwise uninsured an opportunity to apply for health care
25coverage including medical assistance under Article V of the
26Illinois Public Aid Code in accordance with subsection (b) of

 

 

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1Section 1-8.5 of the Illinois Public Aid Code, and the
2Department of Corrections shall provide assistance with
3completion of the application for health care coverage
4including medical assistance. The Department may adopt rules
5to implement this Section.
6(Source: P.A. 101-351, eff. 1-1-20; 101-442, eff. 1-1-20;
7revised 9-9-19.)
 
8    (730 ILCS 5/5-2-4)  (from Ch. 38, par. 1005-2-4)
9    Sec. 5-2-4. Proceedings after acquittal by reason of
10insanity.
11    (a) After a finding or verdict of not guilty by reason of
12insanity under Sections 104-25, 115-3, or 115-4 of the Code of
13Criminal Procedure of 1963, the defendant shall be ordered to
14the Department of Human Services for an evaluation as to
15whether he is in need of mental health services. The order
16shall specify whether the evaluation shall be conducted on an
17inpatient or outpatient basis. If the evaluation is to be
18conducted on an inpatient basis, the defendant shall be placed
19in a secure setting. With the court order for evaluation shall
20be sent a copy of the arrest report, criminal charges, arrest
21record, jail record, any report prepared under Section 115-6
22of the Code of Criminal Procedure of 1963, and any statement
23prepared under Section 6 of the Rights of Crime Victims and
24Witnesses Act. The clerk of the circuit court shall transmit
25this information to the Department within 5 days. If the court

 

 

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1orders that the evaluation be done on an inpatient basis, the
2Department shall evaluate the defendant to determine to which
3secure facility the defendant shall be transported and, within
420 days of the transmittal by the clerk of the circuit court of
5the placement court order, notify the sheriff of the
6designated facility. Upon receipt of that notice, the sheriff
7shall promptly transport the defendant to the designated
8facility. During the period of time required to determine the
9appropriate placement, the defendant shall remain in jail. If,
10within 20 days of the transmittal by the clerk of the circuit
11court of the placement court order, the Department fails to
12notify the sheriff of the identity of the facility to which the
13defendant shall be transported, the sheriff shall contact a
14designated person within the Department to inquire about when
15a placement will become available at the designated facility
16and bed availability at other facilities. If, within 20 days
17of the transmittal by the clerk of the circuit court of the
18placement court order, the Department fails to notify the
19sheriff of the identity of the facility to which the defendant
20shall be transported, the sheriff shall notify the Department
21of its intent to transfer the defendant to the nearest secure
22mental health facility operated by the Department and inquire
23as to the status of the placement evaluation and availability
24for admission to the facility operated by the Department by
25contacting a designated person within the Department. The
26Department shall respond to the sheriff within 2 business days

 

 

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1of the notice and inquiry by the sheriff seeking the transfer
2and the Department shall provide the sheriff with the status
3of the placement evaluation, information on bed and placement
4availability, and an estimated date of admission for the
5defendant and any changes to that estimated date of admission.
6If the Department notifies the sheriff during the 2 business
7day period of a facility operated by the Department with
8placement availability, the sheriff shall promptly transport
9the defendant to that facility. Individualized placement
10evaluations by the Department of Human Services determine the
11most appropriate setting for forensic treatment based upon a
12number of factors including mental health diagnosis, proximity
13to surviving victims, security need, age, gender, and
14proximity to family.
15    The Department shall provide the Court with a report of
16its evaluation within 30 days of the date of this order. The
17Court shall hold a hearing as provided under the Mental Health
18and Developmental Disabilities Code to determine if the
19individual is: (a) in need of mental health services on an
20inpatient basis; (b) in need of mental health services on an
21outpatient basis; (c) a person not in need of mental health
22services. The court shall afford the victim the opportunity to
23make a written or oral statement as guaranteed by Article I,
24Section 8.1 of the Illinois Constitution and Section 6 of the
25Rights of Crime Victims and Witnesses Act. The court shall
26allow a victim to make an oral statement if the victim is

 

 

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1present in the courtroom and requests to make an oral
2statement. An oral statement includes the victim or a
3representative of the victim reading the written statement.
4The court may allow persons impacted by the crime who are not
5victims under subsection (a) of Section 3 of the Rights of
6Crime Victims and Witnesses Act to present an oral or written
7statement. A victim and any person making an oral statement
8shall not be put under oath or subject to cross-examination.
9The court shall consider any statement presented along with
10all other appropriate factors in determining the sentence of
11the defendant or disposition of the juvenile. All statements
12shall become part of the record of the court.
13    If the defendant is found to be in need of mental health
14services on an inpatient care basis, the Court shall order the
15defendant to the Department of Human Services. The defendant
16shall be placed in a secure setting. Such defendants placed in
17a secure setting shall not be permitted outside the facility's
18housing unit unless escorted or accompanied by personnel of
19the Department of Human Services or with the prior approval of
20the Court for unsupervised on-grounds privileges as provided
21herein. Any defendant placed in a secure setting pursuant to
22this Section, transported to court hearings or other necessary
23appointments off facility grounds by personnel of the
24Department of Human Services, shall be placed in security
25devices or otherwise secured during the period of
26transportation to assure secure transport of the defendant and

 

 

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1the safety of Department of Human Services personnel and
2others. These security measures shall not constitute restraint
3as defined in the Mental Health and Developmental Disabilities
4Code. If the defendant is found to be in need of mental health
5services, but not on an inpatient care basis, the Court shall
6conditionally release the defendant, under such conditions as
7set forth in this Section as will reasonably assure the
8defendant's satisfactory progress and participation in
9treatment or rehabilitation and the safety of the defendant,
10the victim, the victim's family members, and others. If the
11Court finds the person not in need of mental health services,
12then the Court shall order the defendant discharged from
13custody.
14    (a-1) Definitions. For the purposes of this Section:
15        (A) (Blank).
16        (B) "In need of mental health services on an inpatient
17    basis" means: a defendant who has been found not guilty by
18    reason of insanity but who, due to mental illness, is
19    reasonably expected to inflict serious physical harm upon
20    himself or another and who would benefit from inpatient
21    care or is in need of inpatient care.
22        (C) "In need of mental health services on an
23    outpatient basis" means: a defendant who has been found
24    not guilty by reason of insanity who is not in need of
25    mental health services on an inpatient basis, but is in
26    need of outpatient care, drug and/or alcohol

 

 

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1    rehabilitation programs, community adjustment programs,
2    individual, group, or family therapy, or chemotherapy.
3        (D) "Conditional Release" means: the release from
4    either the custody of the Department of Human Services or
5    the custody of the Court of a person who has been found not
6    guilty by reason of insanity under such conditions as the
7    Court may impose which reasonably assure the defendant's
8    satisfactory progress in treatment or habilitation and the
9    safety of the defendant, the victim, the victim's family,
10    and others. The Court shall consider such terms and
11    conditions which may include, but need not be limited to,
12    outpatient care, alcoholic and drug rehabilitation
13    programs, community adjustment programs, individual,
14    group, family, and chemotherapy, random testing to ensure
15    the defendant's timely and continuous taking of any
16    medicines prescribed to control or manage his or her
17    conduct or mental state, and periodic checks with the
18    legal authorities and/or the Department of Human Services.
19    The Court may order as a condition of conditional release
20    that the defendant not contact the victim of the offense
21    that resulted in the finding or verdict of not guilty by
22    reason of insanity or any other person. The Court may
23    order the Department of Human Services to provide care to
24    any person conditionally released under this Section. The
25    Department may contract with any public or private agency
26    in order to discharge any responsibilities imposed under

 

 

SB2435- 1942 -LRB102 04062 AMC 14078 b

1    this Section. The Department shall monitor the provision
2    of services to persons conditionally released under this
3    Section and provide periodic reports to the Court
4    concerning the services and the condition of the
5    defendant. Whenever a person is conditionally released
6    pursuant to this Section, the State's Attorney for the
7    county in which the hearing is held shall designate in
8    writing the name, telephone number, and address of a
9    person employed by him or her who shall be notified in the
10    event that either the reporting agency or the Department
11    decides that the conditional release of the defendant
12    should be revoked or modified pursuant to subsection (i)
13    of this Section. Such conditional release shall be for a
14    period of five years. However, the defendant, the person
15    or facility rendering the treatment, therapy, program or
16    outpatient care, the Department, or the State's Attorney
17    may petition the Court for an extension of the conditional
18    release period for an additional 5 years. Upon receipt of
19    such a petition, the Court shall hold a hearing consistent
20    with the provisions of paragraph (a), this paragraph
21    (a-1), and paragraph (f) of this Section, shall determine
22    whether the defendant should continue to be subject to the
23    terms of conditional release, and shall enter an order
24    either extending the defendant's period of conditional
25    release for an additional 5-year period or discharging the
26    defendant. Additional 5-year periods of conditional

 

 

SB2435- 1943 -LRB102 04062 AMC 14078 b

1    release may be ordered following a hearing as provided in
2    this Section. However, in no event shall the defendant's
3    period of conditional release continue beyond the maximum
4    period of commitment ordered by the Court pursuant to
5    paragraph (b) of this Section. These provisions for
6    extension of conditional release shall only apply to
7    defendants conditionally released on or after August 8,
8    2003. However, the extension provisions of Public Act
9    83-1449 apply only to defendants charged with a forcible
10    felony.
11        (E) "Facility director" means the chief officer of a
12    mental health or developmental disabilities facility or
13    his or her designee or the supervisor of a program of
14    treatment or habilitation or his or her designee.
15    "Designee" may include a physician, clinical psychologist,
16    social worker, nurse, or clinical professional counselor.
17    (b) If the Court finds the defendant in need of mental
18health services on an inpatient basis, the admission,
19detention, care, treatment or habilitation, treatment plans,
20review proceedings, including review of treatment and
21treatment plans, and discharge of the defendant after such
22order shall be under the Mental Health and Developmental
23Disabilities Code, except that the initial order for admission
24of a defendant acquitted of a felony by reason of insanity
25shall be for an indefinite period of time. Such period of
26commitment shall not exceed the maximum length of time that

 

 

SB2435- 1944 -LRB102 04062 AMC 14078 b

1the defendant would have been required to serve, less credit
2for good behavior as provided in Section 5-4-1 of the Unified
3Code of Corrections, before becoming eligible for release had
4he been convicted of and received the maximum sentence for the
5most serious crime for which he has been acquitted by reason of
6insanity. The Court shall determine the maximum period of
7commitment by an appropriate order. During this period of
8time, the defendant shall not be permitted to be in the
9community in any manner, including, but not limited to,
10off-grounds privileges, with or without escort by personnel of
11the Department of Human Services, unsupervised on-grounds
12privileges, discharge or conditional or temporary release,
13except by a plan as provided in this Section. In no event shall
14a defendant's continued unauthorized absence be a basis for
15discharge. Not more than 30 days after admission and every 90
16days thereafter so long as the initial order remains in
17effect, the facility director shall file a treatment plan
18report in writing with the court and forward a copy of the
19treatment plan report to the clerk of the court, the State's
20Attorney, and the defendant's attorney, if the defendant is
21represented by counsel, or to a person authorized by the
22defendant under the Mental Health and Developmental
23Disabilities Confidentiality Act to be sent a copy of the
24report. The report shall include an opinion as to whether the
25defendant is currently in need of mental health services on an
26inpatient basis or in need of mental health services on an

 

 

SB2435- 1945 -LRB102 04062 AMC 14078 b

1outpatient basis. The report shall also summarize the basis
2for those findings and provide a current summary of the
3following items from the treatment plan: (1) an assessment of
4the defendant's treatment needs, (2) a description of the
5services recommended for treatment, (3) the goals of each type
6of element of service, (4) an anticipated timetable for the
7accomplishment of the goals, and (5) a designation of the
8qualified professional responsible for the implementation of
9the plan. The report may also include unsupervised on-grounds
10privileges, off-grounds privileges (with or without escort by
11personnel of the Department of Human Services), home visits
12and participation in work programs, but only where such
13privileges have been approved by specific court order, which
14order may include such conditions on the defendant as the
15Court may deem appropriate and necessary to reasonably assure
16the defendant's satisfactory progress in treatment and the
17safety of the defendant and others.
18    (c) Every defendant acquitted of a felony by reason of
19insanity and subsequently found to be in need of mental health
20services shall be represented by counsel in all proceedings
21under this Section and under the Mental Health and
22Developmental Disabilities Code.
23        (1) The Court shall appoint as counsel the public
24    defender or an attorney licensed by this State.
25        (2) Upon filing with the Court of a verified statement
26    of legal services rendered by the private attorney

 

 

SB2435- 1946 -LRB102 04062 AMC 14078 b

1    appointed pursuant to paragraph (1) of this subsection,
2    the Court shall determine a reasonable fee for such
3    services. If the defendant is unable to pay the fee, the
4    Court shall enter an order upon the State to pay the entire
5    fee or such amount as the defendant is unable to pay from
6    funds appropriated by the General Assembly for that
7    purpose.
8    (d) When the facility director determines that:
9        (1) the defendant is no longer in need of mental
10    health services on an inpatient basis; and
11        (2) the defendant may be conditionally released
12    because he or she is still in need of mental health
13    services or that the defendant may be discharged as not in
14    need of any mental health services; or
15        (3) (blank);
16the facility director shall give written notice to the Court,
17State's Attorney and defense attorney. Such notice shall set
18forth in detail the basis for the recommendation of the
19facility director, and specify clearly the recommendations, if
20any, of the facility director, concerning conditional release.
21Any recommendation for conditional release shall include an
22evaluation of the defendant's need for psychotropic
23medication, what provisions should be made, if any, to ensure
24that the defendant will continue to receive psychotropic
25medication following discharge, and what provisions should be
26made to assure the safety of the defendant and others in the

 

 

SB2435- 1947 -LRB102 04062 AMC 14078 b

1event the defendant is no longer receiving psychotropic
2medication. Within 30 days of the notification by the facility
3director, the Court shall set a hearing and make a finding as
4to whether the defendant is:
5        (i) (blank); or
6        (ii) in need of mental health services in the form of
7    inpatient care; or
8        (iii) in need of mental health services but not
9    subject to inpatient care; or
10        (iv) no longer in need of mental health services; or
11        (v) (blank).
12    A crime victim shall be allowed to present an oral and
13written statement. The court shall allow a victim to make an
14oral statement if the victim is present in the courtroom and
15requests to make an oral statement. An oral statement includes
16the victim or a representative of the victim reading the
17written statement. A victim and any person making an oral
18statement shall not be put under oath or subject to
19cross-examination. All statements shall become part of the
20record of the court.
21    Upon finding by the Court, the Court shall enter its
22findings and such appropriate order as provided in subsections
23(a) and (a-1) of this Section.
24    (e) A defendant admitted pursuant to this Section, or any
25person on his behalf, may file a petition for treatment plan
26review or discharge or conditional release under the standards

 

 

SB2435- 1948 -LRB102 04062 AMC 14078 b

1of this Section in the Court which rendered the verdict. Upon
2receipt of a petition for treatment plan review or discharge
3or conditional release, the Court shall set a hearing to be
4held within 120 days. Thereafter, no new petition may be filed
5for 180 days without leave of the Court.
6    (f) The Court shall direct that notice of the time and
7place of the hearing be served upon the defendant, the
8facility director, the State's Attorney, and the defendant's
9attorney. If requested by either the State or the defense or if
10the Court feels it is appropriate, an impartial examination of
11the defendant by a psychiatrist or clinical psychologist as
12defined in Section 1-103 of the Mental Health and
13Developmental Disabilities Code who is not in the employ of
14the Department of Human Services shall be ordered, and the
15report considered at the time of the hearing.
16    (g) The findings of the Court shall be established by
17clear and convincing evidence. The burden of proof and the
18burden of going forth with the evidence rest with the
19defendant or any person on the defendant's behalf when a
20hearing is held to review a petition filed by or on behalf of
21the defendant. The evidence shall be presented in open Court
22with the right of confrontation and cross-examination. Such
23evidence may include, but is not limited to:
24        (1) whether the defendant appreciates the harm caused
25    by the defendant to others and the community by his or her
26    prior conduct that resulted in the finding of not guilty

 

 

SB2435- 1949 -LRB102 04062 AMC 14078 b

1    by reason of insanity;
2        (2) Whether the person appreciates the criminality of
3    conduct similar to the conduct for which he or she was
4    originally charged in this matter;
5        (3) the current state of the defendant's illness;
6        (4) what, if any, medications the defendant is taking
7    to control his or her mental illness;
8        (5) what, if any, adverse physical side effects the
9    medication has on the defendant;
10        (6) the length of time it would take for the
11    defendant's mental health to deteriorate if the defendant
12    stopped taking prescribed medication;
13        (7) the defendant's history or potential for alcohol
14    and drug abuse;
15        (8) the defendant's past criminal history;
16        (9) any specialized physical or medical needs of the
17    defendant;
18        (10) any family participation or involvement expected
19    upon release and what is the willingness and ability of
20    the family to participate or be involved;
21        (11) the defendant's potential to be a danger to
22    himself, herself, or others;
23        (11.5) a written or oral statement made by the victim;
24    and
25        (12) any other factor or factors the Court deems
26    appropriate.

 

 

SB2435- 1950 -LRB102 04062 AMC 14078 b

1    (h) Before the court orders that the defendant be
2discharged or conditionally released, it shall order the
3facility director to establish a discharge plan that includes
4a plan for the defendant's shelter, support, and medication.
5If appropriate, the court shall order that the facility
6director establish a program to train the defendant in
7self-medication under standards established by the Department
8of Human Services. If the Court finds, consistent with the
9provisions of this Section, that the defendant is no longer in
10need of mental health services it shall order the facility
11director to discharge the defendant. If the Court finds,
12consistent with the provisions of this Section, that the
13defendant is in need of mental health services, and no longer
14in need of inpatient care, it shall order the facility
15director to release the defendant under such conditions as the
16Court deems appropriate and as provided by this Section. Such
17conditional release shall be imposed for a period of 5 years as
18provided in paragraph (D) of subsection (a-1) and shall be
19subject to later modification by the Court as provided by this
20Section. If the Court finds consistent with the provisions in
21this Section that the defendant is in need of mental health
22services on an inpatient basis, it shall order the facility
23director not to discharge or release the defendant in
24accordance with paragraph (b) of this Section.
25    (i) If within the period of the defendant's conditional
26release the State's Attorney determines that the defendant has

 

 

SB2435- 1951 -LRB102 04062 AMC 14078 b

1not fulfilled the conditions of his or her release, the
2State's Attorney may petition the Court to revoke or modify
3the conditional release of the defendant. Upon the filing of
4such petition the defendant may be remanded to the custody of
5the Department, or to any other mental health facility
6designated by the Department, pending the resolution of the
7petition. Nothing in this Section shall prevent the emergency
8admission of a defendant pursuant to Article VI of Chapter III
9of the Mental Health and Developmental Disabilities Code or
10the voluntary admission of the defendant pursuant to Article
11IV of Chapter III of the Mental Health and Developmental
12Disabilities Code. If the Court determines, after hearing
13evidence, that the defendant has not fulfilled the conditions
14of release, the Court shall order a hearing to be held
15consistent with the provisions of paragraph (f) and (g) of
16this Section. At such hearing, if the Court finds that the
17defendant is in need of mental health services on an inpatient
18basis, it shall enter an order remanding him or her to the
19Department of Human Services or other facility. If the
20defendant is remanded to the Department of Human Services, he
21or she shall be placed in a secure setting unless the Court
22determines that there are compelling reasons that such
23placement is not necessary. If the Court finds that the
24defendant continues to be in need of mental health services
25but not on an inpatient basis, it may modify the conditions of
26the original release in order to reasonably assure the

 

 

SB2435- 1952 -LRB102 04062 AMC 14078 b

1defendant's satisfactory progress in treatment and his or her
2safety and the safety of others in accordance with the
3standards established in paragraph (D) of subsection (a-1).
4Nothing in this Section shall limit a Court's contempt powers
5or any other powers of a Court.
6    (j) An order of admission under this Section does not
7affect the remedy of habeas corpus.
8    (k) In the event of a conflict between this Section and the
9Mental Health and Developmental Disabilities Code or the
10Mental Health and Developmental Disabilities Confidentiality
11Act, the provisions of this Section shall govern.
12    (l) Public Act 90-593 shall apply to all persons who have
13been found not guilty by reason of insanity and who are
14presently committed to the Department of Mental Health and
15Developmental Disabilities (now the Department of Human
16Services).
17    (m) The Clerk of the Court shall transmit a certified copy
18of the order of discharge or conditional release to the
19Department of Human Services, to the sheriff of the county
20from which the defendant was admitted, to the Illinois
21Department of State Police, to the proper law enforcement
22agency for the municipality where the offense took place, and
23to the sheriff of the county into which the defendant is
24conditionally discharged. The Illinois Department of State
25Police shall maintain a centralized record of discharged or
26conditionally released defendants while they are under court

 

 

SB2435- 1953 -LRB102 04062 AMC 14078 b

1supervision for access and use of appropriate law enforcement
2agencies.
3    (n) The provisions in this Section which allow allows a
4crime victim to make a written and oral statement do not apply
5if the defendant was under 18 years of age at the time the
6offense was committed.
7    (o) If any provision of this Section or its application to
8any person or circumstance is held invalid, the invalidity of
9that provision does not affect any other provision or
10application of this Section that can be given effect without
11the invalid provision or application.
12(Source: P.A. 100-27, eff. 1-1-18; 100-424, eff. 1-1-18;
13100-863, eff. 8-14-18; 100-961, eff. 1-1-19; 101-81, eff.
147-12-19; revised 9-24-19.)
 
15    (730 ILCS 5/5-3-2)  (from Ch. 38, par. 1005-3-2)
16    Sec. 5-3-2. Presentence report.
17    (a) In felony cases, the presentence report shall set
18forth:
19        (1) the defendant's history of delinquency or
20    criminality, physical and mental history and condition,
21    family situation and background, economic status,
22    education, occupation and personal habits;
23        (2) information about special resources within the
24    community which might be available to assist the
25    defendant's rehabilitation, including treatment centers,

 

 

SB2435- 1954 -LRB102 04062 AMC 14078 b

1    residential facilities, vocational training services,
2    correctional manpower programs, employment opportunities,
3    special educational programs, alcohol and drug abuse
4    programming, psychiatric and marriage counseling, and
5    other programs and facilities which could aid the
6    defendant's successful reintegration into society;
7        (3) the effect the offense committed has had upon the
8    victim or victims thereof, and any compensatory benefit
9    that various sentencing alternatives would confer on such
10    victim or victims;
11        (3.5) information provided by the victim's spouse,
12    guardian, parent, grandparent, and other immediate family
13    and household members about the effect the offense
14    committed has had on the victim and on the person
15    providing the information; if the victim's spouse,
16    guardian, parent, grandparent, or other immediate family
17    or household member has provided a written statement, the
18    statement shall be attached to the report;
19        (4) information concerning the defendant's status
20    since arrest, including his record if released on his own
21    recognizance, or the defendant's achievement record if
22    released on a conditional pre-trial supervision program;
23        (5) when appropriate, a plan, based upon the personal,
24    economic and social adjustment needs of the defendant,
25    utilizing public and private community resources as an
26    alternative to institutional sentencing;

 

 

SB2435- 1955 -LRB102 04062 AMC 14078 b

1        (6) any other matters that the investigatory officer
2    deems relevant or the court directs to be included;
3        (7) information concerning the defendant's eligibility
4    for a sentence to a county impact incarceration program
5    under Section 5-8-1.2 of this Code; and
6        (8) information concerning the defendant's eligibility
7    for a sentence to an impact incarceration program
8    administered by the Department under Section 5-8-1.1.
9    (b) The investigation shall include a physical and mental
10examination of the defendant when so ordered by the court. If
11the court determines that such an examination should be made,
12it shall issue an order that the defendant submit to
13examination at such time and place as designated by the court
14and that such examination be conducted by a physician,
15psychologist or psychiatrist designated by the court. Such an
16examination may be conducted in a court clinic if so ordered by
17the court. The cost of such examination shall be paid by the
18county in which the trial is held.
19    (b-5) In cases involving felony sex offenses in which the
20offender is being considered for probation only or any felony
21offense that is sexually motivated as defined in the Sex
22Offender Management Board Act in which the offender is being
23considered for probation only, the investigation shall include
24a sex offender evaluation by an evaluator approved by the
25Board and conducted in conformance with the standards
26developed under the Sex Offender Management Board Act. In

 

 

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1cases in which the offender is being considered for any
2mandatory prison sentence, the investigation shall not include
3a sex offender evaluation.
4    (c) In misdemeanor, business offense or petty offense
5cases, except as specified in subsection (d) of this Section,
6when a presentence report has been ordered by the court, such
7presentence report shall contain information on the
8defendant's history of delinquency or criminality and shall
9further contain only those matters listed in any of paragraphs
10(1) through (6) of subsection (a) or in subsection (b) of this
11Section as are specified by the court in its order for the
12report.
13    (d) In cases under Sections 11-1.50, 12-15, and 12-3.4 or
1412-30 of the Criminal Code of 1961 or the Criminal Code of
152012, the presentence report shall set forth information about
16alcohol, drug abuse, psychiatric, and marriage counseling or
17other treatment programs and facilities, information on the
18defendant's history of delinquency or criminality, and shall
19contain those additional matters listed in any of paragraphs
20(1) through (6) of subsection (a) or in subsection (b) of this
21Section as are specified by the court.
22    (e) Nothing in this Section shall cause the defendant to
23be held without bail or to have his bail revoked for the
24purpose of preparing the presentence report or making an
25examination.
26(Source: P.A. 101-105, eff. 1-1-20; revised 9-24-19.)
 

 

 

SB2435- 1957 -LRB102 04062 AMC 14078 b

1    (730 ILCS 5/5-5-3.2)
2    Sec. 5-5-3.2. Factors in aggravation and extended-term
3sentencing.
4    (a) The following factors shall be accorded weight in
5favor of imposing a term of imprisonment or may be considered
6by the court as reasons to impose a more severe sentence under
7Section 5-8-1 or Article 4.5 of Chapter V:
8        (1) the defendant's conduct caused or threatened
9    serious harm;
10        (2) the defendant received compensation for committing
11    the offense;
12        (3) the defendant has a history of prior delinquency
13    or criminal activity;
14        (4) the defendant, by the duties of his office or by
15    his position, was obliged to prevent the particular
16    offense committed or to bring the offenders committing it
17    to justice;
18        (5) the defendant held public office at the time of
19    the offense, and the offense related to the conduct of
20    that office;
21        (6) the defendant utilized his professional reputation
22    or position in the community to commit the offense, or to
23    afford him an easier means of committing it;
24        (7) the sentence is necessary to deter others from
25    committing the same crime;

 

 

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1        (8) the defendant committed the offense against a
2    person 60 years of age or older or such person's property;
3        (9) the defendant committed the offense against a
4    person who has a physical disability or such person's
5    property;
6        (10) by reason of another individual's actual or
7    perceived race, color, creed, religion, ancestry, gender,
8    sexual orientation, physical or mental disability, or
9    national origin, the defendant committed the offense
10    against (i) the person or property of that individual;
11    (ii) the person or property of a person who has an
12    association with, is married to, or has a friendship with
13    the other individual; or (iii) the person or property of a
14    relative (by blood or marriage) of a person described in
15    clause (i) or (ii). For the purposes of this Section,
16    "sexual orientation" has the meaning ascribed to it in
17    paragraph (O-1) of Section 1-103 of the Illinois Human
18    Rights Act;
19        (11) the offense took place in a place of worship or on
20    the grounds of a place of worship, immediately prior to,
21    during or immediately following worship services. For
22    purposes of this subparagraph, "place of worship" shall
23    mean any church, synagogue or other building, structure or
24    place used primarily for religious worship;
25        (12) the defendant was convicted of a felony committed
26    while he was released on bail or his own recognizance

 

 

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1    pending trial for a prior felony and was convicted of such
2    prior felony, or the defendant was convicted of a felony
3    committed while he was serving a period of probation,
4    conditional discharge, or mandatory supervised release
5    under subsection (d) of Section 5-8-1 for a prior felony;
6        (13) the defendant committed or attempted to commit a
7    felony while he was wearing a bulletproof vest. For the
8    purposes of this paragraph (13), a bulletproof vest is any
9    device which is designed for the purpose of protecting the
10    wearer from bullets, shot or other lethal projectiles;
11        (14) the defendant held a position of trust or
12    supervision such as, but not limited to, family member as
13    defined in Section 11-0.1 of the Criminal Code of 2012,
14    teacher, scout leader, baby sitter, or day care worker, in
15    relation to a victim under 18 years of age, and the
16    defendant committed an offense in violation of Section
17    11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-11,
18    11-14.4 except for an offense that involves keeping a
19    place of juvenile prostitution, 11-15.1, 11-19.1, 11-19.2,
20    11-20.1, 11-20.1B, 11-20.3, 12-13, 12-14, 12-14.1, 12-15
21    or 12-16 of the Criminal Code of 1961 or the Criminal Code
22    of 2012 against that victim;
23        (15) the defendant committed an offense related to the
24    activities of an organized gang. For the purposes of this
25    factor, "organized gang" has the meaning ascribed to it in
26    Section 10 of the Streetgang Terrorism Omnibus Prevention

 

 

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1    Act;
2        (16) the defendant committed an offense in violation
3    of one of the following Sections while in a school,
4    regardless of the time of day or time of year; on any
5    conveyance owned, leased, or contracted by a school to
6    transport students to or from school or a school related
7    activity; on the real property of a school; or on a public
8    way within 1,000 feet of the real property comprising any
9    school: Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30,
10    11-1.40, 11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1,
11    11-18.1, 11-19.1, 11-19.2, 12-2, 12-4, 12-4.1, 12-4.2,
12    12-4.3, 12-6, 12-6.1, 12-6.5, 12-13, 12-14, 12-14.1,
13    12-15, 12-16, 18-2, or 33A-2, or Section 12-3.05 except
14    for subdivision (a)(4) or (g)(1), of the Criminal Code of
15    1961 or the Criminal Code of 2012;
16        (16.5) the defendant committed an offense in violation
17    of one of the following Sections while in a day care
18    center, regardless of the time of day or time of year; on
19    the real property of a day care center, regardless of the
20    time of day or time of year; or on a public way within
21    1,000 feet of the real property comprising any day care
22    center, regardless of the time of day or time of year:
23    Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30, 11-1.40,
24    11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1, 11-18.1,
25    11-19.1, 11-19.2, 12-2, 12-4, 12-4.1, 12-4.2, 12-4.3,
26    12-6, 12-6.1, 12-6.5, 12-13, 12-14, 12-14.1, 12-15, 12-16,

 

 

SB2435- 1961 -LRB102 04062 AMC 14078 b

1    18-2, or 33A-2, or Section 12-3.05 except for subdivision
2    (a)(4) or (g)(1), of the Criminal Code of 1961 or the
3    Criminal Code of 2012;
4        (17) the defendant committed the offense by reason of
5    any person's activity as a community policing volunteer or
6    to prevent any person from engaging in activity as a
7    community policing volunteer. For the purpose of this
8    Section, "community policing volunteer" has the meaning
9    ascribed to it in Section 2-3.5 of the Criminal Code of
10    2012;
11        (18) the defendant committed the offense in a nursing
12    home or on the real property comprising a nursing home.
13    For the purposes of this paragraph (18), "nursing home"
14    means a skilled nursing or intermediate long term care
15    facility that is subject to license by the Illinois
16    Department of Public Health under the Nursing Home Care
17    Act, the Specialized Mental Health Rehabilitation Act of
18    2013, the ID/DD Community Care Act, or the MC/DD Act;
19        (19) the defendant was a federally licensed firearm
20    dealer and was previously convicted of a violation of
21    subsection (a) of Section 3 of the Firearm Owners
22    Identification Card Act and has now committed either a
23    felony violation of the Firearm Owners Identification Card
24    Act or an act of armed violence while armed with a firearm;
25        (20) the defendant (i) committed the offense of
26    reckless homicide under Section 9-3 of the Criminal Code

 

 

SB2435- 1962 -LRB102 04062 AMC 14078 b

1    of 1961 or the Criminal Code of 2012 or the offense of
2    driving under the influence of alcohol, other drug or
3    drugs, intoxicating compound or compounds or any
4    combination thereof under Section 11-501 of the Illinois
5    Vehicle Code or a similar provision of a local ordinance
6    and (ii) was operating a motor vehicle in excess of 20
7    miles per hour over the posted speed limit as provided in
8    Article VI of Chapter 11 of the Illinois Vehicle Code;
9        (21) the defendant (i) committed the offense of
10    reckless driving or aggravated reckless driving under
11    Section 11-503 of the Illinois Vehicle Code and (ii) was
12    operating a motor vehicle in excess of 20 miles per hour
13    over the posted speed limit as provided in Article VI of
14    Chapter 11 of the Illinois Vehicle Code;
15        (22) the defendant committed the offense against a
16    person that the defendant knew, or reasonably should have
17    known, was a member of the Armed Forces of the United
18    States serving on active duty. For purposes of this clause
19    (22), the term "Armed Forces" means any of the Armed
20    Forces of the United States, including a member of any
21    reserve component thereof or National Guard unit called to
22    active duty;
23        (23) the defendant committed the offense against a
24    person who was elderly or infirm or who was a person with a
25    disability by taking advantage of a family or fiduciary
26    relationship with the elderly or infirm person or person

 

 

SB2435- 1963 -LRB102 04062 AMC 14078 b

1    with a disability;
2        (24) the defendant committed any offense under Section
3    11-20.1 of the Criminal Code of 1961 or the Criminal Code
4    of 2012 and possessed 100 or more images;
5        (25) the defendant committed the offense while the
6    defendant or the victim was in a train, bus, or other
7    vehicle used for public transportation;
8        (26) the defendant committed the offense of child
9    pornography or aggravated child pornography, specifically
10    including paragraph (1), (2), (3), (4), (5), or (7) of
11    subsection (a) of Section 11-20.1 of the Criminal Code of
12    1961 or the Criminal Code of 2012 where a child engaged in,
13    solicited for, depicted in, or posed in any act of sexual
14    penetration or bound, fettered, or subject to sadistic,
15    masochistic, or sadomasochistic abuse in a sexual context
16    and specifically including paragraph (1), (2), (3), (4),
17    (5), or (7) of subsection (a) of Section 11-20.1B or
18    Section 11-20.3 of the Criminal Code of 1961 where a child
19    engaged in, solicited for, depicted in, or posed in any
20    act of sexual penetration or bound, fettered, or subject
21    to sadistic, masochistic, or sadomasochistic abuse in a
22    sexual context;
23        (27) the defendant committed the offense of first
24    degree murder, assault, aggravated assault, battery,
25    aggravated battery, robbery, armed robbery, or aggravated
26    robbery against a person who was a veteran and the

 

 

SB2435- 1964 -LRB102 04062 AMC 14078 b

1    defendant knew, or reasonably should have known, that the
2    person was a veteran performing duties as a representative
3    of a veterans' organization. For the purposes of this
4    paragraph (27), "veteran" means an Illinois resident who
5    has served as a member of the United States Armed Forces, a
6    member of the Illinois National Guard, or a member of the
7    United States Reserve Forces; and "veterans' organization"
8    means an organization comprised of members of which
9    substantially all are individuals who are veterans or
10    spouses, widows, or widowers of veterans, the primary
11    purpose of which is to promote the welfare of its members
12    and to provide assistance to the general public in such a
13    way as to confer a public benefit;
14        (28) the defendant committed the offense of assault,
15    aggravated assault, battery, aggravated battery, robbery,
16    armed robbery, or aggravated robbery against a person that
17    the defendant knew or reasonably should have known was a
18    letter carrier or postal worker while that person was
19    performing his or her duties delivering mail for the
20    United States Postal Service;
21        (29) the defendant committed the offense of criminal
22    sexual assault, aggravated criminal sexual assault,
23    criminal sexual abuse, or aggravated criminal sexual abuse
24    against a victim with an intellectual disability, and the
25    defendant holds a position of trust, authority, or
26    supervision in relation to the victim;

 

 

SB2435- 1965 -LRB102 04062 AMC 14078 b

1        (30) the defendant committed the offense of promoting
2    juvenile prostitution, patronizing a prostitute, or
3    patronizing a minor engaged in prostitution and at the
4    time of the commission of the offense knew that the
5    prostitute or minor engaged in prostitution was in the
6    custody or guardianship of the Department of Children and
7    Family Services;
8        (31) the defendant (i) committed the offense of
9    driving while under the influence of alcohol, other drug
10    or drugs, intoxicating compound or compounds or any
11    combination thereof in violation of Section 11-501 of the
12    Illinois Vehicle Code or a similar provision of a local
13    ordinance and (ii) the defendant during the commission of
14    the offense was driving his or her vehicle upon a roadway
15    designated for one-way traffic in the opposite direction
16    of the direction indicated by official traffic control
17    devices; or
18        (32) the defendant committed the offense of reckless
19    homicide while committing a violation of Section 11-907 of
20    the Illinois Vehicle Code; .
21        (33) (32) the defendant was found guilty of an
22    administrative infraction related to an act or acts of
23    public indecency or sexual misconduct in the penal
24    institution. In this paragraph (33) (32), "penal
25    institution" has the same meaning as in Section 2-14 of
26    the Criminal Code of 2012; or .

 

 

SB2435- 1966 -LRB102 04062 AMC 14078 b

1        (34) (32) the defendant committed the offense of
2    leaving the scene of an accident in violation of
3    subsection (b) of Section 11-401 of the Illinois Vehicle
4    Code and the accident resulted in the death of a person and
5    at the time of the offense, the defendant was: (i) driving
6    under the influence of alcohol, other drug or drugs,
7    intoxicating compound or compounds or any combination
8    thereof as defined by Section 11-501 of the Illinois
9    Vehicle Code; or (ii) operating the motor vehicle while
10    using an electronic communication device as defined in
11    Section 12-610.2 of the Illinois Vehicle Code.
12    For the purposes of this Section:
13    "School" is defined as a public or private elementary or
14secondary school, community college, college, or university.
15    "Day care center" means a public or private State
16certified and licensed day care center as defined in Section
172.09 of the Child Care Act of 1969 that displays a sign in
18plain view stating that the property is a day care center.
19    "Intellectual disability" means significantly subaverage
20intellectual functioning which exists concurrently with
21impairment in adaptive behavior.
22    "Public transportation" means the transportation or
23conveyance of persons by means available to the general
24public, and includes paratransit services.
25    "Traffic control devices" means all signs, signals,
26markings, and devices that conform to the Illinois Manual on

 

 

SB2435- 1967 -LRB102 04062 AMC 14078 b

1Uniform Traffic Control Devices, placed or erected by
2authority of a public body or official having jurisdiction,
3for the purpose of regulating, warning, or guiding traffic.
4    (b) The following factors, related to all felonies, may be
5considered by the court as reasons to impose an extended term
6sentence under Section 5-8-2 upon any offender:
7        (1) When a defendant is convicted of any felony, after
8    having been previously convicted in Illinois or any other
9    jurisdiction of the same or similar class felony or
10    greater class felony, when such conviction has occurred
11    within 10 years after the previous conviction, excluding
12    time spent in custody, and such charges are separately
13    brought and tried and arise out of different series of
14    acts; or
15        (2) When a defendant is convicted of any felony and
16    the court finds that the offense was accompanied by
17    exceptionally brutal or heinous behavior indicative of
18    wanton cruelty; or
19        (3) When a defendant is convicted of any felony
20    committed against:
21            (i) a person under 12 years of age at the time of
22        the offense or such person's property;
23            (ii) a person 60 years of age or older at the time
24        of the offense or such person's property; or
25            (iii) a person who had a physical disability at
26        the time of the offense or such person's property; or

 

 

SB2435- 1968 -LRB102 04062 AMC 14078 b

1        (4) When a defendant is convicted of any felony and
2    the offense involved any of the following types of
3    specific misconduct committed as part of a ceremony, rite,
4    initiation, observance, performance, practice or activity
5    of any actual or ostensible religious, fraternal, or
6    social group:
7            (i) the brutalizing or torturing of humans or
8        animals;
9            (ii) the theft of human corpses;
10            (iii) the kidnapping of humans;
11            (iv) the desecration of any cemetery, religious,
12        fraternal, business, governmental, educational, or
13        other building or property; or
14            (v) ritualized abuse of a child; or
15        (5) When a defendant is convicted of a felony other
16    than conspiracy and the court finds that the felony was
17    committed under an agreement with 2 or more other persons
18    to commit that offense and the defendant, with respect to
19    the other individuals, occupied a position of organizer,
20    supervisor, financier, or any other position of management
21    or leadership, and the court further finds that the felony
22    committed was related to or in furtherance of the criminal
23    activities of an organized gang or was motivated by the
24    defendant's leadership in an organized gang; or
25        (6) When a defendant is convicted of an offense
26    committed while using a firearm with a laser sight

 

 

SB2435- 1969 -LRB102 04062 AMC 14078 b

1    attached to it. For purposes of this paragraph, "laser
2    sight" has the meaning ascribed to it in Section 26-7 of
3    the Criminal Code of 2012; or
4        (7) When a defendant who was at least 17 years of age
5    at the time of the commission of the offense is convicted
6    of a felony and has been previously adjudicated a
7    delinquent minor under the Juvenile Court Act of 1987 for
8    an act that if committed by an adult would be a Class X or
9    Class 1 felony when the conviction has occurred within 10
10    years after the previous adjudication, excluding time
11    spent in custody; or
12        (8) When a defendant commits any felony and the
13    defendant used, possessed, exercised control over, or
14    otherwise directed an animal to assault a law enforcement
15    officer engaged in the execution of his or her official
16    duties or in furtherance of the criminal activities of an
17    organized gang in which the defendant is engaged; or
18        (9) When a defendant commits any felony and the
19    defendant knowingly video or audio records the offense
20    with the intent to disseminate the recording.
21    (c) The following factors may be considered by the court
22as reasons to impose an extended term sentence under Section
235-8-2 (730 ILCS 5/5-8-2) upon any offender for the listed
24offenses:
25        (1) When a defendant is convicted of first degree
26    murder, after having been previously convicted in Illinois

 

 

SB2435- 1970 -LRB102 04062 AMC 14078 b

1    of any offense listed under paragraph (c)(2) of Section
2    5-5-3 (730 ILCS 5/5-5-3), when that conviction has
3    occurred within 10 years after the previous conviction,
4    excluding time spent in custody, and the charges are
5    separately brought and tried and arise out of different
6    series of acts.
7        (1.5) When a defendant is convicted of first degree
8    murder, after having been previously convicted of domestic
9    battery (720 ILCS 5/12-3.2) or aggravated domestic battery
10    (720 ILCS 5/12-3.3) committed on the same victim or after
11    having been previously convicted of violation of an order
12    of protection (720 ILCS 5/12-30) in which the same victim
13    was the protected person.
14        (2) When a defendant is convicted of voluntary
15    manslaughter, second degree murder, involuntary
16    manslaughter, or reckless homicide in which the defendant
17    has been convicted of causing the death of more than one
18    individual.
19        (3) When a defendant is convicted of aggravated
20    criminal sexual assault or criminal sexual assault, when
21    there is a finding that aggravated criminal sexual assault
22    or criminal sexual assault was also committed on the same
23    victim by one or more other individuals, and the defendant
24    voluntarily participated in the crime with the knowledge
25    of the participation of the others in the crime, and the
26    commission of the crime was part of a single course of

 

 

SB2435- 1971 -LRB102 04062 AMC 14078 b

1    conduct during which there was no substantial change in
2    the nature of the criminal objective.
3        (4) If the victim was under 18 years of age at the time
4    of the commission of the offense, when a defendant is
5    convicted of aggravated criminal sexual assault or
6    predatory criminal sexual assault of a child under
7    subsection (a)(1) of Section 11-1.40 or subsection (a)(1)
8    of Section 12-14.1 of the Criminal Code of 1961 or the
9    Criminal Code of 2012 (720 ILCS 5/11-1.40 or 5/12-14.1).
10        (5) When a defendant is convicted of a felony
11    violation of Section 24-1 of the Criminal Code of 1961 or
12    the Criminal Code of 2012 (720 ILCS 5/24-1) and there is a
13    finding that the defendant is a member of an organized
14    gang.
15        (6) When a defendant was convicted of unlawful use of
16    weapons under Section 24-1 of the Criminal Code of 1961 or
17    the Criminal Code of 2012 (720 ILCS 5/24-1) for possessing
18    a weapon that is not readily distinguishable as one of the
19    weapons enumerated in Section 24-1 of the Criminal Code of
20    1961 or the Criminal Code of 2012 (720 ILCS 5/24-1).
21        (7) When a defendant is convicted of an offense
22    involving the illegal manufacture of a controlled
23    substance under Section 401 of the Illinois Controlled
24    Substances Act (720 ILCS 570/401), the illegal manufacture
25    of methamphetamine under Section 25 of the Methamphetamine
26    Control and Community Protection Act (720 ILCS 646/25), or

 

 

SB2435- 1972 -LRB102 04062 AMC 14078 b

1    the illegal possession of explosives and an emergency
2    response officer in the performance of his or her duties
3    is killed or injured at the scene of the offense while
4    responding to the emergency caused by the commission of
5    the offense. In this paragraph, "emergency" means a
6    situation in which a person's life, health, or safety is
7    in jeopardy; and "emergency response officer" means a
8    peace officer, community policing volunteer, fireman,
9    emergency medical technician-ambulance, emergency medical
10    technician-intermediate, emergency medical
11    technician-paramedic, ambulance driver, other medical
12    assistance or first aid personnel, or hospital emergency
13    room personnel.
14        (8) When the defendant is convicted of attempted mob
15    action, solicitation to commit mob action, or conspiracy
16    to commit mob action under Section 8-1, 8-2, or 8-4 of the
17    Criminal Code of 2012, where the criminal object is a
18    violation of Section 25-1 of the Criminal Code of 2012,
19    and an electronic communication is used in the commission
20    of the offense. For the purposes of this paragraph (8),
21    "electronic communication" shall have the meaning provided
22    in Section 26.5-0.1 of the Criminal Code of 2012.
23    (d) For the purposes of this Section, "organized gang" has
24the meaning ascribed to it in Section 10 of the Illinois
25Streetgang Terrorism Omnibus Prevention Act.
26    (e) The court may impose an extended term sentence under

 

 

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1Article 4.5 of Chapter V upon an offender who has been
2convicted of a felony violation of Section 11-1.20, 11-1.30,
311-1.40, 11-1.50, 11-1.60, 12-13, 12-14, 12-14.1, 12-15, or
412-16 of the Criminal Code of 1961 or the Criminal Code of 2012
5when the victim of the offense is under 18 years of age at the
6time of the commission of the offense and, during the
7commission of the offense, the victim was under the influence
8of alcohol, regardless of whether or not the alcohol was
9supplied by the offender; and the offender, at the time of the
10commission of the offense, knew or should have known that the
11victim had consumed alcohol.
12(Source: P.A. 100-1053, eff. 1-1-19; 101-173, eff. 1-1-20;
13101-401, eff. 1-1-20; 101-417, eff. 1-1-20; revised 9-18-19.)
 
14    (730 ILCS 5/5-6-3)  (from Ch. 38, par. 1005-6-3)
15    Sec. 5-6-3. Conditions of probation and of conditional
16discharge.
17    (a) The conditions of probation and of conditional
18discharge shall be that the person:
19        (1) not violate any criminal statute of any
20    jurisdiction;
21        (2) report to or appear in person before such person
22    or agency as directed by the court;
23        (3) refrain from possessing a firearm or other
24    dangerous weapon where the offense is a felony or, if a
25    misdemeanor, the offense involved the intentional or

 

 

SB2435- 1974 -LRB102 04062 AMC 14078 b

1    knowing infliction of bodily harm or threat of bodily
2    harm;
3        (4) not leave the State without the consent of the
4    court or, in circumstances in which the reason for the
5    absence is of such an emergency nature that prior consent
6    by the court is not possible, without the prior
7    notification and approval of the person's probation
8    officer. Transfer of a person's probation or conditional
9    discharge supervision to another state is subject to
10    acceptance by the other state pursuant to the Interstate
11    Compact for Adult Offender Supervision;
12        (5) permit the probation officer to visit him at his
13    home or elsewhere to the extent necessary to discharge his
14    duties;
15        (6) perform no less than 30 hours of community service
16    and not more than 120 hours of community service, if
17    community service is available in the jurisdiction and is
18    funded and approved by the county board where the offense
19    was committed, where the offense was related to or in
20    furtherance of the criminal activities of an organized
21    gang and was motivated by the offender's membership in or
22    allegiance to an organized gang. The community service
23    shall include, but not be limited to, the cleanup and
24    repair of any damage caused by a violation of Section
25    21-1.3 of the Criminal Code of 1961 or the Criminal Code of
26    2012 and similar damage to property located within the

 

 

SB2435- 1975 -LRB102 04062 AMC 14078 b

1    municipality or county in which the violation occurred.
2    When possible and reasonable, the community service should
3    be performed in the offender's neighborhood. For purposes
4    of this Section, "organized gang" has the meaning ascribed
5    to it in Section 10 of the Illinois Streetgang Terrorism
6    Omnibus Prevention Act. The court may give credit toward
7    the fulfillment of community service hours for
8    participation in activities and treatment as determined by
9    court services;
10        (7) if he or she is at least 17 years of age and has
11    been sentenced to probation or conditional discharge for a
12    misdemeanor or felony in a county of 3,000,000 or more
13    inhabitants and has not been previously convicted of a
14    misdemeanor or felony, may be required by the sentencing
15    court to attend educational courses designed to prepare
16    the defendant for a high school diploma and to work toward
17    a high school diploma or to work toward passing high
18    school equivalency testing or to work toward completing a
19    vocational training program approved by the court. The
20    person on probation or conditional discharge must attend a
21    public institution of education to obtain the educational
22    or vocational training required by this paragraph (7). The
23    court shall revoke the probation or conditional discharge
24    of a person who wilfully fails to comply with this
25    paragraph (7). The person on probation or conditional
26    discharge shall be required to pay for the cost of the

 

 

SB2435- 1976 -LRB102 04062 AMC 14078 b

1    educational courses or high school equivalency testing if
2    a fee is charged for those courses or testing. The court
3    shall resentence the offender whose probation or
4    conditional discharge has been revoked as provided in
5    Section 5-6-4. This paragraph (7) does not apply to a
6    person who has a high school diploma or has successfully
7    passed high school equivalency testing. This paragraph (7)
8    does not apply to a person who is determined by the court
9    to be a person with a developmental disability or
10    otherwise mentally incapable of completing the educational
11    or vocational program;
12        (8) if convicted of possession of a substance
13    prohibited by the Cannabis Control Act, the Illinois
14    Controlled Substances Act, or the Methamphetamine Control
15    and Community Protection Act after a previous conviction
16    or disposition of supervision for possession of a
17    substance prohibited by the Cannabis Control Act or
18    Illinois Controlled Substances Act or after a sentence of
19    probation under Section 10 of the Cannabis Control Act,
20    Section 410 of the Illinois Controlled Substances Act, or
21    Section 70 of the Methamphetamine Control and Community
22    Protection Act and upon a finding by the court that the
23    person is addicted, undergo treatment at a substance abuse
24    program approved by the court;
25        (8.5) if convicted of a felony sex offense as defined
26    in the Sex Offender Management Board Act, the person shall

 

 

SB2435- 1977 -LRB102 04062 AMC 14078 b

1    undergo and successfully complete sex offender treatment
2    by a treatment provider approved by the Board and
3    conducted in conformance with the standards developed
4    under the Sex Offender Management Board Act;
5        (8.6) if convicted of a sex offense as defined in the
6    Sex Offender Management Board Act, refrain from residing
7    at the same address or in the same condominium unit or
8    apartment unit or in the same condominium complex or
9    apartment complex with another person he or she knows or
10    reasonably should know is a convicted sex offender or has
11    been placed on supervision for a sex offense; the
12    provisions of this paragraph do not apply to a person
13    convicted of a sex offense who is placed in a Department of
14    Corrections licensed transitional housing facility for sex
15    offenders;
16        (8.7) if convicted for an offense committed on or
17    after June 1, 2008 (the effective date of Public Act
18    95-464) that would qualify the accused as a child sex
19    offender as defined in Section 11-9.3 or 11-9.4 of the
20    Criminal Code of 1961 or the Criminal Code of 2012,
21    refrain from communicating with or contacting, by means of
22    the Internet, a person who is not related to the accused
23    and whom the accused reasonably believes to be under 18
24    years of age; for purposes of this paragraph (8.7),
25    "Internet" has the meaning ascribed to it in Section
26    16-0.1 of the Criminal Code of 2012; and a person is not

 

 

SB2435- 1978 -LRB102 04062 AMC 14078 b

1    related to the accused if the person is not: (i) the
2    spouse, brother, or sister of the accused; (ii) a
3    descendant of the accused; (iii) a first or second cousin
4    of the accused; or (iv) a step-child or adopted child of
5    the accused;
6        (8.8) if convicted for an offense under Section 11-6,
7    11-9.1, 11-14.4 that involves soliciting for a juvenile
8    prostitute, 11-15.1, 11-20.1, 11-20.1B, 11-20.3, or 11-21
9    of the Criminal Code of 1961 or the Criminal Code of 2012,
10    or any attempt to commit any of these offenses, committed
11    on or after June 1, 2009 (the effective date of Public Act
12    95-983):
13            (i) not access or use a computer or any other
14        device with Internet capability without the prior
15        written approval of the offender's probation officer,
16        except in connection with the offender's employment or
17        search for employment with the prior approval of the
18        offender's probation officer;
19            (ii) submit to periodic unannounced examinations
20        of the offender's computer or any other device with
21        Internet capability by the offender's probation
22        officer, a law enforcement officer, or assigned
23        computer or information technology specialist,
24        including the retrieval and copying of all data from
25        the computer or device and any internal or external
26        peripherals and removal of such information,

 

 

SB2435- 1979 -LRB102 04062 AMC 14078 b

1        equipment, or device to conduct a more thorough
2        inspection;
3            (iii) submit to the installation on the offender's
4        computer or device with Internet capability, at the
5        offender's expense, of one or more hardware or
6        software systems to monitor the Internet use; and
7            (iv) submit to any other appropriate restrictions
8        concerning the offender's use of or access to a
9        computer or any other device with Internet capability
10        imposed by the offender's probation officer;
11        (8.9) if convicted of a sex offense as defined in the
12    Sex Offender Registration Act committed on or after
13    January 1, 2010 (the effective date of Public Act 96-262),
14    refrain from accessing or using a social networking
15    website as defined in Section 17-0.5 of the Criminal Code
16    of 2012;
17        (9) if convicted of a felony or of any misdemeanor
18    violation of Section 12-1, 12-2, 12-3, 12-3.2, 12-3.4, or
19    12-3.5 of the Criminal Code of 1961 or the Criminal Code of
20    2012 that was determined, pursuant to Section 112A-11.1 of
21    the Code of Criminal Procedure of 1963, to trigger the
22    prohibitions of 18 U.S.C. 922(g)(9), physically surrender
23    at a time and place designated by the court, his or her
24    Firearm Owner's Identification Card and any and all
25    firearms in his or her possession. The Court shall return
26    to the Department of State Police Firearm Owner's

 

 

SB2435- 1980 -LRB102 04062 AMC 14078 b

1    Identification Card Office the person's Firearm Owner's
2    Identification Card;
3        (10) if convicted of a sex offense as defined in
4    subsection (a-5) of Section 3-1-2 of this Code, unless the
5    offender is a parent or guardian of the person under 18
6    years of age present in the home and no non-familial
7    minors are present, not participate in a holiday event
8    involving children under 18 years of age, such as
9    distributing candy or other items to children on
10    Halloween, wearing a Santa Claus costume on or preceding
11    Christmas, being employed as a department store Santa
12    Claus, or wearing an Easter Bunny costume on or preceding
13    Easter;
14        (11) if convicted of a sex offense as defined in
15    Section 2 of the Sex Offender Registration Act committed
16    on or after January 1, 2010 (the effective date of Public
17    Act 96-362) that requires the person to register as a sex
18    offender under that Act, may not knowingly use any
19    computer scrub software on any computer that the sex
20    offender uses;
21        (12) if convicted of a violation of the
22    Methamphetamine Control and Community Protection Act, the
23    Methamphetamine Precursor Control Act, or a
24    methamphetamine related offense:
25            (A) prohibited from purchasing, possessing, or
26        having under his or her control any product containing

 

 

SB2435- 1981 -LRB102 04062 AMC 14078 b

1        pseudoephedrine unless prescribed by a physician; and
2            (B) prohibited from purchasing, possessing, or
3        having under his or her control any product containing
4        ammonium nitrate; and
5        (13) if convicted of a hate crime involving the
6    protected class identified in subsection (a) of Section
7    12-7.1 of the Criminal Code of 2012 that gave rise to the
8    offense the offender committed, perform public or
9    community service of no less than 200 hours and enroll in
10    an educational program discouraging hate crimes that
11    includes racial, ethnic, and cultural sensitivity training
12    ordered by the court.
13    (b) The Court may in addition to other reasonable
14conditions relating to the nature of the offense or the
15rehabilitation of the defendant as determined for each
16defendant in the proper discretion of the Court require that
17the person:
18        (1) serve a term of periodic imprisonment under
19    Article 7 for a period not to exceed that specified in
20    paragraph (d) of Section 5-7-1;
21        (2) pay a fine and costs;
22        (3) work or pursue a course of study or vocational
23    training;
24        (4) undergo medical, psychological or psychiatric
25    treatment; or treatment for drug addiction or alcoholism;
26        (5) attend or reside in a facility established for the

 

 

SB2435- 1982 -LRB102 04062 AMC 14078 b

1    instruction or residence of defendants on probation;
2        (6) support his dependents;
3        (7) and in addition, if a minor:
4            (i) reside with his parents or in a foster home;
5            (ii) attend school;
6            (iii) attend a non-residential program for youth;
7            (iv) contribute to his own support at home or in a
8        foster home;
9            (v) with the consent of the superintendent of the
10        facility, attend an educational program at a facility
11        other than the school in which the offense was
12        committed if he or she is convicted of a crime of
13        violence as defined in Section 2 of the Crime Victims
14        Compensation Act committed in a school, on the real
15        property comprising a school, or within 1,000 feet of
16        the real property comprising a school;
17        (8) make restitution as provided in Section 5-5-6 of
18    this Code;
19        (9) perform some reasonable public or community
20    service;
21        (10) serve a term of home confinement. In addition to
22    any other applicable condition of probation or conditional
23    discharge, the conditions of home confinement shall be
24    that the offender:
25            (i) remain within the interior premises of the
26        place designated for his confinement during the hours

 

 

SB2435- 1983 -LRB102 04062 AMC 14078 b

1        designated by the court;
2            (ii) admit any person or agent designated by the
3        court into the offender's place of confinement at any
4        time for purposes of verifying the offender's
5        compliance with the conditions of his confinement; and
6            (iii) if further deemed necessary by the court or
7        the Probation or Court Services Department, be placed
8        on an approved electronic monitoring device, subject
9        to Article 8A of Chapter V;
10            (iv) for persons convicted of any alcohol,
11        cannabis or controlled substance violation who are
12        placed on an approved monitoring device as a condition
13        of probation or conditional discharge, the court shall
14        impose a reasonable fee for each day of the use of the
15        device, as established by the county board in
16        subsection (g) of this Section, unless after
17        determining the inability of the offender to pay the
18        fee, the court assesses a lesser fee or no fee as the
19        case may be. This fee shall be imposed in addition to
20        the fees imposed under subsections (g) and (i) of this
21        Section. The fee shall be collected by the clerk of the
22        circuit court, except as provided in an administrative
23        order of the Chief Judge of the circuit court. The
24        clerk of the circuit court shall pay all monies
25        collected from this fee to the county treasurer for
26        deposit in the substance abuse services fund under

 

 

SB2435- 1984 -LRB102 04062 AMC 14078 b

1        Section 5-1086.1 of the Counties Code, except as
2        provided in an administrative order of the Chief Judge
3        of the circuit court.
4            The Chief Judge of the circuit court of the county
5        may by administrative order establish a program for
6        electronic monitoring of offenders, in which a vendor
7        supplies and monitors the operation of the electronic
8        monitoring device, and collects the fees on behalf of
9        the county. The program shall include provisions for
10        indigent offenders and the collection of unpaid fees.
11        The program shall not unduly burden the offender and
12        shall be subject to review by the Chief Judge.
13            The Chief Judge of the circuit court may suspend
14        any additional charges or fees for late payment,
15        interest, or damage to any device; and
16            (v) for persons convicted of offenses other than
17        those referenced in clause (iv) above and who are
18        placed on an approved monitoring device as a condition
19        of probation or conditional discharge, the court shall
20        impose a reasonable fee for each day of the use of the
21        device, as established by the county board in
22        subsection (g) of this Section, unless after
23        determining the inability of the defendant to pay the
24        fee, the court assesses a lesser fee or no fee as the
25        case may be. This fee shall be imposed in addition to
26        the fees imposed under subsections (g) and (i) of this

 

 

SB2435- 1985 -LRB102 04062 AMC 14078 b

1        Section. The fee shall be collected by the clerk of the
2        circuit court, except as provided in an administrative
3        order of the Chief Judge of the circuit court. The
4        clerk of the circuit court shall pay all monies
5        collected from this fee to the county treasurer who
6        shall use the monies collected to defray the costs of
7        corrections. The county treasurer shall deposit the
8        fee collected in the probation and court services
9        fund. The Chief Judge of the circuit court of the
10        county may by administrative order establish a program
11        for electronic monitoring of offenders, in which a
12        vendor supplies and monitors the operation of the
13        electronic monitoring device, and collects the fees on
14        behalf of the county. The program shall include
15        provisions for indigent offenders and the collection
16        of unpaid fees. The program shall not unduly burden
17        the offender and shall be subject to review by the
18        Chief Judge.
19            The Chief Judge of the circuit court may suspend
20        any additional charges or fees for late payment,
21        interest, or damage to any device.
22        (11) comply with the terms and conditions of an order
23    of protection issued by the court pursuant to the Illinois
24    Domestic Violence Act of 1986, as now or hereafter
25    amended, or an order of protection issued by the court of
26    another state, tribe, or United States territory. A copy

 

 

SB2435- 1986 -LRB102 04062 AMC 14078 b

1    of the order of protection shall be transmitted to the
2    probation officer or agency having responsibility for the
3    case;
4        (12) reimburse any "local anti-crime program" as
5    defined in Section 7 of the Anti-Crime Advisory Council
6    Act for any reasonable expenses incurred by the program on
7    the offender's case, not to exceed the maximum amount of
8    the fine authorized for the offense for which the
9    defendant was sentenced;
10        (13) contribute a reasonable sum of money, not to
11    exceed the maximum amount of the fine authorized for the
12    offense for which the defendant was sentenced, (i) to a
13    "local anti-crime program", as defined in Section 7 of the
14    Anti-Crime Advisory Council Act, or (ii) for offenses
15    under the jurisdiction of the Department of Natural
16    Resources, to the fund established by the Department of
17    Natural Resources for the purchase of evidence for
18    investigation purposes and to conduct investigations as
19    outlined in Section 805-105 of the Department of Natural
20    Resources (Conservation) Law;
21        (14) refrain from entering into a designated
22    geographic area except upon such terms as the court finds
23    appropriate. Such terms may include consideration of the
24    purpose of the entry, the time of day, other persons
25    accompanying the defendant, and advance approval by a
26    probation officer, if the defendant has been placed on

 

 

SB2435- 1987 -LRB102 04062 AMC 14078 b

1    probation or advance approval by the court, if the
2    defendant was placed on conditional discharge;
3        (15) refrain from having any contact, directly or
4    indirectly, with certain specified persons or particular
5    types of persons, including but not limited to members of
6    street gangs and drug users or dealers;
7        (16) refrain from having in his or her body the
8    presence of any illicit drug prohibited by the Cannabis
9    Control Act, the Illinois Controlled Substances Act, or
10    the Methamphetamine Control and Community Protection Act,
11    unless prescribed by a physician, and submit samples of
12    his or her blood or urine or both for tests to determine
13    the presence of any illicit drug;
14        (17) if convicted for an offense committed on or after
15    June 1, 2008 (the effective date of Public Act 95-464)
16    that would qualify the accused as a child sex offender as
17    defined in Section 11-9.3 or 11-9.4 of the Criminal Code
18    of 1961 or the Criminal Code of 2012, refrain from
19    communicating with or contacting, by means of the
20    Internet, a person who is related to the accused and whom
21    the accused reasonably believes to be under 18 years of
22    age; for purposes of this paragraph (17), "Internet" has
23    the meaning ascribed to it in Section 16-0.1 of the
24    Criminal Code of 2012; and a person is related to the
25    accused if the person is: (i) the spouse, brother, or
26    sister of the accused; (ii) a descendant of the accused;

 

 

SB2435- 1988 -LRB102 04062 AMC 14078 b

1    (iii) a first or second cousin of the accused; or (iv) a
2    step-child or adopted child of the accused;
3        (18) if convicted for an offense committed on or after
4    June 1, 2009 (the effective date of Public Act 95-983)
5    that would qualify as a sex offense as defined in the Sex
6    Offender Registration Act:
7            (i) not access or use a computer or any other
8        device with Internet capability without the prior
9        written approval of the offender's probation officer,
10        except in connection with the offender's employment or
11        search for employment with the prior approval of the
12        offender's probation officer;
13            (ii) submit to periodic unannounced examinations
14        of the offender's computer or any other device with
15        Internet capability by the offender's probation
16        officer, a law enforcement officer, or assigned
17        computer or information technology specialist,
18        including the retrieval and copying of all data from
19        the computer or device and any internal or external
20        peripherals and removal of such information,
21        equipment, or device to conduct a more thorough
22        inspection;
23            (iii) submit to the installation on the offender's
24        computer or device with Internet capability, at the
25        subject's expense, of one or more hardware or software
26        systems to monitor the Internet use; and

 

 

SB2435- 1989 -LRB102 04062 AMC 14078 b

1            (iv) submit to any other appropriate restrictions
2        concerning the offender's use of or access to a
3        computer or any other device with Internet capability
4        imposed by the offender's probation officer; and
5        (19) refrain from possessing a firearm or other
6    dangerous weapon where the offense is a misdemeanor that
7    did not involve the intentional or knowing infliction of
8    bodily harm or threat of bodily harm.
9    (c) The court may as a condition of probation or of
10conditional discharge require that a person under 18 years of
11age found guilty of any alcohol, cannabis or controlled
12substance violation, refrain from acquiring a driver's license
13during the period of probation or conditional discharge. If
14such person is in possession of a permit or license, the court
15may require that the minor refrain from driving or operating
16any motor vehicle during the period of probation or
17conditional discharge, except as may be necessary in the
18course of the minor's lawful employment.
19    (d) An offender sentenced to probation or to conditional
20discharge shall be given a certificate setting forth the
21conditions thereof.
22    (e) Except where the offender has committed a fourth or
23subsequent violation of subsection (c) of Section 6-303 of the
24Illinois Vehicle Code, the court shall not require as a
25condition of the sentence of probation or conditional
26discharge that the offender be committed to a period of

 

 

SB2435- 1990 -LRB102 04062 AMC 14078 b

1imprisonment in excess of 6 months. This 6-month limit shall
2not include periods of confinement given pursuant to a
3sentence of county impact incarceration under Section 5-8-1.2.
4    Persons committed to imprisonment as a condition of
5probation or conditional discharge shall not be committed to
6the Department of Corrections.
7    (f) The court may combine a sentence of periodic
8imprisonment under Article 7 or a sentence to a county impact
9incarceration program under Article 8 with a sentence of
10probation or conditional discharge.
11    (g) An offender sentenced to probation or to conditional
12discharge and who during the term of either undergoes
13mandatory drug or alcohol testing, or both, or is assigned to
14be placed on an approved electronic monitoring device, shall
15be ordered to pay all costs incidental to such mandatory drug
16or alcohol testing, or both, and all costs incidental to such
17approved electronic monitoring in accordance with the
18defendant's ability to pay those costs. The county board with
19the concurrence of the Chief Judge of the judicial circuit in
20which the county is located shall establish reasonable fees
21for the cost of maintenance, testing, and incidental expenses
22related to the mandatory drug or alcohol testing, or both, and
23all costs incidental to approved electronic monitoring,
24involved in a successful probation program for the county. The
25concurrence of the Chief Judge shall be in the form of an
26administrative order. The fees shall be collected by the clerk

 

 

SB2435- 1991 -LRB102 04062 AMC 14078 b

1of the circuit court, except as provided in an administrative
2order of the Chief Judge of the circuit court. The clerk of the
3circuit court shall pay all moneys collected from these fees
4to the county treasurer who shall use the moneys collected to
5defray the costs of drug testing, alcohol testing, and
6electronic monitoring. The county treasurer shall deposit the
7fees collected in the county working cash fund under Section
86-27001 or Section 6-29002 of the Counties Code, as the case
9may be. The Chief Judge of the circuit court of the county may
10by administrative order establish a program for electronic
11monitoring of offenders, in which a vendor supplies and
12monitors the operation of the electronic monitoring device,
13and collects the fees on behalf of the county. The program
14shall include provisions for indigent offenders and the
15collection of unpaid fees. The program shall not unduly burden
16the offender and shall be subject to review by the Chief Judge.
17    The Chief Judge of the circuit court may suspend any
18additional charges or fees for late payment, interest, or
19damage to any device.
20    (h) Jurisdiction over an offender may be transferred from
21the sentencing court to the court of another circuit with the
22concurrence of both courts. Further transfers or retransfers
23of jurisdiction are also authorized in the same manner. The
24court to which jurisdiction has been transferred shall have
25the same powers as the sentencing court. The probation
26department within the circuit to which jurisdiction has been

 

 

SB2435- 1992 -LRB102 04062 AMC 14078 b

1transferred, or which has agreed to provide supervision, may
2impose probation fees upon receiving the transferred offender,
3as provided in subsection (i). For all transfer cases, as
4defined in Section 9b of the Probation and Probation Officers
5Act, the probation department from the original sentencing
6court shall retain all probation fees collected prior to the
7transfer. After the transfer, all probation fees shall be paid
8to the probation department within the circuit to which
9jurisdiction has been transferred.
10    (i) The court shall impose upon an offender sentenced to
11probation after January 1, 1989 or to conditional discharge
12after January 1, 1992 or to community service under the
13supervision of a probation or court services department after
14January 1, 2004, as a condition of such probation or
15conditional discharge or supervised community service, a fee
16of $50 for each month of probation or conditional discharge
17supervision or supervised community service ordered by the
18court, unless after determining the inability of the person
19sentenced to probation or conditional discharge or supervised
20community service to pay the fee, the court assesses a lesser
21fee. The court may not impose the fee on a minor who is placed
22in the guardianship or custody of the Department of Children
23and Family Services under the Juvenile Court Act of 1987 while
24the minor is in placement. The fee shall be imposed only upon
25an offender who is actively supervised by the probation and
26court services department. The fee shall be collected by the

 

 

SB2435- 1993 -LRB102 04062 AMC 14078 b

1clerk of the circuit court. The clerk of the circuit court
2shall pay all monies collected from this fee to the county
3treasurer for deposit in the probation and court services fund
4under Section 15.1 of the Probation and Probation Officers
5Act.
6    A circuit court may not impose a probation fee under this
7subsection (i) in excess of $25 per month unless the circuit
8court has adopted, by administrative order issued by the chief
9judge, a standard probation fee guide determining an
10offender's ability to pay. Of the amount collected as a
11probation fee, up to $5 of that fee collected per month may be
12used to provide services to crime victims and their families.
13    The Court may only waive probation fees based on an
14offender's ability to pay. The probation department may
15re-evaluate an offender's ability to pay every 6 months, and,
16with the approval of the Director of Court Services or the
17Chief Probation Officer, adjust the monthly fee amount. An
18offender may elect to pay probation fees due in a lump sum. Any
19offender that has been assigned to the supervision of a
20probation department, or has been transferred either under
21subsection (h) of this Section or under any interstate
22compact, shall be required to pay probation fees to the
23department supervising the offender, based on the offender's
24ability to pay.
25    Public Act 93-970 deletes the $10 increase in the fee
26under this subsection that was imposed by Public Act 93-616.

 

 

SB2435- 1994 -LRB102 04062 AMC 14078 b

1This deletion is intended to control over any other Act of the
293rd General Assembly that retains or incorporates that fee
3increase.
4    (i-5) In addition to the fees imposed under subsection (i)
5of this Section, in the case of an offender convicted of a
6felony sex offense (as defined in the Sex Offender Management
7Board Act) or an offense that the court or probation
8department has determined to be sexually motivated (as defined
9in the Sex Offender Management Board Act), the court or the
10probation department shall assess additional fees to pay for
11all costs of treatment, assessment, evaluation for risk and
12treatment, and monitoring the offender, based on that
13offender's ability to pay those costs either as they occur or
14under a payment plan.
15    (j) All fines and costs imposed under this Section for any
16violation of Chapters 3, 4, 6, and 11 of the Illinois Vehicle
17Code, or a similar provision of a local ordinance, and any
18violation of the Child Passenger Protection Act, or a similar
19provision of a local ordinance, shall be collected and
20disbursed by the circuit clerk as provided under the Criminal
21and Traffic Assessment Act.
22    (k) Any offender who is sentenced to probation or
23conditional discharge for a felony sex offense as defined in
24the Sex Offender Management Board Act or any offense that the
25court or probation department has determined to be sexually
26motivated as defined in the Sex Offender Management Board Act

 

 

SB2435- 1995 -LRB102 04062 AMC 14078 b

1shall be required to refrain from any contact, directly or
2indirectly, with any persons specified by the court and shall
3be available for all evaluations and treatment programs
4required by the court or the probation department.
5    (l) The court may order an offender who is sentenced to
6probation or conditional discharge for a violation of an order
7of protection be placed under electronic surveillance as
8provided in Section 5-8A-7 of this Code.
9(Source: P.A. 99-143, eff. 7-27-15; 99-797, eff. 8-12-16;
10100-159, eff. 8-18-17; 100-260, eff. 1-1-18; 100-575, eff.
111-8-18; 100-987, eff. 7-1-19; revised 7-12-19.)
 
12    Section 750. The Open Parole Hearings Act is amended by
13changing Section 5 as follows:
 
14    (730 ILCS 105/5)  (from Ch. 38, par. 1655)
15    Sec. 5. Definitions. As used in this Act:
16    (a) "Applicant" means an inmate who is being considered
17for parole by the Prisoner Review Board.
18    (a-1) "Aftercare releasee" means a person released from
19the Department of Juvenile Justice on aftercare release
20subject to aftercare revocation proceedings.
21    (b) "Board" means the Prisoner Review Board as established
22in Section 3-3-1 of the Unified Code of Corrections.
23    (c) "Parolee" means a person subject to parole revocation
24proceedings.

 

 

SB2435- 1996 -LRB102 04062 AMC 14078 b

1    (d) "Parole hearing" means the formal hearing and
2determination of an inmate being considered for release from
3incarceration on parole.
4    (e) "Parole, aftercare release, or mandatory supervised
5release revocation hearing" means the formal hearing and
6determination of allegations that a parolee, aftercare
7releasee, or mandatory supervised releasee has violated the
8conditions of his or her release.
9    (f) "Victim" means a victim or witness of a violent crime
10as defined in subsection (a) of Section 3 of the Bill of Rights
11of Crime for Victims and Witnesses of Violent Crime Act, or any
12person legally related to the victim by blood, marriage,
13adoption, or guardianship, or any friend of the victim, or any
14concerned citizen.
15    (g) "Violent crime" means a crime defined in subsection
16(c) of Section 3 of the Bill of Rights of Crime for Victims and
17Witnesses of Violent Crime Act.
18(Source: P.A. 98-558, eff. 1-1-14; 99-628, eff. 1-1-17;
19revised 9-21-20.)
 
20    Section 755. The Private Detention Facility Moratorium Act
21is amended by changing Sections 10 and 20 as follows:
 
22    (730 ILCS 141/10)
23    Sec. 10. Definition Definitions. In this Act, : "detention
24Detention facility" means any building, facility, or structure

 

 

SB2435- 1997 -LRB102 04062 AMC 14078 b

1used to detain individuals, not including State work release
2centers or juvenile or adult residential treatment facilities.
3(Source: P.A. 101-20, eff. 6-21-19; revised 7-23-19.)
 
4    (730 ILCS 141/20)
5    Sec. 20. Exemptions. This Act does not prohibit the State,
6a unit of local government, or any sheriff that owns, manages,
7or operates a detention facility from contracting with a
8private entity or person to provide ancillary services in that
9facility, such as, medical services, food service, educational
10services, or facility repair and maintenance.
11(Source: P.A. 101-20, eff. 6-21-19; revised 7-23-19.)
 
12    Section 760. The Illinois Crime Reduction Act of 2009 is
13amended by changing Section 10 as follows:
 
14    (730 ILCS 190/10)
15    Sec. 10. Evidence-based programming.
16    (a) Purpose. Research and practice have identified new
17strategies and policies that can result in a significant
18reduction in recidivism rates and the successful local
19reintegration of offenders. The purpose of this Section is to
20ensure that State and local agencies direct their resources to
21services and programming that have been demonstrated to be
22effective in reducing recidivism and reintegrating offenders
23into the locality.

 

 

SB2435- 1998 -LRB102 04062 AMC 14078 b

1    (b) Evidence-based programming in local supervision.
2        (1) The Parole Division of the Department of
3    Corrections and the Prisoner Review Board shall adopt
4    policies, rules, and regulations that, within the first
5    year of the adoption, validation, and utilization of the
6    statewide, standardized risk assessment tool described in
7    this Act, result in at least 25% of supervised individuals
8    being supervised in accordance with evidence-based
9    practices; within 3 years of the adoption, validation, and
10    utilization of the statewide, standardized risk assessment
11    tool result in at least 50% of supervised individuals
12    being supervised in accordance with evidence-based
13    practices; and within 5 years of the adoption, validation,
14    and utilization of the statewide, standardized risk
15    assessment tool result in at least 75% of supervised
16    individuals being supervised in accordance with
17    evidence-based practices. The policies, rules, and
18    regulations shall:
19            (A) Provide for a standardized individual case
20        plan that follows the offender through the criminal
21        justice system (including in-prison if the supervised
22        individual is in prison) that is:
23                (i) Based on the assets of the individual as
24            well as his or her risks and needs identified
25            through the assessment tool as described in this
26            Act.

 

 

SB2435- 1999 -LRB102 04062 AMC 14078 b

1                (ii) Comprised of treatment and supervision
2            services appropriate to achieve the purpose of
3            this Act.
4                (iii) Consistently updated, based on program
5            participation by the supervised individual and
6            other behavior modification exhibited by the
7            supervised individual.
8            (B) Concentrate resources and services on
9        high-risk offenders.
10            (C) Provide for the use of evidence-based
11        programming related to education, job training,
12        cognitive behavioral therapy, and other programming
13        designed to reduce criminal behavior.
14            (D) Establish a system of graduated responses.
15                (i) The system shall set forth a menu of
16            presumptive responses for the most common types of
17            supervision violations.
18                (ii) The system shall be guided by the model
19            list of intermediate sanctions created by the
20            Probation Services Division of the State of
21            Illinois pursuant to subsection (1) of Section 15
22            of the Probation and Probation Officers Act and
23            the system of intermediate sanctions created by
24            the Chief Judge of each circuit court pursuant to
25            Section 5-6-1 of the Unified Code of Corrections.
26                (iii) The system of responses shall take into

 

 

SB2435- 2000 -LRB102 04062 AMC 14078 b

1            account factors such as the severity of the
2            current violation; the supervised individual's
3            risk level as determined by a validated assessment
4            tool described in this Act; the supervised
5            individual's assets; his or her previous criminal
6            record; and the number and severity of any
7            previous supervision violations.
8                (iv) The system shall also define positive
9            reinforcements that supervised individuals may
10            receive for compliance with conditions of
11            supervision.
12                (v) Response to violations should be swift and
13            certain and should be imposed as soon as
14            practicable but no longer than 3 working days of
15            detection of the violation behavior.
16        (2) Conditions of local supervision (probation and
17    mandatory supervised release). Conditions of local
18    supervision whether imposed by a sentencing judge or the
19    Prisoner Review Board shall be imposed in accordance with
20    the offender's risks, assets, and needs as identified
21    through the assessment tool described in this Act.
22        (3) The Department of Corrections and the Prisoner
23    Review Board shall annually publish an exemplar copy of
24    any evidence-based assessments, questionnaires, or other
25    instruments used to set conditions of release.
26    (c) Evidence-based in-prison programming.

 

 

SB2435- 2001 -LRB102 04062 AMC 14078 b

1        (1) The Department of Corrections shall adopt
2    policies, rules, and regulations that, within the first
3    year of the adoption, validation, and utilization of the
4    statewide, standardized risk assessment tool described in
5    this Act, result in at least 25% of incarcerated
6    individuals receiving services and programming in
7    accordance with evidence-based practices; within 3 years
8    of the adoption, validation, and utilization of the
9    statewide, standardized risk assessment tool result in at
10    least 50% of incarcerated individuals receiving services
11    and programming in accordance with evidence-based
12    practices; and within 5 years of the adoption, validation,
13    and utilization of the statewide, standardized risk
14    assessment tool result in at least 75% of incarcerated
15    individuals receiving services and programming in
16    accordance with evidence-based practices. The policies,
17    rules, and regulations shall:
18            (A) Provide for the use and development of a case
19        plan based on the risks, assets, and needs identified
20        through the assessment tool as described in this Act.
21        The case plan should be used to determine in-prison
22        programming; should be continuously updated based on
23        program participation by the prisoner and other
24        behavior modification exhibited by the prisoner; and
25        should be used when creating the case plan described
26        in subsection (b).

 

 

SB2435- 2002 -LRB102 04062 AMC 14078 b

1            (B) Provide for the use of evidence-based
2        programming related to education, job training,
3        cognitive behavioral therapy and other evidence-based
4        programming.
5            (C) Establish education programs based on a
6        teacher to student ratio of no more than 1:30.
7            (D) Expand the use of drug prisons, modeled after
8        the Sheridan Correctional Center, to provide
9        sufficient drug treatment and other support services
10        to non-violent inmates with a history of substance
11        abuse.
12        (2) Participation and completion of programming by
13    prisoners can impact earned time credit as determined
14    under Section 3-6-3 of the Unified Code of Corrections.
15        (3) The Department of Corrections shall provide its
16    employees with intensive and ongoing training and
17    professional development services to support the
18    implementation of evidence-based practices. The training
19    and professional development services shall include
20    assessment techniques, case planning, cognitive behavioral
21    training, risk reduction and intervention strategies,
22    effective communication skills, substance abuse treatment
23    education and other topics identified by the Department or
24    its employees.
25    (d) The Parole Division of the Department of Corrections
26and the Prisoner Review Board shall provide their employees

 

 

SB2435- 2003 -LRB102 04062 AMC 14078 b

1with intensive and ongoing training and professional
2development services to support the implementation of
3evidence-based practices. The training and professional
4development services shall include assessment techniques, case
5planning, cognitive behavioral training, risk reduction and
6intervention strategies, effective communication skills,
7substance abuse treatment education, and other topics
8identified by the agencies or their employees.
9    (e) The Department of Corrections, the Prisoner Review
10Board, and other correctional entities referenced in the
11policies, rules, and regulations of this Act shall design,
12implement, and make public a system to evaluate the
13effectiveness of evidence-based practices in increasing public
14safety and in successful reintegration of those under
15supervision into the locality. Annually, each agency shall
16submit to the Sentencing Policy Advisory Council a
17comprehensive report on the success of implementing
18evidence-based practices. The data compiled and analyzed by
19the Council shall be delivered annually to the Governor and
20the General Assembly.
21    (f) The Department of Corrections and the Prisoner Review
22Board shall release a report annually published on their
23websites that reports the following information about the
24usage of electronic monitoring and GPS monitoring as a
25condition of parole and mandatory supervised release during
26the prior calendar year:

 

 

SB2435- 2004 -LRB102 04062 AMC 14078 b

1        (1) demographic data of individuals on electronic
2    monitoring and GPS monitoring, separated by the following
3    categories:
4            (A) race or ethnicity;
5            (B) gender; and
6            (C) age;
7        (2) incarceration data of individuals subject to
8    conditions of electronic or GPS monitoring, separated by
9    the following categories:
10            (A) highest class of offense for which the
11        individuals are is currently serving a term of
12        release; and
13            (B) length of imprisonment served prior to the
14        current release period;
15        (3) the number of individuals subject to conditions of
16    electronic or GPS monitoring, separated by the following
17    categories:
18            (A) the number of individuals subject to
19        monitoring under Section 5-8A-6 of the Unified Code of
20        Corrections;
21            (B) the number of individuals subject monitoring
22        under Section 5-8A-7 of the Unified Code of
23        Corrections;
24            (C) the number of individuals subject to
25        monitoring under a discretionary order of the Prisoner
26        Review Board at the time of their release; and

 

 

SB2435- 2005 -LRB102 04062 AMC 14078 b

1            (D) the number of individuals subject to
2        monitoring as a sanction for violations of parole or
3        mandatory supervised release, separated by the
4        following categories:
5                (i) the number of individuals subject to
6            monitoring as part of a graduated sanctions
7            program; and
8                (ii) the number of individuals subject to
9            monitoring as a new condition of re-release after
10            a revocation hearing before the Prisoner Review
11            Board;
12        (4) the number of discretionary monitoring orders
13    issued by the Prisoner Review Board, separated by the
14    following categories:
15            (A) less than 30 days;
16            (B) 31 to 60 days;
17            (C) 61 to 90 days;
18            (D) 91 to 120 days;
19            (E) 121 to 150 days;
20            (F) 151 to 180 days;
21            (G) 181 to 364 days;
22            (H) 365 days or more; and
23            (I) duration of release term;
24        (5) the number of discretionary monitoring orders by
25    the Board which removed or terminated monitoring prior to
26    the completion of the original period ordered;

 

 

SB2435- 2006 -LRB102 04062 AMC 14078 b

1        (6) the number and severity category for sanctions
2    imposed on individuals on electronic or GPS monitoring,
3    separated by the following categories:
4            (A) absconding from electronic monitoring or GPS;
5            (B) tampering or removing the electronic
6        monitoring or GPS device;
7            (C) unauthorized leaving of the residence;
8            (D) presence of the individual in a prohibited
9        area; or
10            (E) other violations of the terms of the
11        electronic monitoring program;
12        (7) the number of individuals for whom a parole
13    revocation case was filed for failure to comply with the
14    terms of electronic or GPS monitoring, separated by the
15    following categories:
16            (A) cases when failure to comply with the terms of
17        monitoring was the sole violation alleged; and
18            (B) cases when failure to comply with the terms of
19        monitoring was alleged in conjunction with other
20        alleged violations;
21        (8) residential data for individuals subject to
22    electronic or GPS monitoring, separated by the following
23    categories:
24            (A) the county of the residence address for
25        individuals subject to electronic or GPS monitoring as
26        a condition of their release; and

 

 

SB2435- 2007 -LRB102 04062 AMC 14078 b

1            (B) for counties with a population over 3,000,000,
2        the zip codes of the residence address for individuals
3        subject to electronic or GPS monitoring as a condition
4        of their release;
5        (9) the number of individuals for whom parole
6    revocation cases were filed due to violations of paragraph
7    (1) of subsection (a) of Section 3-3-7 of the Unified Code
8    of Corrections, separated by the following categories:
9            (A) the number of individuals whose violation of
10        paragraph (1) of subsection (a) of Section 3-3-7 of
11        the Unified Code of Corrections allegedly occurred
12        while the individual was subject to conditions of
13        electronic or GPS monitoring;
14            (B) the number of individuals who had violations
15        of paragraph (1) of subsection (a) of Section 3-3-7 of
16        the Unified Code of Corrections alleged against them
17        who were never subject to electronic or GPS monitoring
18        during their current term of release; and
19            (C) the number of individuals who had violations
20        of paragraph (1) of subsection (a) of Section 3-3-7 of
21        the Unified Code of Corrections alleged against them
22        who were subject to electronic or GPS monitoring for
23        any period of time during their current term of their
24        release, but who were not subject to such monitoring
25        at the time of the alleged violation of paragraph (1)
26        of subsection (a) of Section 3-3-7 of the Unified Code

 

 

SB2435- 2008 -LRB102 04062 AMC 14078 b

1        of Corrections.
2(Source: P.A. 101-231, eff. 1-1-20; revised 9-12-19.)
 
3    Section 765. The Re-Entering Citizens Civics Education Act
4is amended by changing Section 5 as follows:
 
5    (730 ILCS 200/5)
6    Sec. 5. Definitions. In this Act:
7    "Committed person" means a person committed to the
8Department.
9    "Commitment" means a judicially determined placement in
10the custody of the Department of Corrections or the Department
11of Juvenile Justice on the basis of conviction or delinquency.
12    "Correctional institution or facility" means a Department
13of Corrections or Department of Juvenile Justice building or
14part of a Department of Corrections or Department of Juvenile
15Justice building where committed persons are detained in a
16secure manner.
17    "Department" includes the Department of Corrections and
18the Department of Juvenile Justice, unless the text solely
19specifies a particular Department.
20    "Detainee" means a committed person in the physical
21custody of the Department of Corrections or the Department of
22Juvenile Justice.
23    "Director" includes the Directors Director of the
24Department of Corrections and the Department of Juvenile

 

 

SB2435- 2009 -LRB102 04062 AMC 14078 b

1Justice unless the text solely specifies a particular
2Director.
3    "Discharge" means the end of a sentence or the final
4termination of a detainee's physical commitment to and
5confinement in the Department of Corrections or Department of
6Juvenile Justice.
7    "Peer educator" means an incarcerated citizen who is
8specifically trained in voting rights education, who shall
9conduct voting and civics education workshops for detainees
10scheduled for discharge within 12 months.
11    "Program" means the nonpartisan peer education and
12information instruction established by this Act.
13    "Re-entering citizen" means any United States citizen who
14is: 17 years of age or older; in the physical custody of the
15Department of Corrections or Department of Juvenile Justice;
16and scheduled to be re-entering society within 12 months.
17(Source: P.A. 101-441, eff. 1-1-20; revised 8-19-20.)
 
18    Section 770. The Code of Civil Procedure is amended by
19changing Sections 2-206, 2-1401, 5-105, 8-301, and 20-104 and
20the heading of Article VIII Part 3 as follows:
 
21    (735 ILCS 5/2-206)  (from Ch. 110, par. 2-206)
22    Sec. 2-206. Service by publication; affidavit; mailing;
23certificate.
24    (a) Whenever, in any action affecting property or status

 

 

SB2435- 2010 -LRB102 04062 AMC 14078 b

1within the jurisdiction of the court, including an action to
2obtain the specific performance, reformation, or rescission of
3a contract for the conveyance of land, except for an action
4brought under Part 15 of Article XV of this Code that is are
5subject to subsection (a-5), the plaintiff or his or her
6attorney shall file, at the office of the clerk of the court in
7which the action is pending, an affidavit showing that the
8defendant resides or has gone out of this State, or on due
9inquiry cannot be found, or is concealed within this State, so
10that process cannot be served upon him or her, and stating the
11place of residence of the defendant, if known, or that upon
12diligent inquiry his or her place of residence cannot be
13ascertained, the clerk shall cause publication to be made in
14some newspaper published in the county in which the action is
15pending. If there is no newspaper published in that county,
16then the publication shall be in a newspaper published in an
17adjoining county in this State, having a circulation in the
18county in which action is pending. The publication shall
19contain notice of the pendency of the action, the title of the
20court, the title of the case, showing the names of the first
21named plaintiff and the first named defendant, the number of
22the case, the names of the parties to be served by publication,
23and the date on or after which default may be entered against
24such party. The clerk shall also, within 10 days of the first
25publication of the notice, send a copy thereof by mail,
26addressed to each defendant whose place of residence is stated

 

 

SB2435- 2011 -LRB102 04062 AMC 14078 b

1in such affidavit. The certificate of the clerk that he or she
2has sent the copy in pursuance of this Section is evidence that
3he or she has done so.
4    (a-5) If, in any action brought under Part 15 of Article XV
5of this Code, the plaintiff, or his or her attorney, shall
6file, at the office of the clerk of the court in which the
7action is pending, an affidavit showing that the defendant
8resides outside of or has left this State, or on due inquiry
9cannot be found, or is concealed within this State so that
10process cannot be served upon him or her, and stating the place
11of residence of the defendant, if known, or that upon diligent
12inquiry his or her place of residence cannot be ascertained,
13the plaintiff, or his or her representative, shall cause
14publication to be made in some newspaper published in the
15county in which the action is pending. If there is no newspaper
16published in that county, then the publication shall be in a
17newspaper published in an adjoining county in this State,
18having a circulation in the county in which action is pending.
19The publication shall contain notice of the pendency of the
20action, the title of the court, the title of the case, showing
21the names of the first named plaintiff and the first named
22defendant, the number of the case, the names of the parties to
23be served by publication, and the date on or after which
24default may be entered against such party. It shall be the
25non-delegable duty of the clerk of the court, within 10 days of
26the first publication of the notice, to send a copy thereof by

 

 

SB2435- 2012 -LRB102 04062 AMC 14078 b

1mail, addressed to each defendant whose place of residence is
2stated in such affidavit. The certificate of the clerk of the
3court that he or she has sent the copy in pursuance of this
4Section is evidence that he or she has done so.
5    (b) In any action brought by a unit of local government to
6cause the demolition, repair, or enclosure of a dangerous and
7unsafe or uncompleted or abandoned building, notice by
8publication under this Section may be commenced during the
9time during which attempts are made to locate the defendant
10for personal service. In that case, the unit of local
11government shall file with the clerk an affidavit stating that
12the action meets the requirements of this subsection and that
13all required attempts are being made to locate the defendant.
14Upon the filing of the affidavit, the clerk shall cause
15publication to be made under this Section. Upon completing the
16attempts to locate the defendant required by this Section, the
17municipality shall file with the clerk an affidavit meeting
18the requirements of subsection (a). Service under this
19subsection shall not be deemed to have been made until the
20affidavit is filed and service by publication in the manner
21prescribed in subsection (a) is completed.
22(Source: P.A. 101-539, eff. 1-1-20; revised 8-19-20.)
 
23    (735 ILCS 5/2-1401)  (from Ch. 110, par. 2-1401)
24    Sec. 2-1401. Relief from judgments.
25    (a) Relief from final orders and judgments, after 30 days

 

 

SB2435- 2013 -LRB102 04062 AMC 14078 b

1from the entry thereof, may be had upon petition as provided in
2this Section. Writs of error coram nobis and coram vobis,
3bills of review and bills in the nature of bills of review are
4abolished. All relief heretofore obtainable and the grounds
5for such relief heretofore available, whether by any of the
6foregoing remedies or otherwise, shall be available in every
7case, by proceedings hereunder, regardless of the nature of
8the order or judgment from which relief is sought or of the
9proceedings in which it was entered. Except as provided in the
10Illinois Parentage Act of 2015, there shall be no distinction
11between actions and other proceedings, statutory or otherwise,
12as to availability of relief, grounds for relief or the relief
13obtainable.
14    (b) The petition must be filed in the same proceeding in
15which the order or judgment was entered but is not a
16continuation thereof. The petition must be supported by
17affidavit or other appropriate showing as to matters not of
18record. A petition to reopen a foreclosure proceeding must
19include as parties to the petition, but is not limited to, all
20parties in the original action in addition to the current
21record title holders of the property, current occupants, and
22any individual or entity that had a recorded interest in the
23property before the filing of the petition. All parties to the
24petition shall be notified as provided by rule.
25    (b-5) A movant may present a meritorious claim under this
26Section if the allegations in the petition establish each of

 

 

SB2435- 2014 -LRB102 04062 AMC 14078 b

1the following by a preponderance of the evidence:
2        (1) the movant was convicted of a forcible felony;
3        (2) the movant's participation in the offense was
4    related to him or her previously having been a victim of
5    domestic violence as perpetrated by an intimate partner;
6        (3) no evidence of domestic violence against the
7    movant was presented at the movant's sentencing hearing;
8        (4) the movant was unaware of the mitigating nature of
9    the evidence of the domestic violence at the time of
10    sentencing and could not have learned of its significance
11    sooner through diligence; and
12        (5) the new evidence of domestic violence against the
13    movant is material and noncumulative to other evidence
14    offered at the sentencing hearing, and is of such a
15    conclusive character that it would likely change the
16    sentence imposed by the original trial court.
17    Nothing in this subsection (b-5) shall prevent a movant
18from applying for any other relief under this Section or any
19other law otherwise available to him or her.
20    As used in this subsection (b-5):
21        "Domestic violence" means abuse as defined in Section
22    103 of the Illinois Domestic Violence Act of 1986.
23        "Forcible felony" has the meaning ascribed to the term
24    in Section 2-8 of the Criminal Code of 2012.
25        "Intimate partner" means a spouse or former spouse,
26    persons who have or allegedly have had a child in common,

 

 

SB2435- 2015 -LRB102 04062 AMC 14078 b

1    or persons who have or have had a dating or engagement
2    relationship.
3    (b-10) A movant may present a meritorious claim under this
4Section if the allegations in the petition establish each of
5the following by a preponderance of the evidence:
6        (A) she was convicted of a forcible felony;
7        (B) her participation in the offense was a direct
8    result of her suffering from post-partum depression or
9    post-partum psychosis;
10        (C) no evidence of post-partum depression or
11    post-partum psychosis was presented by a qualified medical
12    person at trial or sentencing, or both;
13        (D) she was unaware of the mitigating nature of the
14    evidence or, if aware, was at the time unable to present
15    this defense due to suffering from post-partum depression
16    or post-partum psychosis, or, at the time of trial or
17    sentencing, neither was a recognized mental illness and as
18    such, she was unable to receive proper treatment; and
19        (E) evidence of post-partum depression or post-partum
20    psychosis as suffered by the person is material and
21    noncumulative to other evidence offered at the time of
22    trial or sentencing, and it is of such a conclusive
23    character that it would likely change the sentence imposed
24    by the original court.
25    Nothing in this subsection (b-10) prevents a person from
26applying for any other relief under this Article or any other

 

 

SB2435- 2016 -LRB102 04062 AMC 14078 b

1law otherwise available to her.
2    As used in this subsection (b-10):
3        "Post-partum depression" means a mood disorder which
4    strikes many women during and after pregnancy and usually
5    occurs during pregnancy and up to 12 months after
6    delivery. This depression can include anxiety disorders.
7        "Post-partum psychosis" means an extreme form of
8    post-partum depression which can occur during pregnancy
9    and up to 12 months after delivery. This can include
10    losing touch with reality, distorted thinking, delusions,
11    auditory and visual hallucinations, paranoia,
12    hyperactivity and rapid speech, or mania.
13    (c) Except as provided in Section 20b of the Adoption Act
14and Section 2-32 of the Juvenile Court Act of 1987 or in a
15petition based upon Section 116-3 of the Code of Criminal
16Procedure of 1963 or subsection (b-10) of this Section, or in a
17motion to vacate and expunge convictions under the Cannabis
18Control Act as provided by subsection (i) of Section 5.2 of the
19Criminal Identification Act, the petition must be filed not
20later than 2 years after the entry of the order or judgment.
21Time during which the person seeking relief is under legal
22disability or duress or the ground for relief is fraudulently
23concealed shall be excluded in computing the period of 2
24years.
25    (d) The filing of a petition under this Section does not
26affect the order or judgment, or suspend its operation.

 

 

SB2435- 2017 -LRB102 04062 AMC 14078 b

1    (e) Unless lack of jurisdiction affirmatively appears from
2the record proper, the vacation or modification of an order or
3judgment pursuant to the provisions of this Section does not
4affect the right, title or interest in or to any real or
5personal property of any person, not a party to the original
6action, acquired for value after the entry of the order or
7judgment but before the filing of the petition, nor affect any
8right of any person not a party to the original action under
9any certificate of sale issued before the filing of the
10petition, pursuant to a sale based on the order or judgment.
11When a petition is filed pursuant to this Section to reopen a
12foreclosure proceeding, notwithstanding the provisions of
13Section 15-1701 of this Code, the purchaser or successor
14purchaser of real property subject to a foreclosure sale who
15was not a party to the mortgage foreclosure proceedings is
16entitled to remain in possession of the property until the
17foreclosure action is defeated or the previously foreclosed
18defendant redeems from the foreclosure sale if the purchaser
19has been in possession of the property for more than 6 months.
20    (f) Nothing contained in this Section affects any existing
21right to relief from a void order or judgment, or to employ any
22existing method to procure that relief.
23(Source: P.A. 100-1048, eff. 8-23-18; 101-27, eff. 6-25-19;
24101-411, eff. 8-16-19; revised 9-17-19.)
 
25    (735 ILCS 5/5-105)  (from Ch. 110, par. 5-105)

 

 

SB2435- 2018 -LRB102 04062 AMC 14078 b

1    Sec. 5-105. Waiver of court fees, costs, and charges.
2    (a) As used in this Section:
3        (1) "Fees, costs, and charges" means payments imposed
4    on a party in connection with the prosecution or defense
5    of a civil action, including, but not limited to: fees set
6    forth in Section 27.1b of the Clerks of Courts Act; fees
7    for service of process and other papers served either
8    within or outside this State, including service by
9    publication pursuant to Section 2-206 of this Code and
10    publication of necessary legal notices; motion fees;
11    charges for participation in, or attendance at, any
12    mandatory process or procedure including, but not limited
13    to, conciliation, mediation, arbitration, counseling,
14    evaluation, "Children First", "Focus on Children" or
15    similar programs; fees for supplementary proceedings;
16    charges for translation services; guardian ad litem fees;
17    and all other processes and procedures deemed by the court
18    to be necessary to commence, prosecute, defend, or enforce
19    relief in a civil action.
20        (2) "Indigent person" means any person who meets one
21    or more of the following criteria:
22            (i) He or she is receiving assistance under one or
23        more of the following means-based governmental public
24        benefits programs: Supplemental Security Income (SSI),
25        Aid to the Aged, Blind and Disabled (AABD), Temporary
26        Assistance for Needy Families (TANF), Supplemental

 

 

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1        Nutrition Assistance Program (SNAP), General
2        Assistance, Transitional Assistance, or State Children
3        and Family Assistance.
4            (ii) His or her available personal income is 125%
5        or less of the current poverty level, unless the
6        applicant's assets that are not exempt under Part 9 or
7        10 of Article XII of this Code are of a nature and
8        value that the court determines that the applicant is
9        able to pay the fees, costs, and charges.
10            (iii) He or she is, in the discretion of the court,
11        unable to proceed in an action without payment of
12        fees, costs, and charges and whose payment of those
13        fees, costs, and charges would result in substantial
14        hardship to the person or his or her family.
15            (iv) He or she is an indigent person pursuant to
16        Section 5-105.5 of this Code.
17        (3) "Poverty level" means the current poverty level as
18    established by the United States Department of Health and
19    Human Services.
20    (b) On the application of any person, before or after the
21commencement of an action:
22        (1) If the court finds that the applicant is an
23    indigent person, the court shall grant the applicant a
24    full fees, costs, and charges waiver entitling him or her
25    to sue or defend the action without payment of any of the
26    fees, costs, and charges.

 

 

SB2435- 2020 -LRB102 04062 AMC 14078 b

1        (2) If the court finds that the applicant satisfies
2    any of the criteria contained in items (i), (ii), or (iii)
3    of this subdivision (b)(2), the court shall grant the
4    applicant a partial fees, costs, and charges waiver
5    entitling him or her to sue or defend the action upon
6    payment of the applicable percentage of the assessments,
7    costs, and charges of the action, as follows:
8            (i) the court shall waive 75% of all fees, costs,
9        and charges if the available income of the applicant
10        is greater than 125% but does not exceed 150% of the
11        poverty level, unless the assets of the applicant that
12        are not exempt under Part 9 or 10 of Article XII of
13        this Code are such that the applicant is able, without
14        undue hardship, to pay a greater portion of the fees,
15        costs, and charges;
16            (ii) the court shall waive 50% of all fees, costs,
17        and charges if the available income is greater than
18        150% but does not exceed 175% of the poverty level,
19        unless the assets of the applicant that are not exempt
20        under Part 9 or 10 of Article XII of this Code are such
21        that the applicant is able, without undue hardship, to
22        pay a greater portion of the fees, costs, and charges;
23        and
24            (iii) the court shall waive 25% of all fees,
25        costs, and charges if the available income of the
26        applicant is greater than 175% but does not exceed

 

 

SB2435- 2021 -LRB102 04062 AMC 14078 b

1        200% of the current poverty level, unless the assets
2        of the applicant that are not exempt under Part 9 or 10
3        of Article XII of this Code are such that the applicant
4        is able, without undue hardship, to pay a greater
5        portion of the fees, costs, and charges.
6    (c) An application for waiver of court fees, costs, and
7charges shall be in writing and signed by the applicant, or, if
8the applicant is a minor or an incompetent adult, by another
9person having knowledge of the facts. The contents of the
10application for waiver of court fees, costs, and charges, and
11the procedure for the decision of the applications, shall be
12established by Supreme Court Rule. Factors to consider in
13evaluating an application shall include:
14        (1) the applicant's receipt of needs based
15    governmental public benefits, including Supplemental
16    Security Income (SSI); Aid to the Aged, Blind and Disabled
17    (AABD ADBD); Temporary Assistance for Needy Families
18    (TANF); Supplemental Nutrition Assistance Program (SNAP or
19    "food stamps"); General Assistance; Transitional
20    Assistance; or State Children and Family Assistance;
21        (2) the employment status of the applicant and amount
22    of monthly income, if any;
23        (3) income received from the applicant's pension,
24    Social Security benefits, unemployment benefits, and other
25    sources;
26        (4) income received by the applicant from other

 

 

SB2435- 2022 -LRB102 04062 AMC 14078 b

1    household members;
2        (5) the applicant's monthly expenses, including rent,
3    home mortgage, other mortgage, utilities, food, medical,
4    vehicle, childcare, debts, child support, and other
5    expenses; and
6        (6) financial affidavits or other similar supporting
7    documentation provided by the applicant showing that
8    payment of the imposed fees, costs, and charges would
9    result in substantial hardship to the applicant or the
10    applicant's family.
11    (c-5) The court shall provide, through the office of the
12clerk of the court, the application for waiver of court fees,
13costs, and charges to any person seeking to sue or defend an
14action who indicates an inability to pay the fees, costs, and
15charges of the action. The clerk of the court shall post in a
16conspicuous place in the courthouse a notice no smaller than
178.5 x 11 inches, using no smaller than 30-point typeface
18printed in English and in Spanish, advising the public that
19they may ask the court for permission to sue or defend a civil
20action without payment of fees, costs, and charges. The notice
21shall be substantially as follows:
22        "If you are unable to pay the fees, costs, and charges
23    of an action you may ask the court to allow you to proceed
24    without paying them. Ask the clerk of the court for
25    forms."
26    (d) (Blank).

 

 

SB2435- 2023 -LRB102 04062 AMC 14078 b

1    (e) The clerk of the court shall not refuse to accept and
2file any complaint, appearance, or other paper presented by
3the applicant if accompanied by an application for waiver of
4court fees, costs, and charges, and those papers shall be
5considered filed on the date the application is presented. If
6the application is denied or a partial fees, costs, and
7charges waiver is granted, the order shall state a date
8certain by which the necessary fees, costs, and charges must
9be paid. For good cause shown, the court may allow an applicant
10who receives a partial fees, costs, and charges waiver to
11defer payment of fees, costs, and charges, make installment
12payments, or make payment upon reasonable terms and conditions
13stated in the order. The court may dismiss the claims or strike
14the defenses of any party failing to pay the fees, costs, and
15charges within the time and in the manner ordered by the court.
16A judicial ruling on an application for waiver of court
17assessments does not constitute a decision of a substantial
18issue in the case under Section 2-1001 of this Code.
19    (f) The order granting a full or partial fees, costs, and
20charges waiver shall expire after one year. Upon expiration of
21the waiver, or a reasonable period of time before expiration,
22the party whose fees, costs, and charges were waived may file
23another application for waiver and the court shall consider
24the application in accordance with the applicable Supreme
25Court Rule.
26    (f-5) If, before or at the time of final disposition of the

 

 

SB2435- 2024 -LRB102 04062 AMC 14078 b

1case, the court obtains information, including information
2from the court file, suggesting that a person whose fees,
3costs, and charges were initially waived was not entitled to a
4full or partial waiver at the time of application, the court
5may require the person to appear at a court hearing by giving
6the applicant no less than 10 days' written notice of the
7hearing and the specific reasons why the initial waiver might
8be reconsidered. The court may require the applicant to
9provide reasonably available evidence, including financial
10information, to support his or her eligibility for the waiver,
11but the court shall not require submission of information that
12is unrelated to the criteria for eligibility and application
13requirements set forth in subdivision (b)(1) or (b)(2) of this
14Section. If the court finds that the person was not initially
15entitled to any waiver, the person shall pay all fees, costs,
16and charges relating to the civil action, including any
17previously waived fees, costs, and charges. The order may
18state terms of payment in accordance with subsection (e). The
19court shall not conduct a hearing under this subsection more
20often than once every 6 months.
21    (f-10) If, before or at the time of final disposition of
22the case, the court obtains information, including information
23from the court file, suggesting that a person who received a
24full or partial waiver has experienced a change in financial
25condition so that he or she is no longer eligible for that
26waiver, the court may require the person to appear at a court

 

 

SB2435- 2025 -LRB102 04062 AMC 14078 b

1hearing by giving the applicant no less than 10 days' written
2notice of the hearing and the specific reasons why the waiver
3might be reconsidered. The court may require the person to
4provide reasonably available evidence, including financial
5information, to support his or her continued eligibility for
6the waiver, but shall not require submission of information
7that is unrelated to the criteria for eligibility and
8application requirements set forth in subdivisions (b)(1) and
9(b)(2) of this Section. If the court enters an order finding
10that the person is no longer entitled to a waiver, or is
11entitled to a partial waiver different than that which the
12person had previously received, the person shall pay the
13requisite fees, costs, and charges from the date of the order
14going forward. The order may state terms of payment in
15accordance with subsection (e) of this Section. The court
16shall not conduct a hearing under this subsection more often
17than once every 6 months.
18    (g) A court, in its discretion, may appoint counsel to
19represent an indigent person, and that counsel shall perform
20his or her duties without fees, charges, or reward.
21    (h) Nothing in this Section shall be construed to affect
22the right of a party to sue or defend an action in forma
23pauperis without the payment of fees, costs, charges, or the
24right of a party to court-appointed counsel, as authorized by
25any other provision of law or by the rules of the Illinois
26Supreme Court. Nothing in this Section shall be construed to

 

 

SB2435- 2026 -LRB102 04062 AMC 14078 b

1limit the authority of a court to order another party to the
2action to pay the fees, costs, and charges of the action.
3    (h-5) If a party is represented by a civil legal services
4provider or an attorney in a court-sponsored pro bono program
5as defined in Section 5-105.5 of this Code, the attorney
6representing that party shall file a certification with the
7court in accordance with Supreme Court Rule 298 and that party
8shall be allowed to sue or defend without payment of fees,
9costs, and charges without filing an application under this
10Section.
11    (h-10) (Blank).
12    (i) The provisions of this Section are severable under
13Section 1.31 of the Statute on Statutes.
14(Source: P.A. 100-987, eff. 7-1-19; 100-1161, eff. 7-1-19;
15101-36, eff. 6-28-19; revised 8-6-19.)
 
16    (735 ILCS 5/Art. VIII Pt. 3 heading)
17
Part 3. Surviving Partner or Joint Contractor Joint-Contractor

 
18    (735 ILCS 5/8-301)  (from Ch. 110, par. 8-301)
19    Sec. 8-301. Surviving partner or joint contractor
20joint-contractor. In any action or proceeding by or against
21any surviving partner or partners, or joint contractor or
22joint contractors, no adverse party or person adversely
23interested in the event thereof, shall, by virtue of Section
248-101 of this Act, be rendered a competent witness to testify

 

 

SB2435- 2027 -LRB102 04062 AMC 14078 b

1to any admission or conversation by any deceased partner or
2joint contractor, unless some one or more of the surviving
3partners or joint contractors were also present at the time of
4such admission or conversation; and in every action or
5proceeding a party to the same who has contracted with an agent
6of the adverse party - the agent having since died - shall not
7be a competent witness as to any admission or conversation
8between himself or herself and such agent, unless such
9admission or conversation with the deceased agent was had or
10made in the presence of a surviving agent or agents of such
11adverse party, and then only except where the conditions are
12such that under the provisions of Sections 8-201 and 8-401 of
13this Act he or she would have been permitted to testify if the
14deceased person had been a principal and not an agent.
15(Source: P.A. 82-280; revised 7-16-19.)
 
16    (735 ILCS 5/20-104)  (from Ch. 110, par. 20-104)
17    Sec. 20-104. (a) Before any action is instituted pursuant
18to this Act, the State or local governmental unit shall make a
19good faith attempt to collect amounts owed to it by using
20informal procedures and methods. Civil recoveries provided for
21in this Article shall be recoverable only: (1) in actions on
22behalf of the State, by the Attorney General; (2) in actions on
23behalf of a municipality with a population over 500,000, by
24the corporation counsel of such municipality; and (3) in
25actions on behalf of any other local governmental unit, by

 

 

SB2435- 2028 -LRB102 04062 AMC 14078 b

1counsel designated by the local government unit or, if so
2requested by the local governmental unit and the state's
3attorney so agrees, by the state's attorney. However, nothing
4in clause (3) of this subsection (a) shall affect agreements
5made pursuant to the State's Attorneys Attorney Appellate
6Prosecutor's Act, as amended. If the state's attorney of a
7county brings an action on behalf of another unit of local
8government pursuant to this Section, the county shall be
9reimbursed by the unit of local government in an amount
10mutually agreed upon before the action is initiated.
11    (b) Notwithstanding any other provision in this Section,
12any private citizen residing within the boundaries of the
13governmental unit affected may bring an action to recover the
14damages authorized in this Article on behalf of such
15governmental unit if: (a) the citizen has sent a letter by
16certified mail, return receipt requested, to the appropriate
17government official stating his intention to file suit for
18recovery under this Article and (b) the appropriate
19governmental official has not, within 60 days of the date of
20delivery on the citizen's return receipt, either instituted an
21action for recovery or sent notice to the citizen by certified
22mail, return receipt requested, that the official has arranged
23for a settlement with the party alleged to have illegally
24obtained the compensation or that the official intends to
25commence suit within 60 days of the date of the notice. A
26denial by the official of the liability of the party alleged

 

 

SB2435- 2029 -LRB102 04062 AMC 14078 b

1liable by the citizen, failure to have actually arranged for a
2settlement as stated, or failure to commence a suit within the
3designated period after having stated the intention in the
4notice to do so shall also permit the citizen to commence the
5action.
6    For purposes of this subsection (b), "appropriate
7government official" shall mean: (1) the Attorney General,
8where the government unit alleged damaged is the State; (2)
9the corporation counsel where the government unit alleged
10damaged is a municipality with a population of over 500,000;
11and (3) the chief executive officer of any other local
12government unit where that unit is alleged damaged.
13    Any private citizen commencing an action in compliance
14with this subsection which is reasonable and commenced in good
15faith shall be entitled to recover court costs and litigation
16expenses, including reasonable attorney's fees, from any
17defendant found liable under this Article.
18(Source: P.A. 84-1462; revised 7-16-19.)
 
19    Section 775. The Parental Right of Recovery Act is amended
20by changing Section 2 as follows:
 
21    (740 ILCS 120/2)  (from Ch. 70, par. 602)
22    Sec. 2. For the purpose of this Act, unless the context
23clearly requires otherwise:
24    (1) "Illegal drug" means (i) any substance as defined and

 

 

SB2435- 2030 -LRB102 04062 AMC 14078 b

1included in the Schedules of Article II of the Illinois
2Controlled Substances Act, (ii) any cannabis as defined in
3Section 3 of the Cannabis Control Act, or (iii) any drug as
4defined in paragraph (b) of Section 3 of the Pharmacy Practice
5Act which is obtained without a prescription or otherwise in
6violation of the law.
7    (2) "Minor" means a person who has not attained age 18.
8    (3) "Legal guardian" means a person appointed guardian, or
9given custody, of a minor by a circuit court of this State, but
10does not include a person appointed guardian, or given
11custody, of a minor under the Juvenile Court Act or the
12Juvenile Court Act of 1987.
13    (4) "Parent" means any natural or adoptive parent of a
14minor.
15    (5) "Person" means any natural person, corporation,
16association, partnership, or other organization.
17    (6) "Prescription" means any order for drugs, written or
18verbal, by a physician, dentist, veterinarian, or other person
19authorized to prescribe drugs within the limits of his or her
20license, containing the following: (1) name Name of the
21patient; (2) date when prescription was given; (3) name and
22strength of drug prescribed; (4) quantity, directions for use,
23prescriber's name, address and signature, and the United
24States Drug Enforcement Administration Agency number where
25required, for controlled substances.
26    (7) "Sale or transfer" means the actual or constructive

 

 

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1transfer of possession of an illegal drug, with or without
2consideration, whether directly or through an agent.
3(Source: P.A. 95-689, eff. 10-29-07; revised 8-19-20.)
 
4    Section 780. The Federal Law Enforcement Officer Immunity
5Act is amended by changing Section 5 as follows:
 
6    (745 ILCS 22/5)
7    Sec. 5. Definition. As used in this Act, "federal law
8enforcement officer" means any officer, agent, or employee of
9the federal government commissioned by federal statute to make
10arrests for violations of federal criminal laws, including but
11not limited to, all criminal investigators of:
12        (a) The United States Department of Justice, the
13    Federal Bureau of Investigation, the Drug Enforcement
14    Administration, Agency and all United States Marshals or
15    Deputy United States Marshals whose duties involve the
16    enforcement of federal criminal laws;
17        (a-5) The United States Department of Homeland
18    Security, United States Citizenship and Immigration
19    Services, United States Coast Guard, United States Customs
20    and Border Protection, and United States Immigration and
21    Customs Enforcement;
22        (b) The United States Department of the Treasury, the
23    Alcohol and Tobacco Tax and Trade Bureau, and the United
24    States Secret Service;

 

 

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1        (c) The United States Internal Revenue Service;
2        (d) The United States General Services Administration;
3        (e) The United States Postal Service;
4        (f) (Blank); and
5        (g) The United States Department of Defense.
6(Source: P.A. 99-651, eff. 1-1-17; revised 8-19-20.)
 
7    Section 785. The Good Samaritan Food Donor Act is amended
8by changing Section 2.02 as follows:
 
9    (745 ILCS 50/2.02)  (from Ch. 56 1/2, par. 2002.02)
10    Sec. 2.02. "Charitable organization" is defined as set
11forth in Section 1 of the Solicitation for Charity Act "An Act
12to regulate solicitation and collection of funds for
13charitable purposes, providing for violations thereof, and
14making an appropriation therefor", approved July 26, 1963, as
15amended.
16(Source: P.A. 82-580; revised 9-4-20.)
 
17    Section 790. The Adoption Act is amended by changing
18Section 1 as follows:
 
19    (750 ILCS 50/1)  (from Ch. 40, par. 1501)
20    Sec. 1. Definitions. When used in this Act, unless the
21context otherwise requires:
22    A. "Child" means a person under legal age subject to

 

 

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1adoption under this Act.
2    B. "Related child" means a child subject to adoption where
3either or both of the adopting parents stands in any of the
4following relationships to the child by blood, marriage,
5adoption, or civil union: parent, grand-parent,
6great-grandparent, brother, sister, step-parent,
7step-grandparent, step-brother, step-sister, uncle, aunt,
8great-uncle, great-aunt, first cousin, or second cousin. A
9person is related to the child as a first cousin or second
10cousin if they are both related to the same ancestor as either
11grandchild or great-grandchild. A child whose parent has
12executed a consent to adoption, a surrender, or a waiver
13pursuant to Section 10 of this Act or whose parent has signed a
14denial of paternity pursuant to Section 12 of the Vital
15Records Act or Section 12a of this Act, or whose parent has had
16his or her parental rights terminated, is not a related child
17to that person, unless (1) the consent is determined to be void
18or is void pursuant to subsection O of Section 10 of this Act;
19or (2) the parent of the child executed a consent to adoption
20by a specified person or persons pursuant to subsection A-1 of
21Section 10 of this Act and a court of competent jurisdiction
22finds that such consent is void; or (3) the order terminating
23the parental rights of the parent is vacated by a court of
24competent jurisdiction.
25    C. "Agency" for the purpose of this Act means a public
26child welfare agency or a licensed child welfare agency.

 

 

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1    D. "Unfit person" means any person whom the court shall
2find to be unfit to have a child, without regard to the
3likelihood that the child will be placed for adoption. The
4grounds of unfitness are any one or more of the following,
5except that a person shall not be considered an unfit person
6for the sole reason that the person has relinquished a child in
7accordance with the Abandoned Newborn Infant Protection Act:
8        (a) Abandonment of the child.
9        (a-1) Abandonment of a newborn infant in a hospital.
10        (a-2) Abandonment of a newborn infant in any setting
11    where the evidence suggests that the parent intended to
12    relinquish his or her parental rights.
13        (b) Failure to maintain a reasonable degree of
14    interest, concern or responsibility as to the child's
15    welfare.
16        (c) Desertion of the child for more than 3 months next
17    preceding the commencement of the Adoption proceeding.
18        (d) Substantial neglect of the child if continuous or
19    repeated.
20        (d-1) Substantial neglect, if continuous or repeated,
21    of any child residing in the household which resulted in
22    the death of that child.
23        (e) Extreme or repeated cruelty to the child.
24        (f) There is a rebuttable presumption, which can be
25    overcome only by clear and convincing evidence, that a
26    parent is unfit if:

 

 

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1            (1) Two or more findings of physical abuse have
2        been entered regarding any children under Section 2-21
3        of the Juvenile Court Act of 1987, the most recent of
4        which was determined by the juvenile court hearing the
5        matter to be supported by clear and convincing
6        evidence; or
7            (2) The parent has been convicted or found not
8        guilty by reason of insanity and the conviction or
9        finding resulted from the death of any child by
10        physical abuse; or
11            (3) There is a finding of physical child abuse
12        resulting from the death of any child under Section
13        2-21 of the Juvenile Court Act of 1987.
14        No conviction or finding of delinquency pursuant to
15    Article V of the Juvenile Court Act of 1987 shall be
16    considered a criminal conviction for the purpose of
17    applying any presumption under this item (f).
18        (g) Failure to protect the child from conditions
19    within his environment injurious to the child's welfare.
20        (h) Other neglect of, or misconduct toward the child;
21    provided that in making a finding of unfitness the court
22    hearing the adoption proceeding shall not be bound by any
23    previous finding, order or judgment affecting or
24    determining the rights of the parents toward the child
25    sought to be adopted in any other proceeding except such
26    proceedings terminating parental rights as shall be had

 

 

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1    under either this Act, the Juvenile Court Act or the
2    Juvenile Court Act of 1987.
3        (i) Depravity. Conviction of any one of the following
4    crimes shall create a presumption that a parent is
5    depraved which can be overcome only by clear and
6    convincing evidence: (1) first degree murder in violation
7    of paragraph (1) 1 or (2) 2 of subsection (a) of Section
8    9-1 of the Criminal Code of 1961 or the Criminal Code of
9    2012 or conviction of second degree murder in violation of
10    subsection (a) of Section 9-2 of the Criminal Code of 1961
11    or the Criminal Code of 2012 of a parent of the child to be
12    adopted; (2) first degree murder or second degree murder
13    of any child in violation of the Criminal Code of 1961 or
14    the Criminal Code of 2012; (3) attempt or conspiracy to
15    commit first degree murder or second degree murder of any
16    child in violation of the Criminal Code of 1961 or the
17    Criminal Code of 2012; (4) solicitation to commit murder
18    of any child, solicitation to commit murder of any child
19    for hire, or solicitation to commit second degree murder
20    of any child in violation of the Criminal Code of 1961 or
21    the Criminal Code of 2012; (5) predatory criminal sexual
22    assault of a child in violation of Section 11-1.40 or
23    12-14.1 of the Criminal Code of 1961 or the Criminal Code
24    of 2012; (6) heinous battery of any child in violation of
25    the Criminal Code of 1961; (7) aggravated battery of any
26    child in violation of the Criminal Code of 1961 or the

 

 

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1    Criminal Code of 2012; (8) any violation of Section
2    11-1.20 or Section 12-13 of the Criminal Code of 1961 or
3    the Criminal Code of 2012; (9) any violation of subsection
4    (a) of Section 11-1.50 or Section 12-16 of the Criminal
5    Code of 1961 or the Criminal Code of 2012; (10) any
6    violation of Section 11-9.1 of the Criminal Code of 1961
7    or the Criminal Code of 2012; (11) any violation of
8    Section 11-9.1A of the Criminal Code of 1961 or the
9    Criminal Code of 2012; or (12) an offense in any other
10    state the elements of which are similar and bear a
11    substantial relationship to any of the enumerated offenses
12    in this subsection (i).
13        There is a rebuttable presumption that a parent is
14    depraved if the parent has been criminally convicted of at
15    least 3 felonies under the laws of this State or any other
16    state, or under federal law, or the criminal laws of any
17    United States territory; and at least one of these
18    convictions took place within 5 years of the filing of the
19    petition or motion seeking termination of parental rights.
20        There is a rebuttable presumption that a parent is
21    depraved if that parent has been criminally convicted of
22    either first or second degree murder of any person as
23    defined in the Criminal Code of 1961 or the Criminal Code
24    of 2012 within 10 years of the filing date of the petition
25    or motion to terminate parental rights.
26        No conviction or finding of delinquency pursuant to

 

 

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1    Article 5 of the Juvenile Court Act of 1987 shall be
2    considered a criminal conviction for the purpose of
3    applying any presumption under this item (i).
4        (j) Open and notorious adultery or fornication.
5        (j-1) (Blank).
6        (k) Habitual drunkenness or addiction to drugs, other
7    than those prescribed by a physician, for at least one
8    year immediately prior to the commencement of the
9    unfitness proceeding.
10        There is a rebuttable presumption that a parent is
11    unfit under this subsection with respect to any child to
12    which that parent gives birth where there is a confirmed
13    test result that at birth the child's blood, urine, or
14    meconium contained any amount of a controlled substance as
15    defined in subsection (f) of Section 102 of the Illinois
16    Controlled Substances Act or metabolites of such
17    substances, the presence of which in the newborn infant
18    was not the result of medical treatment administered to
19    the mother or the newborn infant; and the biological
20    mother of this child is the biological mother of at least
21    one other child who was adjudicated a neglected minor
22    under subsection (c) of Section 2-3 of the Juvenile Court
23    Act of 1987.
24        (l) Failure to demonstrate a reasonable degree of
25    interest, concern or responsibility as to the welfare of a
26    new born child during the first 30 days after its birth.

 

 

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1        (m) Failure by a parent (i) to make reasonable efforts
2    to correct the conditions that were the basis for the
3    removal of the child from the parent during any 9-month
4    period following the adjudication of neglected or abused
5    minor under Section 2-3 of the Juvenile Court Act of 1987
6    or dependent minor under Section 2-4 of that Act, or (ii)
7    to make reasonable progress toward the return of the child
8    to the parent during any 9-month period following the
9    adjudication of neglected or abused minor under Section
10    2-3 of the Juvenile Court Act of 1987 or dependent minor
11    under Section 2-4 of that Act. If a service plan has been
12    established as required under Section 8.2 of the Abused
13    and Neglected Child Reporting Act to correct the
14    conditions that were the basis for the removal of the
15    child from the parent and if those services were
16    available, then, for purposes of this Act, "failure to
17    make reasonable progress toward the return of the child to
18    the parent" includes the parent's failure to substantially
19    fulfill his or her obligations under the service plan and
20    correct the conditions that brought the child into care
21    during any 9-month period following the adjudication under
22    Section 2-3 or 2-4 of the Juvenile Court Act of 1987.
23    Notwithstanding any other provision, when a petition or
24    motion seeks to terminate parental rights on the basis of
25    item (ii) of this subsection (m), the petitioner shall
26    file with the court and serve on the parties a pleading

 

 

SB2435- 2040 -LRB102 04062 AMC 14078 b

1    that specifies the 9-month period or periods relied on.
2    The pleading shall be filed and served on the parties no
3    later than 3 weeks before the date set by the court for
4    closure of discovery, and the allegations in the pleading
5    shall be treated as incorporated into the petition or
6    motion. Failure of a respondent to file a written denial
7    of the allegations in the pleading shall not be treated as
8    an admission that the allegations are true.
9        (m-1) (Blank).
10        (n) Evidence of intent to forgo his or her parental
11    rights, whether or not the child is a ward of the court,
12    (1) as manifested by his or her failure for a period of 12
13    months: (i) to visit the child, (ii) to communicate with
14    the child or agency, although able to do so and not
15    prevented from doing so by an agency or by court order, or
16    (iii) to maintain contact with or plan for the future of
17    the child, although physically able to do so, or (2) as
18    manifested by the father's failure, where he and the
19    mother of the child were unmarried to each other at the
20    time of the child's birth, (i) to commence legal
21    proceedings to establish his paternity under the Illinois
22    Parentage Act of 1984, the Illinois Parentage Act of 2015,
23    or the law of the jurisdiction of the child's birth within
24    30 days of being informed, pursuant to Section 12a of this
25    Act, that he is the father or the likely father of the
26    child or, after being so informed where the child is not

 

 

SB2435- 2041 -LRB102 04062 AMC 14078 b

1    yet born, within 30 days of the child's birth, or (ii) to
2    make a good faith effort to pay a reasonable amount of the
3    expenses related to the birth of the child and to provide a
4    reasonable amount for the financial support of the child,
5    the court to consider in its determination all relevant
6    circumstances, including the financial condition of both
7    parents; provided that the ground for termination provided
8    in this subparagraph (n)(2)(ii) shall only be available
9    where the petition is brought by the mother or the husband
10    of the mother.
11        Contact or communication by a parent with his or her
12    child that does not demonstrate affection and concern does
13    not constitute reasonable contact and planning under
14    subdivision (n). In the absence of evidence to the
15    contrary, the ability to visit, communicate, maintain
16    contact, pay expenses and plan for the future shall be
17    presumed. The subjective intent of the parent, whether
18    expressed or otherwise, unsupported by evidence of the
19    foregoing parental acts manifesting that intent, shall not
20    preclude a determination that the parent has intended to
21    forgo his or her parental rights. In making this
22    determination, the court may consider but shall not
23    require a showing of diligent efforts by an authorized
24    agency to encourage the parent to perform the acts
25    specified in subdivision (n).
26        It shall be an affirmative defense to any allegation

 

 

SB2435- 2042 -LRB102 04062 AMC 14078 b

1    under paragraph (2) of this subsection that the father's
2    failure was due to circumstances beyond his control or to
3    impediments created by the mother or any other person
4    having legal custody. Proof of that fact need only be by a
5    preponderance of the evidence.
6        (o) Repeated or continuous failure by the parents,
7    although physically and financially able, to provide the
8    child with adequate food, clothing, or shelter.
9        (p) Inability to discharge parental responsibilities
10    supported by competent evidence from a psychiatrist,
11    licensed clinical social worker, or clinical psychologist
12    of mental impairment, mental illness or an intellectual
13    disability as defined in Section 1-116 of the Mental
14    Health and Developmental Disabilities Code, or
15    developmental disability as defined in Section 1-106 of
16    that Code, and there is sufficient justification to
17    believe that the inability to discharge parental
18    responsibilities shall extend beyond a reasonable time
19    period. However, this subdivision (p) shall not be
20    construed so as to permit a licensed clinical social
21    worker to conduct any medical diagnosis to determine
22    mental illness or mental impairment.
23        (q) (Blank).
24        (r) The child is in the temporary custody or
25    guardianship of the Department of Children and Family
26    Services, the parent is incarcerated as a result of

 

 

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1    criminal conviction at the time the petition or motion for
2    termination of parental rights is filed, prior to
3    incarceration the parent had little or no contact with the
4    child or provided little or no support for the child, and
5    the parent's incarceration will prevent the parent from
6    discharging his or her parental responsibilities for the
7    child for a period in excess of 2 years after the filing of
8    the petition or motion for termination of parental rights.
9        (s) The child is in the temporary custody or
10    guardianship of the Department of Children and Family
11    Services, the parent is incarcerated at the time the
12    petition or motion for termination of parental rights is
13    filed, the parent has been repeatedly incarcerated as a
14    result of criminal convictions, and the parent's repeated
15    incarceration has prevented the parent from discharging
16    his or her parental responsibilities for the child.
17        (t) A finding that at birth the child's blood, urine,
18    or meconium contained any amount of a controlled substance
19    as defined in subsection (f) of Section 102 of the
20    Illinois Controlled Substances Act, or a metabolite of a
21    controlled substance, with the exception of controlled
22    substances or metabolites of such substances, the presence
23    of which in the newborn infant was the result of medical
24    treatment administered to the mother or the newborn
25    infant, and that the biological mother of this child is
26    the biological mother of at least one other child who was

 

 

SB2435- 2044 -LRB102 04062 AMC 14078 b

1    adjudicated a neglected minor under subsection (c) of
2    Section 2-3 of the Juvenile Court Act of 1987, after which
3    the biological mother had the opportunity to enroll in and
4    participate in a clinically appropriate substance abuse
5    counseling, treatment, and rehabilitation program.
6    E. "Parent" means a person who is the legal mother or legal
7father of the child as defined in subsection X or Y of this
8Section. For the purpose of this Act, a parent who has executed
9a consent to adoption, a surrender, or a waiver pursuant to
10Section 10 of this Act, who has signed a Denial of Paternity
11pursuant to Section 12 of the Vital Records Act or Section 12a
12of this Act, or whose parental rights have been terminated by a
13court, is not a parent of the child who was the subject of the
14consent, surrender, waiver, or denial unless (1) the consent
15is void pursuant to subsection O of Section 10 of this Act; or
16(2) the person executed a consent to adoption by a specified
17person or persons pursuant to subsection A-1 of Section 10 of
18this Act and a court of competent jurisdiction finds that the
19consent is void; or (3) the order terminating the parental
20rights of the person is vacated by a court of competent
21jurisdiction.
22    F. A person is available for adoption when the person is:
23        (a) a child who has been surrendered for adoption to
24    an agency and to whose adoption the agency has thereafter
25    consented;
26        (b) a child to whose adoption a person authorized by

 

 

SB2435- 2045 -LRB102 04062 AMC 14078 b

1    law, other than his parents, has consented, or to whose
2    adoption no consent is required pursuant to Section 8 of
3    this Act;
4        (c) a child who is in the custody of persons who intend
5    to adopt him through placement made by his parents;
6        (c-1) a child for whom a parent has signed a specific
7    consent pursuant to subsection O of Section 10;
8        (d) an adult who meets the conditions set forth in
9    Section 3 of this Act; or
10        (e) a child who has been relinquished as defined in
11    Section 10 of the Abandoned Newborn Infant Protection Act.
12    A person who would otherwise be available for adoption
13shall not be deemed unavailable for adoption solely by reason
14of his or her death.
15    G. The singular includes the plural and the plural
16includes the singular and the "male" includes the "female", as
17the context of this Act may require.
18    H. (Blank).
19    I. "Habitual residence" has the meaning ascribed to it in
20the federal Intercountry Adoption Act of 2000 and regulations
21promulgated thereunder.
22    J. "Immediate relatives" means the biological parents, the
23parents of the biological parents and siblings of the
24biological parents.
25    K. "Intercountry adoption" is a process by which a child
26from a country other than the United States is adopted by

 

 

SB2435- 2046 -LRB102 04062 AMC 14078 b

1persons who are habitual residents of the United States, or
2the child is a habitual resident of the United States who is
3adopted by persons who are habitual residents of a country
4other than the United States.
5    L. (Blank).
6    M. "Interstate Compact on the Placement of Children" is a
7law enacted by all states and certain territories for the
8purpose of establishing uniform procedures for handling the
9interstate placement of children in foster homes, adoptive
10homes, or other child care facilities.
11    N. (Blank).
12    O. "Preadoption requirements" means any conditions or
13standards established by the laws or administrative rules of
14this State that must be met by a prospective adoptive parent
15prior to the placement of a child in an adoptive home.
16    P. "Abused child" means a child whose parent or immediate
17family member, or any person responsible for the child's
18welfare, or any individual residing in the same home as the
19child, or a paramour of the child's parent:
20        (a) inflicts, causes to be inflicted, or allows to be
21    inflicted upon the child physical injury, by other than
22    accidental means, that causes death, disfigurement,
23    impairment of physical or emotional health, or loss or
24    impairment of any bodily function;
25        (b) creates a substantial risk of physical injury to
26    the child by other than accidental means which would be

 

 

SB2435- 2047 -LRB102 04062 AMC 14078 b

1    likely to cause death, disfigurement, impairment of
2    physical or emotional health, or loss or impairment of any
3    bodily function;
4        (c) commits or allows to be committed any sex offense
5    against the child, as sex offenses are defined in the
6    Criminal Code of 2012 and extending those definitions of
7    sex offenses to include children under 18 years of age;
8        (d) commits or allows to be committed an act or acts of
9    torture upon the child; or
10        (e) inflicts excessive corporal punishment.
11    Q. "Neglected child" means any child whose parent or other
12person responsible for the child's welfare withholds or denies
13nourishment or medically indicated treatment including food or
14care denied solely on the basis of the present or anticipated
15mental or physical impairment as determined by a physician
16acting alone or in consultation with other physicians or
17otherwise does not provide the proper or necessary support,
18education as required by law, or medical or other remedial
19care recognized under State law as necessary for a child's
20well-being, or other care necessary for his or her well-being,
21including adequate food, clothing and shelter; or who is
22abandoned by his or her parents or other person responsible
23for the child's welfare.
24    A child shall not be considered neglected or abused for
25the sole reason that the child's parent or other person
26responsible for his or her welfare depends upon spiritual

 

 

SB2435- 2048 -LRB102 04062 AMC 14078 b

1means through prayer alone for the treatment or cure of
2disease or remedial care as provided under Section 4 of the
3Abused and Neglected Child Reporting Act. A child shall not be
4considered neglected or abused for the sole reason that the
5child's parent or other person responsible for the child's
6welfare failed to vaccinate, delayed vaccination, or refused
7vaccination for the child due to a waiver on religious or
8medical grounds as permitted by law.
9    R. "Putative father" means a man who may be a child's
10father, but who (1) is not married to the child's mother on or
11before the date that the child was or is to be born and (2) has
12not established paternity of the child in a court proceeding
13before the filing of a petition for the adoption of the child.
14The term includes a male who is less than 18 years of age.
15"Putative father" does not mean a man who is the child's father
16as a result of criminal sexual abuse or assault as defined
17under Article 11 of the Criminal Code of 2012.
18    S. "Standby adoption" means an adoption in which a parent
19consents to custody and termination of parental rights to
20become effective upon the occurrence of a future event, which
21is either the death of the parent or the request of the parent
22for the entry of a final judgment of adoption.
23    T. (Blank).
24    T-5. "Biological parent", "birth parent", or "natural
25parent" of a child are interchangeable terms that mean a
26person who is biologically or genetically related to that

 

 

SB2435- 2049 -LRB102 04062 AMC 14078 b

1child as a parent.
2    U. "Interstate adoption" means the placement of a minor
3child with a prospective adoptive parent for the purpose of
4pursuing an adoption for that child that is subject to the
5provisions of the Interstate Compact on the Placement of
6Children.
7    V. (Blank).
8    W. (Blank).
9    X. "Legal father" of a child means a man who is recognized
10as or presumed to be that child's father:
11        (1) because of his marriage to or civil union with the
12    child's parent at the time of the child's birth or within
13    300 days prior to that child's birth, unless he signed a
14    denial of paternity pursuant to Section 12 of the Vital
15    Records Act or a waiver pursuant to Section 10 of this Act;
16    or
17        (2) because his paternity of the child has been
18    established pursuant to the Illinois Parentage Act, the
19    Illinois Parentage Act of 1984, or the Gestational
20    Surrogacy Act; or
21        (3) because he is listed as the child's father or
22    parent on the child's birth certificate, unless he is
23    otherwise determined by an administrative or judicial
24    proceeding not to be the parent of the child or unless he
25    rescinds his acknowledgment of paternity pursuant to the
26    Illinois Parentage Act of 1984; or

 

 

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1        (4) because his paternity or adoption of the child has
2    been established by a court of competent jurisdiction.
3    The definition in this subsection X shall not be construed
4to provide greater or lesser rights as to the number of parents
5who can be named on a final judgment order of adoption or
6Illinois birth certificate that otherwise exist under Illinois
7law.
8    Y. "Legal mother" of a child means a woman who is
9recognized as or presumed to be that child's mother:
10        (1) because she gave birth to the child except as
11    provided in the Gestational Surrogacy Act; or
12        (2) because her maternity of the child has been
13    established pursuant to the Illinois Parentage Act of 1984
14    or the Gestational Surrogacy Act; or
15        (3) because her maternity or adoption of the child has
16    been established by a court of competent jurisdiction; or
17        (4) because of her marriage to or civil union with the
18    child's other parent at the time of the child's birth or
19    within 300 days prior to the time of birth; or
20        (5) because she is listed as the child's mother or
21    parent on the child's birth certificate unless she is
22    otherwise determined by an administrative or judicial
23    proceeding not to be the parent of the child.
24    The definition in this subsection Y shall not be construed
25to provide greater or lesser rights as to the number of parents
26who can be named on a final judgment order of adoption or

 

 

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1Illinois birth certificate that otherwise exist under Illinois
2law.
3    Z. "Department" means the Illinois Department of Children
4and Family Services.
5    AA. "Placement disruption" means a circumstance where the
6child is removed from an adoptive placement before the
7adoption is finalized.
8    BB. "Secondary placement" means a placement, including but
9not limited to the placement of a youth in care as defined in
10Section 4d of the Children and Family Services Act, that
11occurs after a placement disruption or an adoption
12dissolution. "Secondary placement" does not mean secondary
13placements arising due to the death of the adoptive parent of
14the child.
15    CC. "Adoption dissolution" means a circumstance where the
16child is removed from an adoptive placement after the adoption
17is finalized.
18    DD. "Unregulated placement" means the secondary placement
19of a child that occurs without the oversight of the courts, the
20Department, or a licensed child welfare agency.
21    EE. "Post-placement and post-adoption support services"
22means support services for placed or adopted children and
23families that include, but are not limited to, mental health
24treatment, including counseling and other support services for
25emotional, behavioral, or developmental needs, and treatment
26for substance abuse.

 

 

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1(Source: P.A. 100-159, eff. 8-18-17; 101-155, eff. 1-1-20;
2101-529, eff. 1-1-20; revised 9-17-19.)
 
3    Section 795. The Probate Act of 1975 is amended by
4changing Section 11-1 as follows:
 
5    (755 ILCS 5/11-1)  (from Ch. 110 1/2, par. 11-1)
6    Sec. 11-1. Definitions. As used in this Article:
7    "Administrative separation" means a parent's, legal
8guardian's, legal custodian's, or primary caretaker's: (1)
9arrest, detention, incarceration, removal, or deportation in
10connection with federal immigration enforcement; or (2)
11receipt of official communication by federal, State, or local
12authorities regarding immigration enforcement that gives
13reasonable notice that care and supervision of the child by
14the parent, legal guardian, legal custodian, or primary
15caretaker will be interrupted or cannot be provided.
16    "Minor" means is a person who has not attained the age of
1718 years. A person who has attained the age of 18 years is of
18legal age for all purposes except as otherwise provided in the
19Illinois Uniform Transfers to Minors Act.
20(Source: P.A. 101-120, eff. 7-23-19; revised 9-12-19.)
 
21    Section 800. The Illinois Residential Real Property
22Transfer on Death Instrument Act is amended by changing
23Section 5 as follows:
 

 

 

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1    (755 ILCS 27/5)
2    Sec. 5. Definitions. In this Act:
3    "Beneficiary" means a person that receives residential
4real estate under a transfer on death instrument.
5    "Designated beneficiary" means a person designated to
6receive residential real estate in a transfer on death
7instrument.
8    "Joint owner" means an individual who owns residential
9real estate concurrently with one or more other individuals
10with a right of survivorship. The term includes a joint tenant
11or a tenant by the entirety. The term does not include a tenant
12in common.
13    "Owner" means an individual who makes a transfer on death
14instrument.
15    "Person" means an individual, corporation, business trust,
16land trust, estate, inter vivos inter-vivos revocable or
17irrevocable trust, testamentary trust, partnership, limited
18liability company, association, joint venture, public
19corporation, government or governmental subdivision, agency,
20or instrumentality, or any other legal or commercial entity.
21    "Residential real estate" means real property improved
22with not less than one nor more than 4 residential dwelling
23units; a residential condominium unit, including, but not
24limited to, the common elements allocated to the exclusive use
25thereof that form an integral part of the condominium unit and

 

 

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1any parking unit or units specified by the declaration to be
2allocated to a specific residential condominium unit; or a
3single tract of agriculture real estate consisting of 40 acres
4or less which is improved with a single family residence. If a
5declaration of condominium ownership provides for individually
6owned and transferable parking units, "residential real
7estate" does not include the parking unit of a specific
8residential condominium unit unless the parking unit is
9included in the legal description of the property being
10transferred by a transfer on death instrument.
11    "Transfer on death instrument" means an instrument
12authorized under this Act.
13(Source: P.A. 97-555, eff. 1-1-12; 98-821, eff. 1-1-15;
14revised 7-16-19.)
 
15    Section 805. The Illinois Trust Code is amended by
16changing Sections 816, 913, 1005, and 1219 as follows:
 
17    (760 ILCS 3/816)
18    Sec. 816. Specific powers of trustee. Without limiting the
19authority conferred by Section 815, a trustee may:
20        (1) collect trust property and accept or reject
21    additions to the trust property from a settlor or any
22    other person;
23        (2) acquire or sell property, for cash or on credit,
24    at public or private sale;

 

 

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1        (3) exchange, partition, or otherwise change the
2    character of trust property;
3        (4) deposit trust money in an account in a regulated
4    financial-service institution;
5        (5) borrow money, with or without security, and
6    mortgage or pledge or otherwise encumber trust property
7    for a period within or extending beyond the duration of
8    the trust;
9        (6) with respect to an interest in a proprietorship,
10    partnership, limited liability company, business trust,
11    corporation, or other form of business or enterprise,
12    continue the business or other enterprise and take any
13    action that may be taken by shareholders, members, or
14    property owners, including merging, dissolving, pledging
15    other trust assets or guaranteeing a debt obligation of
16    the business or enterprise, or otherwise changing the form
17    of business organization or contributing additional
18    capital;
19        (7) with respect to stocks or other securities,
20    exercise the rights of an absolute owner, including the
21    right to:
22            (A) vote, or give proxies to vote, with or without
23        power of substitution, or enter into or continue a
24        voting trust agreement;
25            (B) hold a security in the name of a nominee or in
26        other form without disclosure of the trust so that

 

 

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1        title may pass by delivery;
2            (C) pay calls, assessments, and other sums
3        chargeable or accruing against the securities, and
4        sell or exercise stock subscription or conversion
5        rights;
6            (D) deposit the securities with a depository or
7        other regulated financial-service institution; and
8            (E) participate in mergers, consolidations,
9        foreclosures, reorganizations, and liquidations;
10        (8) with respect to an interest in real property,
11    construct, or make ordinary or extraordinary repairs to,
12    alterations to, or improvements in, buildings or other
13    structures, demolish improvements, raze existing or erect
14    new party walls or buildings, subdivide or develop land,
15    dedicate any interest in real estate, dedicate land to
16    public use or grant public or private easements, enter
17    into contracts relating to real estate, and make or vacate
18    plats and adjust boundaries;
19        (9) enter into a lease for any purpose as lessor or
20    lessee, including a lease or other arrangement for
21    exploration and removal of natural resources, with or
22    without the option to purchase or renew, for a period
23    within or extending beyond the duration of the trust;
24        (10) grant an option involving a sale, lease, or other
25    disposition of trust property or acquire an option for the
26    acquisition of property, including an option exercisable

 

 

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1    beyond the duration of the trust, and exercise an option
2    so acquired;
3        (11) insure the property of the trust against damage
4    or loss and insure the trustee, the trustee's agents, and
5    beneficiaries against liability arising from the
6    administration of the trust;
7        (12) abandon or decline to administer property of no
8    value or of insufficient value to justify its collection
9    or continued administration;
10        (13) with respect to possible liability for violation
11    of environmental law:
12            (A) inspect or investigate property the trustee
13        holds or has been asked to hold, or property owned or
14        operated by an organization in which the trustee holds
15        or has been asked to hold an interest, for the purpose
16        of determining the application of environmental law
17        with respect to the property;
18            (B) take action to prevent, abate, or otherwise
19        remedy any actual or potential violation of any
20        environmental law affecting property held directly or
21        indirectly by the trustee, whether taken before or
22        after the assertion of a claim or the initiation of
23        governmental enforcement;
24            (C) decline to accept property into trust or
25        disclaim any power with respect to property that is or
26        may be burdened with liability for violation of

 

 

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1        environmental law;
2            (D) compromise claims against the trust that may
3        be asserted for an alleged violation of environmental
4        law; and
5            (E) pay the expense of any inspection, review,
6        abatement, or remedial action to comply with
7        environmental law;
8        (14) pay, contest, prosecute, or abandon any claim,
9    settle a claim or charges in favor of or against the trust,
10    and release, in whole or in part, a claim belonging to the
11    trust;
12        (15) pay taxes, assessments, compensation of the
13    trustee and of employees and agents of the trust, and
14    other expenses incurred in the administration of the
15    trust;
16        (16) exercise elections with respect to federal,
17    state, and local taxes;
18        (17) select a mode of payment under any employee
19    benefit or retirement plan, annuity, or life insurance
20    payable to the trustee, exercise rights related to the
21    employee benefit or retirement plan, annuity, or life
22    insurance payable to the trustee, including exercise the
23    right to indemnification for expenses and against
24    liabilities, and take appropriate action to collect the
25    proceeds;
26        (18) make loans out of trust property, including loans

 

 

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1    to a beneficiary on terms and conditions the trustee
2    considers to be fair and reasonable under the
3    circumstances, and the trustee has a lien on future
4    distributions for repayment of those loans;
5        (19) pledge trust property to guarantee loans made by
6    others to the beneficiary;
7        (20) appoint a trustee to act in another jurisdiction
8    to act as sole or co-trustee with respect to any part or
9    all of trust property located in the other jurisdiction,
10    confer upon the appointed trustee any or all of the
11    rights, powers, and duties of the appointing trustee,
12    require that the appointed trustee furnish security, and
13    remove any trustee so appointed;
14        (21) distribute income and principal in one or more of
15    the following ways, without being required to see to the
16    application of any distribution, as the trustee believes
17    to be for the best interests of any beneficiary who at the
18    time of distribution is incapacitated or in the opinion of
19    the trustee is unable to manage property or business
20    affairs because of incapacity:
21            (A) directly to the beneficiary;
22            (B) to the guardian of the estate, or if none, the
23        guardian of the person of the beneficiary;
24            (C) to a custodian for the beneficiary under any
25        state's Uniform Transfers to Minors Act, Uniform Gifts
26        to Minors Act or Uniform Custodial Trust Act, and, for

 

 

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1        that purpose, to create a custodianship or custodial
2        trust;
3            (D) to an adult relative of the beneficiary to be
4        expended on the beneficiary's behalf;
5            (E) by expending the money or using the property
6        directly for the benefit of the beneficiary;
7            (F) to a trust, created before the distribution
8        becomes payable, for the sole benefit of the
9        beneficiary and those dependent upon the beneficiary
10        during his or her lifetime, to be administered as a
11        part of the trust, except that any amount distributed
12        to the trust under this subparagraph (F) shall be
13        separately accounted for by the trustee of the trust
14        and shall be indefeasibly vested in the beneficiary so
15        that if the beneficiary dies before complete
16        distribution of the amounts, the amounts and the
17        accretions, earnings, and income, if any, shall be
18        paid to the beneficiary's estate, except that this
19        subparagraph (F) does not apply to the extent that it
20        would cause a trust otherwise qualifying for the
21        federal estate tax marital deduction not to qualify;
22        and
23            (G) by managing it as a separate fund on the
24        beneficiary's behalf, subject to the beneficiary's
25        continuing right to withdraw the distribution;
26        (22) on distribution of trust property or the division

 

 

SB2435- 2061 -LRB102 04062 AMC 14078 b

1    or termination of a trust, make distributions in divided
2    or undivided interests, allocate particular assets in
3    proportionate or disproportionate shares, value the trust
4    property for those purposes, and adjust for resulting
5    differences in valuation;
6        (23) resolve a dispute concerning the interpretation
7    of the trust or its administration by judicial proceeding,
8    nonjudicial settlement agreement under Section 111,
9    mediation, arbitration, or other procedure for alternative
10    dispute resolution;
11        (24) prosecute or defend an action, claim, or judicial
12    proceeding in any jurisdiction to protect trust property
13    and the trustee in the performance of the trustee's
14    duties;
15        (25) execute contracts, notes, conveyances, and other
16    instruments that are useful to achieve or facilitate the
17    exercise of the trustee's powers, regardless of whether
18    the instruments contain covenants and warranties binding
19    upon and creating a charge against the trust estate or
20    excluding personal liability;
21        (26) on termination of the trust, exercise the powers
22    appropriate to wind up the administration of the trust and
23    distribute the trust property to the persons entitled to
24    it;
25        (27) enter into agreements for bank or other deposit
26    accounts, safe deposit boxes, or custodian, agency, or

 

 

SB2435- 2062 -LRB102 04062 AMC 14078 b

1    depository arrangements for all or any part of the trust
2    estate, including, to the extent fair to the
3    beneficiaries, agreements for services provided by a bank
4    operated by or affiliated with the trustee, and to pay
5    reasonable compensation for those services, including, to
6    the extent fair to the beneficiaries, compensation to the
7    bank operated by or affiliated with the trustee, except
8    that nothing in this Section shall be construed as
9    removing any depository arrangements from the requirements
10    of the prudent investor rule;
11        (28) engage attorneys, auditors, financial advisors,
12    and other agents and pay reasonable compensation to such
13    persons;
14        (29) invest in or hold undivided interests in
15    property;
16        (30) if fair to the beneficiaries, deal with the
17    executor, trustee, or other representative of any other
18    trust or estate in which a beneficiary of the trust has an
19    interest, even if the trustee is an executor, trustee, or
20    other representative of the other trust or estate;
21        (31) make equitable division or distribution in cash
22    or in kind, or both, and for that purpose may value any
23    property divided or distributed in kind;
24        (32) rely upon an affidavit, certificate, letter, or
25    other evidence reasonably believed to be genuine and on
26    the basis of any such evidence to make any payment or

 

 

SB2435- 2063 -LRB102 04062 AMC 14078 b

1    distribution in good faith without liability;
2        (33) except as otherwise directed by the court, have
3    all of the rights, powers, and duties given to or imposed
4    upon the trustee by law and the terms of the trust during
5    the period between the termination of the trust and the
6    distribution of the trust assets and during any period in
7    which any litigation is pending that may void or
8    invalidate the trust in whole or in part or affect the
9    rights, powers, duties, or discretions of the trustee;
10        (34) plant and harvest crops; breed, raise, purchase,
11    and sell livestock; lease land, equipment, or livestock
12    for cash or on shares, purchase and sell, exchange or
13    otherwise acquire or dispose of farm equipment and farm
14    produce of all kinds; make improvements, construct,
15    repair, or demolish and remove any buildings, structures,
16    or fences, engage agents, managers, and employees and
17    delegate powers to them; engage in drainage and
18    conservation programs; terrace, clear, ditch, and drain
19    lands and install irrigation systems; replace improvements
20    and equipment; fertilize and improve the soil; engage in
21    the growing, improvement, and sale of trees and other
22    forest crops; participate or decline to participate in
23    governmental agricultural or land programs; and perform
24    such acts as the trustee deems appropriate using such
25    methods as are commonly employed by other farm owners in
26    the community in which the farm property is located;

 

 

SB2435- 2064 -LRB102 04062 AMC 14078 b

1        (35) drill, mine, and otherwise operate for the
2    development of oil, gas, and other minerals; enter into
3    contracts relating to the installation and operation of
4    absorption and repressuring plants; enter into unitization
5    or pooling agreements for any purpose including primary,
6    secondary, or tertiary recovery; place and maintain
7    pipelines pipe lines; execute oil, gas, and mineral
8    leases, division and transfer orders, grants, deeds,
9    releases and assignments, and other instruments;
10    participate in a cooperative coal marketing association or
11    similar entity; and perform such other acts as the trustee
12    deems appropriate using such methods as are commonly
13    employed by owners of similar interests in the community
14    in which the interests are located;
15        (36) continue an unincorporated business and
16    participate in its management by having the trustee or one
17    or more agents of the trustee act as a manager with
18    appropriate compensation from the business and incorporate
19    the business;
20        (37) continue a business in the partnership form and
21    participate in its management by having the trustee or one
22    or more agents of the trustee act as a partner, limited
23    partner, or employee with appropriate compensation from
24    the business; enter into new partnership agreements and
25    incorporate the business; and, with respect to activities
26    under this paragraph (37), the trustee or the agent or

 

 

SB2435- 2065 -LRB102 04062 AMC 14078 b

1    agents of the trustee shall not be personally liable to
2    third persons with respect to actions not sounding in tort
3    unless the trustee or agent fails to identify the trust
4    estate and disclose that the trustee or agent is acting in
5    a representative capacity, except that nothing in this
6    paragraph impairs in any way the liability of the trust
7    estate with respect to activities under this paragraph
8    (37) to the extent of the assets of the trust estate; .
9        (38) Release, by means of any written renunciation,
10    relinquishment, surrender, refusal to accept,
11    extinguishment, and any other form of release, any power
12    granted to the trustee by applicable law or the terms of a
13    trust and held by such trustee in its fiduciary capacity,
14    including any power to invade property, any power to
15    alter, amend, or revoke any instrument, whether or not
16    such release causes a termination of any right or interest
17    thereunder, and any power remaining where one or more
18    partial releases have heretofore or hereafter been made
19    with respect to such power, whether heretofore or
20    hereafter created or reserved as to: (i) any property that
21    is subject thereto; (ii) any one or more of the objects
22    thereof; or (iii) limit in any other respect the extent to
23    which it may be exercised. The release may be permanent or
24    applicable only for a specific time and may apply only to
25    the trustee executing the release or the trustee and all
26    future trustees, successor trustees, and co-trustees of

 

 

SB2435- 2066 -LRB102 04062 AMC 14078 b

1    the trust acting at any time or from time to time.
2(Source: P.A. 101-48, eff. 1-1-20; revised 8-6-19.)
 
3    (760 ILCS 3/913)
4    Sec. 913. Life insurance.
5    (a) Notwithstanding any other provision, the duties of a
6trustee with respect to acquiring or retaining as a trust
7asset a contract of insurance upon the life of the settlor,
8upon the lives of the settlor and the settlor's spouse, or upon
9the life of any person for which the trustee has an insurable
10interest in accordance with Section 113, do not include any of
11the following duties:
12        (1) to determine whether any contract of life
13    insurance in the trust, or to be acquired by the trust, is
14    or remains a proper investment, including, without
15    limitation, with respect to:
16            (A) the type of insurance contract;
17            (B) the quality of the insurance contract;
18            (C) the quality of the insurance company; or
19            (D) the investments held within the insurance
20        contract; .
21        (2) to diversify the investment among different
22    policies or insurers, among available asset classes, or
23    within an insurance contract;
24        (3) to inquire about or investigate into the health or
25    financial condition of an insured;

 

 

SB2435- 2067 -LRB102 04062 AMC 14078 b

1        (4) to prevent the lapse of a life insurance contract
2    if the trust does not receive contributions or hold other
3    readily marketable assets to pay the life insurance
4    contract premiums; or
5        (5) to exercise any policy options, rights, or
6    privileges available under any contract of life insurance
7    in the trust, including any right to borrow the cash value
8    or reserve of the policy, acquire a paid-up policy, or
9    convert to a different policy.
10    (b) The trustee is not liable to the beneficiaries of the
11trust, the beneficiaries of the contract of insurance, or to
12any other party for loss arising from the absence of these
13duties regarding insurance contracts under this Section.
14    (c) This Section applies to an irrevocable trust created
15after the effective date of this Code or to a revocable trust
16that becomes irrevocable after the effective date of this
17Code. The trustee of a trust described under this Section
18established before the effective date of this Code shall
19notify the settlor in writing that, unless the settlor
20provides written notice to the contrary to the trustee within
2190 days of the trustee's notice, this Section applies to the
22trust. This Section does not apply if, within 90 days of the
23trustee's notice, the settlor notifies the trustee in writing
24that this Section does not apply. If the settlor is deceased,
25then the trustee shall give notice to all of the legally
26competent current beneficiaries, and this Section applies to

 

 

SB2435- 2068 -LRB102 04062 AMC 14078 b

1the trust unless the majority of the beneficiaries notify the
2trustee to the contrary in writing within 90 days of the
3trustee's notice.
4(Source: P.A. 101-48, eff. 1-1-20; revised 8-6-19.)
 
5    (760 ILCS 3/1005)
6    Sec. 1005. Limitation on action against trustee.
7    (a) A beneficiary may not commence a proceeding against a
8trustee for breach of trust for any matter disclosed in
9writing by a trust accounting, or otherwise as provided in
10Sections 813.1, 813.2, and Section 1102, after the date on
11which the disclosure becomes binding upon the beneficiary as
12provided below:
13        (1) With respect to a trust that becomes irrevocable
14    after the effective date of this Code and to trustees
15    accepting appointment after the effective date of this
16    Code, a matter disclosed in writing by a trust accounting
17    or otherwise pursuant to Section 813.1 and Section 1102 is
18    binding on each person who receives the information and
19    each person represented as provided in Article 3 by a
20    person who receives the information, and all of the
21    person's respective successors, representatives, heirs,
22    and assigns, unless an action against the trustee is
23    instituted within 2 years after the date the information
24    is furnished. A trust accounting or other communication
25    adequately discloses the existence of a potential claim

 

 

SB2435- 2069 -LRB102 04062 AMC 14078 b

1    for breach of trust if it provides sufficient information
2    so that the person entitled to receive the information
3    knows of the potential claim or should have inquired into
4    its existence.
5        (2) With respect to a trust that became irrevocable
6    before the effective date of this Code or a trustee that
7    accepted appointment before the effective date of this
8    Code, a current account is binding on each beneficiary
9    receiving the account and on the beneficiary's heirs and
10    assigns unless an action against the trustee is instituted
11    by the beneficiary or the beneficiary's heirs and assigns
12    within 3 years after the date the current account is
13    furnished, and a final accounting is binding on each
14    beneficiary receiving the final accounting and all persons
15    claiming by or through the beneficiary, unless an action
16    against the trustee is instituted by the beneficiary or
17    person claiming by or through him or her within 3 years
18    after the date the final account is furnished. If the
19    account is provided to the representative of the estate of
20    the beneficiary or to a spouse, parent, adult child, or
21    guardian of the person of the beneficiary, the account is
22    binding on the beneficiary unless an action is instituted
23    against the trustee by the representative of the estate of
24    the beneficiary or by the spouse, parent, adult child, or
25    guardian of the person to whom the account is furnished
26    within 3 years after the date it is furnished.

 

 

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1        (3) Notwithstanding paragraphs (1) and (2), with
2    respect to trust estates that terminated and were
3    distributed 10 years or less before January 1, 1988, the
4    final account furnished to the beneficiaries entitled to
5    distribution of the trust estate is binding on the
6    beneficiaries receiving the final account, and all persons
7    claiming by or through them, unless an action against the
8    trustee is instituted by the beneficiary or person
9    claiming by or through him or her within 5 years after
10    January 1, 1988 or within 10 years after the date the final
11    account was furnished, whichever is longer.
12        (4) Notwithstanding paragraphs (1), (2) and (3), with
13    respect to trust estates that terminated and were
14    distributed more than 10 years before January 1, 1988, the
15    final account furnished to the beneficiaries entitled to
16    distribution of the trust estate is binding on the
17    beneficiaries receiving the final account, and all persons
18    claiming by or through them, unless an action against the
19    trustee is instituted by the beneficiary or person
20    claiming by or through him or her within 2 years after
21    January 1, 1988.
22    (b) Unless barred earlier under subsection (a), a judicial
23proceeding by a beneficiary against a trustee for breach of
24trust must be commenced within 5 years after the first to occur
25of:
26        (1) the removal, resignation, or death of the trustee;

 

 

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1        (2) the termination of the beneficiary's interest in
2    the trust; or
3        (3) the termination of the trust.
4    (c) Notwithstanding any other provision of this Section, a
5beneficiary may bring any action against the trustee for
6fraudulent concealment within the time limit set forth in
7Section 13-215 of the Code of Civil Procedure.
8(Source: P.A. 101-48, eff. 1-1-20; revised 8-6-19.)
 
9    (760 ILCS 3/1219)
10    Sec. 1219. Tax-related limitations.
11    (a) In this Section:
12        (1) "Grantor trust" means a trust as to which a
13    settlor of a first trust is considered the owner under
14    Sections 671 through 677 of the Internal Revenue Code or
15    Section 679 of the Internal Revenue Code.
16        (2) "Nongrantor trust" means a trust that is not a
17    grantor trust.
18        (3) "Qualified benefits property" means property
19    subject to the minimum distribution requirements of
20    Section 401(a)(9) of the Internal Revenue Code, and any
21    applicable regulations, or to any similar requirements
22    that refer to Section 401(a)(9) of the Internal Revenue
23    Code or the regulations.
24    (b) An exercise of the decanting power is subject to the
25following limitations:

 

 

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1        (1) If a first trust contains property that qualified,
2    or would have qualified but for provisions of this Article
3    other than this Section, for a marital deduction for
4    purposes of the gift or estate tax under the Internal
5    Revenue Code or a state gift, estate, or inheritance tax,
6    the second-trust instrument must not include or omit any
7    term that, if included in or omitted from the trust
8    instrument for the trust to which the property was
9    transferred, would have prevented the transfer from
10    qualifying for the deduction, or would have reduced the
11    amount of the deduction, under the same provisions of the
12    Internal Revenue Code or state law under which the
13    transfer qualified.
14        (2) If the first trust contains property that
15    qualified, or would have qualified but for provisions of
16    this Article other than this Section, for a charitable
17    deduction for purposes of the income, gift, or estate tax
18    under the Internal Revenue Code or a state income, gift,
19    estate, or inheritance tax, the second-trust instrument
20    must not include or omit any term that, if included in or
21    omitted from the trust instrument for the trust to which
22    the property was transferred, would have prevented the
23    transfer from qualifying for the deduction, or would have
24    reduced the amount of the deduction, under the same
25    provisions of the Internal Revenue Code or state law under
26    which the transfer qualified.

 

 

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1        (3) If the first trust contains property that
2    qualified, or would have qualified but for provisions of
3    this Article other than this Section, for the exclusion
4    from the gift tax described in Section 2503(b) of the
5    Internal Revenue Code, the second-trust instrument must
6    not include or omit a term that, if included in or omitted
7    from the trust instrument for the trust to which the
8    property was transferred, would have prevented the
9    transfer from qualifying under the same provision of
10    Section 2503 of the Internal Revenue Code. If the first
11    trust contains property that qualified, or would have
12    qualified but for provisions of this Article other than
13    this Section, for the exclusion from the gift tax
14    described in Section 2503(b) of the Internal Revenue Code,
15    by application of Section 2503(c) of the Internal Revenue
16    Code, the second-trust instrument must not include or omit
17    a term that, if included or omitted from the trust
18    instrument for the trust to which the property was
19    transferred, would have prevented the transfer from
20    qualifying under Section 2503(c) of the Internal Revenue
21    Code.
22        (4) If the property of the first trust includes shares
23    of stock in an S corporation, as defined in Section 1361 of
24    the Internal Revenue Code and the first trust is, or but
25    for provisions of this Article other than this Section
26    would be, a permitted shareholder under any provision of

 

 

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1    Section 1361 of the Internal Revenue Code, an authorized
2    fiduciary may exercise the power with respect to part or
3    all of the S corporation S-corporation stock only if any
4    second trust receiving the stock is a permitted
5    shareholder under Section 1361(c)(2) of the Internal
6    Revenue Code. If the property of the first trust includes
7    shares of stock in an S corporation and the first trust is,
8    or but for provisions of this Article other than this
9    Section, would be, a qualified subchapter S subchapter-S
10    trust within the meaning of Section 1361(d) of the
11    Internal Revenue Code, the second-trust instrument must
12    not include or omit a term that prevents the second trust
13    from qualifying as a qualified subchapter S subchapter-S
14    trust.
15        (5) If the first trust contains property that
16    qualified, or would have qualified but for provisions of
17    this Article other than this Section, for a zero inclusion
18    ratio for purposes of the generation-skipping transfer tax
19    under Section 2642(c) of the Internal Revenue Code the
20    second-trust instrument must not include or omit a term
21    that, if included in or omitted from the first-trust
22    instrument, would have prevented the transfer to the first
23    trust from qualifying for a zero inclusion ratio under
24    Section 2642(a) of the Internal Revenue Code.
25        (6) If the first trust is directly or indirectly the
26    beneficiary of qualified benefits property, the

 

 

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1    second-trust instrument may not include or omit any term
2    that, if included in or omitted from the first-trust
3    instrument, would have increased the minimum distributions
4    required with respect to the qualified benefits property
5    under Section 401(a)(9) of the Internal Revenue Code and
6    any applicable regulations, or any similar requirements
7    that refer to Section 401(a)(9) of the Internal Revenue
8    Code or the regulations. If an attempted exercise of the
9    decanting power violates the preceding sentence, the
10    trustee is deemed to have held the qualified benefits
11    property and any reinvested distributions of the property
12    as a separate share from the date of the exercise of the
13    power and Section 1222 applies to the separate share.
14        (7) If the first trust qualifies as a grantor trust
15    because of the application of Section 672(f)(2)(A) of the
16    Internal Revenue Code the second trust may not include or
17    omit a term that, if included in or omitted from the
18    first-trust instrument, would have prevented the first
19    trust from qualifying under Section 672(f)(2)(A) of the
20    Internal Revenue Code.
21        (8) In this paragraph (8), "tax benefit" means a
22    federal or state tax deduction, exemption, exclusion, or
23    other benefit not otherwise listed in this Section, except
24    for a benefit arising from being a grantor trust. Subject
25    to paragraph (9) of this subsection (b), a second-trust
26    instrument may not include or omit a term that, if

 

 

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1    included in or omitted from the first-trust instrument,
2    would have prevented qualification for a tax benefit if:
3            (A) the first-trust instrument expressly indicates
4        an intent to qualify for the benefit or the
5        first-trust instrument clearly is designed to enable
6        the first trust to qualify for the benefit; and
7            (B) the transfer of property held by the first
8        trust or the first trust qualified, or but for
9        provisions of this Article other than this Section,
10        would have qualified for the tax benefit.
11        (9) Subject to paragraph (4) of this subsection (b):
12            (A) except as otherwise provided in paragraph (7)
13        of this subsection (b), the second trust may be a
14        nongrantor trust, even if the first trust is a grantor
15        trust; and
16            (B) except as otherwise provided in paragraph (10)
17        of this subsection (b), the second trust may be a
18        grantor trust, even if the first trust is a nongrantor
19        trust.
20        (10) An authorized fiduciary may not exercise the
21    decanting power if a settlor objects in a signed record
22    delivered to the fiduciary within the notice period and:
23            (A) the first trust and second trusts are both
24        grantor trusts, in whole or in part, the first trust
25        grants the settlor or another person the power to
26        cause the second trust to cease to be a grantor trust,

 

 

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1        and the second trust does not grant an equivalent
2        power to the settlor or other person; or
3            (B) the first trust is a nongrantor trust and the
4        second trust is a grantor trust, in whole or in part,
5        with respect to the settlor, unless:
6                (i) the settlor has the power at all times to
7            cause the second trust to cease to be a grantor
8            trust; or
9                (ii) the first-trust instrument contains a
10            provision granting the settlor or another person a
11            power that would cause the first trust to cease to
12            be a grantor trust and the second-trust instrument
13            contains the same provision.
14(Source: P.A. 101-48, eff. 1-1-20; revised 8-6-19.)
 
15    Section 810. The Charitable Trust Act is amended by
16changing Section 1 as follows:
 
17    (760 ILCS 55/1)  (from Ch. 14, par. 51)
18    Sec. 1. This Act may be cited as the Charitable Trust Act.
19(Source: Laws 1961, p. 2094; revised 7-16-19.)
 
20    Section 815. The Mobile Home Landlord and Tenant Rights
21Act is amended by changing Section 16 as follows:
 
22    (765 ILCS 745/16)  (from Ch. 80, par. 216)

 

 

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1    Sec. 16. Improper grounds for eviction. The following
2conduct by a tenant shall not constitute grounds for eviction
3or termination of the lease, nor shall an eviction order be
4entered against a tenant:
5        (a) As a reprisal for the tenant's effort to secure or
6    enforce any rights under the lease or the laws of the State
7    of Illinois, or its governmental subdivisions of the
8    United States;
9        (b) As a reprisal for the tenant's good faith
10    complaint to a governmental authority of the park owner's
11    alleged violation of any health or safety law, regulation,
12    code or ordinance, or State law or regulation which has as
13    its objective the regulation of premises used for dwelling
14    purposes;
15        (c) As a reprisal for the tenant's being an organizer
16    or member of, or involved in any activities relative to a
17    homeowners' home owners association;
18        (d) As a reprisal for or on the basis of the tenant's
19    immigration or citizenship status.
20(Source: P.A. 100-173, eff. 1-1-18; 101-439, eff. 8-21-19;
21revised 9-4-20.)
 
22    Section 820. The Illinois Trade Secrets Act is amended by
23changing Section 6 as follows:
 
24    (765 ILCS 1065/6)  (from Ch. 140, par. 356)

 

 

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1    Sec. 6. In an action under this Act, a court shall preserve
2the secrecy of an alleged trade secret by reasonable means,
3which may include granting protective orders in connection
4with discovery proceedings, holding in camera in-camera
5hearings, sealing the records of the action, and ordering any
6person involved in the litigation not to disclose an alleged
7trade secret without prior court approval.
8(Source: P.A. 85-366; revised 7-16-19.)
 
9    Section 825. The Illinois Human Rights Act is amended by
10changing Sections 1-103, 2-101, 2-108, 6-102, 7A-102, and
117A-103 as follows:
 
12    (775 ILCS 5/1-103)  (from Ch. 68, par. 1-103)
13    Sec. 1-103. General definitions. When used in this Act,
14unless the context requires otherwise, the term:
15    (A) Age. "Age" means the chronological age of a person who
16is at least 40 years old, except with regard to any practice
17described in Section 2-102, insofar as that practice concerns
18training or apprenticeship programs. In the case of training
19or apprenticeship programs, for the purposes of Section 2-102,
20"age" means the chronological age of a person who is 18 but not
21yet 40 years old.
22    (B) Aggrieved party. "Aggrieved party" means a person who
23is alleged or proved to have been injured by a civil rights
24violation or believes he or she will be injured by a civil

 

 

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1rights violation under Article 3 that is about to occur.
2    (B-5) Arrest record. "Arrest record" means:
3        (1) an arrest not leading to a conviction;
4        (2) a juvenile record; or
5        (3) criminal history record information ordered
6    expunged, sealed, or impounded under Section 5.2 of the
7    Criminal Identification Act.
8    (C) Charge. "Charge" means an allegation filed with the
9Department by an aggrieved party or initiated by the
10Department under its authority.
11    (D) Civil rights violation. "Civil rights violation"
12includes and shall be limited to only those specific acts set
13forth in Sections 2-102, 2-103, 2-105, 3-102, 3-102.1, 3-103,
143-104, 3-104.1, 3-105, 3-105.1, 4-102, 4-103, 5-102, 5A-102,
156-101, and 6-102 of this Act.
16    (E) Commission. "Commission" means the Human Rights
17Commission created by this Act.
18    (F) Complaint. "Complaint" means the formal pleading filed
19by the Department with the Commission following an
20investigation and finding of substantial evidence of a civil
21rights violation.
22    (G) Complainant. "Complainant" means a person including
23the Department who files a charge of civil rights violation
24with the Department or the Commission.
25    (H) Department. "Department" means the Department of Human
26Rights created by this Act.

 

 

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1    (I) Disability. "Disability" means a determinable physical
2or mental characteristic of a person, including, but not
3limited to, a determinable physical characteristic which
4necessitates the person's use of a guide, hearing or support
5dog, the history of such characteristic, or the perception of
6such characteristic by the person complained against, which
7may result from disease, injury, congenital condition of birth
8or functional disorder and which characteristic:
9        (1) For purposes of Article 2, is unrelated to the
10    person's ability to perform the duties of a particular job
11    or position and, pursuant to Section 2-104 of this Act, a
12    person's illegal use of drugs or alcohol is not a
13    disability;
14        (2) For purposes of Article 3, is unrelated to the
15    person's ability to acquire, rent, or maintain a housing
16    accommodation;
17        (3) For purposes of Article 4, is unrelated to a
18    person's ability to repay;
19        (4) For purposes of Article 5, is unrelated to a
20    person's ability to utilize and benefit from a place of
21    public accommodation;
22        (5) For purposes of Article 5, also includes any
23    mental, psychological, or developmental disability,
24    including autism spectrum disorders.
25    (J) Marital status. "Marital status" means the legal
26status of being married, single, separated, divorced, or

 

 

SB2435- 2082 -LRB102 04062 AMC 14078 b

1widowed.
2    (J-1) Military status. "Military status" means a person's
3status on active duty in or status as a veteran of the armed
4forces of the United States, status as a current member or
5veteran of any reserve component of the armed forces of the
6United States, including the United States Army Reserve,
7United States Marine Corps Reserve, United States Navy
8Reserve, United States Air Force Reserve, and United States
9Coast Guard Reserve, or status as a current member or veteran
10of the Illinois Army National Guard or Illinois Air National
11Guard.
12    (K) National origin. "National origin" means the place in
13which a person or one of his or her ancestors was born.
14    (K-5) "Order of protection status" means a person's status
15as being a person protected under an order of protection
16issued pursuant to the Illinois Domestic Violence Act of 1986,
17Article 112A of the Code of Criminal Procedure of 1963, the
18Stalking No Contact Order Act, or the Civil No Contact Order
19Act, or an order of protection issued by a court of another
20state.
21    (L) Person. "Person" includes one or more individuals,
22partnerships, associations or organizations, labor
23organizations, labor unions, joint apprenticeship committees,
24or union labor associations, corporations, the State of
25Illinois and its instrumentalities, political subdivisions,
26units of local government, legal representatives, trustees in

 

 

SB2435- 2083 -LRB102 04062 AMC 14078 b

1bankruptcy or receivers.
2    (L-5) Pregnancy. "Pregnancy" means pregnancy, childbirth,
3or medical or common conditions related to pregnancy or
4childbirth.
5    (M) Public contract. "Public contract" includes every
6contract to which the State, any of its political
7subdivisions, or any municipal corporation is a party.
8    (N) Religion. "Religion" includes all aspects of religious
9observance and practice, as well as belief, except that with
10respect to employers, for the purposes of Article 2,
11"religion" has the meaning ascribed to it in paragraph (F) of
12Section 2-101.
13    (O) Sex. "Sex" means the status of being male or female.
14    (O-1) Sexual orientation. "Sexual orientation" means
15actual or perceived heterosexuality, homosexuality,
16bisexuality, or gender-related identity, whether or not
17traditionally associated with the person's designated sex at
18birth. "Sexual orientation" does not include a physical or
19sexual attraction to a minor by an adult.
20    (P) Unfavorable military discharge. "Unfavorable military
21discharge" includes discharges from the Armed Forces of the
22United States, their Reserve components, or any National Guard
23or Naval Militia which are classified as RE-3 or the
24equivalent thereof, but does not include those characterized
25as RE-4 or "Dishonorable".
26    (Q) Unlawful discrimination. "Unlawful discrimination"

 

 

SB2435- 2084 -LRB102 04062 AMC 14078 b

1means discrimination against a person because of his or her
2actual or perceived: race, color, religion, national origin,
3ancestry, age, sex, marital status, order of protection
4status, disability, military status, sexual orientation,
5pregnancy, or unfavorable discharge from military service as
6those terms are defined in this Section.
7(Source: P.A. 100-714, eff. 1-1-19; 101-81, eff. 7-12-19;
8101-221, eff. 1-1-20; 101-565, eff. 1-1-20; revised 9-18-19.)
 
9    (775 ILCS 5/2-101)
10    Sec. 2-101. Definitions. The following definitions are
11applicable strictly in the context of this Article.
12    (A) Employee.
13        (1) "Employee" includes:
14            (a) Any individual performing services for
15        remuneration within this State for an employer;
16            (b) An apprentice;
17            (c) An applicant for any apprenticeship.
18        For purposes of subsection (D) of Section 2-102 of
19    this Act, "employee" also includes an unpaid intern. An
20    unpaid intern is a person who performs work for an
21    employer under the following circumstances:
22            (i) the employer is not committed to hiring the
23        person performing the work at the conclusion of the
24        intern's tenure;
25            (ii) the employer and the person performing the

 

 

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1        work agree that the person is not entitled to wages for
2        the work performed; and
3            (iii) the work performed:
4                (I) supplements training given in an
5            educational environment that may enhance the
6            employability of the intern;
7                (II) provides experience for the benefit of
8            the person performing the work;
9                (III) does not displace regular employees;
10                (IV) is performed under the close supervision
11            of existing staff; and
12                (V) provides no immediate advantage to the
13            employer providing the training and may
14            occasionally impede the operations of the
15            employer.
16        (2) "Employee" does not include:
17            (a) (Blank);
18            (b) Individuals employed by persons who are not
19        "employers" as defined by this Act;
20            (c) Elected public officials or the members of
21        their immediate personal staffs;
22            (d) Principal administrative officers of the State
23        or of any political subdivision, municipal corporation
24        or other governmental unit or agency;
25            (e) A person in a vocational rehabilitation
26        facility certified under federal law who has been

 

 

SB2435- 2086 -LRB102 04062 AMC 14078 b

1        designated an evaluee, trainee, or work activity
2        client.
3    (B) Employer.
4        (1) "Employer" includes:
5            (a) Any person employing one or more employees
6        within Illinois during 20 or more calendar weeks
7        within the calendar year of or preceding the alleged
8        violation;
9            (b) Any person employing one or more employees
10        when a complainant alleges civil rights violation due
11        to unlawful discrimination based upon his or her
12        physical or mental disability unrelated to ability,
13        pregnancy, or sexual harassment;
14            (c) The State and any political subdivision,
15        municipal corporation or other governmental unit or
16        agency, without regard to the number of employees;
17            (d) Any party to a public contract without regard
18        to the number of employees;
19            (e) A joint apprenticeship or training committee
20        without regard to the number of employees.
21        (2) "Employer" does not include any place of worship,
22    religious corporation, association, educational
23    institution, society, or non-profit nursing institution
24    conducted by and for those who rely upon treatment by
25    prayer through spiritual means in accordance with the
26    tenets of a recognized church or religious denomination

 

 

SB2435- 2087 -LRB102 04062 AMC 14078 b

1    with respect to the employment of individuals of a
2    particular religion to perform work connected with the
3    carrying on by such place of worship, corporation,
4    association, educational institution, society or
5    non-profit nursing institution of its activities.
6    (C) Employment Agency. "Employment Agency" includes both
7public and private employment agencies and any person, labor
8organization, or labor union having a hiring hall or hiring
9office regularly undertaking, with or without compensation, to
10procure opportunities to work, or to procure, recruit, refer
11or place employees.
12    (D) Labor Organization. "Labor Organization" includes any
13organization, labor union, craft union, or any voluntary
14unincorporated association designed to further the cause of
15the rights of union labor which is constituted for the
16purpose, in whole or in part, of collective bargaining or of
17dealing with employers concerning grievances, terms or
18conditions of employment, or apprenticeships or applications
19for apprenticeships, or of other mutual aid or protection in
20connection with employment, including apprenticeships or
21applications for apprenticeships.
22    (E) Sexual Harassment. "Sexual harassment" means any
23unwelcome sexual advances or requests for sexual favors or any
24conduct of a sexual nature when (1) submission to such conduct
25is made either explicitly or implicitly a term or condition of
26an individual's employment, (2) submission to or rejection of

 

 

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1such conduct by an individual is used as the basis for
2employment decisions affecting such individual, or (3) such
3conduct has the purpose or effect of substantially interfering
4with an individual's work performance or creating an
5intimidating, hostile or offensive working environment.
6    For purposes of this definition, the phrase "working
7environment" is not limited to a physical location an employee
8is assigned to perform his or her duties.
9    (E-1) Harassment. "Harassment" means any unwelcome conduct
10on the basis of an individual's actual or perceived race,
11color, religion, national origin, ancestry, age, sex, marital
12status, order of protection status, disability, military
13status, sexual orientation, pregnancy, unfavorable discharge
14from military service, or citizenship status that has the
15purpose or effect of substantially interfering with the
16individual's work performance or creating an intimidating,
17hostile, or offensive working environment. For purposes of
18this definition, the phrase "working environment" is not
19limited to a physical location an employee is assigned to
20perform his or her duties.
21    (F) Religion. "Religion" with respect to employers
22includes all aspects of religious observance and practice, as
23well as belief, unless an employer demonstrates that he is
24unable to reasonably accommodate an employee's or prospective
25employee's religious observance or practice without undue
26hardship on the conduct of the employer's business.

 

 

SB2435- 2089 -LRB102 04062 AMC 14078 b

1    (G) Public Employer. "Public employer" means the State, an
2agency or department thereof, unit of local government, school
3district, instrumentality or political subdivision.
4    (H) Public Employee. "Public employee" means an employee
5of the State, agency or department thereof, unit of local
6government, school district, instrumentality or political
7subdivision. "Public employee" does not include public
8officers or employees of the General Assembly or agencies
9thereof.
10    (I) Public Officer. "Public officer" means a person who is
11elected to office pursuant to the Constitution or a statute or
12ordinance, or who is appointed to an office which is
13established, and the qualifications and duties of which are
14prescribed, by the Constitution or a statute or ordinance, to
15discharge a public duty for the State, agency or department
16thereof, unit of local government, school district,
17instrumentality or political subdivision.
18    (J) Eligible Bidder. "Eligible bidder" means a person who,
19prior to contract award or prior to bid opening for State
20contracts for construction or construction-related services,
21has filed with the Department a properly completed, sworn and
22currently valid employer report form, pursuant to the
23Department's regulations. The provisions of this Article
24relating to eligible bidders apply only to bids on contracts
25with the State and its departments, agencies, boards, and
26commissions, and the provisions do not apply to bids on

 

 

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1contracts with units of local government or school districts.
2    (K) Citizenship Status. "Citizenship status" means the
3status of being:
4        (1) a born U.S. citizen;
5        (2) a naturalized U.S. citizen;
6        (3) a U.S. national; or
7        (4) a person born outside the United States and not a
8    U.S. citizen who is not an unauthorized alien and who is
9    protected from discrimination under the provisions of
10    Section 1324b of Title 8 of the United States Code, as now
11    or hereafter amended.
12(Source: P.A. 100-43, eff. 8-9-17; 101-221, eff. 1-1-20;
13101-430, eff. 7-1-20; revised 8-4-20.)
 
14    (775 ILCS 5/2-108)
15    (Section scheduled to be repealed on January 1, 2030)
16    Sec. 2-108. Employer disclosure requirements.
17    (A) Definitions. The following definitions are applicable
18strictly to this Section:
19        (1) "Employer" means:
20            (a) any person employing one or more employees
21        within this State;
22            (b) a labor organization; or
23            (c) the State and any political subdivision,
24        municipal corporation, or other governmental unit or
25        agency, without regard to the number of employees.

 

 

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1        (2) "Settlement" means any written commitment or
2    written agreement, including any agreed judgment,
3    stipulation, decree, agreement to settle, assurance of
4    discontinuance, or otherwise between an employee, as
5    defined by subsection (A) of Section 2-101, or a
6    nonemployee to whom an employer owes a duty under this Act
7    pursuant to subsection (A-10) or (D-5) of Section 2-102,
8    and an employer under which the employer directly or
9    indirectly provides to an individual compensation or other
10    consideration due to an allegation that the individual has
11    been a victim of sexual harassment or unlawful
12    discrimination under this Act.
13        (3) "Adverse judgment or administrative ruling" means
14    any final and non-appealable adverse judgment or final and
15    non-appealable administrative ruling entered in favor of
16    an employee as defined by subsection (A) of Section 2-101
17    or a nonemployee to whom an employer owes a duty under this
18    Act pursuant to subsection (A-10) or (D-5) of Section
19    2-102, and against the employer during the preceding year
20    in which there was a finding of sexual harassment or
21    unlawful discrimination brought under this Act, Title VII
22    of the Civil Rights Act of 1964, or any other federal,
23    State, or local law prohibiting sexual harassment or
24    unlawful discrimination.
25    (B) Required disclosures. Beginning July 1, 2020, and by
26each July 1 thereafter, each employer that had an adverse

 

 

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1judgment or administrative ruling against it in the preceding
2calendar year, as provided in this Section, shall disclose
3annually to the Department of Human Rights the following
4information:
5        (1) the total number of adverse judgments or
6    administrative rulings during the preceding year;
7        (2) whether any equitable relief was ordered against
8    the employer in any adverse judgment or administrative
9    ruling described in paragraph (1);
10        (3) how many adverse judgments or administrative
11    rulings described in paragraph (1) are in each of the
12    following categories:
13            (a) sexual harassment;
14            (b) discrimination or harassment on the basis of
15        sex;
16            (c) discrimination or harassment on the basis of
17        race, color, or national origin;
18            (d) discrimination or harassment on the basis of
19        religion;
20            (e) discrimination or harassment on the basis of
21        age;
22            (f) discrimination or harassment on the basis of
23        disability;
24            (g) discrimination or harassment on the basis of
25        military status or unfavorable discharge from military
26        status;

 

 

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1            (h) discrimination or harassment on the basis of
2        sexual orientation or gender identity; and
3            (i) discrimination or harassment on the basis of
4        any other characteristic protected under this Act. ;
5    (C) Settlements. If the Department is investigating a
6charge filed pursuant to this Act, the Department may request
7the employer responding to the charge to submit the total
8number of settlements entered into during the preceding 5
9years, or less at the direction of the Department, that relate
10to any alleged act of sexual harassment or unlawful
11discrimination that:
12        (1) occurred in the workplace of the employer; or
13        (2) involved the behavior of an employee of the
14    employer or a corporate executive of the employer, without
15    regard to whether that behavior occurred in the workplace
16    of the employer.
17    The total number of settlements entered into during the
18requested period shall be reported along with how many
19settlements are in each of the following categories, when
20requested by the Department pursuant to this subsection:
21        (a) sexual harassment;
22        (b) discrimination or harassment on the basis of sex;
23        (c) discrimination or harassment on the basis of race,
24    color, or national origin;
25        (d) discrimination or harassment on the basis of
26    religion;

 

 

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1        (e) discrimination or harassment on the basis of age;
2        (f) discrimination or harassment on the basis of
3    disability;
4        (g) discrimination or harassment on the basis of
5    military status or unfavorable discharge from military
6    status;
7        (h) discrimination or harassment on the basis of
8    sexual orientation or gender identity; and
9        (i) discrimination or harassment on the basis of any
10    other characteristic protected under this Act;
11    The Department shall not rely on the existence of any
12settlement agreement to support a finding of substantial
13evidence under this Act.
14    (D) Prohibited disclosures. An employer may not disclose
15the name of a victim of an act of alleged sexual harassment or
16unlawful discrimination in any disclosures required under this
17Section.
18    (E) Annual report. The Department shall publish an annual
19report aggregating the information reported by employers under
20subsection (B) of this Section such that no individual
21employer data is available to the public. The report shall
22include the number of adverse judgments or administrative
23rulings filed during the preceding calendar year based on each
24of the protected classes identified by this Act.
25    The report shall be filed with the General Assembly and
26made available to the public by December 31 of each reporting

 

 

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1year. Data submitted by an employer to comply with this
2Section is confidential and exempt from the Freedom of
3Information Act.
4    (F) Failure to report and penalties. If an employer fails
5to make any disclosures required under this Section, the
6Department shall issue a notice to show cause giving the
7employer 30 days to disclose the required information. If the
8employer does not make the required disclosures within 30
9days, the Department shall petition the Illinois Human Rights
10Commission for entry of an order imposing a civil penalty
11against the employer pursuant to Section 8-109.1. The civil
12penalty shall be paid into the Department of Human Rights'
13Training and Development Fund.
14    (G) Rules. The Department shall adopt any rules it deems
15necessary for implementation of this Section.
16    (H) This Section is repealed on January 1, 2030.
17(Source: P.A. 101-221, eff. 1-1-20; revised 9-12-19.)
 
18    (775 ILCS 5/6-102)
19    Sec. 6-102. Violations of other Acts. A person who
20violates the Section 11-117-12.2 of the Illinois Municipal
21Code, Section 224.05 of the Illinois Insurance Code, Section
228-201.5 of the Public Utilities Act, Sections 2-1401.1,
239-107.10, 9-107.11, and 15-1501.6 of the Code of Civil
24Procedure, Section 4.05 of the Interest Act, the Military
25Personnel Cellular Phone Contract Termination Act, Section

 

 

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1405-272 of the Civil Administrative Code of Illinois, Section
210-63 of the Illinois Administrative Procedure Act, Sections
330.25 and 30.30 of the Military Code of Illinois, Section 16 of
4the Landlord and Tenant Act, Section 26.5 of the Retail
5Installment Sales Act, or Section 37 of the Motor Vehicle
6Leasing Act commits a civil rights violation within the
7meaning of this Act.
8(Source: P.A. 100-1101, eff. 1-1-19; revised 7-16-19.)
 
9    (775 ILCS 5/7A-102)  (from Ch. 68, par. 7A-102)
10    Sec. 7A-102. Procedures.
11    (A) Charge.
12        (1) Within 300 calendar days after the date that a
13    civil rights violation allegedly has been committed, a
14    charge in writing under oath or affirmation may be filed
15    with the Department by an aggrieved party or issued by the
16    Department itself under the signature of the Director.
17        (2) The charge shall be in such detail as to
18    substantially apprise any party properly concerned as to
19    the time, place, and facts surrounding the alleged civil
20    rights violation.
21        (3) Charges deemed filed with the Department pursuant
22    to subsection (A-1) of this Section shall be deemed to be
23    in compliance with this subsection.
24    (A-1) Equal Employment Opportunity Commission Charges.
25        (1) If a charge is filed with the Equal Employment

 

 

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1    Opportunity Commission (EEOC) within 300 calendar days
2    after the date of the alleged civil rights violation, the
3    charge shall be deemed filed with the Department on the
4    date filed with the EEOC. If the EEOC is the governmental
5    agency designated to investigate the charge first, the
6    Department shall take no action until the EEOC makes a
7    determination on the charge and after the complainant
8    notifies the Department of the EEOC's determination. In
9    such cases, after receiving notice from the EEOC that a
10    charge was filed, the Department shall notify the parties
11    that (i) a charge has been received by the EEOC and has
12    been sent to the Department for dual filing purposes; (ii)
13    the EEOC is the governmental agency responsible for
14    investigating the charge and that the investigation shall
15    be conducted pursuant to the rules and procedures adopted
16    by the EEOC; (iii) it will take no action on the charge
17    until the EEOC issues its determination; (iv) the
18    complainant must submit a copy of the EEOC's determination
19    within 30 days after service of the determination by the
20    EEOC on the complainant; and (v) that the time period to
21    investigate the charge contained in subsection (G) of this
22    Section is tolled from the date on which the charge is
23    filed with the EEOC until the EEOC issues its
24    determination.
25        (2) If the EEOC finds reasonable cause to believe that
26    there has been a violation of federal law and if the

 

 

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1    Department is timely notified of the EEOC's findings by
2    the complainant, the Department shall notify the
3    complainant that the Department has adopted the EEOC's
4    determination of reasonable cause and that the complainant
5    has the right, within 90 days after receipt of the
6    Department's notice, to either file his or her own
7    complaint with the Illinois Human Rights Commission or
8    commence a civil action in the appropriate circuit court
9    or other appropriate court of competent jurisdiction. This
10    notice shall be provided to the complainant within 10
11    business days after the Department's receipt of the EEOC's
12    determination. The Department's notice to the complainant
13    that the Department has adopted the EEOC's determination
14    of reasonable cause shall constitute the Department's
15    Report for purposes of subparagraph (D) of this Section.
16        (3) For those charges alleging violations within the
17    jurisdiction of both the EEOC and the Department and for
18    which the EEOC either (i) does not issue a determination,
19    but does issue the complainant a notice of a right to sue,
20    including when the right to sue is issued at the request of
21    the complainant, or (ii) determines that it is unable to
22    establish that illegal discrimination has occurred and
23    issues the complainant a right to sue notice, and if the
24    Department is timely notified of the EEOC's determination
25    by the complainant, the Department shall notify the
26    parties, within 10 business days after receipt of the

 

 

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1    EEOC's determination, that the Department will adopt the
2    EEOC's determination as a dismissal for lack of
3    substantial evidence unless the complainant requests in
4    writing within 35 days after receipt of the Department's
5    notice that the Department review the EEOC's
6    determination.
7            (a) If the complainant does not file a written
8        request with the Department to review the EEOC's
9        determination within 35 days after receipt of the
10        Department's notice, the Department shall notify the
11        complainant, within 10 business days after the
12        expiration of the 35-day period, that the decision of
13        the EEOC has been adopted by the Department as a
14        dismissal for lack of substantial evidence and that
15        the complainant has the right, within 90 days after
16        receipt of the Department's notice, to commence a
17        civil action in the appropriate circuit court or other
18        appropriate court of competent jurisdiction. The
19        Department's notice to the complainant that the
20        Department has adopted the EEOC's determination shall
21        constitute the Department's report for purposes of
22        subparagraph (D) of this Section.
23            (b) If the complainant does file a written request
24        with the Department to review the EEOC's
25        determination, the Department shall review the EEOC's
26        determination and any evidence obtained by the EEOC

 

 

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1        during its investigation. If, after reviewing the
2        EEOC's determination and any evidence obtained by the
3        EEOC, the Department determines there is no need for
4        further investigation of the charge, the Department
5        shall issue a report and the Director shall determine
6        whether there is substantial evidence that the alleged
7        civil rights violation has been committed pursuant to
8        subsection (D) of this Section 7A-102. If, after
9        reviewing the EEOC's determination and any evidence
10        obtained by the EEOC, the Department determines there
11        is a need for further investigation of the charge, the
12        Department may conduct any further investigation it
13        deems necessary. After reviewing the EEOC's
14        determination, the evidence obtained by the EEOC, and
15        any additional investigation conducted by the
16        Department, the Department shall issue a report and
17        the Director shall determine whether there is
18        substantial evidence that the alleged civil rights
19        violation has been committed pursuant to subsection
20        (D) of this Section 7A-102 of this Act.
21        (4) Pursuant to this Section, if the EEOC dismisses
22    the charge or a portion of the charge of discrimination
23    because, under federal law, the EEOC lacks jurisdiction
24    over the charge, and if, under this Act, the Department
25    has jurisdiction over the charge of discrimination, the
26    Department shall investigate the charge or portion of the

 

 

SB2435- 2101 -LRB102 04062 AMC 14078 b

1    charge dismissed by the EEOC for lack of jurisdiction
2    pursuant to subsections (A), (A-1), (B), (B-1), (C), (D),
3    (E), (F), (G), (H), (I), (J), and (K) of this Section
4    7A-102 of this Act.
5        (5) The time limit set out in subsection (G) of this
6    Section is tolled from the date on which the charge is
7    filed with the EEOC to the date on which the EEOC issues
8    its determination.
9        (6) The failure of the Department to meet the
10    10-business-day notification deadlines set out in
11    paragraph (2) of this subsection shall not impair the
12    rights of any party.
13    (B) Notice and Response to Charge. The Department shall,
14within 10 days of the date on which the charge was filed, serve
15a copy of the charge on the respondent and provide all parties
16with a notice of the complainant's right to opt out of the
17investigation within 60 days as set forth in subsection (C-1).
18This period shall not be construed to be jurisdictional. The
19charging party and the respondent may each file a position
20statement and other materials with the Department regarding
21the charge of alleged discrimination within 60 days of receipt
22of the notice of the charge. The position statements and other
23materials filed shall remain confidential unless otherwise
24agreed to by the party providing the information and shall not
25be served on or made available to the other party during the
26pendency of a charge with the Department. The Department may

 

 

SB2435- 2102 -LRB102 04062 AMC 14078 b

1require the respondent to file a response to the allegations
2contained in the charge. Upon the Department's request, the
3respondent shall file a response to the charge within 60 days
4and shall serve a copy of its response on the complainant or
5his or her representative. Notwithstanding any request from
6the Department, the respondent may elect to file a response to
7the charge within 60 days of receipt of notice of the charge,
8provided the respondent serves a copy of its response on the
9complainant or his or her representative. All allegations
10contained in the charge not denied by the respondent within 60
11days of the Department's request for a response may be deemed
12admitted, unless the respondent states that it is without
13sufficient information to form a belief with respect to such
14allegation. The Department may issue a notice of default
15directed to any respondent who fails to file a response to a
16charge within 60 days of receipt of the Department's request,
17unless the respondent can demonstrate good cause as to why
18such notice should not issue. The term "good cause" shall be
19defined by rule promulgated by the Department. Within 30 days
20of receipt of the respondent's response, the complainant may
21file a reply to said response and shall serve a copy of said
22reply on the respondent or his or her representative. A party
23shall have the right to supplement his or her response or reply
24at any time that the investigation of the charge is pending.
25The Department shall, within 10 days of the date on which the
26charge was filed, and again no later than 335 days thereafter,

 

 

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1send by certified or registered mail, or electronic mail if
2elected by the party, written notice to the complainant and to
3the respondent informing the complainant of the complainant's
4rights to either file a complaint with the Human Rights
5Commission or commence a civil action in the appropriate
6circuit court under subparagraph (2) of paragraph (G),
7including in such notice the dates within which the
8complainant may exercise these rights. In the notice the
9Department shall notify the complainant that the charge of
10civil rights violation will be dismissed with prejudice and
11with no right to further proceed if a written complaint is not
12timely filed with the Commission or with the appropriate
13circuit court by the complainant pursuant to subparagraph (2)
14of paragraph (G) or by the Department pursuant to subparagraph
15(1) of paragraph (G).
16    (B-1) Mediation. The complainant and respondent may agree
17to voluntarily submit the charge to mediation without waiving
18any rights that are otherwise available to either party
19pursuant to this Act and without incurring any obligation to
20accept the result of the mediation process. Nothing occurring
21in mediation shall be disclosed by the Department or
22admissible in evidence in any subsequent proceeding unless the
23complainant and the respondent agree in writing that such
24disclosure be made.
25    (C) Investigation.
26        (1) The Department shall conduct an investigation

 

 

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1    sufficient to determine whether the allegations set forth
2    in the charge are supported by substantial evidence unless
3    the complainant elects to opt out of an investigation
4    pursuant to subsection (C-1).
5        (2) The Director or his or her designated
6    representatives shall have authority to request any member
7    of the Commission to issue subpoenas to compel the
8    attendance of a witness or the production for examination
9    of any books, records or documents whatsoever.
10        (3) If any witness whose testimony is required for any
11    investigation resides outside the State, or through
12    illness or any other good cause as determined by the
13    Director is unable to be interviewed by the investigator
14    or appear at a fact finding conference, his or her
15    testimony or deposition may be taken, within or without
16    the State, in the same manner as is provided for in the
17    taking of depositions in civil cases in circuit courts.
18        (4) Upon reasonable notice to the complainant and the
19    respondent, the Department shall conduct a fact finding
20    conference, unless prior to 365 days after the date on
21    which the charge was filed the Director has determined
22    whether there is substantial evidence that the alleged
23    civil rights violation has been committed, the charge has
24    been dismissed for lack of jurisdiction, or the parties
25    voluntarily and in writing agree to waive the fact finding
26    conference. Any party's failure to attend the conference

 

 

SB2435- 2105 -LRB102 04062 AMC 14078 b

1    without good cause shall result in dismissal or default.
2    The term "good cause" shall be defined by rule promulgated
3    by the Department. A notice of dismissal or default shall
4    be issued by the Director. The notice of default issued by
5    the Director shall notify the respondent that a request
6    for review may be filed in writing with the Commission
7    within 30 days of receipt of notice of default. The notice
8    of dismissal issued by the Director shall give the
9    complainant notice of his or her right to seek review of
10    the dismissal before the Human Rights Commission or
11    commence a civil action in the appropriate circuit court.
12    If the complainant chooses to have the Human Rights
13    Commission review the dismissal order, he or she shall
14    file a request for review with the Commission within 90
15    days after receipt of the Director's notice. If the
16    complainant chooses to file a request for review with the
17    Commission, he or she may not later commence a civil
18    action in a circuit court. If the complainant chooses to
19    commence a civil action in a circuit court, he or she must
20    do so within 90 days after receipt of the Director's
21    notice.
22    (C-1) Opt out of Department's investigation. At any time
23within 60 days after receipt of notice of the right to opt out,
24a complainant may submit a written request seeking notice from
25the Director indicating that the complainant has opted out of
26the investigation and may commence a civil action in the

 

 

SB2435- 2106 -LRB102 04062 AMC 14078 b

1appropriate circuit court or other appropriate court of
2competent jurisdiction. Within 10 business days of receipt of
3the complainant's request to opt out of the investigation, the
4Director shall issue a notice to the parties stating that: (i)
5the complainant has exercised the right to opt out of the
6investigation; (ii) the complainant has 90 days after receipt
7of the Director's notice to commence an action in the
8appropriate circuit court or other appropriate court of
9competent jurisdiction; and (iii) the Department has ceased
10its investigation and is administratively closing the charge.
11The complainant shall notify the Department and the respondent
12that a complaint has been filed with the appropriate circuit
13court or other appropriate court of competent jurisdiction and
14shall mail a copy of the complaint to the Department and the
15respondent on the same date that the complaint is filed with
16the appropriate court. Once a complainant has opted out of the
17investigation under this subsection, he or she may not file or
18refile a substantially similar charge with the Department
19arising from the same incident of unlawful discrimination or
20harassment.
21    (D) Report.
22        (1) Each charge investigated under subsection (C)
23    shall be the subject of a report to the Director. The
24    report shall be a confidential document subject to review
25    by the Director, authorized Department employees, the
26    parties, and, where indicated by this Act, members of the

 

 

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1    Commission or their designated hearing officers.
2        (2) Upon review of the report, the Director shall
3    determine whether there is substantial evidence that the
4    alleged civil rights violation has been committed. The
5    determination of substantial evidence is limited to
6    determining the need for further consideration of the
7    charge pursuant to this Act and includes, but is not
8    limited to, findings of fact and conclusions, as well as
9    the reasons for the determinations on all material issues.
10    Substantial evidence is evidence which a reasonable mind
11    accepts as sufficient to support a particular conclusion
12    and which consists of more than a mere scintilla but may be
13    somewhat less than a preponderance.
14        (3) If the Director determines that there is no
15    substantial evidence, the charge shall be dismissed by
16    order of the Director and the Director shall give the
17    complainant notice of his or her right to seek review of
18    the dismissal order before the Commission or commence a
19    civil action in the appropriate circuit court. If the
20    complainant chooses to have the Human Rights Commission
21    review the dismissal order, he or she shall file a request
22    for review with the Commission within 90 days after
23    receipt of the Director's notice. If the complainant
24    chooses to file a request for review with the Commission,
25    he or she may not later commence a civil action in a
26    circuit court. If the complainant chooses to commence a

 

 

SB2435- 2108 -LRB102 04062 AMC 14078 b

1    civil action in a circuit court, he or she must do so
2    within 90 days after receipt of the Director's notice.
3        (4) If the Director determines that there is
4    substantial evidence, he or she shall notify the
5    complainant and respondent of that determination. The
6    Director shall also notify the parties that the
7    complainant has the right to either commence a civil
8    action in the appropriate circuit court or request that
9    the Department of Human Rights file a complaint with the
10    Human Rights Commission on his or her behalf. Any such
11    complaint shall be filed within 90 days after receipt of
12    the Director's notice. If the complainant chooses to have
13    the Department file a complaint with the Human Rights
14    Commission on his or her behalf, the complainant must,
15    within 30 days after receipt of the Director's notice,
16    request in writing that the Department file the complaint.
17    If the complainant timely requests that the Department
18    file the complaint, the Department shall file the
19    complaint on his or her behalf. If the complainant fails
20    to timely request that the Department file the complaint,
21    the complainant may file his or her complaint with the
22    Commission or commence a civil action in the appropriate
23    circuit court. If the complainant files a complaint with
24    the Human Rights Commission, the complainant shall give
25    notice to the Department of the filing of the complaint
26    with the Human Rights Commission.

 

 

SB2435- 2109 -LRB102 04062 AMC 14078 b

1    (E) Conciliation.
2         (1) When there is a finding of substantial evidence,
3    the Department may designate a Department employee who is
4    an attorney licensed to practice in Illinois to endeavor
5    to eliminate the effect of the alleged civil rights
6    violation and to prevent its repetition by means of
7    conference and conciliation.
8        (2) When the Department determines that a formal
9    conciliation conference is necessary, the complainant and
10    respondent shall be notified of the time and place of the
11    conference by registered or certified mail at least 10
12    days prior thereto and either or both parties shall appear
13    at the conference in person or by attorney.
14        (3) The place fixed for the conference shall be within
15    35 miles of the place where the civil rights violation is
16    alleged to have been committed.
17        (4) Nothing occurring at the conference shall be
18    disclosed by the Department unless the complainant and
19    respondent agree in writing that such disclosure be made.
20        (5) The Department's efforts to conciliate the matter
21    shall not stay or extend the time for filing the complaint
22    with the Commission or the circuit court.
23    (F) Complaint.
24        (1) When the complainant requests that the Department
25    file a complaint with the Commission on his or her behalf,
26    the Department shall prepare a written complaint, under

 

 

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1    oath or affirmation, stating the nature of the civil
2    rights violation substantially as alleged in the charge
3    previously filed and the relief sought on behalf of the
4    aggrieved party. The Department shall file the complaint
5    with the Commission.
6        (2) If the complainant chooses to commence a civil
7    action in a circuit court, he or she must do so in the
8    circuit court in the county wherein the civil rights
9    violation was allegedly committed. The form of the
10    complaint in any such civil action shall be in accordance
11    with the Illinois Code of Civil Procedure.
12    (G) Time Limit.
13        (1) When a charge of a civil rights violation has been
14    properly filed, the Department, within 365 days thereof or
15    within any extension of that period agreed to in writing
16    by all parties, shall issue its report as required by
17    subparagraph (D). Any such report shall be duly served
18    upon both the complainant and the respondent.
19        (2) If the Department has not issued its report within
20    365 days after the charge is filed, or any such longer
21    period agreed to in writing by all the parties, the
22    complainant shall have 90 days to either file his or her
23    own complaint with the Human Rights Commission or commence
24    a civil action in the appropriate circuit court. If the
25    complainant files a complaint with the Commission, the
26    form of the complaint shall be in accordance with the

 

 

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1    provisions of paragraph (F)(1). If the complainant
2    commences a civil action in a circuit court, the form of
3    the complaint shall be in accordance with the Illinois
4    Code of Civil Procedure. The aggrieved party shall notify
5    the Department that a complaint has been filed and shall
6    serve a copy of the complaint on the Department on the same
7    date that the complaint is filed with the Commission or in
8    circuit court. If the complainant files a complaint with
9    the Commission, he or she may not later commence a civil
10    action in circuit court.
11        (3) If an aggrieved party files a complaint with the
12    Human Rights Commission or commences a civil action in
13    circuit court pursuant to paragraph (2) of this
14    subsection, or if the time period for filing a complaint
15    has expired, the Department shall immediately cease its
16    investigation and dismiss the charge of civil rights
17    violation. Any final order entered by the Commission under
18    this Section is appealable in accordance with paragraph
19    (B)(1) of Section 8-111. Failure to immediately cease an
20    investigation and dismiss the charge of civil rights
21    violation as provided in this paragraph (3) constitutes
22    grounds for entry of an order by the circuit court
23    permanently enjoining the investigation. The Department
24    may also be liable for any costs and other damages
25    incurred by the respondent as a result of the action of the
26    Department.

 

 

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1        (4) (Blank).
2    (H) Public Act 89-370 This amendatory Act of 1995 applies
3to causes of action filed on or after January 1, 1996.
4    (I) Public Act 89-520 This amendatory Act of 1996 applies
5to causes of action filed on or after January 1, 1996.
6    (J) The changes made to this Section by Public Act 95-243
7apply to charges filed on or after the effective date of those
8changes.
9    (K) The changes made to this Section by Public Act 96-876
10this amendatory Act of the 96th General Assembly apply to
11charges filed on or after the effective date of those changes.
12    (L) The changes made to this Section by Public Act
13100-1066 this amendatory Act of the 100th General Assembly
14apply to charges filed on or after August 24, 2018 (the
15effective date of Public Act 100-1066) this amendatory Act of
16the 100th General Assembly.
17(Source: P.A. 100-492, eff. 9-8-17; 100-588, eff. 6-8-18;
18100-1066, eff. 8-24-18; 101-221, eff. 1-1-20; revised
199-12-19.)
 
20    (775 ILCS 5/7A-103)  (from Ch. 68, par. 7A-103)
21    Sec. 7A-103. Settlement.
22    (A) Circumstances. A settlement of any charge prior to the
23filing of a complaint may be effectuated at any time upon
24agreement of the parties and the approval of the Department. A
25settlement of any charge after the filing of a complaint shall

 

 

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1be effectuated as specified in Section 8-105(A)(2) of this
2Act.
3    (B) Form. Settlements of charges prior to the filing of
4complaints shall be reduced to writing by the Department,
5signed by the parties, and submitted by the Department to the
6Commission for approval. Settlements of charges after the
7filing of complaints shall be effectuated as specified in
8Section 8-105(A)(2) of this Act.
9    (C) Violation.
10        (1) When either party alleges that a settlement order
11    has been violated, the Department shall conduct an
12    investigation into the matter.
13        (2) Upon finding substantial evidence to demonstrate
14    that a settlement has been violated, the Department shall
15    file notice of a settlement order violation with the
16    Commission and serve all parties.
17    (D) Dismissal For Refusal To Accept Settlement Offer. The
18Department shall dismiss a charge if it is satisfied that:
19        (1) the respondent has eliminated the effects of the
20    civil rights violation charged and taken steps to prevent
21    its repetition; or
22        (2) the respondent offers and the complainant declines
23    to accept terms of settlement which the Department finds
24    are sufficient to eliminate the effects of the civil
25    rights violation charged and prevent its repetition.
26     When the Department dismisses a charge under this Section

 

 

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1it shall notify the complainant that he or she may seek review
2of the dismissal order before the Commission. The complainant
3shall have 30 days from receipt of notice to file a request for
4review by the Commission.
5     In determining whether the respondent has eliminated the
6effects of the civil rights violation charged, or has offered
7terms of settlement sufficient to eliminate same, the
8Department shall consider the extent to which the respondent
9has either fully provided, or reasonably offered by way of
10terms of settlement, as the case may be, the relevant relief
11available to the complainant under Section 8A-104 8-108 of
12this Act.
13    (E) Public Act 89-370 This amendatory Act of 1995 applies
14to causes of action filed on or after January 1, 1996.
15    (F) The changes made to this Section by Public Act 95-243
16this amendatory Act of the 95th General Assembly apply to
17charges filed on or after the effective date of those changes.
18(Source: P.A. 95-243, eff. 1-1-08; revised 9-4-20.)
 
19    Section 830. The Business Corporation Act of 1983 is
20amended by changing Sections 15.35 and 15.65 as follows:
 
21    (805 ILCS 5/15.35)  (from Ch. 32, par. 15.35)
22    (Section scheduled to be repealed on December 31, 2025)
23    Sec. 15.35. Franchise taxes payable by domestic
24corporations. For the privilege of exercising its franchises

 

 

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1in this State, each domestic corporation shall pay to the
2Secretary of State the following franchise taxes, computed on
3the basis, at the rates and for the periods prescribed in this
4Act:
5        (a) An initial franchise tax at the time of filing its
6    first report of issuance of shares.
7        (b) An additional franchise tax at the time of filing
8    (1) a report of the issuance of additional shares, or (2) a
9    report of an increase in paid-in capital without the
10    issuance of shares, or (3) an amendment to the articles of
11    incorporation or a report of cumulative changes in paid-in
12    capital, whenever any amendment or such report discloses
13    an increase in its paid-in capital over the amount thereof
14    last reported in any document, other than an annual
15    report, interim annual report or final transition annual
16    report required by this Act to be filed in the office of
17    the Secretary of State.
18        (c) An additional franchise tax at the time of filing
19    a report of paid-in capital following a statutory merger
20    or consolidation, which discloses that the paid-in capital
21    of the surviving or new corporation immediately after the
22    merger or consolidation is greater than the sum of the
23    paid-in capital of all of the merged or consolidated
24    corporations as last reported by them in any documents,
25    other than annual reports, required by this Act to be
26    filed in the office of the Secretary of State; and in

 

 

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1    addition, the surviving or new corporation shall be liable
2    for a further additional franchise tax on the paid-in
3    capital of each of the merged or consolidated corporations
4    as last reported by them in any document, other than an
5    annual report, required by this Act to be filed with the
6    Secretary of State from their taxable year end to the next
7    succeeding anniversary month or, in the case of a
8    corporation which has established an extended filing
9    month, the extended filing month of the surviving or new
10    corporation; however if the taxable year ends within the
11    2-month 2 month period immediately preceding the
12    anniversary month or, in the case of a corporation which
13    has established an extended filing month, the extended
14    filing month of the surviving or new corporation the tax
15    will be computed to the anniversary month or, in the case
16    of a corporation which has established an extended filing
17    month, the extended filing month of the surviving or new
18    corporation in the next succeeding calendar year.
19        (d) An annual franchise tax payable each year with the
20    annual report which the corporation is required by this
21    Act to file.
22    (e) On or after January 1, 2020 and prior to January 1,
232021, the first $30 in liability is exempt from the tax imposed
24under this Section. On or after January 1, 2021 and prior to
25January 1, 2022, the first $1,000 in liability is exempt from
26the tax imposed under this Section. On or after January 1, 2022

 

 

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1and prior to January 1, 2023, the first $10,000 in liability is
2exempt from the tax imposed under this Section. On or after
3January 1, 2023 and prior to January 1, 2024, the first
4$100,000 in liability is exempt from the tax imposed under
5this Section. The provisions of this Section shall not require
6the payment of any franchise tax that would otherwise have
7been due and payable on or after January 1, 2024. There shall
8be no refunds or proration of franchise tax for any taxes due
9and payable on or after January 1, 2024 on the basis that a
10portion of the corporation's taxable year extends beyond
11January 1, 2024. Public Act 101-9 This amendatory Act of the
12101st General Assembly shall not affect any right accrued or
13established, or any liability or penalty incurred prior to
14January 1, 2024.
15    (f) This Section is repealed on December 31, 2025.
16(Source: P.A. 101-9, eff. 6-5-19; revised 7-18-19.)
 
17    (805 ILCS 5/15.65)  (from Ch. 32, par. 15.65)
18    (Section scheduled to be repealed on December 31, 2024)
19    Sec. 15.65. Franchise taxes payable by foreign
20corporations. For the privilege of exercising its authority to
21transact such business in this State as set out in its
22application therefor or any amendment thereto, each foreign
23corporation shall pay to the Secretary of State the following
24franchise taxes, computed on the basis, at the rates and for
25the periods prescribed in this Act:

 

 

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1        (a) An initial franchise tax at the time of filing its
2    application for authority to transact business in this
3    State.
4        (b) An additional franchise tax at the time of filing
5    (1) a report of the issuance of additional shares, or (2) a
6    report of an increase in paid-in capital without the
7    issuance of shares, or (3) a report of cumulative changes
8    in paid-in capital or a report of an exchange or
9    reclassification of shares, whenever any such report
10    discloses an increase in its paid-in capital over the
11    amount thereof last reported in any document, other than
12    an annual report, interim annual report or final
13    transition annual report, required by this Act to be filed
14    in the office of the Secretary of State.
15        (c) Whenever the corporation shall be a party to a
16    statutory merger and shall be the surviving corporation,
17    an additional franchise tax at the time of filing its
18    report following merger, if such report discloses that the
19    amount represented in this State of its paid-in capital
20    immediately after the merger is greater than the aggregate
21    of the amounts represented in this State of the paid-in
22    capital of such of the merged corporations as were
23    authorized to transact business in this State at the time
24    of the merger, as last reported by them in any documents,
25    other than annual reports, required by this Act to be
26    filed in the office of the Secretary of State; and in

 

 

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1    addition, the surviving corporation shall be liable for a
2    further additional franchise tax on the paid-in capital of
3    each of the merged corporations as last reported by them
4    in any document, other than an annual report, required by
5    this Act to be filed with the Secretary of State, from
6    their taxable year end to the next succeeding anniversary
7    month or, in the case of a corporation which has
8    established an extended filing month, the extended filing
9    month of the surviving corporation; however if the taxable
10    year ends within the 2-month 2 month period immediately
11    preceding the anniversary month or the extended filing
12    month of the surviving corporation, the tax will be
13    computed to the anniversary or, extended filing month of
14    the surviving corporation in the next succeeding calendar
15    year.
16        (d) An annual franchise tax payable each year with any
17    annual report which the corporation is required by this
18    Act to file.
19    (e) On or after January 1, 2020 and prior to January 1,
202021, the first $30 in liability is exempt from the tax imposed
21under this Section. On or after January 1, 2021 and prior to
22January 1, 2022, the first $1,000 in liability is exempt from
23the tax imposed under this Section. On or after January 1, 2022
24and prior to January 1, 2023, the first $10,000 in liability is
25exempt from the tax imposed under this Section. On or after
26January 1, 2023 and prior to January 1, 2024, the first

 

 

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1$100,000 in liability is exempt from the tax imposed under
2this Section. The provisions of this Section shall not require
3the payment of any franchise tax that would otherwise have
4been due and payable on or after January 1, 2024. There shall
5be no refunds or proration of franchise tax for any taxes due
6and payable on or after January 1, 2024 on the basis that a
7portion of the corporation's taxable year extends beyond
8January 1, 2024. Public Act 101-9 This amendatory Act of the
9101st General Assembly shall not affect any right accrued or
10established, or any liability or penalty incurred prior to
11January 1, 2024.
12    (f) This Section is repealed on December 31, 2024.
13(Source: P.A. 101-9, eff. 6-5-19; revised 7-18-19.)
 
14    Section 835. The General Not For Profit Corporation Act of
151986 is amended by changing Section 111.25 as follows:
 
16    (805 ILCS 105/111.25)  (from Ch. 32, par. 111.25)
17    Sec. 111.25. Articles of merger or consolidation.
18    (a) Articles of merger or consolidation shall be executed
19by each corporation and filed in duplicate in accordance with
20Section 101.10 of this Act and shall set forth:
21        (1) the name of each corporation;
22        (2) the plan of merger or consolidation;
23        (3) as to each corporation where the plan of merger or
24    consolidation was adopted pursuant to Section 111.15 of

 

 

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1    this Act:
2            (i) a statement that the plan received the
3        affirmative vote of a majority of the directors in
4        office, at a meeting of the board of directors, and the
5        date of the meeting; or
6            (ii) a statement that the plan was adopted by
7        written consent, signed by all the directors in
8        office, in compliance with Section 108.45 of this Act;
9        and
10        (4) as to each corporation where the plan of merger or
11    consolidation was adopted pursuant to Section 111.20 of
12    this Act:
13            (i) a statement that the plan was adopted at a
14        meeting of members by the affirmative vote of members
15        having not less than the minimum number of votes
16        necessary to adopt the plan, as provided by this Act,
17        the articles of incorporation, or the bylaws, and the
18        date of the meeting; or
19            (ii) a statement that the plan was adopted by
20        written consent, signed by members having not less
21        than the minimum number of votes necessary to adopt
22        the plan, as provided by this Act, the articles of
23        incorporation or the bylaws, in compliance with
24        Section 107.10 of this Act.
25    (b) When the provisions of this Section have been complied
26with, the Secretary of State shall file the articles of merger

 

 

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1or consolidation.
2(Source: P.A. 91-357, eff. 7-29-99; 92-33, eff. 7-1-01;
3revised 7-18-19.)
 
4    Section 840. The Limited Worker Cooperative Association
5Act is amended by changing Section 25 as follows:
 
6    (805 ILCS 317/25)
7    Sec. 25. Articles of organization. (a) The articles of
8organization of a limited cooperative association shall state:
9        (1) the domestic entity name of the limited
10    cooperative association;
11        (2) the purposes for which the limited cooperative
12    association is formed, which may be for any lawful
13    purpose;
14        (3) the registered agent name and registered agent
15    address of the association's initial registered agent;
16        (4) the street address and, if different, mailing
17    address of the association's initial principal office;
18        (5) the true name and street address and, if
19    different, mailing address of each organizer; and
20        (6) any other provision, not inconsistent with law,
21    that the worker-members, members, or organizers elect to
22    set out in the articles for the regulation of the internal
23    affairs of the worker cooperative, including any
24    provisions that, under this Act, are required or permitted

 

 

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1    to be set out in the bylaws of the worker cooperative.
2(Source: P.A. 101-292, eff. 1-1-20; revised 9-4-20.)
 
3    Section 845. The Illinois Pre-Need Cemetery Sales Act is
4amended by changing Section 16 as follows:
 
5    (815 ILCS 390/16)  (from Ch. 21, par. 216)
6    Sec. 16. Trust funds; disbursements.
7    (a) A trustee shall make no disbursements from the trust
8fund except as provided in this Act.
9    (b) A trustee has a duty to invest and manage the trust
10assets pursuant to the Illinois Prudent Investor Law under
11Article 9 of the Illinois Trust Code. Whenever the seller
12changes trustees pursuant to this Act, the trustee must
13provide written notice of the change in trustees to the
14Comptroller no less than 28 days prior to the effective date of
15such a change in trustee. The trustee has an ongoing duty to
16provide the Comptroller with a current and true copy of the
17trust agreement under which the trust funds are held pursuant
18to this Act.
19    (c) The trustee may rely upon certifications and
20affidavits made to it under the provisions of this Act, and
21shall not be liable to any person for such reliance.
22    (d) A trustee shall be allowed to withdraw from the trust
23funds maintained pursuant to this Act a reasonable fee
24pursuant to the Illinois Trust Code.

 

 

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1    (e) The trust shall be a single-purpose trust fund. In the
2event of the seller's bankruptcy, insolvency or assignment for
3the benefit of creditors, or an adverse judgment, the trust
4funds shall not be available to any creditor as assets of the
5seller or to pay any expenses of any bankruptcy or similar
6proceeding, but shall be distributed to the purchasers or
7managed for their benefit by the trustee holding the funds.
8Except in an action by the Comptroller to revoke a license
9issued pursuant to this Act and for creation of a receivership
10as provided in this Act, the trust shall not be subject to
11judgment, execution, garnishment, attachment, or other seizure
12by process in bankruptcy or otherwise, nor to sale, pledge,
13mortgage, or other alienation, and shall not be assignable
14except as approved by the Comptroller. The changes made by
15this amendatory Act of the 91st General Assembly are intended
16to clarify existing law regarding the inability of licensees
17to pledge the trust.
18    (f) Because it is not known at the time of deposit or at
19the time that income is earned on the trust account to whom the
20principal and the accumulated earnings will be distributed,
21for purposes of determining the Illinois Income Tax due on
22these trust funds, the principal and any accrued earnings or
23losses relating to each individual account shall be held in
24suspense until the final determination is made as to whom the
25account shall be paid.
26    (g) A trustee shall at least annually furnish to each

 

 

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1purchaser a statement identifying: (1) the receipts,
2disbursements, and inventory of the trust, including an
3explanation of any fees or expenses charged by the trustee
4under paragraph (d) of this Section or otherwise, (2) an
5explanation of the purchaser's right to a refund, if any,
6under this Act, and (3) the primary regulator of the trust as a
7corporate fiduciary under state or federal law.
8    (h) If the trustee has reason to believe that the contact
9information for a purchaser is no longer valid, then the
10trustee shall promptly notify the seller. If the trustee has
11reason to believe that the purchaser is deceased, then the
12trustee shall promptly notify the seller. A trustee shall
13remit as provided in Section 18.5 of this Act any pre-need
14trust funds, including both the principal and any accrued
15earnings or losses, relating to an individual account that is
16presumed abandoned under Section 18.5.
17(Source: P.A. 101-48, eff. 1-1-20; 101-552, eff. 1-1-20;
18revised 9-17-19.)
 
19    Section 850. The Consumer Fraud and Deceptive Business
20Practices Act is amended by changing Section 2DDD as follows:
 
21    (815 ILCS 505/2DDD)
22    Sec. 2DDD. Alternative gas suppliers.
23    (a) Definitions.
24        (1) "Alternative gas supplier" has the same meaning as

 

 

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1    in Section 19-105 of the Public Utilities Act.
2        (2) "Gas utility" has the same meaning as in Section
3    19-105 of the Public Utilities Act.
4    (b) It is an unfair or deceptive act or practice within the
5meaning of Section 2 of this Act for any person to violate any
6provision of this Section.
7    (c) Solicitation.
8        (1) An alternative gas supplier shall not utilize the
9    name of a public utility in any manner that is deceptive or
10    misleading, including, but not limited to, implying or
11    otherwise leading a customer to believe that an
12    alternative gas supplier is soliciting on behalf of or is
13    an agent of a utility. An alternative gas supplier shall
14    not utilize the name, or any other identifying insignia,
15    graphics, or wording, that has been used at any time to
16    represent a public utility company or its services or to
17    identify, label, or define any of its natural gas supply
18    offers and shall not misrepresent the affiliation of any
19    alternative supplier with the gas utility, governmental
20    bodies, or consumer groups.
21        (2) If any sales solicitation, agreement, contract, or
22    verification is translated into another language and
23    provided to a customer, all of the documents must be
24    provided to the customer in that other language.
25        (2.3) An alternative gas supplier shall state that it
26    represents an independent seller of gas certified by the

 

 

SB2435- 2127 -LRB102 04062 AMC 14078 b

1    Illinois Commerce Commission and that he or she is not
2    employed by, representing, endorsed by, or acting on
3    behalf of a utility, or a utility program.
4        (2.5) All in-person and telephone solicitations shall
5    be conducted in, translated into, and provided in a
6    language in which the consumer subject to the marketing or
7    solicitation is able to understand and communicate. An
8    alternative gas supplier shall terminate a solicitation if
9    the consumer subject to the marketing or communication is
10    unable to understand and communicate in the language in
11    which the marketing or solicitation is being conducted. An
12    alternative gas supplier shall comply with Section 2N of
13    this Act.
14        (3) An alternative gas supplier shall clearly and
15    conspicuously disclose the following information to all
16    customers:
17            (A) the prices, terms, and conditions of the
18        products and services being sold to the customer;
19            (B) where the solicitation occurs in person,
20        including through door-to-door solicitation, the
21        salesperson's name;
22            (C) the alternative gas supplier's contact
23        information, including the address, phone number, and
24        website;
25            (D) contact information for the Illinois Commerce
26        Commission, including the toll-free number for

 

 

SB2435- 2128 -LRB102 04062 AMC 14078 b

1        consumer complaints and website;
2            (E) a statement of the customer's right to rescind
3        the offer within 10 business days of the date on the
4        utility's notice confirming the customer's decision to
5        switch suppliers, as well as phone numbers for the
6        supplier and utility that the consumer may use to
7        rescind the contract;
8            (F) the amount of the early termination fee, if
9        any; and
10            (G) the utility gas supply cost rates per therm
11        price available from the Illinois Commerce Commission
12        website applicable at the time the alternative gas
13        supplier is offering or selling the products or
14        services to the customer and shall disclose the
15        following statement:
16            "(Name of the alternative gas supplier) is not the
17        same entity as your gas delivery company. You are not
18        required to enroll with (name of alternative retail
19        gas supplier). Beginning on (effective date), the
20        utility gas supply cost rate per therm is (cost). The
21        utility gas supply cost will expire on (expiration
22        date). For more information go to the Illinois
23        Commerce Commission's free website at
24        www.icc.illinois.gov/ags/consumereducation.aspx.".
25        (4) Except as provided in paragraph (5) of this
26    subsection (c), an alternative gas supplier shall send the

 

 

SB2435- 2129 -LRB102 04062 AMC 14078 b

1    information described in paragraph (3) of this subsection
2    (c) to all customers within one business day of the
3    authorization of a switch.
4        (5) An alternative gas supplier engaging in
5    door-to-door solicitation of consumers shall provide the
6    information described in paragraph (3) of this subsection
7    (c) during all door-to-door solicitations that result in a
8    customer deciding to switch his or her their supplier.
9    (d) Customer Authorization. An alternative gas supplier
10shall not submit or execute a change in a customer's selection
11of a natural gas provider unless and until (i) the alternative
12gas supplier first discloses all material terms and conditions
13of the offer to the customer; (ii) the alternative gas
14supplier has obtained the customer's express agreement to
15accept the offer after the disclosure of all material terms
16and conditions of the offer; and (iii) the alternative gas
17supplier has confirmed the request for a change in accordance
18with one of the following procedures:
19        (1) The alternative gas supplier has obtained the
20    customer's written or electronically signed authorization
21    in a form that meets the following requirements:
22            (A) An alternative gas supplier shall obtain any
23        necessary written or electronically signed
24        authorization from a customer for a change in natural
25        gas service by using a letter of agency as specified in
26        this Section. Any letter of agency that does not

 

 

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1        conform with this Section is invalid.
2            (B) The letter of agency shall be a separate
3        document (or an easily separable document containing
4        only the authorization language described in item (E)
5        of this paragraph (1)) whose sole purpose is to
6        authorize a natural gas provider change. The letter of
7        agency must be signed and dated by the customer
8        requesting the natural gas provider change.
9            (C) The letter of agency shall not be combined
10        with inducements of any kind on the same document.
11            (D) Notwithstanding items (A) and (B) of this
12        paragraph (1), the letter of agency may be combined
13        with checks that contain only the required letter of
14        agency language prescribed in item (E) of this
15        paragraph (1) and the necessary information to make
16        the check a negotiable instrument. The letter of
17        agency check shall not contain any promotional
18        language or material. The letter of agency check shall
19        contain in easily readable, bold face type on the face
20        of the check, a notice that the consumer is
21        authorizing a natural gas provider change by signing
22        the check. The letter of agency language also shall be
23        placed near the signature line on the back of the
24        check.
25            (E) At a minimum, the letter of agency must be
26        printed with a print of sufficient size to be clearly

 

 

SB2435- 2131 -LRB102 04062 AMC 14078 b

1        legible, and must contain clear and unambiguous
2        language that confirms:
3                (i) the customer's billing name and address;
4                (ii) the decision to change the natural gas
5            provider from the current provider to the
6            prospective alternative gas supplier;
7                (iii) the terms, conditions, and nature of the
8            service to be provided to the customer, including,
9            but not limited to, the rates for the service
10            contracted for by the customer; and
11                (iv) that the customer understands that any
12            natural gas provider selection the customer
13            chooses may involve a charge to the customer for
14            changing the customer's natural gas provider.
15            (F) Letters of agency shall not suggest or require
16        that a customer take some action in order to retain the
17        customer's current natural gas provider.
18            (G) If any portion of a letter of agency is
19        translated into another language, then all portions of
20        the letter of agency must be translated into that
21        language.
22        (2) An appropriately qualified independent third party
23    has obtained, in accordance with the procedures set forth
24    in this paragraph (2), the customer's oral authorization
25    to change natural gas providers that confirms and includes
26    appropriate verification data. The independent third party

 

 

SB2435- 2132 -LRB102 04062 AMC 14078 b

1    must (i) not be owned, managed, controlled, or directed by
2    the alternative gas supplier or the alternative gas
3    supplier's marketing agent; (ii) not have any financial
4    incentive to confirm provider change requests for the
5    alternative gas supplier or the alternative gas supplier's
6    marketing agent; and (iii) operate in a location
7    physically separate from the alternative gas supplier or
8    the alternative gas supplier's marketing agent. Automated
9    third-party verification systems and 3-way conference
10    calls may be used for verification purposes so long as the
11    other requirements of this paragraph (2) are satisfied. An
12    A alternative gas supplier or alternative gas supplier's
13    sales representative initiating a 3-way conference call or
14    a call through an automated verification system must drop
15    off the call once the 3-way connection has been
16    established. All third-party verification methods shall
17    elicit, at a minimum, the following information:
18            (A) the identity of the customer;
19            (B) confirmation that the person on the call is
20        authorized to make the provider change;
21            (C) confirmation that the person on the call wants
22        to make the provider change;
23            (D) the names of the providers affected by the
24        change;
25            (E) the service address of the service to be
26        switched; and

 

 

SB2435- 2133 -LRB102 04062 AMC 14078 b

1            (F) the price of the service to be provided and the
2        material terms and conditions of the service being
3        offered, including whether any early termination fees
4        apply.
5        Third-party verifiers may not market the alternative
6    gas supplier's services. All third-party verifications
7    shall be conducted in the same language that was used in
8    the underlying sales transaction and shall be recorded in
9    their entirety. Submitting alternative gas suppliers shall
10    maintain and preserve audio records of verification of
11    customer authorization for a minimum period of 2 years
12    after obtaining the verification. Automated systems must
13    provide customers with an option to speak with a live
14    person at any time during the call. Each disclosure made
15    during the third-party verification must be made
16    individually to obtain clear acknowledgment of each
17    disclosure. The alternative gas supplier must be in a
18    location where he or she cannot hear the customer while
19    the third-party verification is conducted. The alternative
20    gas supplier shall not contact the customer after the
21    third-party verification for a period of 24 hours unless
22    the customer initiates the contact.
23        (3) The alternative gas supplier has obtained the
24    customer's electronic authorization to change natural gas
25    service via telephone. Such authorization must elicit the
26    information in subparagraphs (A) paragraph (2)(A) through

 

 

SB2435- 2134 -LRB102 04062 AMC 14078 b

1    (F) of paragraph (2) of this subsection (d). Alternative
2    gas suppliers electing to confirm sales electronically
3    shall establish one or more toll-free telephone numbers
4    exclusively for that purpose. Calls to the number or
5    numbers shall connect a customer to a voice response unit,
6    or similar mechanism, that makes a date-stamped,
7    time-stamped recording of the required information
8    regarding the alternative gas supplier change.
9        The alternative gas supplier shall not use such
10    electronic authorization systems to market its services.
11        (4) When a consumer initiates the call to the
12    prospective alternative gas supplier, in order to enroll
13    the consumer as a customer, the prospective alternative
14    gas supplier must, with the consent of the customer, make
15    a date-stamped, time-stamped audio recording that elicits,
16    at a minimum, the following information:
17            (A) the identity of the customer;
18            (B) confirmation that the person on the call is
19        authorized to make the provider change;
20            (C) confirmation that the person on the call wants
21        to make the provider change;
22            (D) the names of the providers affected by the
23        change;
24            (E) the service address of the service to be
25        switched; and
26            (F) the price of the service to be supplied and the

 

 

SB2435- 2135 -LRB102 04062 AMC 14078 b

1        material terms and conditions of the service being
2        offered, including whether any early termination fees
3        apply.
4        Submitting alternative gas suppliers shall maintain
5    and preserve the audio records containing the information
6    set forth above for a minimum period of 2 years.
7        (5) In the event that a customer enrolls for service
8    from an alternative gas supplier via an Internet website,
9    the alternative gas supplier shall obtain an
10    electronically signed letter of agency in accordance with
11    paragraph (1) of this subsection (d) and any customer
12    information shall be protected in accordance with all
13    applicable statutes and rules. In addition, an alternative
14    gas supplier shall provide the following when marketing
15    via an Internet website:
16            (A) The Internet enrollment website shall, at a
17        minimum, include:
18                (i) a copy of the alternative gas supplier's
19            customer contract, which clearly and conspicuously
20            discloses all terms and conditions; and
21                (ii) a conspicuous prompt for the customer to
22            print or save a copy of the contract.
23            (B) Any electronic version of the contract shall
24        be identified by version number, in order to ensure
25        the ability to verify the particular contract to which
26        the customer assents.

 

 

SB2435- 2136 -LRB102 04062 AMC 14078 b

1            (C) Throughout the duration of the alternative gas
2        supplier's contract with a customer, the alternative
3        gas supplier shall retain and, within 3 business days
4        of the customer's request, provide to the customer an
5        e-mail, paper, or facsimile of the terms and
6        conditions of the numbered contract version to which
7        the customer assents.
8            (D) The alternative gas supplier shall provide a
9        mechanism by which both the submission and receipt of
10        the electronic letter of agency are recorded by time
11        and date.
12            (E) After the customer completes the electronic
13        letter of agency, the alternative gas supplier shall
14        disclose conspicuously through its website that the
15        customer has been enrolled and the alternative gas
16        supplier shall provide the customer an enrollment
17        confirmation number.
18        (6) When a customer is solicited in person by the
19    alternative gas supplier's sales agent, the alternative
20    gas supplier may only obtain the customer's authorization
21    to change natural gas service through the method provided
22    for in paragraph (2) of this subsection (d).
23    Alternative gas suppliers must be in compliance with the
24provisions of this subsection (d) within 90 days after April
2510, 2009 (the effective date of Public Act 95-1051) this
26amendatory Act of the 95th General Assembly.

 

 

SB2435- 2137 -LRB102 04062 AMC 14078 b

1    (e) Early Termination.
2        (1) Beginning January 1, 2020, consumers shall have
3    the right to terminate their contract with an alternative
4    gas supplier at any time without any termination fees or
5    penalties.
6        (2) In any agreement that contains an early
7    termination clause, an alternative gas supplier shall
8    provide the customer the opportunity to terminate the
9    agreement without any termination fee or penalty within 10
10    business days after the date of the first bill issued to
11    the customer for products or services provided by the
12    alternative gas supplier. The agreement shall disclose the
13    opportunity and provide a toll-free phone number that the
14    customer may call in order to terminate the agreement.
15    (f) The alternative gas supplier shall provide each
16customer the opportunity to rescind its agreement without
17penalty within 10 business days after the date on the gas
18utility notice to the customer. The alternative gas supplier
19shall disclose to the customer all of the following:
20        (1) that the gas utility shall send a notice
21    confirming the switch;
22        (2) that from the date the utility issues the notice
23    confirming the switch, the customer shall have 10 business
24    days before the switch will become effective;
25        (3) that the customer may contact the gas utility or
26    the alternative gas supplier to rescind the switch within

 

 

SB2435- 2138 -LRB102 04062 AMC 14078 b

1    10 business days; and
2        (4) the contact information for the gas utility and
3    the alternative gas supplier.
4    The alternative gas supplier disclosure shall be included
5in its sales solicitations, contracts, and all applicable
6sales verification scripts.
7    (f-5)(1) Beginning January 1, 2020, an alternative gas
8supplier shall not sell or offer to sell any products or
9services to a consumer pursuant to a contract in which the
10contract automatically renews, unless an alternative gas
11supplier provides to the consumer at the outset of the offer,
12in addition to other disclosures required by law, a separate
13written statement titled "Automatic Contract Renewal" that
14clearly and conspicuously discloses in bold lettering in at
15least 12-point font the terms and conditions of the automatic
16contract renewal provision, including: (i) the estimated bill
17cycle on which the initial contract term expires and a
18statement that it could be later based on when the utility
19accepts the initial enrollment; (ii) the estimated bill cycle
20on which the new contract term begins and a statement that it
21will immediately follow the last billing cycle of the current
22term; (iii) the procedure to terminate the contract before the
23new contract term applies; and (iv) the cancellation
24procedure. If the alternative gas supplier sells or offers to
25sell the products or services to a consumer during an
26in-person solicitation or telemarketing solicitation, the

 

 

SB2435- 2139 -LRB102 04062 AMC 14078 b

1disclosures described in this paragraph (1) shall also be made
2to the consumer verbally during the solicitation. Nothing in
3this paragraph (1) shall be construed to apply to contracts
4entered into before January 1, 2020.
5    (2) At least 30 days before, but not more than 60 days
6prior, to the end of the initial contract term, in any and all
7contracts that automatically renew after the initial term, the
8alternative gas supplier shall send, in addition to other
9disclosures required by law, a separate written notice of the
10contract renewal to the consumer that clearly and
11conspicuously discloses the following:
12        (A) a statement printed or visible from the outside of
13    the envelope or in the subject line of the email, if the
14    customer has agreed to receive official documents by
15    email, that states "Contract Renewal Notice";
16        (B) a statement in bold lettering, in at least
17    12-point font, that the contract will automatically renew
18    unless the customer cancels it;
19        (C) the billing cycle in which service under the
20    current term will expire;
21        (D) the billing cycle in which service under the new
22    term will begin;
23        (E) the process and options available to the consumer
24    to reject the new contract terms;
25        (F) the cancellation process if the consumer's
26    contract automatically renews before the consumer rejects

 

 

SB2435- 2140 -LRB102 04062 AMC 14078 b

1    the new contract terms;
2        (G) the terms and conditions of the new contract term;
3        (H) for a fixed rate or flat bill contract, a
4    side-by-side comparison of the current fixed rate or flat
5    bill to the new fixed rate or flat bill; for a variable
6    rate contract or time-of-use product in which the first
7    month's renewal price can be determined, a side-by-side
8    comparison of the current price and the price for the
9    first month of the new variable or time-of-use price; or
10    for a variable or time-of-use contract based on a publicly
11    available index, a side-by-side comparison of the current
12    formula and the new formula; and
13        (I) the phone number and email address to submit a
14    consumer inquiry or complaint to the Illinois Commerce
15    Commission and the Office of the Attorney General.
16    (3) An alternative gas supplier shall not automatically
17renew a consumer's enrollment after the current term of the
18contract expires when the current term of the contract
19provides that the consumer will be charged a fixed rate and the
20renewed contract provides that the consumer will be charged a
21variable rate, unless: (i) the alternative gas supplier
22complies with paragraphs (1) and (2); and (ii) the customer
23expressly consents to the contract renewal in writing or by
24electronic signature at least 30 days, but no more than 60
25days, before the contract expires.
26    (4) An alternative gas supplier shall not submit a change

 

 

SB2435- 2141 -LRB102 04062 AMC 14078 b

1to a customer's gas service provider in violation of Section
219-116 of the Public Utilities Act.
3    (g) The provisions of this Section shall apply only to
4alternative gas suppliers serving or seeking to serve
5residential and small commercial customers and only to the
6extent such alternative gas suppliers provide services to
7residential and small commercial customers.
8(Source: P.A. 101-590, eff. 1-1-20; revised 9-4-20.)
 
9    Section 855. The Automatic Contract Renewal Act is amended
10by changing Section 5 as follows:
 
11    (815 ILCS 601/5)
12    Sec. 5. Definitions Definition. In this Act:
13    "Contract" means a written agreement between 2 or more
14parties.
15    "Parties" includes include individuals and other legal
16entities, but does do not include the federal government, this
17State or another state, or a unit of local government.
18(Source: P.A. 101-412, eff. 8-16-19; revised 9-4-20.)
 
19    Section 860. The Workplace Transparency Act is amended by
20changing Section 1-25 as follows:
 
21    (820 ILCS 96/1-25)
22    Sec. 1-25. Conditions of employment or continued

 

 

SB2435- 2142 -LRB102 04062 AMC 14078 b

1employment.
2    (a) Any agreement, clause, covenant, or waiver that is a
3unilateral condition of employment or continued employment and
4has the purpose or effect of preventing an employee or
5prospective employee from making truthful statements or
6disclosures about alleged unlawful employment practices is
7against public policy, void to the extent it prevents such
8statements or disclosures, and severable from an otherwise
9valid and enforceable contract under this Act.
10    (b) Any agreement, clause, covenant, or waiver that is a
11unilateral condition of employment or continued employment and
12requires the employee or prospective employee to waive,
13arbitrate, or otherwise diminish any existing or future claim,
14right, or benefit related to an unlawful employment practice
15to which the employee or prospective employee would otherwise
16be entitled under any provision of State or federal law, is
17against public policy, void to the extent it denies an
18employee or prospective employee a substantive or procedural
19right or remedy related to alleged unlawful employment
20practices, and severable from an otherwise valid and
21enforceable contract under this Act.
22    (c) Any agreement, clause, covenant, or waiver that is a
23mutual condition of employment or continued employment may
24include provisions that would otherwise be against public
25policy as a unilateral condition of employment or continued
26employment, but only if the agreement, clause, covenant, or

 

 

SB2435- 2143 -LRB102 04062 AMC 14078 b

1waiver is in writing, demonstrates actual, knowing, and
2bargained-for consideration from both parties, and
3acknowledges the right of the employee or prospective employee
4to:
5        (1) report any good faith allegation of unlawful
6    employment practices to any appropriate federal, State, or
7    local government agency enforcing discrimination laws;
8        (2) report any good faith allegation of criminal
9    conduct to any appropriate federal, State, or local
10    official;
11        (3) participate in a proceeding with any appropriate
12    federal, State, or local government agency enforcing
13    discrimination laws;
14        (4) make any truthful statements or disclosures
15    required by law, regulation, or legal process; and
16        (5) request or receive confidential legal advice.
17    (d) Failure to comply with the provisions of subsection
18(c) shall establish a rebuttable presumption that the
19agreement, clause, covenant, or waiver is a unilateral
20condition of employment or continued employment that is
21governed by subsection subsections (a) or (b).
22    (e) Nothing in this Section shall be construed to prevent
23an employee or prospective employee and an employer from
24negotiating and bargaining over the terms, privileges, and
25conditions of employment.
26(Source: P.A. 101-221, eff. 1-1-20; revised 9-12-19.)
 

 

 

SB2435- 2144 -LRB102 04062 AMC 14078 b

1    Section 865. The Workers' Compensation Act is amended by
2changing Section 4a-5 as follows:
 
3    (820 ILCS 305/4a-5)  (from Ch. 48, par. 138.4a-5)
4    Sec. 4a-5. There is hereby created a Self-Insurers
5Security Fund. The State Treasurer shall be the ex officio
6ex-officio custodian of the Self-Insurers Security Fund.
7Moneys in the Fund shall be deposited in a separate account in
8the same manner as are State Funds and any interest accruing
9thereon shall be added thereto every 6 months. It shall be
10subject to audit the same as State funds and accounts and shall
11be protected by the general bond given by the State Treasurer.
12The funds in the Self-Insurers Security Fund shall not be
13subject to appropriation and shall be made available for the
14purposes of compensating employees who are eligible to receive
15benefits from their employers pursuant to the provisions of
16the Workers' Compensation Act or Workers' Occupational
17Diseases Act, when, pursuant to this Section, the Board has
18determined that a private self-insurer has become an insolvent
19self-insurer and is unable to pay compensation benefits due to
20financial insolvency. Moneys in the Fund may be used to
21compensate any type of injury or occupational disease which is
22compensable under either Act, and all claims for related
23administrative fees, operating costs of the Board, attorney's
24fees, and other costs reasonably incurred by the Board. At the

 

 

SB2435- 2145 -LRB102 04062 AMC 14078 b

1discretion of the Chairman, moneys in the Self-Insurers
2Security Fund may also be used for paying the salaries and
3benefits of the Self-Insurers Advisory Board employees and the
4operating costs of the Board. Payment from the Self-Insurers
5Security Fund shall be made by the Comptroller only upon the
6authorization of the Chairman as evidenced by properly
7certified vouchers of the Commission, upon the direction of
8the Board.
9(Source: P.A. 101-40, eff. 1-1-20; revised 8-6-19.)
 
10    Section 870. The Hotel and Casino Employee Safety Act is
11amended by changing Sections 5-5, 5-10, and 5-15 as follows:
 
12    (820 ILCS 325/5-5)
13    (This Section may contain text from a Public Act with a
14delayed effective date)
15    Sec. 5-5. Definitions. As used in this Act:
16    "Casino" has the meaning ascribed to the term "riverboat"
17under the Illinois Riverboat Gambling Act.
18    "Casino employer" means any person, business, or
19organization that holds an owners license pursuant to the
20Illinois Riverboat Gambling Act that operates a casino and
21either directly employs or through a subcontractor, including
22through the services of a temporary staffing agency, exercises
23direction and control over any natural person who is working
24on the casino premises.

 

 

SB2435- 2146 -LRB102 04062 AMC 14078 b

1    "Complaining employee" means an employee who has alleged
2an instance of sexual assault or sexual harassment by a guest.
3    "Employee" means any natural person who works full-time or
4part-time for a hotel employer or casino employer for or under
5the direction of the hotel employer or casino employer or any
6subcontractor of the hotel employer or casino employer for
7wages or salary or remuneration of any type under a contract or
8subcontract of employment.
9    "Guest" means any invitee to a hotel or casino, including
10a registered guest, person occupying a guest room with a
11registered guest or other occupant of a guest room, person
12patronizing food or beverage facilities provided by the hotel
13or casino, or any other person whose presence at the hotel or
14casino is permitted by the hotel or casino. "Guest" does not
15include an employee.
16    "Guest room" means any room made available by a hotel for
17overnight occupancy by guests.
18    "Hotel" means any building or buildings maintained,
19advertised, and held out to the public to be a place where
20lodging is offered for consideration to travelers and guests.
21"Hotel" includes an inn, motel, tourist home or court, and
22lodging house.
23    "Hotel employer" means any person, business entity, or
24organization that operates a hotel and either directly employs
25or through a subcontractor, including through the services of
26a temporary staffing agency, exercises direction and control

 

 

SB2435- 2147 -LRB102 04062 AMC 14078 b

1over any natural person who is working on the hotel premises
2and employed in furtherance of the hotel's provision of
3lodging to travelers and guests.
4    "Notification device" or "safety device" means a portable
5emergency contact device, supplied by the hotel employer or
6casino employer, that utilizes technology that the hotel
7employer or casino employer deems appropriate for the hotel's
8or casino's size, physical layout, and technological
9capabilities and that is designed so that an employee can
10quickly and easily activate the device to alert a hotel or
11casino security officer, manager, or other appropriate hotel
12or casino staff member designated by the hotel or casino and
13effectively summon to the employee's location prompt
14assistance by a hotel or casino security officer, manager, or
15other appropriate hotel or casino staff member designated by
16the hotel or casino.
17    "Offending guest" means a guest a complaining employee has
18alleged sexually assaulted or sexually harassed the
19complaining employee.
20    "Restroom" means any room equipped with toilets or
21urinals.
22    "Sexual assault" means: (1) an act of sexual conduct, as
23defined in Section 11-0.1 of the Criminal Code of 2012; or (2)
24any act of sexual penetration, as defined in Section 11-0.1 of
25the Criminal Code of 2012 and includes, without limitation,
26acts prohibited under Sections 11-1.20 through 11-1.60 of the

 

 

SB2435- 2148 -LRB102 04062 AMC 14078 b

1Criminal Code of 2012.
2    "Sexual harassment" means any harassment or discrimination
3on the basis of an individual's actual or perceived sex or
4gender, including unwelcome sexual advances, requests for
5sexual favors, or other verbal or physical conduct of a sexual
6nature.
7(Source: P.A. 101-221, eff. 3-1-21 (See Section 50 of P.A.
8101-639 for effective date of P.A. 101-221); revised 6-16-20.)
 
9    (820 ILCS 325/5-10)
10    (This Section may contain text from a Public Act with a
11delayed effective date)
12    Sec. 5-10. Hotels and casinos; safety devices; anti-sexual
13harassment policies.
14    (a) Each hotel and casino shall equip an employee who is
15assigned to work in a guest room, restroom, or casino floor,
16under circumstances where no other employee is present in the
17room or area, with a safety device or notification device. The
18employee may use the safety device or notification device to
19summon help if the employee reasonably believes that an
20ongoing crime, sexual harassment, sexual assault, or other
21emergency is occurring in the employee's presence. The safety
22device or notification device shall be provided by the hotel
23or casino at no cost to the employee.
24    (b) Each hotel employer and casino employer shall develop,
25maintain, and comply with a written anti-sexual harassment

 

 

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1policy to protect employees against sexual assault and sexual
2harassment by guests. This policy shall:
3        (1) encourage an employee to immediately report to the
4    hotel employer or casino employer any instance of alleged
5    sexual assault or sexual harassment by a guest;
6        (2) describe the procedures that the complaining
7    employee and hotel employer or casino employer shall
8    follow in cases under paragraph (1);
9        (3) instruct the complaining employee to cease work
10    and to leave the immediate area where danger is perceived
11    until hotel or casino security personnel or police arrive
12    to provide assistance;
13        (4) offer temporary work assignments to the
14    complaining employee during the duration of the offending
15    guest's stay at the hotel or casino, which may include
16    assigning the complaining employee to work on a different
17    floor or at a different station or work area away from the
18    offending guest;
19        (5) provide the complaining employee with necessary
20    paid time off to:
21            (A) file a police report or criminal complaint
22        with the appropriate local authorities against the
23        offending guest; and
24            (B) if so required, testify as a witness at any
25        legal proceeding that may ensue as a result of the
26        criminal complaint filed against the offending guest,

 

 

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1        if the complaining employee is still in the employ of
2        the hotel or casino at the time the legal proceeding
3        occurs;
4        (6) inform the complaining employee that the Illinois
5    Human Rights Act and Title VII of the Civil Rights Act of
6    1964 provide additional protections against sexual
7    harassment in the workplace; and
8        (7) inform the complaining employee that Section 5-15
9    15 makes it illegal for an employer to retaliate against
10    any employee who: reasonably uses a safety device or
11    notification device; in good faith avails himself or
12    herself of the requirements set forth in paragraph (3),
13    (4), or (5); or discloses, reports, or testifies about any
14    violation of this Act or rules adopted under this Act.
15    Each hotel employer and casino employer shall provide all
16employees with a current copy in English and Spanish of the
17hotel employer's or casino employer's anti-sexual harassment
18policy and post the policy in English and Spanish in
19conspicuous places in areas of the hotel or casino, such as
20supply rooms or employee lunch rooms, where employees can
21reasonably be expected to see it. Each hotel employer and
22casino employer shall also make all reasonable efforts to
23provide employees with a current copy of its written
24anti-sexual harassment policy in any language other than
25English and Spanish that, in its sole discretion, is spoken by
26a predominant portion of its employees.

 

 

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1(Source: P.A. 101-221, eff. 3-1-21 (See Section 50 of P.A.
2101-639 for effective date of P.A. 101-221); revised 6-16-20.)
 
3    (820 ILCS 325/5-15)
4    (This Section may contain text from a Public Act with a
5delayed effective date)
6    Sec. 5-15. Retaliation prohibited. It is unlawful for a
7hotel employer or casino employer to retaliate against an
8employee for:
9        (1) reasonably using a safety device or notification
10    device;
11        (2) availing himself or herself of the provisions of
12    paragraph (3), (4), or (5) of subsection (b) of Section
13    5-10 10; or
14        (3) disclosing, reporting, or testifying about any
15    violation of this Act or any rule adopted under this Act.
16(Source: P.A. 101-221, eff. 3-1-21 (See Section 50 of P.A.
17101-639 for effective date of P.A. 101-221); revised 6-16-20.)
 
18    Section 875. The Illinois Income Tax Act is amended by
19changing Sections 201, 208, 502, and 901 as follows:
 
20    (35 ILCS 5/201)
21    (Text of Section without the changes made by P.A. 101-8,
22which did not take effect (see Section 99 of P.A. 101-8))
23    Sec. 201. Tax imposed.

 

 

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1    (a) In general. A tax measured by net income is hereby
2imposed on every individual, corporation, trust and estate for
3each taxable year ending after July 31, 1969 on the privilege
4of earning or receiving income in or as a resident of this
5State. Such tax shall be in addition to all other occupation or
6privilege taxes imposed by this State or by any municipal
7corporation or political subdivision thereof.
8    (b) Rates. The tax imposed by subsection (a) of this
9Section shall be determined as follows, except as adjusted by
10subsection (d-1):
11        (1) In the case of an individual, trust or estate, for
12    taxable years ending prior to July 1, 1989, an amount
13    equal to 2 1/2% of the taxpayer's net income for the
14    taxable year.
15        (2) In the case of an individual, trust or estate, for
16    taxable years beginning prior to July 1, 1989 and ending
17    after June 30, 1989, an amount equal to the sum of (i) 2
18    1/2% of the taxpayer's net income for the period prior to
19    July 1, 1989, as calculated under Section 202.3, and (ii)
20    3% of the taxpayer's net income for the period after June
21    30, 1989, as calculated under Section 202.3.
22        (3) In the case of an individual, trust or estate, for
23    taxable years beginning after June 30, 1989, and ending
24    prior to January 1, 2011, an amount equal to 3% of the
25    taxpayer's net income for the taxable year.
26        (4) In the case of an individual, trust, or estate,

 

 

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1    for taxable years beginning prior to January 1, 2011, and
2    ending after December 31, 2010, an amount equal to the sum
3    of (i) 3% of the taxpayer's net income for the period prior
4    to January 1, 2011, as calculated under Section 202.5, and
5    (ii) 5% of the taxpayer's net income for the period after
6    December 31, 2010, as calculated under Section 202.5.
7        (5) In the case of an individual, trust, or estate,
8    for taxable years beginning on or after January 1, 2011,
9    and ending prior to January 1, 2015, an amount equal to 5%
10    of the taxpayer's net income for the taxable year.
11        (5.1) In the case of an individual, trust, or estate,
12    for taxable years beginning prior to January 1, 2015, and
13    ending after December 31, 2014, an amount equal to the sum
14    of (i) 5% of the taxpayer's net income for the period prior
15    to January 1, 2015, as calculated under Section 202.5, and
16    (ii) 3.75% of the taxpayer's net income for the period
17    after December 31, 2014, as calculated under Section
18    202.5.
19        (5.2) In the case of an individual, trust, or estate,
20    for taxable years beginning on or after January 1, 2015,
21    and ending prior to July 1, 2017, an amount equal to 3.75%
22    of the taxpayer's net income for the taxable year.
23        (5.3) In the case of an individual, trust, or estate,
24    for taxable years beginning prior to July 1, 2017, and
25    ending after June 30, 2017, an amount equal to the sum of
26    (i) 3.75% of the taxpayer's net income for the period

 

 

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1    prior to July 1, 2017, as calculated under Section 202.5,
2    and (ii) 4.95% of the taxpayer's net income for the period
3    after June 30, 2017, as calculated under Section 202.5.
4        (5.4) In the case of an individual, trust, or estate,
5    for taxable years beginning on or after July 1, 2017, an
6    amount equal to 4.95% of the taxpayer's net income for the
7    taxable year.
8        (6) In the case of a corporation, for taxable years
9    ending prior to July 1, 1989, an amount equal to 4% of the
10    taxpayer's net income for the taxable year.
11        (7) In the case of a corporation, for taxable years
12    beginning prior to July 1, 1989 and ending after June 30,
13    1989, an amount equal to the sum of (i) 4% of the
14    taxpayer's net income for the period prior to July 1,
15    1989, as calculated under Section 202.3, and (ii) 4.8% of
16    the taxpayer's net income for the period after June 30,
17    1989, as calculated under Section 202.3.
18        (8) In the case of a corporation, for taxable years
19    beginning after June 30, 1989, and ending prior to January
20    1, 2011, an amount equal to 4.8% of the taxpayer's net
21    income for the taxable year.
22        (9) In the case of a corporation, for taxable years
23    beginning prior to January 1, 2011, and ending after
24    December 31, 2010, an amount equal to the sum of (i) 4.8%
25    of the taxpayer's net income for the period prior to
26    January 1, 2011, as calculated under Section 202.5, and

 

 

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1    (ii) 7% of the taxpayer's net income for the period after
2    December 31, 2010, as calculated under Section 202.5.
3        (10) In the case of a corporation, for taxable years
4    beginning on or after January 1, 2011, and ending prior to
5    January 1, 2015, an amount equal to 7% of the taxpayer's
6    net income for the taxable year.
7        (11) In the case of a corporation, for taxable years
8    beginning prior to January 1, 2015, and ending after
9    December 31, 2014, an amount equal to the sum of (i) 7% of
10    the taxpayer's net income for the period prior to January
11    1, 2015, as calculated under Section 202.5, and (ii) 5.25%
12    of the taxpayer's net income for the period after December
13    31, 2014, as calculated under Section 202.5.
14        (12) In the case of a corporation, for taxable years
15    beginning on or after January 1, 2015, and ending prior to
16    July 1, 2017, an amount equal to 5.25% of the taxpayer's
17    net income for the taxable year.
18        (13) In the case of a corporation, for taxable years
19    beginning prior to July 1, 2017, and ending after June 30,
20    2017, an amount equal to the sum of (i) 5.25% of the
21    taxpayer's net income for the period prior to July 1,
22    2017, as calculated under Section 202.5, and (ii) 7% of
23    the taxpayer's net income for the period after June 30,
24    2017, as calculated under Section 202.5.
25        (14) In the case of a corporation, for taxable years
26    beginning on or after July 1, 2017, an amount equal to 7%

 

 

SB2435- 2156 -LRB102 04062 AMC 14078 b

1    of the taxpayer's net income for the taxable year.
2    The rates under this subsection (b) are subject to the
3provisions of Section 201.5.
4    (b-5) Surcharge; sale or exchange of assets, properties,
5and intangibles of organization gaming licensees. For each of
6taxable years 2019 through 2027, a surcharge is imposed on all
7taxpayers on income arising from the sale or exchange of
8capital assets, depreciable business property, real property
9used in the trade or business, and Section 197 intangibles (i)
10of an organization licensee under the Illinois Horse Racing
11Act of 1975 and (ii) of an organization gaming licensee under
12the Illinois Gambling Act. The amount of the surcharge is
13equal to the amount of federal income tax liability for the
14taxable year attributable to those sales and exchanges. The
15surcharge imposed shall not apply if:
16        (1) the organization gaming license, organization
17    license, or racetrack property is transferred as a result
18    of any of the following:
19            (A) bankruptcy, a receivership, or a debt
20        adjustment initiated by or against the initial
21        licensee or the substantial owners of the initial
22        licensee;
23            (B) cancellation, revocation, or termination of
24        any such license by the Illinois Gaming Board or the
25        Illinois Racing Board;
26            (C) a determination by the Illinois Gaming Board

 

 

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1        that transfer of the license is in the best interests
2        of Illinois gaming;
3            (D) the death of an owner of the equity interest in
4        a licensee;
5            (E) the acquisition of a controlling interest in
6        the stock or substantially all of the assets of a
7        publicly traded company;
8            (F) a transfer by a parent company to a wholly
9        owned subsidiary; or
10            (G) the transfer or sale to or by one person to
11        another person where both persons were initial owners
12        of the license when the license was issued; or
13        (2) the controlling interest in the organization
14    gaming license, organization license, or racetrack
15    property is transferred in a transaction to lineal
16    descendants in which no gain or loss is recognized or as a
17    result of a transaction in accordance with Section 351 of
18    the Internal Revenue Code in which no gain or loss is
19    recognized; or
20        (3) live horse racing was not conducted in 2010 at a
21    racetrack located within 3 miles of the Mississippi River
22    under a license issued pursuant to the Illinois Horse
23    Racing Act of 1975.
24    The transfer of an organization gaming license,
25organization license, or racetrack property by a person other
26than the initial licensee to receive the organization gaming

 

 

SB2435- 2158 -LRB102 04062 AMC 14078 b

1license is not subject to a surcharge. The Department shall
2adopt rules necessary to implement and administer this
3subsection.
4    (c) Personal Property Tax Replacement Income Tax.
5Beginning on July 1, 1979 and thereafter, in addition to such
6income tax, there is also hereby imposed the Personal Property
7Tax Replacement Income Tax measured by net income on every
8corporation (including Subchapter S corporations), partnership
9and trust, for each taxable year ending after June 30, 1979.
10Such taxes are imposed on the privilege of earning or
11receiving income in or as a resident of this State. The
12Personal Property Tax Replacement Income Tax shall be in
13addition to the income tax imposed by subsections (a) and (b)
14of this Section and in addition to all other occupation or
15privilege taxes imposed by this State or by any municipal
16corporation or political subdivision thereof.
17    (d) Additional Personal Property Tax Replacement Income
18Tax Rates. The personal property tax replacement income tax
19imposed by this subsection and subsection (c) of this Section
20in the case of a corporation, other than a Subchapter S
21corporation and except as adjusted by subsection (d-1), shall
22be an additional amount equal to 2.85% of such taxpayer's net
23income for the taxable year, except that beginning on January
241, 1981, and thereafter, the rate of 2.85% specified in this
25subsection shall be reduced to 2.5%, and in the case of a
26partnership, trust or a Subchapter S corporation shall be an

 

 

SB2435- 2159 -LRB102 04062 AMC 14078 b

1additional amount equal to 1.5% of such taxpayer's net income
2for the taxable year.
3    (d-1) Rate reduction for certain foreign insurers. In the
4case of a foreign insurer, as defined by Section 35A-5 of the
5Illinois Insurance Code, whose state or country of domicile
6imposes on insurers domiciled in Illinois a retaliatory tax
7(excluding any insurer whose premiums from reinsurance assumed
8are 50% or more of its total insurance premiums as determined
9under paragraph (2) of subsection (b) of Section 304, except
10that for purposes of this determination premiums from
11reinsurance do not include premiums from inter-affiliate
12reinsurance arrangements), beginning with taxable years ending
13on or after December 31, 1999, the sum of the rates of tax
14imposed by subsections (b) and (d) shall be reduced (but not
15increased) to the rate at which the total amount of tax imposed
16under this Act, net of all credits allowed under this Act,
17shall equal (i) the total amount of tax that would be imposed
18on the foreign insurer's net income allocable to Illinois for
19the taxable year by such foreign insurer's state or country of
20domicile if that net income were subject to all income taxes
21and taxes measured by net income imposed by such foreign
22insurer's state or country of domicile, net of all credits
23allowed or (ii) a rate of zero if no such tax is imposed on
24such income by the foreign insurer's state of domicile. For
25the purposes of this subsection (d-1), an inter-affiliate
26includes a mutual insurer under common management.

 

 

SB2435- 2160 -LRB102 04062 AMC 14078 b

1        (1) For the purposes of subsection (d-1), in no event
2    shall the sum of the rates of tax imposed by subsections
3    (b) and (d) be reduced below the rate at which the sum of:
4            (A) the total amount of tax imposed on such
5        foreign insurer under this Act for a taxable year, net
6        of all credits allowed under this Act, plus
7            (B) the privilege tax imposed by Section 409 of
8        the Illinois Insurance Code, the fire insurance
9        company tax imposed by Section 12 of the Fire
10        Investigation Act, and the fire department taxes
11        imposed under Section 11-10-1 of the Illinois
12        Municipal Code,
13    equals 1.25% for taxable years ending prior to December
14    31, 2003, or 1.75% for taxable years ending on or after
15    December 31, 2003, of the net taxable premiums written for
16    the taxable year, as described by subsection (1) of
17    Section 409 of the Illinois Insurance Code. This paragraph
18    will in no event increase the rates imposed under
19    subsections (b) and (d).
20        (2) Any reduction in the rates of tax imposed by this
21    subsection shall be applied first against the rates
22    imposed by subsection (b) and only after the tax imposed
23    by subsection (a) net of all credits allowed under this
24    Section other than the credit allowed under subsection (i)
25    has been reduced to zero, against the rates imposed by
26    subsection (d).

 

 

SB2435- 2161 -LRB102 04062 AMC 14078 b

1    This subsection (d-1) is exempt from the provisions of
2Section 250.
3    (e) Investment credit. A taxpayer shall be allowed a
4credit against the Personal Property Tax Replacement Income
5Tax for investment in qualified property.
6        (1) A taxpayer shall be allowed a credit equal to .5%
7    of the basis of qualified property placed in service
8    during the taxable year, provided such property is placed
9    in service on or after July 1, 1984. There shall be allowed
10    an additional credit equal to .5% of the basis of
11    qualified property placed in service during the taxable
12    year, provided such property is placed in service on or
13    after July 1, 1986, and the taxpayer's base employment
14    within Illinois has increased by 1% or more over the
15    preceding year as determined by the taxpayer's employment
16    records filed with the Illinois Department of Employment
17    Security. Taxpayers who are new to Illinois shall be
18    deemed to have met the 1% growth in base employment for the
19    first year in which they file employment records with the
20    Illinois Department of Employment Security. The provisions
21    added to this Section by Public Act 85-1200 (and restored
22    by Public Act 87-895) shall be construed as declaratory of
23    existing law and not as a new enactment. If, in any year,
24    the increase in base employment within Illinois over the
25    preceding year is less than 1%, the additional credit
26    shall be limited to that percentage times a fraction, the

 

 

SB2435- 2162 -LRB102 04062 AMC 14078 b

1    numerator of which is .5% and the denominator of which is
2    1%, but shall not exceed .5%. The investment credit shall
3    not be allowed to the extent that it would reduce a
4    taxpayer's liability in any tax year below zero, nor may
5    any credit for qualified property be allowed for any year
6    other than the year in which the property was placed in
7    service in Illinois. For tax years ending on or after
8    December 31, 1987, and on or before December 31, 1988, the
9    credit shall be allowed for the tax year in which the
10    property is placed in service, or, if the amount of the
11    credit exceeds the tax liability for that year, whether it
12    exceeds the original liability or the liability as later
13    amended, such excess may be carried forward and applied to
14    the tax liability of the 5 taxable years following the
15    excess credit years if the taxpayer (i) makes investments
16    which cause the creation of a minimum of 2,000 full-time
17    equivalent jobs in Illinois, (ii) is located in an
18    enterprise zone established pursuant to the Illinois
19    Enterprise Zone Act and (iii) is certified by the
20    Department of Commerce and Community Affairs (now
21    Department of Commerce and Economic Opportunity) as
22    complying with the requirements specified in clause (i)
23    and (ii) by July 1, 1986. The Department of Commerce and
24    Community Affairs (now Department of Commerce and Economic
25    Opportunity) shall notify the Department of Revenue of all
26    such certifications immediately. For tax years ending

 

 

SB2435- 2163 -LRB102 04062 AMC 14078 b

1    after December 31, 1988, the credit shall be allowed for
2    the tax year in which the property is placed in service,
3    or, if the amount of the credit exceeds the tax liability
4    for that year, whether it exceeds the original liability
5    or the liability as later amended, such excess may be
6    carried forward and applied to the tax liability of the 5
7    taxable years following the excess credit years. The
8    credit shall be applied to the earliest year for which
9    there is a liability. If there is credit from more than one
10    tax year that is available to offset a liability, earlier
11    credit shall be applied first.
12        (2) The term "qualified property" means property
13    which:
14            (A) is tangible, whether new or used, including
15        buildings and structural components of buildings and
16        signs that are real property, but not including land
17        or improvements to real property that are not a
18        structural component of a building such as
19        landscaping, sewer lines, local access roads, fencing,
20        parking lots, and other appurtenances;
21            (B) is depreciable pursuant to Section 167 of the
22        Internal Revenue Code, except that "3-year property"
23        as defined in Section 168(c)(2)(A) of that Code is not
24        eligible for the credit provided by this subsection
25        (e);
26            (C) is acquired by purchase as defined in Section

 

 

SB2435- 2164 -LRB102 04062 AMC 14078 b

1        179(d) of the Internal Revenue Code;
2            (D) is used in Illinois by a taxpayer who is
3        primarily engaged in manufacturing, or in mining coal
4        or fluorite, or in retailing, or was placed in service
5        on or after July 1, 2006 in a River Edge Redevelopment
6        Zone established pursuant to the River Edge
7        Redevelopment Zone Act; and
8            (E) has not previously been used in Illinois in
9        such a manner and by such a person as would qualify for
10        the credit provided by this subsection (e) or
11        subsection (f).
12        (3) For purposes of this subsection (e),
13    "manufacturing" means the material staging and production
14    of tangible personal property by procedures commonly
15    regarded as manufacturing, processing, fabrication, or
16    assembling which changes some existing material into new
17    shapes, new qualities, or new combinations. For purposes
18    of this subsection (e) the term "mining" shall have the
19    same meaning as the term "mining" in Section 613(c) of the
20    Internal Revenue Code. For purposes of this subsection
21    (e), the term "retailing" means the sale of tangible
22    personal property for use or consumption and not for
23    resale, or services rendered in conjunction with the sale
24    of tangible personal property for use or consumption and
25    not for resale. For purposes of this subsection (e),
26    "tangible personal property" has the same meaning as when

 

 

SB2435- 2165 -LRB102 04062 AMC 14078 b

1    that term is used in the Retailers' Occupation Tax Act,
2    and, for taxable years ending after December 31, 2008,
3    does not include the generation, transmission, or
4    distribution of electricity.
5        (4) The basis of qualified property shall be the basis
6    used to compute the depreciation deduction for federal
7    income tax purposes.
8        (5) If the basis of the property for federal income
9    tax depreciation purposes is increased after it has been
10    placed in service in Illinois by the taxpayer, the amount
11    of such increase shall be deemed property placed in
12    service on the date of such increase in basis.
13        (6) The term "placed in service" shall have the same
14    meaning as under Section 46 of the Internal Revenue Code.
15        (7) If during any taxable year, any property ceases to
16    be qualified property in the hands of the taxpayer within
17    48 months after being placed in service, or the situs of
18    any qualified property is moved outside Illinois within 48
19    months after being placed in service, the Personal
20    Property Tax Replacement Income Tax for such taxable year
21    shall be increased. Such increase shall be determined by
22    (i) recomputing the investment credit which would have
23    been allowed for the year in which credit for such
24    property was originally allowed by eliminating such
25    property from such computation and, (ii) subtracting such
26    recomputed credit from the amount of credit previously

 

 

SB2435- 2166 -LRB102 04062 AMC 14078 b

1    allowed. For the purposes of this paragraph (7), a
2    reduction of the basis of qualified property resulting
3    from a redetermination of the purchase price shall be
4    deemed a disposition of qualified property to the extent
5    of such reduction.
6        (8) Unless the investment credit is extended by law,
7    the basis of qualified property shall not include costs
8    incurred after December 31, 2018, except for costs
9    incurred pursuant to a binding contract entered into on or
10    before December 31, 2018.
11        (9) Each taxable year ending before December 31, 2000,
12    a partnership may elect to pass through to its partners
13    the credits to which the partnership is entitled under
14    this subsection (e) for the taxable year. A partner may
15    use the credit allocated to him or her under this
16    paragraph only against the tax imposed in subsections (c)
17    and (d) of this Section. If the partnership makes that
18    election, those credits shall be allocated among the
19    partners in the partnership in accordance with the rules
20    set forth in Section 704(b) of the Internal Revenue Code,
21    and the rules promulgated under that Section, and the
22    allocated amount of the credits shall be allowed to the
23    partners for that taxable year. The partnership shall make
24    this election on its Personal Property Tax Replacement
25    Income Tax return for that taxable year. The election to
26    pass through the credits shall be irrevocable.

 

 

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1        For taxable years ending on or after December 31,
2    2000, a partner that qualifies its partnership for a
3    subtraction under subparagraph (I) of paragraph (2) of
4    subsection (d) of Section 203 or a shareholder that
5    qualifies a Subchapter S corporation for a subtraction
6    under subparagraph (S) of paragraph (2) of subsection (b)
7    of Section 203 shall be allowed a credit under this
8    subsection (e) equal to its share of the credit earned
9    under this subsection (e) during the taxable year by the
10    partnership or Subchapter S corporation, determined in
11    accordance with the determination of income and
12    distributive share of income under Sections 702 and 704
13    and Subchapter S of the Internal Revenue Code. This
14    paragraph is exempt from the provisions of Section 250.
15    (f) Investment credit; Enterprise Zone; River Edge
16Redevelopment Zone.
17        (1) A taxpayer shall be allowed a credit against the
18    tax imposed by subsections (a) and (b) of this Section for
19    investment in qualified property which is placed in
20    service in an Enterprise Zone created pursuant to the
21    Illinois Enterprise Zone Act or, for property placed in
22    service on or after July 1, 2006, a River Edge
23    Redevelopment Zone established pursuant to the River Edge
24    Redevelopment Zone Act. For partners, shareholders of
25    Subchapter S corporations, and owners of limited liability
26    companies, if the liability company is treated as a

 

 

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1    partnership for purposes of federal and State income
2    taxation, there shall be allowed a credit under this
3    subsection (f) to be determined in accordance with the
4    determination of income and distributive share of income
5    under Sections 702 and 704 and Subchapter S of the
6    Internal Revenue Code. The credit shall be .5% of the
7    basis for such property. The credit shall be available
8    only in the taxable year in which the property is placed in
9    service in the Enterprise Zone or River Edge Redevelopment
10    Zone and shall not be allowed to the extent that it would
11    reduce a taxpayer's liability for the tax imposed by
12    subsections (a) and (b) of this Section to below zero. For
13    tax years ending on or after December 31, 1985, the credit
14    shall be allowed for the tax year in which the property is
15    placed in service, or, if the amount of the credit exceeds
16    the tax liability for that year, whether it exceeds the
17    original liability or the liability as later amended, such
18    excess may be carried forward and applied to the tax
19    liability of the 5 taxable years following the excess
20    credit year. The credit shall be applied to the earliest
21    year for which there is a liability. If there is credit
22    from more than one tax year that is available to offset a
23    liability, the credit accruing first in time shall be
24    applied first.
25        (2) The term qualified property means property which:
26            (A) is tangible, whether new or used, including

 

 

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1        buildings and structural components of buildings;
2            (B) is depreciable pursuant to Section 167 of the
3        Internal Revenue Code, except that "3-year property"
4        as defined in Section 168(c)(2)(A) of that Code is not
5        eligible for the credit provided by this subsection
6        (f);
7            (C) is acquired by purchase as defined in Section
8        179(d) of the Internal Revenue Code;
9            (D) is used in the Enterprise Zone or River Edge
10        Redevelopment Zone by the taxpayer; and
11            (E) has not been previously used in Illinois in
12        such a manner and by such a person as would qualify for
13        the credit provided by this subsection (f) or
14        subsection (e).
15        (3) The basis of qualified property shall be the basis
16    used to compute the depreciation deduction for federal
17    income tax purposes.
18        (4) If the basis of the property for federal income
19    tax depreciation purposes is increased after it has been
20    placed in service in the Enterprise Zone or River Edge
21    Redevelopment Zone by the taxpayer, the amount of such
22    increase shall be deemed property placed in service on the
23    date of such increase in basis.
24        (5) The term "placed in service" shall have the same
25    meaning as under Section 46 of the Internal Revenue Code.
26        (6) If during any taxable year, any property ceases to

 

 

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1    be qualified property in the hands of the taxpayer within
2    48 months after being placed in service, or the situs of
3    any qualified property is moved outside the Enterprise
4    Zone or River Edge Redevelopment Zone within 48 months
5    after being placed in service, the tax imposed under
6    subsections (a) and (b) of this Section for such taxable
7    year shall be increased. Such increase shall be determined
8    by (i) recomputing the investment credit which would have
9    been allowed for the year in which credit for such
10    property was originally allowed by eliminating such
11    property from such computation, and (ii) subtracting such
12    recomputed credit from the amount of credit previously
13    allowed. For the purposes of this paragraph (6), a
14    reduction of the basis of qualified property resulting
15    from a redetermination of the purchase price shall be
16    deemed a disposition of qualified property to the extent
17    of such reduction.
18        (7) There shall be allowed an additional credit equal
19    to 0.5% of the basis of qualified property placed in
20    service during the taxable year in a River Edge
21    Redevelopment Zone, provided such property is placed in
22    service on or after July 1, 2006, and the taxpayer's base
23    employment within Illinois has increased by 1% or more
24    over the preceding year as determined by the taxpayer's
25    employment records filed with the Illinois Department of
26    Employment Security. Taxpayers who are new to Illinois

 

 

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1    shall be deemed to have met the 1% growth in base
2    employment for the first year in which they file
3    employment records with the Illinois Department of
4    Employment Security. If, in any year, the increase in base
5    employment within Illinois over the preceding year is less
6    than 1%, the additional credit shall be limited to that
7    percentage times a fraction, the numerator of which is
8    0.5% and the denominator of which is 1%, but shall not
9    exceed 0.5%.
10        (8) For taxable years beginning on or after January 1,
11    2021, there shall be allowed an Enterprise Zone
12    construction jobs credit against the taxes imposed under
13    subsections (a) and (b) of this Section as provided in
14    Section 13 of the Illinois Enterprise Zone Act.
15        The credit or credits may not reduce the taxpayer's
16    liability to less than zero. If the amount of the credit or
17    credits exceeds the taxpayer's liability, the excess may
18    be carried forward and applied against the taxpayer's
19    liability in succeeding calendar years in the same manner
20    provided under paragraph (4) of Section 211 of this Act.
21    The credit or credits shall be applied to the earliest
22    year for which there is a tax liability. If there are
23    credits from more than one taxable year that are available
24    to offset a liability, the earlier credit shall be applied
25    first.
26        For partners, shareholders of Subchapter S

 

 

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1    corporations, and owners of limited liability companies,
2    if the liability company is treated as a partnership for
3    the purposes of federal and State income taxation, there
4    shall be allowed a credit under this Section to be
5    determined in accordance with the determination of income
6    and distributive share of income under Sections 702 and
7    704 and Subchapter S of the Internal Revenue Code.
8        The total aggregate amount of credits awarded under
9    the Blue Collar Jobs Act (Article 20 of Public Act 101-9
10    this amendatory Act of the 101st General Assembly) shall
11    not exceed $20,000,000 in any State fiscal year.
12        This paragraph (8) is exempt from the provisions of
13    Section 250.
14    (g) (Blank).
15    (h) Investment credit; High Impact Business.
16        (1) Subject to subsections (b) and (b-5) of Section
17    5.5 of the Illinois Enterprise Zone Act, a taxpayer shall
18    be allowed a credit against the tax imposed by subsections
19    (a) and (b) of this Section for investment in qualified
20    property which is placed in service by a Department of
21    Commerce and Economic Opportunity designated High Impact
22    Business. The credit shall be .5% of the basis for such
23    property. The credit shall not be available (i) until the
24    minimum investments in qualified property set forth in
25    subdivision (a)(3)(A) of Section 5.5 of the Illinois
26    Enterprise Zone Act have been satisfied or (ii) until the

 

 

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1    time authorized in subsection (b-5) of the Illinois
2    Enterprise Zone Act for entities designated as High Impact
3    Businesses under subdivisions (a)(3)(B), (a)(3)(C), and
4    (a)(3)(D) of Section 5.5 of the Illinois Enterprise Zone
5    Act, and shall not be allowed to the extent that it would
6    reduce a taxpayer's liability for the tax imposed by
7    subsections (a) and (b) of this Section to below zero. The
8    credit applicable to such investments shall be taken in
9    the taxable year in which such investments have been
10    completed. The credit for additional investments beyond
11    the minimum investment by a designated high impact
12    business authorized under subdivision (a)(3)(A) of Section
13    5.5 of the Illinois Enterprise Zone Act shall be available
14    only in the taxable year in which the property is placed in
15    service and shall not be allowed to the extent that it
16    would reduce a taxpayer's liability for the tax imposed by
17    subsections (a) and (b) of this Section to below zero. For
18    tax years ending on or after December 31, 1987, the credit
19    shall be allowed for the tax year in which the property is
20    placed in service, or, if the amount of the credit exceeds
21    the tax liability for that year, whether it exceeds the
22    original liability or the liability as later amended, such
23    excess may be carried forward and applied to the tax
24    liability of the 5 taxable years following the excess
25    credit year. The credit shall be applied to the earliest
26    year for which there is a liability. If there is credit

 

 

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1    from more than one tax year that is available to offset a
2    liability, the credit accruing first in time shall be
3    applied first.
4        Changes made in this subdivision (h)(1) by Public Act
5    88-670 restore changes made by Public Act 85-1182 and
6    reflect existing law.
7        (2) The term qualified property means property which:
8            (A) is tangible, whether new or used, including
9        buildings and structural components of buildings;
10            (B) is depreciable pursuant to Section 167 of the
11        Internal Revenue Code, except that "3-year property"
12        as defined in Section 168(c)(2)(A) of that Code is not
13        eligible for the credit provided by this subsection
14        (h);
15            (C) is acquired by purchase as defined in Section
16        179(d) of the Internal Revenue Code; and
17            (D) is not eligible for the Enterprise Zone
18        Investment Credit provided by subsection (f) of this
19        Section.
20        (3) The basis of qualified property shall be the basis
21    used to compute the depreciation deduction for federal
22    income tax purposes.
23        (4) If the basis of the property for federal income
24    tax depreciation purposes is increased after it has been
25    placed in service in a federally designated Foreign Trade
26    Zone or Sub-Zone located in Illinois by the taxpayer, the

 

 

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1    amount of such increase shall be deemed property placed in
2    service on the date of such increase in basis.
3        (5) The term "placed in service" shall have the same
4    meaning as under Section 46 of the Internal Revenue Code.
5        (6) If during any taxable year ending on or before
6    December 31, 1996, any property ceases to be qualified
7    property in the hands of the taxpayer within 48 months
8    after being placed in service, or the situs of any
9    qualified property is moved outside Illinois within 48
10    months after being placed in service, the tax imposed
11    under subsections (a) and (b) of this Section for such
12    taxable year shall be increased. Such increase shall be
13    determined by (i) recomputing the investment credit which
14    would have been allowed for the year in which credit for
15    such property was originally allowed by eliminating such
16    property from such computation, and (ii) subtracting such
17    recomputed credit from the amount of credit previously
18    allowed. For the purposes of this paragraph (6), a
19    reduction of the basis of qualified property resulting
20    from a redetermination of the purchase price shall be
21    deemed a disposition of qualified property to the extent
22    of such reduction.
23        (7) Beginning with tax years ending after December 31,
24    1996, if a taxpayer qualifies for the credit under this
25    subsection (h) and thereby is granted a tax abatement and
26    the taxpayer relocates its entire facility in violation of

 

 

SB2435- 2176 -LRB102 04062 AMC 14078 b

1    the explicit terms and length of the contract under
2    Section 18-183 of the Property Tax Code, the tax imposed
3    under subsections (a) and (b) of this Section shall be
4    increased for the taxable year in which the taxpayer
5    relocated its facility by an amount equal to the amount of
6    credit received by the taxpayer under this subsection (h).
7    (h-5) High Impact Business construction constructions jobs
8credit. For taxable years beginning on or after January 1,
92021, there shall also be allowed a High Impact Business
10construction jobs credit against the tax imposed under
11subsections (a) and (b) of this Section as provided in
12subsections (i) and (j) of Section 5.5 of the Illinois
13Enterprise Zone Act.
14    The credit or credits may not reduce the taxpayer's
15liability to less than zero. If the amount of the credit or
16credits exceeds the taxpayer's liability, the excess may be
17carried forward and applied against the taxpayer's liability
18in succeeding calendar years in the manner provided under
19paragraph (4) of Section 211 of this Act. The credit or credits
20shall be applied to the earliest year for which there is a tax
21liability. If there are credits from more than one taxable
22year that are available to offset a liability, the earlier
23credit shall be applied first.
24    For partners, shareholders of Subchapter S corporations,
25and owners of limited liability companies, if the liability
26company is treated as a partnership for the purposes of

 

 

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1federal and State income taxation, there shall be allowed a
2credit under this Section to be determined in accordance with
3the determination of income and distributive share of income
4under Sections 702 and 704 and Subchapter S of the Internal
5Revenue Code.
6    The total aggregate amount of credits awarded under the
7Blue Collar Jobs Act (Article 20 of Public Act 101-9 this
8amendatory Act of the 101st General Assembly) shall not exceed
9$20,000,000 in any State fiscal year.
10    This subsection (h-5) is exempt from the provisions of
11Section 250.
12    (i) Credit for Personal Property Tax Replacement Income
13Tax. For tax years ending prior to December 31, 2003, a credit
14shall be allowed against the tax imposed by subsections (a)
15and (b) of this Section for the tax imposed by subsections (c)
16and (d) of this Section. This credit shall be computed by
17multiplying the tax imposed by subsections (c) and (d) of this
18Section by a fraction, the numerator of which is base income
19allocable to Illinois and the denominator of which is Illinois
20base income, and further multiplying the product by the tax
21rate imposed by subsections (a) and (b) of this Section.
22    Any credit earned on or after December 31, 1986 under this
23subsection which is unused in the year the credit is computed
24because it exceeds the tax liability imposed by subsections
25(a) and (b) for that year (whether it exceeds the original
26liability or the liability as later amended) may be carried

 

 

SB2435- 2178 -LRB102 04062 AMC 14078 b

1forward and applied to the tax liability imposed by
2subsections (a) and (b) of the 5 taxable years following the
3excess credit year, provided that no credit may be carried
4forward to any year ending on or after December 31, 2003. This
5credit shall be applied first to the earliest year for which
6there is a liability. If there is a credit under this
7subsection from more than one tax year that is available to
8offset a liability the earliest credit arising under this
9subsection shall be applied first.
10    If, during any taxable year ending on or after December
1131, 1986, the tax imposed by subsections (c) and (d) of this
12Section for which a taxpayer has claimed a credit under this
13subsection (i) is reduced, the amount of credit for such tax
14shall also be reduced. Such reduction shall be determined by
15recomputing the credit to take into account the reduced tax
16imposed by subsections (c) and (d). If any portion of the
17reduced amount of credit has been carried to a different
18taxable year, an amended return shall be filed for such
19taxable year to reduce the amount of credit claimed.
20    (j) Training expense credit. Beginning with tax years
21ending on or after December 31, 1986 and prior to December 31,
222003, a taxpayer shall be allowed a credit against the tax
23imposed by subsections (a) and (b) under this Section for all
24amounts paid or accrued, on behalf of all persons employed by
25the taxpayer in Illinois or Illinois residents employed
26outside of Illinois by a taxpayer, for educational or

 

 

SB2435- 2179 -LRB102 04062 AMC 14078 b

1vocational training in semi-technical or technical fields or
2semi-skilled or skilled fields, which were deducted from gross
3income in the computation of taxable income. The credit
4against the tax imposed by subsections (a) and (b) shall be
51.6% of such training expenses. For partners, shareholders of
6subchapter S corporations, and owners of limited liability
7companies, if the liability company is treated as a
8partnership for purposes of federal and State income taxation,
9there shall be allowed a credit under this subsection (j) to be
10determined in accordance with the determination of income and
11distributive share of income under Sections 702 and 704 and
12subchapter S of the Internal Revenue Code.
13    Any credit allowed under this subsection which is unused
14in the year the credit is earned may be carried forward to each
15of the 5 taxable years following the year for which the credit
16is first computed until it is used. This credit shall be
17applied first to the earliest year for which there is a
18liability. If there is a credit under this subsection from
19more than one tax year that is available to offset a liability,
20the earliest credit arising under this subsection shall be
21applied first. No carryforward credit may be claimed in any
22tax year ending on or after December 31, 2003.
23    (k) Research and development credit. For tax years ending
24after July 1, 1990 and prior to December 31, 2003, and
25beginning again for tax years ending on or after December 31,
262004, and ending prior to January 1, 2027, a taxpayer shall be

 

 

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1allowed a credit against the tax imposed by subsections (a)
2and (b) of this Section for increasing research activities in
3this State. The credit allowed against the tax imposed by
4subsections (a) and (b) shall be equal to 6 1/2% of the
5qualifying expenditures for increasing research activities in
6this State. For partners, shareholders of subchapter S
7corporations, and owners of limited liability companies, if
8the liability company is treated as a partnership for purposes
9of federal and State income taxation, there shall be allowed a
10credit under this subsection to be determined in accordance
11with the determination of income and distributive share of
12income under Sections 702 and 704 and subchapter S of the
13Internal Revenue Code.
14    For purposes of this subsection, "qualifying expenditures"
15means the qualifying expenditures as defined for the federal
16credit for increasing research activities which would be
17allowable under Section 41 of the Internal Revenue Code and
18which are conducted in this State, "qualifying expenditures
19for increasing research activities in this State" means the
20excess of qualifying expenditures for the taxable year in
21which incurred over qualifying expenditures for the base
22period, "qualifying expenditures for the base period" means
23the average of the qualifying expenditures for each year in
24the base period, and "base period" means the 3 taxable years
25immediately preceding the taxable year for which the
26determination is being made.

 

 

SB2435- 2181 -LRB102 04062 AMC 14078 b

1    Any credit in excess of the tax liability for the taxable
2year may be carried forward. A taxpayer may elect to have the
3unused credit shown on its final completed return carried over
4as a credit against the tax liability for the following 5
5taxable years or until it has been fully used, whichever
6occurs first; provided that no credit earned in a tax year
7ending prior to December 31, 2003 may be carried forward to any
8year ending on or after December 31, 2003.
9    If an unused credit is carried forward to a given year from
102 or more earlier years, that credit arising in the earliest
11year will be applied first against the tax liability for the
12given year. If a tax liability for the given year still
13remains, the credit from the next earliest year will then be
14applied, and so on, until all credits have been used or no tax
15liability for the given year remains. Any remaining unused
16credit or credits then will be carried forward to the next
17following year in which a tax liability is incurred, except
18that no credit can be carried forward to a year which is more
19than 5 years after the year in which the expense for which the
20credit is given was incurred.
21    No inference shall be drawn from Public Act 91-644 this
22amendatory Act of the 91st General Assembly in construing this
23Section for taxable years beginning before January 1, 1999.
24    It is the intent of the General Assembly that the research
25and development credit under this subsection (k) shall apply
26continuously for all tax years ending on or after December 31,

 

 

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12004 and ending prior to January 1, 2027, including, but not
2limited to, the period beginning on January 1, 2016 and ending
3on July 6, 2017 (the effective date of Public Act 100-22) this
4amendatory Act of the 100th General Assembly. All actions
5taken in reliance on the continuation of the credit under this
6subsection (k) by any taxpayer are hereby validated.
7    (l) Environmental Remediation Tax Credit.
8        (i) For tax years ending after December 31, 1997 and
9    on or before December 31, 2001, a taxpayer shall be
10    allowed a credit against the tax imposed by subsections
11    (a) and (b) of this Section for certain amounts paid for
12    unreimbursed eligible remediation costs, as specified in
13    this subsection. For purposes of this Section,
14    "unreimbursed eligible remediation costs" means costs
15    approved by the Illinois Environmental Protection Agency
16    ("Agency") under Section 58.14 of the Environmental
17    Protection Act that were paid in performing environmental
18    remediation at a site for which a No Further Remediation
19    Letter was issued by the Agency and recorded under Section
20    58.10 of the Environmental Protection Act. The credit must
21    be claimed for the taxable year in which Agency approval
22    of the eligible remediation costs is granted. The credit
23    is not available to any taxpayer if the taxpayer or any
24    related party caused or contributed to, in any material
25    respect, a release of regulated substances on, in, or
26    under the site that was identified and addressed by the

 

 

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1    remedial action pursuant to the Site Remediation Program
2    of the Environmental Protection Act. After the Pollution
3    Control Board rules are adopted pursuant to the Illinois
4    Administrative Procedure Act for the administration and
5    enforcement of Section 58.9 of the Environmental
6    Protection Act, determinations as to credit availability
7    for purposes of this Section shall be made consistent with
8    those rules. For purposes of this Section, "taxpayer"
9    includes a person whose tax attributes the taxpayer has
10    succeeded to under Section 381 of the Internal Revenue
11    Code and "related party" includes the persons disallowed a
12    deduction for losses by paragraphs (b), (c), and (f)(1) of
13    Section 267 of the Internal Revenue Code by virtue of
14    being a related taxpayer, as well as any of its partners.
15    The credit allowed against the tax imposed by subsections
16    (a) and (b) shall be equal to 25% of the unreimbursed
17    eligible remediation costs in excess of $100,000 per site,
18    except that the $100,000 threshold shall not apply to any
19    site contained in an enterprise zone as determined by the
20    Department of Commerce and Community Affairs (now
21    Department of Commerce and Economic Opportunity). The
22    total credit allowed shall not exceed $40,000 per year
23    with a maximum total of $150,000 per site. For partners
24    and shareholders of subchapter S corporations, there shall
25    be allowed a credit under this subsection to be determined
26    in accordance with the determination of income and

 

 

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1    distributive share of income under Sections 702 and 704
2    and subchapter S of the Internal Revenue Code.
3        (ii) A credit allowed under this subsection that is
4    unused in the year the credit is earned may be carried
5    forward to each of the 5 taxable years following the year
6    for which the credit is first earned until it is used. The
7    term "unused credit" does not include any amounts of
8    unreimbursed eligible remediation costs in excess of the
9    maximum credit per site authorized under paragraph (i).
10    This credit shall be applied first to the earliest year
11    for which there is a liability. If there is a credit under
12    this subsection from more than one tax year that is
13    available to offset a liability, the earliest credit
14    arising under this subsection shall be applied first. A
15    credit allowed under this subsection may be sold to a
16    buyer as part of a sale of all or part of the remediation
17    site for which the credit was granted. The purchaser of a
18    remediation site and the tax credit shall succeed to the
19    unused credit and remaining carry-forward period of the
20    seller. To perfect the transfer, the assignor shall record
21    the transfer in the chain of title for the site and provide
22    written notice to the Director of the Illinois Department
23    of Revenue of the assignor's intent to sell the
24    remediation site and the amount of the tax credit to be
25    transferred as a portion of the sale. In no event may a
26    credit be transferred to any taxpayer if the taxpayer or a

 

 

SB2435- 2185 -LRB102 04062 AMC 14078 b

1    related party would not be eligible under the provisions
2    of subsection (i).
3        (iii) For purposes of this Section, the term "site"
4    shall have the same meaning as under Section 58.2 of the
5    Environmental Protection Act.
6    (m) Education expense credit. Beginning with tax years
7ending after December 31, 1999, a taxpayer who is the
8custodian of one or more qualifying pupils shall be allowed a
9credit against the tax imposed by subsections (a) and (b) of
10this Section for qualified education expenses incurred on
11behalf of the qualifying pupils. The credit shall be equal to
1225% of qualified education expenses, but in no event may the
13total credit under this subsection claimed by a family that is
14the custodian of qualifying pupils exceed (i) $500 for tax
15years ending prior to December 31, 2017, and (ii) $750 for tax
16years ending on or after December 31, 2017. In no event shall a
17credit under this subsection reduce the taxpayer's liability
18under this Act to less than zero. Notwithstanding any other
19provision of law, for taxable years beginning on or after
20January 1, 2017, no taxpayer may claim a credit under this
21subsection (m) if the taxpayer's adjusted gross income for the
22taxable year exceeds (i) $500,000, in the case of spouses
23filing a joint federal tax return or (ii) $250,000, in the case
24of all other taxpayers. This subsection is exempt from the
25provisions of Section 250 of this Act.
26    For purposes of this subsection:

 

 

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1    "Qualifying pupils" means individuals who (i) are
2residents of the State of Illinois, (ii) are under the age of
321 at the close of the school year for which a credit is
4sought, and (iii) during the school year for which a credit is
5sought were full-time pupils enrolled in a kindergarten
6through twelfth grade education program at any school, as
7defined in this subsection.
8    "Qualified education expense" means the amount incurred on
9behalf of a qualifying pupil in excess of $250 for tuition,
10book fees, and lab fees at the school in which the pupil is
11enrolled during the regular school year.
12    "School" means any public or nonpublic elementary or
13secondary school in Illinois that is in compliance with Title
14VI of the Civil Rights Act of 1964 and attendance at which
15satisfies the requirements of Section 26-1 of the School Code,
16except that nothing shall be construed to require a child to
17attend any particular public or nonpublic school to qualify
18for the credit under this Section.
19    "Custodian" means, with respect to qualifying pupils, an
20Illinois resident who is a parent, the parents, a legal
21guardian, or the legal guardians of the qualifying pupils.
22    (n) River Edge Redevelopment Zone site remediation tax
23credit.
24        (i) For tax years ending on or after December 31,
25    2006, a taxpayer shall be allowed a credit against the tax
26    imposed by subsections (a) and (b) of this Section for

 

 

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1    certain amounts paid for unreimbursed eligible remediation
2    costs, as specified in this subsection. For purposes of
3    this Section, "unreimbursed eligible remediation costs"
4    means costs approved by the Illinois Environmental
5    Protection Agency ("Agency") under Section 58.14a of the
6    Environmental Protection Act that were paid in performing
7    environmental remediation at a site within a River Edge
8    Redevelopment Zone for which a No Further Remediation
9    Letter was issued by the Agency and recorded under Section
10    58.10 of the Environmental Protection Act. The credit must
11    be claimed for the taxable year in which Agency approval
12    of the eligible remediation costs is granted. The credit
13    is not available to any taxpayer if the taxpayer or any
14    related party caused or contributed to, in any material
15    respect, a release of regulated substances on, in, or
16    under the site that was identified and addressed by the
17    remedial action pursuant to the Site Remediation Program
18    of the Environmental Protection Act. Determinations as to
19    credit availability for purposes of this Section shall be
20    made consistent with rules adopted by the Pollution
21    Control Board pursuant to the Illinois Administrative
22    Procedure Act for the administration and enforcement of
23    Section 58.9 of the Environmental Protection Act. For
24    purposes of this Section, "taxpayer" includes a person
25    whose tax attributes the taxpayer has succeeded to under
26    Section 381 of the Internal Revenue Code and "related

 

 

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1    party" includes the persons disallowed a deduction for
2    losses by paragraphs (b), (c), and (f)(1) of Section 267
3    of the Internal Revenue Code by virtue of being a related
4    taxpayer, as well as any of its partners. The credit
5    allowed against the tax imposed by subsections (a) and (b)
6    shall be equal to 25% of the unreimbursed eligible
7    remediation costs in excess of $100,000 per site.
8        (ii) A credit allowed under this subsection that is
9    unused in the year the credit is earned may be carried
10    forward to each of the 5 taxable years following the year
11    for which the credit is first earned until it is used. This
12    credit shall be applied first to the earliest year for
13    which there is a liability. If there is a credit under this
14    subsection from more than one tax year that is available
15    to offset a liability, the earliest credit arising under
16    this subsection shall be applied first. A credit allowed
17    under this subsection may be sold to a buyer as part of a
18    sale of all or part of the remediation site for which the
19    credit was granted. The purchaser of a remediation site
20    and the tax credit shall succeed to the unused credit and
21    remaining carry-forward period of the seller. To perfect
22    the transfer, the assignor shall record the transfer in
23    the chain of title for the site and provide written notice
24    to the Director of the Illinois Department of Revenue of
25    the assignor's intent to sell the remediation site and the
26    amount of the tax credit to be transferred as a portion of

 

 

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1    the sale. In no event may a credit be transferred to any
2    taxpayer if the taxpayer or a related party would not be
3    eligible under the provisions of subsection (i).
4        (iii) For purposes of this Section, the term "site"
5    shall have the same meaning as under Section 58.2 of the
6    Environmental Protection Act.
7    (o) For each of taxable years during the Compassionate Use
8of Medical Cannabis Program, a surcharge is imposed on all
9taxpayers on income arising from the sale or exchange of
10capital assets, depreciable business property, real property
11used in the trade or business, and Section 197 intangibles of
12an organization registrant under the Compassionate Use of
13Medical Cannabis Program Act. The amount of the surcharge is
14equal to the amount of federal income tax liability for the
15taxable year attributable to those sales and exchanges. The
16surcharge imposed does not apply if:
17        (1) the medical cannabis cultivation center
18    registration, medical cannabis dispensary registration, or
19    the property of a registration is transferred as a result
20    of any of the following:
21            (A) bankruptcy, a receivership, or a debt
22        adjustment initiated by or against the initial
23        registration or the substantial owners of the initial
24        registration;
25            (B) cancellation, revocation, or termination of
26        any registration by the Illinois Department of Public

 

 

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1        Health;
2            (C) a determination by the Illinois Department of
3        Public Health that transfer of the registration is in
4        the best interests of Illinois qualifying patients as
5        defined by the Compassionate Use of Medical Cannabis
6        Program Act;
7            (D) the death of an owner of the equity interest in
8        a registrant;
9            (E) the acquisition of a controlling interest in
10        the stock or substantially all of the assets of a
11        publicly traded company;
12            (F) a transfer by a parent company to a wholly
13        owned subsidiary; or
14            (G) the transfer or sale to or by one person to
15        another person where both persons were initial owners
16        of the registration when the registration was issued;
17        or
18        (2) the cannabis cultivation center registration,
19    medical cannabis dispensary registration, or the
20    controlling interest in a registrant's property is
21    transferred in a transaction to lineal descendants in
22    which no gain or loss is recognized or as a result of a
23    transaction in accordance with Section 351 of the Internal
24    Revenue Code in which no gain or loss is recognized.
25(Source: P.A. 100-22, eff. 7-6-17; 101-9, eff. 6-5-19; 101-31,
26eff. 6-28-19; 101-207, eff. 8-2-19; 101-363, eff. 8-9-19;

 

 

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1revised 11-18-20.)
 
2    (Text of Section with the changes made by P.A. 101-8,
3which did not take effect (see Section 99 of P.A. 101-8))
4    Sec. 201. Tax imposed.
5    (a) In general. A tax measured by net income is hereby
6imposed on every individual, corporation, trust and estate for
7each taxable year ending after July 31, 1969 on the privilege
8of earning or receiving income in or as a resident of this
9State. Such tax shall be in addition to all other occupation or
10privilege taxes imposed by this State or by any municipal
11corporation or political subdivision thereof.
12    (b) Rates. The tax imposed by subsection (a) of this
13Section shall be determined as follows, except as adjusted by
14subsection (d-1):
15        (1) In the case of an individual, trust or estate, for
16    taxable years ending prior to July 1, 1989, an amount
17    equal to 2 1/2% of the taxpayer's net income for the
18    taxable year.
19        (2) In the case of an individual, trust or estate, for
20    taxable years beginning prior to July 1, 1989 and ending
21    after June 30, 1989, an amount equal to the sum of (i) 2
22    1/2% of the taxpayer's net income for the period prior to
23    July 1, 1989, as calculated under Section 202.3, and (ii)
24    3% of the taxpayer's net income for the period after June
25    30, 1989, as calculated under Section 202.3.

 

 

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1        (3) In the case of an individual, trust or estate, for
2    taxable years beginning after June 30, 1989, and ending
3    prior to January 1, 2011, an amount equal to 3% of the
4    taxpayer's net income for the taxable year.
5        (4) In the case of an individual, trust, or estate,
6    for taxable years beginning prior to January 1, 2011, and
7    ending after December 31, 2010, an amount equal to the sum
8    of (i) 3% of the taxpayer's net income for the period prior
9    to January 1, 2011, as calculated under Section 202.5, and
10    (ii) 5% of the taxpayer's net income for the period after
11    December 31, 2010, as calculated under Section 202.5.
12        (5) In the case of an individual, trust, or estate,
13    for taxable years beginning on or after January 1, 2011,
14    and ending prior to January 1, 2015, an amount equal to 5%
15    of the taxpayer's net income for the taxable year.
16        (5.1) In the case of an individual, trust, or estate,
17    for taxable years beginning prior to January 1, 2015, and
18    ending after December 31, 2014, an amount equal to the sum
19    of (i) 5% of the taxpayer's net income for the period prior
20    to January 1, 2015, as calculated under Section 202.5, and
21    (ii) 3.75% of the taxpayer's net income for the period
22    after December 31, 2014, as calculated under Section
23    202.5.
24        (5.2) In the case of an individual, trust, or estate,
25    for taxable years beginning on or after January 1, 2015,
26    and ending prior to July 1, 2017, an amount equal to 3.75%

 

 

SB2435- 2193 -LRB102 04062 AMC 14078 b

1    of the taxpayer's net income for the taxable year.
2        (5.3) In the case of an individual, trust, or estate,
3    for taxable years beginning prior to July 1, 2017, and
4    ending after June 30, 2017, an amount equal to the sum of
5    (i) 3.75% of the taxpayer's net income for the period
6    prior to July 1, 2017, as calculated under Section 202.5,
7    and (ii) 4.95% of the taxpayer's net income for the period
8    after June 30, 2017, as calculated under Section 202.5.
9        (5.4) In the case of an individual, trust, or estate,
10    for taxable years beginning on or after July 1, 2017 and
11    beginning prior to January 1, 2021, an amount equal to
12    4.95% of the taxpayer's net income for the taxable year.
13        (5.5) In the case of an individual, trust, or estate,
14    for taxable years beginning on or after January 1, 2021,
15    an amount calculated under the rate structure set forth in
16    Section 201.1.
17        (6) In the case of a corporation, for taxable years
18    ending prior to July 1, 1989, an amount equal to 4% of the
19    taxpayer's net income for the taxable year.
20        (7) In the case of a corporation, for taxable years
21    beginning prior to July 1, 1989 and ending after June 30,
22    1989, an amount equal to the sum of (i) 4% of the
23    taxpayer's net income for the period prior to July 1,
24    1989, as calculated under Section 202.3, and (ii) 4.8% of
25    the taxpayer's net income for the period after June 30,
26    1989, as calculated under Section 202.3.

 

 

SB2435- 2194 -LRB102 04062 AMC 14078 b

1        (8) In the case of a corporation, for taxable years
2    beginning after June 30, 1989, and ending prior to January
3    1, 2011, an amount equal to 4.8% of the taxpayer's net
4    income for the taxable year.
5        (9) In the case of a corporation, for taxable years
6    beginning prior to January 1, 2011, and ending after
7    December 31, 2010, an amount equal to the sum of (i) 4.8%
8    of the taxpayer's net income for the period prior to
9    January 1, 2011, as calculated under Section 202.5, and
10    (ii) 7% of the taxpayer's net income for the period after
11    December 31, 2010, as calculated under Section 202.5.
12        (10) In the case of a corporation, for taxable years
13    beginning on or after January 1, 2011, and ending prior to
14    January 1, 2015, an amount equal to 7% of the taxpayer's
15    net income for the taxable year.
16        (11) In the case of a corporation, for taxable years
17    beginning prior to January 1, 2015, and ending after
18    December 31, 2014, an amount equal to the sum of (i) 7% of
19    the taxpayer's net income for the period prior to January
20    1, 2015, as calculated under Section 202.5, and (ii) 5.25%
21    of the taxpayer's net income for the period after December
22    31, 2014, as calculated under Section 202.5.
23        (12) In the case of a corporation, for taxable years
24    beginning on or after January 1, 2015, and ending prior to
25    July 1, 2017, an amount equal to 5.25% of the taxpayer's
26    net income for the taxable year.

 

 

SB2435- 2195 -LRB102 04062 AMC 14078 b

1        (13) In the case of a corporation, for taxable years
2    beginning prior to July 1, 2017, and ending after June 30,
3    2017, an amount equal to the sum of (i) 5.25% of the
4    taxpayer's net income for the period prior to July 1,
5    2017, as calculated under Section 202.5, and (ii) 7% of
6    the taxpayer's net income for the period after June 30,
7    2017, as calculated under Section 202.5.
8        (14) In the case of a corporation, for taxable years
9    beginning on or after July 1, 2017 and beginning prior to
10    January 1, 2021, an amount equal to 7% of the taxpayer's
11    net income for the taxable year.
12        (15) In the case of a corporation, for taxable years
13    beginning on or after January 1, 2021, an amount equal to
14    7.99% of the taxpayer's net income for the taxable year.
15    The rates under this subsection (b) are subject to the
16provisions of Section 201.5.
17    (b-5) Surcharge; sale or exchange of assets, properties,
18and intangibles of organization gaming licensees. For each of
19taxable years 2019 through 2027, a surcharge is imposed on all
20taxpayers on income arising from the sale or exchange of
21capital assets, depreciable business property, real property
22used in the trade or business, and Section 197 intangibles (i)
23of an organization licensee under the Illinois Horse Racing
24Act of 1975 and (ii) of an organization gaming licensee under
25the Illinois Gambling Act. The amount of the surcharge is
26equal to the amount of federal income tax liability for the

 

 

SB2435- 2196 -LRB102 04062 AMC 14078 b

1taxable year attributable to those sales and exchanges. The
2surcharge imposed shall not apply if:
3        (1) the organization gaming license, organization
4    license, or racetrack property is transferred as a result
5    of any of the following:
6            (A) bankruptcy, a receivership, or a debt
7        adjustment initiated by or against the initial
8        licensee or the substantial owners of the initial
9        licensee;
10            (B) cancellation, revocation, or termination of
11        any such license by the Illinois Gaming Board or the
12        Illinois Racing Board;
13            (C) a determination by the Illinois Gaming Board
14        that transfer of the license is in the best interests
15        of Illinois gaming;
16            (D) the death of an owner of the equity interest in
17        a licensee;
18            (E) the acquisition of a controlling interest in
19        the stock or substantially all of the assets of a
20        publicly traded company;
21            (F) a transfer by a parent company to a wholly
22        owned subsidiary; or
23            (G) the transfer or sale to or by one person to
24        another person where both persons were initial owners
25        of the license when the license was issued; or
26        (2) the controlling interest in the organization

 

 

SB2435- 2197 -LRB102 04062 AMC 14078 b

1    gaming license, organization license, or racetrack
2    property is transferred in a transaction to lineal
3    descendants in which no gain or loss is recognized or as a
4    result of a transaction in accordance with Section 351 of
5    the Internal Revenue Code in which no gain or loss is
6    recognized; or
7        (3) live horse racing was not conducted in 2010 at a
8    racetrack located within 3 miles of the Mississippi River
9    under a license issued pursuant to the Illinois Horse
10    Racing Act of 1975.
11    The transfer of an organization gaming license,
12organization license, or racetrack property by a person other
13than the initial licensee to receive the organization gaming
14license is not subject to a surcharge. The Department shall
15adopt rules necessary to implement and administer this
16subsection.
17    (c) Personal Property Tax Replacement Income Tax.
18Beginning on July 1, 1979 and thereafter, in addition to such
19income tax, there is also hereby imposed the Personal Property
20Tax Replacement Income Tax measured by net income on every
21corporation (including Subchapter S corporations), partnership
22and trust, for each taxable year ending after June 30, 1979.
23Such taxes are imposed on the privilege of earning or
24receiving income in or as a resident of this State. The
25Personal Property Tax Replacement Income Tax shall be in
26addition to the income tax imposed by subsections (a) and (b)

 

 

SB2435- 2198 -LRB102 04062 AMC 14078 b

1of this Section and in addition to all other occupation or
2privilege taxes imposed by this State or by any municipal
3corporation or political subdivision thereof.
4    (d) Additional Personal Property Tax Replacement Income
5Tax Rates. The personal property tax replacement income tax
6imposed by this subsection and subsection (c) of this Section
7in the case of a corporation, other than a Subchapter S
8corporation and except as adjusted by subsection (d-1), shall
9be an additional amount equal to 2.85% of such taxpayer's net
10income for the taxable year, except that beginning on January
111, 1981, and thereafter, the rate of 2.85% specified in this
12subsection shall be reduced to 2.5%, and in the case of a
13partnership, trust or a Subchapter S corporation shall be an
14additional amount equal to 1.5% of such taxpayer's net income
15for the taxable year.
16    (d-1) Rate reduction for certain foreign insurers. In the
17case of a foreign insurer, as defined by Section 35A-5 of the
18Illinois Insurance Code, whose state or country of domicile
19imposes on insurers domiciled in Illinois a retaliatory tax
20(excluding any insurer whose premiums from reinsurance assumed
21are 50% or more of its total insurance premiums as determined
22under paragraph (2) of subsection (b) of Section 304, except
23that for purposes of this determination premiums from
24reinsurance do not include premiums from inter-affiliate
25reinsurance arrangements), beginning with taxable years ending
26on or after December 31, 1999, the sum of the rates of tax

 

 

SB2435- 2199 -LRB102 04062 AMC 14078 b

1imposed by subsections (b) and (d) shall be reduced (but not
2increased) to the rate at which the total amount of tax imposed
3under this Act, net of all credits allowed under this Act,
4shall equal (i) the total amount of tax that would be imposed
5on the foreign insurer's net income allocable to Illinois for
6the taxable year by such foreign insurer's state or country of
7domicile if that net income were subject to all income taxes
8and taxes measured by net income imposed by such foreign
9insurer's state or country of domicile, net of all credits
10allowed or (ii) a rate of zero if no such tax is imposed on
11such income by the foreign insurer's state of domicile. For
12the purposes of this subsection (d-1), an inter-affiliate
13includes a mutual insurer under common management.
14        (1) For the purposes of subsection (d-1), in no event
15    shall the sum of the rates of tax imposed by subsections
16    (b) and (d) be reduced below the rate at which the sum of:
17            (A) the total amount of tax imposed on such
18        foreign insurer under this Act for a taxable year, net
19        of all credits allowed under this Act, plus
20            (B) the privilege tax imposed by Section 409 of
21        the Illinois Insurance Code, the fire insurance
22        company tax imposed by Section 12 of the Fire
23        Investigation Act, and the fire department taxes
24        imposed under Section 11-10-1 of the Illinois
25        Municipal Code,
26    equals 1.25% for taxable years ending prior to December

 

 

SB2435- 2200 -LRB102 04062 AMC 14078 b

1    31, 2003, or 1.75% for taxable years ending on or after
2    December 31, 2003, of the net taxable premiums written for
3    the taxable year, as described by subsection (1) of
4    Section 409 of the Illinois Insurance Code. This paragraph
5    will in no event increase the rates imposed under
6    subsections (b) and (d).
7        (2) Any reduction in the rates of tax imposed by this
8    subsection shall be applied first against the rates
9    imposed by subsection (b) and only after the tax imposed
10    by subsection (a) net of all credits allowed under this
11    Section other than the credit allowed under subsection (i)
12    has been reduced to zero, against the rates imposed by
13    subsection (d).
14    This subsection (d-1) is exempt from the provisions of
15Section 250.
16    (e) Investment credit. A taxpayer shall be allowed a
17credit against the Personal Property Tax Replacement Income
18Tax for investment in qualified property.
19        (1) A taxpayer shall be allowed a credit equal to .5%
20    of the basis of qualified property placed in service
21    during the taxable year, provided such property is placed
22    in service on or after July 1, 1984. There shall be allowed
23    an additional credit equal to .5% of the basis of
24    qualified property placed in service during the taxable
25    year, provided such property is placed in service on or
26    after July 1, 1986, and the taxpayer's base employment

 

 

SB2435- 2201 -LRB102 04062 AMC 14078 b

1    within Illinois has increased by 1% or more over the
2    preceding year as determined by the taxpayer's employment
3    records filed with the Illinois Department of Employment
4    Security. Taxpayers who are new to Illinois shall be
5    deemed to have met the 1% growth in base employment for the
6    first year in which they file employment records with the
7    Illinois Department of Employment Security. The provisions
8    added to this Section by Public Act 85-1200 (and restored
9    by Public Act 87-895) shall be construed as declaratory of
10    existing law and not as a new enactment. If, in any year,
11    the increase in base employment within Illinois over the
12    preceding year is less than 1%, the additional credit
13    shall be limited to that percentage times a fraction, the
14    numerator of which is .5% and the denominator of which is
15    1%, but shall not exceed .5%. The investment credit shall
16    not be allowed to the extent that it would reduce a
17    taxpayer's liability in any tax year below zero, nor may
18    any credit for qualified property be allowed for any year
19    other than the year in which the property was placed in
20    service in Illinois. For tax years ending on or after
21    December 31, 1987, and on or before December 31, 1988, the
22    credit shall be allowed for the tax year in which the
23    property is placed in service, or, if the amount of the
24    credit exceeds the tax liability for that year, whether it
25    exceeds the original liability or the liability as later
26    amended, such excess may be carried forward and applied to

 

 

SB2435- 2202 -LRB102 04062 AMC 14078 b

1    the tax liability of the 5 taxable years following the
2    excess credit years if the taxpayer (i) makes investments
3    which cause the creation of a minimum of 2,000 full-time
4    equivalent jobs in Illinois, (ii) is located in an
5    enterprise zone established pursuant to the Illinois
6    Enterprise Zone Act and (iii) is certified by the
7    Department of Commerce and Community Affairs (now
8    Department of Commerce and Economic Opportunity) as
9    complying with the requirements specified in clause (i)
10    and (ii) by July 1, 1986. The Department of Commerce and
11    Community Affairs (now Department of Commerce and Economic
12    Opportunity) shall notify the Department of Revenue of all
13    such certifications immediately. For tax years ending
14    after December 31, 1988, the credit shall be allowed for
15    the tax year in which the property is placed in service,
16    or, if the amount of the credit exceeds the tax liability
17    for that year, whether it exceeds the original liability
18    or the liability as later amended, such excess may be
19    carried forward and applied to the tax liability of the 5
20    taxable years following the excess credit years. The
21    credit shall be applied to the earliest year for which
22    there is a liability. If there is credit from more than one
23    tax year that is available to offset a liability, earlier
24    credit shall be applied first.
25        (2) The term "qualified property" means property
26    which:

 

 

SB2435- 2203 -LRB102 04062 AMC 14078 b

1            (A) is tangible, whether new or used, including
2        buildings and structural components of buildings and
3        signs that are real property, but not including land
4        or improvements to real property that are not a
5        structural component of a building such as
6        landscaping, sewer lines, local access roads, fencing,
7        parking lots, and other appurtenances;
8            (B) is depreciable pursuant to Section 167 of the
9        Internal Revenue Code, except that "3-year property"
10        as defined in Section 168(c)(2)(A) of that Code is not
11        eligible for the credit provided by this subsection
12        (e);
13            (C) is acquired by purchase as defined in Section
14        179(d) of the Internal Revenue Code;
15            (D) is used in Illinois by a taxpayer who is
16        primarily engaged in manufacturing, or in mining coal
17        or fluorite, or in retailing, or was placed in service
18        on or after July 1, 2006 in a River Edge Redevelopment
19        Zone established pursuant to the River Edge
20        Redevelopment Zone Act; and
21            (E) has not previously been used in Illinois in
22        such a manner and by such a person as would qualify for
23        the credit provided by this subsection (e) or
24        subsection (f).
25        (3) For purposes of this subsection (e),
26    "manufacturing" means the material staging and production

 

 

SB2435- 2204 -LRB102 04062 AMC 14078 b

1    of tangible personal property by procedures commonly
2    regarded as manufacturing, processing, fabrication, or
3    assembling which changes some existing material into new
4    shapes, new qualities, or new combinations. For purposes
5    of this subsection (e) the term "mining" shall have the
6    same meaning as the term "mining" in Section 613(c) of the
7    Internal Revenue Code. For purposes of this subsection
8    (e), the term "retailing" means the sale of tangible
9    personal property for use or consumption and not for
10    resale, or services rendered in conjunction with the sale
11    of tangible personal property for use or consumption and
12    not for resale. For purposes of this subsection (e),
13    "tangible personal property" has the same meaning as when
14    that term is used in the Retailers' Occupation Tax Act,
15    and, for taxable years ending after December 31, 2008,
16    does not include the generation, transmission, or
17    distribution of electricity.
18        (4) The basis of qualified property shall be the basis
19    used to compute the depreciation deduction for federal
20    income tax purposes.
21        (5) If the basis of the property for federal income
22    tax depreciation purposes is increased after it has been
23    placed in service in Illinois by the taxpayer, the amount
24    of such increase shall be deemed property placed in
25    service on the date of such increase in basis.
26        (6) The term "placed in service" shall have the same

 

 

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1    meaning as under Section 46 of the Internal Revenue Code.
2        (7) If during any taxable year, any property ceases to
3    be qualified property in the hands of the taxpayer within
4    48 months after being placed in service, or the situs of
5    any qualified property is moved outside Illinois within 48
6    months after being placed in service, the Personal
7    Property Tax Replacement Income Tax for such taxable year
8    shall be increased. Such increase shall be determined by
9    (i) recomputing the investment credit which would have
10    been allowed for the year in which credit for such
11    property was originally allowed by eliminating such
12    property from such computation and, (ii) subtracting such
13    recomputed credit from the amount of credit previously
14    allowed. For the purposes of this paragraph (7), a
15    reduction of the basis of qualified property resulting
16    from a redetermination of the purchase price shall be
17    deemed a disposition of qualified property to the extent
18    of such reduction.
19        (8) Unless the investment credit is extended by law,
20    the basis of qualified property shall not include costs
21    incurred after December 31, 2018, except for costs
22    incurred pursuant to a binding contract entered into on or
23    before December 31, 2018.
24        (9) Each taxable year ending before December 31, 2000,
25    a partnership may elect to pass through to its partners
26    the credits to which the partnership is entitled under

 

 

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1    this subsection (e) for the taxable year. A partner may
2    use the credit allocated to him or her under this
3    paragraph only against the tax imposed in subsections (c)
4    and (d) of this Section. If the partnership makes that
5    election, those credits shall be allocated among the
6    partners in the partnership in accordance with the rules
7    set forth in Section 704(b) of the Internal Revenue Code,
8    and the rules promulgated under that Section, and the
9    allocated amount of the credits shall be allowed to the
10    partners for that taxable year. The partnership shall make
11    this election on its Personal Property Tax Replacement
12    Income Tax return for that taxable year. The election to
13    pass through the credits shall be irrevocable.
14        For taxable years ending on or after December 31,
15    2000, a partner that qualifies its partnership for a
16    subtraction under subparagraph (I) of paragraph (2) of
17    subsection (d) of Section 203 or a shareholder that
18    qualifies a Subchapter S corporation for a subtraction
19    under subparagraph (S) of paragraph (2) of subsection (b)
20    of Section 203 shall be allowed a credit under this
21    subsection (e) equal to its share of the credit earned
22    under this subsection (e) during the taxable year by the
23    partnership or Subchapter S corporation, determined in
24    accordance with the determination of income and
25    distributive share of income under Sections 702 and 704
26    and Subchapter S of the Internal Revenue Code. This

 

 

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1    paragraph is exempt from the provisions of Section 250.
2    (f) Investment credit; Enterprise Zone; River Edge
3Redevelopment Zone.
4        (1) A taxpayer shall be allowed a credit against the
5    tax imposed by subsections (a) and (b) of this Section for
6    investment in qualified property which is placed in
7    service in an Enterprise Zone created pursuant to the
8    Illinois Enterprise Zone Act or, for property placed in
9    service on or after July 1, 2006, a River Edge
10    Redevelopment Zone established pursuant to the River Edge
11    Redevelopment Zone Act. For partners, shareholders of
12    Subchapter S corporations, and owners of limited liability
13    companies, if the liability company is treated as a
14    partnership for purposes of federal and State income
15    taxation, there shall be allowed a credit under this
16    subsection (f) to be determined in accordance with the
17    determination of income and distributive share of income
18    under Sections 702 and 704 and Subchapter S of the
19    Internal Revenue Code. The credit shall be .5% of the
20    basis for such property. The credit shall be available
21    only in the taxable year in which the property is placed in
22    service in the Enterprise Zone or River Edge Redevelopment
23    Zone and shall not be allowed to the extent that it would
24    reduce a taxpayer's liability for the tax imposed by
25    subsections (a) and (b) of this Section to below zero. For
26    tax years ending on or after December 31, 1985, the credit

 

 

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1    shall be allowed for the tax year in which the property is
2    placed in service, or, if the amount of the credit exceeds
3    the tax liability for that year, whether it exceeds the
4    original liability or the liability as later amended, such
5    excess may be carried forward and applied to the tax
6    liability of the 5 taxable years following the excess
7    credit year. The credit shall be applied to the earliest
8    year for which there is a liability. If there is credit
9    from more than one tax year that is available to offset a
10    liability, the credit accruing first in time shall be
11    applied first.
12        (2) The term qualified property means property which:
13            (A) is tangible, whether new or used, including
14        buildings and structural components of buildings;
15            (B) is depreciable pursuant to Section 167 of the
16        Internal Revenue Code, except that "3-year property"
17        as defined in Section 168(c)(2)(A) of that Code is not
18        eligible for the credit provided by this subsection
19        (f);
20            (C) is acquired by purchase as defined in Section
21        179(d) of the Internal Revenue Code;
22            (D) is used in the Enterprise Zone or River Edge
23        Redevelopment Zone by the taxpayer; and
24            (E) has not been previously used in Illinois in
25        such a manner and by such a person as would qualify for
26        the credit provided by this subsection (f) or

 

 

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1        subsection (e).
2        (3) The basis of qualified property shall be the basis
3    used to compute the depreciation deduction for federal
4    income tax purposes.
5        (4) If the basis of the property for federal income
6    tax depreciation purposes is increased after it has been
7    placed in service in the Enterprise Zone or River Edge
8    Redevelopment Zone by the taxpayer, the amount of such
9    increase shall be deemed property placed in service on the
10    date of such increase in basis.
11        (5) The term "placed in service" shall have the same
12    meaning as under Section 46 of the Internal Revenue Code.
13        (6) If during any taxable year, any property ceases to
14    be qualified property in the hands of the taxpayer within
15    48 months after being placed in service, or the situs of
16    any qualified property is moved outside the Enterprise
17    Zone or River Edge Redevelopment Zone within 48 months
18    after being placed in service, the tax imposed under
19    subsections (a) and (b) of this Section for such taxable
20    year shall be increased. Such increase shall be determined
21    by (i) recomputing the investment credit which would have
22    been allowed for the year in which credit for such
23    property was originally allowed by eliminating such
24    property from such computation, and (ii) subtracting such
25    recomputed credit from the amount of credit previously
26    allowed. For the purposes of this paragraph (6), a

 

 

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1    reduction of the basis of qualified property resulting
2    from a redetermination of the purchase price shall be
3    deemed a disposition of qualified property to the extent
4    of such reduction.
5        (7) There shall be allowed an additional credit equal
6    to 0.5% of the basis of qualified property placed in
7    service during the taxable year in a River Edge
8    Redevelopment Zone, provided such property is placed in
9    service on or after July 1, 2006, and the taxpayer's base
10    employment within Illinois has increased by 1% or more
11    over the preceding year as determined by the taxpayer's
12    employment records filed with the Illinois Department of
13    Employment Security. Taxpayers who are new to Illinois
14    shall be deemed to have met the 1% growth in base
15    employment for the first year in which they file
16    employment records with the Illinois Department of
17    Employment Security. If, in any year, the increase in base
18    employment within Illinois over the preceding year is less
19    than 1%, the additional credit shall be limited to that
20    percentage times a fraction, the numerator of which is
21    0.5% and the denominator of which is 1%, but shall not
22    exceed 0.5%.
23        (8) For taxable years beginning on or after January 1,
24    2021, there shall be allowed an Enterprise Zone
25    construction jobs credit against the taxes imposed under
26    subsections (a) and (b) of this Section as provided in

 

 

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1    Section 13 of the Illinois Enterprise Zone Act.
2        The credit or credits may not reduce the taxpayer's
3    liability to less than zero. If the amount of the credit or
4    credits exceeds the taxpayer's liability, the excess may
5    be carried forward and applied against the taxpayer's
6    liability in succeeding calendar years in the same manner
7    provided under paragraph (4) of Section 211 of this Act.
8    The credit or credits shall be applied to the earliest
9    year for which there is a tax liability. If there are
10    credits from more than one taxable year that are available
11    to offset a liability, the earlier credit shall be applied
12    first.
13        For partners, shareholders of Subchapter S
14    corporations, and owners of limited liability companies,
15    if the liability company is treated as a partnership for
16    the purposes of federal and State income taxation, there
17    shall be allowed a credit under this Section to be
18    determined in accordance with the determination of income
19    and distributive share of income under Sections 702 and
20    704 and Subchapter S of the Internal Revenue Code.
21        The total aggregate amount of credits awarded under
22    the Blue Collar Jobs Act (Article 20 of Public Act 101-9
23    this amendatory Act of the 101st General Assembly) shall
24    not exceed $20,000,000 in any State fiscal year.
25        This paragraph (8) is exempt from the provisions of
26    Section 250.

 

 

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1    (g) (Blank).
2    (h) Investment credit; High Impact Business.
3        (1) Subject to subsections (b) and (b-5) of Section
4    5.5 of the Illinois Enterprise Zone Act, a taxpayer shall
5    be allowed a credit against the tax imposed by subsections
6    (a) and (b) of this Section for investment in qualified
7    property which is placed in service by a Department of
8    Commerce and Economic Opportunity designated High Impact
9    Business. The credit shall be .5% of the basis for such
10    property. The credit shall not be available (i) until the
11    minimum investments in qualified property set forth in
12    subdivision (a)(3)(A) of Section 5.5 of the Illinois
13    Enterprise Zone Act have been satisfied or (ii) until the
14    time authorized in subsection (b-5) of the Illinois
15    Enterprise Zone Act for entities designated as High Impact
16    Businesses under subdivisions (a)(3)(B), (a)(3)(C), and
17    (a)(3)(D) of Section 5.5 of the Illinois Enterprise Zone
18    Act, and shall not be allowed to the extent that it would
19    reduce a taxpayer's liability for the tax imposed by
20    subsections (a) and (b) of this Section to below zero. The
21    credit applicable to such investments shall be taken in
22    the taxable year in which such investments have been
23    completed. The credit for additional investments beyond
24    the minimum investment by a designated high impact
25    business authorized under subdivision (a)(3)(A) of Section
26    5.5 of the Illinois Enterprise Zone Act shall be available

 

 

SB2435- 2213 -LRB102 04062 AMC 14078 b

1    only in the taxable year in which the property is placed in
2    service and shall not be allowed to the extent that it
3    would reduce a taxpayer's liability for the tax imposed by
4    subsections (a) and (b) of this Section to below zero. For
5    tax years ending on or after December 31, 1987, the credit
6    shall be allowed for the tax year in which the property is
7    placed in service, or, if the amount of the credit exceeds
8    the tax liability for that year, whether it exceeds the
9    original liability or the liability as later amended, such
10    excess may be carried forward and applied to the tax
11    liability of the 5 taxable years following the excess
12    credit year. The credit shall be applied to the earliest
13    year for which there is a liability. If there is credit
14    from more than one tax year that is available to offset a
15    liability, the credit accruing first in time shall be
16    applied first.
17        Changes made in this subdivision (h)(1) by Public Act
18    88-670 restore changes made by Public Act 85-1182 and
19    reflect existing law.
20        (2) The term qualified property means property which:
21            (A) is tangible, whether new or used, including
22        buildings and structural components of buildings;
23            (B) is depreciable pursuant to Section 167 of the
24        Internal Revenue Code, except that "3-year property"
25        as defined in Section 168(c)(2)(A) of that Code is not
26        eligible for the credit provided by this subsection

 

 

SB2435- 2214 -LRB102 04062 AMC 14078 b

1        (h);
2            (C) is acquired by purchase as defined in Section
3        179(d) of the Internal Revenue Code; and
4            (D) is not eligible for the Enterprise Zone
5        Investment Credit provided by subsection (f) of this
6        Section.
7        (3) The basis of qualified property shall be the basis
8    used to compute the depreciation deduction for federal
9    income tax purposes.
10        (4) If the basis of the property for federal income
11    tax depreciation purposes is increased after it has been
12    placed in service in a federally designated Foreign Trade
13    Zone or Sub-Zone located in Illinois by the taxpayer, the
14    amount of such increase shall be deemed property placed in
15    service on the date of such increase in basis.
16        (5) The term "placed in service" shall have the same
17    meaning as under Section 46 of the Internal Revenue Code.
18        (6) If during any taxable year ending on or before
19    December 31, 1996, any property ceases to be qualified
20    property in the hands of the taxpayer within 48 months
21    after being placed in service, or the situs of any
22    qualified property is moved outside Illinois within 48
23    months after being placed in service, the tax imposed
24    under subsections (a) and (b) of this Section for such
25    taxable year shall be increased. Such increase shall be
26    determined by (i) recomputing the investment credit which

 

 

SB2435- 2215 -LRB102 04062 AMC 14078 b

1    would have been allowed for the year in which credit for
2    such property was originally allowed by eliminating such
3    property from such computation, and (ii) subtracting such
4    recomputed credit from the amount of credit previously
5    allowed. For the purposes of this paragraph (6), a
6    reduction of the basis of qualified property resulting
7    from a redetermination of the purchase price shall be
8    deemed a disposition of qualified property to the extent
9    of such reduction.
10        (7) Beginning with tax years ending after December 31,
11    1996, if a taxpayer qualifies for the credit under this
12    subsection (h) and thereby is granted a tax abatement and
13    the taxpayer relocates its entire facility in violation of
14    the explicit terms and length of the contract under
15    Section 18-183 of the Property Tax Code, the tax imposed
16    under subsections (a) and (b) of this Section shall be
17    increased for the taxable year in which the taxpayer
18    relocated its facility by an amount equal to the amount of
19    credit received by the taxpayer under this subsection (h).
20    (h-5) High Impact Business construction constructions jobs
21credit. For taxable years beginning on or after January 1,
222021, there shall also be allowed a High Impact Business
23construction jobs credit against the tax imposed under
24subsections (a) and (b) of this Section as provided in
25subsections (i) and (j) of Section 5.5 of the Illinois
26Enterprise Zone Act.

 

 

SB2435- 2216 -LRB102 04062 AMC 14078 b

1    The credit or credits may not reduce the taxpayer's
2liability to less than zero. If the amount of the credit or
3credits exceeds the taxpayer's liability, the excess may be
4carried forward and applied against the taxpayer's liability
5in succeeding calendar years in the manner provided under
6paragraph (4) of Section 211 of this Act. The credit or credits
7shall be applied to the earliest year for which there is a tax
8liability. If there are credits from more than one taxable
9year that are available to offset a liability, the earlier
10credit shall be applied first.
11    For partners, shareholders of Subchapter S corporations,
12and owners of limited liability companies, if the liability
13company is treated as a partnership for the purposes of
14federal and State income taxation, there shall be allowed a
15credit under this Section to be determined in accordance with
16the determination of income and distributive share of income
17under Sections 702 and 704 and Subchapter S of the Internal
18Revenue Code.
19    The total aggregate amount of credits awarded under the
20Blue Collar Jobs Act (Article 20 of Public Act 101-9 this
21amendatory Act of the 101st General Assembly) shall not exceed
22$20,000,000 in any State fiscal year.
23    This subsection (h-5) is exempt from the provisions of
24Section 250.
25    (i) Credit for Personal Property Tax Replacement Income
26Tax. For tax years ending prior to December 31, 2003, a credit

 

 

SB2435- 2217 -LRB102 04062 AMC 14078 b

1shall be allowed against the tax imposed by subsections (a)
2and (b) of this Section for the tax imposed by subsections (c)
3and (d) of this Section. This credit shall be computed by
4multiplying the tax imposed by subsections (c) and (d) of this
5Section by a fraction, the numerator of which is base income
6allocable to Illinois and the denominator of which is Illinois
7base income, and further multiplying the product by the tax
8rate imposed by subsections (a) and (b) of this Section.
9    Any credit earned on or after December 31, 1986 under this
10subsection which is unused in the year the credit is computed
11because it exceeds the tax liability imposed by subsections
12(a) and (b) for that year (whether it exceeds the original
13liability or the liability as later amended) may be carried
14forward and applied to the tax liability imposed by
15subsections (a) and (b) of the 5 taxable years following the
16excess credit year, provided that no credit may be carried
17forward to any year ending on or after December 31, 2003. This
18credit shall be applied first to the earliest year for which
19there is a liability. If there is a credit under this
20subsection from more than one tax year that is available to
21offset a liability the earliest credit arising under this
22subsection shall be applied first.
23    If, during any taxable year ending on or after December
2431, 1986, the tax imposed by subsections (c) and (d) of this
25Section for which a taxpayer has claimed a credit under this
26subsection (i) is reduced, the amount of credit for such tax

 

 

SB2435- 2218 -LRB102 04062 AMC 14078 b

1shall also be reduced. Such reduction shall be determined by
2recomputing the credit to take into account the reduced tax
3imposed by subsections (c) and (d). If any portion of the
4reduced amount of credit has been carried to a different
5taxable year, an amended return shall be filed for such
6taxable year to reduce the amount of credit claimed.
7    (j) Training expense credit. Beginning with tax years
8ending on or after December 31, 1986 and prior to December 31,
92003, a taxpayer shall be allowed a credit against the tax
10imposed by subsections (a) and (b) under this Section for all
11amounts paid or accrued, on behalf of all persons employed by
12the taxpayer in Illinois or Illinois residents employed
13outside of Illinois by a taxpayer, for educational or
14vocational training in semi-technical or technical fields or
15semi-skilled or skilled fields, which were deducted from gross
16income in the computation of taxable income. The credit
17against the tax imposed by subsections (a) and (b) shall be
181.6% of such training expenses. For partners, shareholders of
19subchapter S corporations, and owners of limited liability
20companies, if the liability company is treated as a
21partnership for purposes of federal and State income taxation,
22there shall be allowed a credit under this subsection (j) to be
23determined in accordance with the determination of income and
24distributive share of income under Sections 702 and 704 and
25subchapter S of the Internal Revenue Code.
26    Any credit allowed under this subsection which is unused

 

 

SB2435- 2219 -LRB102 04062 AMC 14078 b

1in the year the credit is earned may be carried forward to each
2of the 5 taxable years following the year for which the credit
3is first computed until it is used. This credit shall be
4applied first to the earliest year for which there is a
5liability. If there is a credit under this subsection from
6more than one tax year that is available to offset a liability,
7the earliest credit arising under this subsection shall be
8applied first. No carryforward credit may be claimed in any
9tax year ending on or after December 31, 2003.
10    (k) Research and development credit. For tax years ending
11after July 1, 1990 and prior to December 31, 2003, and
12beginning again for tax years ending on or after December 31,
132004, and ending prior to January 1, 2027, a taxpayer shall be
14allowed a credit against the tax imposed by subsections (a)
15and (b) of this Section for increasing research activities in
16this State. The credit allowed against the tax imposed by
17subsections (a) and (b) shall be equal to 6 1/2% of the
18qualifying expenditures for increasing research activities in
19this State. For partners, shareholders of subchapter S
20corporations, and owners of limited liability companies, if
21the liability company is treated as a partnership for purposes
22of federal and State income taxation, there shall be allowed a
23credit under this subsection to be determined in accordance
24with the determination of income and distributive share of
25income under Sections 702 and 704 and subchapter S of the
26Internal Revenue Code.

 

 

SB2435- 2220 -LRB102 04062 AMC 14078 b

1    For purposes of this subsection, "qualifying expenditures"
2means the qualifying expenditures as defined for the federal
3credit for increasing research activities which would be
4allowable under Section 41 of the Internal Revenue Code and
5which are conducted in this State, "qualifying expenditures
6for increasing research activities in this State" means the
7excess of qualifying expenditures for the taxable year in
8which incurred over qualifying expenditures for the base
9period, "qualifying expenditures for the base period" means
10the average of the qualifying expenditures for each year in
11the base period, and "base period" means the 3 taxable years
12immediately preceding the taxable year for which the
13determination is being made.
14    Any credit in excess of the tax liability for the taxable
15year may be carried forward. A taxpayer may elect to have the
16unused credit shown on its final completed return carried over
17as a credit against the tax liability for the following 5
18taxable years or until it has been fully used, whichever
19occurs first; provided that no credit earned in a tax year
20ending prior to December 31, 2003 may be carried forward to any
21year ending on or after December 31, 2003.
22    If an unused credit is carried forward to a given year from
232 or more earlier years, that credit arising in the earliest
24year will be applied first against the tax liability for the
25given year. If a tax liability for the given year still
26remains, the credit from the next earliest year will then be

 

 

SB2435- 2221 -LRB102 04062 AMC 14078 b

1applied, and so on, until all credits have been used or no tax
2liability for the given year remains. Any remaining unused
3credit or credits then will be carried forward to the next
4following year in which a tax liability is incurred, except
5that no credit can be carried forward to a year which is more
6than 5 years after the year in which the expense for which the
7credit is given was incurred.
8    No inference shall be drawn from Public Act 91-644 this
9amendatory Act of the 91st General Assembly in construing this
10Section for taxable years beginning before January 1, 1999.
11    It is the intent of the General Assembly that the research
12and development credit under this subsection (k) shall apply
13continuously for all tax years ending on or after December 31,
142004 and ending prior to January 1, 2027, including, but not
15limited to, the period beginning on January 1, 2016 and ending
16on July 6, 2017 (the effective date of Public Act 100-22) this
17amendatory Act of the 100th General Assembly. All actions
18taken in reliance on the continuation of the credit under this
19subsection (k) by any taxpayer are hereby validated.
20    (l) Environmental Remediation Tax Credit.
21        (i) For tax years ending after December 31, 1997 and
22    on or before December 31, 2001, a taxpayer shall be
23    allowed a credit against the tax imposed by subsections
24    (a) and (b) of this Section for certain amounts paid for
25    unreimbursed eligible remediation costs, as specified in
26    this subsection. For purposes of this Section,

 

 

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1    "unreimbursed eligible remediation costs" means costs
2    approved by the Illinois Environmental Protection Agency
3    ("Agency") under Section 58.14 of the Environmental
4    Protection Act that were paid in performing environmental
5    remediation at a site for which a No Further Remediation
6    Letter was issued by the Agency and recorded under Section
7    58.10 of the Environmental Protection Act. The credit must
8    be claimed for the taxable year in which Agency approval
9    of the eligible remediation costs is granted. The credit
10    is not available to any taxpayer if the taxpayer or any
11    related party caused or contributed to, in any material
12    respect, a release of regulated substances on, in, or
13    under the site that was identified and addressed by the
14    remedial action pursuant to the Site Remediation Program
15    of the Environmental Protection Act. After the Pollution
16    Control Board rules are adopted pursuant to the Illinois
17    Administrative Procedure Act for the administration and
18    enforcement of Section 58.9 of the Environmental
19    Protection Act, determinations as to credit availability
20    for purposes of this Section shall be made consistent with
21    those rules. For purposes of this Section, "taxpayer"
22    includes a person whose tax attributes the taxpayer has
23    succeeded to under Section 381 of the Internal Revenue
24    Code and "related party" includes the persons disallowed a
25    deduction for losses by paragraphs (b), (c), and (f)(1) of
26    Section 267 of the Internal Revenue Code by virtue of

 

 

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1    being a related taxpayer, as well as any of its partners.
2    The credit allowed against the tax imposed by subsections
3    (a) and (b) shall be equal to 25% of the unreimbursed
4    eligible remediation costs in excess of $100,000 per site,
5    except that the $100,000 threshold shall not apply to any
6    site contained in an enterprise zone as determined by the
7    Department of Commerce and Community Affairs (now
8    Department of Commerce and Economic Opportunity). The
9    total credit allowed shall not exceed $40,000 per year
10    with a maximum total of $150,000 per site. For partners
11    and shareholders of subchapter S corporations, there shall
12    be allowed a credit under this subsection to be determined
13    in accordance with the determination of income and
14    distributive share of income under Sections 702 and 704
15    and subchapter S of the Internal Revenue Code.
16        (ii) A credit allowed under this subsection that is
17    unused in the year the credit is earned may be carried
18    forward to each of the 5 taxable years following the year
19    for which the credit is first earned until it is used. The
20    term "unused credit" does not include any amounts of
21    unreimbursed eligible remediation costs in excess of the
22    maximum credit per site authorized under paragraph (i).
23    This credit shall be applied first to the earliest year
24    for which there is a liability. If there is a credit under
25    this subsection from more than one tax year that is
26    available to offset a liability, the earliest credit

 

 

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1    arising under this subsection shall be applied first. A
2    credit allowed under this subsection may be sold to a
3    buyer as part of a sale of all or part of the remediation
4    site for which the credit was granted. The purchaser of a
5    remediation site and the tax credit shall succeed to the
6    unused credit and remaining carry-forward period of the
7    seller. To perfect the transfer, the assignor shall record
8    the transfer in the chain of title for the site and provide
9    written notice to the Director of the Illinois Department
10    of Revenue of the assignor's intent to sell the
11    remediation site and the amount of the tax credit to be
12    transferred as a portion of the sale. In no event may a
13    credit be transferred to any taxpayer if the taxpayer or a
14    related party would not be eligible under the provisions
15    of subsection (i).
16        (iii) For purposes of this Section, the term "site"
17    shall have the same meaning as under Section 58.2 of the
18    Environmental Protection Act.
19    (m) Education expense credit. Beginning with tax years
20ending after December 31, 1999, a taxpayer who is the
21custodian of one or more qualifying pupils shall be allowed a
22credit against the tax imposed by subsections (a) and (b) of
23this Section for qualified education expenses incurred on
24behalf of the qualifying pupils. The credit shall be equal to
2525% of qualified education expenses, but in no event may the
26total credit under this subsection claimed by a family that is

 

 

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1the custodian of qualifying pupils exceed (i) $500 for tax
2years ending prior to December 31, 2017, and (ii) $750 for tax
3years ending on or after December 31, 2017. In no event shall a
4credit under this subsection reduce the taxpayer's liability
5under this Act to less than zero. Notwithstanding any other
6provision of law, for taxable years beginning on or after
7January 1, 2017, no taxpayer may claim a credit under this
8subsection (m) if the taxpayer's adjusted gross income for the
9taxable year exceeds (i) $500,000, in the case of spouses
10filing a joint federal tax return or (ii) $250,000, in the case
11of all other taxpayers. This subsection is exempt from the
12provisions of Section 250 of this Act.
13    For purposes of this subsection:
14    "Qualifying pupils" means individuals who (i) are
15residents of the State of Illinois, (ii) are under the age of
1621 at the close of the school year for which a credit is
17sought, and (iii) during the school year for which a credit is
18sought were full-time pupils enrolled in a kindergarten
19through twelfth grade education program at any school, as
20defined in this subsection.
21    "Qualified education expense" means the amount incurred on
22behalf of a qualifying pupil in excess of $250 for tuition,
23book fees, and lab fees at the school in which the pupil is
24enrolled during the regular school year.
25    "School" means any public or nonpublic elementary or
26secondary school in Illinois that is in compliance with Title

 

 

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1VI of the Civil Rights Act of 1964 and attendance at which
2satisfies the requirements of Section 26-1 of the School Code,
3except that nothing shall be construed to require a child to
4attend any particular public or nonpublic school to qualify
5for the credit under this Section.
6    "Custodian" means, with respect to qualifying pupils, an
7Illinois resident who is a parent, the parents, a legal
8guardian, or the legal guardians of the qualifying pupils.
9    (n) River Edge Redevelopment Zone site remediation tax
10credit.
11        (i) For tax years ending on or after December 31,
12    2006, a taxpayer shall be allowed a credit against the tax
13    imposed by subsections (a) and (b) of this Section for
14    certain amounts paid for unreimbursed eligible remediation
15    costs, as specified in this subsection. For purposes of
16    this Section, "unreimbursed eligible remediation costs"
17    means costs approved by the Illinois Environmental
18    Protection Agency ("Agency") under Section 58.14a of the
19    Environmental Protection Act that were paid in performing
20    environmental remediation at a site within a River Edge
21    Redevelopment Zone for which a No Further Remediation
22    Letter was issued by the Agency and recorded under Section
23    58.10 of the Environmental Protection Act. The credit must
24    be claimed for the taxable year in which Agency approval
25    of the eligible remediation costs is granted. The credit
26    is not available to any taxpayer if the taxpayer or any

 

 

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1    related party caused or contributed to, in any material
2    respect, a release of regulated substances on, in, or
3    under the site that was identified and addressed by the
4    remedial action pursuant to the Site Remediation Program
5    of the Environmental Protection Act. Determinations as to
6    credit availability for purposes of this Section shall be
7    made consistent with rules adopted by the Pollution
8    Control Board pursuant to the Illinois Administrative
9    Procedure Act for the administration and enforcement of
10    Section 58.9 of the Environmental Protection Act. For
11    purposes of this Section, "taxpayer" includes a person
12    whose tax attributes the taxpayer has succeeded to under
13    Section 381 of the Internal Revenue Code and "related
14    party" includes the persons disallowed a deduction for
15    losses by paragraphs (b), (c), and (f)(1) of Section 267
16    of the Internal Revenue Code by virtue of being a related
17    taxpayer, as well as any of its partners. The credit
18    allowed against the tax imposed by subsections (a) and (b)
19    shall be equal to 25% of the unreimbursed eligible
20    remediation costs in excess of $100,000 per site.
21        (ii) A credit allowed under this subsection that is
22    unused in the year the credit is earned may be carried
23    forward to each of the 5 taxable years following the year
24    for which the credit is first earned until it is used. This
25    credit shall be applied first to the earliest year for
26    which there is a liability. If there is a credit under this

 

 

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1    subsection from more than one tax year that is available
2    to offset a liability, the earliest credit arising under
3    this subsection shall be applied first. A credit allowed
4    under this subsection may be sold to a buyer as part of a
5    sale of all or part of the remediation site for which the
6    credit was granted. The purchaser of a remediation site
7    and the tax credit shall succeed to the unused credit and
8    remaining carry-forward period of the seller. To perfect
9    the transfer, the assignor shall record the transfer in
10    the chain of title for the site and provide written notice
11    to the Director of the Illinois Department of Revenue of
12    the assignor's intent to sell the remediation site and the
13    amount of the tax credit to be transferred as a portion of
14    the sale. In no event may a credit be transferred to any
15    taxpayer if the taxpayer or a related party would not be
16    eligible under the provisions of subsection (i).
17        (iii) For purposes of this Section, the term "site"
18    shall have the same meaning as under Section 58.2 of the
19    Environmental Protection Act.
20    (o) For each of taxable years during the Compassionate Use
21of Medical Cannabis Program, a surcharge is imposed on all
22taxpayers on income arising from the sale or exchange of
23capital assets, depreciable business property, real property
24used in the trade or business, and Section 197 intangibles of
25an organization registrant under the Compassionate Use of
26Medical Cannabis Program Act. The amount of the surcharge is

 

 

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1equal to the amount of federal income tax liability for the
2taxable year attributable to those sales and exchanges. The
3surcharge imposed does not apply if:
4        (1) the medical cannabis cultivation center
5    registration, medical cannabis dispensary registration, or
6    the property of a registration is transferred as a result
7    of any of the following:
8            (A) bankruptcy, a receivership, or a debt
9        adjustment initiated by or against the initial
10        registration or the substantial owners of the initial
11        registration;
12            (B) cancellation, revocation, or termination of
13        any registration by the Illinois Department of Public
14        Health;
15            (C) a determination by the Illinois Department of
16        Public Health that transfer of the registration is in
17        the best interests of Illinois qualifying patients as
18        defined by the Compassionate Use of Medical Cannabis
19        Program Act;
20            (D) the death of an owner of the equity interest in
21        a registrant;
22            (E) the acquisition of a controlling interest in
23        the stock or substantially all of the assets of a
24        publicly traded company;
25            (F) a transfer by a parent company to a wholly
26        owned subsidiary; or

 

 

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1            (G) the transfer or sale to or by one person to
2        another person where both persons were initial owners
3        of the registration when the registration was issued;
4        or
5        (2) the cannabis cultivation center registration,
6    medical cannabis dispensary registration, or the
7    controlling interest in a registrant's property is
8    transferred in a transaction to lineal descendants in
9    which no gain or loss is recognized or as a result of a
10    transaction in accordance with Section 351 of the Internal
11    Revenue Code in which no gain or loss is recognized.
12(Source: P.A. 100-22, eff. 7-6-17; 101-8, see Section 99 for
13effective date; 101-9, eff. 6-5-19; 101-31, eff. 6-28-19;
14101-207, eff. 8-2-19; 101-363, eff. 8-9-19; revised 11-18-20.)
 
15    (35 ILCS 5/208)  (from Ch. 120, par. 2-208)
16    (Text of Section without the changes made by P.A. 101-8,
17which did not take effect (see Section 99 of P.A. 101-8))
18    Sec. 208. Tax credit for residential real property taxes.
19Beginning with tax years ending on or after December 31, 1991,
20every individual taxpayer shall be entitled to a tax credit
21equal to 5% of real property taxes paid by such taxpayer during
22the taxable year on the principal residence of the taxpayer.
23In the case of multi-unit or multi-use structures and farm
24dwellings, the taxes on the taxpayer's principal residence
25shall be that portion of the total taxes which is attributable

 

 

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1to such principal residence. Notwithstanding any other
2provision of law, for taxable years beginning on or after
3January 1, 2017, no taxpayer may claim a credit under this
4Section if the taxpayer's adjusted gross income for the
5taxable year exceeds (i) $500,000, in the case of spouses
6filing a joint federal tax return, or (ii) $250,000, in the
7case of all other taxpayers.
8(Source: P.A. 100-22, eff. 7-6-17.)
 
9    (Text of Section with the changes made by P.A. 101-8,
10which did not take effect (see Section 99 of P.A. 101-8))
11    Sec. 208. Tax credit for residential real property taxes.
12Beginning with For tax years ending on or after December 31,
131991 and ending prior to December 31, 2021, every individual
14taxpayer shall be entitled to a tax credit equal to 5% of real
15property taxes paid by such taxpayer during the taxable year
16on the principal residence of the taxpayer. For tax years
17ending on or after December 31, 2021, every individual
18taxpayer shall be entitled to a tax credit equal to 6% of real
19property taxes paid by such taxpayer during the taxable year
20on the principal residence of the taxpayer. In the case of
21multi-unit or multi-use structures and farm dwellings, the
22taxes on the taxpayer's principal residence shall be that
23portion of the total taxes which is attributable to such
24principal residence. Notwithstanding any other provision of
25law, for taxable years beginning on or after January 1, 2017,

 

 

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1no taxpayer may claim a credit under this Section if the
2taxpayer's adjusted gross income for the taxable year exceeds
3(i) $500,000, in the case of spouses filing a joint federal tax
4return, or (ii) $250,000, in the case of all other taxpayers.
5This Section is exempt from the provisions of Section 250.
6(Source: P.A. 100-22, eff. 7-6-17; 101-8, see Section 99 for
7effective date.)
 
8    (35 ILCS 5/502)  (from Ch. 120, par. 5-502)
9    (Text of Section without the changes made by P.A. 101-8,
10which did not take effect (see Section 99 of P.A. 101-8))
11    Sec. 502. Returns and notices.
12    (a) In general. A return with respect to the taxes imposed
13by this Act shall be made by every person for any taxable year:
14        (1) for which such person is liable for a tax imposed
15    by this Act, or
16        (2) in the case of a resident or in the case of a
17    corporation which is qualified to do business in this
18    State, for which such person is required to make a federal
19    income tax return, regardless of whether such person is
20    liable for a tax imposed by this Act. However, this
21    paragraph shall not require a resident to make a return if
22    such person has an Illinois base income of the basic
23    amount in Section 204(b) or less and is either claimed as a
24    dependent on another person's tax return under the
25    Internal Revenue Code, or is claimed as a dependent on

 

 

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1    another person's tax return under this Act.
2    Notwithstanding the provisions of paragraph (1), a
3nonresident (other than, for taxable years ending on or after
4December 31, 2011, a nonresident required to withhold tax
5under Section 709.5) whose Illinois income tax liability under
6subsections (a), (b), (c), and (d) of Section 201 of this Act
7is paid in full after taking into account the credits allowed
8under subsection (f) of this Section or allowed under Section
9709.5 of this Act shall not be required to file a return under
10this subsection (a).
11    (b) Fiduciaries and receivers.
12        (1) Decedents. If an individual is deceased, any
13    return or notice required of such individual under this
14    Act shall be made by his executor, administrator, or other
15    person charged with the property of such decedent.
16        (2) Individuals under a disability. If an individual
17    is unable to make a return or notice required under this
18    Act, the return or notice required of such individual
19    shall be made by his duly authorized agent, guardian,
20    fiduciary or other person charged with the care of the
21    person or property of such individual.
22        (3) Estates and trusts. Returns or notices required of
23    an estate or a trust shall be made by the fiduciary
24    thereof.
25        (4) Receivers, trustees and assignees for
26    corporations. In a case where a receiver, trustee in

 

 

SB2435- 2234 -LRB102 04062 AMC 14078 b

1    bankruptcy, or assignee, by order of a court of competent
2    jurisdiction, by operation of law, or otherwise, has
3    possession of or holds title to all or substantially all
4    the property or business of a corporation, whether or not
5    such property or business is being operated, such
6    receiver, trustee, or assignee shall make the returns and
7    notices required of such corporation in the same manner
8    and form as corporations are required to make such returns
9    and notices.
10    (c) Joint returns by husband and wife.
11        (1) Except as provided in paragraph (3):
12            (A) if a husband and wife file a joint federal
13        income tax return for a taxable year ending before
14        December 31, 2009, they shall file a joint return
15        under this Act for such taxable year and their
16        liabilities shall be joint and several;
17            (B) if a husband and wife file a joint federal
18        income tax return for a taxable year ending on or after
19        December 31, 2009, they may elect to file separate
20        returns under this Act for such taxable year. The
21        election under this paragraph must be made on or
22        before the due date (including extensions) of the
23        return and, once made, shall be irrevocable. If no
24        election is timely made under this paragraph for a
25        taxable year:
26                (i) the couple must file a joint return under

 

 

SB2435- 2235 -LRB102 04062 AMC 14078 b

1            this Act for such taxable year,
2                (ii) their liabilities shall be joint and
3            several, and
4                (iii) any overpayment for that taxable year
5            may be withheld under Section 909 of this Act or
6            under Section 2505-275 of the Civil Administrative
7            Code of Illinois and applied against a debt of
8            either spouse without regard to the amount of the
9            overpayment attributable to the other spouse; and
10            (C) if the federal income tax liability of either
11        spouse is determined on a separate federal income tax
12        return, they shall file separate returns under this
13        Act.
14        (2) If neither spouse is required to file a federal
15    income tax return and either or both are required to file a
16    return under this Act, they may elect to file separate or
17    joint returns and pursuant to such election their
18    liabilities shall be separate or joint and several.
19        (3) If either husband or wife is a resident and the
20    other is a nonresident, they shall file separate returns
21    in this State on such forms as may be required by the
22    Department in which event their tax liabilities shall be
23    separate; but if they file a joint federal income tax
24    return for a taxable year, they may elect to determine
25    their joint net income and file a joint return for that
26    taxable year under the provisions of paragraph (1) of this

 

 

SB2435- 2236 -LRB102 04062 AMC 14078 b

1    subsection as if both were residents and in such case,
2    their liabilities shall be joint and several.
3        (4) Innocent spouses.
4            (A) However, for tax liabilities arising and paid
5        prior to August 13, 1999, an innocent spouse shall be
6        relieved of liability for tax (including interest and
7        penalties) for any taxable year for which a joint
8        return has been made, upon submission of proof that
9        the Internal Revenue Service has made a determination
10        under Section 6013(e) of the Internal Revenue Code,
11        for the same taxable year, which determination
12        relieved the spouse from liability for federal income
13        taxes. If there is no federal income tax liability at
14        issue for the same taxable year, the Department shall
15        rely on the provisions of Section 6013(e) to determine
16        whether the person requesting innocent spouse
17        abatement of tax, penalty, and interest is entitled to
18        that relief.
19            (B) For tax liabilities arising on and after
20        August 13, 1999 or which arose prior to that date, but
21        remain unpaid as of that date, if an individual who
22        filed a joint return for any taxable year has made an
23        election under this paragraph, the individual's
24        liability for any tax shown on the joint return shall
25        not exceed the individual's separate return amount and
26        the individual's liability for any deficiency assessed

 

 

SB2435- 2237 -LRB102 04062 AMC 14078 b

1        for that taxable year shall not exceed the portion of
2        the deficiency properly allocable to the individual.
3        For purposes of this paragraph:
4                (i) An election properly made pursuant to
5            Section 6015 of the Internal Revenue Code shall
6            constitute an election under this paragraph,
7            provided that the election shall not be effective
8            until the individual has notified the Department
9            of the election in the form and manner prescribed
10            by the Department.
11                (ii) If no election has been made under
12            Section 6015, the individual may make an election
13            under this paragraph in the form and manner
14            prescribed by the Department, provided that no
15            election may be made if the Department finds that
16            assets were transferred between individuals filing
17            a joint return as part of a scheme by such
18            individuals to avoid payment of Illinois income
19            tax and the election shall not eliminate the
20            individual's liability for any portion of a
21            deficiency attributable to an error on the return
22            of which the individual had actual knowledge as of
23            the date of filing.
24                (iii) In determining the separate return
25            amount or portion of any deficiency attributable
26            to an individual, the Department shall follow the

 

 

SB2435- 2238 -LRB102 04062 AMC 14078 b

1            provisions in subsections (c) and (d) of Section
2            6015 of the Internal Revenue Code.
3                (iv) In determining the validity of an
4            individual's election under subparagraph (ii) and
5            in determining an electing individual's separate
6            return amount or portion of any deficiency under
7            subparagraph (iii), any determination made by the
8            Secretary of the Treasury, by the United States
9            Tax Court on petition for review of a
10            determination by the Secretary of the Treasury, or
11            on appeal from the United States Tax Court under
12            Section 6015 of the Internal Revenue Code
13            regarding criteria for eligibility or under
14            subsection (d) of Section 6015 of the Internal
15            Revenue Code regarding the allocation of any item
16            of income, deduction, payment, or credit between
17            an individual making the federal election and that
18            individual's spouse shall be conclusively presumed
19            to be correct. With respect to any item that is not
20            the subject of a determination by the Secretary of
21            the Treasury or the federal courts, in any
22            proceeding involving this subsection, the
23            individual making the election shall have the
24            burden of proof with respect to any item except
25            that the Department shall have the burden of proof
26            with respect to items in subdivision (ii).

 

 

SB2435- 2239 -LRB102 04062 AMC 14078 b

1                (v) Any election made by an individual under
2            this subsection shall apply to all years for which
3            that individual and the spouse named in the
4            election have filed a joint return.
5                (vi) After receiving a notice that the federal
6            election has been made or after receiving an
7            election under subdivision (ii), the Department
8            shall take no collection action against the
9            electing individual for any liability arising from
10            a joint return covered by the election until the
11            Department has notified the electing individual in
12            writing that the election is invalid or of the
13            portion of the liability the Department has
14            allocated to the electing individual. Within 60
15            days (150 days if the individual is outside the
16            United States) after the issuance of such
17            notification, the individual may file a written
18            protest of the denial of the election or of the
19            Department's determination of the liability
20            allocated to him or her and shall be granted a
21            hearing within the Department under the provisions
22            of Section 908. If a protest is filed, the
23            Department shall take no collection action against
24            the electing individual until the decision
25            regarding the protest has become final under
26            subsection (d) of Section 908 or, if

 

 

SB2435- 2240 -LRB102 04062 AMC 14078 b

1            administrative review of the Department's decision
2            is requested under Section 1201, until the
3            decision of the court becomes final.
4    (d) Partnerships. Every partnership having any base income
5allocable to this State in accordance with section 305(c)
6shall retain information concerning all items of income, gain,
7loss and deduction; the names and addresses of all of the
8partners, or names and addresses of members of a limited
9liability company, or other persons who would be entitled to
10share in the base income of the partnership if distributed;
11the amount of the distributive share of each; and such other
12pertinent information as the Department may by forms or
13regulations prescribe. The partnership shall make that
14information available to the Department when requested by the
15Department.
16    (e) For taxable years ending on or after December 31,
171985, and before December 31, 1993, taxpayers that are
18corporations (other than Subchapter S corporations) having the
19same taxable year and that are members of the same unitary
20business group may elect to be treated as one taxpayer for
21purposes of any original return, amended return which includes
22the same taxpayers of the unitary group which joined in the
23election to file the original return, extension, claim for
24refund, assessment, collection and payment and determination
25of the group's tax liability under this Act. This subsection
26(e) does not permit the election to be made for some, but not

 

 

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1all, of the purposes enumerated above. For taxable years
2ending on or after December 31, 1987, corporate members (other
3than Subchapter S corporations) of the same unitary business
4group making this subsection (e) election are not required to
5have the same taxable year.
6    For taxable years ending on or after December 31, 1993,
7taxpayers that are corporations (other than Subchapter S
8corporations) and that are members of the same unitary
9business group shall be treated as one taxpayer for purposes
10of any original return, amended return which includes the same
11taxpayers of the unitary group which joined in filing the
12original return, extension, claim for refund, assessment,
13collection and payment and determination of the group's tax
14liability under this Act.
15    (f) For taxable years ending prior to December 31, 2014,
16the Department may promulgate regulations to permit
17nonresident individual partners of the same partnership,
18nonresident Subchapter S corporation shareholders of the same
19Subchapter S corporation, and nonresident individuals
20transacting an insurance business in Illinois under a Lloyds
21plan of operation, and nonresident individual members of the
22same limited liability company that is treated as a
23partnership under Section 1501 (a)(16) of this Act, to file
24composite individual income tax returns reflecting the
25composite income of such individuals allocable to Illinois and
26to make composite individual income tax payments. For taxable

 

 

SB2435- 2242 -LRB102 04062 AMC 14078 b

1years ending prior to December 31, 2014, the Department may by
2regulation also permit such composite returns to include the
3income tax owed by Illinois residents attributable to their
4income from partnerships, Subchapter S corporations, insurance
5businesses organized under a Lloyds plan of operation, or
6limited liability companies that are treated as partnership
7under Section 1501(a)(16) of this Act, in which case such
8Illinois residents will be permitted to claim credits on their
9individual returns for their shares of the composite tax
10payments. This paragraph of subsection (f) applies to taxable
11years ending on or after December 31, 1987 and ending prior to
12December 31, 2014.
13    For taxable years ending on or after December 31, 1999,
14the Department may, by regulation, permit any persons
15transacting an insurance business organized under a Lloyds
16plan of operation to file composite returns reflecting the
17income of such persons allocable to Illinois and the tax rates
18applicable to such persons under Section 201 and to make
19composite tax payments and shall, by regulation, also provide
20that the income and apportionment factors attributable to the
21transaction of an insurance business organized under a Lloyds
22plan of operation by any person joining in the filing of a
23composite return shall, for purposes of allocating and
24apportioning income under Article 3 of this Act and computing
25net income under Section 202 of this Act, be excluded from any
26other income and apportionment factors of that person or of

 

 

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1any unitary business group, as defined in subdivision (a)(27)
2of Section 1501, to which that person may belong.
3    For taxable years ending on or after December 31, 2008,
4every nonresident shall be allowed a credit against his or her
5liability under subsections (a) and (b) of Section 201 for any
6amount of tax reported on a composite return and paid on his or
7her behalf under this subsection (f). Residents (other than
8persons transacting an insurance business organized under a
9Lloyds plan of operation) may claim a credit for taxes
10reported on a composite return and paid on their behalf under
11this subsection (f) only as permitted by the Department by
12rule.
13    (f-5) For taxable years ending on or after December 31,
142008, the Department may adopt rules to provide that, when a
15partnership or Subchapter S corporation has made an error in
16determining the amount of any item of income, deduction,
17addition, subtraction, or credit required to be reported on
18its return that affects the liability imposed under this Act
19on a partner or shareholder, the partnership or Subchapter S
20corporation may report the changes in liabilities of its
21partners or shareholders and claim a refund of the resulting
22overpayments, or pay the resulting underpayments, on behalf of
23its partners and shareholders.
24    (g) The Department may adopt rules to authorize the
25electronic filing of any return required to be filed under
26this Section.

 

 

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1(Source: P.A. 97-507, eff. 8-23-11; 98-478, eff. 1-1-14.)
 
2    (Text of Section with the changes made by P.A. 101-8,
3which did not take effect (see Section 99 of P.A. 101-8))
4    Sec. 502. Returns and notices.
5    (a) In general. A return with respect to the taxes imposed
6by this Act shall be made by every person for any taxable year:
7        (1) for which such person is liable for a tax imposed
8    by this Act, or
9        (2) in the case of a resident or in the case of a
10    corporation which is qualified to do business in this
11    State, for which such person is required to make a federal
12    income tax return, regardless of whether such person is
13    liable for a tax imposed by this Act. However, this
14    paragraph shall not require a resident to make a return if
15    such person has an Illinois base income of the basic
16    amount in Section 204(b) or less and is either claimed as a
17    dependent on another person's tax return under the
18    Internal Revenue Code, or is claimed as a dependent on
19    another person's tax return under this Act.
20    Notwithstanding the provisions of paragraph (1), a
21nonresident (other than, for taxable years ending on or after
22December 31, 2011, a nonresident required to withhold tax
23under Section 709.5) whose Illinois income tax liability under
24subsections (a), (b), (c), and (d) of Section 201 of this Act
25is paid in full after taking into account the credits allowed

 

 

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1under subsection (f) of this Section or allowed under Section
2709.5 of this Act shall not be required to file a return under
3this subsection (a).
4    (b) Fiduciaries and receivers.
5        (1) Decedents. If an individual is deceased, any
6    return or notice required of such individual under this
7    Act shall be made by his executor, administrator, or other
8    person charged with the property of such decedent.
9        (2) Individuals under a disability. If an individual
10    is unable to make a return or notice required under this
11    Act, the return or notice required of such individual
12    shall be made by his duly authorized agent, guardian,
13    fiduciary or other person charged with the care of the
14    person or property of such individual.
15        (3) Estates and trusts. Returns or notices required of
16    an estate or a trust shall be made by the fiduciary
17    thereof.
18        (4) Receivers, trustees and assignees for
19    corporations. In a case where a receiver, trustee in
20    bankruptcy, or assignee, by order of a court of competent
21    jurisdiction, by operation of law, or otherwise, has
22    possession of or holds title to all or substantially all
23    the property or business of a corporation, whether or not
24    such property or business is being operated, such
25    receiver, trustee, or assignee shall make the returns and
26    notices required of such corporation in the same manner

 

 

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1    and form as corporations are required to make such returns
2    and notices.
3    (c) Joint returns by husband and wife spouses.
4        (1) Except as provided in paragraph (3):
5            (A) if a husband and wife spouses file a joint
6        federal income tax return for a taxable year ending
7        before December 31, 2009 or ending on or after
8        December 31, 2021, they shall file a joint return
9        under this Act for such taxable year and their
10        liabilities shall be joint and several;
11            (B) if a husband and wife spouses file a joint
12        federal income tax return for a taxable year ending on
13        or after December 31, 2009 and ending prior to
14        December 31, 2021, they may elect to file separate
15        returns under this Act for such taxable year. The
16        election under this paragraph must be made on or
17        before the due date (including extensions) of the
18        return and, once made, shall be irrevocable. If no
19        election is timely made under this paragraph for a
20        taxable year:
21                (i) the couple must file a joint return under
22            this Act for such taxable year,
23                (ii) their liabilities shall be joint and
24            several, and
25                (iii) any overpayment for that taxable year
26            may be withheld under Section 909 of this Act or

 

 

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1            under Section 2505-275 of the Civil Administrative
2            Code of Illinois and applied against a debt of
3            either spouse without regard to the amount of the
4            overpayment attributable to the other spouse; and
5            (C) if the federal income tax liability of either
6        spouse is determined on a separate federal income tax
7        return, they shall file separate returns under this
8        Act.
9        (2) If neither spouse is required to file a federal
10    income tax return and either or both are required to file a
11    return under this Act, they may elect to file separate or
12    joint returns and pursuant to such election their
13    liabilities shall be separate or joint and several.
14        (3) If either husband or wife spouse is a resident and
15    the other is a nonresident, they shall file separate
16    returns in this State on such forms as may be required by
17    the Department in which event their tax liabilities shall
18    be separate; but if they file a joint federal income tax
19    return for a taxable year, they may elect to determine
20    their joint net income and file a joint return for that
21    taxable year under the provisions of paragraph (1) of this
22    subsection as if both were residents and in such case,
23    their liabilities shall be joint and several.
24        (4) Innocent spouses.
25            (A) However, for tax liabilities arising and paid
26        prior to August 13, 1999, an innocent spouse shall be

 

 

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1        relieved of liability for tax (including interest and
2        penalties) for any taxable year for which a joint
3        return has been made, upon submission of proof that
4        the Internal Revenue Service has made a determination
5        under Section 6013(e) of the Internal Revenue Code,
6        for the same taxable year, which determination
7        relieved the spouse from liability for federal income
8        taxes. If there is no federal income tax liability at
9        issue for the same taxable year, the Department shall
10        rely on the provisions of Section 6013(e) to determine
11        whether the person requesting innocent spouse
12        abatement of tax, penalty, and interest is entitled to
13        that relief.
14            (B) For tax liabilities arising on and after
15        August 13, 1999 or which arose prior to that date, but
16        remain unpaid as of that date, if an individual who
17        filed a joint return for any taxable year has made an
18        election under this paragraph, the individual's
19        liability for any tax shown on the joint return shall
20        not exceed the individual's separate return amount and
21        the individual's liability for any deficiency assessed
22        for that taxable year shall not exceed the portion of
23        the deficiency properly allocable to the individual.
24        For purposes of this paragraph:
25                (i) An election properly made pursuant to
26            Section 6015 of the Internal Revenue Code shall

 

 

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1            constitute an election under this paragraph,
2            provided that the election shall not be effective
3            until the individual has notified the Department
4            of the election in the form and manner prescribed
5            by the Department.
6                (ii) If no election has been made under
7            Section 6015, the individual may make an election
8            under this paragraph in the form and manner
9            prescribed by the Department, provided that no
10            election may be made if the Department finds that
11            assets were transferred between individuals filing
12            a joint return as part of a scheme by such
13            individuals to avoid payment of Illinois income
14            tax and the election shall not eliminate the
15            individual's liability for any portion of a
16            deficiency attributable to an error on the return
17            of which the individual had actual knowledge as of
18            the date of filing.
19                (iii) In determining the separate return
20            amount or portion of any deficiency attributable
21            to an individual, the Department shall follow the
22            provisions in subsections (c) and (d) of Section
23            6015 of the Internal Revenue Code.
24                (iv) In determining the validity of an
25            individual's election under subparagraph (ii) and
26            in determining an electing individual's separate

 

 

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1            return amount or portion of any deficiency under
2            subparagraph (iii), any determination made by the
3            Secretary of the Treasury, by the United States
4            Tax Court on petition for review of a
5            determination by the Secretary of the Treasury, or
6            on appeal from the United States Tax Court under
7            Section 6015 of the Internal Revenue Code
8            regarding criteria for eligibility or under
9            subsection (d) of Section 6015 of the Internal
10            Revenue Code regarding the allocation of any item
11            of income, deduction, payment, or credit between
12            an individual making the federal election and that
13            individual's spouse shall be conclusively presumed
14            to be correct. With respect to any item that is not
15            the subject of a determination by the Secretary of
16            the Treasury or the federal courts, in any
17            proceeding involving this subsection, the
18            individual making the election shall have the
19            burden of proof with respect to any item except
20            that the Department shall have the burden of proof
21            with respect to items in subdivision (ii).
22                (v) Any election made by an individual under
23            this subsection shall apply to all years for which
24            that individual and the spouse named in the
25            election have filed a joint return.
26                (vi) After receiving a notice that the federal

 

 

SB2435- 2251 -LRB102 04062 AMC 14078 b

1            election has been made or after receiving an
2            election under subdivision (ii), the Department
3            shall take no collection action against the
4            electing individual for any liability arising from
5            a joint return covered by the election until the
6            Department has notified the electing individual in
7            writing that the election is invalid or of the
8            portion of the liability the Department has
9            allocated to the electing individual. Within 60
10            days (150 days if the individual is outside the
11            United States) after the issuance of such
12            notification, the individual may file a written
13            protest of the denial of the election or of the
14            Department's determination of the liability
15            allocated to him or her and shall be granted a
16            hearing within the Department under the provisions
17            of Section 908. If a protest is filed, the
18            Department shall take no collection action against
19            the electing individual until the decision
20            regarding the protest has become final under
21            subsection (d) of Section 908 or, if
22            administrative review of the Department's decision
23            is requested under Section 1201, until the
24            decision of the court becomes final.
25    (d) Partnerships. Every partnership having any base income
26allocable to this State in accordance with section 305(c)

 

 

SB2435- 2252 -LRB102 04062 AMC 14078 b

1shall retain information concerning all items of income, gain,
2loss and deduction; the names and addresses of all of the
3partners, or names and addresses of members of a limited
4liability company, or other persons who would be entitled to
5share in the base income of the partnership if distributed;
6the amount of the distributive share of each; and such other
7pertinent information as the Department may by forms or
8regulations prescribe. The partnership shall make that
9information available to the Department when requested by the
10Department.
11    (e) For taxable years ending on or after December 31,
121985, and before December 31, 1993, taxpayers that are
13corporations (other than Subchapter S corporations) having the
14same taxable year and that are members of the same unitary
15business group may elect to be treated as one taxpayer for
16purposes of any original return, amended return which includes
17the same taxpayers of the unitary group which joined in the
18election to file the original return, extension, claim for
19refund, assessment, collection and payment and determination
20of the group's tax liability under this Act. This subsection
21(e) does not permit the election to be made for some, but not
22all, of the purposes enumerated above. For taxable years
23ending on or after December 31, 1987, corporate members (other
24than Subchapter S corporations) of the same unitary business
25group making this subsection (e) election are not required to
26have the same taxable year.

 

 

SB2435- 2253 -LRB102 04062 AMC 14078 b

1    For taxable years ending on or after December 31, 1993,
2taxpayers that are corporations (other than Subchapter S
3corporations) and that are members of the same unitary
4business group shall be treated as one taxpayer for purposes
5of any original return, amended return which includes the same
6taxpayers of the unitary group which joined in filing the
7original return, extension, claim for refund, assessment,
8collection and payment and determination of the group's tax
9liability under this Act.
10    (f) For taxable years ending prior to December 31, 2014,
11the Department may promulgate regulations to permit
12nonresident individual partners of the same partnership,
13nonresident Subchapter S corporation shareholders of the same
14Subchapter S corporation, and nonresident individuals
15transacting an insurance business in Illinois under a Lloyds
16plan of operation, and nonresident individual members of the
17same limited liability company that is treated as a
18partnership under Section 1501 (a)(16) of this Act, to file
19composite individual income tax returns reflecting the
20composite income of such individuals allocable to Illinois and
21to make composite individual income tax payments. For taxable
22years ending prior to December 31, 2014, the Department may by
23regulation also permit such composite returns to include the
24income tax owed by Illinois residents attributable to their
25income from partnerships, Subchapter S corporations, insurance
26businesses organized under a Lloyds plan of operation, or

 

 

SB2435- 2254 -LRB102 04062 AMC 14078 b

1limited liability companies that are treated as partnership
2under Section 1501(a)(16) of this Act, in which case such
3Illinois residents will be permitted to claim credits on their
4individual returns for their shares of the composite tax
5payments. This paragraph of subsection (f) applies to taxable
6years ending on or after December 31, 1987 and ending prior to
7December 31, 2014.
8    For taxable years ending on or after December 31, 1999,
9the Department may, by regulation, permit any persons
10transacting an insurance business organized under a Lloyds
11plan of operation to file composite returns reflecting the
12income of such persons allocable to Illinois and the tax rates
13applicable to such persons under Section 201 and to make
14composite tax payments and shall, by regulation, also provide
15that the income and apportionment factors attributable to the
16transaction of an insurance business organized under a Lloyds
17plan of operation by any person joining in the filing of a
18composite return shall, for purposes of allocating and
19apportioning income under Article 3 of this Act and computing
20net income under Section 202 of this Act, be excluded from any
21other income and apportionment factors of that person or of
22any unitary business group, as defined in subdivision (a)(27)
23of Section 1501, to which that person may belong.
24    For taxable years ending on or after December 31, 2008,
25every nonresident shall be allowed a credit against his or her
26liability under subsections (a) and (b) of Section 201 for any

 

 

SB2435- 2255 -LRB102 04062 AMC 14078 b

1amount of tax reported on a composite return and paid on his or
2her behalf under this subsection (f). Residents (other than
3persons transacting an insurance business organized under a
4Lloyds plan of operation) may claim a credit for taxes
5reported on a composite return and paid on their behalf under
6this subsection (f) only as permitted by the Department by
7rule.
8    (f-5) For taxable years ending on or after December 31,
92008, the Department may adopt rules to provide that, when a
10partnership or Subchapter S corporation has made an error in
11determining the amount of any item of income, deduction,
12addition, subtraction, or credit required to be reported on
13its return that affects the liability imposed under this Act
14on a partner or shareholder, the partnership or Subchapter S
15corporation may report the changes in liabilities of its
16partners or shareholders and claim a refund of the resulting
17overpayments, or pay the resulting underpayments, on behalf of
18its partners and shareholders.
19    (g) The Department may adopt rules to authorize the
20electronic filing of any return required to be filed under
21this Section.
22(Source: P.A. 101-8, see Section 99 for effective date.)
 
23    (35 ILCS 5/901)
24    (Text of Section without the changes made by P.A. 101-8,
25which did not take effect (see Section 99 of P.A. 101-8))

 

 

SB2435- 2256 -LRB102 04062 AMC 14078 b

1    Sec. 901. Collection authority.
2    (a) In general. The Department shall collect the taxes
3imposed by this Act. The Department shall collect certified
4past due child support amounts under Section 2505-650 of the
5Department of Revenue Law of the Civil Administrative Code of
6Illinois. Except as provided in subsections (b), (c), (e),
7(f), (g), and (h) of this Section, money collected pursuant to
8subsections (a) and (b) of Section 201 of this Act shall be
9paid into the General Revenue Fund in the State treasury;
10money collected pursuant to subsections (c) and (d) of Section
11201 of this Act shall be paid into the Personal Property Tax
12Replacement Fund, a special fund in the State Treasury; and
13money collected under Section 2505-650 of the Department of
14Revenue Law of the Civil Administrative Code of Illinois shall
15be paid into the Child Support Enforcement Trust Fund, a
16special fund outside the State Treasury, or to the State
17Disbursement Unit established under Section 10-26 of the
18Illinois Public Aid Code, as directed by the Department of
19Healthcare and Family Services.
20    (b) Local Government Distributive Fund. Beginning August
211, 2017, the Treasurer shall transfer each month from the
22General Revenue Fund to the Local Government Distributive Fund
23an amount equal to the sum of (i) 6.06% (10% of the ratio of
24the 3% individual income tax rate prior to 2011 to the 4.95%
25individual income tax rate after July 1, 2017) of the net
26revenue realized from the tax imposed by subsections (a) and

 

 

SB2435- 2257 -LRB102 04062 AMC 14078 b

1(b) of Section 201 of this Act upon individuals, trusts, and
2estates during the preceding month and (ii) 6.85% (10% of the
3ratio of the 4.8% corporate income tax rate prior to 2011 to
4the 7% corporate income tax rate after July 1, 2017) of the net
5revenue realized from the tax imposed by subsections (a) and
6(b) of Section 201 of this Act upon corporations during the
7preceding month. Net revenue realized for a month shall be
8defined as the revenue from the tax imposed by subsections (a)
9and (b) of Section 201 of this Act which is deposited in the
10General Revenue Fund, the Education Assistance Fund, the
11Income Tax Surcharge Local Government Distributive Fund, the
12Fund for the Advancement of Education, and the Commitment to
13Human Services Fund during the month minus the amount paid out
14of the General Revenue Fund in State warrants during that same
15month as refunds to taxpayers for overpayment of liability
16under the tax imposed by subsections (a) and (b) of Section 201
17of this Act.
18    Notwithstanding any provision of law to the contrary,
19beginning on July 6, 2017 (the effective date of Public Act
20100-23), those amounts required under this subsection (b) to
21be transferred by the Treasurer into the Local Government
22Distributive Fund from the General Revenue Fund shall be
23directly deposited into the Local Government Distributive Fund
24as the revenue is realized from the tax imposed by subsections
25(a) and (b) of Section 201 of this Act.
26    For State fiscal year 2020 only, notwithstanding any

 

 

SB2435- 2258 -LRB102 04062 AMC 14078 b

1provision of law to the contrary, the total amount of revenue
2and deposits under this Section attributable to revenues
3realized during State fiscal year 2020 shall be reduced by 5%.
4    (c) Deposits Into Income Tax Refund Fund.
5        (1) Beginning on January 1, 1989 and thereafter, the
6    Department shall deposit a percentage of the amounts
7    collected pursuant to subsections (a) and (b)(1), (2), and
8    (3) of Section 201 of this Act into a fund in the State
9    treasury known as the Income Tax Refund Fund. Beginning
10    with State fiscal year 1990 and for each fiscal year
11    thereafter, the percentage deposited into the Income Tax
12    Refund Fund during a fiscal year shall be the Annual
13    Percentage. For fiscal year 2011, the Annual Percentage
14    shall be 8.75%. For fiscal year 2012, the Annual
15    Percentage shall be 8.75%. For fiscal year 2013, the
16    Annual Percentage shall be 9.75%. For fiscal year 2014,
17    the Annual Percentage shall be 9.5%. For fiscal year 2015,
18    the Annual Percentage shall be 10%. For fiscal year 2018,
19    the Annual Percentage shall be 9.8%. For fiscal year 2019,
20    the Annual Percentage shall be 9.7%. For fiscal year 2020,
21    the Annual Percentage shall be 9.5%. For fiscal year 2021,
22    the Annual Percentage shall be 9%. For all other fiscal
23    years, the Annual Percentage shall be calculated as a
24    fraction, the numerator of which shall be the amount of
25    refunds approved for payment by the Department during the
26    preceding fiscal year as a result of overpayment of tax

 

 

SB2435- 2259 -LRB102 04062 AMC 14078 b

1    liability under subsections (a) and (b)(1), (2), and (3)
2    of Section 201 of this Act plus the amount of such refunds
3    remaining approved but unpaid at the end of the preceding
4    fiscal year, minus the amounts transferred into the Income
5    Tax Refund Fund from the Tobacco Settlement Recovery Fund,
6    and the denominator of which shall be the amounts which
7    will be collected pursuant to subsections (a) and (b)(1),
8    (2), and (3) of Section 201 of this Act during the
9    preceding fiscal year; except that in State fiscal year
10    2002, the Annual Percentage shall in no event exceed 7.6%.
11    The Director of Revenue shall certify the Annual
12    Percentage to the Comptroller on the last business day of
13    the fiscal year immediately preceding the fiscal year for
14    which it is to be effective.
15        (2) Beginning on January 1, 1989 and thereafter, the
16    Department shall deposit a percentage of the amounts
17    collected pursuant to subsections (a) and (b)(6), (7), and
18    (8), (c) and (d) of Section 201 of this Act into a fund in
19    the State treasury known as the Income Tax Refund Fund.
20    Beginning with State fiscal year 1990 and for each fiscal
21    year thereafter, the percentage deposited into the Income
22    Tax Refund Fund during a fiscal year shall be the Annual
23    Percentage. For fiscal year 2011, the Annual Percentage
24    shall be 17.5%. For fiscal year 2012, the Annual
25    Percentage shall be 17.5%. For fiscal year 2013, the
26    Annual Percentage shall be 14%. For fiscal year 2014, the

 

 

SB2435- 2260 -LRB102 04062 AMC 14078 b

1    Annual Percentage shall be 13.4%. For fiscal year 2015,
2    the Annual Percentage shall be 14%. For fiscal year 2018,
3    the Annual Percentage shall be 17.5%. For fiscal year
4    2019, the Annual Percentage shall be 15.5%. For fiscal
5    year 2020, the Annual Percentage shall be 14.25%. For
6    fiscal year 2021, the Annual Percentage shall be 14%. For
7    all other fiscal years, the Annual Percentage shall be
8    calculated as a fraction, the numerator of which shall be
9    the amount of refunds approved for payment by the
10    Department during the preceding fiscal year as a result of
11    overpayment of tax liability under subsections (a) and
12    (b)(6), (7), and (8), (c) and (d) of Section 201 of this
13    Act plus the amount of such refunds remaining approved but
14    unpaid at the end of the preceding fiscal year, and the
15    denominator of which shall be the amounts which will be
16    collected pursuant to subsections (a) and (b)(6), (7), and
17    (8), (c) and (d) of Section 201 of this Act during the
18    preceding fiscal year; except that in State fiscal year
19    2002, the Annual Percentage shall in no event exceed 23%.
20    The Director of Revenue shall certify the Annual
21    Percentage to the Comptroller on the last business day of
22    the fiscal year immediately preceding the fiscal year for
23    which it is to be effective.
24        (3) The Comptroller shall order transferred and the
25    Treasurer shall transfer from the Tobacco Settlement
26    Recovery Fund to the Income Tax Refund Fund (i)

 

 

SB2435- 2261 -LRB102 04062 AMC 14078 b

1    $35,000,000 in January, 2001, (ii) $35,000,000 in January,
2    2002, and (iii) $35,000,000 in January, 2003.
3    (d) Expenditures from Income Tax Refund Fund.
4        (1) Beginning January 1, 1989, money in the Income Tax
5    Refund Fund shall be expended exclusively for the purpose
6    of paying refunds resulting from overpayment of tax
7    liability under Section 201 of this Act and for making
8    transfers pursuant to this subsection (d).
9        (2) The Director shall order payment of refunds
10    resulting from overpayment of tax liability under Section
11    201 of this Act from the Income Tax Refund Fund only to the
12    extent that amounts collected pursuant to Section 201 of
13    this Act and transfers pursuant to this subsection (d) and
14    item (3) of subsection (c) have been deposited and
15    retained in the Fund.
16        (3) As soon as possible after the end of each fiscal
17    year, the Director shall order transferred and the State
18    Treasurer and State Comptroller shall transfer from the
19    Income Tax Refund Fund to the Personal Property Tax
20    Replacement Fund an amount, certified by the Director to
21    the Comptroller, equal to the excess of the amount
22    collected pursuant to subsections (c) and (d) of Section
23    201 of this Act deposited into the Income Tax Refund Fund
24    during the fiscal year over the amount of refunds
25    resulting from overpayment of tax liability under
26    subsections (c) and (d) of Section 201 of this Act paid

 

 

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1    from the Income Tax Refund Fund during the fiscal year.
2        (4) As soon as possible after the end of each fiscal
3    year, the Director shall order transferred and the State
4    Treasurer and State Comptroller shall transfer from the
5    Personal Property Tax Replacement Fund to the Income Tax
6    Refund Fund an amount, certified by the Director to the
7    Comptroller, equal to the excess of the amount of refunds
8    resulting from overpayment of tax liability under
9    subsections (c) and (d) of Section 201 of this Act paid
10    from the Income Tax Refund Fund during the fiscal year
11    over the amount collected pursuant to subsections (c) and
12    (d) of Section 201 of this Act deposited into the Income
13    Tax Refund Fund during the fiscal year.
14        (4.5) As soon as possible after the end of fiscal year
15    1999 and of each fiscal year thereafter, the Director
16    shall order transferred and the State Treasurer and State
17    Comptroller shall transfer from the Income Tax Refund Fund
18    to the General Revenue Fund any surplus remaining in the
19    Income Tax Refund Fund as of the end of such fiscal year;
20    excluding for fiscal years 2000, 2001, and 2002 amounts
21    attributable to transfers under item (3) of subsection (c)
22    less refunds resulting from the earned income tax credit.
23        (5) This Act shall constitute an irrevocable and
24    continuing appropriation from the Income Tax Refund Fund
25    for the purpose of paying refunds upon the order of the
26    Director in accordance with the provisions of this

 

 

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1    Section.
2    (e) Deposits into the Education Assistance Fund and the
3Income Tax Surcharge Local Government Distributive Fund. On
4July 1, 1991, and thereafter, of the amounts collected
5pursuant to subsections (a) and (b) of Section 201 of this Act,
6minus deposits into the Income Tax Refund Fund, the Department
7shall deposit 7.3% into the Education Assistance Fund in the
8State Treasury. Beginning July 1, 1991, and continuing through
9January 31, 1993, of the amounts collected pursuant to
10subsections (a) and (b) of Section 201 of the Illinois Income
11Tax Act, minus deposits into the Income Tax Refund Fund, the
12Department shall deposit 3.0% into the Income Tax Surcharge
13Local Government Distributive Fund in the State Treasury.
14Beginning February 1, 1993 and continuing through June 30,
151993, of the amounts collected pursuant to subsections (a) and
16(b) of Section 201 of the Illinois Income Tax Act, minus
17deposits into the Income Tax Refund Fund, the Department shall
18deposit 4.4% into the Income Tax Surcharge Local Government
19Distributive Fund in the State Treasury. Beginning July 1,
201993, and continuing through June 30, 1994, of the amounts
21collected under subsections (a) and (b) of Section 201 of this
22Act, minus deposits into the Income Tax Refund Fund, the
23Department shall deposit 1.475% into the Income Tax Surcharge
24Local Government Distributive Fund in the State Treasury.
25    (f) Deposits into the Fund for the Advancement of
26Education. Beginning February 1, 2015, the Department shall

 

 

SB2435- 2264 -LRB102 04062 AMC 14078 b

1deposit the following portions of the revenue realized from
2the tax imposed upon individuals, trusts, and estates by
3subsections (a) and (b) of Section 201 of this Act, minus
4deposits into the Income Tax Refund Fund, into the Fund for the
5Advancement of Education:
6        (1) beginning February 1, 2015, and prior to February
7    1, 2025, 1/30; and
8        (2) beginning February 1, 2025, 1/26.
9    If the rate of tax imposed by subsection (a) and (b) of
10Section 201 is reduced pursuant to Section 201.5 of this Act,
11the Department shall not make the deposits required by this
12subsection (f) on or after the effective date of the
13reduction.
14    (g) Deposits into the Commitment to Human Services Fund.
15Beginning February 1, 2015, the Department shall deposit the
16following portions of the revenue realized from the tax
17imposed upon individuals, trusts, and estates by subsections
18(a) and (b) of Section 201 of this Act, minus deposits into the
19Income Tax Refund Fund, into the Commitment to Human Services
20Fund:
21        (1) beginning February 1, 2015, and prior to February
22    1, 2025, 1/30; and
23        (2) beginning February 1, 2025, 1/26.
24    If the rate of tax imposed by subsection (a) and (b) of
25Section 201 is reduced pursuant to Section 201.5 of this Act,
26the Department shall not make the deposits required by this

 

 

SB2435- 2265 -LRB102 04062 AMC 14078 b

1subsection (g) on or after the effective date of the
2reduction.
3    (h) Deposits into the Tax Compliance and Administration
4Fund. Beginning on the first day of the first calendar month to
5occur on or after August 26, 2014 (the effective date of Public
6Act 98-1098), each month the Department shall pay into the Tax
7Compliance and Administration Fund, to be used, subject to
8appropriation, to fund additional auditors and compliance
9personnel at the Department, an amount equal to 1/12 of 5% of
10the cash receipts collected during the preceding fiscal year
11by the Audit Bureau of the Department from the tax imposed by
12subsections (a), (b), (c), and (d) of Section 201 of this Act,
13net of deposits into the Income Tax Refund Fund made from those
14cash receipts.
15(Source: P.A. 100-22, eff. 7-6-17; 100-23, eff. 7-6-17;
16100-587, eff. 6-4-18; 100-621, eff. 7-20-18; 100-863, eff.
178-14-18; 100-1171, eff. 1-4-19; 101-10, eff. 6-5-19; 101-81,
18eff. 7-12-19; 101-636, eff. 6-10-20.)
 
19    (Text of Section with the changes made by P.A. 101-8,
20which did not take effect (see Section 99 of P.A. 101-8))
21    Sec. 901. Collection authority.
22    (a) In general. The Department shall collect the taxes
23imposed by this Act. The Department shall collect certified
24past due child support amounts under Section 2505-650 of the
25Department of Revenue Law of the Civil Administrative Code of

 

 

SB2435- 2266 -LRB102 04062 AMC 14078 b

1Illinois. Except as provided in subsections (b), (c), (e),
2(f), (g), and (h) of this Section, money collected pursuant to
3subsections (a) and (b) of Section 201 of this Act shall be
4paid into the General Revenue Fund in the State treasury;
5money collected pursuant to subsections (c) and (d) of Section
6201 of this Act shall be paid into the Personal Property Tax
7Replacement Fund, a special fund in the State Treasury; and
8money collected under Section 2505-650 of the Department of
9Revenue Law of the Civil Administrative Code of Illinois shall
10be paid into the Child Support Enforcement Trust Fund, a
11special fund outside the State Treasury, or to the State
12Disbursement Unit established under Section 10-26 of the
13Illinois Public Aid Code, as directed by the Department of
14Healthcare and Family Services.
15    (b) Local Government Distributive Fund. Beginning August
161, 2017 and continuing through January 31, 2021, the Treasurer
17shall transfer each month from the General Revenue Fund to the
18Local Government Distributive Fund an amount equal to the sum
19of (i) 6.06% (10% of the ratio of the 3% individual income tax
20rate prior to 2011 to the 4.95% individual income tax rate
21after July 1, 2017) of the net revenue realized from the tax
22imposed by subsections (a) and (b) of Section 201 of this Act
23upon individuals, trusts, and estates during the preceding
24month and (ii) 6.85% (10% of the ratio of the 4.8% corporate
25income tax rate prior to 2011 to the 7% corporate income tax
26rate after July 1, 2017) of the net revenue realized from the

 

 

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1tax imposed by subsections (a) and (b) of Section 201 of this
2Act upon corporations during the preceding month. Beginning
3February 1, 2021, the Treasurer shall transfer each month from
4the General Revenue Fund to the Local Government Distributive
5Fund an amount equal to the sum of (i) 5.32% of the net revenue
6realized from the tax imposed by subsections (a) and (b) of
7Section 201 of this Act upon individuals, trusts, and estates
8during the preceding month and (ii) 6.16% of the net revenue
9realized from the tax imposed by subsections (a) and (b) of
10Section 201 of this Act upon corporations during the preceding
11month. Net revenue realized for a month shall be defined as the
12revenue from the tax imposed by subsections (a) and (b) of
13Section 201 of this Act which is deposited in the General
14Revenue Fund, the Education Assistance Fund, the Income Tax
15Surcharge Local Government Distributive Fund, the Fund for the
16Advancement of Education, and the Commitment to Human Services
17Fund during the month minus the amount paid out of the General
18Revenue Fund in State warrants during that same month as
19refunds to taxpayers for overpayment of liability under the
20tax imposed by subsections (a) and (b) of Section 201 of this
21Act.
22    Notwithstanding any provision of law to the contrary,
23beginning on July 6, 2017 (the effective date of Public Act
24100-23), those amounts required under this subsection (b) to
25be transferred by the Treasurer into the Local Government
26Distributive Fund from the General Revenue Fund shall be

 

 

SB2435- 2268 -LRB102 04062 AMC 14078 b

1directly deposited into the Local Government Distributive Fund
2as the revenue is realized from the tax imposed by subsections
3(a) and (b) of Section 201 of this Act.
4    For State fiscal year 2020 only, notwithstanding any
5provision of law to the contrary, the total amount of revenue
6and deposits under this Section attributable to revenues
7realized during State fiscal year 2020 shall be reduced by 5%.
8    (c) Deposits Into Income Tax Refund Fund.
9        (1) Beginning on January 1, 1989 and thereafter, the
10    Department shall deposit a percentage of the amounts
11    collected pursuant to subsections (a) and (b)(1), (2), and
12    (3) of Section 201 of this Act into a fund in the State
13    treasury known as the Income Tax Refund Fund. Beginning
14    with State fiscal year 1990 and for each fiscal year
15    thereafter, the percentage deposited into the Income Tax
16    Refund Fund during a fiscal year shall be the Annual
17    Percentage. For fiscal year 2011, the Annual Percentage
18    shall be 8.75%. For fiscal year 2012, the Annual
19    Percentage shall be 8.75%. For fiscal year 2013, the
20    Annual Percentage shall be 9.75%. For fiscal year 2014,
21    the Annual Percentage shall be 9.5%. For fiscal year 2015,
22    the Annual Percentage shall be 10%. For fiscal year 2018,
23    the Annual Percentage shall be 9.8%. For fiscal year 2019,
24    the Annual Percentage shall be 9.7%. For fiscal year 2020,
25    the Annual Percentage shall be 9.5%. For fiscal year 2021,
26    the Annual Percentage shall be 9%. For all other fiscal

 

 

SB2435- 2269 -LRB102 04062 AMC 14078 b

1    years, the Annual Percentage shall be calculated as a
2    fraction, the numerator of which shall be the amount of
3    refunds approved for payment by the Department during the
4    preceding fiscal year as a result of overpayment of tax
5    liability under subsections (a) and (b)(1), (2), and (3)
6    of Section 201 of this Act plus the amount of such refunds
7    remaining approved but unpaid at the end of the preceding
8    fiscal year, minus the amounts transferred into the Income
9    Tax Refund Fund from the Tobacco Settlement Recovery Fund,
10    and the denominator of which shall be the amounts which
11    will be collected pursuant to subsections (a) and (b)(1),
12    (2), and (3) of Section 201 of this Act during the
13    preceding fiscal year; except that in State fiscal year
14    2002, the Annual Percentage shall in no event exceed 7.6%.
15    The Director of Revenue shall certify the Annual
16    Percentage to the Comptroller on the last business day of
17    the fiscal year immediately preceding the fiscal year for
18    which it is to be effective.
19        (2) Beginning on January 1, 1989 and thereafter, the
20    Department shall deposit a percentage of the amounts
21    collected pursuant to subsections (a) and (b)(6), (7), and
22    (8), (c) and (d) of Section 201 of this Act into a fund in
23    the State treasury known as the Income Tax Refund Fund.
24    Beginning with State fiscal year 1990 and for each fiscal
25    year thereafter, the percentage deposited into the Income
26    Tax Refund Fund during a fiscal year shall be the Annual

 

 

SB2435- 2270 -LRB102 04062 AMC 14078 b

1    Percentage. For fiscal year 2011, the Annual Percentage
2    shall be 17.5%. For fiscal year 2012, the Annual
3    Percentage shall be 17.5%. For fiscal year 2013, the
4    Annual Percentage shall be 14%. For fiscal year 2014, the
5    Annual Percentage shall be 13.4%. For fiscal year 2015,
6    the Annual Percentage shall be 14%. For fiscal year 2018,
7    the Annual Percentage shall be 17.5%. For fiscal year
8    2019, the Annual Percentage shall be 15.5%. For fiscal
9    year 2020, the Annual Percentage shall be 14.25%. For
10    fiscal year 2021, the Annual Percentage shall be 14%. For
11    all other fiscal years, the Annual Percentage shall be
12    calculated as a fraction, the numerator of which shall be
13    the amount of refunds approved for payment by the
14    Department during the preceding fiscal year as a result of
15    overpayment of tax liability under subsections (a) and
16    (b)(6), (7), and (8), (c) and (d) of Section 201 of this
17    Act plus the amount of such refunds remaining approved but
18    unpaid at the end of the preceding fiscal year, and the
19    denominator of which shall be the amounts which will be
20    collected pursuant to subsections (a) and (b)(6), (7), and
21    (8), (c) and (d) of Section 201 of this Act during the
22    preceding fiscal year; except that in State fiscal year
23    2002, the Annual Percentage shall in no event exceed 23%.
24    The Director of Revenue shall certify the Annual
25    Percentage to the Comptroller on the last business day of
26    the fiscal year immediately preceding the fiscal year for

 

 

SB2435- 2271 -LRB102 04062 AMC 14078 b

1    which it is to be effective.
2        (3) The Comptroller shall order transferred and the
3    Treasurer shall transfer from the Tobacco Settlement
4    Recovery Fund to the Income Tax Refund Fund (i)
5    $35,000,000 in January, 2001, (ii) $35,000,000 in January,
6    2002, and (iii) $35,000,000 in January, 2003.
7    (d) Expenditures from Income Tax Refund Fund.
8        (1) Beginning January 1, 1989, money in the Income Tax
9    Refund Fund shall be expended exclusively for the purpose
10    of paying refunds resulting from overpayment of tax
11    liability under Section 201 of this Act and for making
12    transfers pursuant to this subsection (d).
13        (2) The Director shall order payment of refunds
14    resulting from overpayment of tax liability under Section
15    201 of this Act from the Income Tax Refund Fund only to the
16    extent that amounts collected pursuant to Section 201 of
17    this Act and transfers pursuant to this subsection (d) and
18    item (3) of subsection (c) have been deposited and
19    retained in the Fund.
20        (3) As soon as possible after the end of each fiscal
21    year, the Director shall order transferred and the State
22    Treasurer and State Comptroller shall transfer from the
23    Income Tax Refund Fund to the Personal Property Tax
24    Replacement Fund an amount, certified by the Director to
25    the Comptroller, equal to the excess of the amount
26    collected pursuant to subsections (c) and (d) of Section

 

 

SB2435- 2272 -LRB102 04062 AMC 14078 b

1    201 of this Act deposited into the Income Tax Refund Fund
2    during the fiscal year over the amount of refunds
3    resulting from overpayment of tax liability under
4    subsections (c) and (d) of Section 201 of this Act paid
5    from the Income Tax Refund Fund during the fiscal year.
6        (4) As soon as possible after the end of each fiscal
7    year, the Director shall order transferred and the State
8    Treasurer and State Comptroller shall transfer from the
9    Personal Property Tax Replacement Fund to the Income Tax
10    Refund Fund an amount, certified by the Director to the
11    Comptroller, equal to the excess of the amount of refunds
12    resulting from overpayment of tax liability under
13    subsections (c) and (d) of Section 201 of this Act paid
14    from the Income Tax Refund Fund during the fiscal year
15    over the amount collected pursuant to subsections (c) and
16    (d) of Section 201 of this Act deposited into the Income
17    Tax Refund Fund during the fiscal year.
18        (4.5) As soon as possible after the end of fiscal year
19    1999 and of each fiscal year thereafter, the Director
20    shall order transferred and the State Treasurer and State
21    Comptroller shall transfer from the Income Tax Refund Fund
22    to the General Revenue Fund any surplus remaining in the
23    Income Tax Refund Fund as of the end of such fiscal year;
24    excluding for fiscal years 2000, 2001, and 2002 amounts
25    attributable to transfers under item (3) of subsection (c)
26    less refunds resulting from the earned income tax credit.

 

 

SB2435- 2273 -LRB102 04062 AMC 14078 b

1        (5) This Act shall constitute an irrevocable and
2    continuing appropriation from the Income Tax Refund Fund
3    for the purpose of paying refunds upon the order of the
4    Director in accordance with the provisions of this
5    Section.
6    (e) Deposits into the Education Assistance Fund and the
7Income Tax Surcharge Local Government Distributive Fund. On
8July 1, 1991, and thereafter, of the amounts collected
9pursuant to subsections (a) and (b) of Section 201 of this Act,
10minus deposits into the Income Tax Refund Fund, the Department
11shall deposit 7.3% into the Education Assistance Fund in the
12State Treasury. Beginning July 1, 1991, and continuing through
13January 31, 1993, of the amounts collected pursuant to
14subsections (a) and (b) of Section 201 of the Illinois Income
15Tax Act, minus deposits into the Income Tax Refund Fund, the
16Department shall deposit 3.0% into the Income Tax Surcharge
17Local Government Distributive Fund in the State Treasury.
18Beginning February 1, 1993 and continuing through June 30,
191993, of the amounts collected pursuant to subsections (a) and
20(b) of Section 201 of the Illinois Income Tax Act, minus
21deposits into the Income Tax Refund Fund, the Department shall
22deposit 4.4% into the Income Tax Surcharge Local Government
23Distributive Fund in the State Treasury. Beginning July 1,
241993, and continuing through June 30, 1994, of the amounts
25collected under subsections (a) and (b) of Section 201 of this
26Act, minus deposits into the Income Tax Refund Fund, the

 

 

SB2435- 2274 -LRB102 04062 AMC 14078 b

1Department shall deposit 1.475% into the Income Tax Surcharge
2Local Government Distributive Fund in the State Treasury.
3    (f) Deposits into the Fund for the Advancement of
4Education. Beginning February 1, 2015, the Department shall
5deposit the following portions of the revenue realized from
6the tax imposed upon individuals, trusts, and estates by
7subsections (a) and (b) of Section 201 of this Act, minus
8deposits into the Income Tax Refund Fund, into the Fund for the
9Advancement of Education:
10        (1) beginning February 1, 2015, and prior to February
11    1, 2025, 1/30; and
12        (2) beginning February 1, 2025, 1/26.
13    If the rate of tax imposed by subsection (a) and (b) of
14Section 201 is reduced pursuant to Section 201.5 of this Act,
15the Department shall not make the deposits required by this
16subsection (f) on or after the effective date of the
17reduction.
18    (g) Deposits into the Commitment to Human Services Fund.
19Beginning February 1, 2015, the Department shall deposit the
20following portions of the revenue realized from the tax
21imposed upon individuals, trusts, and estates by subsections
22(a) and (b) of Section 201 of this Act, minus deposits into the
23Income Tax Refund Fund, into the Commitment to Human Services
24Fund:
25        (1) beginning February 1, 2015, and prior to February
26    1, 2025, 1/30; and

 

 

SB2435- 2275 -LRB102 04062 AMC 14078 b

1        (2) beginning February 1, 2025, 1/26.
2    If the rate of tax imposed by subsection (a) and (b) of
3Section 201 is reduced pursuant to Section 201.5 of this Act,
4the Department shall not make the deposits required by this
5subsection (g) on or after the effective date of the
6reduction.
7    (h) Deposits into the Tax Compliance and Administration
8Fund. Beginning on the first day of the first calendar month to
9occur on or after August 26, 2014 (the effective date of Public
10Act 98-1098), each month the Department shall pay into the Tax
11Compliance and Administration Fund, to be used, subject to
12appropriation, to fund additional auditors and compliance
13personnel at the Department, an amount equal to 1/12 of 5% of
14the cash receipts collected during the preceding fiscal year
15by the Audit Bureau of the Department from the tax imposed by
16subsections (a), (b), (c), and (d) of Section 201 of this Act,
17net of deposits into the Income Tax Refund Fund made from those
18cash receipts.
19(Source: P.A. 100-22, eff. 7-6-17; 100-23, eff. 7-6-17;
20100-587, eff. 6-4-18; 100-621, eff. 7-20-18; 100-863, eff.
218-14-18; 100-1171, eff. 1-4-19; 101-8, see Section 99 for
22effective date; 101-10, eff. 6-5-19; 101-81, eff. 7-12-19;
23101-636, eff. 6-10-20.)
 
24    (35 ILCS 5/201.1 rep.)
25    (35 ILCS 5/229 rep.)

 

 

SB2435- 2276 -LRB102 04062 AMC 14078 b

1    Section 880. The Illinois Income Tax Act is amended by
2repealing Section 201.1 and Section 229 as added by Public Act
3101-8.
 
4    Section 995. No acceleration or delay. Where this Act
5makes changes in a statute that is represented in this Act by
6text that is not yet or no longer in effect (for example, a
7Section represented by multiple versions), the use of that
8text does not accelerate or delay the taking effect of (i) the
9changes made by this Act or (ii) provisions derived from any
10other Public Act.
 
11    Section 996. No revival or extension. This Act does not
12revive or extend any Section or Act otherwise repealed.
 
13    Section 999. Effective date. This Act takes effect upon
14becoming law.

 

 

SB2435- 2277 -LRB102 04062 AMC 14078 b

1 INDEX
2 Statutes amended in order of appearance
3    5 ILCS 80/4.30
4    5 ILCS 80/4.40
5    5 ILCS 100/5-45.1
6    5 ILCS 100/5-45.2
7    5 ILCS 100/5-45.4
8    5 ILCS 100/5-45.5
9    5 ILCS 100/5-45.6
10    5 ILCS 100/5-45.7
11    5 ILCS 120/1.05
12    5 ILCS 120/2from Ch. 102, par. 42
13    5 ILCS 140/7from Ch. 116, par. 207
14    5 ILCS 160/3from Ch. 116, par. 43.6
15    5 ILCS 375/3from Ch. 127, par. 523
16    5 ILCS 420/4A-108
17    5 ILCS 430/20-10
18    5 ILCS 430/25-10
19    5 ILCS 810/5
20    5 ILCS 830/10-1
21    10 ILCS 5/1A-3from Ch. 46, par. 1A-3
22    10 ILCS 5/1A-45
23    10 ILCS 5/2A-1.2from Ch. 46, par. 2A-1.2
24    10 ILCS 5/6-50.2from Ch. 46, par. 6-50.2
25    10 ILCS 5/6A-3from Ch. 46, par. 6A-3

 

 

SB2435- 2278 -LRB102 04062 AMC 14078 b

1    10 ILCS 5/9-15from Ch. 46, par. 9-15
2    15 ILCS 335/5from Ch. 124, par. 25
3    15 ILCS 335/17
4    15 ILCS 405/20from Ch. 15, par. 220
5    15 ILCS 405/23.11
6    15 ILCS 505/16.8
7    15 ILCS 505/35
8    15 ILCS 520/10from Ch. 130, par. 29
9    15 ILCS 520/16from Ch. 130, par. 35
10    15 ILCS 520/22.5from Ch. 130, par. 41a
11    20 ILCS 5/5-565was 20 ILCS 5/6.06
12    20 ILCS 505/5from Ch. 23, par. 5005
13    20 ILCS 505/42
14    20 ILCS 505/43
15    20 ILCS 525/5-20
16    20 ILCS 605/605-913
17    20 ILCS 605/605-1025
18    20 ILCS 605/605-1030
19    20 ILCS 605/605-1035
20    20 ILCS 605/605-1040
21    20 ILCS 605/605-1045
22    20 ILCS 605/605-1047
23    20 ILCS 655/5.5from Ch. 67 1/2, par. 609.1
24    20 ILCS 655/13
25    20 ILCS 896/20
26    20 ILCS 1120/4from Ch. 96 1/2, par. 7804

 

 

SB2435- 2279 -LRB102 04062 AMC 14078 b

1    20 ILCS 1505/1505-215
2    20 ILCS 1605/2from Ch. 120, par. 1152
3    20 ILCS 1605/9.1
4    20 ILCS 2310/2310-222
5    20 ILCS 2310/2310-223
6    20 ILCS 2310/2310-455
7    20 ILCS 2310/2310-460
8    20 ILCS 2310/2310-670
9    20 ILCS 2610/40
10    20 ILCS 2615/5from Ch. 121, par. 307.25
11    20 ILCS 2630/5.2
12    20 ILCS 2705/2705-610
13    20 ILCS 2705/2705-615
14    20 ILCS 2905/3from Ch. 127 1/2, par. 3
15    20 ILCS 3105/10.09-1
16    20 ILCS 3105/12from Ch. 127, par. 782
17    25 ILCS 115/1from Ch. 63, par. 14
18    25 ILCS 130/Art. 3A
19    heading
20    25 ILCS 130/Art. 8A
21    heading
22    30 ILCS 105/5.891
23    30 ILCS 105/5.892
24    30 ILCS 105/5.893
25    30 ILCS 105/5.894
26    30 ILCS 105/5.895

 

 

SB2435- 2280 -LRB102 04062 AMC 14078 b

1    30 ILCS 105/5.896
2    30 ILCS 105/5.897
3    30 ILCS 105/5.898
4    30 ILCS 105/5.899
5    30 ILCS 105/5.900
6    30 ILCS 105/5.901
7    30 ILCS 105/5.902
8    30 ILCS 105/5.903
9    30 ILCS 105/5.904
10    30 ILCS 105/5.905
11    30 ILCS 105/5.906
12    30 ILCS 105/5.907
13    30 ILCS 105/5.908
14    30 ILCS 105/5.909
15    30 ILCS 105/5.910
16    30 ILCS 105/5.911
17    30 ILCS 105/5.912
18    30 ILCS 105/5.913
19    30 ILCS 105/5.914
20    30 ILCS 105/5.915
21    30 ILCS 105/5.916
22    30 ILCS 105/5.917
23    30 ILCS 105/5.918
24    30 ILCS 105/5.920
25    30 ILCS 105/5.921
26    30 ILCS 105/5.922

 

 

SB2435- 2281 -LRB102 04062 AMC 14078 b

1    30 ILCS 105/5.923
2    30 ILCS 105/5.924
3    30 ILCS 105/5.925
4    30 ILCS 105/5.926
5    30 ILCS 105/5.927
6    30 ILCS 105/5.928
7    30 ILCS 105/6z-107
8    30 ILCS 105/6z-112
9    30 ILCS 105/6z-113
10    30 ILCS 105/8.25g
11    30 ILCS 105/8g
12    30 ILCS 105/9.02from Ch. 127, par. 145c
13    30 ILCS 105/10from Ch. 127, par. 146
14    30 ILCS 160/2from Ch. 127, par. 4002
15    30 ILCS 330/19from Ch. 127, par. 669
16    30 ILCS 500/1-10
17    30 ILCS 500/1-35
18    30 ILCS 500/1-40
19    30 ILCS 500/45-35
20    30 ILCS 558/Art. 25
21    heading
22    30 ILCS 558/25-10
23    30 ILCS 558/25-20
24    30 ILCS 558/25-40
25    30 ILCS 558/25-45
26    30 ILCS 558/25-50

 

 

SB2435- 2282 -LRB102 04062 AMC 14078 b

1    30 ILCS 558/25-55
2    30 ILCS 575/4from Ch. 127, par. 132.604
3    30 ILCS 575/5from Ch. 127, par. 132.605
4    30 ILCS 605/7.7
5    30 ILCS 605/7.8
6    30 ILCS 764/10-1
7    30 ILCS 805/8.43
8    30 ILCS 805/8.44
9    35 ILCS 5/203from Ch. 120, par. 2-203
10    35 ILCS 5/229
11    35 ILCS 5/230
12    35 ILCS 5/231
13    35 ILCS 5/304from Ch. 120, par. 3-304
14    35 ILCS 5/701from Ch. 120, par. 7-701
15    35 ILCS 10/5-51
16    35 ILCS 10/5-56
17    35 ILCS 16/10
18    35 ILCS 115/2d
19    35 ILCS 120/11from Ch. 120, par. 450
20    35 ILCS 200/3-5
21    35 ILCS 200/Art. 10 Div. 6
22    heading
23    35 ILCS 200/18-185
24    35 ILCS 200/18-246
25    35 ILCS 505/8from Ch. 120, par. 424
26    40 ILCS 5/1-109from Ch. 108 1/2, par. 1-109

 

 

SB2435- 2283 -LRB102 04062 AMC 14078 b

1    40 ILCS 5/4-117from Ch. 108 1/2, par. 4-117
2    40 ILCS 5/4-118from Ch. 108 1/2, par. 4-118
3    40 ILCS 5/4-141from Ch. 108 1/2, par. 4-141
4    40 ILCS 5/14-125from Ch. 108 1/2, par. 14-125
5    40 ILCS 5/15-155from Ch. 108 1/2, par. 15-155
6    40 ILCS 5/16-158from Ch. 108 1/2, par. 16-158
7    40 ILCS 5/16-190.5
8    40 ILCS 5/16-203
9    40 ILCS 5/22C-115
10    50 ILCS 35/1from Ch. 85, par. 2901
11    50 ILCS 50/15
12    50 ILCS 50/20
13    50 ILCS 310/4from Ch. 85, par. 704
14    50 ILCS 345/15
15    50 ILCS 355/10-15
16    50 ILCS 705/7from Ch. 85, par. 507
17    50 ILCS 705/10.2
18    50 ILCS 705/10.7
19    50 ILCS 705/10.11
20    50 ILCS 705/10.23
21    50 ILCS 705/10.24
22    50 ILCS 706/10-1
23    50 ILCS 740/2from Ch. 85, par. 532
24    50 ILCS 740/8from Ch. 85, par. 538
25    50 ILCS 752/20
26    55 ILCS 5/5-1009from Ch. 34, par. 5-1009

 

 

SB2435- 2284 -LRB102 04062 AMC 14078 b

1    55 ILCS 5/5-1184
2    55 ILCS 5/5-1185
3    55 ILCS 5/5-10004from Ch. 34, par. 5-10004
4    65 ILCS 5/1-1-10from Ch. 24, par. 1-1-10
5    65 ILCS 5/10-1-7.1
6    65 ILCS 5/10-1-48from Ch. 24, par. 10-1-48
7    65 ILCS 5/10-2.1-6.3
8    65 ILCS 5/11-74.4-8from Ch. 24, par. 11-74.4-8
9    65 ILCS 5/11-74.6-35
10    65 ILCS 5/11-101-3
11    65 ILCS 115/10-10.4
12    70 ILCS 210/13.2from Ch. 85, par. 1233.2
13    70 ILCS 705/11k
14    70 ILCS 705/16.06b
15    70 ILCS 1205/2-25from Ch. 105, par. 2-25
16    70 ILCS 1205/10-7from Ch. 105, par. 10-7
17    70 ILCS 2305/28from Ch. 42, par. 296.8
18    70 ILCS 3305/0.01from Ch. 121, par. 354.9
19    70 ILCS 3615/4.04from Ch. 111 2/3, par. 704.04
20    105 ILCS 5/2-3.80from Ch. 122, par. 2-3.80
21    105 ILCS 5/2-3.155
22    105 ILCS 5/2-3.159
23    105 ILCS 5/2-3.176
24    105 ILCS 5/2-3.179
25    105 ILCS 5/2-3.180
26    105 ILCS 5/2-3.181

 

 

SB2435- 2285 -LRB102 04062 AMC 14078 b

1    105 ILCS 5/10-17afrom Ch. 122, par. 10-17a
2    105 ILCS 5/10-20.5bfrom Ch. 122, par. 10-20.5b
3    105 ILCS 5/10-20.69
4    105 ILCS 5/10-20.70
5    105 ILCS 5/10-20.71
6    105 ILCS 5/10-20.72
7    105 ILCS 5/14-8.02from Ch. 122, par. 14-8.02
8    105 ILCS 5/18-8.15
9    105 ILCS 5/22-33
10    105 ILCS 5/22-85
11    105 ILCS 5/22-87
12    105 ILCS 5/22-88
13    105 ILCS 5/24A-7from Ch. 122, par. 24A-7
14    105 ILCS 5/27-23.13
15    105 ILCS 5/27-23.14
16    105 ILCS 5/27-24.1from Ch. 122, par. 27-24.1
17    105 ILCS 5/27-24.2from Ch. 122, par. 27-24.2
18    105 ILCS 5/27A-5
19    105 ILCS 5/34-18from Ch. 122, par. 34-18
20    105 ILCS 5/34-18.11from Ch. 122, par. 34-18.11
21    105 ILCS 5/34-18.61
22    105 ILCS 5/34-18.62
23    105 ILCS 5/34-18.63
24    105 ILCS 5/34-18.64
25    105 ILCS 5/34-18.65
26    105 ILCS 10/2from Ch. 122, par. 50-2

 

 

SB2435- 2286 -LRB102 04062 AMC 14078 b

1    105 ILCS 45/1-10
2    105 ILCS 85/27
3    105 ILCS 110/3
4    110 ILCS 27/20
5    110 ILCS 49/15
6    110 ILCS 62/5
7    110 ILCS 305/105
8    110 ILCS 305/110
9    110 ILCS 305/115
10    110 ILCS 330/8b
11    110 ILCS 330/8c
12    110 ILCS 520/90
13    110 ILCS 520/95
14    110 ILCS 660/5-200
15    110 ILCS 660/5-205
16    110 ILCS 665/10-200
17    110 ILCS 665/10-205
18    110 ILCS 670/15-200
19    110 ILCS 670/15-205
20    110 ILCS 675/20-205
21    110 ILCS 675/20-210
22    110 ILCS 680/25-200
23    110 ILCS 680/25-205
24    110 ILCS 685/30-210
25    110 ILCS 685/30-215
26    110 ILCS 690/35-205

 

 

SB2435- 2287 -LRB102 04062 AMC 14078 b

1    110 ILCS 690/35-210
2    110 ILCS 805/2-26
3    110 ILCS 805/3-42.1from Ch. 122, par. 103-42.1
4    115 ILCS 5/14from Ch. 48, par. 1714
5    205 ILCS 5/48
6    205 ILCS 205/1008from Ch. 17, par. 7301-8
7    205 ILCS 305/9from Ch. 17, par. 4410
8    205 ILCS 305/46from Ch. 17, par. 4447
9    210 ILCS 35/5.5
10    210 ILCS 49/2-101
11    210 ILCS 50/3.50
12    210 ILCS 50/3.233
13    210 ILCS 115/9.8from Ch. 111 1/2, par. 719.8
14    210 ILCS 150/5
15    215 ILCS 5/28.2afrom Ch. 73, par. 640.2a
16    215 ILCS 5/291.1from Ch. 73, par. 903.1
17    215 ILCS 5/356z.33
18    215 ILCS 5/356z.34
19    215 ILCS 5/356z.35
20    215 ILCS 5/356z.36
21    215 ILCS 5/356z.37
22    215 ILCS 5/356z.38
23    215 ILCS 5/356z.39
24    215 ILCS 5/368g
25    215 ILCS 5/370cfrom Ch. 73, par. 982c
26    215 ILCS 5/534.3from Ch. 73, par. 1065.84-3

 

 

SB2435- 2288 -LRB102 04062 AMC 14078 b

1    215 ILCS 110/47from Ch. 32, par. 690.47
2    215 ILCS 125/5-5from Ch. 111 1/2, par. 1413
3    215 ILCS 157/10
4    215 ILCS 165/15.6-1from Ch. 32, par. 609.6-1
5    215 ILCS 175/10
6    220 ILCS 5/5-117
7    220 ILCS 5/13-507.1
8    220 ILCS 5/16-130
9    225 ILCS 25/4from Ch. 111, par. 2304
10    225 ILCS 25/17from Ch. 111, par. 2317
11    225 ILCS 60/22from Ch. 111, par. 4400-22
12    225 ILCS 60/36from Ch. 111, par. 4400-36
13    225 ILCS 65/65-5was 225 ILCS 65/15-10
14    225 ILCS 65/70-5was 225 ILCS 65/10-45
15    225 ILCS 85/3
16    225 ILCS 95/7.5
17    225 ILCS 95/21from Ch. 111, par. 4621
18    225 ILCS 125/105
19    225 ILCS 125/210
20    225 ILCS 140/5
21    225 ILCS 230/1001from Ch. 111, par. 7851
22    225 ILCS 443/165
23    225 ILCS 605/3.3
24    225 ILCS 605/7from Ch. 8, par. 307
25    225 ILCS 605/18from Ch. 8, par. 318
26    225 ILCS 605/18.2

 

 

SB2435- 2289 -LRB102 04062 AMC 14078 b

1    225 ILCS 605/21from Ch. 8, par. 321
2    225 ILCS 710/3from Ch. 96 1/2, par. 4204
3    230 ILCS 5/26from Ch. 8, par. 37-26
4    230 ILCS 5/27from Ch. 8, par. 37-27
5    230 ILCS 5/31from Ch. 8, par. 37-31
6    230 ILCS 10/7from Ch. 120, par. 2407
7    230 ILCS 15/1from Ch. 85, par. 2301
8    230 ILCS 15/2from Ch. 85, par. 2302
9    230 ILCS 15/3from Ch. 85, par. 2303
10    230 ILCS 15/8.1from Ch. 85, par. 2308.1
11    230 ILCS 40/58
12    235 ILCS 5/3-12
13    235 ILCS 5/5-3from Ch. 43, par. 118
14    235 ILCS 5/6-6from Ch. 43, par. 123
15    235 ILCS 5/6-6.5
16    305 ILCS 5/5-2from Ch. 23, par. 5-2
17    305 ILCS 5/5-5from Ch. 23, par. 5-5
18    305 ILCS 5/5-5.07
19    305 ILCS 5/5-5.2from Ch. 23, par. 5-5.2
20    305 ILCS 5/5-5.12from Ch. 23, par. 5-5.12
21    305 ILCS 5/5-30.11
22    305 ILCS 5/5-30.13
23    305 ILCS 5/5-30.14
24    305 ILCS 5/5-36
25    305 ILCS 5/5-36.5
26    305 ILCS 5/5H-1

 

 

SB2435- 2290 -LRB102 04062 AMC 14078 b

1    305 ILCS 5/5H-5
2    305 ILCS 5/5H-6
3    305 ILCS 5/11-5.4
4    305 ILCS 5/12-4.13c
5    305 ILCS 5/12-4.13d
6    305 ILCS 70/95-102
7    305 ILCS 70/95-301
8    305 ILCS 70/95-304
9    305 ILCS 70/95-502
10    325 ILCS 5/7from Ch. 23, par. 2057
11    405 ILCS 5/2-110.1
12    405 ILCS 5/2-110.5
13    405 ILCS 5/3-550
14    405 ILCS 120/1
15    410 ILCS 130/25
16    410 ILCS 130/35
17    410 ILCS 130/36
18    410 ILCS 130/75
19    410 ILCS 130/160
20    410 ILCS 312/5
21    410 ILCS 528/15
22    415 ILCS 5/9.16
23    415 ILCS 5/9.17
24    415 ILCS 5/21from Ch. 111 1/2, par. 1021
25    415 ILCS 5/21.7
26    415 ILCS 5/22.23d

 

 

SB2435- 2291 -LRB102 04062 AMC 14078 b

1    415 ILCS 5/22.59
2    415 ILCS 5/22.60
3    415 ILCS 5/22.61
4    415 ILCS 5/39from Ch. 111 1/2, par. 1039
5    415 ILCS 5/40from Ch. 111 1/2, par. 1040
6    415 ILCS 60/5from Ch. 5, par. 805
7    415 ILCS 60/24.1from Ch. 5, par. 824.1
8    415 ILCS 97/15
9    415 ILCS 135/65
10    420 ILCS 56/15
11    425 ILCS 25/13.1from Ch. 127 1/2, par. 17.1
12    425 ILCS 60/3from Ch. 127 1/2, par. 803
13    430 ILCS 68/5-1
14    430 ILCS 68/5-5
15    510 ILCS 5/11from Ch. 8, par. 361
16    605 ILCS 5/6-115from Ch. 121, par. 6-115
17    605 ILCS 5/6-134
18    625 ILCS 5/1-158.5from Ch. 95 1/2, par. 1-300
19    625 ILCS 5/2-111from Ch. 95 1/2, par. 2-111
20    625 ILCS 5/3-421from Ch. 95 1/2, par. 3-421
21    625 ILCS 5/3-609from Ch. 95 1/2, par. 3-609
22    625 ILCS 5/3-699.14
23    625 ILCS 5/3-699.17
24    625 ILCS 5/3-699.18
25    625 ILCS 5/3-699.21
26    625 ILCS 5/3-704from Ch. 95 1/2, par. 3-704

 

 

SB2435- 2292 -LRB102 04062 AMC 14078 b

1    625 ILCS 5/3-802from Ch. 95 1/2, par. 3-802
2    625 ILCS 5/3-806.3from Ch. 95 1/2, par. 3-806.3
3    625 ILCS 5/4-104from Ch. 95 1/2, par. 4-104
4    625 ILCS 5/4-105from Ch. 95 1/2, par. 4-105
5    625 ILCS 5/6-106from Ch. 95 1/2, par. 6-106
6    625 ILCS 5/6-206
7    625 ILCS 5/6-209.1
8    625 ILCS 5/6-306.5from Ch. 95 1/2, par. 6-306.5
9    625 ILCS 5/11-208.3from Ch. 95 1/2, par. 11-208.3
10    625 ILCS 5/11-501.9
11    625 ILCS 5/11-502.1
12    625 ILCS 5/11-704from Ch. 95 1/2, par. 11-704
13    625 ILCS 5/11-1006from Ch. 95 1/2, par. 11-1006
14    625 ILCS 5/11-1412.3
15    625 ILCS 5/12-610.2
16    705 ILCS 105/27.1b
17    705 ILCS 405/2-4a
18    705 ILCS 405/2-31from Ch. 37, par. 802-31
19    705 ILCS 405/5-710
20    705 ILCS 405/5-915
21    705 ILCS 505/22from Ch. 37, par. 439.22
22    720 ILCS 5/2-13from Ch. 38, par. 2-13
23    720 ILCS 5/3-6from Ch. 38, par. 3-6
24    720 ILCS 5/9-3.2from Ch. 38, par. 9-3.2
25    720 ILCS 5/12-2from Ch. 38, par. 12-2
26    720 ILCS 5/28-1from Ch. 38, par. 28-1

 

 

SB2435- 2293 -LRB102 04062 AMC 14078 b

1    720 ILCS 5/28-2from Ch. 38, par. 28-2
2    720 ILCS 5/28-3from Ch. 38, par. 28-3
3    720 ILCS 5/28-5from Ch. 38, par. 28-5
4    720 ILCS 5/29B-21
5    720 ILCS 550/5.2from Ch. 56 1/2, par. 705.2
6    720 ILCS 550/5.3
7    720 ILCS 675/2from Ch. 23, par. 2358
8    720 ILCS 678/7
9    725 ILCS 5/110-5from Ch. 38, par. 110-5
10    725 ILCS 5/111-1from Ch. 38, par. 111-1
11    725 ILCS 5/112A-23from Ch. 38, par. 112A-23
12    725 ILCS 5/124A-20
13    725 ILCS 120/4.5
14    730 ILCS 5/3-1-2from Ch. 38, par. 1003-1-2
15    730 ILCS 5/3-2-2.3
16    730 ILCS 5/3-2-2.4
17    730 ILCS 5/3-2.5-20
18    730 ILCS 5/3-3-2from Ch. 38, par. 1003-3-2
19    730 ILCS 5/3-6-3from Ch. 38, par. 1003-6-3
20    730 ILCS 5/3-8-5from Ch. 38, par. 1003-8-5
21    730 ILCS 5/3-14-1from Ch. 38, par. 1003-14-1
22    730 ILCS 5/5-2-4from Ch. 38, par. 1005-2-4
23    730 ILCS 5/5-3-2from Ch. 38, par. 1005-3-2
24    730 ILCS 5/5-5-3.2
25    730 ILCS 5/5-6-3from Ch. 38, par. 1005-6-3
26    730 ILCS 105/5from Ch. 38, par. 1655

 

 

SB2435- 2294 -LRB102 04062 AMC 14078 b

1    730 ILCS 141/10
2    730 ILCS 141/20
3    730 ILCS 190/10
4    730 ILCS 200/5
5    735 ILCS 5/2-206from Ch. 110, par. 2-206
6    735 ILCS 5/2-1401from Ch. 110, par. 2-1401
7    735 ILCS 5/5-105from Ch. 110, par. 5-105
8    735 ILCS 5/Art. VIII Pt. 3
9    heading
10    735 ILCS 5/8-301from Ch. 110, par. 8-301
11    735 ILCS 5/20-104from Ch. 110, par. 20-104
12    740 ILCS 120/2from Ch. 70, par. 602
13    745 ILCS 22/5
14    745 ILCS 50/2.02from Ch. 56 1/2, par. 2002.02
15    750 ILCS 50/1from Ch. 40, par. 1501
16    755 ILCS 5/11-1from Ch. 110 1/2, par. 11-1
17    755 ILCS 27/5
18    760 ILCS 3/816
19    760 ILCS 3/913
20    760 ILCS 3/1005
21    760 ILCS 3/1219
22    760 ILCS 55/1from Ch. 14, par. 51
23    765 ILCS 745/16from Ch. 80, par. 216
24    765 ILCS 1065/6from Ch. 140, par. 356
25    775 ILCS 5/1-103from Ch. 68, par. 1-103
26    775 ILCS 5/2-101

 

 

SB2435- 2295 -LRB102 04062 AMC 14078 b

1    775 ILCS 5/2-108
2    775 ILCS 5/6-102
3    775 ILCS 5/7A-102from Ch. 68, par. 7A-102
4    775 ILCS 5/7A-103from Ch. 68, par. 7A-103
5    805 ILCS 5/15.35from Ch. 32, par. 15.35
6    805 ILCS 5/15.65from Ch. 32, par. 15.65
7    805 ILCS 105/111.25from Ch. 32, par. 111.25
8    805 ILCS 317/25
9    815 ILCS 390/16from Ch. 21, par. 216
10    815 ILCS 505/2DDD
11    815 ILCS 601/5
12    820 ILCS 96/1-25
13    820 ILCS 305/4a-5from Ch. 48, par. 138.4a-5
14    820 ILCS 325/5-5
15    820 ILCS 325/5-10
16    820 ILCS 325/5-15
17    35 ILCS 5/201
18    35 ILCS 5/208from Ch. 120, par. 2-208
19    35 ILCS 5/502from Ch. 120, par. 5-502
20    35 ILCS 5/901
21    35 ILCS 5/201.1 rep.
22    35 ILCS 5/229 rep.